Monday, September 30, 2019

Response to William Blake’s Songs of Innocence and Experience

INNOCENCE v EXPERIENCE 109 UWA 2012 William Blake’s Songs of Innocence and of Experience was combined in 1794. Having compiled Songs of Innocence in 1789, Blake intended that he was writing happy rhymes that all children may enjoy (Norton Anthology pg 118 footnote 1). Not all the poems reflect a happy stance, many incorporate injustice, evil and suffering. Blake represents these aspects of the world through the eyes of ‘innocence’. In contrary Blake’s Songs of Experience were written as ugly and terrifying versions of the same world.These poems were used to reflect a ghastly representation of the world as one of poverty, disease and war. The Songs of Innocence were penned around the end of the American Revolution and the start of the French Revolution, although Blake would have worked on them for years prior. The Songs of Experience were etched during the middle and toward the end of the revolution and reflect how the poet’s view of the world had bee n affected and changed by the horrific events. Blake’s work is a compilation of a number of ‘songs’.Although each can stand as an independent poem many from Songs of Innocence have a pair in Songs of Experience such as â€Å"Infant Joy† – â€Å"Infant Sorrow†, â€Å"The Lamb† – â€Å"The Tyger† and â€Å"The Ecchoing Green† – â€Å"The Earth’s Answer. † Taking â€Å"Infant Joy,† from Songs of Innocence, it is told from the perspective of a baby â€Å"but two days old. † The baby is perceived as happy and joyous through lines such as â€Å"joy is my name/Sweet joy befall thee! † and plays on the common ideology that infants are happy and loveable.Yet, its counterpart â€Å"Infant Sorrow,† from Songs of Experience, still told from the perspective of the new born, presents the harsh reality of child birth: â€Å"My mother groand! My father wept. /Into the dangerous wor ld I leapt. † The organisation of the work in this way presents two contrasting views of the world from the same perspective. I believe that the main problem that motivates Blake appears to be the comparison between childhood innocence and what we really experience in the world. The modern idea of wearing ‘rose tinted glasses’ springs to mind, in the sense that as a child we view the world as this magnificent, beautiful nd happy place but as we grow and learn more about ourselves and the world our experiences begin to taint that ‘innocent’ view and the world becomes ugly, harsh and cruel. The primary focus of Blake’s work is to create contrast between the fanciful, innocent view of the unjust, evil and suffering world and the harsh reality that suffering, war, poverty and disease really bring. These songs would have been read to children and it can be presumed that it was Blake’s attempt to teach them something about the world in which t hey were living through engaging their imaginations with his use of poetry.

Sunday, September 29, 2019

How Does Shakespeare Present the Theme of Love and Marriage?

The influences of nature and nurture are ambiguous (unclear), how far do you agree with this statement as far as childhood is concerned? In this essay I am going to be arguing how far I agree that the influences of nature and nurture are ambiguous. To help develop my argument I am going to use the likes of Heathcliff, Cathy, Isabella and the Linton’s. I agree strongly with the statement that the influences of nature and nurture are ambiguous; my reasoning for this is that the novel is not focusing on this aspect and therefore doesn’t get fully explored. The theme of childhood, voiced by the elder Cathy on her deathbed, is continued in the main action of the second half of the book [.. .] in one way or another childhood is in fact the central theme of Emily Bronte's writing'. ‘ This time in Catherine's life, which is unquestionably associated with Heathcliff's appearance in her house and the strong feelings the boy then arouses in her, is, indeed, described at leng th by the narrator Nelly, as it will determine the following events in the novel.Catherine's dreams of happiness are associated with childhood all through her life, and even on her death-bed she still looks like a child in Nelly's eyes: ‘She drew a sigh, and stretched herself, like a child reviving, and sinking again to sleep and five minutes after I felt one little pulse at her heart, and nothing more! †. Finally it is the ghost of a child that visits Lockwood, the newcomer and second narrator in the novel. Until she dies at the age of nineteen, Catherine clings in a passionate way to her childhood memories.The most revealing passage is the scene which takes place after Heathcliff has returned from a long absence and has just quarrelled with Catherine's husband, Edgar Linton. This scene, in which she raves, is significant as it echoes the childhood scenes in which she suffered from being separated from Heathcliff. Her memories have actually never stopped cropping up in an insistent way and she now cannot help lamenting about ‘what has kept recurring and recurring till I feared for my reason. ^ The past years even end up overlapping the present situation and the adult in Catherine totally identifies with the child. The year she has spent with Edgar then seems to vanish at once. Her physical sensations as she lies in her bed at Thrushcross Grange release images from the past and she sees herself lying in her bed years earlier at Wuthering Heights. She yearned to transcend death and to recover the freedom she used to share with Heathcliff when she was a child: ‘Their mutual destruction by tooth and nail in an effort, through death, to get back to the lost state of gypsy freedom in childhood'.

Saturday, September 28, 2019

Ccot Roman 100-600 Ad

Roman Empire experienced division and unity of the empire with the contribution of religion, and language. The government of the Roman Empire had more or less stayed the same through 100 CE and 600 CE. The system was called the Roman Republic where the male citizens of the Roman Empire elected their leaders. In this system, there were senates, consuls, tribunes, perfects, and an Assembly of all male who were free and were Roman citizenship. During the reign of Diocletian in the Roman Empire, the Roman Empire was greatly impacted by the action of Diocletian. When Diocletian entered his reign, he realized that the Roman Empire was becoming too big for one person to rule and decided that he will split the empire in half into the Eastern and Western Roman Empire in 284 AD, making it more manageable to rule. Although the Empire was divided, the two empires supported and help each other. However, in 376, 410, and 468 CE their northern adversaries had launched an attack on the Empire, which made the empires unable to support one another. As time passed, the division between the empires grew and led to more independence. Later on in 306 AD, a civil war called the Civil Wars of the Tetrarchy occurred between the Eastern and Western Roman Empire which lasted for 18 years. The leader of the Eastern half was Maxentius who was power-hungry had planned to kill leader of the western half, Constantine, by creating a rebellion. Because of Maxentius’ lust for wealth, it led to war. In the end of civil war, Constantine won and the empire was united again. However after Constantine’s death in 337, the empire was divided again by his sons. Christianity had a huge impact on the Roman Empire. In the beginning, Romans were polytheistic and believed that the gods were the reason for many things. However Christianity began to spread throughout the Roman Empire and many people began to convert. The emperor Diocletian in 303demanded that they will comply with the traditional Roman religious practices, if not they will be persecuted. Although most of the Christian in their community did deny their faith and worshipped the Roman gods, some Christians would not hesitate to announce their faith in front of a whole Assembly. Though many Christians were persecuted, Christianity rapidly grew because of the nfluence of many great Christians and the benefits of being one such as life after death in Heaven instead of the Underworld. In 313 AD, Constantine announced that Christianity is allowed in the empire in the Edict of Milan. The reason why he allowed Christianity was that before the Battle of Milvian Bridge he saw a cross of light in the sky with words that said, â€Å"By this, wi n! † He placed this sign on every shield and the end of the battle, he won. Not only Christianity was allowed in the empire, but made into the official religion of the Roman Empire by Theodosius in 380. Before the division of the Roman Empire, Latin was the main language of Rome for the Virgil emphasizes it as the source of Roman unity and tradition. Latin was used to write law and birth certificate. However when the empire was divided, the Eastern Roman Empire favored the language of the Greeks considering the fact that many Greeks immigrated to the Roman Empire. With the spread of Christianity, slow diffusion of the Greek language, and the divinity and unity of the empire during 100 AD through 600 AD, it had affected the Roman Empire greatly.

Friday, September 27, 2019

Team Work Essay Example | Topics and Well Written Essays - 1250 words

Team Work - Essay Example e in providing services to the organization’s clients to be able to create a good relationship between employer and employee through initiating motivational plans, which are aimed at ensuring that the employee’s commitments are rewarded to enhance their satisfaction, which will ultimately translate to high quality productivity as well as encouraging employee low turnover. It results from the commitment, inclusion, and motivation of employees. Satisfaction efforts depend on the number of employees in an organization that is, a few employees are catered for easily while it is strenuous to cater for a large number of employees. In the case of WooWoo Widget Production Company, which has fifty employees a motivation plan is necessary to provide time-to-time pay and compensation plans in terms of money for achievements. Further, the plan must create opportunities relevant to employees’ talent and skills to enable them in the long-run get assurance for their job security (Janssen & Van Yperen, 2004). It is notable that, WooWoo’s main manufacturing challenges include product imperfection, high operational costs, and delivery delays. Therefore, the company should involve its employees in appraising operational inefficiencies that result to the escalation of costs (Schermerhorn et al., 2012). Thus, the amputation of such challenges motivates empl oyers and employees hence bringing about job satisfaction. Diligence, proper recruitment, and training are incentives for the realization of high quality work. The motivational plan structure should embrace such incentives and, therefore, make employees own the company dream, which can trigger increased productivity that is important for company success. In addition, the employers must keep track of their personnel progress in terms of training and emotional catering because some of the factors causing poor quality are not necessarily within the workplace. For instance, some employees may have family problems that in some

Thursday, September 26, 2019

Why we crave horror movies Essay Example | Topics and Well Written Essays - 250 words

Why we crave horror movies - Essay Example Casey is a young girl alone in the house. She receives a call which she thinks of as a prank call. She flirts a little when the caller has already sneaked into her house. Wearing a white mask, the killer chases her and then stabs her to death when her parents are just entering the house. Following this is a series of other killings and finally the killers get caught while trying to kill a girl who is the girlfriend of one of the two killers. Since that was the first horror movie I ever saw, it had a bad effect on me. Although I felt sick at the scene when Casey was stabbed to death, still I wanted to watch more. I was scared and I did not prefer to watch the movie alone with lights turned off. I do not understand this feeling even today, that is, how could I enjoy such a movie which was making me so frightened that I could not sleep for a couple of nights. This is what surprises me about human nature. Although I did not want the killers to reach out on Casey and kill her, still I was enjoying her being made fool of through the prank call. Also, although I did not want to see Casey die, still I watched the full scene when she was being stabbed and her dead body being pulled leaving blood marks on the floor. Although I often had my hand on my eyes out of fright, still I did not fast forward the movie.

Person in an event Assignment Example | Topics and Well Written Essays - 3000 words

Person in an event - Assignment Example 47). It was a chilled winter, so cold that it seems like we were about to freeze if we went outside. She was sitting down in chair by her window, reminiscing about the old life that she had in Afghanistan. â€Å"War is terrible for everyone, you know†Ã‚  she said, without looking at me. She stared at the snow as if she wants to melt the snow with the fierce fire in her heart. Looking at her I could tell that she missed her hometown, but at the same time despise it for the fact that a place she once loved so much gave her such a harsh reality. I joined her by pulling a chair next to her. Together, we looked outside the window and I could tell that her heart was as cold as the snow outside. She slowly opened up and talked about her childhood and how happy she used to be in Afghanistan. It seemed like a distant memory now, as it has been decades since she moved to New York. But, her memory about her hometown was still vivid. The occupation of Afghanistan by the Taliban was a brut al reality for the people. They destroyed everything that was dear to their life and they had to run away from a place that they loved so much, a place they called home. â€Å"With the aid of the Pakistani army, the Taliban swept across most of the exhausted country promising a restoration of order and finally capturing Kabul in September 1996† (Gasper). I give her the name Grace, as she seemed like a graceful person. After pausing for some time, she looked at me and choked on her words, she said â€Å"I really could never understand the need for war, can’t they see that they have dislocated everyone?† I could not reply her back as I also could not understand the need to fight with each other. What is war? It is a useless method which puts everyone in misery. War is a coward’s game. When the Taliban took control of Afghanistan, it was a welcomed at first by many people. But, after sometime, it was realized that the Taliban were determined to impose the st rictest Islam law on the people. The women were oppressed and abused. Grace said that once they went to a market with her father and brother and there they saw women being trashed by the Taliban men as the women were accused of venturing outside the house without a male escort. One of the women was bleeding profusely, but no one dared came to their rescue. Such was the harsh reality for many women and unfortunately they could do nothing about it. It was the helplessness that I felt for so long under the regime that made me sank to a great depression she added. When Afghanistan fell in the hands of mujahideen, many groups were not happy with the distribution of power. Hekmatyar in particular was dissatisfied with the new rule. He had a huge stock of U.S supplied weapons and he began his assault of Kabul with artillery and rocket. This struggle of power lasted for almost three years and many thousands of Afghan people were killed by their own people. "The barrage...killed more than 10 ,000 Afghans [drove] hundreds of thousands into squalid refugee camps, created political chaos, and blocked millions of exiles from returning" (Gasper). I have gone through the sufferings and chaos caused by the Taliban people in Afghanistan through many of my researches. After interviewing many people, I could tell that they were tired of the war in their country and many were too sentimental to talk about it as they had

Wednesday, September 25, 2019

Biomolecular techniques (bitter taste perception of Research Paper

Biomolecular techniques (bitter taste perception of phenylthiocarbamide (PTC) - Research Paper Example al, sensitivity to PTC seems to be inherited via Mendelian traits constituting two alleles: T for the taster and the nontaster- t; however in reality it is a complicated inheritance aspect. Today it is known that the sensitivity to PTC is mediated by a gene identified the TAS2R38 or PTC gene that encodes a receptor for bitter taste ( coupled receptor heteromeric G-protein) that is located on the tongue’s surface cells. The analysis focused on determining the presence or absence of the PTC gene amongst a group of 108 students. The results were compared to European and Sub-Saharan cohorts. It was found that he resulted closely matched to those of the European results (ABRF 96: Biomolecular Techniques. An International Symposium Sponsored by The Association of Biomolecular Resource Facilities, 1996). There have been additional PTC gene studies in humans around the world which have shown that exist two main alleles, the taster and nontaster. However, five other uncommon alleles that have an effect on the taster phenotype have been revealed. These varying gene code forms for proteins differ in their being able to bind to PTC and other bitter compounds. The two main PTC gene alleles differ from each other by three single nucleotide polymorphisms (SNPs) as shown in the figure 1. SNPs are representative of the simplest genetic variation type found in individuals. SNP in a genome refers to an exact location where diverse groups of people have differing nucleotides. If more than 1% percent of any given population possess different base thin a specific location, then that location is termed as an SNP. If a population has less than 1% possessing a different base, then it is termed as a mutation (Arimoto, 2005). The common allele for nontaster (also referred to as haplotype) has a position 145 G nucleotide (G145), position 785 T nucleotide (T785) and position 886 A nucleotide (A886). The nontaster allele generates polypeptides with isoleucine, valine and alanine at these

Tuesday, September 24, 2019

Business law Case Study Example | Topics and Well Written Essays - 3500 words - 1

Business law - Case Study Example The respondents was one of the growers who filed a representative suit claiming breach of clause 7.4 contract and sought damages arising out that breach. The Court of first instance heard the case in two separate hearings. The first one dealt particularly with the rule of construction as applied to the disputed clause but also extended in the second hearing. The Judge held that the clause meant offering to growers’ first priority in growing chicks in preference to third parties. The second part of hearing specifically dealt with breach and the implied term of the contract by interpreting the clause on reasonable and equitable grounds. The Judge held in favour of the growers’ that there was breach of the clause and that the growers’ had the capacity to do so, hence the appeal. The Court of appeal reversed that judgment stating that the word capacity related to the appellant’s business growth and not capacity to rear chicken. It gave wide discretion to the a ppellants to contract third parties. Other standard clauses of the contract touching the case at hand included but not limited to the general clause 2, giving an over view that the growers were to provide â€Å"sealable birds† from any farm location ready to be picked and processed by the appellants. It also defined the payment terms. Clause 5 dealt with appellants delivering chicks to growers’ in unspecified quantity but the growers’ had to be notified of that delivery upon picking. The appellants remained the owner of the birds. Clause 7 set out the fundamental obligations of the appellants including providing assistance for â€Å"extra shed capacity† to growers equitably. Clause 8 stated the obligations of the growers’ such as keeping the shed in minimum standard conditions of not less than â€Å"$40 per square meter of shed floor space† and allowing access to that shed by appellants. Clause 12 dealt with the manner of collection of birds from the firm by the appellants. Clause 14 was on payments and notifying the growers’ about it upon collection of birds. Clause 20 was on the five years duration of the contract including termination of the contract if the processing plant was closed. Clause 25 provided for substantial amendment of the contract in writing. and all the above accounts for the case at hand. Case law governing the rule of Construction (b) This is predominantly based on clause 7.4 which according to the Court of first instance gave preference to growers’ as the first people to be offered the opportunity of rearing more chicken unless they are unable to do so. In other words, the appellant were in breach of this fundamental condition by offering such opportunity to third parties at the detriment of growers’. However, the appellate Court differed from the above ratio decidendi stating that Jagot, J did not establish whether the growers’ had capacity to rear more chicks at the t ime, the appellants were allocating the chicks to third parties. Their Lordships made reference to the objective principle enunciated in the case of â€Å"Pacific Carriers Ltd v BNP Pariba†1 to the extent that Court must ascertain the intention of parties by subjecting the clause to the test of a reasonable man in ordinary and plain interpretation.2 That in doing so the Court should not rewrite the clause for that would be interfering with the freedom of contract3 hence causing injustice as upheld in â€Å"

Monday, September 23, 2019

Global Managerial Economics Essay Example | Topics and Well Written Essays - 750 words - 1

Global Managerial Economics - Essay Example There are guidelines that need to be discussed with respect to setting up operations inside Mexico or any member of the NAFTA conglomerate. First, the OECD Declaration on International Investment and Multinational Enterprise drafted on June 27, 2000 and within the Annex outline the guidelines of multinational enterprises address the general policies in that they should: 3. Encourage local capacity building through close co-operation with the local community, including business interests, as well as developing the enterprise’s activities in domestic and foreign markets, consistent with the need for sound commercial practice 5. Refrain from seeking or accepting exemptions not contemplated in the statutory or regulatory framework related to environmental, health, safety, labour, taxation, financial incentives, or other issues 9. Refrain from discriminatory or disciplinary action against employees who make bona fide reports to management or, as appropriate, to the competent public authorities, on practices that contravene the law, the Guidelines or the enterprises policies Within other large automotive companies, using the example of General Motors, the importance of operating succinctly with foreign countries in an effort to work within the confines of NAFTA and OECD including the applicable corporate social responsibilities. For instance, General Motors’ Mexico Corporate Social Responsibility information includes: GM Mexico operations now recycle 94.5% of their hazardous and non-hazardous wastes. As a result of this recycling rate, all Mexico facilities eliminated the disposal of hazardous wastes in landfill beginning in August 2003. Hazardous waste is now recycled or used as alternative fuel. Since 2000, land filled waste has been reduced from 7,369 metric tons to 444 metric tons during 2003. The financial savings from this are calculated to be $990,173. Additionally Non-Hazardous Waste landfill has been

Saturday, September 21, 2019

Impact of Grey Marketing on Indian Economy Essay Example for Free

Impact of Grey Marketing on Indian Economy Essay â€Å"An unofficial market in which goods are bought and sold at prices lower than the official price set by a regulatory agency Grey marketing (also sometimes known as â€Å"gray market†) involves the trade of legal goods through unauthorized, unofficial, and unintended channels of distribution. Hence, trademarked products are often exported from one country to another and sold by unauthorized individuals or firms. This practice is also often known as parallel importing, product diverting, and even arbitrage, and typically flourishes when a product is in short supply, when manufacturers resort to skimming strategies in specific markets. A good example is the trading of crude oil by an individual. The grey market includes services that are typically unregistered to evade taxes. Perfectly legitimate occupations, such as domestic help, babysitters, part time beauticians and freelancers, may not be registered. Not only is it difficult to detect such defaulters, the punishment is usually mild. For example, even as Apple, Inc., rolled out its latest third-generation iPhone on July 11, 2008, several retail stores throughout the world, including those in China and Thailand, continued to take orders even though this product was not being sold in those markets. Their computer codes were unlocked, so that the phones could be used with different mobile service providers. Even in India, one of the fastest-growing markets for cell phones, Apple delayed the release of the original iPhone until mid-2008, a year after the release in the United States and six months after its release in Europe, because of the fear of grey market sales. A wide range of goods and services have been sold through grey markets, including automobiles, broadcasting delivery, college textbooks, pharmaceuticals, photographic equipment, video games, and even wines. Research has demonstrated that every one of the world’s eight major export regions has experienced grey marketing activity damaging to their operations. Parallel market is further encouraged by periods of war or any other crisis. During harsh political conditions or natural disasters, scarce goods are rationed by the government. People have the tendency to violate restrictions or rationing laws to secure the products they desire. In the United States, grey market goods are prohibited according to Section 526 of the Tariff Act of 1930, which expressly forbids importation of goods of foreign manufacture without permission of the trademark owner. However, the implementation of regulation by the U.S. Customs Service and the courts’ interpretation of the law have not been in line with each other. In a recent study, about 13 percent of the firms in North America have reported some form of grey marketing. A positive outcome of grey markets is that they provide brand-name goods at lower prices to the customer. They can create incremental sales in markets not in direct competition with sanctioned dealers, and sometimes help companies overcome distribution bottlenecks because of local government regulations. Occasionally, it is less expensive to tolerate grey marketing than to shut down the operations completely because of the time and resources required to monitor the violations. Finally, eradicating grey marketing activities can provide a firm with sound marketing intelligence regarding customers in these markets and their buying behavior. On the other hand, the phenomenon obviously also has several drawbacks for companies. It simultaneously undermines the manufacturer’s distribution arrangements and their ability to control quality it creates the dilution of exclusivity and damages existing channel relationships. Official dealers may not choose to offer significant services in order to compete with the grey market price for the product. There is likely to be an erosion of the brand’s global image, and the firm is unlikely to have the ability to use traditional pricing strategies, thus having less control over their overall marketing strategies. 2.According To World Health Organization: 2.1.Parallel Imports: Parallel imports are imports of a patented or trademarked product from a country where it is already marketed. For example, in Mozambique 100 units of Bayers ciprofloxacin (500mg) costs US$740, but in India Bayer sells the same drug for US$15 (owing to local generic competition). Mozambique can import the product from India without Bayers consent. According to the theory of exhaustion of intellectual property rights, the exclusive right of the patent holder to import the protected product is exhausted, and thus ends, when the product is first launched on the market. When a state or group of states applies this principle of exhaustion of intellectual property rights in a given territory, parallel importation is authorized to all residents in the state in question. In a state that does not recognize this principle, however, only the patent holder who has been registered has the right to import the protected product. Sometimes referred to as â€Å"grey market† imports, parallel imports often takes place when there is differential pricing of the same product either brand-name or generic drugs in different markets (usually owing to local manufacturing costs or market conditions). The Trade-Related Aspects of Intellectual Property Rights (TRIPS) agreement explicitly states that this practice cannot be challenged under the World Trade Organization (WTO) dispute settlement system and so is effectively a matter of national discretion. Parallel imports can reduce the price of health products and pharmaceuticals by introducing competition. However, they can also affect the negotiation of tiered pricing regimes with pharmaceutical companies. If a private pharmaceutical company agrees to sell a product at a lower price in poor countries, it will need some assurance that the cheaper product will not be imported back into its rich country markets, undercutting its profits (product diversion). 3.Grey Marketing by Industry: 3.1. IPO Grey Marketing in India: Cities like Ahmedabad, Kolkata and Rajkot are the most active centers for the IPO (initial public offerings) grey market. Trades done in the grey market are settled on the day of listing. Once the deal is done at a stipulated price, the seller must deliver the shares after he has been allotted the shares by the company. If the seller falls short in receiving the exact number of shares that he has sold in anticipation, then he must buy the shares on the market (once the share is listed) to honor his commitment. Most of the recently-concluded initial public offerings are quoting at a significant premium in the grey market, compared to their issue prices; this means that the issues are perceived to have been underpriced. Many traders short sell in the grey market if they feel that the premium on offer is unwarranted and that the stock may list at a price lower than what most market players expect it to. Though grey-market operators say that there is a constant change in the grey-market premium, it largely depends on the subscription on the last day and the market conditions, post issue closing. 3.1.1. In the stock market, what is the concept of grey marketing? Grey marketing is a trade of something legal but through unofficial and unauthorized distribution channels. In contrast, black marketing is a trade of illegal goods or services through illegal channels. The grey market of goods is to import and sell products through market channels which are not authorized by the manufacturers. It occurs when the prices of a product differ significantly in different countries. The grey market of securities markets and IPO (Initial Public Offer) is to buy and sell the shares to be allotted in the future. Once the trading is done in the grey market at a stipulated price, the seller must deliver the sold number of shares to the buyer on the day of listing to honor the commitment. 3.1.2.Effect of Grey Market Trading on Indian Economy 3.1.2.1Grey Market: Rs. 1L in Reliance Power IPO will earn 9% in 20 days [pic] AHMEDABAD: Reliance Power (REPL) seems to have electrified grey market operations in Ahmedabad with operators willing to shell out as much as Rs. 9,000 for every application of Rs. 1 lakh. In the bustling grey market in Gujarat, such high rates are unheard of. The last benchmark for hectic activity was the Mundra Port and SEZ IPO in November when the grey market started buying applications for Rs. 7,500 in the last stages of the issue. With the REPL offer ready to hit the market on January 15, the grey market is trading the shares and the applications. It basically means that if you have Rs. 1 lakh to invest when the IPO opens, you have a secured 9% return within 20 days of closing of the issue when the stock would be listed. After SEBI cleared REPLs IPO, grey markets had resumed trading in the stock with premium saudas (trades) at Rs. 340-350 and application buying rate at Rs. 7,500. While the premium has zoomed to Rs. 390-400, the applications rate touched Rs. 9,000 and could break the Rs. 10,000 mark by the time the IPO hits the market, sources said. The excitement on the counter in the grey market has come on the heels of news that REPL will offer 5% discount to retail investors, who will also get an option to pay only 25% of IPO amount at the time of application. 3.1.2.2.Reliance Power IPO: Grey market sees Rs. 2000 crore loss: [pic] AHMEDABAD: The dismal debut of Reliance Power on the bourses may result in losses to the tune of Rs. 2,000 crore in the grey market. Operators also fear a payment crisis as many investors are threatening to hold back payments. Grey market players — both operators and investors — who were expecting the stock to list in the range of Rs. 550-Rs 600 per share, were in shock as Reliance Power opened at Rs. 430 and closed at Rs. 372.50 on its first day on the exchanges. This could also adversely impact the premium transactions in forthcoming IPOs (initial public offers). Ever since the grey market began trading in this IPO, the premium on Reliance Power shares had peaked at Rs. 450 over and above IPO price of Rs. 450 per share. Majority of trading in R-Power IPO in the grey market was done at an average premium of Rs. 300 per share. As the issue closed at Rs. 372.50, most market operators, who had taken huge exposures, have lost Rs. 377 per share. It is estimated the grey market has already taken an exposure of five crore equity shares, leading to losses worth Rs. 1,900 crore. It is also learnt that many investors in Jaipur have refused to honor their payment commitment to grey market operators in Ahmedabad, as the IPO plunged after listing. This could well result in operators losing out on large sums of money and have a cascading effect in the market. 3.1.2.3.Grey market bets big time on DLF IPO: [pic] AHMEDABAD: Only time can tell whether you could get the elusive pit of gold at the end of the DLF IPO rainbow. But, street savvy investors in Gujarat have already started earning a secured 4% return on their investment in the initial public offer of the countrys biggest realty developers, much before the offer hits the market on June 11. Large numbers of investors, who want to earn secured interest earning up to 4%, are selling their IPO applications to grey market operators in Ahmedabad. Although the DLF IPO is opening from May 11, IPO applications are being sold anywhere between Rs. 3,800 and Rs 4,000 for a single application worth Rs. 1 lakh. Activities in the Ahmedabads grey market, popularly known as Sakar Bazar, has gradually been heightening as the market enters the final week before a deluge of public offering hit the primary markets. Led by DLF IPO, the next two months could see close to Rs. 50,000 crore being raised from the market. On one hand, the grey market is witnessing huge trading in IPOs, which are yet to be listed on the bourse. On another hand, people are selling their IPO applications to the grey market operators for a secured interest. Even as DLF shares are yet to be listed on the bourse, operators in Ahmedabads grey market are trading DLF shares at a premium of Rs 37 to Rs 38 on its issue price of Rs 500-Rs 550. Similarly, Meghmani Organic is fetching a premium of Rs 5 over its issue price. And, its not only in the case of these two IPOs. All IPOs are traded in the Ahmedabad grey market, which seems to have a handle on the pricing of IPO listings. It has been found by most market participant of the capital market that majority of the IPOs listing prices are normally close to the last trading price of the IPO in the Ahmedabads grey market. 4.WINE: The grey market in wine flourishes, particularly in the case of champagne. Many large champagne producers do their own importing, and desire to maintain independent price points in different markets. Thus a bottle of Champagne might cost US$35 in the United States while the same bottle might be only 15 Euros in France. It is often profitable to buy the wine in Europe from an authorized distributor, and resell it in the US. In the case of enormous pricing disparity, it is not uncommon to find a grey-marketed wine selling for less at retail than the wholesale price of the authorized distributor. In the case of a large availability disparity between the US and Europe, the grey market price may be the same or higher than the authorized price. Typically the importer of a wine is the one most concerned about grey market sources. The winemaker may or may not care what happens to the wine after it is sold, although he or she might complain to appease an importer. 4.1.India imports 72,000 cases of wine a year PUNE: The Indian wine market is growing at 30-40% annually and this rate will continue for the next 5-6 years in keeping with global trends. However, the current per person per year consumption of wine in the country is as low as 9-10 ml. The Maharashtra Industrial Development Corporation has mentioned this in its note on the grape wine industry of Maharashtra, based on a report prepared by Rabo International Bank. The highest wine consuming countries such as France and Italy has per person wine consumption as high as 60 to 70 liters annually. Those in China consume four liters, the report stated. Domestically, 80 % of wine consumption is confined to major cities like Mumbai (39 %), Delhi (23 %), Bangalore (9 %) and Goa (9 %) whereas rest of India has only 20 % consumption. The MIDC report further stated that India currently imports 72,000 wine cases (nine liters to a case) a year. About 32,000 of this are bottled at origin and the other 40,000 cases are imported in bulk flexi bags, which are subsequently bottled by Indian wineries. Besides this, about 12,000-15,000 wine cases are sold through the grey market. In 2009-2010, some seven lakh liters of wine worth Rs. 5.92 crore was exported to France, Italy, Germany, US, UK, Singapore and Belgium from Maharashtra. The state had announced its `Maharashtra Grape Processing Industrial Policy 2001 on September 19, 2001 with wine as an important part of it. According to a report by MIDC, four components are required to make good wine. Those are soil, climate, vines and human factor that is the people who brew wine. A lot depends on finding the ideal balance between the characteristic of soil, the microclimate and the grape varieties. At present wine grapes are grown on a 7,000 acre area in the state. In 2010 there were a total of 74 wines making units (36 in Nashik, 13 in Sangli, 12 in Pune, 5 in Solapur, 4 in Osmanabad, 3 in Buldana and 1 in Latur district) that had started production in the state. At present, total production of wine in the country is 1.45 crore litres from 90 wineries in the country. Of that, 1.32 crore litres wine is produced by 75 wineries in Maharashtra. The total investment in wineries was Rs 431.71 crore in 2009 which rose to Rs 452.10 crore in 2012. France, Italy, Spain, Germany are the main grape wine producing countries in the world. Nearly 32,000 million litres wine is produced per annum. 5.AUTOMOBILES: Automobile manufacturers segment world markets by territory and price, thus creating a demand for grey import vehicles. In the United Kingdom the term applies to vehicles imported either new from cheaper European countries or from Japanese domestic models imported secondhand from Japan or Singapore, which both have strict laws against older cars. This importation of secondhand models from Japan/Singapore tends to involve sports models that were never released in the UK or models that fetch a high price in the UK due to their performance or status. Although some grey imports are a bargain, some buyers have discovered that their vehicles do not meet British regulations or that parts and service are hard to come by because these cars are different from the versions sold new in the UK. In New Zealand, grey market vehicles comprise a majority of cars in the national fleet. These secondhand imports have achieved normal status and are used and serviced without comment throughout society. A huge industry servicing and supplying parts for these vehicles has developed. After years of trying to stop grey imports the car companies themselves have become involved, importing in competition with their own new models. 6.MOBILE HANDSET: iphone Launch gets hit by Grey Marketing: 6.1.Low-cost handsets to get impacted, says industry: Nearly 75 per cent of the currently available mobile handset models in the market could get defunct or redesigned with the Government deciding to bring in new radiation norms for the telecom sector. The Department of Telecom has accepted a proposal by an inter-ministerial committee to lower the permitted radiation in mobile phones by 50 per cent. The move will impact almost all the handset makers, especially those who operate in the low-end segment. 6.2.Handset price: According to the Indian Cellular Association, the new radiation norm will jack up handset price by 5-30 per cent as handset makers will have to make additional investments to meet the new rules. According to the new guidelines, handsets should not have Specific Absorption Rate (SAR) of more than 1.6 watt/kg taken over a volume containing as mass of 1 gram of human issue. This is the same levels allowed in the US. India till now followed the European standards wherein handset makers are allowed to have SAR levels of 2 watt/kg on a 10 gram human issue. Globally, about 1,500 million mobile phones are sold per year out of which more than 80 per cent is sold in countries where European guidelines are followed. In India, there about 10 global brands, another 15-20 Indian brands and more than 4,000 importers who trade in unbranded Chinese phones. â€Å"Most of the handsets under Rs 11,999 which are approximately 645 or so would have to be redesigned. Effectively, this would disrupt the entire operation of more than 88 per cent of the legal handsets sold in the market (the legal market is approximately 70-75 per cent of Indias total volume market). All global brands and domestic brands will get seriously impacted by this,† Mr. Pankaj Mohindroo, President, Indian Cellular Association. 6.3.Chinese handsets: The industry is worried that the new guidelines will have no impact on the Chinese unbranded grey market phones, which is handled by over 4,000 importers with volumes between 3 and 4 million a month. The handset makers fear that the grey market will get a window of opportunity of approximately 6-9 months to rapidly expand their volumes before the branded companies start bringing redesigned phones. â€Å"If the Government is bringing new laws to address concerns of health and security then it should also set up good monitoring. While the branded phones will have to bear the costs to redesign phones, grey market devices will continue to be available without any check,† said Mr. S.N. Rai, Co-founder Director, Lava International – one of the Indian handset Company. According to ICA, the industry would be able to redesign approximately 100 models in about 6-9 months and 200 in 24 months. There are about 850 handset models available in the market at present. â€Å"The legal industry will never be able to redesign all the models and the availability would constrict to at best 150- 200 models within 18-24 months of implementation of such norms,† Mr. Mohindroo said 6.4.Ultra low-cast models: ICA said that in the case of ultra low-cost handsets, it may not be possible to redesign these handsets and all the models in the ultra low-cost handsets less than Rs 1,500 could get knocked out of the market. Apart from lowering the permitted radiation levels, the new guidelines also make it mandatory for handset makers to display the SAR level on the handset. The DoT is expected to notify the new norms shortly. Keywords: mobile radiation norms, low-cost handsets to get impacted, Specific Absorption Rate (SAR) 6.5.Dark days for mobile grey market: The import duty on mobile phones has been reduced from about 16 per cent to around 4 per cent.Industry participants also believe that the shift from grey market to the legal market is by and large on the account of growing number of mobile retail stores. The mobile stores provide accessibility to the consumers. Our mobile stores are at all the visible locations, so consumers can walk in anywhere and get the best deals possible, said Subhiksha marketing vice-president Mohit Khattar. Industry analysts say that a huge grey market exists because of the differential of around 10 per cent to 25 per cent between legal and grey handset prices.With growing competition in the organized mobile retail market, players are offering products at lower prices. This, in turn, helps counter the grey market and bolsters footfalls in these stores. Consumers can buy high-end, genuine branded handsets with guarantee of replacement or repair through the mobile retail stores. Trust is the predominant factor that consumers are turning towards the branded retail stores, said HotSpot CEO Sanjeev Mahajan. Consumers are opting for accessibility and do not mind paying extra for it. The grey markets operate from a few areas in a city. On the other hand, mobile stores are more easily accessible as they are located in all prominent markets. The growing brand consciousness among the people, analysts say is also propelling the consumers to approach branded mobile retail stores. Mobile phone retail chains like Mobile Store, Mobi Retail, RPG Cellucom, currently account for just 7 percent of the overall mobile handset market, which has a market share of Rs 15,000 crore. Currently, the impact of mobile retail stores on the grey market is minimal. However, considering the rapid growth rate of organized mobile retail, its contribution is set to increase in the next 3-4 years, said retail consultancy Technopak Advisors chairman Arvind Singhal. Though the grey market in mobile phones has reduced, a large (75%) grey market still exists in mobile phone accessories such as batteries and chargers, which are often available at one-tenth the price of company branded accessories . Last year, the mobile phone makers asked finance ministry to reduce 34% duty on imported accessories, but nothing concrete has happened as yet. 7.PHOTOGRAPHIC EQUIPTMENT: Generally regarded as legal in most countries, parallel imports make expensive photographic equipment attractive to savvy users. The grey market in photographic equipment is thriving in highly developed and heavily taxed states like Singapore, with dealers importing directly from lower taxed states and selling at a lower price, creating competition against a local authorised distributor. Grey sets, as colloquially called, are often comparable to authorised imports. Lenses or flash units of parallel imports often only differ by the warranty provided, and since the grey sets were manufactured for another state, photographic equipment manufacturers often offer local warranty, instead of international warranty, which will render grey sets ineligible for warranty claims with the manufacturer. Due to the nature of local warranty, importers of grey sets usually mask the flaw in warranty with their own warranty schemes. These are often warranties with reduced benefits or lasting a shorter period of time. Grey sets do not differ particularly from an authorised import. They look and function identically, apart from the manufacturers warranties having been voided. 7.1.Grey market for digital cameras may bite the dust soon: KOLKATA: Grey markets for digital cameras may soon become a thing of past, feel the imaging majors in India. It is certainly the year of demise for grey market in compact category, and the sun will set soon in DSLR (Digital Single Lens Reflex) segment, said Alok Bharadwaj, senior V-P, Canon India. Though being an unorganized sector, it is spread in many metro cities, like in Kolkata, at Metro Galli, Kidderpore, and in Delhi, at Pallika Bazar. Earlier, Nikons competition was Nikon grey but now the scenario has changed and grey market has shrunk a lot. Its no more a cause for concern, said Sajjan Kumar, GM, imaging, Nikon India. According to Bharadwaj, the grey market in the country is mostly activated in DSLR segment and its roughly around Rs. 250 crore, but since India is the main focus for all the global camera majors and as a consequence of that, the market is also increasing rapidly, which is ultimately causing the death of grey market. The general trend amongst consumers is to buy expensive lenses and camera bodies from the grey market at a cheaper rate, but now with most of the players providing the product at a place nearby them, with an extended guarantee period and free memory cards, people are ready to buy it from us officially, said Kumar. More awareness among the consumers and round-the-clock marketing have also stepped up the chances to diminish the grey market, said Hiroshi Takashina, MD, Nikon India. It may be noted that Nikon India has recently doubled its marketing expenditure to Rs. 120 crore from last years Rs 60 crore. Another common feeling amongst the leading camera players is, if government reduces tax on the DSLR bodies, lens, accessories, then the process of erasing grey market will be rapid. Currently, the basic duty on lenses and accessories is still at 10%, which makes it a little difficult for us to bring DSLR prices further down, despite a phenomenal growth in the sector, said a top official of Olympus India. Currently only 1% of Olympus Indias sales is affected by grey market. The Comprehensive Economic Partnership Agreement (CEPA) will benefit us surely to cut the excessive costing, feels Bharadwaj. It may be noted that India and Japan have signed the CEPA Act, under which both the countries will enjoy some trade benefits during the bilateral trade. According to Takashina, India is a price conscious market where 75% of the sales are in the category of cameras priced below Rs.10,000, so with more shopping shop concept and 24 hour customer care backup, it is now more sensible for a customer to buy the gear from official dealers than to go and buy it from the grey market. 8.BROADCASTING: In television and radio broadcasting, grey markets primarily exist in relation to satellite radio and satellite television delivery. The most common form is companies reselling the equipment and services of a provider not licensed to operate in the market. 8.1Industry body opposes levy on TV sets: [pic] NEW DELHI: Consumer electronics industry said on Monday that sale of television sets would be hit and investment flows affected, if government imposes a license fee on TV sets. Also, share of the grey market would go up if such a proposal is accepted, Anoop Kumar president Consumer Electronics and TV Manufacturers Association (Cetma) said.[pic] Government is planning to impose a license fee of 10-15% on purchase price of each TV set, to provide financial help to Prasar Bharati. If the proposed levy is imposed, the level of taxation on TV sets would rise to 45-50% and the share of the grey market will certainly increase, a Cetma official said. When total incidence of taxes on ACs was about 50%, the grey market was more than 80%. With the reduction of taxes, the grey market for ACs has practically disappeared. The increase in the share of grey market for TV sets will ultimately result in loss of revenue to the government, Cetma added. Cetma said any additional burden would result in a major slowdown of the television industry, already reeling under heavy taxes. 9.VIDEO GAMES: Grey markets can sometimes develop for select video game consoles and titles whose demand temporarily outstrips supply and the local shops run out of stock, this happens especially during the holiday season. Other popular items, such as dolls can also be affected. In such situations the grey market price may be considerably higher than the manufacturers suggested retail price. Online auction sites such as eBay have contributed to the emergence of the video game grey market. 10.How to control the web of Grey Marketing? In order to reduce the impact of grey market goods, firms can take the following strategies: Enforcement of intellectual property rights Manufacturers or their licensees often seek to enforce trademark or other intellectual-property rights against the grey market. Such rights may be exercised against the import, sale and/or advertisement of grey imports. However, such rights can be limited. Examples of such limitations include the first-sale doctrine in the United States and the doctrine of the exhaustion of rights in the European Union. When grey-market products are advertised on Google, eBay or other legitimate web sites, it is possible to petition for removal of any advertisements that violate trademark or copyright laws. This can be done directly, without the involvement of legal professionals. eBay, for example, will remove listings of such products even in countries where their purchase and use is not against the law. Refusal to supply Manufacturers may refuse to supply distributors and retailers (and with commercial products, customers) that trade in grey-market goods. They may also more broadly limit supplies in markets where prices are low. Refusal to honor warranties Manufacturers may refuse to honor the warranty of an item purchased from grey-market sources, on the grounds that the higher price on the non-grey market reflects a higher level of service. Alternatively, they may provide the warranty service only from the manufacturers subsidiary in the intended country of import, not the diverted third country where the grey goods are ultimately sold by the distributor or retailer. This response to the grey market is especially evident in electronics goods. Reliance on regulation Local laws (or customer demand) concerning distribution and packaging (for example, the language on labels, units of measurement, and nutritional disclosure on foodstuffs) can be brought into play, as can national standards certifications for certain goods. Tracing grey-market goods Manufacturers may give the same item different model numbers in different countries, even though the functions of the item are identical, so that they can identify grey imports. Manufacturers can also use batch codes to enable similar tracing of grey imports. Parallel market importers often de-code the product in order to avoid the identification of the supplier. In the United States, courts have decided that decoding which blemishes the product is a material alteration, rendering the product infringed. Parallel market importers have worked around this limitation by developing new removal techniques.

Friday, September 20, 2019

Fatigue Cracking of Pavement

Fatigue Cracking of Pavement Introduction to fatigue cracking of pavement Fatigue or alligator cracking is the most common type of pavement distress, it is infact the major one. This is the type of distress in which series of interconnected cracks appears due to the fatigue failure of the HMA surface when the pavement experience repeated traffic loading. These type of cracks later allow moisture infiltration into the pavement, the road surface gradually gets more rough, the infiltrated moisture then again accelerate the existing cracking which in worst case may end up being a small to large sized pothole. In other words, as the traffic loads get repeated on the pavement, fatigue cracking starts to initiate at the bottom of the flexible layer, which accounts for the tensile strains at the bottom of the HMA layer (Huang 1993).   Researchers suggested that, for the M-E structural design process of pavement, this tensile strength must be kept in limit in order to check against fatigue cracking (Shook,1982). Figure 1: Schematic diagram of Fatigue Craking Mechanism in Pavement Cross Section (Priest et al., 2006) Apart from the repeated stresses incurred upon the pavement surface, fatigue cracking may take place due to aging, temperature changes or inadequate drainage. The effects of these factors are really complicated which my lead to undesirable changes to asphalt, associated with the poor durability properties of the HMA layer. (Finn 1967). Though due to previous research, it was believed that, most of the cracks initiates at the bottom and then make its way to the top of the asphalt layer, which is also termed as bottom up fatigue cracking, recent studies shows that, in most cases, cracks initiates at the pavement surface on the wheel path and then make its way down to the bottom (Myers and Roque, 2001). Federal Highway Administrations Distress Identification Manual for the Long-Term Pavement Performance Program mentioned about three levels of severity for fatigue cracking, which are high severity fatigue cracking, moderate severity fatigue cracking and low severity fatigue cracking. High severity fatigue cracking is the ultimate stage of fatigue cracking. When the pavement has been stressed to the limit of its fatigue life, it is no longer attractive and is barely functional. This stage is called high severity of fatigue cracking. In this case, the cracks are formed in large areas and there are several pieces of loose surface asphalt. Pavement in this condition needs repair immediately. Moderate severity fatigue cracking is the stage when distinguished the arrival of connecting cracks are well recognized. The cracks tends to increase gradually and lower layers of road materials become evident. Heavy traffic load usually break the surface asphalt layer in pieces. Low severity fatigue cracking usually indicates an area of asphalt having only small cracks with very few or none of them connecting to display the zig zag alligator type shape. Also the cracks are not evidently removing lower layers of the road materials. (Miller, 2003) Figure 2: Fatigue Cracking in Pavement (Priest et al., 2006) Over the years, the researchers are trying to come up with a simple and standard fatigue testing procedure as till this date, there is no such standard test for fatigue cracking, as different states are evaluating performance against fatigue cracking differently. Tangella et el (1990), came up with an equation to measure the fatigue life, which also accounts for the varying temperature and loading frequency. Nf= k1 (1/ÃŽÂ µt)^k2 (1/E)k3 Where, Nf= Number of load cycles until fatigue failure ÃŽÂ µt= Applied horizontal tensile strain E= HMA mixture stiffness K1,k2,k3= Regression constant In their study, they emphasized on the flexural fatigue test, diametral fatigue, and tests employing fracture mechanics principals, as the most promising test procedures to characterize fatigue cracking. Later till this period, there are different test procedures such as, Overlay (OL) test, Indirect Tension (IDT) test, Direct Tension (DT) test, Semicircular Bending (SCB) test, are most commonly used to categorize fatigue cracking in the lab. In addition, comparison with the observed result with the field cores is also important. Hajj et al. (2005) emphasized on the mechanistic analysis to understand the interaction between structure, stiffness, and laboratory testing so that a balance can be made for the given field and traffic conditions on a per-project basis. They concluded that, as the field pavement has stiffer structure which will generate lower strains under traffic therefore a longer fatigue life will be observed in the field. Therefore, an overall study is required to charac terize fatigue cracking of the pavement. References: Huang, Yang H. Pavement Analysis and Design New Jersey: Prentice Hall,1993 Shook, J.F., F.N. Finn, M.W. Witczak, and C.L. Monismith. Thickness Design of  Asphalt Pavements The Asphalt Institute Method, Proceedings, 5th International  Conference on the Structural Design of Asphalt Pavements, Vol.1, The Netherlands,  1982, pp. 17-44. Miller J.S., Bellinger W.Y. Distress Identification Manual for the Long-Term Pavement Performance Program (Fourth Revised Edition), Technical Research Report FHWA-RD-03-031. Federal Highway Administration 6300 Georgetown Pike McLean, VA 22101-2296, 2003. Priest A.L. Timm D.H. Methodology And Calibration Of Fatigue Transfer Functions For Mechanistic-Empirical Flexible Pavement Design, NCAT Report 06-03. National Center for Asphalt Technology, Auburn University, Alabama, 2006. Tangella, R., J. Craus, J. A. Deacon, and C. L. Monismith. Summary Report on Fatigue Response of Asphalt Mixtures. TM-UCB-A-003A-89-3, SHRP Project A-003-A. University of California, Berkeley: Institute of Transportation Studies, 1990 Hajj, E. Y., P. E. Sebaalay, and D. Weitzel. Fatigue Characteristics of Superpave and  Hveem Mixtures. Journal of Transportation Engineering, ASCE , 2005, pp. 302-10.

Thursday, September 19, 2019

Rogers And Hammersteins South Pacific Essays -- Rogers Hammerstein So

Rogers and Hammerstein's South Pacific Works Cited Not Included   Ã‚  Ã‚  Ã‚  Ã‚  In Rogers and Hammerstein's South Pacific, the main theme is racial prejudices. The two main characters, Emile de Becque and Nellie Forbush are faced with these problems as they attempt a relationship. Two other minor characters, Lt. Joe Cable and Liat, are faced with the same dilemma. Both Nellie and Joe Cable have a hard time coping with their own racial prejudices; Joe loves Liat, yet cannot marry her because she is Tonkinese ; Nellie loves Emile, but cannot marry him because of his former Polynesian wife. It is these prejudices that set the state for what might be the most significant scene in the production. In act 2, scene 3, Nellie reveals her prejudices to Emile. I can't help it. It isn't as if I could give you a good reason. There is no reason. This is emotional. It's something that is born in me. She looks to Cable for help in describing what she feels, but he offers no help. Emile tells her that it is not born in her, that it cannot be born in her. Nellie, who is crying, runs off. Emile is left with Joe, who is thinking over his own relationship with Liat. Emile asks him why he and Nellie think that these prejudices are born in them. Joe, giving him the product of his thoughts, tell him "It's not born in you."   Ã‚  Ã‚  Ã‚  Ã‚  It is at this point that Joe Cable begins singing "Carefully Taught," a character song in which Joe is able to vent his frustrations and anger about his own ...

Wednesday, September 18, 2019

Tuvalu and Impacts of Global Warming Essay -- Anthropology

Tuvalu is a nation that is hanging on the brink of extinction. The effects of global warming have had an enormous impact on the sustainability of life within the nation. Consisting of nine coral atolls, the highest point is five meters, and the average height is less than two meters above sea level. (UN) The lasting impacts that global warming has on Tuvalu include: rising sea levels, coral bleaching, ocean acidification and scarce amounts of fresh water. However while these factors are all directly environmental problems, global warming has the potential to destroy the rich cultural life in Tuvalu, where eleven thousand residents live. The land is disappearing and the lives of citizens are threatened. Realistic and radical approaches to these problems faced by Tuvalu include evacuation of all residents to a safe location (realistic), or the building of an Environmental Island known as Green Float (radical). Both solutions save the residents of Tuvalu, however there is no hope to sav e the land which has been doomed by the industrial endeavors that have caused global warming. Evacuation of the citizens of Tuvalu will save them from submerging with their nation, however the question of where they could evacuate comes to question. â€Å"After being rebuffed by Australia, the Tuvaluans asked New Zealand to accept its 11,000 citizens, but it has not agreed to do so.†(Brown) Tuvalu is â€Å"one-half of the way between Hawaii and Australia,† (CIA) which makes Australia a likely candidate for migration of Tuvaluans, likewise with New Zealand. However, both of these nations have denied Tuvalu accessible land for migration. â€Å"The idea of climate refugees is still something these Pacific islands are looking at, and the governments and organizations... ...Tuvalu: Flooding, Global Warming, and Media Coverage." Tuvalu: Flooding, Global Warming, and Media Coverage. Web. 19 Apr. 2012. . Matau, Robert. "PACNEWS." PACNEWS - Regional News. Pacific Islands News Association. Web. 08 May 2012. . Shimizu Corporation. "The Botanical City Concept." TRY2025 The Environmental Island -GREEN FLOAT. Web. 08 May 2012. . UN. "Tuvalu’s Views on the Possible Security Implications of Climate Change to Be Included in the Report of the UN Secretary General to the UN General Assembly 64th Session." Web. 19 Apr. 2012. .

What’s in a Name? :: Personal Narrative Writing

What’s in a Name? My dad has this old Bill Cosby record that he used to listen to in the age of record players (now he's got the very same in CD version). It was a comedy routine in which Cosby describes his childhood. He reminisces in particular about how he could tell when he was in trouble. His father would say something to the effect of "GODDAMIT, GET OVER HERE!", and then Cosby throws out the punch line of the story: Up until he was about ten years old, he thought his name was "GODDAMIT." I never had to be addressed as GODDAMIT to know I was in trouble. In my father's voice, it was volume that usually revealed this information. When my eardrums hurt from hearing my name, my FULL name, JANET PAULINA MORRIS, my dad didn't want any other poor children within earshot to think they were in trouble; however, he did intend for everyone within a five-mile radius to hear that I was in for it. When my mother had to call out my name in order to reprimand me, even if it was in private, she had to pretend we were in church or something. Her voice became very low pitched, almost a whisper, and then came the recitation of the three lovely words with which I had been baptized, JANET PAULINA MORRIS. Though she nearly whispered, there was nothing serene or endearing in her tone of voice when scolding me. It didn't matter what she said . . . "I love you very much" could be thrown from her mouth like a dagger when she used that tone of voice. There is a point in communication where words are of no consequence in bringing across a particular message. Sometimes, what is said is irrelevant, and how it is said singularly brings across this message. It all depends on diction. Aristotle was the first to coin the term "diction" in his analysis of the making of art and other things in Poetics. Diction, Aristotle claimed (only I think he made this claim in Greek), clarifies language and alludes to a source of interest in a speaker's tone of voice. My mother's source of interest was, um, well . . . me. She wanted to make sure that I knew exactly where she was coming from and exactly what I was supposed to do about it.

Tuesday, September 17, 2019

Communication Needs

We all have a right to communicate and voice our opinions. If an individual's communication needs are not met, this means they are being deprived of their basic human rights. They will be unable to express themselves and communicate how they are feeling, what they want to do, what they need, etc. If individuals are unable to communicate their needs it will have an impact on their well-being, relationships with family, friends and other members of their community. Explain how own role and practice can impact on communication with an individual who has specific communication needs. In my role as a support assistant it is my duty to ensure that I work in a person-centred way to support, encourage and promote individuals to live independently. This includes treating them with respect and dignity. I speak clearly and not use any jargons, etc. I identify their preferred method of communication. It would be bad practice to not meet the individual's communication needs. The individual may not receive the correct support or assistance. They will be unable to share their views or concerns, or have a say in what happens to them or express how they feel or what they need.They may become frustrated, angry and isolated. They may also become depressed, feel undervalued and have a low self-esteem. Analyse features of the environment that may help or hinder communication Features that may hinder communication may include, poor lighting, lack of privacy, distraction, noise from TV/radio, people all talking at the same time, seating arrangements, not facing individual when talking to them, covering mouth, eating or chewing, talking too fast or too sow, poor ventilation, room too hot or cold. Features that may help communication may include, talking slowly, clearly and concisely, eliminating any background noise, turn TV/radio down or off, sitting individual where they can hear or see what is going on, facing the individual when talking to them, using flash cards, pictures, etc. , not covering mouth, eating or chewing, finding a quiet place to talk, making sure room is well ventilated and at a comfortable temperature Analyse reasons why an individual may use a form of communication that is not based on a formal language system The individual ay be from another country. They may not have been taught a formal language system. They may have developed a system that is easy for them to understand.They may have a hearing or sight impairment or have a learning disability or mental health issues. Identify a range of communication methods and aids to support individuals to communicate A range of communication methods and aids that support individuals to communicate include sign language, body language, interpreters, hearing aids, hearing loops, speech aids, minicom, writing, drawing, pictures, objects, symbols, etc. Describe the potential effects on an individual of having unmet communication needs Unmet communication needs means that the individual is being deprived of their basic human rights. They will not be able to voice their concerns or opinions. The individual may develop mental health problems and may become depressed, frustrated, angry and isolated. This will also have an effect on their relationship with family and friends. Explain how and when to access information and support about identifying and addressing specific communication needs. It is important to take action as soon it has been identified that an individual has specific communication needs. You should establish what the needs are. Talk to the individual, their family, friends or others who are may support the individual to find out how to meet identified needs. Information can be sort from relevant support groups, social services or other professionals with experience in a specific area of communication. The individual's GP can also make a referral to a consultant specialising in the relevant field. Identify specialist services relating to communication technology and aids There is a range of communication technology aids available, including devices known as Voice Output Communication Aids (VOCA) and Augmentative and Alternative Communication (AAC). VOCA are dedicated to communication and may not have any computer functions. AAC devices are either symbol or text based. There are also communication software that can be added to a computer, mobile phone or PDA to enable a person to type what they want to say and play it back so others can hear what was typed. Describe types of support that an individual may need in order to use communication technology aids The device/equipment should be personalised to meet the individual's need and set up correctly. The individual and others supporting them should receive training on how to use the device. The individual should be supported to ead and understand the instructions and to follow any health and safety advice on how to use the device correctly. Explain the importance of ensuring that communication equipment is correctly set up and working properly It is important to ensure that the equipment is set up correctly and working properly otherwise it would be a waste of time and money as the individual's communication needs would still not be met. There could also be health and safety issues if the equipment is not set up or used correctly.

Monday, September 16, 2019

Ethical Practice In Counselling Essay

What is ethical practice in counselling? How is this reflected in the skills, competencies and qualities of an effective counsellor? Part A The aim of this assignment is to show what ethical practice is in counselling and how carrying out ethical practices make a more effective and competent counsellor. The first part explains what is meant by ethical practice. The second part will examine boundaries implemented by counsellors to protect both parties. The second part focuses on the skill of listening along with other non – specific factors in order to be an effective counsellor. Next part defines a competent counsellor and the problems which occur when this is absent. The final part examines the ethical issue of advice and explains the implications of giving advice. Working in a counselling role whether it is voluntary or professional it is important you adhere to the ethics set out. There is a unified ethical code set out by the British Association for Counselling and Psychotherapy (BACP). The ethical framework in which counsellor’s ensure they carry out their roles appropriately along with the understandi ng that they be held accountable with regards to client wellbeing and safety. The BACP is not designed to hinder the counsellor but work alongside their values, morals and principles to protect clients in terms of expectation, rights and quality of care. General ethical commitments are expressed through their principles. These are fidelity; autonomy; beneficence; non-maleficence; justice and self-respect. Personal qualities of a counsellor are important and interlink with values and principles of the counsellor, these consist of empathy; sincerity; integrity; respect; resilience; competence; wisdom; humility and courage. The use of their skills, competencies and qualities combined with their principles should make an effective counsellor. (Langridge, 2008) (BACP, 2013) Boundaries could be defined as a framework in which the client and counsellor work together. It acts as a safety net to ensure that the client does not come to any harm. This works alongside the ethical practice of non-maleficence. The counsellor makes clear their expectations / limitations so it’s visible to the client and also helps avoid malpractice. These boundaries also help ensure the client / counsellor is kept safe. An example of these metaphorical boundaries would be a verbal agreement as it sets out the key  features and identifies what needs to be done to avoid misunderstandings. (Langridge,2008). Th e qualities needed from the counsellor to implement this would be sincerity and integrity. The sincerity to be consistent by doing what you said you were going to do. Integrity here can be seen as moral, straightforward and honest in stating your limitations and drawing up an agreement (BACP 2013). These boundaries are set out in a way to suit each counsellor some are fixed and some more flexible, some may argue that this can be damaging to the relationship if they are over or under boundaried (mcleod, p.229) An example of boundaries is shown in the DVD (OU, 2008, section 4) where Helen (counsellor) is talking to James she clearly sets out boundaries stating she was not qualified but could help in a listening capacity (a skill which is very important) and also that the conversation was confidential this ensured the clients well-being and also covered the counsellor from any ethical backlash i.e malpractice. Jamie understood this and continued the conversation. Counsellors use non-specific factors when engaging with clients. A vital skill involves actively listening, this requires the counsellor to absorb all information given to them by the client without pre judgement or imposing own ideas (this can be seen in emotional and mental safety). This demonstrates to client that you think they are very important and you care (Langridge, 2008). it is also important to pay attention to the non-verbal cues as well such as body language, eye contact (although can make client feel uncomfortable) and head movement. (Langridge, 2008). It can also be said it is very important in the therapeutic relationship to pay attention to what is not being said also. Rennie (1994b, citied by McLeod) found that if the client felt misunderstood they would conceal their feelings. Some may talk openly about the important thing whilst covering up what is really happening. Therefore the counsellor needs to gain as much access as possible into ‘hidden material’. The ethical way to do this would be to examine notes that look at inner experiences as well as what was said. Both experiences of the client and counsellor can be examined. This can be useful in training and well as looking at own techniques and re-examining them when fully qualified. P252. Also using open questions could draw out fuller responses from client and enable the  counsellor to access more information into the complex issue surrounding client. Interpersonal skills needed by the counsellor are listening, empathy, awareness, communication and responsiveness. This will enable a good therapeutic relationship to form which is key to ensuring goals are met on both parts. Bordin’s Therapeutic alliance model (1979, cited by McLeod) highlights the notion of these competencies along with the ability to use specific techniques in an appropriate manner. Empathy is an important quality identified as an ethical component and should be adhered to in order to become an effective counsellor. In the DVD (ou, section 1, 2008) there is clear evidence of the counsellor actively listening to client. She uses basic counselling skills such as clarification to check her understanding of the problem (awareness) and see the problem through the client’s world (empathy). She also uses open questions to identify the areas in which the client can reflect and understand her own problem (responsiveness & communication) and in turn she has empowered the client by not imposing judgement but by demonstrating that the most important skill a counsellor has is listening to the client. In contrast in DVD (OU, 2008, section 5 clip 1) we see the counsellor not listening to what the client said and made the client feel unimportant. In turn this heightened their anxiety and left them no further forward to finding a solution. This demonstrates lack of empathy and justice on the counsellor’s part which are highlighted by the BACP to ensure clients well-being. The ethical quality of competence works alongside what BACP determine Beneficence, to work within own competence using research and reflection to inform practice. This entails the willingness to pursue knowledge and understanding in order to develop skills further but also have a good set of skills to do the job already. To highlight what incompetence can do DVD (OU, 2008, section 5clip3) shows counsellor is out of her depth and could not give client a straight answer or any kind of guidance. Although ethically restrained to give advice the counsellor should have guided client through their feeling using basic counselling skills. However client left upset, confused and blaming herself for the issues she had. Personal qualities are lacking in order to make the counsellor effective. A counsellor is ethically bound not to give advice necessarily to the client but more to use the skills of encouragement and support to guide the client to find their own solutions to their problems  and for the client to become self-determining. Should the counsellor simply give advice on issues with the client they may simply be pressing upon the client their own views and beliefs rather than following the ethical framework that effective counsellors adhere to. (Landridge,2008). Sometimes the client expects the counsellor to tell them the answers to their problems and is disappointed when the counsellor is unable to do so. However the counsellor needs to use qualities such as resilience, competence and wisdom in order to work with the client in these situations. (McLeod, 2008 p.259). In contrast to the ethical principle of advice the DVD (OU, 2008, section 5 clip 2) where the counsellor is trying to solve practical problems of the client (the light bulb) instead of addressing emotional issues to do with her mother. She should not have been trying to give advice as this is unethical but instead allow her client to reach her own solution and explore her feelings toward her mother deeper. The support here was clearly not given. Instead the counsellor should have used her skills of listening, open questions and paraphrasing to guide client toward exploring her feelings. Competence and wisdom were clearly lacking making a very ineffective counsellor and potentially damaging the relationship. To surmise the ethical framework ensures the client and the counsellor are protected. Counselling skills are essentia l in order for any counselling relationship. Use of basic skills should enable the counsellor to be more effective in succeeding. However this assignment has highlighted what happens when basic skills are lacking. Possession of counselling qualities as mentioned at the start should enable client to strike up a good relationship with the counsellor. This is crucial in order for counselling to be successful. Therefore the skills, competencies and qualities combined should make counselling more successful for the client and the counsellor more effective. (Word count 1474)

Sunday, September 15, 2019

Adoption and the Care of Orphan Children Essay

A common conception is that Islamic law forbids adoptions. However, this belief misses the complexity of Islamic law, the scope of adoption laws and practices across the world, and the overwhelming emphasis on taking care of orphans and foundlings found within Islamic sources. Contemporary adoption practices are immensely complex issues, overlapping with children’s rights, international and national laws, human psychology, economic, social, and religious concerns, and the ethics of lineage, identity, property and inheritance rights. In this position paper, the Muslim Women’s Shura Council considers whether adoption can be possible within an Islamic framework. After examining Islamic texts and history alongside social science research and the international consensus on children’s rights, the Council finds that adoption can be acceptable under Islamic law and its principle objectives, as long as important ethical guidelines are followed. This statement consults the Quran, the example of the Prophet Muhammad (sunna), the objectives and principles of Islamic law (maqasid al-sharia), Islamic Jurisprudence (fiqh), and social science data. The Shura Council finds that, instead of banning adoption, Islamic sources have brought various ethical restrictions to the process, condemning dissimulation and foregrounding compassion, transparency, and justice. These restrictions closely resemble what is known today as the practice of open adoption. Therefore, when all efforts to place orphaned children with their extended family have been exhausted, open, legal, ethical adoptions can be a preferable Islamically-grounded alternative to institutional care and other unstable arrangements. According to Islamic and universal standards of children’s rights, all children have the right to grow up in a nurturing, loving environment where their physiological, psychological, and intellectual needs are met. All children have the right to know their lineage and to celebrate their unique national, cultural, linguistic, and spiritual identity. All children have the right to a safe, supportive environment where their rights to dignity, education, and the development of their talents are well respected. The best interests of the child should be the primary consideration in all decisions relating to children, including adoption. Orphan: Different states and international institutions have different criteria for determining whether a child is an orphan. UNICEF classifies any child that has lost one parent as an orphan and estimates that approximately 143 million children are currently orphans.1 For the purposes of this document, an orphan is a minor who is bereft of parental care due to death, disappearance, or abandonment by either the mother or the father, as well as situations where the parent voluntarily or involuntarily terminates the parental relationship. This definition combines several concepts in classical Arabic, including yatim (fatherless child) and laqit (foundling). Adoption: Adoption can be defined as the legal creation of a parent-child relationship, with all the responsibilities and privileges thereof, between a child and adults who are not his or her biological parents. Adoptions incorporate a child into a family as offspring and sibling, regardless of genetic ties. There are two main categories of adoption practices, generally termed as closed adoptions and open adoptions. However, in reality most adoption practices fall somewhere on a continuum between fully open and fully closed. In â€Å"closed† or â€Å"confidential† adoptions, the birth family and the adoptive family have no identifying information about each other. Children may not be informed that they have been adopted, and they may have no way of tracing biological kin. If the child comes from a different cultural background than his or her adoptive parents, their heritage might be marginalized or ignored. Closed adoptions, therefore, have the potential to dissolve all ties between an adoptee and her biological family. â€Å"Open† adoptions, which are becoming increasingly common across the world, allow for a full disclosure of identities on both sides. Open adoptions facilitate direct interaction between the adoptive family, the adopted child, and any birth relatives. The child’s birth culture may more easily be respected and promoted by the adoptive family and incorporated into the family’s daily life. However, the categories of closed and open are better understood as idealized types, as most families experience a hybrid form of adoption that comprises elements of both open and closed adoption practices. The empirical data on the risks and benefits of each type of adoption has shown mixed results, with some adopted children embracing the opportunity to contact their birth families and others experiencing confusion and insecurity.2 Generally, however, open adoptions are associated with better psychological and behavioral outcomes for the child. With the exception of Indonesia, Malaysia, Somalia, Tunisia, and Turkey, the laws of most Muslimmajority states do not currently permit legal adoption. Instead, laws permit a system of guardianship (kafala), which resembles foster-parenting, but is more stable. Kafala is defined as â€Å"the commitment to voluntarily take care of the maintenance, of the education and of the protection of a minor, in the same way a *parent would do for a child+.†5 According to Jamila Bargach, kafala is seen as â€Å"primarily a gift of care and not a substitute for lineal descent.† In other words, kafala involves the obligations of guardianship and maintenance without the creation of legal ties, which would produce specific personal status legal entitlements. This type of guardianship does not sever the biological family bonds of the child or alter the descent lines for the adopting family. Unlike foster-parenting, kafala is intended to be a permanent arrangement for a minor. Like fosterparenting and adoption, kafala is mediated by the state, in contrast to informal or â€Å"customary† adoptions which take place within families or through secret agreements. Convergences between Kafala and Adoption Whereas this statement focuses on adoption and not kafala, in some cases kafala may lead to adoption. Countries with strict application of â€Å"non-international kafala,† like Iran, Mauritania, and Egypt, reject any legal recognition between kafala and adoption. Citizens of these countries who reside in other countries, where adoption is the law of the land, cannot gain guardianship of a child with the intention of adopting that child in their state of residency. Other states, like Morocco, Algeria, Jordan and Pakistan, allow for placements of kafala children abroad, particularly with nationals living in foreign countries, with certain stipulations. Tunisia and Indonesia allow for a full convergence of kafala and adoption, limiting adoptions to national applicants, whether living in the country or abroad. Islamic Law: The term â€Å"Islamic law† refers to two related, yet distinct concepts, which are often conflated: Sharia and Fiqh. Sharia literally means â€Å"the way† and is a transcendental ideal that embodies the justice and compassion inherent in the totality of God’s will. Fiqh, which literally means â€Å"understanding,† is Islamic jurisprudence and juristic law, which has developed from the eighth century onwards as a human effort to interpret the Sharia. Fiqh has been developed by Muslim legal scholars through analysis of the Quran and the example (sunna) of the Prophet Muhammad, with the aim of securing justice according to the context of each society, time (zaman), and place (makan).7 Adoption in pre-Islamic Arabia During the pre-Islamic period in Arabia, adoption (al-tabanni) into a tribe often took place for socioeconomic and patriarchal reasons. Al-tabanni is derived from the Arabic word ibn, meaning â€Å"son.† In keeping with the patriarchal norms of the era, adoptees were usually, if not always, male.11 People adopted mainly to secure an heir and/or additional warriors for the tribe. Adoption could take place at any time in a person’s life, from childhood to adulthood, even if the adoptee’s biological parents were alive.12 The adoptee automatically earned full rights and the responsibilities of a biological child and was given the adoptive father’s name. Since male children were considered a source of wealth and prestige, this benefited the adoptive father.13 Often adoption was undertaken in self-interest with the intention of usurping an orphan’s property, as the adoptive parents would end up managing an orphaned child’s property. In addition, adoption was closely linked to enslavement; captors held the power to strip captives of their birth identities and appropriate them into their families.14 For these reasons, pre-Islamic adoption entailed a complete â€Å"erasure of natal identity.

Saturday, September 14, 2019

Monitor Disease And Spread Health And Social Care Essay

Epidemiologic surveies are meant to supervise disease and spread within assorted populations. The results of surveies are meant to supply valid, accurate information about causes, bars, and interventions for disease ( Ashengrau & A ; Seage, 2008 ) . Experimental surveies are believed to supply more scientifically accurate information than experimental surveies. When get downing an experimental survey, before enrolling participants, research workers must take a survey design and suggest a hypothesis. The hypothesis will explicate the intent of the survey, the survey design, and the exact lineation, timeline, and execution of the survey. For illustration, a survey conducted by Berman, Jones, & A ; McCloskey ( 2005 ) was proposed to turn out that the side effects of Valium cause suicidal, self- aggressive Acts of the Apostless. Research workers wanted to carry on the survey in a research lab puting where three randomly- assigned groups would be administered a placebo, 5 milligram, or 10 mg Valium. Self- aggressive behaviour was measured by research workers after the capsules were distributed to all experimental groups. Participants were so provided the opportunity to self- administer electric dazes to themselves. After the survey was approved, participants were recruited based on the eligibility criterions and include inclusion and exclusion standards. Inclusion standards were based on the participant ‘s wellness history. Diazepam respondents were screened by telephone, to unwrap medical information that would except them from the survey, such as chronic or neurological unwellness and prescription drug use. The exclusion standards were incompatibilities to the surveies agents, or participants intending the participants had features that made them ineligible for the survey. Using either a random or non-random method to delegate persons into a survey group, during an experimental survey participants are separated into either two or more groups. In the Valium survey, 46 healthy grownups, 27 work forces and 19 adult females, that are a average age of 22.87 old ages old ( Berman, Jones, & A ; McCloskey, 2005 ) . One group is treated with the agent while the control group is receives inactive intervention, or no intervention at all. Research workers will so administer the interventions and observe participants. The concluding phase is known as the follow-up phase where the testers collect consequences. â€Å" If the end of the survey is to forestall the happening of disease, the result may include the precursors of disease or the first happening of disease. On the other manus, if the survey is proving a new intervention among persons who already have a disease, outcomes may include disease return, symptom betterment, length of endurance, or side effects † ( Ashengrau & A ; Seage, 2008, p. 172 ) . Diazepam participants were observed 40 proceedingss after taking the medicine. Consequences proved that Valium is related to self- aggressive behaviours. â€Å" Diazepam ( 10 milligram ) was associated with higher norm shock self-administered than placebo. Subjects having 10 mg Valium were besides more likely to try to self-administer a daze that they were led to believe was â€Å" terrible † and painful † ( Berman, Jones, & A ; McCloskey, 2005, p.100 ) . Experimental surveies besides have benefits. They are considered to be more relaxed surveies because they, â€Å" take advantage of the fact that people are exposed to noxious and/or healthy substances through their personal wonts, business, topographic point of abode, and so on † ( Ashengrau & A ; Seage, 2008, p. 140 ) . There are two different types of observation surveies, one being cohort surveies and the other being case- control surveies. Although experimental surveies provide utile scientifically accurate information they can be impractical because they are dearly-won, sometimes unethical, and participants are non ever willing to be involved in a survey that involves digesting non-prescribed medicine ( Ashengrau & A ; Seage, 2008 ) . Because of this, experimental surveies are used most frequently by epidemiologists. Cohort surveies look at one or more instances of exposure, intending participants with similar features are looked at based their initial exposure position and followed over a period of clip to find the wellness results. For illustration Tomson, Perucca, and Battino ( 2004 ) conducted a survey on adult females of childbearing age with epilepsy and the effects of antiepileptic drugs on gestation results. The populations studied in cohort surveies are: unfastened, fixed, or closed. No affair the survey chosen, participants are still grouped harmonizing to their exposure and followed over clip. Open cohort surveies involve participants who leave the survey if they are no longer eligible. For illustration, research workers are carry oning a cohort survey of birth defect frequence among Arizona occupants, aged 20-40, who are female, between the old ages 2000-2012, who have epilepsy. This specific population is being used to understand the high hazard of birth defects within people with those features. If person turned 41, and moved to New York they would no longer be eligible for the survey. A fixed cohort is one in which a participant is involved in an irrevokable event, â€Å" for illustration, undergoing a medical process, giving birth to a kid, functioning in the military, eating contaminated nutrient at a field day, or being present a adult male made or natural catastrophe † ( Ashengrau & A ; Seage, 2008, p. 204 ) . Cohort surveies use clocking to find a participant ‘s exposure to disease. Prospective surveies group instances based on past or current exposure and follow them to understand their wellness results in the hereafter. Retrospective survey participants are grouped based on past exposure and research workers look at results that have already occurred. In ambidirectional cohort surveies elements of both prospective and retrospective surveies are used. Cohort surveies, like experimental surveies, test a hypothesis based on exposures, results, and other lending factors. For illustration, research workers follow participants by roll uping medical records and consequences, interviews, physical scrutinies, and detecting their environment ( Ashengrau & A ; Seage, 2008 ) . While analyzing the effects of antiepileptic drugs on gestation, research workers followed adult females by carry oning phone interviews monthly and administering studies. These adult females were diagnosed epileptics taking medicine ; the research workers followed them throughout their gestations to understand the affects of different anti-epileptic drugs on birth results ( Tomson, Perucca, & A ; Battino, 2004 ) . A case-control survey is another experimental survey that is similar to a cohort survey. Case- control surveies look at the correlativity between exposure and disease. They can be used alternatively of cohort surveies if, â€Å" the exposure informations is hard or expensive to obtain, the disease is rare, the disease has long initiation and latent period, small is known about the disease, or the implicit in population is dynamic † ( Ashengrau & A ; Seage, 2008, p. 234 ) . Alternatively of making a hypothesis, in case- control surveies research workers create a instance definition and they separate their participants into groups based on whether or non they have the disease or do non hold the disease. The ground that case- control surveies are less expensive is because research workers collect informations from infirmaries, clinics, decease certifications, studies, particular describing systems, friends, and relations of instances ; control groups are besides selected from the se resources. Control groups are the population that provides information on exposure distribution ( Ashengrau & A ; Seage, 2008 ) . Data collected is similar to cohort surveies. Depending on the survey, research workers will carry on personal interviews ; administer studies, request research lab consequences, and medical records to find the disease rates. All surveies have their advantages and disadvantages. Experimental surveies provide utile statistics that prove whether agents involved in intervention of a disease work. But, there are multiple disadvantages to experimental surveies. They are expensive and some surveies are considered unethical. Medical professionals and the general population are non willing to take part in a survey where absolutely healthy persons could have intervention for a status they do non hold. Experimental surveies are popular among epidemiologists because they are less expensive, unlike experimental surveies. Cohort surveies can straight mensurate disease, incident, or hazard. They can besides measure multiple effects of an exposure, but they are still expensive and inefficient when used on diseases that began a long clip ago with hibernating periods. Case- control surveies are utile when analyzing rare diseases within a big population. All three surveies are used by epidemiologists. Different surveies ar e chosen depending on the research being conducted and the population being studied.