Wednesday, October 30, 2019

Exemplification Essay Example | Topics and Well Written Essays - 750 words

Exemplification - Essay Example For instance, dialogue, holding and handling cell phones divert the driver’s attention and decreases their cognizance of their environments. Therefore, there odds of triggering an accident escalatesintensely. In response to this most state legislations have applied legislative and driver education measures. Virtually all car drivers are reported to have used a cell phone while driving. In this case, drivers are 5.4 times more likely to cause an accident while driving when compared to other drivers who are not using cells phones. For instance, car drivers who were using their cell phones were 0.09 times slower in responding to road use cues, 0.19 times more likely to be unresponsive to road lane speed limits (especially following braking), and 0.24 times more likely to misjudge vehicle distances while on the road. In this respect, cell phone distraction has been reported to cause a fifth of all reported road accidents (Strayer and Johnston 462). As earlier stated, cell phones distractions are to blame for a large number of road fatalities. In reference to that, most jurisdictions have enacted legislation that regulate cell phone use by car drivers with all drivers criminally liable of found contravening the legislation. For instance, New York State has enacted regulations that criminalize any form of cell phone use by drivers; terming cell phones use by drivers as dangerous and impractical. In addition to regulations, driver education has been termed as a key program to address cell phones use by drivers. Consequently, governments and legislators have determined that cell phone use by drivers is a dangerous habit (Noder 238). Research reports that most drivers are aware that cell phone use while driving increases their likelihood of causing an accident. In this case, they acknowledge that if they are repeatedly and consistently educated on the dangers of using cell phones while driving

Monday, October 28, 2019

Hunting Should Not Be Outlawed Essay Example for Free

Hunting Should Not Be Outlawed Essay Hunting should not be outlawed. It is still a source of food for people who still live off the land . Hunting can be a very effective method of population control. Hunting is a sport of tradition it offers recreation from everyday life. Hunting animals for food is better for people because it does not have all the hormones that farm raised animals have. There aren’t very many diseases that affect humans in wild animals. Majority of the animals that have seasons are edible. Hunting is a very effective method of population control. If too many animals of one species or several related species live in one area they could possible wipe out there entire food source or sources. Then many of them would starve to death which unknown to the tree huggers that want to stop this is a very painful death, being shot is a very quick painless death. Hunting can save an ecosystem and entire species, by killing some of the animals in the ecosystem you can save the food source for the animals still left living. Hunting is a tradition in most of the world. People have been hunting for tens of thousands of years. Many people still use hunting as their many food source throughout the world. It is also a recreational activity. Tradition’s should not be outlawed. Hunting can help save the environment in which they live in by population control. It is a source of food. It’s an activity that people have been using to get away from society as we know it for several years. In conclusion Hunting should not be outlawed.

Saturday, October 26, 2019

Supply Chain Management Essay -- business processes, SCOR model

Supply Chain Management (SCM) is the integration of information, technologies and management of key business functions which is linked directly or indirectly and provides services to the same customer. It promotes the flow of products downstream from raw materials to the end consumer and the flow of information upstream from consumer to supplier [1]. In above figure it explains that raw materials is procured and then it goes to the supplier for processing of raw material, suppliers supplies the processed raw materials to the manufactures, producers transform these raw material into finished goods, distributors delivers finished goods, packed materials to customers or retailers and retailers sell that product to consumers. Supply chain management was introduced due to inability of the organizations to understand the entire string of activities that governed the delivery of the product to the final customer. Previously companies were too restricted in their outlook and were concerned only with activities within their own boundaries. In essence, supply chain management integrates supply and demand management within and across companies. SCM ensures higher efficiency of modern businesses, by coordinating and synchronizing various organizations in the supply chain [2]. There are a variety of supply chain models, which address both the upstream and downstream sides. The SCOR (Supply-Chain Operations Reference) model. This literature review gives a brief description of the SCOR model. 2. BACKGROUND 2.1. THE SUPPLY CHAIN COUNCIL Supply Chain Council (SCC) is a global nonprofit organization (NGO) whose framework, improvement methodology, training, certification and benchmarking tools help member organizations make dramatic,... ...espread use of SCOR model. 10. REFERENCES [1] SASCM Student association of supply chain management, Weber State University. [2] en.wikipedia.org/wiki/Supply_chain [3] Supply Chain Council (2010), Supply-Chain Operations Reference (SCOR) model, Version 10, Supply-Chain Council, Inc, 2010 [4] Supply Chain Council (2008), Supply-Chain Operations Reference (SCOR) model, Version 9 Overview, Supply-Chain Council, Inc, 2008. [5] Peter Bolstorff and Robert Rosenbaum. Supply Chain Excellence: A Handbook for Dramatic Improvement Using the SCOR Model. Broadway, NY: American Management Association, 2003. [6] https://supply-chain.org/f/SCOR-Overview-Web.pdf [7] Samuel H. Huan, Sunil K. Sheoran, Ge Wang, (2004) "A review and analysis of supply chain operations reference (SCOR) model", Supply Chain Management: An International Journal, Vol. 9 Iss: 1, pp.23 - 29

Thursday, October 24, 2019

Plato’s Forms

Eric Morin 103317083 01-26-285 Professor L. Buj Jan 16, 2011 Plato’s Criticism On Deceptive Forms Plato’s critique of art operates on two levels, the ontological and the moral. Both levels are interpreted within disdain taste as Plato proposes that the banishment of art could actually bring fourth a closer connection between humanity and truth. His argument against the existence of art as well as its functioning purposes will be further discussed in this paper. Plato’s ontological view on the existence of art looks deep within the nature as well as its overall properties rather bitterly.Plato’s attack on art does not merely constitute visual art, but rather holds a more expansive scope reaching into literature and especially poetry. For Plato, art is accountable for multiple negative influences, which affect all audiences who try to interpret it. These influences are what Plato believes hinders humanity towards aspiring truth. Art for Plato receives negati ve attention at the moment of creation. Plato believes that the thoughts processed by the creator and/or artist are far from original and are alternatively imitations of the real world hich are themselves distant from the ideal Forms. These ideal Forms consist of the ultimate paradigms in our universe containing truth and 2 absolute wholeness, thus proposing a problem for Plato. These copies of copies are referred to as mimesis. During the grandeur search of truth, mimesis serves the audience deceit and alarmingly leads them farther from the ideal Forms. As mentioned in the text, â€Å"Because mimesis presents us with an inferior copy of a copy, poetry takes its listeners away from rather than toward the ideal Forms† (Leitch 43).The hypocrisy surrounding literature proves to be troublesome for Plato on a multitude of levels. In the search for completeness, art not only fails to provide insight toward truth but rather, is actually lying to you. This mimetic stance held within the nature of art is believed to be nothing more than fabrication. Plato maintains his argument by stating that as the audience is deceptively reeled into a degraded mind state, truth is less obtainable. Introduced in the text, â€Å"Because [Literature] stories are fictional, made up, literature is dangerous; it roduces only lies† (43). Plato not only bashes art on an ontological level, but also finds problems morally. During deception and degradation through imitation within text, Plato analyzes the problems art has within its nature and relates that to the morality of audience. He argues that if art is further removing oneself from the truth, than it cannot be in the best interest of man. Thus, banishment of art would be the only way to restore deception and appease humanity. 3 Plato begins by focusing on the dangerous elements of art and its affect on young minds.His argument states, â€Å"Now, do you appreciate that the most important stage of any enterprise is the begi nning, especially when something young and sensitive is involved? † (46). In this part of the text, Plato is trying to explain that not only is the young mind fragile enough to easily fall into this created trap of deceit, but also that ruining the quest for truth at a young age brings upon negative consequences for all of humanity. Argued furthermore, â€Å"No young person is to hear stories which suggest that were he to commit the vilest of crimes †¦ he wouldn’t be doing anything out of the rdinary, but would simply be behaving like the first and greatest gods† (47). Here Plato is arguing that the falsehood within stories can fantasize young minds into ultimately developing enhanced personas, which escalates into degradation of truth in reality. Plato further extends his argument on art and morality into the minds of all humans. Since art is of a deceitful nature according to Plato, it cannot undertone any good found within the text but is instead consider ed the primary fault within literature. Thus, the deception in which the audience resorts to is ultimately proposed as egative and unneeded. Different from a beneficial spoken lie, Plato states about literature, â€Å"All I’m saying is that no one is happy at being 4 lied to and deceived in his mind about the facts† (51). One of Plato’s biggest moral issues with art explores the depiction of human kind in literature. He believes that in order to truly display characteristics of a character we are not only mending the emotions and feelings to suit the text itself but for our own personal capacity. This sort of mutilation of character not only revives the notion of eception within literature but again bringing treason to our own reality. By distorting the character, we would be digging through created deceit as well as misinterpreting the true meaning of what was intended. Plato not only rejects our created distortion, but also feels as though the author creates t his misinterpretation in a deceptive way. As Plato addresses, â€Å"What we’d claim, I imagine, is that poets and prose-writers misrepresent people in extremely important ways† (58). A real life example of artwork that could be examined and placed under Plato’s critical thinking rests in Versailles.There, artist Jeff Koons has created a replica of an inflatable lobster that hangs down from the ceiling for all to see. The lobster seems to be created as though it is soft to touch and friendly to the eyes. Already our senses have been deceived. As Plato would primarily analyze the creationist, we find that Jeff 5 Koons has not only produced a copy of a copy, but adds double the mimetic stages. Plato would argue that Jeff’s original thought has come from an ideal Form, followed by his initial drawing, then an addition of computer enhancement, and lastly interpreted and actually reated by fellow minds in his workshop. This notion sets the idea that Jeff is rat her far from being the creationist, which is deceptive to audience in itself. Plato’s ontological stance would prove testy and unacceptable, as mimetic deceit is thoroughly prevalent within the whole of this piece. Plato would then examine the piece of art and relate it to morality. As this specific piece hangs down appearing soft and inflatable, it as well is deceitful in itself. Made out of metal, the lobster looms above the heads of audiences worldwide. Confusing to our senses, he would isapprove the artworks influence and be especially concerned for child observers. Plato would believe that not only is the nature of this piece deceptive, but our outtake of what we have witnessed would follow suit. In all of this deception, Plato would argue that artwork does indeed lead humanity farther from the truth and most importantly from primary ideal Forms, thus resulting in banishment being the primal response. 6 Works Cited Leitch, Vincent B. , ed. The Norton Anthology of Theory & Criticism. New York, NY: Norton, 2010. Print.

Wednesday, October 23, 2019

Macbeth, a Play Full of Darkness Essay

Macbeth is a play full of darkness, evil, and tragedy. It is the story of a man who goes against his conscience and commits a horrible deed which leads to his destruction and loss of everything he has around him. This includes the relationship he has with his wife, Lady Macbeth. In the beginning we see Lady Macbeth playing the more superior, more dominating role of the two. She comes across as a woman, who is persuasive and manipulative. She seems willing to trample anyone in order to get what she wants. She lays all the plans and all Macbeth has to do is obey her commands. Macbeth on the other hand is fickle-minded and unsure. We discover that the man, who is praised so highly by the public is actually a weak man. We see that he is not the brave loyal man he is portrayed to be in the beginning. Macbeth and Lady Macbeth have a very strong relationship but this later deteriorates. Act 1 Scene 5 is a key scene which shows just how close Macbeth and Lady Macbeth were at the beginning of the play ;it shows their original relationship. Macbeth has written a letter to Lady Macbeth telling her of everything and in this letter states â€Å"my dearest partner† which shows that she helped him and they are in it together. . The following speech where Lady Macbeth doubts that he can get to the title of King â€Å"he is too full of the milk of human kindness† shows just how close they were. It establishes the fact that she knew him so well, she knew what he was like and it emphasises the closeness of their relationship. She speaks of how he has enough ambition but not enough courage. His â€Å"overiding ambition† is not enough. When Macbeth and Lady Macbeth speak, they speak to eachother with such closeness and bond ;he calls her his â€Å"dearest chuck†, his â€Å"partner of greatness†. She knows that he is too weak to do anything and states her position in the murder â€Å"leave the rest to me†. In Act 1, Scene 7 shows the force and power that Lady Macbeth has over her husband. Upon hearing of Macbeth’s decision not to kill Duncan, she is outraged and starts to work her force and power upon him. She knows where he is most vulnerable and attacks him at his weak spot. She strikes him at his manhood and courage. This of course works on Macbeth and she knows that it will. No one calls Macbeth a coward. She says that he is a coward and attacks his manliness. â€Å"to be more than what you are, you would be so much more the man†. She challenges his love for her and says that she would rather â€Å"dash the brains out† of her own child than break such a promise as Macbeth has to her. At this point in the play, Shakespeare re-confirms just how close the relationship between Macbeth and Lady Macbeth is and that she has the power and he listens to whatever she has to say. Lady Macbeth is s major influence on Macbeth, but this of course changes later. After the murder, Macbeth is still carrying the daggers and he seems to be quiet and uneasy. Lady Macbeth has to clean up what he has done wrong and has to return the daggers herself. Lady Macbeth is still very much in control. Here, Shakespeare defines both Lady Macbeth and Macbeth’s strong and weak characters. Lady Macbeth being the strong one yet as a duo, he tones them down to be nothing but two whispering, frightened villains. Later on, when Macduff discovers the body of Duncan, Macbeth acts suspiciously and draws attention to himself. It is then that Lady Macbeth has to help him out and draw the attention away from him and to her by fainting. She does this later too, during the banquet scene. Lady Macbeth is always there to take the attention away from Macbeth. However, towards the end of the play, Lady Macbeth, comes across as one who has succumbed to her guilt. She discovers that nothing that she does could rid her off her guilt, by admitting that even the ‘sweet-smelling erfumes of Arabia’ would not be able to remove the stench of blood from her ‘little hand’. She now takes up the role of the weak, submissive partner in the relationship, who is unsure of herself and very frightened of the future. Macbeth, on the other hand, now makes all his decisions by himself, and reaches the extent whereto he does not even bother to inform his wife of his plans. He gains false confidence from the witches second predictions and builds castles in the air. He becomes a tyrant and a man, despised and hated by his public. He becomes ‘insane’ and goes out of control.

Tuesday, October 22, 2019

Trust essays

Trust essays Lack of trust is a reoccurring theme through out the three cases. One might ask, why you need trust in any civil society? Lack of trust in a civil society has the society with no real stability. Trust in authority is lacking in each case. The approval rating for Bill Clinton is high. Does this mean that most Americans trust Bill Cliton? Most polls would tell that trust is a serious issue. So, what is the consequences of Americans not having trust in there president? It cant be to bad because the economy is doing great and the budget and finally balanced. Most Americans are happy so what is the problem? The lack of trust is a direct correlation with weak and/or illegitimate authority. Trust with our president has always been a sensitive issue. Richard Nixion broke that trust with the country and sealed the fate for himself and his party for a short term. No one really understood why Nixon had ordered the break in of the democratic offices in the first place. What made matters worse is Nixion never came out and admitted his mistake even when the evidence was overwhelming. Clintons case has some similarities to it. While he finally did come out and admit what he had done he showed little remorse and accusations still remain about a cover up. The lack of trust in a political position in this country tends to the norm. It is created and redefined every day in Washington with a political figure. This creates an image and a strong stereotype for all political figures. This in turn hurts all of our civil society. Without the trust then how do you have the legitimate authority to lead the country. Most would say that Clintons leadership really is not the question but his judgment is. To me, that is a contradiction and that poor judgment leads to poor leadership. His poor judgment leads to his ethics and morals that he has. People with weak family values will have a hard time tru ...

Monday, October 21, 2019

Child Welfare in Canada

Child Welfare in Canada Child welfare system in Canada has undergone tangible shifts due to the intervention of child welfare programs. Despite the detrimental influence of colonization that had last for a century, the contemporary child welfare system has experienced a significant proliferation of funded and government-regulated social services.Advertising We will write a custom term paper sample on Child Welfare in Canada specifically for you for only $16.05 $11/page Learn More Introducing action plans in urban areas have also been extended to rural districts, including Aboriginal population. Significant improvements have been presented to the professional field of social work. The new professional realm has provided a strong underpinning for shaping the standards that can be used to analyze traditional childcare practices in an Aboriginal family. Despite the recent improvements, child protection policies were not consistent to meet the demand of the Aboriginal communities. Signi ficant changes started with the introduction of the Indian Act, the Act for the Prevention of Cruelty to and Better Protection of Children of 1981, and the Child Welfare Act of 1922. All these documents have contributed significantly to the child welfare in Canada. The history of child welfare in Canada dates back to the nineteenth century. During this period, children workforce was exploited and some of children were even owned by their parents. At the end of nineteenth century, first attempts were introduced to face children abuse and avert the child enslaving practices. At the threshold of the twentieth centuries, first organizations established orphanages and specialized schools for neglected and abandoned children. In 1981, Children’s Aid Society was established that issued the first Child Protection Act two years later in Ontario (Turner, 2005). The Act addressed the Prevention of Cruelty to and Better Protection of Children; it also promoted protection and assistance t o abused children (Turner, 2005). The legal statute at issue was premised on the Children’s Protection Act of 1988 according to which the courts were allowed to place abused and abandoned children in specialized homes.Advertising Looking for term paper on public administration? Let's see if we can help you! Get your first paper with 15% OFF Learn More The courts were also entitled to take responsibility for the neglected children and required the municipal governments to cover costs for children’s housing facilities (Turner, 2005, p. 13). In addition, it also introduced regulations ensuring proper training and education. The expansion of childcare services in Canadian provinces has a potent impact on further development of child protection laws. Shifts in child welfare were largely influenced by the changing perception toward children’s engagement in labor market. In particular, the existing regulations encouraged formal education and enh anced the importance of receiving degree in various subjects. More importantly, child care professionals were extremely concerned with family environment in which a child was placed to highlight possible psychological and social problems influencing children’s normal development. In 1960s, the Canada Assistance Plan was implemented to protect low-income families and neglected children (Cleveland Krashinsky, 2001). Such a policy was handed over to the current federal government, but no essential reforms were introduced due the significant expenditure they required. As a result, there is a growing concern with the negative consequence of the government’s passive participation for child development (Cleveland Krashinsky, 2001). In 1990s, Canadian child welfare protection was poorly recognized due to fragmentation, inconsistence, and inadequacy of the introduced regulations (Cleveland Krashinsky, 2001). Such a situation took place despite the introduction of Child and F amily Services Act in 1990 that undermined the existing inequalities in treating children. The main purpose of this act was to â€Å"promote the best interest, protection and well being of children† (Child and Family Services Act, 1990). Introduction of the legal statute have provided slight improvements in the sphere of child protection. Nevertheless, there existed tangible gaps in governmental policies.Advertising We will write a custom term paper sample on Child Welfare in Canada specifically for you for only $16.05 $11/page Learn More The welfare of children in Canada is strongly associated with problems in the Aboriginal community. Under these circumstances, particular attention deserves the changes made to the Indian Act, as well as how these amendments have improved the welfare of Indian children. So far, the experiences of Indian children were predominantly negative, which creates a controversial case. On the one hand, the white population fa ced sufficient professional support on the part of childcare agencies. On the other hand, child welfare centers in provinces failed to deliver adequate and coherent services for off-reserve Aboriginal children. The first attempt to protect the representatives of the First Nation had been made with the introduction of the British North American Act of 1867 according to which â€Å"the provincial child welfare authorities took the view that they had not jurisdiction over on-reserve First Nations children, the delivery of child welfare services being a matter within the jurisdiction of the federal government† (Harris-Short, 2012). The emergence inconsistencies were alleviated as soon as the Indian Act was corrected in 1951. This is of particular concern to the Section 88 that ran, †¦all laws of general application from time to time in force in any province are applicable to and in respect of Indians in the province, except to the extent that such laws are inconsistent with this Act (Indian Act, 1951, as cited in Harris-Short, 2012, p. 44). The amendment has created the legislative foundation for extending provincial child welfare in the Aboriginal communities. Despite the changes, the provincial government is still reluctant to take responsibility unless sufficient funding is provided. The initiatives, statutes, and policies introduced in the twentieth century have had an enormous impact on the current state of child welfare in Canada. Increased awareness of the dynamics of emotional, sexual, and physical child neglect and abuse has triggered changes to the legal system (Harris-Short, 2012). This is of particular concern to the development of an extensive network of social agencies, which is an obligatory requirement for professionals working in most child protection jurisdictions. The global recognition of child welfare issues has also led to the improvements that have made societies develop programs and services for children (Harris-Short, 2012).Adv ertising Looking for term paper on public administration? Let's see if we can help you! Get your first paper with 15% OFF Learn More Despite the fact that the need for child protection agencies exists, general understanding of the problem in child welfare field has greatly increased. As a result, the Canadian community creates opportunity for developing meaningful employment, adequate education, and good child assistance for working parents. In conclusion, child welfare in Canada involves a rich history of policy development. In the late nineteenth century, the problem came to the forth as soon as the child negligence and abuse was recognized. Numerous acts and statutes were introduced to treat the problem properly. Further amendments touched on both the Aboriginal community and white population of Canada to define what the federal government should do to improve the situation. In this respect, such acts the Indian Act, the British North America Act, Child Protection Act, and the Child and Family Services Act have led to significant proliferation of the rights of children in the Canadian community. References Chi ld and Family Services Act (1990). Established on the Office of the Legislative Counsel. Retrieved from https://www.ontario.ca/laws/statute/90c11 Cleveland, G., Krashinsky, M. (2001). Our Children’s Future: Child Care Policy in Canada. Canada: University of Toronto Press. Harris-Short, S. (2012). Aboriginal Child Welfare, Self-Government and the Rights of Indigenous Children: Protecting the Vulnerable Under the International Law. US: Ashgate Publishing. Turner, F. J. (2005). Encyclopedia of Canadian Social Work. Canada: Wilfrid Laurier University Press.

Sunday, October 20, 2019

Giraffe Facts

Giraffe Facts Giraffes (Giraffa camelopardalis) are quadrupeds, four-legged hooved mammals who roam the savannas and woodlands of Africa. Their long necks, richly patterned coats, and stubby ossicones on their heads make them the most easily recognizable of all the animals on earth.   Fast Facts: Giraffe Scientific Name: Giraffa camelopardalisCommon Name(s): Nubian giraffe, reticulated giraffe, Angolan giraffe, Kordofan giraffe, Masai giraffe, South African giraffe, West African giraffe, Rhodesian giraffe, and Rothschilds giraffeBasic Animal Group: MammalSize: 16–20 feetWeight: 1,600–3,000 poundsLifespan: 20–30 yearsDiet: HerbivoreHabitat: Woodland and savanna AfricaPopulation: UnknownConservation Status: Vulnerable Description Technically, giraffes are classified as artiodactyls, or even-toed ungulates- which puts them in the same mammalian family as whales, pigs, deer, and cows, all of which evolved from a last common ancestor that probably lived sometime during the Eocene epoch, about 50 million years ago. Like most artiodactyls, giraffes are sexually dimorphic- that is, males are significantly bigger than females, and the ossicones atop their heads have a slightly different appearance. When fully grown, male giraffes can attain a height of almost 20 feet- most of that, of course, taken up by this mammals elongated neck- and weigh between 2,400 and 3,000 pounds. Females weigh between 1,600 and 2,600 pounds and stand about 16 feet tall. That makes the giraffe the tallest living animal on earth. On the top of a giraffes head are ossicones, unique structures that are neither horns nor ornamental bumps; rather, theyre hardened bits of cartilage covered by skin and anchored firmly to the animals skull. Its unclear what the purpose of ossicones are; they may help males to intimidate one another during mating season, they may be a sexually selected characteristic (that is, males with more impressive ossicones may be more attractive to females), or they may even help to dissipate heat in the blazing African sun.     Anton Petrus / Getty Images Species and Subspecies Traditionally, all giraffes belong to the same genus and species, Giraffa camelopardalis. Naturalists have recognized nine separate subspecies: the Nubian giraffe, the reticulated giraffe, the Angolan giraffe, the Kordofan giraffe, the Masai giraffe, the South African giraffe, the West African giraffe, the Rhodesian giraffe, and Rothschilds giraffe. Most zoo giraffes are either the reticulated or Rothschild variety, which are roughly comparable in size but can be distinguished by the patterns of their coats. German ecologist Axel Janke has argued that multi-local DNA analysis of giraffe genetic structure shows that there are actually four separate giraffe species: Northern giraffe (G. cameloparalis, and including Nubian and Rothschilds, with Korofan and West African as subspecies),Reticulated giraffe (G. reticulata),Masai giraffe (G. tippelskirchi, now known as Rhodesian or Thornicrofts giraffe), andSouthern giraffe (G. giraffa, with two subspecies the Angolan and South African giraffes). These suggestions are not accepted by all scholars. Habitat Giraffes range in the wild throughout Africa, but are most often found are in combined savannas and woodlands. They are social creatures who mostly live in one of two types of herds: adult females and their offspring, and bachelor herds. There are also isolates, male bulls who live alone. The most common herd is made up of adult females and their calves, and a few males- these are typically between 10 and 20 individuals, although some can grow as large as 50. Typically, such herds are egalitarian, with no clear leaders or pecking order. Studies show that giraffe cows stay with the same group at least as long as six years. Young bachelor males who are old enough to fend for themselves form temporary herds of between 10 and 20, essentially training camps in which they play and challenge each other before leaving the group to become isolates. They practice what adult males do during mating season, for instance: male giraffes will engage in necking, in which two combatants jostle one another and attempt to land blows with their ossicones. Yann Arthus-Bertrand / Getty Images Diet and Behavior Giraffes subsist on a variable vegetarian diet that includes leaves, stems, flowers, and fruits. Like camels, they dont need to drink on a daily basis. They have a diverse diet which can include as much as 93 different species of plants; but typically, only about a half dozen of those plants make up 75 percent of their summer diets. The main plant varies between members of the Acacia tree; giraffes are the only predator for acacia trees over 10 feet tall.  Ã‚   Giraffes are ruminants, mammals equipped with specialized stomachs that pre-digest their food; theyre constantly chewing their cud, a mass of semi-digested food ejected from their stomach and in need of further breakdown. Herds forage together. Each adult giraffe weighs about 1,700 pounds and needs as much as 75 pounds of plants each day. Herds have a home range that averages about 100 square miles, and the herds intersect, sharing one anothers ranges without a social issue.   Pal Teravagimov Photography/Getty Images Reproduction and Offspring Granted, very few animals (other than humans) tend to linger in the act of mating, but at least giraffes have a good reason to rush. During copulation, male giraffes stand almost straight up on their hind legs, resting their front legs along the females flanks, an awkward posture that would be unsustainable for more than a few minutes. Interestingly, giraffe sex can provide clues about how dinosaurs like Apatosaurus and Diplodocus had sex- doubtless equally quickly, and with roughly the same posture. The gestation period for giraffes is approximately 15 months. At birth, calves are about five and a half feet tall, and at about one-year-old, they are 10.5 feet tall. Giraffes are weaned at 15–18 months, although some suckle up to 22 months of age. Sexual maturation occurs about 5 years of age, and females generally have their first calves at 5–6 years.   brytta/Getty Images Threats Once a giraffe has reached its adult size, its extremely unusual for it to be attacked, much less killed, by lions or hyenas; instead, these predators will target juvenile, sick, or aged individuals. However, an insufficiently wary giraffe can easily be ambushed at a water hole, since it has to adopt an ungainly posture when taking a drink. Nile crocodiles have been known to chomp on the necks of full-grown giraffes, drag them into the water, and feast at leisure on their copious carcasses. BirdImages  / Getty Images Conservation Status Giraffes are classed as vulnerable by the International Union for Conservation of Nature (IUCN), because of ongoing habitat loss (deforestation, land use conversion, expansion of agriculture and human population growth), civil unrest (ethnic violence, rebel militias, paramilitary and military operations), illegal hunting (poaching), and ecological changes (climate change, mining activity).   In some countries in southern Africa, hunting giraffes is legal, especially where populations are increasing. In other countries, such as Tanzania, poaching is associated with declines.   Sources Bercovitch, Fred B., et al. How Many Species of Giraffe Are There? Current Biology 27.4 (2017): R136–R37. Print.Carter, Kerryn D., et al. Social Networks, Long-Term Associations and Age-Related Sociability of Wild Giraffes. Animal Behaviour 86.5 (2013): 901–10. Print.Dagg, Anne Innis. Giraffe: Biology, Behaviour, and Conservation. Cambridge: Cambridge University Press, 2014.Deacon, Francois, and Nico Smit. Spatial Ecology and Habitat Use of Giraffe (Giraffa Camelopardalis) in South Africa. Basic and Applied Ecology 21 (2017): 55–65. Print.Fennessy, Julian, et al. Multi-Locus Analyses Reveal Four Giraffe Species Instead of One. Current Biology 26.18 (2016): 2543–49. Print.Lee, D. E., and M. K. L. Strauss. Giraffe Demography and Population Ecology. Reference Module in Earth Systems and Environmental Sciences. Elsevier, 2016. Print.Muller, Z. et al. Giraffa camelopardalis (amended version of 2016 assessment). The IUCN Red List of Threatened Species 2018: e.T9 194A136266699, 2018. Shorrocks, Bryan. The Giraffe: Biology, Ecology, Evolution and Behavior. Oxford: John Wiley and Sons, 2016.

Saturday, October 19, 2019

What managing leading, coaching, and motivating styles do managers Essay

What managing leading, coaching, and motivating styles do managers adopt in organisation A - Essay Example Money that is, in many instance, the life savings of clients are entrusted to the care of the banks. Banks are governed by rules to reinforce confidence that their clients’ money is protected. Banks are mandated by the government to follow these rules and transgressions are dealt with stiff penalties, including forfeiture to conduct business in extreme cases. The rules are most of the time the source of conflict between customers and the bank. These frictions, if allowed to escalate, lead to the diminished trust and confidence of the clients for the bank and when it continues to be unresolved, it will result to the withdrawal of the clients’ business from the bank. It is thus the responsibility of the bank’s customer frontlines or customer representatives to maintain, manage, and care for the bank’s clients that will strengthen and restore its trust and confidence for the bank. A customer that has the full faith and confidence for its bank is a satisfied customer who is willing to increase the volume of business and transactions for the benefit of the bank. An increase in transaction and business translates to an increase in its profitability and viability. Management in context of this paper is the provisioning of the necessary resources and giving decisions so that employees can do their job properly. The objective is to be able to convert business requirements into tangible results (Tannenbaum & Schmidt, 1958). Management style is the manner in which resources are provided and decisions are delivered to the employees to implement. This would include Managers who: makes decision and announces it; sells decision or convinces subordinate that it is the right decision; presents ideas and invite question; present tentative decision; presents problems, solicit suggestion then make decision; defines limits and ask group to make decision; permits subordinates to function within limits (Tannenbaum & Schmidt, 1958). Leadership

Technical Manual Covering the Construction of a PC System Essay

Technical Manual Covering the Construction of a PC System - Essay Example 1. Open up the case by undoing the screws and removing the side panels. 2. Insert the Power Supply Unit (PSU) taking care to line up cooling fan with case vent. Attach firmly with supplied screws and ensure the three-pin AC power cable is free and ready to be attached to the motherboard. 3. Carefully take out the motherboard from its antistatic bag and match up the holes in the board to the holes on the case. Then add the plastic stand-offs (supplied) to those holes. At this time, also make sure that the rear of the motherboard matches the bracket at rear of case. If not, remove case bracket and replace with compatible bracket which will have been supplied by motherboard manufacturer. Before fixing the motherboard to the case, it is easier to attach the CPU and fan assembly to the motherboard first. 4. Installing the CPU and heatsink/fan: a. On the motherboard, raise the CPU (processor) retaining latch. b. Remove CPU from antistatic bag by its edges, place into processor socket and push retaining latch back into position. c. Add some heatsink compound (don’t skimp on the quality of this seemingly unimportant item. Buy the best) to the heat spreader on top of the chip. Some instructions suggest ‘mounding’ compound in the centre of the heatsink. Follow whatever particular instructions come with your processor. The heatsink/fan assembly will sit on top of this. d. Because we are adding a regular Intel heatsink/fan unit, we need to align four pegs on the corners of the heatsink/fan assembly with holes in the motherboard.

Friday, October 18, 2019

Annotated Bib Bibliography Example | Topics and Well Written Essays - 250 words

Bib - Annotated Bibliography Example Study asserted that the impact of violence affected human resources, their employment, and their economic activities, thus, resulting to losses in the gross domestic products (GDP). Power fixes the outcome of political decisions. The theory of political movements illustrated that those who are able to wield power imposes to opponent the strategy that must be adopted. As such, the underpowered is compelled to comply terms or be punished. Dobbs argued that Cuban missile crisis is a case of presidential power and security management. He argued that the issue is better understood within the context of the limits of presidential power and of crisis management. Since this involved nations, it is personality-based politics is significant for negotiations. 8. Blight, J. (2004).The Cuban Missile Crisis: Considering its Place in Cold War History. Choices for the 21st Century Education Program. Watson Institute for International Studies. Brown University. pp 1-55. The world was almost unleashing nuclear war amid Cuban Missile Crisis in October 1962. The United States under former president John F. Kennedy discovered the weapons by the use of U-2 spy planes which created tensions between Americans, Cubans and Soviets. The document proposed recommended readings for academic studies. Good for

Nutrition Recommendation of a Caregiver to the Patient Assignment

Nutrition Recommendation of a Caregiver to the Patient - Assignment Example The assignment "Nutrition Recommendation of a Caregiver to the Patient" presents the overview of the responsibilities of a caregiver and how he can provide total attention to the patient. There should be a friendly rapport between the two parties, the patient and the caregiver for the best results towards nutrition process from the patient. The caregiver should dictate the feeding program. Legume foods, fish or poultry, are also good for the patient, and, therefore, the caregiver has to include in the nutrition schedule. Fruits should come either before or after every meal under ordinary circumstances. Above it all, the caregiver should provide enough water for every meal because water is obviously a solvent to every ingested food. The patient to have a recommendation of five or more cups of water from the caregiver to maximize digestion. In boosting appetite for food, the caregiver should introduce the patient to the multivitamin injections or drugs canceling. These drugs give the patient a self-drive towards meals. It is necessary for the caregiver to involve the patient in a daily less strenuous exercise to enhance digestion and also vitamin D synthesis. Let the patient’s weight records be taken progressively through the nutritional period to gauge the health standards of the patient. The caregiver should also encourage the patient to get involved in reading journals to avoid stress. Let the patient consider her health status. The entire family has to be informed about the necessity of frequent medical consultation.

Thursday, October 17, 2019

Comparative Research Paper of Atman and Anatta Example | Topics and Well Written Essays - 750 words

Comparative of Atman and Anatta - Research Paper Example The term atman is explained in the Upanishads, a collection of philosophical writings written in the period 800-600 BC which provide the underpinning of many Hindu beliefs. Kupperman explains the concept of atman as â€Å"our intuitive sense of an unchanging ‘me’ throughout life †¦ a core of self that has no individual nature of elements that grow and change †¦ a core that underlies (and is separate from) personality, thought patterns, bodily form and so forth† (11). This self is also part of something bigger: â€Å"The Upanishads teach that self and cosmos are one, repeatedly stating that one’s atman is inseparable from all that there is.†(Hamilton, 28). This is a complex theory which tries to understand the inner nature of all beings and things in the universe, and postulates that the universe is â€Å"a field of inner realities that are all at bottom the same†¦ in somewhat the way that a drop of water is the ocean of which it is a part.† (Kupperman, 11). Another way of describing this is the concept of Brahman. This early Hindu way of thinking has implications for the way that people understand themselves and their goals in life: â€Å"Thus, the highest good is self-recognition, not as one’s individual self, but as the larger all-encompassing self that is atman. Atman is not distinctively individual. Atman is immortal and impersonal.† (Solomon, 87). Both human beings and the myriad of Hindu gods and goddesses share in this mixture of specifically personal qualities, which are changeable, and this core selfhood, which is divine and permanent. The related concept of anatta is the Pali language version of the Sanskrit anatman, and it means not-self, or not-soul. It originates in the teachings of Buddha who lived in Northern regions of the Indian subcontinent in the region now known as Nepal. Anatta is one of the key concepts which distinguishes Buddhist thinking from the older Hindu tradition. In some ways it also

Technology and Human Resources Essay Example | Topics and Well Written Essays - 250 words

Technology and Human Resources - Essay Example These laws clearly stipulate that the applicant’s proposal to be included among those being evaluated for placement as front desk position be justly considered without focusing on age or disability; but on similar requirements and qualifications (educational background, skills, work experiences, etc.) noted for the identified position. In no way should be employer disregard the applicant’s intention to apply due to neither age nor disability. Likewise, if the position expressly require escorting visitors to identified departments within the hospital setting, the reasonable accommodation clause addresses any challenging concerns by making sure that despite being confined in a wheelchair, the applicant could, in fact, escort visitors since the hospital has been designed to ensure that â€Å"existing facilities used by employees (are) readily accessible to and usable by individuals with disabilities† (U.S. EEOC, n.d., p. 1). Therefore, the applicant’s application should be handled based on qualifications deemed essential in undertaking â€Å"the essential functions of the employment position that such individual holds or desires† (U.S. EEOC, n.d., p. 1) without disregarding the application due to age nor

Wednesday, October 16, 2019

Comparative Research Paper of Atman and Anatta Example | Topics and Well Written Essays - 750 words

Comparative of Atman and Anatta - Research Paper Example The term atman is explained in the Upanishads, a collection of philosophical writings written in the period 800-600 BC which provide the underpinning of many Hindu beliefs. Kupperman explains the concept of atman as â€Å"our intuitive sense of an unchanging ‘me’ throughout life †¦ a core of self that has no individual nature of elements that grow and change †¦ a core that underlies (and is separate from) personality, thought patterns, bodily form and so forth† (11). This self is also part of something bigger: â€Å"The Upanishads teach that self and cosmos are one, repeatedly stating that one’s atman is inseparable from all that there is.†(Hamilton, 28). This is a complex theory which tries to understand the inner nature of all beings and things in the universe, and postulates that the universe is â€Å"a field of inner realities that are all at bottom the same†¦ in somewhat the way that a drop of water is the ocean of which it is a part.† (Kupperman, 11). Another way of describing this is the concept of Brahman. This early Hindu way of thinking has implications for the way that people understand themselves and their goals in life: â€Å"Thus, the highest good is self-recognition, not as one’s individual self, but as the larger all-encompassing self that is atman. Atman is not distinctively individual. Atman is immortal and impersonal.† (Solomon, 87). Both human beings and the myriad of Hindu gods and goddesses share in this mixture of specifically personal qualities, which are changeable, and this core selfhood, which is divine and permanent. The related concept of anatta is the Pali language version of the Sanskrit anatman, and it means not-self, or not-soul. It originates in the teachings of Buddha who lived in Northern regions of the Indian subcontinent in the region now known as Nepal. Anatta is one of the key concepts which distinguishes Buddhist thinking from the older Hindu tradition. In some ways it also

Tuesday, October 15, 2019

Me, My Country and IR Essay Example | Topics and Well Written Essays - 1000 words

Me, My Country and IR - Essay Example According to the Morales (2), the conflict between the United States of America and Cuba has been there for a very long time. However, the conflict reached its peak when Cuba’s dictators took over power in 1959. The regime repressed political opponents, restricted fundamental freedoms, and violated human rights. The ensuing conflict made my grandfather to migrate from Cuba to the United States with several other disgruntled Cubans. De La Torre (34) found out that the Cuban-Americans are the third dominant Hispanic group in the U.S. certain areas have large populations of immigrant Cubans. Based on the 2010 census, there were 1,785,540 Cuban-Americans (both native and foreign born). South Florida alone has over 856,000 Cuban-Americans due to its proximity to Cuba (De La Torre, 45). The region stands out as the largest Cuban-American community. Furthermore, in 2013, a report by the American Community Survey found out that the number of Cuban-Americans has increased to 2,013,150 (Kami, 187-188). My grandfather migrated in the United States in the 19th century both as a labor immigrant as well as due to the authoritarian Cuban regime. Most of the immigrants considered the U.S. as a favored destination. Upon arrival, he told me he experienced various problems including inability to find stable work and language barrier which forced him to take English language classes. I have read in various articles that these problems are still experienced by immigrants. In 1960, the U.S. imposed an embargo on Cuba and later broke diplomatic relations with the nation in 1961. The dispute was as a result of the expropriation of American properties by the Cuban government combined with its decision to adopt a one-party communist way of governance. The U.S. blockaded Cuba in the process. Today, Cuba is the only blockaded nation globally. However, there is still debate on the U.S.

Monday, October 14, 2019

The Rights of Animals Essay Example for Free

The Rights of Animals Essay When we say that all human beings, referring to both men and women, whatever their race or sex may be are created equal, what is it that we are actually proclaiming? Peter Singer, writer of â€Å"All Animals are Equal† aims to advocate to us as readers to make the mental switch in respect to our attitudes toward a species other than our own. And by this I am referring to animals. R.G Frey takes on a very different position that he expresses in â€Å"Moral Standing, the Value of Lives, and Specieism. † Although there is nothing in his work that has ever suggested that animals don’t count, he disagrees with Singer, in a way, because he does not believe that animals possess moral standing. But first, I would like to discuss Singer’s essay merely due to the fact that there may be a case for a new liberation movement. Singer â€Å"urges that we extend to other species the basic principle of equality that most of us recognize should be extended to all members of our own species (pg. 171).† Many may note or make the connection that the idea of â€Å"the rights of animals† is somewhat of a parody to the case for women’s rights. But some may argue that the case for equality between men and women cannot validly be extended to non-human animals because, for an example, and realistically speaking, women now have the right to vote because they are just as capable of making that decision like men are, whereas animals on the other hand are incapable of understanding the significance of voting so they cannot have that right. Which then brings me back to, what exactly are we declaring when we say all human beings are equal? Because as we know it, we must face the fact that humans come in different shapes and sizes. We each have different moral capacities, different intellectual abilities, different amounts of feeling and sensitivity to others, different abilities to communicate, and different capacities to experience pleasure and pain- all of which are examples Singer discusses. And as a result, if the demand for equality were merely based on the actual equality of human beings, we would have to stop demanding it. â€Å"It would be an unjustifiable demand. (pg. 173)† states Singer. It is unjustifiable to discriminate on the basis of age, sex, or gender because neither of those are a guide to a person’s ability. Singer proposes another important reason as to why we ought not to base our opposition on any kind of factual equality because, â€Å"we can have no guarantee that these abilities an d capacities really are distributed evenly, without regard to race or sex, among human beings (pg. 173).† The most important thing we must consider is that equality is a moral ideal, not a simple assertion of fact. â€Å"The principle of the equality of human beings is not a description of an alleged actual equality among humans: it is a prescription of how we should treat animals (pg. 174).† I strongly agree with Singer here; animals have the capacity to experience pain and suffering just as humans do. Therefore the interests of every being that is being affected by an action should be taken into account and given the same weight as the interests of any other beings, such as animals. At this point, Singer expresses animal testing as what should be a major concern in our society. Singer states that it is simple discrimination. He uses an orphaned human infant for comparison, by suggesting that if the experimenter is not prepared to use this human over his readiness to use a nonhuman being, it is simply a form of discrimination. As far as we can tell, an animal is just as sensitive to pain and any human infant. â€Å"Experimenting on animals, and eating their flesh, are perhaps the two major forms of specieism in our society (pg. 176).† Animals have emotions and desires that allow them to live a good life whether we think so or not. And to that respect, the distinction between humans and animals will be a continuum in which we will move gradually. Frey, on the other hand, has a very different standing on this issue compared to Singer. Frey focuses his essay on the comparative value of human and animal life, taking the notion of autonomy to be central to this issue since autonomy is the source of a huge part of the value of one’s life. ‘Thus, I [Singer] am a restricted vivisectionist, not because I think animals are outside the moral community but because of views I hold about the value of their lives (pg. 193).† The three propositions Frey mentions in his essay are that animal life has some value, not all animal life has the same value, and lastly, human life is more valuable than animal life. Frey calls this claim of the comparative value between human and animal life the unequal value thesis. The unequal value thesis expresses why the value of humans is of more importance than the value of animals. What is missing is the potentiality for enrichment, because lives of less richness have less value. Autonomy plays a vast part of the human case, because by exercising our autonomy one can mold their life to fit the conception our society portrays of what is perceived to be living â€Å"the good life.† â€Å"Thus, by exercising our autonomy and trying to live out some conception of how we want to live, we make possible further, important dimensions of value to our lives (pg. 196).† Although Frey does mention that not all members of the moral community have lives of equal value. In fact, some human lives fall drastically below the quality of normal human life, which would conclude that in some cases a perfectly healthy animal can have a higher quality of life than that of some human, such as ones with mental disabilities for example. But Frey addresses to his readers that the way in which we defend this thesis is a vitally important affair. To discuss the issue of using animals in scientific research as Singer did, he remains a vivisectionist because of the benefits medical and scientific research can present. And it is the unequal value thesis that justifies the use of animals in medical and scientific research. Frey believes that the unequal value thesis is in fact defensible. In conclusion, Frey stresses again that the argument of his essay is not to present animals of having no value, but rather about whether they have lives of equal value to normal human life. Overall, both writers express that animals for in fact have some value to their lives, whether we believe it to be of equal value to humans or of less value is based purely on our moral principles. Works Cited: Lafollette, Hugh, ed. Ethics in Practice. Malden: Blackwell Publishing, 2007. Print Frey, R.G. â€Å"Moral Standing, the Value of Lives, and Speciesism.† Lafollette 192-204. Singer, Peter. â€Å"All Animals Are Equal.† Lafollette 171-180.

Sunday, October 13, 2019

the spanish american war :: essays research papers

  Ã‚  Ã‚  Ã‚  Ã‚  The Spanish-American war was the first and biggest step that the United States of America took toward imperialism. It was the war that secured the US as the most powerful country in the world. This war was a benefit to the USA because we gained land, gained respect, and taught a lesson to one of our enemies. In addition to this, the losses that we suffered were almost nothing compared to other conflicts or wars. The Spanish-American war was by no means for the sole purpose of gaining land and respect, the United States freed an oppressed country and took pieces of land that were better off under US control. In the late 1800’s and early 1900’s, Imperialism was a popular trend among the large, powerful countries. Imperialism is defined as â€Å"The policy of extending a nation's authority by territorial acquisition or by the establishment of economic and political hegemony over other nations† Imperialism cannot be said as either good or bad, but as a general rule; If you live in an annexed country, imperialism is not good, if your country annexes smaller ones to gain profit, land, and respect, then imperialism is good. The United States was not much of an imperialistic country until we won the Spanish-American war. As a result of this war, we annexed Guam, The Philippines, and Puerto Rico. This is the point at which the US becomes and imperialistic nation, and though it was a hard struggle to keep these annexed countries under control and eventually gave them all back to their rightful owners. The importance of taking these countries is that we then could have coal st ations around the world to fuel our navy, and we got respect from other countries around the war. This respect and intimidation helped the allied powers defeat the central powers during World War II. Ever since the US became the most powerful nation after the Spanish-American war, we have retained the title. One reason why the Spanish-American war was good for the US is the relatively small losses we had. 332 Americans were killed and 1642 were injured, and 2957 died from disease. These numbers amount to a total of 3289 soldiers killed because of the Spanish-American war (McSherry). This seems like many casualties, but if one compares it to any other war, it is almost nothing, considering there were 15 million battlefield deaths in the Second World War (Ash 71).

Saturday, October 12, 2019

Movie Piracy Essay -- essays research papers fc

The subject of my paper focuses on movie piracy. Movie Piracy by definition is the illegal copying of movies for personal or commercial use. This is a new epidemic that is affecting the film industry financially on a global level. What are the necessary steps that can be taken on behalf of the film industry that can stop this illegal practice from occurring? Once you walk down the city streets of New York, you can easily find vendors selling their bootleg DVD copies of new released movies for half the price of a movie ticket. At the moment the quality of the movies aren’t at its best, but with the technological advancements, the quality of these bootleg DVD’s are getting better, which means that movie piracy is actually on the rise. This continues to worry both film studios and copyright activist. Movie companies are the ones suffering the most from this illegal practice. While they continue to produce $100 million movies, their profits continue to fall, when people de cide to either pick up a burned copy or download the movie off some illegal Internet site. This essay takes a look at the different forms of movie piracy and what different organizations, such as the MPAA (Motion Picture Association of America) and its international counterpart, MPA (Motion Picture Association), are doing to combat this illegal practice. There are many different forms of piracy and can all affect the movie industry in various ways. The most common type is known as â€Å"Optical Disc Piracy,† which is a major threat to the movie industry. â€Å"Pirate optical discs, which include Laser Discs (LD), Video Compact Discs (VCD) and Digital Versatile Discs (DVD), are inexpensive to manufacture and easy to distribute. In 2000, over 20 million pirate optical discs were seized, and by comparison, 4.5 million videos were seized worldwide in the same period† (Anti-Piracy). Most of this bootleg movies are made through the common practice of recording the movie with a hand held camcorder in the theatres and then being copied or burned onto a VHS or DVD. Illegal copies of certain box office movies are also made from legitimate advance copies of these movies, which are used for screening and marketing purposes. For that reason, one cannot be mistaken into thinking that people in the streets commit most of the pira cy. There was investigation done by AT&T and the Univers... ...ey can also use technology to their advantage. Just the way a rented DVD has a device that prevents a person from recording the movie on to another DVD or VHS, their movies should contain the same device. Although movie piracy is a lucrative business, each small step that the film industry takes, is a small step in preventing movie piracy from occurring. Bibliography 1. "Anti-Piracy." Anti-Piracy. Motion Picture Association of America. 29 Mar. 2005 . 2. Hansell, Saul. "A Supreme Court Showdown." Technology. 28 March 2005. New York Times. 29 March 2005 . 3. Knight, Will. "Insiders Blamed For Most Online Movie Piracy." New Scientist.com. 15 Sep. 2003. New Scientist. 30 Mar. 2005 . 4. Liddle, Craig. "Movie Piracy On The Rise." Electricnews.net. 12 July 2004. ENN. 29 Mar. 2005 . 5. "Movie Piracy." The Cheating Culture. The Cheating Culture. 29 Mar. 2005 . 6. Pruitt, Scarlet. "MPAA: Movie Piracy Is the New Plague." 09 July 2004. PC World. 29 Mar. 2005 .

Friday, October 11, 2019

Cultivation Theory Essay

Cultivation theory was created by George Gerbner, founder of the cultural environment movement and dean of communications at the University of Pennsylvania. Cultivation theory deals with the content of television and how it affects and shapes society for television viewers. The theory suggests that the violence embedded in television causes regular viewers to form exaggerated beliefs of society as a meaner and scary world. This is known as mean world syndrome. Although less than one percent of the population are victims of violent crimes in any one year period, heavy exposure to violent crimes through television can lead to the belief that no one can be trusted in what appears to be a violent world. Television sets are slowly replacing schools and churches as the main storyteller for families. People are watching television religiously instead of going to church. It is more common to stay at home on Sundays and watch football or the newest reality show out. It’s the wenty-four seven real life drama that television offers that attracts people to become a regular TV viewer. In their devotion to watching television on a regular basis they are exposed to the violence that is embedded in most shows on the air. Gerbner provides his three-prong plug, which is his framework for understanding why more television consumption leads to a misled perception of a risky world filled with crime. The first prong for the plug represents the concern for why media chooses the messages they deliver. Violence is a stable message delivered by the media, because it is cheap and easy to sell globally. This is mainly because violence is a universal language that is understood by everyone. The second prong represents the concern for figuring out the exact messages that television delivers. In order to do so Gerbner uses what he calls, Message System Analysis, which ultimately supplies a numerical value for what for what messages television contains. The scope of what is considered a violent message consist of any show that portrays overt expression of physical force compelling action against ones will on pain of being hurt and killed, or threatened to be victimized as part of the plot. According to Gerbner’s studies before the average TV viewer graduates from high school they will have observed thirteen thousand traumatic deaths on television. The Third and final prong represents the concern for analyzing how television content affects viewers in particular, your typical couch potato who watches television all day. Television cultivates and shapes realities towards viewers; the more a person ingests messages of violence portrayed in television the more likely they are to view the real world as a mean and scary place. Personally I do not watch television with the exception of sports, but even then you can’t avoid seeing violent acts whether it’s in a commercial for a movie or video game violence has become prominent in our society. Cultivation theory is something that affects everyone one way or another; if you personally are not affected by it chances are you know someone who is. It was something that was very obvious to me even at a young age. I grew up going to school in Windsor but living in Hartford. I noticed the mean world effect at a young age because most of my friends from school weren’t allowed to come over my house because I lived in Hartford. Back then it wasn’t as clear to me as it is now, but even to this day it still happens. Not that my friends can’t Come over but they would rather I go to where they live instead. So even today I see the effect mean world syndrome can have on people. This day in age media is something everyone is familiar with from old to young. With technology advancing at the rate it is media will have more and ore influence on our every day lives. Growing up in a generation of constant advancements in technology I have witnessed first hand how the media has used technology it to its advantage. From being able to watch live news on your phone, to getting updates from an app media is at our disposal and very easy to access. In the next ten years, media will only get bigger and bigger because it is a non-stop, twenty-four hours a day business market. It will continue to change with the advancements in technology and expand with new way to broadcasts itself.

Thursday, October 10, 2019

American intervention in and post WWII Essay

Every society, religion and ethnicity always has within it capability for extreme violence. This is often manifested in the culture to consider other fractions of the society as inferior and go ahead with acts to exterminate or kill them.   This scenario is accelerated to greater heights when the faction considered remain silent even when their rights are violated. Benito Mussolini, the II Duce, was an avid writer and later became a journalist with the Milan socialist paper ‘Avanti’ He was famous amongst the supporters of a socialist idea and then began promoting his views on the support of war against Germany in World War I. After joining politics for sometime,  Ã‚   Mussolini went back to journalism as a career on which he spearheaded and promoted his ideas against Germany. This led to the birth of fascist party on March 23rd 1919 immediately after the end of World War I. The destruction and loss of lives led to the popularity of the National Fascist Party since many were disenchanted the leadership following the after effects of the war. Mussolini stood on time and seemed to offer solutions to the Italy’s ailing economy and bring back the lost glory after the World War I. The Roman Salute and the Black Shirt Militia which were later copied by Hitler were his creation. He was elected to the Italian Chamber of Deputies on March 15th, 1921. This provided more confidence and boost to his political ambitions. Several factors worked on Mussolini‘s favor in his rise to power. In August 1922, the ruling Leftist Party called for a nationwide strike. Mussolini saw this as an act that would destabilize the state and ordered the leftists to call off the strike or his Fascist Party would. King Vittorio Emmanuelle III saw the capability of Mussolini in handling the affairs of the nation and invited him to travel to Rome and form the government. Mussolini did not accept the invitation and instead insisted on a telegraph and soon it was wired. The desire by France to take control of mineral rich Ruhr Valley saw it take sides with Italy on the Conference of Ambassadors and this bolstered Italy’s position since most of its endorsements were accepted.   The government of Greek had nothing else to do and sensing defeat gave in to Italy’s demands thereby adding more confidence to Mussolini. The thirst for more power and expansionist ideas led Mussolini to annex the city of Fiume from Yugoslavia, a successful operation that earned him a British Knight of the Bath. He was unsatisfied with the treatment Italy was accorded for giving the necessary assistance in defeating the Germans in the World War I. His thirst for power never ended and he dreamt of the day the Mediterranean Sea would be under his control. Italy then invaded Ethiopia under Mussolini‘s commands as a revenge against their shameful defeat at the battle of Adwa in 1896. Such expansionist ideas led to Italy’s blacklisting by the League of Nations and as such forged a new close relationship with the Nazi Germany that harbored the same ideas. The League of Nations lacked the political mandate to reign on rogue nations such as Italy and Germany and Mussolini realizing this, continued with his expansionist ideas .Mussolini invaded Albania in 1939 and fully strengthened its alliance with Germany by forming the Pact of Steel.   His exploits in war were always unsuccessful and due to lack of organized military techniques, lost many of the regions it had annexed earlier. By 1943 Italy’s role in the war had seriously deteriorated and Mussolini was headed to a big loss in the war. Mussolini developed the culture of dismissing the king commands and made him a ceremonial leader. In July 1943, Mussolini met his end onto the hold on power. He was arrested and deposed by elements within the ranks of his own Fascist National Party and the King appointed Field Marshal Pietro Badoglio as the New Prime Minister. He was arrested but saved by Hitler who still regarded him as strong ally in the war. He made many unsuccessful attempts to return to power by forming the Italian Socialist Republic in regions that were under German control, imposing himself as the leader. Mussolini was finally arrested by on April 28, 1945 with his mistress Clara Petacci, this time by Italian forces near Lake Como. He remained under Italian custody but realizing that he was going to be killed ordered that he be shot immediately. His long time friend, Walter Audisio eventually shot him in his chest on Mussolini’s request.   American Intervention in and Post World War II The overall American intervention in World War II was as a result of the surprise   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  attack of Pearl Harbor the Japanese army and the Franklin D Roosevelt fear of an imminent attack of North America by the Germans. The allied forces continuously bombed the allied strongholds and military bases including the German and Japanese cities of Dresden and Tokyo respectively (Jackson and Gleave, pp 87-103). This was based on the belief that killing and destroying civilian areas would discourage more civilians in supporting the war and also put more pressure on their governments to bring an end to the war. While this idea was geared towards ending the war faster, it in turn brought about the opposite. Civilian support for their leaders and the war increased and the war took longer than was previously thought causing many deaths and further destruction of property. Another intention of America on intervening in World War II was done in the name of freedom and democracy to the oppressed.   It is true that freedom and democracy form fundamentals of human rights but these interventions have left behind more sufferings manifested in the loss of lives and the destruction of property. This is because it is always difficult to make a distinction between rebels or armed groups and civilians. Italy was the first of the axis to experience the nature of America’s military intervention when President Roosevelt, Prime Minister Churchill, and the combined Joint Chiefs of Staff decided to make the first island of Sicily their first target. According to the U.S. Army Center for Military History (para. 2), the allied forces conquered Messina, the capital Sicily on 17 August 1943, a feat that propelled the Allied forces to push forward with their agenda of freeing Europe of Nazi and fascist idea. The support in terms of humanitarian and relief services from the United States did not begin after the war but in fact began long before the war. This demanded full control of organizations and relief services. During the war, relief services to the Axis –countries was not permitted as in the case of world war I. President Franklin D. Roosevelt saw this as providing further support to German and its allies .This condition continued for long even after the entry of the United States into the war in support of the allied forces. 1939 Neutrality Legislation demanded whole openness and full background details regarding relief agencies as some organizations could be sympathetic to the warring factions. In 1941, Joseph E Davis took over as the head of war relief agencies and brought in much needed reforms that included reducing the number of licensed relief organization from 300 to only 67 by the end of the war immediately after the war the relief control board formally known as the war relief agencies took over the advisory role on voluntary foreign aid. The relief services provided by the American government in World War I had many differences with that of world II, these included regulations regarding the provision of relief services to the prisoners of war and the additional statute on the Geneva Convention regarding the role of the Red Cross. All countries that took part in World War II with exception of Japan and the Soviet Union, were signatory to the 1929 Geneva Convention regarding the overall treatment of prisoners of war. Relief suppliers that included clothing toiletries and medicine were taken to prisoners in the prisons. Continuous inspections by the international Red Cross made sure that term of the Geneva Convention were fully complied with and all prisoners of war receive humane and fair treatment. Due to the different standards for treatments of war prisoners, the Geneva Convention strived to achieve an even state of treatment. Prisoners of war from countries that were not signatories to the Geneva Convention were badly treated by the Geneva Authorities. The overall performance of the Italians in World War II has had different opinions on whether it was a success or a failure.   The general idea that the  Ã‚   Italians military gave a poor show of there strength and surrendered early is not very true.   There are standing examples in very successful war exploits that Italian military achieved Italian military poor ratings from the world war11 seemed too have cropped up due to failed annexing of Greek Island and the unsuccessful take over of North Africa. Describing Italian soldiers as numerous were other factors that definitely contributed to such military mistakes.   Lack of modern weapon, poor leadership and division amongst the rank of Mussolini’s senior advisors that led to lack of will in the objective to accomplish his major war exploits. In 1939, Germany invaded Poland and took control of it; Italy at this point was not in a military position to launch and offensive. Hitler and Mussolini both wanted a redrawing of Europe’s map and in harboring this kind of vision; Mussolini ignored the state of Italy’s military strength and the inability of its war industrial complex to produce modern weapons that were capable of  Ã‚   sustaining a full scale war. Other neighboring nation such as Britain, Germany and France had put a lot in the development and   production of military weapons and had supplicated tanks, guns ammunition and trucks at there disposal(Evan, pp 743-756). In fact at the time of joining the Second World War, Italy’s position in terms of equipment was only at the same level with the First World War.   Ã‚  Ã‚  Ã‚  Its war artillery included the remnants from the First World War that were in ineffective and outdated. It lacked industrial capacity to produce new military equipment and those that were made were always out numbered by the demand. Beretta Pistols and automatic rifles were considered very efficient war machines but were always short in supply while the dreaded machine and sub standard qualities. The shipyard at their disposal was properly designed but lacked the strength in armor and lacked radar. This made it difficult for the Italy military to perform effective in comparison to other nations. Mussolini invented the art of propaganda and as such projected an image of effective air power but was in reality non existent. The whole military had only a few thousands of air crafts, most of which were bi-plane. The modern creations were of no match to those in the possession of the Allied forces. The command of Italy at the beginning of World War II was considered the poorest of all the nations that took active military exploits. Mussolini depended on loyalty as the main basis of selecting officers in various military ranks at the expense of experience. In fact Italy had the least number of experienced generals by the time of joining the war. The commanders and generals who had taken part in World War I were considered as sympathetic to the King and as such were taken to Africa and specifically in Somalia to do away with opposition in homeland. Other tactics involved the demotion of officers who were loyal to the King to lower ranks and replacing them with those that were considered loyal to the II duce. Mussolini asserted full control of the media and all organs of the state and those who criticized him were exiled in the wastelands of Italy such as Somalia. The remainder was composed of loyal military commanders and generals who were loyal to Mussolini and acted as his own stooges. This consisted of a class in the military that lacked the experience to handle a full scale war. Italy’s navy had very limited number of ships that were capable of defending its territorial waters (Gregory, pp 86-99). Poor leadership in the military and the lack of will to fully implement Mussolini’s objectives were main contributors to Italy’s unsuccessful conquests. Italy could not come out the war victorious. The Italian command sensing loss after the Axis evacuated their strongholds in Italy such as the Island of Sicily and the loss of Messina (Atkinson, pp 201-220). The high army command then opened secret negotiations with the Allied forces behind Mussolini’s back with the full support of the King who felt betrayed by Mussolini and undermined his position. He in fact blamed Mussolini on political problems that befell Italy. This almost marked the end of Italy’s active military involvement in the war. The unrelenting Germans disarmed Italian soldiers and rushed in to take up their positions upon realizing that they were about to surrender to the Allied forces.   Conclusion In conclusion, it is obvious that Italian military under the command of Mussolini was headed to a big failure in the war as they got involved into a war the least prepared for and lack of political will to fight Mussolini’s personal war. The whole military at that time lacked both the material and human resource and everything was undertaken to please Mussolini’s desire to gain a greater control of Europe. Questions as to why Mussolini’s would drive an ill equipped army into a full scale war remain baffling to date. The terming of Italian soldiers as cowards was utterly baseless as they fought so well under the experienced guidance of German soldiers led to defeat in Greece and the continuous successful offensive along the Russian borders. It was therefore a multiple number of factors that led to Italy’s early surrender but not cowardice. Mussolini’s inability to learn and change tactics was the major contributor to the progressive loss of war. Lastly it can be said that Italy bravely fought and lost.

Cultural Anthropology Social Organization Essay

In the United States the practice of serial monogamy, where one goes through a series of marriages then divorce; and unwed parenthood seem to have replaced the cultural traditional marriage. (Nowak & Laird, 2010) Single parent families and the accompanying socioeconomic circumstances usually warrant social intervention from state agencies and that places a strain on public funds. The fact is, every single parent household is unbalanced. In the household where both parents are present the children usually benefit because each parent brings; not only a gender based perspective to the relationship and child rearing cultural traditional practices; but he/she also brings a level of stability that is not easily quantified. Stable marriages are usually founded upon the couple’s religious beliefs, kinship traditions of stable relationships, friendship, trust, similar backgrounds, traditional values as well as kindred cultural practices that include gender role expectations. Persons in stable marriages tend to understand each other’s moods and idiosyncrasies; so they are able to co-exist and live as friends. In the film, people adhere to the traditions of their kindred, they hold them sacred and they marry their own kind. It might seem bizarre to the outsider but it is normal behavior for their kinship. Arranged marriages are basically bilateral agreements between two families. The groom’s family gives the bride’s family a bride wealth of livestock, jewelry land and other valuables depending on the traditional culture of the tribe. The bride wealth forms a part of the wealth of the bride’s kinship. The groom basically has to pay the bride’s family for the loss of her labor. (Nowak & Laird, 2010). The women accept and submit themselves to the cultural traditions of their kinship. They have no choice in the arrangements. In the film, the women are hard workers. They take care of the men, children, fields, livestock wash the clothes, cook but the most bizarre was the Indian polyandrous family; the woman was married to three brothers. The children in this family do not know their biological father; and it is normal behavior so nobody really cares about a DNA match. It is also interesting to note that the wife in the feature film is illiterate and she knows no other way of life. The family is stable and the brothers look out for each other. This arrangement is economical as all the wealth is kept in the groom’s kinship. As strange as it may sound, this marriage seem to be more successful than the marriages of choice; in that the wives know there roles and stick to their list of duties. On the other hand, in marriages of choice, after a few years have passed, the wives tend to place pressure on the husbands to change into their likeness and to be what they, and their families want them to be. Arranged marriages are basically bilateral agreements between two families. The gang/crime family is a rather incredible one. I prefer to consider it as a social group with its own set of operational tenets but not a family. Rference Nowak, B., & Laird, P. (2010). Cultural Anthropolgy, San Diego, CA: Bridgepoint Education Inc.

Wednesday, October 9, 2019

Project Planning- Human Capital Essay Example | Topics and Well Written Essays - 250 words

Project Planning- Human Capital - Essay Example If communication is not done properly, a project’s failure is unavoidable (Sheryl R.). One of the most vital tasks of a project manager is to communicate the performance evaluation of the project to its employees and the customer. Communication of performance evaluation is very important for the success and future growth of a business but it may be met with some level of resistance and unlikely situations. A project manager needs to well plan the communication before he starts a performance evaluation. He should make a status report on the progress of the project; rate each employee’s performance on a prescribed scale and a review of the customer’s satisfaction. He can either organize a question- hour session, a group forum, or a one-on-one discussion session (projectsmart.co.uk). In case of a wedding project, the manager does the performance evaluation on the basis of the services rendered to the customer; meeting the wedding budget limit, customer satisfaction, management of sources, quality of the service, time management, customer experience, efficiency and performance of the employees, their behavior with the guests and the overall wedding quality (Wedding project management).

Tuesday, October 8, 2019

Identifying Innovations Assignment Example | Topics and Well Written Essays - 250 words - 1

Identifying Innovations - Assignment Example The most primary innovation in this industry is the method by which music is disseminated to audiences. Where in the past physical production of CDs and tapes marked the revenue building capability for the music industry, a radical innovation of using the Internet for downloading music has altered marketing distribution for music producers and production companies. This change was not incremental, but allowed music sellers to reach audiences in a radically different way, allowing for cost-cutting in distribution and inventorying while also essentially making a new market, a characteristic of radical innovation (Kim & Mauborgne, 2005). With the Internet as a radical change in music provision, marketers can now reach a whole different consumer segment that was likely not available to music sellers historically. An incremental innovation in the case study is the method of MP3 compression that simplified the process of consumer music downloading on the Web. The ability for music sellers to use the Internet remains the same, only with new compression technologies it now becomes more convenient for existing markets of consumers. This builds a better reputation for music sellers using this technology without necessarily capturing new market attention. Finally, the ability of music recording artists to use the Internet as a means of producing their own work and distributing it via the Web is another incremental innovation in the case study. The advent of chat rooms and home recording technologies now give artists a new type of liberation as it relates to production and distribution. Technological changes with the Internet as the appropriate medium for marketing was incremental, small yet fundamental changes to how music artists promote themselves and disseminate their music. This has cost-cutting capabilities consistent with incremental innovation (Leifer, McDermott, O’Connor, Peters, Rice & Veryzer, 2000).

Sunday, October 6, 2019

Management Essay Example | Topics and Well Written Essays - 1750 words - 4

Management - Essay Example All these are alongside adding challenges for the strengthening the capabilities of the business into competitive edge over competitors. Hence, the information in the referred article provides evidence and learning about the new dimension of sustaining strength across all change, innovation and risk is possible. This new dimension of unification of layers of product and service to generate collective strength is much sounder than the developments in recent past that insisted establishing the footings in different perspectives to remain competitive. Unified system and approach for the management of risk, change and innovation has an added advantage that it offers in the form of shared strength to businesses in dealing with highly competitive pressures. Hence, embracing change does not always require being new but it also required understating the concept of integration and collective wisdom for dealing with challenges (Kepes). Article Two: Hotz, Robert. Differences in How Men and Wome n Think Are Hard-Wired. The Wall Street Journal. 9 Dec. 2013. Online. 14 Dec. 2013. http://online.wsj.com/news/articles/SB10001424052702304744304579248151866594232 The article Differences in How Men and Women Think Are Hard-Wired has important implications for the business and organizational perspective of managing diversity. Management of diversity in the business organizations is still viewed in the light of responsible behavior that organizations are adopting towards society. It is despite fact, that immense benefits of diversity are being generated by the organizations with well blended mix of the employees. The reflection of this perspective is evident from the fact that organizations who take more women in their board room present it as a pride. The article on the basis of assessment has revealed the connection differences in the minds of men and women. This article has emphasizes the on the focused and multitasking attributes of men and women respectively. Both the concepts h ave increased their importance in the organization in recent past. Therefore, diversity management in a way that is calculated for developing the optimum mix of expertise towards focused attention and multi-tasking will now enable business to develop the mix of genders as need of the organization. Hence, with these revelations, the managements of the organization will now have more quantifiable yardstick for the development of employee mix and diversity management in organization. Management of the supply and the value chain is the most important tranche of the business and management literature that has developed since recent past. Forbes published value that is claimed to be generated by Amazon in terms of value chain by introducing the drones for same day delivery (Hotz). Article Three: Banker, Steve. Same Day Deliveries by Amazon Drones? Ridiculous! What Really Makes Sense. Forbes. 3 Dec. 2013. Online. 14 Dec. 2013. http://www.forbes.com/sites/stevebanker/2013/12/03/same-day-del iveries-by-amazon-drones-ridiculous-what-really-makes-sense/ The article entitled Same Day Deliveries by Amazon Drones? Ridiculous! What Really Makes Sense has some valuable contribution in the effective management of the supply Chain. The core idea in the article has identified the critical factor of effective managem

Saturday, October 5, 2019

Virture according to Aristotle Essay Example | Topics and Well Written Essays - 500 words

Virture according to Aristotle - Essay Example These components are a person’s passion, faculty and state of character. However, amongst the 3 components, Aristotle has only identified moral virtues with the state of character. The state of character can be believed as complex inclinations or personalities to behave and feel in certain ways under certain conditions (Payne). A person’s appetite can be linked to his desire. The higher his appetite or desire, the more he would likened to be aiming for that goal or vision. This is the reversely proportional to a person with a lower appetite (Aristotle & Ross, p. 20-21). A person can be said that he is born with the potential of being morally virtuous. But for that person to be one, he should be trained on doing what is right to be truly virtuous even as an adult. Virtue is learned by constant practice and not just simply keeping it in mind. It should be shown to others rather than be kept in one’s head (Aristotle & Ross, p. 20-21). Virtue is a person’s disposition to perform the right way. In practical circumstance, there is an absence of rules. Right conduct can only be witnessed in some sort of mean in extremes which are deficiencies and excess. Between the feelings of fear and confidence, courage is the mean of the two. Aristotle stated that: â€Å"Of the people who exceed, he who exceeds in fearlessness has no name (many of the states has no name), while the man who exceeds in confidence is rash, and he who exceeds in fear and falls short in confidence is courage† (Aristotle & Ross, p. 28). Vices according to Aristotle are the bad characters of a person (IEP.Com). It can be concluded that virtues and vices are connected with the same things. They are being driven by the same factors. Virtue is the positive effects of these factors while the vice is the negative

Friday, October 4, 2019

Why I want to become a D Essay Example | Topics and Well Written Essays - 500 words

Why I want to become a D - Essay Example On the other side, I like professionalism in workplace environment. I know that a dental assistant must be ready to serve at dental clinics and offices related to the workplace environment of a dentist. Besides, I am aware of the fact that professionalism and flexible work schedule will help me to feel comfortable within this context. I know that Dental Assistant Program will help me to gain upward mobility within my profession/career. Dietz (2001) states that, â€Å"Dental assisting should be considered as a professional, specialized career, thus dental assistants must recognize the importance of their position as a valued member of a dental team delivering efficient and safe healthcare to patients† (p. xviii). One can see that qualification is essential for the success as a dental assistant. I consider the job of a dental assistant as the first step in my career and the selection to the Dental Assistant Program as the first step to achieve the same. To be specific, I know th at dental assisting is a demanding and promising career for me because I am deeply interested in serving the needy. Still, mere serving mentality cannot help an individual to stick on to his/her profession. To be specific, a dental assistant can have attractive salary, based on work schedule and working hours. Besides, acquisition of essential skills can help me to be an experienced and popular dental assistant in future years. At the same time, additional training within this profession can help me to accelerate my professional success by developing myself into a dental hygienist. I like to study new things and I know that my enthusiastic attitude can help me to learn new things and to be successful. I consider that taking care of the needy is an inbuilt quality and I possess the same. One can see that one’s attitude determines one’s success within professional life. To be specific,

Thursday, October 3, 2019

Group Counseling †Article Review Essay Example for Free

Group Counseling – Article Review Essay Unlike the first article, this second article talks about group counseling in elementary school focusing on eliminating aggressive behaviors. The purpose of group counseling in this situation is to lessen aggression by influencing the feelings, emotions, judgments, and behaviors of the students in the process. Group counseling is perceived to be significant for the purpose of lessening aggressive behavior because elementary student, in their respective ages, are highly dependent on groups or group structures. Children relate with each other making it much easier to break into the group structure and influence thoughts, feelings, or behavior that would consequently influence else within the group. Eight sessions were held to implement the concepts of group counseling and intervention. At the end of the sessions, the children were required to attend a follow-up meeting four weeks after. The result of the study revealed that learning took place and the children displayed desirable changes in their behavior. What I like most about the article is that it was based on an actual study conducted on elementary students, and that the purpose of the study is to change specific behaviors within the subjects. The objective of the researcher to approach the problem proactively yielded great results as the sessions have revealed that the aggressive behavior of the children were transformed during the group counseling sessions. The article would be a great source of valid and reliable information that could be applied to future situations that requires behavioral intervention. Moreover, the process is solution-based, such that the study focused on a particular problem which is common in the elementary school setting, and conducted research and data gathering which led to a specific resolution that schools would be able to adapt of implement within their school and guidance and counseling system. Another characteristic that is likeable in the article is that it opens opportunities for further studies and other related studies, such as the adaptation of the steps carried out in the study however, differing in the problem, etc. The success of the study would urge other schools and guidance and counseling professionals to conduct other studies that would resolve other issues as well. References Stewart, J. (1996). Group Counseling Elementary School Children Who Use Aggressive Behaviors. Guidance Counseling, 11, 12-15). Retrieved November 12, 2008 from Academic Search Complete via EBSCOHost.

Parametric and Algorithmic Design: Faux Forms?

Parametric and Algorithmic Design: Faux Forms? Architecture is often practiced in a world dominated by the many, the client or the public and in many cases only understood by the few. Architecture has been relatively unsuccessful at moving forward with the world often failing to relate and communicate with cultural shifts, changing ways of life and the advancement of technology. Where other design related practices such as the automotive industry have blossomed, re seeded, re grown and regenerated with shifts in the way people live and the technology of the present, architecture seems to have floundered. As a result architects currently work in an environment employing century old technologies, with a client market which avoids risks to personal gain at all cost and a public which often still sees the president seen in architectural history as the very form of a relevant architectural future. The masses seem bewildered by the possibilities presented by the possibilities of the present. Even fellow practitioners and academics with in the architectural discipline would appear to be slightly taken aback by the possibilities now available to us. Not just on a technological level, but the impact that these new techniques ma have on the very basics of architectural theory and form. This brings me to my question Parametric and Algorithmic Design: Faux Forms or a Relevant Architecture? Computer aided design changed many design orientated professions such as the automotive and aeronautical industries as far back as the 1980s when they were first properly developed. A digital revolution if you will. Compare this to architecture where production and design still use techniques, theory and knowledge developed during the industrial revolution. Although the majority, if not all architects do use some form of computer aided design techniques the boundaries can still be pushed further. Processes such as BIM (building information modelling) are starting to become a real force in architectural design in places such as the USA. BIM is a process where the architect does not simply draw a line as with traditional drawing techniques or with programs such as AutoCAD (which to an extent, is simply a digital version of a traditional drawing) but instead when an architect draws a line, he draws a wall, with the possibility to combine this information with a limitless selection of pr operties be they size, cost, structural or how they relate to other members in a design. BIM begins to hand back the title of Master Craftsman to the architect, where the architect can see how design develops as a whole and make changes accordingly. Parametric and algorithmic architectures are currently at the forefront of the BIM architectural thinking, they are the products of the few created using advanced computer scripting techniques and individually written pieces of software. Using the latest design technologies available to us, combining this with the modern materials and production techniques often developed in fields which have embraced the digital revolution more openly, parametric and algorithmic design can begin to challenge cultural, technological and historical boundaries which architects have maybe failed to fully challenge in the recent past. Parametric design is a process based not n fixed metric quantities such as traditional design but instead, based a consistent network of relationships between individual objects, the bricks are different but they are connected with the same bond. This allows changes to a single element whilst working with other components within a system. In a similar way to that of parametric design, developments in scripting have allowed for algorithmic design processes to advance. These allow complex forms to be grown from simple methods while preserving specific qualities. In the most basic sense, a user defines a set of rules, and the software would arrange the form according to the rules. If parametric design is a method for control and manipulation of design elements within a network of any scale, algorithmic design is a system and objects producing complex form based on simple component rules. With the combination of these methods, principles, modern production techniques and materials parametric and algorithmic architectures have the potential to push architecture, beyond doubt into the 21st century. Age old architectural problems and theory such as form vs. material and form vs. function can begin to be solved in new ways, construction times can be reduced, materials can be managed more efficiently, and building qualities can be improved significantly. In the analysis and comparison of two projects utilising parametric and algorithmic architectural design principles, I aim to fully understand how relevant these forms and methods of producing architecture really are when compared to their traditional counterparts. I have selected my examples from opposite ends of the architectural scale size wise, but from a similar family of traditional public architectural type form, analysing how relevant the parametric forms are in relation to different situations and settings. My first investigation, looks at a temporary theatre located within the site of Corbusiers Carpenter Centre A collaboration between architecture Firm MOS studios and artist Pierre Huyghe, selected for its truly unique location and its contemporary play on the more traditional theatre / pavilion / bandstand form. Theatres are traditionally very grand buildings, for thousands of years they have been part of human culture with forms as far back as ancient Greece still found in theatre design. This coupled with its band stand / park pavilion like size associated with formal pavilions form around the Victorian age made the project particularly interesting. The challenge for MOS studios was to produce a take on the theatre whilst reacting appropriately to its location in what is an extremely prominent place. The design in basic form is similar to that of any regular theatre with raked seating, unhindered viewing and high-quality acoustics but it was with the use of parametric processes that a theatre which corresponds to the individual conditions of the site has been produced. The theatre sits in the underbelly of the Carpenter Centre by Le Corbusier, commissioned to commemorate the 40th anniversary of the building. Corbusiers Carpenter centre is the centre for the visual arts at Harvard University, MA. Completed in 1942 the building is the only building ever completed by Corbusier in the United States of America and the last to be completed during his life time although he never actually visited the building due to ill health. The building corresponds with Corbusiers five points of architecture (as seen in the Villa Savoye, France) with interior elements such as the ramp, a dominant feature, exploding out from the inside of the building providing an s shaped walkway continuing into the environment. Curved partitions also extend through the main walls of the building in to the surrounding areas swinging to and from the pilotis which support them. This creates a series of interpenetrating interior and exterior events running along the promenade ramp. Within the design of the Carpenter Centre you can see the elements of projects spanning the entire career of Corbusier modified and adapted into this building. The puppet theatre itself, like Corbusiers Carpenter Centre, was designed with a set of parameters or architectural rules if will. These parameters were derived from a given brief and limitations of the space created by the Carpenter centre itself. To avoid damaging the Carpenter Centre no contact with either the ceiling or the buildings supporting structural systems was permitted. Therefore, fitting the puppet theatre in between these important structural barriers became key. The architect has described the theatre as an organ placed in a new host, it has a feel similar but not exactly that of a parasitic structure. Is seems not to be taking away, leaching from the Carpenter, but adding to it, giving it new life as though it really is a new organ, a new heart. This imagery is reinforced in the choice of materials for the theatre, further expressing the feel of new life. The main self supporting structure is a polycarbonate, clad on the outside with a moss. The moss adds heat and noi se insulation, absorbing sound from the nearby street with sound quality being of paramount importance in practicality of a working theatre. At night light from within the theatre glows through the light polycarbonate moss giving a green glow, as if it really is a new organ, a new hub from which life stems into the Carpenter Centre. The rounded form of the theatre was produced though the parametric manipulation of elongated diamond shaped panel units, each one individual in form, each one connected through the same set of parameters. This parametric manipulation was created through the limitations of site, the need for self supporting structural integrity, the use and the restrictions of fabrication processes during production. The ultimate form is therefore created through a system of analysis where the most efficient form was deduced using the parametric system. Most of the theatre was prefabricated and assembled off site. The elongated diamonds were designed to be produced from a single flat piece of polycarbonate minimising both manufacturing times and wasted materials. Each of the 500 pieces was CAM cut, before being folded into three dimensional forms with points drilled to connect each of the diamond forms. The entire structure could then be assembled by connecting the panels using simple tools. The use o f simple hand tools meant that the theatre could rapidly be assembled and dissembled, suitable to the temporary nature of the structure, it was imperative that the structure could not only be dissembled, but left no permanent trace of its construction on the carpenter centre. This again was made possible through the use of parametric design. Each panel is 3 in depth and spans over 15 at the centre; they were stiffened with a foam insert to help with rigidity with the combination of strategic panels being placed inside out, thus acting as key stones. These strategic inside out keystone panels also act as skylights, allowing light to travel both in to and out of the theatre. When assembled the panels dissipate forces around the skin of the theatre, creating the self supporting monocoque structure. The monocoque structure mean that mo permanent fixings or structural supports had to be made with the Carpenter Centre, therefore the puppet theatre became connected through its relevance as a design but remained separate as a structural object. With the puppet theatre sitting in a sunken exterior courtyard underneath the Carpenter Centre, the change in level of 1.25m between the street side and the courtyard had to be addressed, and so this became one of the key parameters in the design. This was overcome by incorporating the 1.25m change in level in to the raked theatre seating, with the actual performance stage sitting at the lower level of the courtyard. As you enter the puppet theatre at street level, the elongated diamond forms combine with the change in height and almost surreal sizing of the puppet theatre itself to creating a visual illusion, a false perspective. This invites the visitor into the theatre with a sense of magic and curiosity, drawing the eyes towards the stage end where the parametric boundary lines of the diamond forms stop abruptly with the introduction of the stage. The use of this optical illusion helps to reinforce the sense of theatre, a sense of magic that I feel could be easily have been misse d or overlooked with the use of other materials or construction techniques. You could maybe say that similar forms could have been created in concrete or wood, but then the all important play of light created by the polycarbonate panels chosen would have been missed. With the combination of material and parametric design theatre is actually incorporated into the design of the structure. The Glossy polycarbonate panels also reflect light, creating an ambient glowing light during performances, with the only lighting coming from the puppet show itself, this transforms the theatre into a glowing lantern at night, projecting its energy onto the bare barren concrete surfaces of the Carpenter Centre. It seems to work well in a juxtaposition between the high-tech nature of the design and the connection created with what is a very ancient form of entertainment, connected by lighting which would seem to draw you in a similar way to that of a candle light. During the day the reflectance is reversed when the natural light brings the exterior surroundings into the puppet theatre, this focuses the attention on what is happening in the outside world, the walls almost become the walls of an aboriginal cave, telling the stories of the exterior world as they are happening. This connection to the outside world through the reflectance of light is reinforced by the framing of a single t ree which sits beyond the entrance of the theatre. It frames the view with some purpose whilst creating a sense that the tree could possibly ask as some barrier, a limit to the boundary of the theatres threshold. Through extensive analysis and research this theatre and its host building, the carpenter centre I believe that this truly is a remarkable form, an excellent piece of design. The theatre works with and answers to every one of its parametric challenges. Through the use of parametric design I feel that a form has been created that would otherwise never have been imagined or realised. The organic form of the theatre, created using very non organic production techniques answers to the brief on so many levels. It creates this new heart, new hub for the Carpenter Centre. It does not try and mimic the great modernist architecture used by Corbusier himself, but in no regard does it fight against it, it somehow moves in to an architecture beyond, with each individual member of the theatre being very geometric, but arranged in an intelligent way, produce a form which is more organic. Neither structures the same but they do work together. The puppet theatre design speaks of the Carpenter centre today; it speaks not of the architecture and the Carpenter Centre of the past, but the architecture, the people and the Carpenter Centre of the future. The architects could have chosen so many different approaches to producing a pavilion of sort on this site but Im positive they would have struggled to produce a design that overall worked more responsively with the entirety of the design challenge presented. The second example of parametric architecture that I have analysed is the Mercedes Benz Museum, Un Studio, Stuttgart 2005 with parametric and algorithmic working by Designtoproduction. This example of parametric design was selected not for its obviously parametric appearance but for the way in which parametric modelling combined with BIM was used in the construction and design of what can only be seen as a truly revolutionary building. Today the majority of the worlds exceptional historical, cultural and artistic pieces of are all in place, the future of the museum, as seen with this, the Mercedes Benz museum, lies with those who can fully communicate a specialist collection, what they are about and where they came from. They have the capability to stimulate a culture much more than a generalist collection, the works, the cars in the museum coud be seen to speak much more of the people that the majority of todays art. This is where the use of parametric design can be seen to influen ce and completely communicate the work of Mercedes in a new way. The importance of museum design has been at the forefront of architectural thinking since Frank Lloyd Wright first challenged the plan of the museum with the design of the Solomon R. Guggenheim Museum in New York, 1969. Since then museum has been challenged again and again by a multitude of architects such as Renzo Piano Richard Rodgers with The Pompidou Centre, Paris, 1977 and Daniel Libeskind with the Jewish Museum, Berlin, opened 2001. The Mercedes Benz Museum can be seen to relate to all of these examples in its pursuit to step forward away from the regular, to challenge the spaces, circulation paths and forms of a museum, to create a museum of purpose. The success of a museum depends upon the inventiveness of its internal arrangement, spaces created and its ability to exhibit artefacts within these spaces in a relevant way. The museum will / has become famous not only in the continuing line of challenging museum architecture starting with buildings such as Frank Lloyd Wrights Guggenheim in New York but for putting the digital design process firmly on the map. Stuttgart is home of the Mercedes Benz brand, and so with the need of a new museum, UN studios were chosen to redesign a new museum on a new site close to the main gateway to the city, where the old museum had previously been located in a dedicated building within the actual Mercedes factory. The design is based on a concept involving the over laying of three circular forms in plan with the removal of the central space creating a triangular shaped building height atrium area. In section the building raises over eight floors in a double helix form, maximising space and providing 16,500 square meters of useable space on a relatively small footprint. Originally the brief brought to UN studio suggested that the building should be no more than two storeys high with worries that any more height in the building may cause complications with exhibits, for example the manoeuvring and exhibiting of lorries, circulation problems around such large pieces and structural integrity of the building w ith extremely heavy exhibit loads. With the site being situated so close to a major motorway it was soon suggested by UN studios that the building should be taller relating to the close situation to the motorway, seeing that problems such as circulation and weight of exhibits could be overcome with the correct knowledge and attitude towards the project. The circulation system used in the Mercedes Benz Museum s similar to that used in the pompidou centre Paris, with the circulation running around the external facade of the building. In a similar way, the circulation can be seen to draw clear links with the ramp like circulation of the Guggenheim New York. The main difference with both of these buildings is that the Mercedes Benz museum has, through advanced construction techniques combined with the use of parametric modelling is able to convey the main forces applied to the building to a structural core through floor slabs rather than perimeter, therefore fully liberating the facade and plan of the building. The visitor enters the building on the ground floor where they are met by the vast scale of the open atrium. This ground floor is home to the general facilities expected of a large museum; reception, gift shop and cafe but it is where the tour begins that the form really takes a leap forward. The museum is designed so the visitor is transported to the eighth and top floor of the building before working their way down double helix form ramps on a tour that would take approximately six hours to complete in entirety. Transportation to the top floor is a celebration in movement itself, the visitor is transported via a portal like elevator with limited viewing; flashes of projected imagery are seen from the inside. Once at the top floor, two tours split from the starting location each following one of the double helix ramps, each following a different side to Mercedes vast history. The two tours known as Collection and Myth vary in their exhibits with the Collection tour being more of a h istoric timeline of Mercedes design and the Myth tour taking more romantic, cultural take on Mercedes history, featuring some of the companys greatest designs and cars previously owned by the likes of Ringo Starr. As a result the special feel of the two tours h seen designed to vary and adapt to the various exhibitions enormously. The Collection tour is flooded with natural, truthful lighting whilst the Myth tour is illuminated in a much more theatrical way, mimicking the romance and glory associated with its exhibits. The tour paths do cross at various points through the vertical of the space, allowing the visitor to pick and choose between the two tours. The eight levels of the building are separated into regular and special areas, based on their functions within the museum and their impact of the structure as a whole. The levels alternate between single and double height spaces as they progress through the vertical of the building. Classical sculptors such as Bernini and Brancusi knew the importance of the pedestal, they were masters of this, once again the pedestal has been utilized in this museum, creating views, highlighting without blinding and focusing the visitors attention where it is needed. Not only have plinths been used but with the employment the semi circular ramps which hug the exterior boundaries of the building, perspectives have been produced, providing new, interesting and invigorating views of the exhibitions. Viewing the leaf shaped, semi circular, exhibition spaces from a multitude of heights as you descend through the building generates a series of panoramic overviews. Visitors see the exhibits from higher, low er, closer and more distant view points. No viewing angle is ever quite the same, and the normal head on viewed approach is avoided, there is a sense that you will never capture every view throughout the tour, that the building is constantly changing, twisting around and beyond you, that you as the visitor never quite fully understand where you are within the building. Together the pedestal, panoramic viewing spaces and constantly twisting forms create a new special complexity within the form of a museum. Never before has something been exhibited like this before. There is a constant feel of movement within the exhibits and the form of the building. The museum tries to set the static in motion says one German architectural critic, as if it wants to prove that the architecture is still alive, it has been said to explore motion in all of its possible expressions. The whole acts as an accelerator for the different, unpredictable and sometime incomprehensible spaces presented to the vis itor. The open plan has been achieved through the ability to transmit vertical loads to the central distribution cores via the floor slabs with the facade systems carrying limited vertical loading. The floor slabs within the exhibition areas cover an area of almost 30m without intermediate structural columns, made possible through the use of parametric modelling and advanced structural calculation. In addition to the actual exhibit weights and live loads such as visitors to the museum the floor slabs also have to transfer a significant amount of the horizontal load from the twisted exterior structural system to the huge central tri column core of the building. The floors slight curvature and incline help to create a truly dynamic space around the cars aswell as creating the structural support for the building. The floor folds, becomes the wall before folding again to become the ceiling. UN studios most recent works have been described as relating to and recalling ways in which baroque architects worked and diagrammed their work. Van Berkel, co founder of UN studio, amused by the comparison says I have been really fascinated by Bernini and Borromini. Not just in their buildings but by their incredible ability to cast their discipline into question with innovative representation techniques. These techniques are imperative in the means of bridging the gap between the abstract of thought and the realism of building construction, they become essential when beginning to comprehend how a structure may work and how building may operate. They open new horizons and give architecture a holistic dimension, a means of creating volumes that respond dire ctly to project requirements. As an ultimate statement: The Mercedes Benz Museum by UN studio could not have been created without the help and research offered by Designtoproduction and their parametric work. There was limited time to design what can only be described as one of the most complicated structures in modern time, and so, over two hundred and forty six different companies and engineering firms were employed to help with the production of the Mercedes Benz Museum. Designtoproduction were able to provide solutions to the gaps between separating design and production. This was imperative as these steps are interconnected, they highly influence each other and with so many different teams working on the project, strong design and production links were needed. Parametric design proved to be the key to the buildings success in this regard. The only solution was to control the geometry of the building as completely as possible using the latest computer technology Ben van Berkel, UN Studios co founder and direc tor. The intertwining forms of the Mercedes Benz Museum meant that the forms could barely be described using standard plans and sections, yet contractors needed working plans, sections and details to construct the building. From the basic geometry of 2D parametric modelling, the edges were transformed in to constantly rising 3D forms by layering levels; ultimately the 3D volumes of the structure began to rise from the layering of plans. For different building components the geometry was directly taken from the model, thus closing the chain of information from early design stages until the construction and fabrication. For example, the formwork for doubly curved surfaces was accurately developed into plain boards taken from information in the parametric model. Designers dont think in numbers, they think in relationships, in connections, in the whole. CAD packages do not think in relations, they think purely in numbers, they do not care for relationships or what they represent within the form or design of building. The parametric CAD models that Designtoproduction produced combined these numbers behind the developing building in a set of a parameters, dictating what would work and what would not; therefore thousands of numbers become merely a handful of meaningful parameters. The parametric model for the Mercedes Benz Museum was not only part of the design but key to the construction. It linked the participating trades in the building in a harmonic whole with the architect acting once again as the master craftsman at the helm, overseeing the construction as a whole. Unlike those who use digital architecture merely for aesthetic qualities, UN studios have gone beyond anyone else in the means of imaginatively managing a building through a des ign with a mathematical parametric model, without compromising the initial design principles, cramping the design with formal or preconceived solutions. The Guardians architecture critic Jonathan Glancy has described the building as jet-age baroque. The use of parametric design tools, the architect had been able to design and create a building which seems as though it is a product of or closely linked with the Mercedes Benz brand. It screams movement, technology, the future, and the impossible. If you think about this building in any other sense, an exhibitor of modern art, an exhibitor of any other form of specialist collection or historical artefact it simply would not work. The building would seem to be truly purposely tailored to the client and purpose, that of exhibiting the greatest works of Mercedes Benz, with this, the museum is already seen by many as one of the single most astonishing buildings of the new century. The Image of God | Literature Review The Image of God | Literature Review The term image is everything is truer today than its ever been before. Whether its the designer clothes a person is wearing, place of residence, the car they drive or the calculated lines they recite, presentation is now replacing content when it comes to discerning the authenticity and character of a person. This is the measure by which people are valued nowadays; superficially and without substance. Unfortunately and sadly this is also true within the church. We lack concern when it comes to the true character of an individual, but we care more about their gifts and talents. Its seems like society and the church are captivated and awestricken with an individuals false persona, and television personalities rather than a persons character. This standard is used chiefly because of the materialistic and/or secular nature of todays society. Much of this is done either consciously, or subconsciously, in an effort to enhance ones image as seen through the eyes of man, ones friends, family, peers, and even society in general. All that being said, the term, image is everything is alive and well. However, it shouldnt have validity for the reasons described above, but rather because man is created in the image and likeness of God. This is the true image that should shape the manner in which Orthodox Christians live their lives. Then God said, Let us make man in our image, after our likeness; and let them have dominion over the fish of the sea, and over the birds of the air, and over the cattle, and over all the earth, and over every creeping thing that creeps upon the earth. So, God created man in his own image, in the image of God he created him; male and female he created them. (Gen 1: 26-27) The significance of man being created in Gods image is sometimes overlooked due to the complete silence of the rest of the Old Testament on this subject (In the Image and Likeness of God by Vladimir Lossky). However, the Orthodox Church lays the utmost emphasis on the image of God in man (The Orthodox Church by Timothy Ware). To acquire the likeness of God is to become deified or to become a god by grace, this is the ultimate goal of Orthodox Christians. According to the church fathers, the terms image and likeness do not mean the exact same thing. In general, the term image can be thought of as the powers with which each one of us is endowed by God from the moment of our existence. By making proper us of being created in His image, each one of has the ability to acquire Gods likeness or to be deified. (1) Oddly, its meaning image of God has been debated, a hot topic, if you will, for centuries in and outside of the church. Most theologians argued that it is the human mind the capacity to exercise reason or rationality, the intellect which marks us as being made in the image of God. It also distinguishes us from animals. The argument for this is that God himself can be described as acting in accordance with reason. Gods actions, Christians affirm, are always consistent with Gods inherent qualities, such as love, justice and mercy. God is consistent and trustworthy, and so can be said to be characterized by perfect reason. In creating human beings, God gives them, uniquely, a capacity for reason that reflects Gods own reason. It is in this respect that Christians believe we are in Gods image. (2) I. Image: The image of God is a key concept in Christian theology. It is foundational to Christian thinking about human identity, human significance, bioethics, and other topics. Many Christians see evolution as incompatible with the image of God. How could Gods image bearers have evolved from simpler life forms? Doesnt image-bearing require miraculous creation of humans rather than shared ancestry with chimpanzees? When in the evolutionary process did humans attain this image? These questions are tied to many other issues concerning human origins, including the soul, the fall, and the historicity of Adam and Eve. The phrase image of God does not appear many times in the Bible, but the importance of the concept is emphasized by its repetition in the scripture: Then God said, let us make mankind in our image, in our likeness, so that they may rule over the fish in the sea and the birds in the sky, over the livestock and all the wild animals, and over all the creatures that move along the ground. So God created mankind in his own image, in the image of God he created them; male and female he created them. (Genesis 1:26-27) Herein, its clear that part of bearing Gods image is ruling over the animals. Genesis 9:5-6 reveals another aspect of image bearing: all human lifeblood is sacred because all humans are made in the image of God. The emphasis on Judeo-Christian thought on the sanctity of human life is derived in part from this passage. In the New Testament, the idea is expanded further as Christ is revealed as the true image of the invisible God. (2 Corinthians 4:4, Colossians 1:15). Being made in the image of God, says Lyons and Thompson, does not refer to the physical body, the posture, or the authoritative aspect of man. It is true that the word image (Hebrew tselem) is a term used in certain contexts within the Old Testament to refer to a model or to idols (and thus can refer to a similarity in physical appearance). It cant and doesnt denote such meaning in Genesis 1:26-27, nor in any of the other passages referring to the imago Dei (image of God). God is not like unto gold, or silver, or stone (i.e., He is not physical; Acts 17:29). As Ashby Camp observed: God, of course, is a spirit (Jn. 4:24), and the O.T. stresses his in corporeality and invisibility (see Ex. 20:1-4; Deut. 4:15-16). So, the resemblance no doubt relates to some nonphysical aspect(s) of humanity (1999, p. 44). Since it is the case that a spirit hath not flesh and bones (Luke 24:39; cf. Matthew 16:17), then man does not bear the image of God in his physical nature. (6) Creation in the image of God distinguishes humankind from all other life forms said Milne in Know the Truth. Additionally, he said, traditional interpretations of the image refer to features such as human knowledge, moral awareness, original moral perfection and immortality. He goes on to say some scholars argue for a physical meaning for the image. And he also declares that others have argued for humanitys alleged Trinitarian constitution, or the image as human dominion. (Gen.1:26-28.) They are looking forward to the renewal of the dominion in the kingdom of God through Christ, the embodiment of the image. (Heb. 2:5-9) Furthermore, more recent interpretation Milne says, has spoken of the social nature of the image, human experience as being-in-community reflecting the divine being-in-community of the Godhead. Barth extended this interpretation specifically to the man-woman relationship. (Gen. 1:27) God created (humanity) in his own imageà ¢Ã¢â€š ¬Ã‚ ¦ Male and female he created the m. Irenaeus distinguished between the image, which he identified with human reason and moral freedom, and the likeness, he identified with original righteousness. He taught that only the likeness was lost in fall. This interpretation was followed through the medieval period and contributed to its essentially optimistic view of human nature. Luther, however, says that there is a case of Hebrew parallelism in Genesis 1:26. He believed image and likeness were synonyms; what was true for one was true for the other. The image of God, he said, has therefore been totally lost and can be restored only through regeneration by the Holy Spirit. There is a variety of views on how the image has been affected by the fall. A common view is that the image of God refers to the human abilities which separate us from the animals. Still, scientists have found that abilities like communication and rationality are also present in animals on a basic level. Another view is theologians do not see the image of God as human abilities, but instead it as our capacity for a relationship with God. Other theologians see it as our commission to represent Gods kingdom on earth. Either way, the author says God has given us our spiritual capacities and calls us to bear his image. (3) Nevertheless, Milne says the bible doesnt actually refer to a total loss of the image of God. (Gen 9:6, 1Cor. 11:7 and James 3:9.) Calvin, spoke of relics of the image of God in fallen humanity, which, while affording no basis for humanitys justification, still distinguish them from the animal creation account for the undoubted gifts and achievements of non-Christians. Dutch scholars, in the reformed tradition, such as A. Kuyper and H. Bavinck, spoke in this connection of common grace, whereby God in his pity restrains the worst effects of the fall and renders social life tolerable for humankind. (4) Lyons and Thompson communicate that, through the years, numerous scholars have suggested that the image of God spoken of in Genesis 1:26-27 refers to some sort of spiritual perfection that was lost at the time of mans fall, and thus is incomprehensible to us today. Genesis tells us that man was created in a special way, bearing the stamp of God upon him which the animals did not bear. Unfortunately Genesis also tells us that he lost this stamp. While Adam himself was created with this image, his disobedience so robbed him of it that all his children thereafter bore not the image of God but his-and even his likeness (1975, pp. 103, 109, first emp. added, last emp. in orig.) When we see in Genesis 1:26-27 that man was created in the image and likeness of God, does the language refer only to Adam and Eve as these writers would have us to believe? Or does it refer to all mankind in general? It is the authors position that the image of God spoken of in Genesis 1:26-27 does not refer to some kind of spiritual perfection, especially considering the fact that the members of the Godhead (Who created man) are omniscient and therefore knew that man would sin. Reformer Martin Luther claimed that the image was an original righteousness that was lost completely. He averred: I am afraid that since the loss of this image through sin, we cannot understand it to any extent (as quoted in Dyrness, 1972, 15:163, emp. added). John Calvin similarly spoke of the image of God as having been destroyed by sin, obliterated by the fall, and utterly defaced by mans unrighteousness (see Hoekema, 1986, p. 43). Yet, at other times, he took a less hard-core approach and vacillated between a complete loss and a partial loss of the image. In his commentary on Genesis, he wrote: But now, although some obscure lineaments of that image are found remaining in us, yet are they so vitiated and maimed, that they may truly be said to be destroyed (as quoted in Hoekema, p. 45, emp. added). Keil and Delitzsch commented that the concrete essence of the divine likeness was shattered by sin; and it is only through Christ, the brightness of the glory of God and the expression of His essence (Heb. 1:3), that our nature is transformed into the image of God again (Col. 3:10; Eph. 4:24) [1996, 1:39]. Canadian anthropologist Arthur C. Custance, in his book, Man in Adam and in Christ, observed. Feinberg, in speaking of the image of God as what he called an inalienable part of mans constitution, spoke of that image as currently being in a marred, corrupted, and impaired state (1972, 129:245). Hoekema elaborated on the same point when he wrote: in other words, there is also a sense in which human beings no longer properly bear the image of God, and therefore need to be renewed in that image. We could say that in this latter sense the image of God in man has been marred and corrupted by sin. Nevertheless, we must still see fallen man as an image-bearer of God, but as one who by nature images God in a distorted way (1986, p. 31). (6) II Likeness: Jim Schicatano believes that likeness and image are different. Likeness, he says, doesnt convey such preciseness as image. To be like someone means you possess many, but not all of the characteristics of that person. Obviously, man does not possess Gods omnipotence, wisdom, righteousness, perfection, ability to create, and divineness, he said. (5) In these others (along with Lyons and Thompson) differs with Schicatano in relations to the image/likeness of God. They say, the image (tselem) of God does not refer to something different than the likeness (demuth) of God. The Greek and Latin church fathers frequently suggested a distinction between the two words. They taught that tselem referred to the physical, and demuth to the ethical, part of the divine image (Feinberg, 1972, 129:237). Other theologians (like Irenaeus, A.D. 130-c. 200) taught that image denoted mans unchangeable essence (viz., his freedom and rationality), whereas likeness referred to the changing part of man (i.e., his relationship with God). Thus the former related to the very nature of man, while the latter was that which could be lost (Crawford, 1966, 77:233). As of 1972, this still was the official view of the Roman Catholic Church (Feinberg, 129:237). They go on to say despite the influence of those who claim that these words carry very different ideas about the image of God, a careful study of such passages as Genesis 1:26-27, 5:1-3, and 9:6 reveals that, in fact, these two Hebrew words do not speak of two different entities. Likeness simply emphasizes the image. As William Dyrness noted in regard to tselem and demuth: The two words should be seen as having complementary rather than competing meanings. The first stresses the image of God as its being shaped and the second express its being like the original in significant ways (1972, 15:162). Charles Feinberg, writing on The Image of God in the respected religious journal Bibliotheca Sacra, agreed when he remarked: A careful study of Genesis 1:26-27; 5:1,3; and 9:6 will show beyond question that it is impossible to avoid the conclusion that the two Hebrew terms are not referring to two different entities. In short, use reveals the words are used interchangeably (1972, 129:237). There actually is no good evidence for making any distinction between the two. In fact, the words are essentially synonymous in this context. Keil and Delitzsch remarked in their commentary on Genesis that the two words are merely combined to add intensity to the thought (1996, 1:39). As Clark puts it: Man is not two images and to distinguish between image and likeness is fanciful exegesis (1969, 12:216). (6) III Dominion: In relations to dominion, there seems to be a difference of opinion as to what exactly God meant when he said, Let hem have dominion over the fish of the sea, and over the fowl of the air, and over the cattle, and over all the earth, and over every creeping thing that creepeth upon the earth. (Genesis 1:26-28 ) Schicatano believes we are like God in the sense that we have been given sovereignty over the entire Earth. God is responsible for the creation of the universe, and likewise, we are responsible for our world. This sovereignty, however, is not a birthright of ours. It is a sacred gift, given to us from God; it is a delegated responsibility. Just as God has created and formed our world to His liking, we are capable of changing it and managing it to our liking. So, it is this responsibility that has been entrusted to us. It must not be taken for granted because ultimately we are answerable to God for the conditions of planet Earth and the state of our fellow human beings. (5) However, Lyons and Thompson dont share Schicatano belief. They convey that the image is not mans domination of the lower creation around him. In a letter to the editor that Norman Snaith penned to the Expository Times in 1974, he boldly claimed: The meaning is that God created man to be his agent, his representative in ruling all living creatures, and he was given sufficient (to quote the psalm) honor and glory to do this. Biblically speaking, the phrase image of God has nothing to do with morals or any sort of ideals; it refers only to mans domination of the world and everything that is in it. It says nothing about the nature of God, but everything concerning the function of man (1974, 86:24, emp. added, parenthetical comment in orig.). In regard to this kind of thinking, we would be wise to remember that man must exist before dominion can be invested in him, and that man has authority because of the truth that he is made in the image or likeness of God. Also, the authority is not the cause of the image or likeness, but the image and likeness is the ground of the authority (Chafer, 1943, 100:481, emp. added). In commenting on this subject James Hastings wrote: The view that the Divine image consists in dominion over the creatures cannot be held without an almost inconceivable weakening of the figure, and is inconsistent with the sequel, where the rule over the creatures is, by a separate benediction, conferred on man, already made in the image of God. The truth is that the image marks the distinction between man and the animals, and so qualifies him for dominion: the latter is the consequence, not the essence, of the Divine image (1976, 1:48, emp. added). Dominion, Keil and Delitzsch noted, is unquestionably ascribed to man simply as the consequence or effluence of his likeness to God (1996, 1:39). As William H. Baker commented: [I]t is the presence of the image of God in people that makes them able to exercise dominion over the earth. Dominion itself is not what constitutes the image (1991, p. 39, emp. in orig.). Although somewhat closely related to the image of God, exercising dominion over the world is not itself that image. (6) Conclusion: Perhaps while on earth we may never totally understand what is meant by these verses. But, upon research, some theologians, Christian Orthodoxy believe we are still in the image of God, others concur that when man fell his image was marred. And some agreed it was lost. However, without a doubt, what is clear is that in mankind, God has completed His final creation of the Creation Story. Lets consider what King David said of our creation and our special place among all of Gods creations. When I consider your heavens, the work of your fingers, the moon and the stars, which you have set in place, what is man that you are mindful of him, the son of man that you care for him? You made him a little lower than the heavenly beings and crowned him with glory and honor. You made him ruler over the works of your hands; you put everything under his feet: all flocks and herds, and the beasts of the field, the birds of the air, and the fish of the sea, all that swim the paths of the seas. (Psalms 8:3-8 NIV) With the diversity of views, most (Christian orthodox) agree that each of us have been made in the image and likeness of God, and because of this, we are capable of determining our own destiny. Unlike the plants and animals, God has endowed us with the ability to form a relationship with Him, the ability to increase our knowledge and wisdom, and the responsibility of caring for the world that He has given us. As His primary creations, we are obligated to imitate and show evidence of His divineness in every area of life. Some may find it complimentary that we have been made in His image. But, because of evolution many no longer treasure this mystery. Matter-of-fact, some have become irresponsible stewards and have neglected the responsibilities that it entails. Above all of His earthly creations, God has endowed man/womankind with a unique soul holding us responsible for all of our actions. (5) One day we will give an account to the Creator how weve managed; our temples, our lives, family, resources, businesses, ministries, blessings, and this planet called earth. Each author seems to have scriptural evidence to support their theory on this controversial and highly debatable topic. But, there was another point of agreeableness among them: some of the characteristics were which represent man/woman being formed in the image of God. To name a few, we are creators, God created the heavens and the earth, were relational, God is relational, we are communicators, God is a communicator, we are spiritual beings as God is a Spirit, and we are intellectual beings who reasons, God is intelligent and reasons too. When we fully grasp what it means to bear Gods image, we are amazingly struck with the boundless, grandeur of our possibilities and the tragedy of our unrealized potential! To be fully human is to completely reflect Gods image. Furthermore, though all humans possess these godlike capacities, each of us has the potential to express them uniquely because Gods image has been imprinted peculiarly on each of us. (7) In Gods infinite creativity there are no duplications. Everybody is an original and is created in the image of God, which according to Orthodox Christians can never be lost. Endnotes/ Works sited: 1) http://www.stgeorgeserbian.us/darren/darren03.html 2) V. Plater- In the Image of God: http://www.virtualplater.org.uk/?page_id=2054 3) BioLogos: How could humans have evolved and still be created in the Image of God? BioLogos is a community of evangelical Christians committed to exploring and celebrating the compatibility of evolutionary creation and biblical faith, guided by the truth that all things hold together in Christ. [Col 1:17] Daniel Harrell, Senior Minister, Colonial Church, Edina, Minn.- http://biologos.org/questions/image-of-god 4) Text Book; Know the truth, by Bruce Milne 5) Jim Schicatano,Created in the Image and Likeness of God. http://thebibleandscience.webs.com/articles/image.htm 6) Lyons and Thompson- In the Image and Likeness of God. Eric Lyons, M.Min. Bert Thompson, Ph.D. http://www.apologeticspress.org/apcontent.aspx?category=11article=149 7) Dick Staub- What Made in the Image of God Really Means By Dick Staub, March 4, 2013 (Taking a second look at a very misunderstood part of our faith.) http://www.relevantmagazine.com/god/deeper-walk/features/23549-qmade-in-the-image-of-godq