Saturday, August 31, 2019

Health and Safety Roles Essay

Prepare to discuss the differences in the roles and responsibilities of the manager, employer, employee and owner of an organisation of your choice in respect of health and safety. Note: it is essential that you identify the differences and similarities between these roles / titles) Suggested sources: HSE SUCCESSFUL HEALTH AND SAFETY MANAGEMENT HMSO HSE website Any Health and Safety Book http://www.forbes.com/sites/gcaptain/2012/01/19/a-captains-responsibility-by-a-former-norwegian-cruise-lines-safety-manager-and-ship-master/ FORBES Cruise ships, as well as all vessels plying the Navigable waters of the world are subject to strict Maritime Rules and regulations including, Safety of Life at Sea (SOLAS) regulations, Standards of Training Certification and Watch keeping (STCW), The International Safety Management (ISM) rules, and most importantly, the Rule of the Sea whereby the Master and officers and crew never abandon the ship until all passengers and crew are accounted for, and everything possible has been done to save them. HSE.GOV HSE Executive Responsibilities The Executive: †¢ensures that a member of the Executive is available for out-of-hours notifications of major incidents †¢decides if the incident should be categorised as ‘major’ by consulting with relevant head(s) of Division/Directorate, the Chair of the HSC, the Commission and Ministers, as appropriate, on the nature of the incident and the proposed action When considering whether to declare a major incident, the Executive will consider the following points: †¢the significance of the event †¢any separate investigations by other regulatory bodies †¢the involvement of other regulatory bodies in the investigation †¢the  effect of the investigation on HSE as a whole and the Directorate’s/Division’s programme of work †¢the concerns of the Commission, ministers, other government departments, devolved administrations and regulatory bodies. Once a major incident is declared, the Executive: †¢agrees which of the major incident arrangements should be invoked for the investigation – in the case of a HSWA Section 14(2)(a) investigation, in conjunction with the HSC Chair †¢decides the scope of the investigation appropriate to the scale and complexity of the incident †¢determines whether a policy and procedure review should take place & its timing, in consultation with relevant stakeholders, and sets the terms of reference – in the case of a HSWA Section 14(2)(a) investigation, in conjunction with the HSC Chair †¢ensures that contact with the Secretariat and all members of the Executive is maintained during the response to the major incident †¢monitors and as necessary approves briefing for the Commission Chair, the Commission and Ministers †¢oversees the investigation and any policy and procedure review process, altering the terms of reference of the investigation/review process if appropriate †¢approves publication of t he reportfollowing a major incident investigation and considers whether to publish interim technical reports if broader health and safety lessons emerge †¢agrees decisions on the timing of the release of information to the public. †¢considers the policy and procedure review report and ensures that any appropriate response to the recommendations is taken. The office safety company http://www.officesafety.co.uk/quick-guides/whos-responsible.html †¢The Health and Safety at Work etc Act 1974 †¢Requires employers to be responsible for ensuring the health and safety of workers and for reducing risks to others affected by work activities. †¢Health and safety functions should be delegated and health and safety risk management legally requires the active participation of the company’s workers. However the legal responsibility for health and safety rests with the employer. †¢Employers need to prepare, and make sure their workers know about, a written statement of the health and safety policy and the  arrangements in place to put it into effect. †¢Where a ‘body corporate’ commits a health and safety offence, and the offence was committed with the consent or connivance of, or was attributable to any neglect on the part of, any director, manager, secretary or other similar officer of the body corporate, then that person (as well as the body corporate) is liable to be proceeded against and punished. The Management of Health and Safety at Work Regulations 1999 These regulations include requirements for employers to: †¢Assess the work-related risks faced by employees, and by people not in their employment †¢Have effective arrangements in place for planning, organising, controlling, monitoring and reviewing preventive and protective measures †¢Appoint one or more competent persons to help in undertaking the measures needed to comply with health and safety law †¢Provide employees with comprehensible and relevant information on the risks they face and the preventive and protective measures that control those risks HSE.GOV http://www.hse.gov.uk/pubns/hse40.pdf Most employers are required by the law to insure against liability for injury or disease to their employees arising out of their employment. This guide is intended to help you to understand what is required. It is not a legal interpretation of the Employers’ Liability (Compulsory Insurance) Act and it has no formal legal status. You should be aware that only the courts can authoritatively interpret the law. Compare safety officer and Captain Safety Officer In this role you delegate and oversee safety drills. The safety drills include abandon ship procedures, fire drills and maintenance of the ship’s tenders. In addition this role is responsible for instructing the crew on safety issues and drills. Responsibilities: †¢he Safety Officer is responsible for monitoring and assessing hazardous and unsafe situations and developing measures to assure personnel safety. †¢The Safety Officer will correct unsafe acts or conditions through the regular line of authority, although the †¢Safety Officer may exercise emergency authority to prevent or stop unsafe acts when immediateaction is required. †¢The Safety Officer maintains awareness of active and developing situations. †¢The Safety Officer ensures the Site Safety and Health Plan is prepared and implemented. †¢The Safety Officer ensures there are safety messages in each Incident Action Plan. Captain – must have liability insurance The Captain is the highest ranking officer on the ship with the most perks, it definitely pays to be Captain. However, this title comes with a lot of responsibility such as the care of all the crew and passengers aboard the ship. In cases of emergency the Captain makes all executive decisions. Additionally, the Captain is in charge of navigation and operations. Regulates company policies, environmental policies such as pollution effects as well as national and international maritime laws http://www.ehow.com/list_5977262_duties-ship-captain.html †¢The captain’s first duty is become the leader of their ship. They are trusted and respected among their peers because they are chosen as the leader of their ship. †¢On a ship, the captain is the highest rank you can get. Think of them as the President of their ship. They have to keep the crew safe and make life-or-death decisions that can affect everyone on the ship.

Friday, August 30, 2019

The Paper Please Law

Moreen Prasad September 20, 2012 ENG 101 Rhetorical Analysis Papers Please! The Support Our Law Enforcement and Safe Neighborhoods Act, often referred to as the Papers Please Law, has stirred up an extensive amount of controversy gaining national and international attention. The Act basically states that people who: are not citizens of the United States; are over the age of 14; and visit the United States for more than 30 days are required to obtain and possess registration documents at all times.However, the creators of the Arizona Act took it one step further when they enforced the failure of carrying your immigration documents with you at all times, a state misdemeanor crime. The state also has made it a requirement for officers to determine a person’s immigration status during any type of lawful contact, if there might be â€Å"reasonable suspicion† that the individual is an immigrant. The Arizona Act is not only unjust, but is bias and condones racism which is what leaders in the past have sacrificed their lives for in hopes of creating equality. What kind of society are we trying to create? One rooted in exclusion, punishment, and fear, or inclusion, forgiveness, and civic cohesion? † asks Lindsay Brooks, editor of â€Å"News Story: Arizona Illegal Immigration Law. † Brooks appeals to citizens in a moral manner in the question imposed, which the majority of people would answer this question with inclusion, forgiveness, and civic cohesion. The authors writing style and language impact the audience significantly. The author uses the word civic cohesion, implying that to punish, fear, and exclude would be uncivilized of the American population.The author uses pathos when referring to inclusion and forgiveness to create feeling within the audience. Forgiveness often requires a change of heart and acceptance. Arizona’s governor signed the Papers Please Law, under an executive order requiring the Arizona Peace Officer Standards and Training Board to provide local police with additional training on what does and what does not constitute â€Å"reasonable suspicion. â€Å" â€Å"The question is what exactly counts as suspicious behavior? And how does one receive efficient training for such judgment? † (Brooks).The author implies that logically, authorities are most likely pulling over and or pointing out anyone looks like a possible target which requires not training, but off the head judgment. The term, â€Å"reasonable suspicion† will simply permit police misconduct. Targets will be based off of obvious and basic judgment such as stereotypes, race, ethnicity, etc. The author creates a question within the readers’ mind of how judgment will be made and how targets will be established and then answers it as she would expect the reader to, persuading the reader to adopt the argument.The author not only addresses but questions the morality of stereotypes that many people encounter. In add ressing stereotypes, the author creates a sense of mutual understanding and trust. The idea of judging ones status does not resemble the society we are trying to create with inclusion, forgiveness, civic cohesion, and equality. Although an individual’s personal decision regarding mass deportation is vital, the situation does not stop at the state boundaries of Arizona. â€Å"As The New York Times wrote in an April 29th editorial, â€Å"The Supreme Court has consistently ruled that states cannot make their own immigration laws. The author adds credibility to their argument. The author demonstrates that she is making more than just an opinion based argument, but is knowledgeable in politics and the concept of law making. When the author speaks upon politics, it makes the audience feel a sense of legitimacy within the argument. In order to create a society that resembles inclusion, forgiveness, and civic cohesion and functions effectively, we must not let our people be exploit ed. â€Å"†¦framed around the same philosophical question: deportation or immigration. † (Lindsay).The author ends the article with a question for the audience to bear in mind which includes ethos, pathos, and logos. Although the author has been persuading the audience to take a stand against the Papers Please and Arizona Act throughout the article, she leaves it to the reader to decide for themselves exerting the right amount of pressure without overwhelming them. I do not agree with the Paper Please law because it allows police misconduct and the law itself is bias and condones racism. It is our job as a community to not let history repeat itself, but to keep progressing forward towards equality.

Thursday, August 29, 2019

Acrylic polymer is derived from the monomer methyl metharcrylate or MMA Essay

When modern man discovered plastic and its myriad of uses, there was no turning back. Today, plastics figured prominently in the lives of 21st century people. It is almost impossible to live comfortably without this substance. And among the many kinds of polymer there is perhaps nothing more versatile and very much in demand than acrylic polymers. This paper will look into the chemical properties and the myriad of uses for the compound normally designated as PMMA or Polymethyl methacrylate. Chemistry Acrylic acid (H2C – CHCOOH) was synthesized in 1843 according to Charles Carraher (2003, p. 160). Then he goes to add that ethyl methacrylate (H2C – C(CH3)COOC2H5) was synthesized and polymerized in 1865 and 1877, respectively (2003). With regards to polymerization e.g. acrylic or methacrylic acid, it must be done in an aqueous solution at less than 20-30% concentration (Feldman & Barbalata, 1996). â€Å"Besides water, a conventional recipe involves an initiating system (potassium persulfate and sodium thiosulfate) and chain transfer agent† (Feldman & Barbalata, 1996). Acrylic polymer is derived from the monomer methyl metharcrylate or MMA. Polymers can be divided into two groups: thermoplastics and thermosets. And that majority of them are thermoplastics meaning once the polymer is formed it can be heated and reformed over and over again (see American Chemistry Council, 2007). This major attribute alone is enough to make scientists and businessmen to be very interested in the application of the product. But interestingly there are many more surprises up the sleeves of the thermoplastic polymer. Properties The following attributes can be seen in most polymers and especially so to acrylic polymers: 1.  Ã‚  Ã‚  Ã‚  Ã‚   Has a light transmittancy of about 92% – with particular clarity at lower wavelength of 270 to 350 nm (Whitaker, 1996) 2.  Ã‚  Ã‚  Ã‚  Ã‚   Has good resistance to weathering 3.  Ã‚  Ã‚  Ã‚  Ã‚   Good mechanical strength 4.  Ã‚  Ã‚  Ã‚  Ã‚   Dimensional stability along with high tensile and flexural strength (Whitaker, 1996) 5.  Ã‚  Ã‚   Chemical resistance – including salts, bases, aliphatic hydrocarbons, fats and oils, most common gases, and inorganic chemicals as well as dilute and concentrated solutions of most alkali Applications According to Feldman and Barbalatat, the most important usage of acrylic polymer is in the manufacture of adhesives, thickeners, coatings, flocculants, dispersants, fluidizers, in cosmetics, pharmaceuticals, ion exchange processes and textile processing (1996). Now, a few years after acrylic polymer was first introduced by the scientific community, the said substance was first used as interlining for automobile windshields (Carraher, 2003). Since acrylic polymers exhibit good resistance to weathering it is widely used in thermoformed signs, aircraft windshields, and bathtubs. Acrylic polymers have long been used in the manufacturing of cuvettes, tubing connectors, speculums,and many other medical devices requiring impact strength, chemical resistance, biocompatibility, and clarity. In fact it occupies a, â€Å"†¦prominent place in the market for clear, disposable plastic – only glass transmits light as well† (Whitaker, 1996). In the medical field, acrylic polymers have shown its versatility and all around usefulness. From the start medical professionals were already well acquainted with the substance because it was used in the manufacture of incubators. In 1955 its range of usage was expanded when the first acrylic prosthesis was implanted. This probably came after its success as a primary material for aircraft canopies during World War II – pilots suffered fewer infections from shards of acrylic than they had from glass (Whitaker, 1996). Aside as an important component of cuvettes and tubing connectors, it is also used to produce test kits, luers, drainage wands, syringes, blood filters, blood pump housings, fluid silos, surgical blade dispensers, surgical trays etc. Finally, acrylic polymers is not only superior in terms of chemical resistance, clarity as a thermoplastic, and durability which is highly prized in the medical field. This substance is also easily recyclable, â€Å"Acrylic burns extremely clean [†¦] with end products of carbon dioxide and water. In addition, the material offers superior recyclability: acrylic can be reground and reused, which results in less material waste during molding† (Whitaker, 1996). But there is more. The said material can be depolymerized back to its monomer, thoroughly purged of its impurities, and then can go full circle back into PMMA. This is a true recycling process, whereas most other recycling processes involve crushing the material and using it in applications with lower specifications (Whitaker, 1996). In the world of plastic, acrylic polymers belong to the top shelf. The range of its applications is a great help in the development of many industries especially in the medical field. Among other things it has provided cost-efficiency and safety concerning the medical practice and other industrial purposes. References American Chemistry Council. (2007). The Basics – Polymer Definition and Properties. PlasticResource.com [online] Accessed 08 May 2007 from http: www.plasticresource.com/s_plasticresource/sec.asp? TRACKID=&CID=124&DID=226 Carraher, C. (2003). Giant Molecules: Essential Materials for Everyday Living and Problem Solving. New Jersey: John Wiley & Sons, Inc. Feldman, D. & Barbalata, A. (1996). Synthetic Polymers: Technology, Properties, Applications.    New York: Chapman and Hall. Whitaker, W. (1996). Acrylic Polymers: A Clear Focus. Medical Device Industry [online] Accessed 08 May 2007 from http: www.devicelink.com/mpb/archive/06/01/001.html.

Wednesday, August 28, 2019

The Social Contract Theory Of Hobbes, Locke, and Rousseau Essay

The Social Contract Theory Of Hobbes, Locke, and Rousseau - Essay Example It however states that exercising additional rights will entail bearing additional responsibilities while exercising fewer responsibilities will entail fewer rights. Authority is the power invested government or body of government officials in order to enforce laws, command, determine, judge or even exact obedience. On the other hand, legitimacy is the popular acceptance of an authority by a system of governance. Political legitimacy is considered as the main reason for governing. When excising authority a decision made by an individual who has a high rank in the political arena or social sphere, it is expected that people will abide by it irrespective of whether the decision was understood by the society members. For example, a priest has a religious authority over the congregation. Social contract is an agreement done among members of a certain organized society or a government and the governed whereby the government defines and limits the rights and duties of each member of the government. For example in our country, there is a social contract between the governed and the government whereby the governed contribute some money to a government institution in exchange for treatment of a disease or accident. Hobbes believed that the state existed in order to serve the will of the people who can choose to give power to or with hold political power. In this scenario, parties to the contract are the government and the people. Locke contradicted the ideas of Hobbes by arguing that the state was formed as a result social contract because in the state of nature, each individual judged themselves and there was no protection against those living outside the law of nature thereby suggesting that the state be guided by natural law. Rousseau states that civil society has not done anything in order to enforce the equality and individual liberty that was promised to mankind thereby suggesting that the only

Tuesday, August 27, 2019

Social and Emotional Learning Essay Example | Topics and Well Written Essays - 1000 words

Social and Emotional Learning - Essay Example †¢ Social emotional learning in schools is best achieved when they are programmed. That is to say that the social emotional learning should be institutionalized to have a core and recognized place in the curriculum of the school. The process of coding the social emotional learning needs of students into the school’s curriculum is referred to as social emotional learning programming; and the specific activities that fall under the social emotional learning programming are known as social emotional learning programs. †¢ Roberts (2009) identifies some social emotional learning programs that could commonly be used in out schools and that are equally replicable in this particular school. But even before spelling out the specific social and emotional learning programs that can be implemented in schools, she cautions each of the programs should be able to â€Å"†provide some compensation, often working with parents and the local community† and that this should indeed be the sole basis for judging the viability of any named social and emotional learning program (p. 17). †¢ Based on the criteria given above, the following forms of social and emotional learning programs are identified and briefly outlined on how they function in the school system. The programs include citizenship education, Early Training Project, Penn Resiliency Programme (PRP), personal social and health education (PSHE), Social and Emotional Aspects of Learning (SEAL), the Carolina Abecedarian Project, and the Milwaukee Projects (p. 17-25). These social and emotional learning programs are used in different parts of the world; particularly in the United States of America and in the United Kingdom. Depending on where these programs are found, they are implemented in different forms. In the cases of the Early Training Project, the Carolina Abecedarian Project and the Milwaukee Projects, a lot of the attention and focus is on children from poor socio-economic families. Indeed, these forms of social and emotional learning programs cannot be underestimated in anyway because given an y realistic international schools system; there is the likelihood that not all the children would be of equal socio-economic standing. Indeed, it is true to admit that in most cases, students from low-class socio-economic homes form the majority in most schools and thus adapting these programs for any model schools would be a step in the right direction. Research conducted on the viability and validity of the three programs namely the Early Training Project, the Carolina Abecedarian Project and the Milwaukee Projects found that even though the programs did not play significant roles in improving the intelligent quotients of the students involved, the students benefited greatly in terms of school and college attainment, social skills and behaviour. (p. 17). This is indeed an achievement that cannot be underestimated in any way. This is because the research further stated that coupled with motivation, the social and emotional learning programs did so well in ‘reducing the impact on crime and improve health and employment prospects† (p. 17). Other forms of social and emotional learning programs are equally viable. These are the personal social and health education (PSHE) and citizenship education. These two programs are common in England. These two progra

Proposition 39 Essay Example | Topics and Well Written Essays - 1000 words

Proposition 39 - Essay Example The organizations against this proposition are the California Manufacturers & Technology Association and Friends for Saving California Jobs. As a supporter of Proposition Number 39, the â€Å"Tax Treatment for Multistate Businesses. Clean Energy and Energy Efficiency Funding. Initiative Statute,† this proposition is good for the State of California because it will result to significant tax revenues that will fund a sustainable approach to development, a development that will provide additional employment and extra funds for education. Numerous firms, organizations, business people, and individuals are in support of Proposition 39 because they know that its contribution to the increase in tax revenues is fair and will benefit the state in general. At present, California requires additional funds to finance its increasing public costs. Lawrence reports that California’s tax revenues primarily go to the â€Å"Big Three,† specifically education, human rights, and cor rections (235). With a high number of school-age population, California needs more funds, without necessarily burdening ordinary taxpayers. This proposition taxes the rich, where the money will benefit the entire state, including the taxed large businesses. State law presently allows the majority of multistate businesses to choose one of two methods to determine the amount of their income associated with California and taxable by the state: â€Å"1) Three-Factor Method and 2) Single-Sales Method† (â€Å"Analysis by the Legislative Analyst† 68-69). Multistate businesses are normally allowed to select the method that is most beneficial to them for tax purposes. Proposition 39 decrees that multistate businesses would no longer choose the method for determining their state taxable income that is most beneficial for them (â€Å"Analysis† 69). Instead, many multistate businesses would have to establish their California taxable income using the single sales factor meth od. Businesses that operate only in California would not be affected (â€Å"Analysis† 69). According to â€Å"Analysis by the Legislative Analyst,† this policy measure would raise $1 billion of additional tax revenues from 2013 (70). Around fifty percent of the revenues would then fund clean and energy efficiency programs: â€Å"For a five-year period (2013–14 through 2017–18), about half of the additional revenues—$500 million to $550 million annually—would be transferred to the Clean Energy Job Creation Fund to support energy efficiency and alternative energy projects† (â€Å"Analysis† 71). With significant funds for clean and green energy, the state will experience a cleaner atmosphere and more efficient public facilities. Aside from funding clean and green projects, the tax revenues will go to education budget increases. As the analyst of the proposition said: â€Å"For 2018–19 and beyond, the guarantee likely would be higher by at least $500 million†¦The exact portion of the revenue raised that would go to schools in any particular year would depend upon various factors† (â€Å"Analysis† 71). Lawrence reminds Californians that the state needs to build more schools and hire more teachers, while improving the curriculum (235). It cannot do so without an injection of additional funds that will not hurt common taxpayers. Proposition 39 will tax the rich companies, but these taxes will not go to waste because they will fund the long-term educational needs of Californians. While education is important,

Monday, August 26, 2019

Qualitative methods Essay Example | Topics and Well Written Essays - 500 words

Qualitative methods - Essay Example Individual interviews were conducted with the respondents and lasted for a time range of between thirty minutes and one hour. In depth interviews were used because they provided the opportunity for the researchers to understand the experiences of participants and dig deeper in discussing these experiences (De Gagne & Walters, 2010, p. 360). Four interviews were tape recorded and tape recorded to facilitate transcription. The research used a semi-structured interview format to gather information from participants. The rationale for choosing the structure was to ensure that respondents narrated their experiences without being confined to specific answers. Participants in the interview were strictly be students pursuing health-related programs in the university. There were four participants of which two were male and the remaining two were female. The researcher accessed the participants by visiting Central Queensland University and presenting invitations (Sadler, Lee, Lim & Fullerton, 2010, p. 370). This convenience sampling, A purposeful selection method was used with the aim of identifying participants that could illuminate the experiences of students pursuing health-related programs in the university (Dineen & Soltis, 2011, p. 10) while pursuing part- or full-time work. The rationale for choosing a purposeful selection method was because the research was dealing with a small population. Students pursuing health-related programs were chosen as participants because research studies reveal they pursue the most challenging courses in university (Dineen & Soltis, 2011, p. 10). To ensure informed consent, the researcher provided potential participants with information sheets. The information sheets outlined the aims of the research and the entire research process (Singh, 2012, p. 411). Participants were provided with the sheets and were allowed to raise questions about the research (Olson, 2010, p. 109). They were also

Sunday, August 25, 2019

The Critical appraisal of two research articles,critically analyse and Essay

The Critical appraisal of two research articles,critically analyse and evaluate the streights and weaknesses - Essay Example Critical appraisal is â€Å"the process of carefully and systematically examining research to judge its trustworthiness, and its value and relevance in a particular context† (Burls, 2009, pp. 1-8). Its practice in medical field is highly relevant to delineate the useful discoveries from the harmful ones. A quality research is not just one that reflects good composure or format rather it is one that has internal validity which is being free from bias. Therefore, the research must be reviewed particularly in the selection, performance, detection and attrition where bias commonly occurs. Analysis must be conducted from data gathering, collation, down to analysis. In this paper, the author aims to clinically appraise two researches on health and social care. The first is entitled â€Å"Efficacy and safety of hyaluronic acid in treatment of leg ulcers: a double-blind randomised controlled trial (Dereure, Czubek and Combemale, 2012, pp. 131-139)† while the other is â€Å"The experience of patients with complex wounds and the use of negative pressure wound therapy in a home-care setting (Moffatt, et al. 2011, pp.512-527).† Both are in pursuit of a reliable and sustainable practice caring for patients with chronic wound. The first is a method to hasten healing of chronic wounds through the use of a topical medicine and the other is regarding the social and psychological needs patients with chronic wound under pressure treatment. Each will be presented separately and both research design and methodology will be critiqued. There will be no comparison between the two researches since they differ completely in design and methodology. After discussions and analysis, conclusion of what transpired will be stated. The author elected these studies on chronic wound care as it poses great demand on the current health care system. With the world directing to an aging population, health problems related to obesity, immobility, chronic illness such as diabetes b ecome rampant. These health problems commonly results to chronic wounds that has poor healing and required vast attention from clinicians. In 2009, it was declare to be a great public threat to health and economy as it results to government expenditure of at least 25 billion dollars per annum (Landro, 2012, par.5). Chronic wounds, particularly on the lower extremity, have high prevalence, high cost, and poor clinical outcome. They are often managed by a non-integrated healthcare system which consequentially resulting in an erratic healthcare arrangement. This challenges scholars and scientist to discover and create better technology and technique to better manage chronic wounds in a more sustainable and cost-effective manner (American Society of Plastic Surgeons, 2007, pp.1-8). For years, several methods have reached popularity in the medical scene of managing these type of wounds such as debridement and other surgical procedures, compression dressing, wound dressing with a variety of topical medicines, negative pressure wound therapy, cultured skin cells, pressure redistribution mattress, oxygen chambers, etc. (Landro, 2012, par.4); all of which acclaims to be effective in the healing process of complex wounds. Efficacy and safety of hyaluronic acid in treatment of leg ulcers: a double-blind randomised controlled trial (RCT) (Dereure, et al.

Saturday, August 24, 2019

Organizational Analysis Essay Example | Topics and Well Written Essays - 1500 words

Organizational Analysis - Essay Example Human resource plays a very important role in the development and success of any organization so was the case with Wal-mart. Sam Walton from the start of this business was surrounded by the most creative and hardworking employees. The employees are still working with their complete dedication and interest to achieve the goal of the mission statement. There are many internal and external challenges faced by the Human resource of Wal-mart such as the employee turnover rate, less capable employees in the developing countries, world politics, economics, inflation, exchange rates, etc. However, Wal-mart successfully faced all the hurdles in its way and qualified to be considered the largest retailers chain in the world. But there is always a room for further improvements and achievements and to fill that gap Wal-mart should continuously come up with new and different ideas to remain dominant in the retailer’s world. Organizational Analysis of Wal-mart Today, the customers not only want to buy things that they want but they actually want to enjoy their shopping experience. Now customers want a lot of merchandize available under one roof with the satisfying services and lowest possible prices, friendly and pleasant shopping environment with free parking. Wal-mart promises to give all of this to its customers (Walton, 2012). Wal-mart is a super store which features maximum number of high quality merchandize with comparatively low prices and gives its customers an everlasting shopping experience. It serves more than 200 million customers per week (our story, 2012). It has retail stores, online services and mobile alerts operating in 27 countries under 69 different banners. The first Wal-mart store was open in 1962 in Rogers, Arkansas. Sam Walton’s unparallel devotion to the company and the leadership skills lead the organization to where it is now standing. He was the man behind the success of the unique retail store. He believed in leadership through serv ice and customer satisfaction. The basic idea behind Wal-mart was to serve the customers with low prices and great service. The target market of Wal-mart is that segment of customers who want multiple things such as grocery, electronics, apparel, stationary, decorative, and every other thing under one roof. These customers want a pleasant buying experience and goods services and satisfaction along with low prices. Wal-mart is very successful in fulfilling its customers’ requirements and therefore it has started the online and mobile services as well considering the current market trends and intense competition. The customers who believe in saving and spending good lives are the real customers of Wal-mart. In 1960, the whole idea of retail stores was changes as the Wal-mart step in the world of retailers. By 1967 Wal-mart was able to own 24 stores with $12.7 million sale (history timeline, 2012). Later in 1980’s the first Wal-mart supermarket was opened with general mer chandise. In 1987 the company installed the largest satellite communication system in the United States of America. In 1990’s Wal-mart was marked as the most successful and the biggest retail store. By 2002, Wal-mart was among the 500 ranking of the America’s companies. In 2012, the company has celebrated its 50th anniversary with 2.2 million associates, 200 million customers and 10,000 stores in 27 countries. Mission Statement Wal-mart was made with the mission of

Friday, August 23, 2019

Effects of Mortgage Problems in Todays Economy on the Business of Real Essay

Effects of Mortgage Problems in Todays Economy on the Business of Real Estate Appraisal and Sales - Essay Example When considering the historical data, the prevailing rates for a 30-year fixed loan, is extremely lower and the mortgage lenders are facing problems to setoff their losses from real estate business. Location factor is the basis of mortgage business and it is now assuming greater significance in today’s housing market. Thus there exist differential rates of growth in the mortgage industry. Mortgage lenders face serious financial problems such as default from borrowers on repaying loan installments in time and such instances of nonpayment had severe implications in the housing market and real estate industry. Mortgage business is based on lending of mortgage loans to the clients. Thus, falling house prices in the US economy will result in immense losses on the mortgages the companies own as security for loan issued, and thus the loan given out on the basis of such securities also suffer higher risk. This higher risk in security investment will influence individuals and institutions like pension funds, hedge funds, insurance companies and banks negatively. Therefore these institutions compelled to stop buying the residential mortgages from mortgage lenders. Thus the mortgage industry will suffer from lack of financial resources and the home buyers are also restricted from getting loans. Investment is the basis of the real estate market. The report on real estate business shows that the values for homes across the country are showing a declining trend and the real estate appraisers are suffering increased pressure from real estate agents and mortgage brokers to show the asset values at a higher rate in order to increase sales. Control measures for followed by the real estate agents and mortgage brokers by compelling the appraisers to artificially increase the property values, which also affect the mortgage business badly. Due to the increased pressure from mortgage brokers, appraisers give over value report on the asset on mortgage. The authenticity of their valuation seems to lack reliability and the customers hardly trust it. This affects their further business growth badly. The mortgage lenders are facing problems with default in repayment of loan installments and they are not in a position to retain the loan from the securities which are overvalued through the influence of brokers. (Kerr). As per the new regulations in the US mortgage industry, banks and mortgage brokers are required to order all appraisals through an independent third party. This third party is required to order the appraisal from a licensed appraiser, and he selects only those who agree to do it for the lowest rate without any quality constraints. This provides advantages and disadvantageous in the mortgage industry. The new regulations help the borrowers to get the appraisal price at reduced level. Due to the elimination of upfront communication between the lender and the appraiser, the problems arising from such communications in the mortgage industry can also be reduced. A consequence of this new regulation is that only lowest priced appraisers are accepted by borrowers while most of the qualified appraisers are avoided. Thus in the real estate market, there may only be the lower priced appraisers. Thus local appraisers, charging a little higher price has to do their quality work in a very special ized market. This new system also creates other problems for the mortgage busi

Thursday, August 22, 2019

The Doctrinal Basis Of Liability Essay Example for Free

The Doctrinal Basis Of Liability Essay There are three areas of doctrine of importance to banks. The first concerns the general standard of care the law expects, once a duty of care has been established, whether that be in contract, tort, or fiduciary law. Then the potential liability of a bank is explored as a fiduciary, constructive trustee, or an accessory. Finally, there is brief mention of some emerging standards of liability which have primarily a statutory base. 1. 1. Reasonable Care and Skill A duty of reasonable care and skill for anyone providing a service (including giving advice) runs through contract, tort, and fiduciary law. After a mass of conflicting case law, notably the challenge to concurrent liability in contract and tort posed by the banking case, Tai Hing Cotton Mill Ltd v Liu Chong Hing Bank (1986), it is now settled that a claimant may seek compensation for economic loss caused through the failure to exercise reasonable care and skill in both contract and tort. As for fiduciary law, it has long been the position that a fiduciary (including a trustee) must act or advise with reasonable care and skill. There is long-established authority, in the context of bills of exchange that a bank can be in breach of its duty of reasonable care and skill in failing to make inquiries. Factors such as the standing of the customer, the bank’s knowledge of the signatory, the amount involved, the need for prompt transfer, the presence of unusual features, and the scope and means for making reasonable inquiries may be relevant. . 2. Fiduciary Law (i) Fiduciary Duties and Their Negation Apart from the duty of care key prescriptions are that fiduciaries (1)Should not permit their private interests to conflict with their duty to a beneficiary of the duty; (2)Should not permit their duties to one beneficiary to conflict with their duties to another; (3)Should not make a secret profit, i. e. a profit from their position which is undisclosed to their beneficiaries; and (4)Have a duty of confidentiality. While contracts may modify the scope of fiduciary duties, however, it cannot be that contract can be invoked to negate them regardless of the circumstance. Thus, since many private customers will not necessarily expect their bank to be conducting conflicting corporate-finance business, it will be difficult to imply a contract term negating the undivided loyalty the bank may owe if it is a fiduciary. (ii) Trustees and Agents Fiduciary duties are clearly imposed on trustees and agents. The position with trustees is relatively straightforward. In acting as a trustee of an estate or investment fund a bank must not invest with itself. But a bank will not be in breach of its fiduciary duties if the trust instrument empowers it to open accounts or make deposits or investment with itself, despite its being the trustee. The fiduciary duties attaching to an agent vary, with the nature of the agency. Thus, the bank instructed simply a buy or sell securities has fewer fiduciary duties than if it is the manager of a discretionary fund. (iii) Banks as Financial Advisers and Facilitators need: To furnish all relevant information, relevant in making investment decisions. To give best advice it can. †¢To obtain the best terms for the customers. Woods v. Martins Bank Ltd is an old authority, where the bank advised A to invest in B, which was heavily indebted to it. It is still good law although, since it predated Hedley Byrne, it was necessary to find a fiduciary relationship if liability was to be imposed for negligent advice. 1. 3. Knowing Receipt, Inconsistent Dealing and Assistance (i) Knowing Receipt For this form of liability it must be shown, first that the funds have been disposed of in breach of trust, fiduciary duty, or as a result of some other unconscionable dealing. Moneys held on trust and misapplied are obviously caught. So, too, are misapplied corporate moneys since historically directors have been treated as if they were trustees of the property of the company under their control, so that any wrongful disposition is a breach of trust. The second prerequisite to an action in knowing receipt is that the bank must have received the claimant’s funds for its own benefit. Tracing has a role here: the bank must have beneficially received funds which are traceable as representing those of the claimant. Thirdly, liability for knowing receipt demands knowledge on the part of the bank that there has been a payment in breach of trust, fiduciary duty etc. (ii) Inconsistent Dealing A bank receiving funds in circumstances which do not constitute knowing receipt can still be liable if those funds are subsequently applied for its own benefit (‘inconsistent dealing’). At that point the bank must know that the funds involved are subject to a trust or fiduciary duty and that what it is doing with them is in breach of that. (iii) Assistance Even if a bank is not liable for knowing receipt, it may be liable as an accessory for dishonest assistance. Assistance is a form of accessory liability, which sits alongside other forms of accessory liability in equity, such as the receipt of information in breach of confidence, and including breach of trust or fiduciary duty. What are the prerequisites for accessory liability? First, there has to be a breach of trust or fiduciary duty. Second element in assistance is fault. One gloss in this context is the suggestion in the oft-cited case of Barnes v. Addy (1874) that for assistance there has to be ‘a dishonest and fraudulent design on the part of the trustee’. This may be defended as a way of narrowing the potential liability of accessories such as banks. However, it is now clear that there is no need to establish fraud on the part of the trustee or fiduciary, and an innocent breach of duty is sufficient. Emerging Standard: Due Diligence, Suitability, Good Faith Due diligence as a standard emerged from securities law: in the United States a bank involved in a public offer of securities must make its own investigations (in relation to statements for which it takes responsibility), in other words it is obliged to undertake ‘due diligence’ in relation to the issuer and the issue. This seems to be part of a growing trend to make banks statutorily liable for unlawful activities which they facilitate by their operations, unless they an demonstrate due diligence. Suitability too is a concept most developed in the area of securities regulation. It imposes a liability on those marketing securities which are incompatible with the needs of customer. Closely associate good faith with notions such as fairness, honestly, and reasonableness. In other words, it means simply that in the performance of a contract both parties are assumed to agree not to do anything to impede its performanc e, or to injure the right of the other to receive its benefits. The good-faith doctrine has been invoked in the context of banking, requiring a bank to disclose material information to a commercial counterparty. 2. Duty to advise and the liability for the advice given Some situations clearly involve a bank in giving advice. Advice on reorganization, mergers and acquisitions financing, and so on is the staple diet of investment (merchant) banking. In other situations a bank may assume the role of financial adviser. However, many banking services are not associated with giving advice. The legal issue is whether there is any obligation on a bank to proffer advice in this situation. The second matter addressed is a bank’s liability if it actually does give advice, the advice is faulty, and the customer incurs a loss. 2. 1. Duty to advise (i) The General Rule Generally speaking, one party will be under no obligation to advise another about the nature of the transaction, its prudence, or other features. So, too, in banking, English courts have held that the bank providing an account for a customer need not advise on the risks, or on the tax implications, of certain payments in relation to it. Nor need it advise customers of a more advantageous type of account it is now providing. However, there is a rather clear difference between these and some of the other services and transactions of the modern multifunctional bank. Take the bank selling its own products-be they derivatives to commercial customers, or insurance policies, or interests in a collective investment scheme to private customers. (ii) Situations imposing a duty to advise The first situation where the law imposes a duty to advise is a misrepresentation –a failure to speak or act can constitute conduct which misleads. Thus a half-truth may constitute a misrepresentation, as where a bank canvasses the advantages, but not the risks, of a transaction with a customer. The bank must tell the whole story. A bank’s advertising may be relevant in this respect. Secondly, there can be liability for a failure to disclose in precontractual negotiations if there has been a voluntary assumption of responsibility to do so and reliance by the customer because the court held that the bank was liable when its manage failed to explain clearly to the wife, the effect of a charge over a joint property to secure the husband’s borrowing from the bank. Thirdly, in Cornish v. Midland Bank, Glidewell LJ said that once a bank enters upon the task of advising a customer, it is obliged to explain fully and properly about the nature of the borrowing. Fourthly, if a relationship is fiduciary in character, then disclosure is necessary if a person is to avoid liability for putting interest above duty, or duty to one above duty to another. Fifthly, at common law a bank which takes a guarantee is bound to disclose unusual features in the transaction which has been guarantee. Finally, the duty to advise can be imposed as a result of regulation. (iii) The Advice Required (If Any) Advice may translate into the legal concept of notice, as where the bank must give notice in relation to a conflict of interest. Complete disclosure of all relevant facts known to the fiduciary is required. Advice must, of course, be honestly given-otherwise it is fraudulent. Generally speaking it must also be accurate. Some advice involves highlighting the terms of the contract being entered (or at least some of them). Another approach is to require advice about the alternative on offer-in terms, say, of repayment methods, interest rates, charges, and commissions. Perhaps the most effective advice in relation to some banking transactions is advise, about the attendant risk. The standard demanded here may be objective, although it could also be associated with an obligation on the bank to take steps to ensure that this particular customer understands the risks. 2. 2. Liability for advice given Bank’s promotional material, may lead to the conclusion that it has taken on the responsibility of the borrower’s financial adviser. There is greater chance of liability when the bank advises unsophisticated customers; in several cases the English courts have held that a bank was liable when its bank manager failed to explain clearly to a wife the effect of a charge taken over joint property to secure a husband’s borrowings. Negligent advice can obviously occur in the range of matters in which banks become involved. Examples includes credit references; failure to pass on information on when a bank enters upon the task of advising a potential borrower about the attendant risks of a particular facility; statements by bank that it will make available to a customer adequate funds to enter a contract with a third party; advice about investments; and assurances that workout plans are heading in the right direction, and that the bank is optimistic about an agreement being reached. In Hedley Byrne the bank avoided liability because of a disclaimer in the reference. In would seem right as a matter of policy for a bank to be able to avoid the consequences of giving negligent advice by suitable notice to those receiving it. As a matter of policy, whether this is regarded conceptually as aborting liability or a exempting from liability already begotten is beside the point. The central issue in practice should be whether the disclaimer of , or exemption from, liability has been made clear to those being advised so they are in no doubt that the bank is washing its hands of the consequences if the advice proves inappropriate or wrong. A small print clause in a document given to those being advised is unlikely to satisfy this test. In English law the matter is handled by applying the unfair contract terms legislation. The seminal case recognizing the tort of negligent advice, Hedley Byrne Co. Ltd. V. Heller Partners Ltd, involved advice given about a customer’s creditworthiness in a bank reference. As subsequently interpreted, Hedley Byrne liability depends importantly on an assumption of responsibility by a bank, a sufficiently proximate relationship between the bank and the customer or third party, and on there being reliance on the statement. Assumption of responsibility an proximity are, in large part, legal fictions, and in practice a court will have regard to factors such as the purpose for which the statement was made and communicated, the bank’s knowledge that the advice was needed for a particular purpose, the relationship between the bank and the person relying on the advice, and the size of any class to which the latter belongs. As regards disclosure (and this includes electronic disclosure), it is worth repeating here what was said in Woods v. Martins Bank Ltd [1959] 1 Q. B. 5 at 60, where Salmon J. said It cannot be too clearly understood that solicitors owe a duty to the court, as officers of the court to make sure, as far as possible, that no relevant documents have been omitted from their clients list. Barclays Bank v OBrien [1994] 1 AC 180. A husband and wife agreed to a second mortgage secured on their home to help out the husbands ailing company. The necessary documents were sent to a branch with instructions to ensure that the couple were aware of what they doing and to take legal advice on the matter. This did not occur. The wife signed the documents, relying on her husbands explanation of the situation (that it involved ? 60,000 for 3 weeks). When the debt reached ? 154,000, the bank ordered the house to be repossessed. At appeal, the court held that misrepresentation to the wife had occurred, the bank was fixed with constructive notice and the wifes equitable right was enforceable against the bank. The case of Royal Bank of Scotland v Etridge was decided by the Lords in a Judgment handed down on 11th October 2001. The case set standards for lending institutions where guarantees are given by a third party. It also sets standards for Solicitors who take on the task of advising those third parties. The most important point for lending institutions, thinking of enforcing their security is that cases of this nature need to be tested on their facts. It will make the lower Courts think very carefully whether cases which are perceived as hopeless should be struck out at an early stage. The decision in this series of appeals mitigates against early strike out. It could mean that lending institutions no longer have a quick route by which to realize the security and in many cases they will be locked into trials which could prove lengthy and expensive.

Wednesday, August 21, 2019

Argument Paper on Exercise Essay Example for Free

Argument Paper on Exercise Essay 1-The Benefits of Exercise and Sports Participation for Kids- e Diet Star This article focuses how benefitical it is for young kids to participate in sports and to exercise regularly. It talks about how exercise and sports offer social relationships, physical challenges and honest competition. Also, exercise and sports can increase a child’s self-esteem and academic performance while preventing the chances of disease or drug use. All these things can help the development of children by not only making them healthy but giving them life experience. 2-Fitness Benefits For Teens- This article list the specifics on the benefits for teens to be fit. It says that physical activity doesn’t have to be time consuming but it is necessary for everyone. Some of the facts about teen exercise given by this article are that nearly half of American children ages twelve through twenty-one are not regularly active. About fourteen percent of young people report no physical activity at all. Also, only nineteen percent of all high school students are active for twenty minutes or more, five days a week. The main focuses point of the article are the physical activity helps build healthy bones, muscles and joints. It helps control weight, build lean muscle, and reduce fat. 3-Find Mind-Blowing Benefits of Exercise- This article tries to get a point across, it starts by saying that exercise isn’t all about getting toned abs and losing weight but that it makes you feel happy. There are five main points that this article talks about. The first once talks about how exercise reverses the detrimental effects of stress. Second, it talks about how exercise can help get rid of depression. Next, it is discussed how exercise can improve learning by increasing brain chemicals called growth factors. Furthermore, exercise builds self-esteem and improves your body image. Lastly, it leaves you feeling euphoric which means that the push and intensity of a workout makes you feel happy and excited.

Tuesday, August 20, 2019

Human Trafficking In Cambodia Criminology Essay

Human Trafficking In Cambodia Criminology Essay Human trafficking is considered as one of the most problematic issues in today worlds society. Since this problem happens throughout the world, it is necessary to deal with it globally. For ASEAN level, human trafficking is one of the transnational crimes that take place across national borders or take place within one country but their consequences significantly affect another country. Likewise, Cambodia also faces with this kind of serious crime as a transit, origin, and recipient nation. I.1 Types of human trafficking There are many types of human trafficking. One of them is the forced labor. According to the International Labor Organization (ILO), forced labor is a work or service exacted from a person under threat or penalty which includes penal sanctions and the loss of rights and freedom. Another type is sexual exploitation. In this type of trafficking, traffickers resort to deception in terms of recruitment particularly through the promising of well-paid jobs, yet victims who have been abroad are locked in apartments with their passports confiscated by traffickers who coerce them to work in prostitution. Victims are promised that they will get freedom only after earning for the cost of their purchase price as well as their travel and visa costs. Other type of human trafficking is organ removal, and the victims of such trafficking mostly are children. The children are removed their organ for the purpose of begging and peddling (selling small equipment, flowers and cigarettes). Besides these, f orced marriage also considered as one type of human trafficking. The practice of forced marriage occurs on a significant scale today. In Cambodian society, especially in rural areas we can see that parents always forced their daughter to marry to foreigner on the hope of improving their living condition. Unfortunately, their daughter somehow exploited by foreigner as domestic workers or sex slaves. Last but not least, illegal adoption of children is also another form of human trafficking since it involves the selling and buying children or baby illegally between parents and buyers. In this kind of trafficking, due to unclear family plan or unwanted pregnancy, parents often sell their kids to buyers for the purpose of adoption as they are poor. This is also kind of human trafficking since it is not legally recognized. After being aware of all types of human trafficking, it is also important to know who the trafficker and the trafficked are. Traffickers are recruiters, transporters or exploiters. However, mostly women play a role during the recruitment and exploitation process. For instance, she might be the one who go to contact the victim directly. Then, male trafficker is the transporters and managers during the exploitation process within the trafficking network. For the trafficked person, adult women are mostly known as victims followed by children. Plus, men are victims of human trafficking as well. II. Current situation Victims of human trafficking in Cambodia particularly men, women, and children are trafficked for sexual and labor exploitation in Thailand, Malaysia, Macao, and Taiwan.  Ã‚  Specifically, men are trafficked for forced labor in the agriculture, fishing, and construction industries while women are trafficked for sexual exploitation and forced labor in factories or as domestic servants.  For instance, they might be serving as house keeper and maid for looking after their bosss child. Furthermore, it is not surprisingly that children are being trafficked for sexual exploitation and forced labor such as begging, flower selling and so on. As the transition, Cambodia is a transit country for human trafficking from Vietnam to Thailand; and as the destination, Cambodia is a destination country for victims of sexual exploitation from Vietnam and China especially, women and children. In fact, internal trafficking in Cambodia is considered to be predominantly for the purpose of commercial s exual exploitation basically in urban and tourist areas, including to Phnom Penh and to Sihanouk Ville. Increasingly, young women are being recruited to work in karaoke, beer garden, bar, club and so on. These women are employed as a job in a restaurant or as a waitress in an entertainment place. Even though they are often not physically forced to have sex with clients, the women still face with sexual harassment committed by their customer while they work. Besides this, currently trafficking in children, particularly very young children and children who are disabling are also recruited to sell stuffs which in clued newspaper and flowers on the streets. A small number are recruited for work in other sectors, such as domestic work or in restaurants. Trafficking from Cambodia also takes place for the purpose of labor exploitation in a number of industries, including construction and so on. What is more, Cambodian men are being trafficked to work in Thailands fishing industry suffer fr om long working hours, dangerous working conditions and physical abuse. III. Causes and Effects of human trafficking in Cambodia Human trafficking in Cambodia is caused by many factors. One of the most important causes of human trafficking is poverty. Poverty is an important factor which has increased women and childrens vulnerability to human traffickers particularly the poor and unemployed since they have will to join or they are level of awareness on the dangers associated with human trafficking is low. Poverty again is considered as the main root behind their decisions that make they decide to migrate for work. In addition to poverty, the lack of education and unemployment there are also significant social and culture factors that contribute to human trafficking. For instance, culture norms that perpetuate a lack of respect women increase the likelihood of them being exploited. Similarly, the perception of children as wage earners also increases the likelihood of them being trafficked. Moreover, the low level of education, family debt, agriculture failure, lack of land and off-season work were pushing peop le to the big cities or other countries as the men go into construction, women into services and prostitution. Last but definitely not least, broken families, disaster, uneven economic development, lack of border controls, socio-economic imbalance between the rural and urban areas, increased tourism, unsafe migration are also significant contributing factors to human trafficking. After getting to know the roots of human trafficking, it is also important to understand its effects. In fact, human trafficking has many consequences. First, the spread of HIV/AIDS is one of the consequences of human trafficking. For instance, many victims of human trafficking are physically and sexually abused. Trafficked women are often not in a position of negotiate safe sex, or lack access to education about HIV/AIDS. Therefore, they can transmit the disease to the next customers. That is the reason that HIV/AIDS can spread from one person to another person easily. The victims not only suffer from HIV/AIDS, but also often suffer from stigmatization by their communities. Moreover, many are treated as criminals by officials in countries of transit and destination due to their irregular status in the country, and their status as illegal workers or sex workers. What is more, human trafficking is generating the violation of human right. As we know that the victims are forced to do th e prostitute and other kind of exploitations. In this case, there will be a human right violation concern. IV. Solutions of Cambodian Government In fact, The Royal Government of Cambodia does not stand still without taking any actions. For this reason, the government has implemented several mechanisms. The first mechanism is the prosecution. It is making some many significant efforts; for example, the government created a national anti-trafficking task force to improve the interagency response to trafficking and coordination with civil society, increased law enforcement action against traffickers and complicit officials, and undertook prevention activities. Besides this, in February 2008, Cambodias new Law on the Suppression of Human Trafficking and Commercial Sexual Exploitation was declared wisely and went into effect immediately. This law provides enforcement authorities and the power of investigate all forms of trafficking, and it is also a powerful tool in efforts to prosecute and convict traffickers and make them face with strict punishments. The Ministry of Interior (MOI) reported 53 trafficking cases from April 2007 t o March 2008, thirty-five cases were sex trafficking involving 60 victims and 11 were labor trafficking cases involving 106 victims. The MOI reported that 65 traffickers were arrested during the reporting period. The Phnom Penh Municipal Court convicted 52 trafficking offenders. The MOI Department of Anti-Trafficking and Juvenile Protection reported 52 cases, involving 65 trafficking offenders. There is also a figure that we get from non-state actors such as NGOs. For instance, NGOs reported 19 labor trafficking cases. In February 2008, Prime Minister Hun Sen ordered the Ministry of Commerce to annul business licenses for marriage agencies, calling that kind of business is also a form of human trafficking. Another mechanism of combating human trafficking in Cambodia is the protection. The Royal Government of Cambodia improved its efforts in providing protection to victims of trafficking while continuing to rely on NGOs and international organizations. Victims are not treated as crim inals. For instance, the victims are provided with education or skill in order to make them have jobs to support their living. For foreign victims, they are provided temporary residence in shelters, education, and counseling services while they are waiting for repatriation. Last but definitely not least mechanism is the prevention. The Royal Government of Cambodia demonstrated concrete efforts to prevent trafficking. In April 2007, the government established a National Task Force (NTF) comprising 11 government ministries, three government agencies, and more than 200 international and local NGOs. The NTF has an oversight mechanism known as the High Level Working Group, chaired by the Deputy Prime Minister and Minister of Interior. This illustrated that this is the first time that we have such coordinated anti-trafficking efforts across government ministries and agencies, and also civil society. In coordination with civil society, the NTF launched a nationwide anti-trafficking campaig n using positive messages incorporating Khmer values and cultural traditions to inspire Cambodians to take action against human trafficking. The campaign emphasized trafficking as a national priority and launched a national dialogue on trafficking via public forums across Cambodia. More interestingly, Cambodia also has international cooperation in combating human trafficking. V. Conclusion I would recommend Cambodian government continue the implementation of the anti-trafficking mechanisms and provide law enforcement mechanisms to government officials on the new law. Moreover, significantly improve the number of prosecutions, convictions, and punishments of trafficking persons. What is more, the government should continue to enhance cooperation and collaboration with civil society under the direction of the National Task Force. Last but definitely not least, government of Cambodia should increase efforts to prosecute sex tourists and those facilitating commercial sexual exploitation of children. In addition to that, here is also another general recommendation such as protect the rights of victims. According to the UN principle on Human Rights which states that the human rights of trafficked persons shall be at the center of all efforts to prevent and combat trafficking and to protect, assist and provide redress to victims., the needs and rights of victims should be con sidered at every stage in proceedings. Furthermore, in order to prevent and protect successfully, the demand of customers should be reduced since the demand reduction must be linked to the prevention and protection. Another recommendation is the establishing of policies. The complexities of the trafficking problem require efforts by relevant entities at the local, national, regional, and international levels. Therefore, it is vitally to form partnership with intergovernmental organizations, governments, NGOs, international organizations, communities and families confronted with trafficking.

Essay --

The tobacco industry is known as one of the most controversial industries around the globe. The conflicting two viewpoints that raise challenges for the industry are between the people involved in the industry and those affected by it. Large producers and manufacturers of tobacco products argue that the production plays a vital role in the world economy contributing billions of dollars each year in tax dollars. On the opposing side is the health argument stating that over half of tobacco smokers die of tobacco related illnesses around the globe. As an ever growing global industry it has become more prevalent as well as scrutinized over the past one hundred years. Tobacco is one of the most widely used addictive substances in the world and can grow in â€Å"any warm, moist environment, which means it can be farmed on all continents except for Antarctica†. The plant itself is native to the Americas and historically one of the half-dozen most important crops grown by American fa rmers For nearly 200 years between the 1600’s to the 1800’s tobacco was one of the most valuable exports from the English American colonies and the United States. All the way up until the mid-1900’s the United States not only produced but also exported and manufactured more tobacco than any other country around the globe. As an agricultural product the prices of all tobacco products depends on crop yields which can be affected by all elements such as weather conditions. It wasn’t until the 1960’s when the potentially deadly effects of tobacco were discovered did the industry suffer a decline. This tobacco related evidencing side effects led to an immediate decline in support of the industry as a whole, specifically the producers and manufacturers. Laws around... ...any issues surrounding tobacco smoking such as heart disease, lung cancer, etc. Being that tobacco is a highly addictive product these products fulfill the need and craving of nicotine without the side effects of cigarette smoking. These products are supported greatly in the fight to stop tobacco consumption and do not face any restrictions within the market, unlike tobacco. Furthermore, over these past few years increasing technology has affected the tobacco industry. Electronic cigarettes have begun replicating the oral fixation and craving that smoking gives to users. By satisfying this urge these electronic cigarettes have quickly become a very popular alternative within the market. There is an inverse relationship between their popularity and the usage of tobacco products. As the number of users of replacement products increases, tobacco usage then decreases.

Monday, August 19, 2019

Long Swings In The Exchange Rate And The Excess Returns Puzzle: The Ro :: essays research papers

Long Swings in the Exchange Rate and the Excess Returns Puzzle: The Role of Imperfect Knowledge The paper is a clear breath of "dirty" air in the sterile world of perfect foresight. The authors offer a well worked out model of how agents persistently bid the exchange rate away from the expected long-run equilibrium rate. It seems intuitively comfortable to see the mathematical justification for the unexplained excess returns to be a function of the distance from the bench-mark (PPP). The uncertainty of a switch occurring in a regime (the Peso Problem) is an interest-ing form within which to embed the imperfect information. It is a format that seems ready to ex-pand into many other areas of economic modeling in which expectations are at the core of the model's dynamics. Of course, the choice of the benchmark is key to the mechanics of the process. In this case, PPP is an obvious choice†¦ but, since the idea of PPP drives this model so strongly, it is interesting to look at its place and its characteristics. In the paper, the authors note that if PPP holds, "relative excess demand for domestic and foreign goods is zero." The obvious suggestion, based on the model, is that the flow of goods and services is the foundation for the equilibrating dynamic. Behind the flow of goods and services is the gap between the gap between, domestic and foreign short-term rates, and the steady state long-run interest rate gap that sets goods flows to zero. The assumption is that the prices of the domestic and foreign goods in their respective for- eign currencies are "incorrect" based on the fundamentals of the respective countries and that agents know this (and know that the exchange rate path is unstable) but cannot be sure of the de-gree of "incorrectness" or the persistence of the di vergence. Embedded into this model are as-sumptions about PPP that provide comfort about this benchmark's ability to give the "correct" relative prices. It is possible that these assumptions, to some degree, mask the complexity of the situation with respect to PPP's ability to proxy relative prices. At the theoretical level, PPP should simply offer equal purchasing power for equal commodity bundles through the exchange rate. Unfortunately, the problem of explaining stylized facts requires some matching with reality. Set- tling for getting the signs right mitigates much of the angst, but, as has been

Sunday, August 18, 2019

Examine the practical and the morale constraints upon Jewish Resistance

Jewish resistance throughout the holocaust has caused much debate among academics historians, and even governments. Historians conclude that resistance was practical and morally constrained throughout the Second World War, for a variety of reasons. Historians such as Rab Bennett, Michael Marrus, Richard L Rubenstein, and John K Roth all have written in detail about the constraints placed upon Jewish resistance throughout this period. Each of these explanations will be examined throughout this paper. Furthermore, this paper will discuss examples of Jewish resistance during the holocaust, while applying the theories of each historian to explain in detail about the morale and practical constraints within Jewish resistance. Three main theories have been put forward to establish and explain how Jewish resistance was so constrained. Firstly, the Nazi army was attacking an unprepared and unarmed population, who were taken by complete surprise during the Holocaust. Secondly, the Nazi army us ed brutal and cruel warfare methods upon the Jewish population to fully implement the holocaust. Finally Jewish resistance was met by such massive repercussions by the Nazi army, which ultimately created fear among each community to obey the rule of Nazi government. The Nazi government secured a total fascist state in 1934 and had implemented the â€Å"final solution† in 1940. The â€Å"final solution† was to systematically destroy the European Jewish population with unspeakable horrors, which included gassing, executions, malnutrition, and grotesque medical experiments. Despite these conditions, Jews in both concentration camps and in the ghettoes tried to resist the Nazi army. However, explained by historian Rab Bennett the Nazi army had practically constrained Jewish resistance through a policy called â€Å"collective responsibility†. The aim of this policy was to create a sense of insecurity among the European Jewish population. For example the Nazi army had started to deport Jews in Vilna to a nearby concentration camp. Some Jews escaped and joined a resistance movement in a neighboring village. What happened next was typical of the policy called â€Å"collective responsibility†. The Jewish resistance group obtai ned a few weapons, and clashed with the Nazi army outside the city. Most of the Jews were immediately captured and killed instantly. In retaliation for the resistance, the local arm... ...hroughout Europe and many Jewish people fought unarmed against Nazi genocide. The Jewish population faced an enemy that practiced total warfare against them. The Nazi army was able to efficiently wipe out more than six million Jewish people, while practically and morally constraining Jewish resistance throughout the Second World War. Bibliography: Published Materials: Rab Bennett, Under the Shadow of the Swastika: The Moral Dilemmas of Resistance and Collaboration in Hitler's Europe, New York University Press. 1999. Frank McDonough, Opposition and Resistance in Nazi Germany: 1933-1945, Cambridge University Press Michael R. Marrus, The Holocaust in History, Key Porter Books Ltd. 2000 Randall C. Byterk, Bending Spines: The Propagandas of Nazi Germany and the German Democratic Republic. Michigan State University Press. 2004 Internet resources: Author Unknown, Map taken from Google Website, www.googleimages.co.uk The Holocaust History Project Homepage: www.holocaust-history.org/ Holocaust Timeline: Resistance: fcit.coedu.usf.edu/holocaust/timeline/resist.htm - Holocaust Understanding- Jewish Resistance by A. Kimel: www.kimel.net/resistance.html

Saturday, August 17, 2019

Many saw the wall street crash as a disaster, with 6 million unemployed by 1933

Many saw the wall street crash as a disaster, with 6 million unemployed by 1933. Despite this Hitler and his Nazi party saw this as an opportunity to gain support. They believed that if they could solve the issue with unemployment they could win the votes and secure their place at the top in the Reichstag. The only question was, could Hitler achieve this? Adolf set about providing job creation schemes which would have a knock on effect. He did this by spending government money on public projects. Hitler knew that if he provided Germany with autobahns and the like he would need workers to construct such developments, they would need supplies and so the ‘domino effect' went on. The program had such a positive feedback that by the end of 1933 the Nazis had fed 5,000 million Reich marks directly into construction. Thousands that were once without work were now employed and the economy began to pick up, if people had money they were more likely to buy consumer items. To target peoples new found income Hitler reduced motor vehicle tax to encourage investment in the automobile, therefore boosting car production which doubled from 1932-33. Once a work force had been assembled the Nazis wanted organisation. Millions found themselves in the RAD (Reich Labour Service) and were put to work. By 1935 it become compulsory for both women and men aged 18-25 to do 6 months work in the RAD an extremely well disciplined workforce. In an addition to this The German Labour Front was set up to replace the free trade unions banned previously in 1933. The pay and working times were regulated and compared to many occupations workers did a lot of work for a small amount of pay. Despite this there was no alternative except a poverty that nobody wanted to endure once again, so on went Hitler's firm hold on those that worked within the union. To prevent any outbreaks of protest or a revolt, Adolf created two organisations to help support the workers, to boost mood and productivity. The first of these was the ‘Beauty Of Labour' which aimed to improve conditions at work, the theory was that if the workplace was a pleasant place, the employees would not mind working hard. The second initiative was called ‘Strength through Joy' a reward scheme that provided cheap holidays and leisure facilities to reward those that earned it. The most popular offer was a where workers could put a bit away each time they received wages to buy a car. Despite the innocence behind such an idea, nobody ever received an automobile. The money was infact fed into the Re-armament of Germany. Many of the organised rewards that were offered to employed Germans had the sinister aim to re arm the country for war. When the Nazis were elected into power Germany had no air force, tanks or basic military equipment. Secretly the Military registration had a register of 2800 companies with whom they placed orders with. Yet again jobs were produced from a sudden surge of requests of components for war. In 1935 72,000 workers were employed in air craft production more as apposed to the meagre 4000 that were in work in 1933. Slowly Hitler slowly began to gather soldiers by introducing conscription for males between 18 and 25 and by 1939 there were over 1. 4 million men in the armed forces.

Friday, August 16, 2019

I woke up with the worst headache ever – Creative Writing

I woke up with the worst headache ever. I could hardly move but I managed to sit up with difficulty. I was in forest. I looked around to see if I could recognise where I was, but I didn't. Then it hit me. Who I was and what I was doing there? How did I get there? Where am I from? What's my name? I didn't know. My heart was thumping and I started screaming but I realised no one could hear me. I saw that a few trees had been burnt, recently burnt. I touched something, something liquid but it was too thick to be water. I went closer to it wondering what it could be I discovered it was blood. There was blood around me but I wasn't bleeding. I didn't get it. As I was trying to get up my leg hit something too heavy to be pushed away. I was on my feet wondering what it was I'd hit. She had dark eyes, black hair, she was beautiful, stunning but had been stabbed in the stomach. It was her blood I had all over my hands, her blood that my clothes had been drenched in. I thought for a while. This couldn't have been what I thought it was. Was I that sort of a person? Well if I was, I knew I had changed. I bent down and closed her eyes but they re-opened and her hand moved. I was so happy, I might not have known her but I was still happy because death is a terrible thing. Then she grabbed my hand in a tight grip, tight enough to get me on my knees. Struggling she put he arms around my neck and whispered, â€Å"Help me please.† Then she fell into my arms. I started to panic. I had some keys in my pocket, and one of them looked like car keys. I kind of guessed I owned a car. I picked her up and started walking. I had no idea where I was going and after twenty minutes I realised I was lost. But I didn't lose hope, I kept on going for I didn't care how tired I was. All that mattered to me was for this girl to stay alive and not to die. About ten minutes later I came to a car park. I was relieved. I took a look at the keys to see what car I had to look for. Within a minute I found the car I as looking for. A jaguar convertible and I was surprised, I expected a ford or a normal non-expensive car. I opened the passenger seat and put her in. I looked at her closely and muttered to myself, † I couldn't have stabbed her.† I sat in the drivers' seat and found a wallet. I opened it and there was a picture of a guy in it. Next to it there was the name Tyler Epps and the address 4208 Link, Connecticut Lane, Maryland, Silverspring. I looked in the mirror and realised that I was the guy in the picture and also had blood on my face. I didn't know whether to drive up or down? East or West? I decided to look for the main road and there might be signs that may help me. When I got to the main road, there were signs and I looked at them and tried to see if I recognised any of the places. I didn't but to my luck I saw † Newn Hospital 1 mile † I was so glad. When I got there a lady at the desk saw me and screamed, † Got a doctor urgently we have a stabbed patient.† I saw nurses rushing. They took her from me and put her on one of those wheely beds. I watched them vanish at the end of the corridor. A lady came to me to go and get my face cleaned up. There was a massive cut around my temple. A very deep one too, so I had been after all. It was really starting to hurt now. I was so shocked and scared before that I couldn't feel the pain. She asked me who she was, but I told her I had no idea. Then all of a sudden there was blankness. I woke up and to no surprise I found myself on a hospital bed. â€Å"Well good morning Mr. Epps,† a lady's voice said to me. I turned to my left and there was a nurse standing beside me. She was injecting me with something. â€Å"This will make you feel better,† she said as she was writing down something on a piece of paper. I didn't bother asking what it was as I could feel it working already. I didn't feel as weak anymore. â€Å"How long have I been here?† expecting her to say at least three hours. â€Å"Since November the 15th sir.† She paused looking too deep at whatever she was writing. † And today is the 17th of November sir.† She then walked out. I couldn't believe it, I had been unconscious for two days. I wondered what had happened to me to cause this. â€Å"Hey Tyler.† I looked up and it was her. The girl from the forest, she was alive. â€Å"The doctors said I'm going to be out of here soon,† she said with excitement. I was puzzled, she was very confident talking to me. Her face rapidly changed to normal. â€Å"Oh, I forgot,† She said sadly â€Å"Forgot what?† For I had no idea what she was going on about â€Å"Well the doctors told me you had lost your memory in the accident,† she said quietly. â€Å"What accident?† â€Å"I guess I will have to start from the beginning.† â€Å"We were going through the forest on our way to the lakeside, when this guy came to us and asked for the direction to the car park. Then all of a sudden he pulled a knife and stabbed me†¦Ã¢â‚¬  She then took a heavy breath. â€Å"You turned and the knife but just as you were about to pull it out he hit you on the head with something, but I didn't quite see what it was.† She had a tear in her eye. â€Å"So, who are you?† She could be my cousin, my best friend, I had to know. â€Å"I'm Kyla, your girlfriend,† she smiled. â€Å"Girlfriend, whoa I can handle that.† I didn't know what else to say, I had a girlfriend and I didn't even remember her. Then again I could see why she's my girlfriend. No doubt she was a beautiful girl and she seemed like a nice person. The nurse came back, † Mr Epps, I've got good news. Your condition seems to have healed rapidly, therefore you can go home in two days, but we will have to run a few tests before that, just to be sure.† â€Å"That's good news, we get to go home together,† she said getting all excited again. â€Å"Home? Together?† I was still confused. † Yeah, we live together.† â€Å"We†¦live together?† â€Å"Tyler I'm your girlfriend you know and the least you can do is sound to surprised.† She was angry. â€Å"Well I am sorry, it's just that I don't even know myself and everything is moving too quick,† I said slowly and calmly. † I am sorry too, it's just that I'm not used to seeing you like this.† † Doesn't it feel good to be home?† â€Å"I don't remember home, but it sure does feel better thin that hospital.† My house as massive, so I kind of figured out that I was rich. I owned a jaguar and a massive house. Living with Kyla was great. She took me to see all my friends and family and helped me with all the things I needed to know and do. I proposed to her and she said yes. After about a year, I was gaining my life back, getting re-adapted to the worlds and living with Kyla. I realised that my life was worth living. I had a great family and a wonderful fiancà ¯Ã‚ ¿Ã‚ ½e. I really did love her. How couldn't I? She was just perfect for me. She was beautiful, intelligent and never did anything wrong or anything to hurt me. She was the reason I lived. During that year Kyla let out the secret, our secret that nobody could know. We are different from everybody else. Kyla had the ability to control the mind and objects, which was weird but really cool. But as for me I just love fire I am a pyromaniac. It was real cool how I could make fire by looking at things. She told me what happened that night. The night in the forest, a night I could never forget. She has a brother named Camen. His power was to actually get into the anyone's body including animals. He didn't † Erm excuse me, I'm Aaron.† â€Å"And†¦Ã¢â‚¬  † I'm Kyla's brother†

Thursday, August 15, 2019

History of Nature and Nurture Essay

Abstract Nature vs. nurture has been discussed by philosophers in the past and by scientists most recently. Philosophers such as Plato argued that all knowledge was inherited through your parent and when you were told something you didn’t learn it you were just reminded of it. Aristotle however argued that all humans were born with a blank slate and built on it with influence from there environment. In the 1700’s the empiricists and the internalists took over the argument. They fought through letters explaining there point of views and denouncing the others. This leads to Pavlov coming up with the idea of behaviorism in the early 1900? s. Behaviorism became the new wave of Psychology and influenced a lean towards the nurture side. It was not effectively argued against until 1928 when Watson published his book. This opened up the floodgates for environmental influences studies. Soon the idea of nurture was the popular excuse for behavior. Studies using animals were the most popular was in which scientists used to prove a theory, or disprove a theory. The newest studies use human twins to prove nature vs. nurture. An age-old question has been asked for generations before us. What is the reasons behind the development of human behavior? There have been many theories formulated to explain why humans behave the way they do. Explanations vary from demonology to magnetic fluids controlling people’s behaviors. Over time, two theories have remained popular in academic fields such as philosophy and psychology. The surviving theories for behavior stem from physiological and sociological explanations. However, the two explanations have not always been compatible with each other. The famous nature vs. nurture debate over human behavior resulted from conflicting views between proponents of the physiological (nature) and sociological (nurture) explanations. Throughout history, research has swayed popularity back and forth between the theories. Yet, theorists have broken down the line separating nature and nurture. Today, people us both explanations in research to advance the knowledge of human behavior. Thousands of years before the field of psychology, philosophers pondered on human behavior. As early as 350 BC, such philosophers as Plato and Aristotle tried to understand behavior. The question of nature or nurture as the primary drive can be traced to these times. Plato believed behavior and knowledge was due to innate factors. Author Fiona Cowie states, â€Å"The claim that the character of our mental furniture is to a large extent internally rather than environmentally determined found its first substantive defense in the works of Plato†¦ † (Cowie, 1999, p. 3). Plato theorized, and Descartes later agreed, that all knowledge is present at birth. Plato also believed that the environment played a part in human processes, but he thought it had an unique role. He believed the environment did not teach people anything new, but its purpose was to remind people of information they already knew (Cowie, 1999). Although Plato’s views are not supported today, he laid the groundwork for other researchers to follow. On the other hand, philosopher Aristotle theorized a different idea about human behavior. He presented the idea that humans are born into the world with a â€Å"blank slate† and people’s behavior and thoughts are due to experience (Ashcraft, 1998). His tabula rasa explanation believed that the environment and experience were the important influences in human behavior. Unlike Plato, Aristotle hypothesized that humans were not born with knowledge, but they acquire it through experience (Ashcraft, 1998). Aristotle’s idea of the tabula rasa is not believed today. Nevertheless, his belief that the environment was a vital factor in behavior influenced many empiricists throughout history. During the late 1700s, the nature vs. nurture debate began to heat up between philosophers. Internalists (nature) and empiricists (nurture) wrote literature back and forth trying to prove their beliefs and disprove the other’s theories. Two philosophers, G. W. Leibniz and John Locke, were main representatives of their respected explanations. Leibniz promoted the internalism point of view. Cowie states, â€Å"†¦ Leibniz’s position on this issue is, of course, that the tabula is far from rasa: ? The soul inherently contains the sources of various notions and doctrines, which external objects merely rouse up†¦ ‘ † (Cowie, 1999, p. 7). Leibniz argued against Locke and other empiricists stated that â€Å"†¦ there is no way ideas which come into the mind from outside can be formed into beliefs and judgments without the operation of specific internal mechanisms† (Cowie, 1999, p. 17). At the same time, John Locke and his fellow philosophers campaigned for empiricism. Like Aristotle, the philosophers believed that humans’ thoughts and actions were determined not by innate factors, but by the their unique experiences (Ashcraft, 1998). Locke argued against the internalists by examining different human processes such as logic and reasoning. He would ask how it was possible to use logic and reasoning if people were born with all of the knowledge they would ever acquire (Cowie 1999, p. 19). The contrasting views of the two groups had begun the nature vs. nurture debate, which would linger in the fields of philosophy and psychology for decades. A point should be made that even though the interalists and empiricists felt strongly about their theories, the explanations were not entirely opposite of each other. Cowie explains, â€Å"? rhetoric aside, both empiricists and nativists are both internalist and externalists about the origin of what is in our minds†(Cowie, 1999, p. 17). Even Leibniz and Locke stated that the philosophies sometimes were only different by the choices of words they used to describe their theories. Leibniz once wrote that fundamentally their views were the same about the nature vs. nurture question (Cowie, 1999). Over the next couple hundred years, popularity was split between nature and nurture. However, in the early 1900s Ivan Pavlov accidentally discovered what eventually became labeled as behaviorism. Behaviorists believed that the environment was the greatest factor in shaping behavior. The theory quickly gained notoriety in psychology and swayed popularity to the nurture side. One of the leaders in behavioral research was John Watson, who is most recognized for his work in conditioning â€Å"Little Albert. † In 1928, Watson published a book that included his idea that infants were like clay. Watson stated that he could make an infant anything he desired by manipulating the environment (Barnet, 1998). Watson wrote, â€Å"Give me a dozen healthy infants†¦ and my own special world to bring them up in and I’ll guarantee to take any one†¦ and train him to become any type of specialist†¦ â€Å"(Amsel, 1989, p. 24). In the 1960s, Skinner also became well known for his research in behaviorism. Most of his work dealt with behavior modification with animals (Amsel, 1989). Probably Skinner’s most famous research is when he conditioned pigeons to guide missiles (Modgil, 1987). However, Skinner, and others in his field, began to receive scrutiny for ignoring the biology of humans. Yet, Skinner responded by saying, â€Å"The objection to inner states is not that they do not exist, but that they are not relevant in a functional analysis† (Modgil, 1987, p. 228). From the 1920s to 1950s, behaviorism and nurturism dominated psychology. The domination did not go without any challenges, and it did not last forever. As early as 1929, behaviorism came under attack by psychologists who believed genes were the key to human behavior. To begin, Arnold Gesell questioned the environmental view of Watson. Author Myrtle McGraw states, â€Å"Gesell contended that there was nothing one could do through training young infants to accelerate their development; one simply had to wait until the cells of the nervous system ? ripened'†(McGraw, 1995, p. 264). The biological research continued to build against behaviorism, and its popularity began to decrease. In 1959, the final attack that swayed popularity to the nature side of development originated with Noam Chomsky and other psycholinguists. Chomsky attacked behaviorism’s scientific empiricism, especially dealing with the acquisition of language (Amsel, 1989). Ashcraft (1998) explains, â€Å"†¦ Chomsky argued not only that the behaviorist account of language was seriously wrong and misguided, but that behaviorism was unable in principle to provide useful scientific knowledge of language† (p. 22). In addition, research developments in physiology and new studies involving genetics, such as adoption studies, and studies on twins, popularized genetic influence over environmental. The most resent studies that have been done on twins and adoption use both identical and faternel twins. This consists in the studying of twins that were separated at birth and grew up in separate homes. Identical twins are 100% genetically similar and offer exact genetic replicas to study, where fraternal twins are the same as any other siblings at 50% similar (Vanderbilt pg6). Some of the final results of these studies show astonishing similarities between identical twins, yet others show little evidence of these similarities. With fraternal twins there is some similarities but none that are complete evidence of the nature theory. These studies fuel the pot for both the nature and the nurture ideas. The nature vs. nurture debate over the last forty years has reached an agreement that they both influence the development of human behavior. In the 1960s, researchers from both theories began to study the interaction of the genes and the environment (Devlin 1997). Dr. Ann Barnet explains, â€Å"Even in an unborn baby, genes and environment interact almost from the moment of conception†(Barnet, 1998, p. 10). The interaction between nature and nurture can be summed up by the statements of Dr. Fausto-Sterling and Dr. Evan Balaban. Fausto-Sterling states, â€Å"People want simple explanations for hard-core problems. If there was an antitestosterone drug that we could to inject to make young boys nice†¦ it would be easier and cheaper than transforming schools†¦ or whatever is at the heart of the problem† (Barnet, 1998). However, Balaban replies, â€Å"†¦ don’t hold your breath if you think looking for genes to help you understand violence. I would put my money on some clever environmental manipulations, because in the end you’re going there anyway† (Barnet, 1998, p. 206). The nature vs. nurture debate has produced many research advances in the area of human development. Even though evidence proves that there is an interaction between genes and the environment, people will continue to study the effects of each in development. In these future studies, more groundbreaking advances will be made to aid humans in better understanding human behavior. In the end, that is what both sides of the nature vs. nurture debate intended to accomplish. Bibliography Amsel, A. (1989). Behaviorism, Neobehaviorism, and Cognitivism in Learning Theory. Hillsdale, NJ: Erlbaum,. Ashcraft, M. (1998). Fundamentals of Cognition. New York, NY: Longman. Barnet, A. (1998). The Youngest Minds. New York, NY: Simon & Schuster. Cowie, F. (1999). What’s Within?. Oxford: Oxford University Press. Devlin, B. (1997). Intelligence, Genes, and Success. New York, NY: Copernicus. Deutschmann, Linda B. (2002). Deviance and Social Control Third Edition. Scarborough, ON: Nelson Thomson Learning. Fujita, Frank. (2000). Nature vs. Nurture. 3/15/2002 from http://folk. uio. no/roffe/faq/node 11. html McGraw, M. (1995). Beyond Heredity and Environment. San Francisco, CA: Westview Press. Modgil, S. (1987). B. F. Skinner: Consensus and Controversy. New York, NY: Falmer Press. Myers, David G. (2001). Psychology Sixth Edition. New York, NY: Worth Publishers.