Tuesday, December 24, 2019

Nathaniel Hawthorne s Young Goodman Brown Essay - 1274 Words

In Nathaniel Hawthorne’s â€Å"Young Goodman Brown,† the devil says, â€Å"Evil is the nature of mankind† (â€Å"Young† 627). Since Adam and Eve ate the forbidden fruit and attempted to hide conceal their sin from God, humans have tried to hide their sin from others. Although everyone sin is human nature, everyone has a different reaction to sin. While some acknowledge sin, others ignore it. In Hawthorne’s other short story, â€Å"The Minister’s Black Veil,† Father Hooper wears a black veil to represent the sin he commits every day. In â€Å"Young Goodman Brown,† however, the villagers hide their devil-worshipping in the forest. Through â€Å"The Minister’s Black Veil† and â€Å"Young Goodman Brown,† Hawthorne exemplifies evil’s hidden and human nature and its effect on a person. In â€Å"The Minister’s Black Veil,† Father Hooper arrives in town wearing a black crape veil. The town repe atedly voices their disdain for the veil and question why the minister would wear it. That day, Hooper preaches on hidden sin. Although Hooper is only preaching, the congregation becomes uncomfortable with the topic and Hooper’s black veil; â€Å"each member (†¦) [feels] as if the preacher [creeps] upon them, behind his awful veil, and discover[s] their hoarded iniquity of deed or thought† (â€Å"Minister’s† 638). Later, the veil continues to be an object of discomfort to Hooper and those around him. Hooper, still wearing the veil, attends a funeral, and a rumor is started that the corpse shudders when the minister’s face is exposed toShow MoreRelatedNathaniel Hawthorne s Young Goodman Brown1543 Words   |  7 PagesIn Nathaniel Hawthorne s short story of Young Goodman Brown, the author uses symbolism and allegories in order to showcase the Puritan faith as well as man s conflict between good and evil. This analysis will break down the techni ques that the author uses to critique the puritan society and to show the difference between how people appear to be in society and the true colors that they are hidden inside of them. There has been a lot of great authors in our time, but none more interesting thanRead MoreNathaniel Hawthorne s Young Goodman Brown1065 Words   |  5 PagesWhen it comes to the topic of Nathaniel Hawthorne’s Young Goodman Brown, most of us will readily agree that duplicity is a major theme in the piece, or the idea of different versions of reality. Where this agreement usually ends, however, is on the question of whether Hawthorne is implying that man is inherently evil. Whereas some are convinced that Young Goodman Brown was good until tainted by the Devil, others maintain that he was evil from the beginning and was completely aware of the evil heRead MoreNathaniel Hawthorne s Young Goodman Brown905 Words   |  4 PagesThough Nathaniel Hawthorne is an author of many great works, his short story â€Å"Young Goodman Brown† still stays relevant because it has themes and subjects that are relatable in today s world. In the story â€Å"Young Goodman Brown,† Good man Brown leaves his wife Faith, to go into the woods near Salem to have a meeting with the devil. Appearance vs. reality is shown in â€Å"Young Goodman Brown† through the plot, the character of Goody Cloyse, and the symbol of the maple staff. The characterRead MoreNathaniel Hawthorne s Young Goodman Brown1312 Words   |  6 PagesWithin Nathaniel Hawthorne s short story Young Goodman Brown (p.317), Young Goodman Brown travels through a dark and mysterious forest late at night. Ignoring the pleas of his pure wife Faith, he ventures deep into the woods with many dangers around him, only to emerge in the morning a changed man with bewildered views on his own Puritan life and the Puritan community around him. At the cause for this change in mindset, the dream of an old man symbolizing the devil appears, showing him the communityRead MoreNathaniel Hawthorne s Young Goodman Brown Essay1449 Words   |  6 Pages â€Å"Young Goodman Brown† is a short story that is filled with symbols and mystery. Nathaniel Hawthorne provides plenty forms of symbolism for readers to digest. Hawthorne displays strong faith as the greatest virtue for a man or woman, and when the faith is compromised, one can be filled with skepticism and uncertainty towards the rest of the world. The story begins as a conventional allegory, creating the expectation that the characters will be able to consistently display the abstractions they symbolizeRead MoreNathaniel Hawthorne s Young Goodman Brown1695 Words   |  7 Pagesstory, Young Goodman Brown, by Nathaniel Hawthorne is set in Puritan New England. Hawthorne uses symbolism, description, scenery, and Goodman’s journey to illustrate and symbolize the battle of good versus evil. In the first scene, we see how Young Goodman Brown leaves his wife, Faith, to start on his â€Å"evil† journey through the woods. Though Faith asks him to stay with her, he chooses to continue on even though he knows the evilness lies ahead. As the story continues, we see how Hawthorne uses FaithRead MoreNathaniel Hawthorne s Young Goodman Brown1492 Words   |  6 PagesIn Nathaniel Hawthorne’s short story of Young Goodman Brown, the author uses symbolism and allegories in order to showcase the Puritan faith as well as man’s conflict between good and evil. This analysis will breakdown the techniques that the author uses to critique the puritan society, and to show the difference between how people appear to be in society and the true colors that they are hidden inside of them. There has been a lot of great authors in our time, but none more interesting than NathanielRead MoreNathaniel Hawthorne s Young Goodman Brown2532 Words   |  11 PagesNathaniel Hawthorne’s short story, â€Å"Young Goodman Brown,† demonstrates how Goodman Brown leaves his wife, Faith, to do an errand within the woods with a man that is believed to be the devil. During the time period in which this took place, the 1620’s, many of the people from the village were practicing Puritanism. Puritanism is an intense practice of religion retrieved from Protestants, only removing its Catholic influence. When Goodman Brown entered the woods to meet the devil, he soon turned intoRead MoreNathaniel Hawthorne s Young Goodman Brown894 Words   |  4 Pagesread. In â€Å"Young Goodman Brown†, I found several romanticism characteristics to be in this story. One being, the emphasis on feelings and emotions. Nathaniel Hawthorne writes, â€Å"The cry of grief, rage, and terror was yet piercing through the night, when the unhappy husband held his breath for a response.† The cry of anguish and pain are very applicable to the protagonist idea in this story. Brown also expresses feeling when he doesn t want to leave his wife Faith, but he feels that it s his role toRead MoreNathaniel Hawthorne s Young Goodman Brown1975 Words   |  8 PagesNathaniel Hawthorne, is the author of the short story â€Å"Young Goodman Brown,† that was written in 1835 (Baym 370). Hawthorne was born in Salem Massachusetts on July 4th, 1804. Hawthorne’s ancestors were of the Puritan descent, and among the first settlers of Massachusetts (Baym 370). During his teen years, Hawthorne was reading stories by British novelists Henry Fielding, Tobias S mollet, and Sir Walter Scott. When he was sixteen he wrote his sister of wanting to become an author and relying of support

Monday, December 16, 2019

Hasidism Free Essays

Heschel and Hasidic Judaism Glenn Dynner Abraham Joshua Heschel glorifies Eastern European rabbinic culture as an advanced, pious sect of Judaism, offering equality to men and women, an easily comprehensible and fair hierarchy of religious power, purity of mind and spirit, and a straightforward and simple path to heaven. Heschel; American rabbi, and leading Jewish theologian and philosopher, describes Hasidic Judaism as a near perfect religious society. Heschel references many Jewish ideologies that assist in proving the superiority of Hasidic Judaism to various other religions; including dissimilar sects of Judaism. We will write a custom essay sample on Hasidism or any similar topic only for you Order Now Though Heschel’s argument is strong and he makes many valid points supporting the superiority of the Hasidim, such as the increased vivacity of Jewish life, there exists numerous instances in which he glosses over an ugly, hidden reality of Hasidic life in order to produce a more pristine picture of Hasidic existence. What Heschel fails to mention in his essay, are the numerous power struggles endured by Hasidic leaders, false claims of messianic power, clear evidence of sexism, and an institution that includes an obscure hierarchy that imparts confusion and uncertainty to both leaders of Hasidism and followers alike. Scholars; Jacob Frank, Baal Shem Tov and Solomon Maimon offer new insight, and dissimilar views on the merits of Hasidism in Eastern European culture. Like the distinguished Christian reformists known as the Puritans; the Jewish sect of Hasidism transpired from the dissatisfaction of a small minority who sought to improve the individual’s religious experience by assuming more stringent methods of observations and religious rituals and practices. Eighteenth century Poland served as the venue for this particular religious revitalization. The Hasid recognized strict, relatively inflexible practices that focused even the most mundane, routine chore around the worship of the Jewish God. Hasidism; the plural of Hasid derives from the verb â€Å"Hasid† meaning pious or evote. Unlike previous sect of Judaism who’s followers worshipped God only in the vicinity of a temple on Friday nights, the Hasid show devotion to God through everyday actions and practices. In his essay; East European Jews In Two Worlds: Studies From the Yivo Annual, Heschel depicts how the Hasid revitalize Judaism through the democratization of Jewis h study and worship, a renewed sense of proximity to deity, the introduction of God into everyday activity, a consciousness of the significance of personal actions, and a new sense of self importance and personal responsibility to God. Hasidic Judaism appeals mainly to Jews who feel the conventional form of religious worship and study has become stale and unsentimental. Many of the Hasid grew to resent the tired hierarchal religious structure found in Jewish communities. Hasidism was able to provide the discontent with a renewed feeling of individual significance and proximity to God. The Hasid succeeded in democratizing the study and worship of God, expelling the tired patriarchal rule of worship, and re-instating an egalitarianism society in which each individual experienced a personal relationship with God. In his eulogy on Jewish life in Eastern Europe, Abraham Joshua Heschel discusses the numerous developments made by Rashi, and the Hasid who’s ambition it was to revitalize Jewish religious, and everyday life. By combining both everyday chores, and religious worship, the Hasid were able to establish a way of life that was constantly illuminated by God’s love and glory. Heschel comments on the infusion of religious piety into everyday life. He explains how worship and religious studies evolved from mundane weekly choirs, to an outlet in which life maintained vigor and meaning. The pattern of life was not limited to religious activities. Not only what is to be done on the Sabbath, but also what is to be done in the course of the week, has a definite form. The pattern of prescribes the kinds of food to be eaten on certain days, the manner of putting on and off the shoes, the deportment in the street. † (Heschel, 6). This renewed sense of proximity to deity made Jewish worship much more than a weekly, mechanized due to be paid to God. Heschel explains how Hasidic Judaism re-energized Jewish spirituality and conviction. Hassidim†, he explains, â€Å"brought down heaven upon the earth. They (The Hasid) banished melancholy from the soul and uncovered the great fortune of being a Jew. Jewishness meant rebirth. † (Heschel, 13). Worship was no longer realized through a step-by-step, formal document; worship was realized with each beat of the believer’s heart. The Sabbath, like worship, was no longer confined by days of the week, nor by the walls of the synagogue. Hasidism introduced a new phase of modernity and democratization into the Jewish religion. Knowledge became a right of the male masses; wealth no longer determined who had the privilege to study the Torah. Heschel describes this transformation in his eulogy on Jewish life in Eastern Europe; â€Å"Scholarship†, he says, â€Å"ceased to be the monopoly of the few, and became widely disseminated. † (Heschel, 7). Hasidic Judaism breathed into the religion a new consciousness of the significance that individual deeds and actions had not only on the self, but also the general well being of the Jewish population. The common folk developed a more refined awareness of the actions and beliefs necessary to adapt in order to restore Judaism to its formal glory. For the Hasidim the Kabbalah reinforced a new awareness of their individual deeds, it could even make â€Å"every Jew believe himself somewhat of a Messiah†. (Heschel, 13). Every Jew had the opportunity to find happiness and fulfillment through faith and study. This mentality produced a new sense of self-importance and responsibility to God. Man was born with one mission; to prefect the world by resembling the scattered Sparks of Holiness in the world. Heschel describes the charge each individual Hassidim hopes to assist; â€Å"The send of man’s life†, he says, â€Å"lies in his perfecting the world. He has to distinguish, gather, and redeem the Sparks of Holiness scattered throughout the darkness of the world. † (Heschel, 13). Life for the Hasidim was a mission that God entrusted to each individual. Solomon Maimon; Jewish scholar of the Talmud, and tutor of the young, disputes that Hasidism democratized scholarship. Maimon goes so far as to call religious teachers â€Å"tyrants†. Maimon’s description of these oppressive teachers discredits Heschel’s claim that the Hasid provided religious tolerance and acceptance. Maimon continues to describe an environment that did not provide religious stimulation, but instead suppressed individual thought and progress. Along with the many changes of the fifteenth century, Gutenberg’s printing press was instrumental in spreading Hasidism. This new technology allowed for the spread the Hasid’s literature, captivating new audiences, wherever they spread. Hasidic Judaism has not gone without it’s fair share of dispute and controversy; often from leaders of exterior Judaic sects. Of these disputes, three men; Baal Shem Tov, Sabbatai Sevi, and Jacob Frank, have been most instrumental in challenging the legitimacy of Hasidism. Jacob Frank; a self-declared messiah and well-known religious authority, is often considered to be the founder of the â€Å"anti- Talmudists†. He rejects the Talmud in recognition of the â€Å"Zohar†, a doctrine that allowed Christianity and Judaism to coexist side-by-side. Frank encouraged his followers to seek out â€Å"heretics† and expose them as enemies of the Zohar. Though Frank was able to fuse Christianity and Judaism by referring to himself as an embodiment of one of the three Christian divinities, his teachings and beliefs were far from perfect. Though traditional Jewry was far from perfect, it is unclear whether any of Frank’s so called â€Å"improvements†, were beneficial to the Judaism. Jacob Frank spread his religion by taking advantage of the curiosity Jews had about the Christian sect. Through his work, Frank was able to create a bridge connecting the old religion with the new. Though his followers were looking for a revived, democratic religion that valued truth, and certainty, what many Frankists found were a series of confusing, somewhat irrational claims against the Talmud and the Torah. Frankism was simply to radical, to be accepted by the masses without significant criticism. When many of these dishearten Jews scrutinized Frankism, they found further confusion, bizarre insinuations, and ultimately a man whose main goal was self-proclaimed fame. In hindsight, Frank appears to have little attachment to Judaism, many, myself included, believe that he used Judaism to promote his own reputation and wealth. At the peak of his popularity, Frank was imprisoned and chooses to convert to Christianity, rather then remain loyal to his own teachings. Frankism immediately lost the majority of its followers, many receding to their initial religion. Another Messianic movement, Sabbateanism, founded by Sabbatai Sevi, another self-proclaimed messiah, emerged in the year 1665. Sabbateanism, like Frankish called for a revitalization of Judaic-religio spirit. Sabbateanist claimed that Messianic times had/ become and persuaded followers to disregard the commandments explained in the Torah; calling them unnecessary, and pre-messianic. Sabbateanist engaged in â€Å"sinful† behavior such as polygamy and breaking the Sabbath in order to prove that messianic times had come. These activities general leant to increases upheaval and unrest. Temptations such as these disprove that Heschel’s belief that Hasidic Judaism is indeed a perfect institution. It is arguable that it was the discontentment of the Hasid that allowed these different sects of Judaism to arise. Bal Shem Tov; the alleged founder of Hasidic Judaism, warns against the human tendency to doubt and question, The Baal Shem Tov cautioned the Hasidim: â€Å"Every time you experience a worry or doubt about how God is running the world- that’s Amalek launching an attack against your soul. We must wipe Amalek out of our hearts whenever- and whenever- he attacks so that we cannot serve God with complete joy. † The Bal Shem Tov’s warning suggests that the Hasidic Judaic community has within its people those whose belief is not entirely inflexible. Religious phenomenons such as these disprove Heschel belief in this type of peaceful religious community. In his writings, Heschel’s teachings lend to the impression that the Jewish Rabbinic hierarchy found in Jewish communities was dignified, distinguished and without flaw. This hierarchy; often referred to as the â€Å"Kahal†, is far from perfect. A diagram showing the hierarchy of the Judaic powers demonstrates that a Rabbi’s power was only authentic in his own jurisdiction (the Jewish community), and that local powers in the government could easily censure or nullify any of the Rabbi’s decrees. The Kahal demonstrates that while the Rabbi’s possessed some power, most of it was symbolic, and susceptible to Gentile rule. Though Hasidism did enjoy mass popularization and followings, the religion itself is far from perfection. Like most religious facts, the Hasid experience significant doubt, internal struggle, religious hypocrisy, and many other imperfections that keep Hasidism from reaching any kind of perfection. Though these faults did exist, Hasidism is undoubtedly accredited with the revitalization of Judaism faith and spirituality. How to cite Hasidism, Papers

Sunday, December 8, 2019

Critical Thinking and Problem Solving Systems

Question: Discuss about the Critical Thinking and Problem Solving Systems. Answer: Introduction: In this case, two different terms have been chosen for critically evaluate and solve the issues towards IT system development. The critical discussions over the topics are incorporated below: Problems that are puzzles in IT system development: In IT system development, the IT engineers develop different types of coding for framing the system and make it workable. During the stages of development, few puzzle areas can arise, which can create hazard situation in IT system development (Schumacher et al. 2010, p.750). Deadlock can be a puzzled problem in IT system development. This puzzled situation arises due to the interdependency of different systems on each other. In opposed to that, Abrial (2010, p.88) commented the interdependency might necessary for framing an IT system, because the resulting outcome will be helpful for creating the outcome of another system. The deadlock problem arises when two different systems need to lock two different files, in this case, one system waits for the end of the process by another system and get slowed down. The below is an example of a Deadlock in IT system. Figure 1: Deadlock in IT system development (Source: Schumacher et al. 2010, p.751) Problem-solving: Allocating a suitable solution to Deadlock, the IT system developer could wait until the problem fixes automatically. On the other hand, the system development rules or coding can be changed for puzzle free result. Along with this, the puzzle situation can be analysed for providing a solution. Problems with uncertainties in IT system development: The uncertain problem can arise when the system is in the testing phase. For example, for testing the software waterfall model process can be implemented. In that case, the IT developer can reverse back to the previous stage for having any kind of problem. In the words of Tempo et al. (2012, p.114), uncertainty can arise in the context of when the cost of reverse becomes more than the one-way process. At that time, the cost of system development goes higher compared to the budgeted amount and costs higher than the expectation. This kind of problem is uncertain due to the changing cost of system development and that effect on selling price of the software. However, Krogstie (2012, p.77) argued that reverse process in waterfall model of system development is more reliable than the one-way process of waterfall development process, because the expected outcome can be changed by altering the previous stages. Problem-solving: For mitigating the problem, the IT developer would need to have an alternate developing system so that additional costs of development cannot arise. Along with this, additional budget support will be helpful for reducing the cost issues in IT system development. List of references: Abrial, J.R., (2010). Modelling in Event-B: system and software engineering. Cambridge University Press. Krogstie, J., (2012). Model-based development and evolution of information systems: A Quality Approach. Springer Science Business Media. Schumacher, L.L., Gonzales-Tuchmann, A., Yogman, L.T. and Dingman, P.C., (2010). Problem-solving due to Deadlock situation in software development. A system for deadlock condition detection and correction by allowing a queue limit of a number of data tokens on the queue to increase. 7(2), pp.743-782. Tempo, R., Calafiore, G. and Dabbene, F., (2012). Randomised algorithms for analysis and control of uncertain systems: with applications. Springer Science Business Media.

Saturday, November 30, 2019

When Brothers Share a Wife an Example by

When Brothers Share a Wife In his article, Melvyn C. Goldstein sheds the light onto the major controversies that grow out of Tibetans commitment to the principles of fraternal polyandry. It appears that for Tibetans to promote fraternal polyandry means to promote a normal form of marriage relationships. Unfortunately, the author of the article does not back up his claims with either previous studies or the results of other empirical researches. From the anthropological perspective, we should be more than interested in answering the question WHY fraternal polyandry remains one of the basic marriage forms in Tibet. Economic reasons might be relevant, but beyond purely economic factors there is a whole set of social and cultural considerations, which should be taken into account when investigating the hidden facets of marriage principles in Tibet. Need essay sample on "When Brothers Share a Wife" topic? We will write a custom essay sample specifically for you Proceed People Usually Tell EssayLab support: How much do I have to pay someone to write my essay online? Essay writers suggest: Get Your Essay Before The Deadline Best Essay Writing Service Reviews Order Essay Online Review Best Essay Writing Service Cheap Essay Writing Service In his article, Melvyn C. Goldstein (1987) sheds the light onto the major controversies that grow out of Tibetans commitment to the principles of fraternal polyandry. It appears that for Tibetans to promote fraternal polyandry means to promote a normal form of marriage relationships, in which several brothers and their wife live, work, and bring up their children cooperatively. Apart from the fact that fraternal polyandry helps avoid favoritism and inequality, this form of marriage is rooted in long-standing Tibetan traditions. Fraternal polyandry is justified by the need to cultivate land and grow cattle. Because of the limited farmland, the Tibetan subsistence economy characteristically includes a strong emphasis on animal husbandry (Goldstein, 1987), and monogamous marriage would hardly give families sufficient opportunities to manage their farms and animals. Unfortunately, fraternal polyandry is not without its problems; sexual relationships with the wife often become the reasons of conflict. Goldstein (1987) suggests that given the dominant position of the eldest brother, his younger siblings are hardly ever offered a chance to change their social position (Goldstein, 1987). Simultaneously, as economic conditions in Tibet are gradually changing, fraternal polyandry may soon become irrelevant and vanish in the next generation. Certainly, Goldstein (1987) tries to be objective in his research, and along with the benefits and rationale for fraternal polyandry in Tibet, he also provides an extensive list of problems that stem of the competition and conflicts between brothers. The problem, however, is in that the author of the article does not back up his claims with either previous studies or the results of other empirical researches. Furthermore, Goldstein (1987) asserts that the roots of fraternal polyandry are purely economic; but what about social stratification and its impact on marriage? Moreover, what about the sociobiological assumptions which fraternal polyandry seems to deny? As long as males biologically and naturally seek to expand the range of their female mates, fraternal polyandry, on the contrary, reduces their chances to have as many offspring as possible, due to the fact that they have to share a common spouse. From the anthropological perspective, we should be more than interested in answer ing the question WHY fraternal polyandry remains one of the basic marriage forms in Tibet. Economic reasons might be relevant, but beyond purely economic factors there is a whole set of social and cultural considerations, which should be taken into account when investigating the hidden facets of marriage principles in Tibet. To review fraternal polyandry from sociobiological and social perspectives may help create a more holistic anthropological picture of Tibetans and explore the impact, which different factors produce on their choice of the specific marriage form. References Goldstein, M.C. (1987). When brothers share a wife. Natural History, March, pp. 39-48.

Tuesday, November 26, 2019

Black Infantry in the West essays

Black Infantry in the West essays In May of 1865, Congress faced a problem with the war ending and men being sent home. Where were they going to find men to replace the volunteer units? Another problem that the army faced was keeping the hostile Indians under control and learning how to adapt to their style of warfare. General Sheridan also proved to be an important person during this time period. At the beginning of the Indian wars, from 1866 to 1891, the actual strength of the army was approximately 25,000 men (Fowler, 1971, p. 4). Because of the shortage of men, many commanders found themselves very short on personnel. Sheridan pointed out that he was required to garrison seventy three posts and protect an area of country that extended from Canada in the north to Rio Grande in the south with a force of only 13,468 men (Fowler, 1971, p.5). I could only imagine how difficult it must have been for Sheridan to cover such a vast area of land with such a shortage of personnel. It makes you wonder how he organized his divisions to cover the area required by him. The Indian wars proved to be one of the biggest problems that faced the infantry in the west. The way the Indians fought was impractical to the army. They were used to using large regiments and guns. The Indians hit and run style of fighting devastated the army. This was smart to me. The Indians fought their own war instead of fighting the armys war. If the Indians would have tried to fight the way the army was used to fighting, they would have been slaughtered. The war most likely would not have lasted as long as it did. In my opinion, the Indians were very tactical. Just think, they fought their own war on land that they had lived on forever. They were also very mobile. They could pick up and move their entire tribe at a rate of 55 miles per day (Fowler, 1971 p. 7).The Indians ability to move quickly and endure long marches through rough conditions also proved to be a useful tactic. When reviewing thi...

Friday, November 22, 2019

Affirmative Action Overview

Affirmative Action Overview Affirmative action refers to policies that try to correct past discrimination in hiring, university admissions, and other candidate selection. The necessity of affirmative action is often debated. The concept of affirmative action is that positive steps should be taken to ensure equality, instead of ignoring discrimination or waiting for society to fix itself. Affirmative action becomes controversial when it is perceived as giving preference to minorities or women over other qualified candidates. The Origin of Affirmative Action Programs Former U.S. President John F. Kennedy used the phrase â€Å"affirmative action† in 1961. In an executive order, President Kennedy required federal contractors to â€Å"take affirmative action to ensure that applicants are employed†¦without regard to their race, creed, color, or national origin.† In 1965, President Lyndon Johnson issued an order that used the same language to call for nondiscrimination in government employment.  Ã‚   It was not until 1967 that President Johnson addressed sex discrimination. He issued another executive order on October 13, 1967. It expanded his previous order and required the government’s equal opportunity programs to â€Å"expressly embrace discrimination on account of sex† as they worked toward equality. The Need for Affirmative Action The legislation of the 1960s was part of a larger climate of seeking equality and justice for all members of society. Segregation had been legal for decades after the end of slavery. President Johnson argued for affirmative action: if two men were running a race, he said, but one had his legs bound together in shackles, they could not achieve a fair result by simply removing the shackles. Instead, the man who had been in chains should be allowed to make up the missing yards from the time he was bound. If striking down segregation laws could not instantly solve the problem, then positive steps of affirmative action could be used to achieve what President Johnson called â€Å"equality of result.† Some opponents of affirmative action saw it as a â€Å"quota† system that unfairly demanded a certain number of minority candidates be hired no matter how qualified the competing white male candidate was. Affirmative action brought up different issues concerning women in the workplace.  There was little protest of women in traditional â€Å"women’s jobs†- secretaries, nurses, elementary school teachers, etc. As more women began to work in jobs that had not been traditional women’s jobs, there was an outcry that giving a job to a woman over a qualified male candidate would be â€Å"taking† the job from the man. The men needed the job, was the argument, but the women did not need to work. In her 1979 essay â€Å"The Importance of Work,† Gloria Steinem rejected the notion that women should not work if they do not â€Å"have to. She pointed out the double standard that employers never ask men with children at home if they need the job for which they are applying. She also argued that many women do, in fact, â€Å"need† their jobs. Work is a human right, not a male right, she wrote, and she criticized the false argument that independence for women is a luxury. New and Evolving Controversies Has affirmative action corrected past inequality? During the 1970s, the controversy over affirmative action often surfaced around the issues of government hiring and equal employment opportunity. Later, the affirmative action debate shifted away from the workplace and toward college admissions decisions. It has thus shifted away from women and back to a debate over race. There are roughly equal numbers of men and women admitted to higher education programs, and women have not been the focus of university admissions arguments. U.S. Supreme Court decisions have examined the affirmative action policies of competitive state schools such as the University of California and the University of Michigan. Although strict quotas have been struck down, a university admissions committee may consider minority status as one of many factors in admissions decisions as it selects a diverse student body.   Still Necessary? The Civil Rights Movement and the Women’s Liberation Movement achieved a radical transformation of what society accepted as normal. It is often difficult for subsequent generations to understand the need for affirmative action. They may have grown up intuitively knowing that â€Å"you can’t discriminate because that’s illegal!†Ã‚   While some opponents say affirmative action is outdated, others find that women still face a â€Å"glass ceiling† that prevents them from advancing past a certain point in the workplace.   Many organizations continue to promote inclusive policies, whether or not they use the term â€Å"affirmative action.† They fight discrimination on the basis of disability, sexual orientation, or family status (mothers or women who may become pregnant). Amid calls for a race-blind, neutral society, the debate over affirmative action continues.

Thursday, November 21, 2019

An understanding of the term One Man Bridge Operation Dissertation

An understanding of the term One Man Bridge Operation - Dissertation Example This study looks into IMO, COLREGs and the STCW 95, that have laid down regulations and norms that govern one-man bridge operations and these have caused a reduction in the incidents at sea and thereby increased the safety of vessels at sea. Yet, the situation has not been brought totally under control and as seen human fatigue in combination with one-man bridge operation is still a problem area. My humble viewing of the situation and the manner in which this can be addressed runs this way. Incidents at sea due to human fatigue and one man bridge operations is due to the improper manning of ships and the navigation team and the Master of the vessel and the navigation team pay the price even though they are not responsible for the manning policies on board the ship. A minimum complement of four navigation officers and four navigation ratings should be made mandatory on board all seagoing vessels irrespective of the type of vessel, size of vessel and length of voyage. Inspections of sh ips can be utilized to ensure proper manning of vessels. The fines for improper manning of vessels should be high so as to act as a deterrent. These fines should be imposed on the ship owner or ship Management Company. The quantum of the fine should be similar to those imposed for polluting the environment as this measure has been effective in making tankers wary of polluting the seas. Such steps would cause ships to be manned in an optimum manner and if not remove at least reduce the problem caused by human fatigue and the one-man bridge operation.

Tuesday, November 19, 2019

Iron Deficiency Anemia Essay Example | Topics and Well Written Essays - 1250 words

Iron Deficiency Anemia - Essay Example Iron is the main component that makes up hemoglobin (the red pigments that give blood its red color). Other than giving the blood its color, hemoglobin is the main agent that transports oxygen from the lungs to various cells of a human body. Thus, low levels of iron in the blood means that the blood cannot transport sufficient oxygen to other part of the body. In normal condition iron absorption and assimilation is lower than other macro elements such as sodium. Iron deficiency results from loss of blood through severe hemorrhage resulting from injuries and menstruation in women. In such condition, the body loses iron at a rate that is above natural replenishment through dietary intake. According to the case study, Ms A is 26 years and hence she is at the height of her menstrual cycle. Possibly Ms A has never given birth and, therefore menstruation is the only major cause of blood loss from her body. The main factor supporting the diagnostic claim is her experience of dysmenorrheal. Dysmenorrheal is a throbbing pain on the lower abdomen caused by strong contraction of uterine muscles. The condition is associated with low levels of prostaglandin blood. Clearly, this shows that her body has low level of blood resulting from iron deficiency. Unlike other components that form the blood such as proteins and water, iron is less abundant in the body (Mody, Brown, Wechsler, 2003). ... Both conditions results from low levels of blood a condition that is associated with iron deficiency. Thus, the patient is likely to be suffering from iron deficiency anemia. Case Study #2 Cardiomyopathy and congestive heart failure are physiological conditions, which lower the heart pumping ability. This means that the heart cannot pump sufficient blood to meet the metabolic requirements of the body. Patients undergoing therapies and treatment for CHF condition require adequate care to enable them cope with their medication and lead a quality life. As a caregiver, I will purpose at identifying the best treatment plan for Mr. P and ensuring that he leads quality life. According to Mr. P’s background information, I will emphasis on lifestyle changes that are aimed at quality life. Thus, he will be required to adopt a new diet and a physical exercise routine. In addition, my approach will be aimed at empowering the patient into understanding their condition so that they can faci litate in improving their own health. I will also encourage his wife to contribute into the care-giving plan as a family caregiver. Treatment plan and rationale The patient will be required to undergo regular assessments for abnormal heart and lung sounds, blood pressure and pulses, skin temperature and oxygen saturation. This assessment will be aimed at ensuring that the patient is not at risk of acquiring other opportunistic conditions such as renal failure. Assessment of body temperature will provide information on accumulation of waste products in the bloodstream, which impairs oxygen intake and transportation. Assessing cardiac glucose will reduce cardiac workload hence minimize myocardial oxygen consumption. This assessment will facilitate dietary control and regular

Saturday, November 16, 2019

Discuss Shakespeare’s presentation of Jaques as the “odd man out” in As You Like It Essay Example for Free

Discuss Shakespeare’s presentation of Jaques as the â€Å"odd man out† in As You Like It Essay It can be argued that Shakespeare continuously presents Jaques as the odd man out throughout the romantic comedy As you like it through a range of methods. Jaques’ melancholy character would have been a solid portrayal of man courtiers at the time both in society and in literature as this misanthropic attitude was perceived as fashionable. As You Like It is based on Thomas Lodge’s â€Å"Rosalynd† – Jaques is not a character in this, he is Shakespeare’s own creation, prominent character who provides balance, through his cynicism, from the pastoral and romantic idyll. As You Like It is not wholly a pastoral piece however, as Shakespeare diverges slightly from the conventional pastoral tradition throughout As You Like It. To be continued†¦ Paragraph One – Act 2, Scene 1: Act 2, Scene 1 is the first time we are introduced to Jaques, despite him not being present, his absence from stage immediately depicts him as an odd man out as he is not with the people he has chosen to be exiled with, he is apart from the group he is supposedly part of. Although Jaques is not in this scene, this scene is vital in beginning to mould our impressions of Jaques, through reportage one of the Lords gives Jaques the epithet â€Å"the melancholy Jaques† this is the first time he is mentioned and it singles him out as rather strange, as a â€Å"melancholy† man he certainly stands out in such a light hearted play. Being introduced as â€Å"melancholy† would have led the Elizabethans to believe that Jaques had an excess black bile leading to his unbalanced behaviour; this imbalance of the four humours would have singled him out as an odd man out. Jaques bemoans how the exiled Duke and his courtiers are usurping the deer of the forest by hunting them: â€Å"You do more usurp than doth your brother that hath banished you.† This reaction is rather expansive and it contrasts with Duke Seniors more moderate view of realising the necessity of hunting. This idea of hunting is where Shakespeare falls slightly away from the conventional pastoral tradition. Shakespeare probably chose to incorporate the more realistic aspect of hunting so he was able to present Jaques as a courtier struggling to adjust  to forest life. This contrasts with the other courtiers who are trying to adjust to life in Arden. The initial visual image of Jaques, again created through reportage: â€Å"as he lay along under an oak whose antic root peeps out upon the brook† this depiction of Jaques under a tree beside a brook presents Jaques here yet again as an odd man out through this pose which was a prominent pose for a philosopher in contemporary Elizabethan art, and the Elizabethan audience would have recognised this. The Lords quotes Jaques, â€Å"Poor deer, thou maks’t a testament as worldlings do, giving thy sum of more to that which had too much.† Shakespeare presents Jaques, through dialogue, as the commentator who connects the rather irrelevant death of the stag to his cynical view of the world, this commentating role that Jaques adapts reaffirms our initial impressions of him as an odd man out. He â€Å"weeps† for the deer and seems greatly affected by such a trivial event. Jaques’ view of hunting in Act 2, Scene 1 juxtaposes the celebratory tone in reference to hunting in Act 4, Scene 2: â€Å"Let’s present him to the Duke like a Roman conqueror.† This precarious attitude towards hunting makes us question whether Jaques’ melancholy is merely an affectation. Jaques cannot, however, be classified, in Act 2, Scene 1, as a complete malcontent as Duke Senior desires his company, â€Å"I love to cope him in these sullen fits† and whilst Jaques is separate from the other exiled courtiers in this scene; he is not alienated by them. In this scene he is presented as an odd man out, but only to a certain extent. Paragraph Two – Act 2, Scene 5: In Act 2, Scene 5, Shakespeare use of the simile â€Å"I can suck melancholy out of a song as a weasel sucks eggs.† to show how Jaques relishes in his melancholy, he is almost boasting the fact that he can find melancholy in anything, this furthers our impression of him as an odd man out in this sportive play. Jaques compares himself to a weasel, a disagreeable, sharp toothed animal, out of place in this pastoral idyll; this comparison strongly presents him as an outsider. Jaques’ satirical verse of song gives an alternative view of the courtiers’ situation, he parodies Amiens’ song and by putting his own idiosyncratic twist on it, he is showing himself to be the odd man out, he is not adjusting to the forest as the others have. He calls the courtiers â€Å"gross fools† for leaving the comfort of court for country life, although it was not their choice. He seems to forget that he  is one of the â€Å"fools† that has left his â€Å"wealth and ease† for exiled life in Arden, in this way it could be argued that he is not in fact an odd man out to the extent that he is a complete outsider, rather he is actually part of the ensemble of Duke Senior and the other exiled Lords. Paragraph Three – Act 2, Scene 7: Act 2, Scene 7 is arguably the most important scene of the play for Jaques, in this scene Jaques is presented as being envious of the license of the fool which Touchstone holds, â€Å"I am ambitious for a motely coat† he says that the metaphorical motely coat is his only â€Å"suit† playing on the word â€Å"pursuit†, to have the license of the fool is the only thing he will pursue. Shakespeare uses the simile â€Å"I must have liberty withal, as large a character as the wind to blow on whom I please† to reinforce this ambition to be a commentator. This audacious satire presents him as an odd man out because he wants to separate himself from society and be able to comment and criticise the world around him freely. The 1590’s were a great time of censorship, satire was under threat and Shakespeare takes this opportunity to address the issue that writers should be allowed to use satire. The idea that Jaques wanted to â€Å"cleanse the foul body of th’infected world† would have resonated with the Elizabethan audiences who lived in a corrupt world, under the rule of Queen Elizabeth’s Dictatorial court. However DS is quick to chastise Jaques through badinage, saying that Jaques has been a â€Å"libertine† he suggests that it would be hypocritical for Jaques to attempt to cleanse the world of its’ vices and follies because he is just the same as the rest of us, for he has been a hedonist, this suggests that Jaques is not an odd man out, he attempts to present himself as being a patrician but he is in fact no better than the rest of us. Jaques’ Seven Ages of Man extended metaphor is the longest speech in the entire play; it gives Jaques’ bleak view of life. His very ideas of life are melancholic; the image of the â€Å"mewling and puking† baby is not what comes to the common persons mind when they would think of a baby, showing Jaques to be a contrarian. The entire speech is about the cyclical pattern of loss throughout life, in the beginning we have nothing and anything we gain in life we end up losing anyway. Jaques presents himself as the commentator, commenting on the different stages of life that people aspire to such as that of the lover, he  presents the lover as â€Å"sighing like furnace with a woeful ballad made to his mistress’ eyebrow† he presents the lover as then he satirises the parts of life which should be honourable; he mocks the soldier with his â€Å"bubble reputation† and the corrupt judiciary. As he continues, what he says grows continuously morose, the sibilance in â€Å"Shrunk shank† suggests the muscle wastage in old age; Jaques suggests that life is ultimately about loss. This bleak outlook on life shows Jaques to be a misanthropic odd man out. The way Jaques compares the world to theatre was quite conventional of literature at the time, but it is quite interesting that Shakespeare chose to compare life to a â€Å"history†, with Jaques’ melancholia it may have been more suitable for him to compare life to a tragedy but perhaps Shakespeare is suggesting that Jaques does see that life is a mixture of comedy and tragedy so maybe his view isn’t so unique, maybe he is only an odd man out to some extent. The juxtaposition of the following scene shows that Jaques melancholic view isn’t quite universal, neither Orlando the romantic hero of the play, nor Adam the old man fit their stereotype, Orland is seen as greater than just the lover, he is honourable and shows compassion to Adam and Adam is referred to as a â€Å"venerable burden† he does not fit the scathing analysis of the elderly by Jaques. Through this juxtaposition Jaques is clearly presented as the odd man, he has his own separate view of life, which does not really reflect reality.

Thursday, November 14, 2019

Symbolism and Interpretation in Animal Farm Essay example -- Animal Fa

Symbolism and Interpretation in Animal Farm When Orwell published Animal Farm in 1945, a popular belief held that the Soviet Union was an honorable nation. Orwell hoped to write a novel that exposed the murderous truth of the Soviet System; he employed allegory to show a truth that remained unclear to many. As an allegory on early 20th Century Russia, ANIMAL FARM introduces its audience to a wide array of characters--each serving as a symbol. The table below provides a list of fictional characters, events, and items from the film ANIMAL FARM, and the real-life counterparts they appear to represent. Consider how each character could also be interpreted to have a larger, broader meaning. Farmer Jones : The farmer stands for the Russian Czar Nicolas II who was forced to abdicate after the successful February Revolution. In addition, Mr. Jones symbolizes the evils of capitalism, and the moral decline of men under this type of society. Humans: The humans stand for the capitalists, who exploit the weak. The gradual transformation of the pigs into human-like creatures represents the process by which the revolution's leaders became corrupted. Whether capitalist or communist in name, the underlying reality of many political systems is tyranny. Old Major: Many believe Orwell made Old Major a symbol for Karl Marx, the father of the Communist belief system. Both Old Major and Karl Marx serve as the founders of a revolutionary creed, and both die before the revolutionary events they predict. Snowball: Snowball represents Leon Trotsky. Like Trotsky, Snowball is a smart, young speaker who dreams of making life better for all animals. One of the early leaders of the "October Revolution", Trotsky was banish... ...work and submissive behavior. "Beasts of England": This song--which becomes the official creed of the animals' revolution--represents the "Communist Internationale," a real song penned by supporters of communism in the early 1900's. Windmill: The windmill stands for Russian industry. Soviet leaders focused on making Russia industrially modern after the Revolution of 1917. Joseph Stalin, in particular, drew up several "Five Year Plans," which plotted the tremendous growth of Russia's railroads, factories, coal and metal mines. Contemporary Connection: In the original novel, Orwell ends the story with the pigs' ultimate ascension. The cartoon film version flashes us forward to a world after the pigs' fall. How does the film update Orwell's allegory? Research the history of Russia and Eastern Europe over the past 20 years. Who might Jessie represent? Symbolism and Interpretation in Animal Farm Essay example -- Animal Fa Symbolism and Interpretation in Animal Farm When Orwell published Animal Farm in 1945, a popular belief held that the Soviet Union was an honorable nation. Orwell hoped to write a novel that exposed the murderous truth of the Soviet System; he employed allegory to show a truth that remained unclear to many. As an allegory on early 20th Century Russia, ANIMAL FARM introduces its audience to a wide array of characters--each serving as a symbol. The table below provides a list of fictional characters, events, and items from the film ANIMAL FARM, and the real-life counterparts they appear to represent. Consider how each character could also be interpreted to have a larger, broader meaning. Farmer Jones : The farmer stands for the Russian Czar Nicolas II who was forced to abdicate after the successful February Revolution. In addition, Mr. Jones symbolizes the evils of capitalism, and the moral decline of men under this type of society. Humans: The humans stand for the capitalists, who exploit the weak. The gradual transformation of the pigs into human-like creatures represents the process by which the revolution's leaders became corrupted. Whether capitalist or communist in name, the underlying reality of many political systems is tyranny. Old Major: Many believe Orwell made Old Major a symbol for Karl Marx, the father of the Communist belief system. Both Old Major and Karl Marx serve as the founders of a revolutionary creed, and both die before the revolutionary events they predict. Snowball: Snowball represents Leon Trotsky. Like Trotsky, Snowball is a smart, young speaker who dreams of making life better for all animals. One of the early leaders of the "October Revolution", Trotsky was banish... ...work and submissive behavior. "Beasts of England": This song--which becomes the official creed of the animals' revolution--represents the "Communist Internationale," a real song penned by supporters of communism in the early 1900's. Windmill: The windmill stands for Russian industry. Soviet leaders focused on making Russia industrially modern after the Revolution of 1917. Joseph Stalin, in particular, drew up several "Five Year Plans," which plotted the tremendous growth of Russia's railroads, factories, coal and metal mines. Contemporary Connection: In the original novel, Orwell ends the story with the pigs' ultimate ascension. The cartoon film version flashes us forward to a world after the pigs' fall. How does the film update Orwell's allegory? Research the history of Russia and Eastern Europe over the past 20 years. Who might Jessie represent?

Monday, November 11, 2019

Cardio Workouts

By taking fitness again this term, I feel that I have accomplished my goals that I set for myself and have gotten into a great routine I could try everyday over the summer. Now experienced exercising on mostly all the cardio machines, I am able to effortlessly exercise through a workout for thirty minutes or more. For a specific goal this semester, I have wanted to succeed on levels 5-10, and I have actually reached level 10 on many occasions. Level 10 is still obviously a challenge for me, but this just pushes me to continue.In time, I might even reach higher levels than this and I will strive to do so. Another goal of mine was to lose a few pounds by the time I finished this class. I believe this is a check off my list because whenever I workout now, I hardly feel any soreness on even some of the highest levels. I knew if I worked at this for an extended period of time, it would pay off and the results would be the way I wanted them. Lastly, my next goal was to get my legs into sha pe for when I play tennis in the summer. I want to have every part of my body in good form to succeed and build up more even more muscle in my calves.Mid-way through my progression in the second semester I got tested on how well I was working to attain my fitness goals. Once indoors, working on the Arc Trainer and another time, jogging outside on the track. The heart monitor proved to see if I was working out to my maximum potential and the goal for everyone was to reach a target heart rate zone from 142-162. Outdoors, I felt like it was a little tough to achieve a decent heart rate, but my average was 152 bpm. Also, my maximum heart rate was 185 and I accomplished this by steadily running at a faster speed.Both times getting tested were surprisingly not too difficult, but was definitely a challenge at one point. By doing this, I correctly positioned a strap tightly around the upper part of my body and secured the heart rate watch around my wrist. While working out these two times, I needed to have the watch in close distance to my body at all times, so I could receive an accurate heart rate. Done trying mostly all of the cardio machines, I would say my favorite is the Arch Trainer because it really gets my legs and the rest of my body moving.The Arch Trainer enables me to experiment with different levels and adjusting until I acquire the proper one that I am comfortable with. On the same note, I sense my progression in overall fitness and wellness has enhanced a lot. First getting back into the swing of things in the beginning of the semester was a bit hard, but I managed to continue where I left off from the pervious term. Nevertheless, as time went on, I was still capable of increasing my level at a steady pace. Plus, at the same time my calories that I burned increased to higher numbers and I felt amazing afterwards.I believe I should continue working out. Exercising is immense when it comes to improving and extending good health and life span. Also, a hea lthy and proper diet is essential to this progression. Working out increases your heart rate and leads to making your heart stronger as a whole. As well, your muscles in every part of your body become strengthened while doing so. Eating right and constantly working out, means becoming a healthier you and doing things you might not have been capable of doing before. I now appreciate these cardio machines and have a feel for which are best for me.Each day I try and workout to my greatest ability, no matter what program or level. When I look back on my cardio progress chart, I see what I have accomplished according to my goals that I set for myself in the beginning. I see exactly which machines I liked best, how varied the levels were on each day, the distance I went, and from that the calories I burned. I have definitely learned quite a lot when it comes to getting your body into proper condition. This fitness class taught me what it is like to be in shape and acquire the workouts I n eed to continue daily.

Saturday, November 9, 2019

A Case Study on Domestic Violence Against Women

By default, women are on the same level as men—point for point, ability and talent, capacity and potential. However, the physical qualities of women often put them on a lower rung, owing to biological factors such as reproduction that make women’s bodies relatively smaller and less strong. This gap is where the concept of domestic violence operates, particularly the act committed by a man against his female partner.Many women are known to be partial to keeping domestic violence a secret, because they are usually of low self-image and are under constant depression. A battered woman is the result of domestic violence, which happens when an individual in a marriage or intimate relationship attempts to control and dominate the other (Davies, et al, 2007). On the outset, there are no perceived differences between a regular woman, and one who is a victim of domestic violence; both, specially those who engage in various social circles, always put their best foot forward, as a rule.However, the â€Å"healthy† woman remains to be a productive, functioning member of the society where she belongs, in full control of her capabilities; while the â€Å"battered† woman exhibits signs of lack of emotional control, eating disorders, and symptoms of alcohol abuse. A woman undergoing domestic violence becomes a battered woman through an escalation of three different stages: tension-building, explosion, and calm. The cycle of abuse and battery coincides with the woman’s psyche, since the last phase, also known as the honeymoon stage, positively reinforces whatever concerns she may have against her partner (Rubenstein, 2004).Hence, a specific term was coined to refer to the pattern of symptomatic behavioral and psychological qualities apparent in women part of violent relationships. Commonly, four characteristics define what is known as the â€Å"battered woman’s syndrome†: She believes she caused the violence to happen. She is incap able of crediting the violence committed to someone other than herself. She often fears for her and her children’s lives and safety. She believes that her abuser can do and see anything and everything (Walker, 1984). II. Shelters for Battered WomenFollowing the confirmation of conditions defining domestic violence and battery, women victims may seek protection in numerous battered women’s shelters across the United States. All of them are equipped with 24-hour hotlines, and commit to confidentiality. Three requirements are to be adhered to: (1) the woman must be ready and willing to leave her home to protect herself and her children from more abuse, (2) the woman should strictly follow the shelter’s confidentiality rules to ensure the safety of other resident, and (3) the woman does not require a restraining order to be accepted in the shelter (CRII, 2001-2008).III. National Coalition Against Domestic Violence Collectively, the NCADV aims to promote goals and mi ndsets in persons and communities who believe in ending cycles of violence and abuse. It declares that violence against women comes from the ambition to maintain control as well as abuse of power, and its mission is to implement rules that will ensure change to eliminate causes of violence and battery.The NCADV is made up of people who genuinely care about the plight of battered women and their families in the city and countryside, regardless of ethnicity, socio-economic class, or religion. Today, the NCADV is responsible for over 2,000 shelters for women and service programs (NCADV, 2005). References Rubenstein, Lori S. (2004). â€Å"Battered Woman’s Syndrome†. Divorce Net. website, accessed on 18 August 2008 at http://www. divorcenet. com/states/oregon/or_art02 Davies, Pat, et al. (2007). â€Å"Domestic Violence and Abuse†. Helpguide. org website,accessed on 18 August 2008 at http://www. helpguide. org/mental/domestic_violence_abuse_types_signs_causes_effects. htm National Coalition Against Domestic Violence (2005). â€Å"Mission Statement and Purpose†. NCADV website, accessed on 18 August 2008 at http://www. ncadv. org/aboutus. php Community Resources Information, Inc. (2001-2008). â€Å"What are shelters for battered women? † CRII website, accessed on 18 August 2008 at http://www. massresources. org/pages. cfm? ContentID=23&pageID=2&Subpages='yes'&SecondLevelDynamicID=761&DynamicID=469

Thursday, November 7, 2019

Introduce, Discuss and Analyze the Anthrax Attacks essays

Introduce, Discuss and Analyze the Anthrax Attacks essays The anthrax attacks of Fall 2001 were especially frightening because as they continued, it became increasingly clear they originated inside the United States, and there seemed little way to stop them. They were extremely frightening not because of a huge death toll, but because they could happen anywhere, at any time, and the implications for further terrorism seemed explicit. It was the first use of biological weapons in our country, and it was a frightening wake up call to national security and American citizens that we really are not that immune to biological weapons What is anthrax' Anthrax is a disease that is spread by a one-celled organism called "Bacillus anthracis." Anthrax does not spread from one person to another, it spreads via the bacterium, and this is a deadly disease that can attack the lungs, intestines, or skin. The Center for Disease Control (CDC) classifies anthrax as a "Category A agent" because these agents are the most dangerous to people, and they can spread. The CDC reports Category A's, "pose the greatest possible threat for a bad effect on public health, may spread across a large area or need public awareness, and need a great deal of planning to protect the public's health" (CDC). Anthrax meets all of these criteria and more, as the anthrax attacks on the United States clearly indicated. The skin form of anthrax is the least deadly, while the inhaled form is the most deadly. Anthrax can be carried in animals, and humans can become infected with anthrax from animals by inhaling the bacterium or by eating meat that is not cooked enough from infected animals (CDC) - however, this is rare. Anthrax used as a weapon in terrorist attacks is much more likely. Because the symptoms of the two most serious forms of anthrax, gastrointestinal and inhaled are so much like cold and flu symptoms, it is often difficult to diagnose, and treatment must be...

Tuesday, November 5, 2019

The War Crimes of Iraqs Saddam Hussein

The War Crimes of Iraqs Saddam Hussein Saddam Hussein Abd al-Majid al-Tikriti was born on April 28th, 1937 in al-Awja, a suburb of the Sunni city of Tikrit. After a difficult childhood, during which he was abused by his stepfather and shuffled from home to home, he joined Iraqs Baath Party at the age of 20. In 1968, he assisted his cousin, General Ahmed Hassan al-Bakr, in the Baathist takeover of Iraq. By the mid-1970s, he had become Iraqs unofficial leader, a role that he officially took on following al-Bakrs (highly suspicious) death in 1979. Political Oppression Hussein openly idolized the former Soviet premier Joseph Stalin, a man notable as much for his paranoia-induced execution sprees as anything else. In July 1978, Hussein had his government issue a memorandum decreeing that anyone whose ideas came into conflict with those of the Baath Party leadership would be subject to summary execution. Most, but certainly not all, of Husseins targets were ethnic Kurds and Shiite Muslims. Ethnic Cleansing: The two dominant ethnicities of Iraq have traditionally been Arabs in south and central Iraq, and Kurds in the north and northeast, particularly along the Iranian border. Hussein long viewed ethnic Kurds as a long-term threat to Iraqs survival, and the oppression and extermination of the Kurds was one of his administrations highest priorities. Religious Persecution: The Baath Party was dominated by Sunni Muslims, who made up only about one-third of Iraqs general population; the other two-thirds was made up of Shiite Muslims, Shiism also happening to be the official religion of Iran. Throughout Husseins tenure, and especially during the Iran-Iraq War (1980-1988), he saw the marginalization and eventual elimination of Shiism as a necessary goal in the Arabization process, by which Iraq would purge itself of all perceived Iranian influence. The Dujail Massacre of 1982: In July of 1982, several Shiite militants attempted to assassinate Saddam Hussein while he was riding through the city. Hussein responded by ordering the slaughter of some 148 residents, including dozens of children. This is the war crime with which Saddam Hussein was formally charged, and for which he was executed. The Barzani Clan Abductions of 1983: Masoud Barzani led the Kurdistan Democratic Party (KDP), an ethnic Kurdish revolutionary group fighting Baathist oppression. After Barzani cast his lot with the Iranians in the Iran-Iraq War, Hussein had some 8,000 members of Barzanis clan, including hundreds of women and children, abducted. It is assumed that most were slaughtered; thousands have been discovered in mass graves in southern Iraq. The al-Anfal Campaign: The worst human rights abuses of Husseins tenure took place during the genocidal al-Anfal Campaign (1986-1989), in which Husseins administration called for the extermination of every living thinghuman or animalin certain regions of the Kurdish north. All told, some 182,000 peoplemen, women, and childrenwere slaughtered, many through use of chemical weapons. The Halabja poison gas massacre of 1988 alone killed over 5,000 people. Hussein later blamed the attacks on the Iranians, and the Reagan administration, which supported Iraq in the Iran-Iraq War, helped promote this cover story. The Campaign Against the Marsh Arabs: Hussein did not limit his genocide to identifiably Kurdish groups; he also targeted the predominantly Shiite Marsh Arabs of southeastern Iraq, the direct descendants of the ancient Mesopotamians. By destroying more than 95% of the regions marshes, he effectively depleted its food supply and destroyed the entire millennia-old culture, reducing the number of Marsh Arabs from 250,000 to approximately 30,000. It is unknown how much of this population drop can be attributed to direct starvation and how much to migration, but the human cost was unquestionably high. The Post-Uprising Massacres of 1991: In the aftermath of Operation Desert Storm, the United States encouraged Kurds and Shiites to rebel against Husseins regimethen withdrew and refused to support them, leaving an unknown number to be slaughtered. At one point, Husseins regime killed as many as 2,000 suspected Kurdish rebels every day. Some two million Kurds hazarded the dangerous trek through the mountains to Iran and Turkey, hundreds of thousands dying in the process. The Riddle of Saddam Hussein: Although most of Husseins large-scale atrocities took place during the 1980s and early 1990s, his tenure was also characterized by day-to-day atrocities that attracted less notice. Wartime rhetoric regarding Husseins rape rooms, death by torture, decisions to slaughter the children of political enemies, and the casual machine-gunning of peaceful protesters accurately reflected the day-to-day policies of Saddam Husseins regime. Hussein was no misunderstood despotic madman. He was a monster, a butcher, a brutal tyrant, a genocidal racist - he was all of this and more.But what this rhetoric does not reflect is that, until 1991, Saddam Hussein was allowed to commit his atrocities with the full support of the U.S. government. The specifics of the al-Anfal Campaign were no mystery to the Reagan administration, but the decision was made to support the genocidal Iraqi government over the pro-Soviet theocracy of Iran, even to the point of making ourselves complicit in crimes against humanity . A friend once told me this story: An Orthodox Jewish man was being hassled by his rabbi for violating kosher law, but had never been caught in the act. One day, he was sitting inside a deli. His rabbi had pulled up outside, and through the window he observed the man eating a ham sandwich. The next time they saw each other, the rabbi pointed this out. The man asked: You watched me the whole time? The rabbi answered: Yes. The man responded: Well, then, I was observing kosher, because I acted under rabbinical supervision.Saddam Hussein was unquestionably one of the most brutal dictators of the 20th century. History cannot even begin to record the full scale of his atrocities and the effect they had on those affected and the families of those affected. But his most horrific acts, including the al-Anfal genocide, were committed in full view of our government - the government that we present to the world as a shining beacon of human rights.Make no mistake: The ouster of Saddam Hussein was a victory for human rights, and if there is any silver lining to come from the brutal Iraq War, it is that Hussein is no longer slaughtering and torturing his own people. But we should fully recognize that every indictment, every epithet, every moral condemnation we issue against Saddam Hussein also indicts us. We should all be ashamed of the atrocities that were committed under our leaders noses, and with our leaders blessing.

Saturday, November 2, 2019

Latin American Civilization Essay Example | Topics and Well Written Essays - 1000 words

Latin American Civilization - Essay Example The staple corn can be pounded into tortillas, taco shells or any desired shape. Beans, rice, and squash also serve as dietary staples. Avocado dip and other moles, or sauces, are popular for dipping tortilla chips. Tequila, in all its various grades, is an internationally popular drink and Cinco de Mayo festivals are becoming prominent fixtures in Mexican restaurants the world over. The Virgin of Guadalupe, whose main house of worship is the Basilica of Guadalupe, serves the Mexican people on multiple layers. Her repeated appearances in 1531 to Juan Diego led to the consecration of the holy mother and her eventual title of Patroness of the Americas conferred upon her by Pope John Paul II. She is a savior particularly to women, but serves all those in need. In 1810, rebels called upon her guardianship in their battle again Spanish colonists. She has long been considered an integral symbol of Mexican religious, national, and political identity. The fiery painter, Frida Khalo (1907-1954), lived a short but brilliant life. When a teenager, she survived a harrowing bus accident that left her with internal damage and chronic pain. However, Frida’s unique painting fused events from her life with indigenous earth mother imagery. The painting at right, titled The Love Embrace of the Universe,the Earth (Mexico), Me, Diego, Mr. Xolotl, depicts such a concept showing a green clay goddess enveloping Frida, wearing a long traditional red skirt with a white fringe, holding a babe-like Rivera. This magical world rests in the penumbras between light and dark in the transformative cycle of birth and death. Chile’s national flag expresses deep historical significance. The star in the blue sky acts as a shining beacon to guide her people in honorable progress. The white represents the snow-capped Andes while the red represents the blood of the martyrs in the

Thursday, October 31, 2019

Language can Create Success Essay Example | Topics and Well Written Essays - 1250 words

Language can Create Success - Essay Example It can have a negative effect in that family members may feel embarrassed or ashamed by an individual’s use of poor English. Amy Tan clearly demonstrates this as she says that she was embarrassed by her mother’s broken English when she was young. She says that, â€Å"my mother's "limited" English limited my perception of her† (Tan). This means that she thought that her mother’s inability to speak English fluently also affected her thoughts. This is also a belief that is commonly held by many people. People tend to believe that an individual, who is unable to use proper English in a conversation, also bears limited thoughts and a closed perception. Tan echoes these sentiments when she says that she â€Å"believed her mother’s poor English reflected the quality of what she had to say† (Tan). People do not understand that individuals can express themselves poorly but bear intelligent perceptions and thoughts. Her relationship with her mother als o seemed to be affected by her poor English. Tan had to translate or speak for her mother so that people could understand or get a picture of what she was saying. She says that she used to argue with people on the phone while she was pretending to be her mother.Tan also recalls an incident when she was giving a speech on her work and she remembered that her mother was in the congregation.She had been used to talking to her in broken English and carefully selecting phrases that she could understand

Tuesday, October 29, 2019

State of Nuclear Energy in Germany Assignment Example | Topics and Well Written Essays - 500 words

State of Nuclear Energy in Germany - Assignment Example If the other actor is rational then such an approach, if practiced correctly can ultimately help to keep a state free from interference of an aggressive manner. The second of these strategies which will herein be discussed is that of dà ©tente diplomacy. Naturally, this ultimately represents a form of soft power in that it works to east tensions between groups by engaging in different mediums of hostility relaxation. As a function of using this particular strategy, the actors are assuming that the other side can ultimately be convinced of their own viewpoint and that a certain amount of give and take or compromise can ultimately be affected (Mueller, 2011). An example of deterrence in global politics can of course be inferred by the very public displays of military might and power that the Islamic Republic of Iran puts on display during the anniversary of the Islamic Revolution. Likewise, an example of dà ©tente can be seen in the way that UN diplomats as well as Russian and Western diplomats have been hard at work seeking to work out an end to the bloodshed that is continuing in Syria. The country that this student has chosen to analyze is that of Germany. Although Germany is considered to be one of the most technologically advanced nations in the world, it has announced that it plans to take all nuclear plants operating within the country offline within the next 10 years. This has been a function of the events that have taken place within Japan as a result of the Fukashima Diachi disaster (Funabashi & Katazawa, 2012). As such, Germany provides something of a role model for other advanced states that continue to cling to nuclear energy as a means of producing a high level of cheap energy for their population. Without a doubt, the threat of the use of nuclear weapons during war is the greater threat. Although occasional industrial accidents can and have occurred

Sunday, October 27, 2019

Occupational Health and Safety Essay

Occupational Health and Safety Essay Health and safety is mainly about providing a safe and healthy workplace to the employees. The International Labour Organisation stated a definition of Health and Safety in 1950 Occupational health should aim at: the promotion and maintenance of the highest degree of physical, mental and social well-being of workers in all occupations; the prevention amongst workers of departures from health caused by their working conditions; the protection of workers in their employment from risks resulting from factors adverse to health; the placing and maintenance of the worker in an occupational environment adapted to his physiological and psychological capabilities; and, to summarize, the adaptation of work to man and of each man to his job. Health and safety is done to ensure that risks to employees safety and health are precisely being controlled. Health and safety has become an important issue nowadays (Health and Safety Executive, 2008). Bill Callaghan in 2000 stated that good health and safety is good business. Sadly, not every organisation understands that. This is an unbearable expense for them and we had seen that the numbers of accidents have increased greatly although the implementation of different laws. Furthermore, as a secondary option as stated by the HSE in 2008, health and safety at the workplace should also protect co-workers, family members, employers, customers, suppliers, nearby communities, and other members of the public who are connected with the workplace environment. In order to achieve this we have to engross interactions among many focus areas, including occupational medicine, industrial hygiene, public health, safety engineering, chemistry and health physics. Weskem LLC had written in 2007 that the main issue of Occupational Safety and Health is that accidents are costing a lot to the organisations and therefore laying more importance on the implementation of a good health and safety program. When accidents happen, the employer looses on two grounds; increased medical costs and employee absences (which are being paid as sick leaves). A safe work environment is not a ridiculous expectation from low class employees. From the labourer digging a hole to the office manager to the site manager-all foresee arriving home each evening without having been injured on the job. Furthermore he added that, accidents do happen, but those can be avoided in many cases. Safety in some organisation (although rare) is given the first place and even minor injuries are unacceptable. A fatality can put pause to a project and initiate a long and complicated investigation that could hold-up a project for months. It will also create a negative publicity. Occupational health and safety also impacts upon the employment bond and outsourcing, and there is a need to guarantee that there is compliance with the regulations in force. There are numerous issues affecting the health and safety of workers, e.g. exposure to physical, biological, chemical, ergonomic hazards. In his book published in 2002, Charles D.Reesee made clear that in the fields of health and safety, there are three Es that prevail. Those are respectively: Engineering- entails awareness of safety issues when designing equipment Education- train employees in safety procedures and how to safely do their job. Enforcement- rules and policies should be firmly imposed. He further stated that there are six good reasons to prevent accidents, injuries and deaths: Destruction of human life is ethically unfair. If employers do not take initial safety measures, this entitles them to be decently accountable for those accidents. Accidents limit efficiency and productivity. Occupational accidents produce far reaching social harm. Safety techniques can easily reduce occupational accidents. There has been a lot of expansion in the legal domains in order to provide a safe and healthy workforce. In totting up, he added that without exception all industries face health and safety issues which could have adverse effects upon their workforce and workplace. The employers need to recognise that there are hazards prevailing at their workplace and therefore take all the precautions that are necessary. Employers risk a lot when they perceive that safety is no longer a priority or when they divert all the resources made available for the health and safety department elsewhere. Hazard identification, prevention and mitigation are the most important elements in reducing occupational accidents and illness. In order to make all these accessible, Charles D.Reesee proposed that there is a need to put in place an approach which combines training of the workers and their involvement, ergonomic job design, medical surveillance, competent supervisor and a corporate organisation that promotes safety. The organisation should put safety before production (i.e. at the bottom line). We had seen that nowadays, the noose is tightening, and frequent bad safety practice is now being regarded in the same way as drink-driving and high penalties are being awarded. The evolution of health and safety Concern for the protection of workers health and safety is not new; it started from the early cavemen till now to the modern workers. History has shown that the Egyptians knew the danger from gold and silver fumes. They even had their own first manual of 1st aid. Ramses in 1500 B.C. hired a physician for quarry workers. Hippocrates the father of medicine realised in 400 B.C. that stone crushers were having breathing problems. The Romans even had a goddess of safety and health named, Salus and whose picture is usually found on their coins. As we go through the middle ages, we had witnessed that the working force around the world became more and more conscious about the importance of health and safety, an e.g. in the 1700s the English chimney sweeps and their ability to cause testicular cancer was discovered. During that period also the first unions made their apparitions by trying to improve the conditions of the workers. In the 1400s some physicians made their colleagues aware that t here is a great need to avert the diseases of employment in mines (Charles D.Reesee, 2001). The Hammurabi Codex (a code of law) was carved on a black stone monument on public display in ancient Babylon in Mesopotamia and that was 1780 BC. The laws were namely: If a builder built a house for someone, and does not construct it properly, and the house which he built falls in and kills its owner, then that builder shall be put to death [Law 229] If it kills the son of the owner, the son of that builder shall be put to death [Law 230] If it kills a slave of the owner, then he shall pay for a slave to the owner of the house [Law 231] If it ruins goods, he shall make compensation for all that has been ruined, and inasmuch as he did not construct properly this house which he built and it fell, he shall re-erect the house from his own means [Law 232] (Xmo Strata, 2011). During the first part of the 1900s, compensation law was established and prior to this most employers passed the blame of accidents to their workers using the common laws which stated that: The employer was not responsible when ones injury was caused by negligence of a fellow worker. The employer was not responsible if the worker was injured due to his own negligence. The employer was not responsible if when taking the job the employee was aware of the risk that it compromised (Xmo Strata, 2011). On the other hand, Abermed limited stated on the 19th of October 2010 that in the 1900s some companies became more conscious about the importance of health and safety and did not use the common laws as a means of putting the faults on the workers. Another issue that they pointed out were that society is now responding to the rising levels of proof as to the associations between disease and certain work activities, by making employers responsible for the individual and social expenses incurred by poor workplace safety and health policies. According to them it occurred by the expansion of workers compensation and occupational health and safety regulatory programs. Those efforts were done in order to decrease occupational accidents and diseases in organisation. And it was completed in 1970 by President Richard Nixon who signed the Occupational Safety and Health Act which established a nationwide enforcement-oriented health and safety program. This legislation called for the development of increasingly severe standards to be met by all employers. Those Standards forced changes in engineering design and monitoring instrumentation were developed to assess industrial hazards. For example, air quality 15 years ago was measured by loss of visibility caused by airborne-suspended particulate materials. Now air quality is being evaluated by complicated sampling devices that measure qualitatively and quantitatively the levels of respirable-sized particles entering a workmans lungs over an eight-hour work shift. Acceptable levels of pollutants have gone from thousands of micrograms of materials per cubic centimeter of air to hundreds of micrograms per cubic meter per day (Abermed limited, 2010). From a moral and ethical standpoint, employers have the duty to grant a safe and protected atmosphere for their employees. In many contracts we have seen that nowadays they are inserting a clause that states that the employee will do their best for the company and that the company itself will do all the best possible for its workers. Then from an organisation perspective, we can see that employees are an enormous expense to the organisation. Its not just about paying salaries but about recruitment and training. All this costs a lot of money. The more the industry is skilled the greater will be the cost to the company. The important aspect is that the employers at all cost tries to retain its best and brightest employee and that implies creating a safe and healthy workplace for them (Abermed limited, 2010). This is done not only to protect the investment done into the employee, but also to ensure that the employee continues to contribute to the profits by being a productive member of the organisation. In this context, occupational health and safety can be considered as a retention tool. Another issue is that it is an effective public relations tool. Workplace accidents and incidents are not just a loss in terms of loss in lives and productivity, but also bad press. And in the litigious world that we are living in, awful press often makes very big law suits (Abermed limited, 2010). Definitions and purpose of compliance audit Audits undertaken to confirm whether a firm is following the terms of an agreement, or the rules and regulations applicable to an activity or practice prescribed by an external agency or authority (Business dictionary). However, it can further be elaborated into: A safety audit based on regulatory or other compliance. It helps to determine whether the organisation is giving a safe and healthful workplace to his employees. Compliance auditing became increasingly famous in the 20th century. Paul A. Esposito explained in 2009 that compliance audits can be defined as a comprehensive review of organisation obedience to regulatory guidelines and that there are classically two levels of compliance-type audits. The first one is a department or equipment specific inspection. A more organized compliance evaluation would engage a wall-to-wall check of regulatory conformance. He added that audit is frequently performed in reply to regulatory needs. It is almost impossible to have a workplace free from perilous conditions all of the time, for the reason that conditions and people change every time and the potential for an unsafe condition always exists. Inspections are usually done on a daily, weekly or monthly basis. Frequency depends on the nature of the control or how often surroundings, equipment or people change, plus legal requirements. A proper wall-to-wall compliance evaluation will classically include three gears: conformance, recordkeeping and training (Paul A. Esposito, 2009). Physical surveys and inspection of plants are usually wrongly called audits according to Reesee (2001) and Auditing is a basis of information that has become very useful in present business especially with the continuous changes happening in the legal environment and thus the level of compliance should always be monitored. Todays organisations face greater regulatory inspection than ever before due to the propagation of laws and regulations in figure and difficulty as well as increased regulatory supervision and audit activity. Arter (1998) settled the four universal principles of auditing: Audits demonstrate if sufficient controls are in place. Auditors must be skilled. Audits must be proficient , fact-based and performed professionally Audits must result in information that meets auditee desires and allows problems to be solved. A far more simple definition is that it is designed to spot problems and therefore provide corrective action before there is any litigation. The audit mirrors what an employee could expect if an inspector walked through the door and an effective audit processes, verifies and identifies those fundamentals that build up health and safety (Jorgensen, Ernest B, 1998). The key value of a safety audit is that it helps shift activities from reactive to proactive. The typical inspection is a reactive one-it identifies things that must be corrected. This means that non-compliance has been detected. On the contrary, a proactive approach strives to keep away the likelihood of litigation and therefore creating a safe and healthy workplace (Jorgensen, Ernest B, 1998). The contents in the audit depend on the nature of the duties of the organisation. The overall definition remains the same but the different organisations adapt it to their respective works. Ideally, it is conducted annually and should include every part of the organisation. Such duty requires substantial preparation and a team of competent auditors; therefore an annual audit may not be feasible in many situations. Its main purpose is to identify gaps and make recommendations in order to be more efficient and to make compliance activities more effective. An audit is only a snapshot in time; it is not an alternative from ongoing management involvement (Paul A. Esposito, 2009). We can further add that it provides a process to ensure that compliance continues. Susan Burch gave a broader definition in 2008: Compliance audits are based on a compliance risk assessment and are designed to detect unintentional regulatory compliance violations by employees and other company representative. Companies doing worldwide operations take on extra regulatory challenges, as they have to consider the changing regulatory environments and cultures with different business practices. Because of the elevated risk linked with non compliance, management are under amplified examination, not only from regulators, but also from clients, employees, stockholders and business partners. Thats why almost all the organisation is developing an incorporated approach to implement a regulatory compliance framework. (Susan Burch, 2008) The standard ISO 19011 stated that auditing has three main importances namely: It forms part of the PDCA cycle, i.e. the plan, do, check, act cycle. It is a basis for self assessment of capabilities to comply to requirements It is a basis for 3rd Party Certification. The use of safety audits have shown to have a positive effect on a companys loss control initiative. In reality it has been proven that companies who perform safety and health compliance audits have fewer accidents/incidents than those who do not perform audits. Moreover, Charles D.Reesee (2002) stated 9 main objectives of compliance audits: Identify the existence of hazards. Check compliance company rules and regulations. Check compliance with OSHA rules. Determine the safety and health conditions of the workplace. Determine the safe condition of equipment and machinery. Evaluate supervisor safety and health performances. Evaluate workers safety and health performance. Evaluate progress regarding safety and health issues and progress. Determine the effectiveness of new processes or procedural changes. Moreover, he added that the topics below are the most commonly used one in the conduction of an audit: Acids Fire extinguishers First aid Alarms Fire protection Power tools Atmosphere Fumes Radiation Barriers Gas cylinders Respirators Buildings Gases Safety devices Chemicals Hand tools Signs Compressed gas cylinders Horns and signals Scaffolds Confined spaces Hoses Shapers Docks House keeping PPE Dusts Ladders Storage facilities Electrical equipment Lifting Ventilation Emergency Procedures Lighting Unsafe condition Extinguishers Machines/Materials Unsafe act Fall protection Noise Warning devices Organisation should not only allow themselves to do the bare minimum but should embark into a culture of probing, challenging, innovation and best practice implementation. The total audit approach is meant to encourage openness, acceptance that auditing is positive and important. An effective audit process measures and evaluate the relationship between task, environment and worker (Bill Glass, 1993). A safety audit subjects each area of a companys safety activity to a systematic and very critical examination. Every single component is examined to verify its level of compliance. In this way strength and weaknesses are disclosed and areas of vulnerability are highlighted. It is extremely complex and time consuming. However it is a very worthwhile activity. (Charles D.Reesee, 2002) Compliance auditing poses serious dilemma to various organisations in the world according to the State of Queensland, Department of Industrial Relations (2005). Those can be summarised as follows: If the regulatory auditors do not find any violation on his regular visit that does mean that the organisation is safe because any employee or visitor can fill a case for non compliance against the organisation. If the organisation engages a third party for conducting the audit, the agency can at any point in time report the non compliance to the government and then further action can be taken if the organisation do not remedy to the violation. Although a private audit is conducted the government under special cases may the organisation to make the audit available to them. Furthermore they added that , compliance audit do not guarantee that a workplace is free from violations as on a visit an auditor cannot inspect all the procedures and risks involved at the workplace. The hazards investigated by auditors during a compliance audit are determined by the workplace environment by the side of information obtained from specific workers data, relevant injury data and industry input. Strength, weakness and appropriate solutions of onsite auditing Compliance auditing compromise mostly of onsite auditing but those has many strength and weakness. It represents the strongest aspect of an audit. During the onsite visiting, trained and experienced professionals are expected to conduct vigorous evaluation of the site and work process. The onsite auditing is a very complex and intense process for both the auditors and the personnel. It consists mainly of the following: Talk with the site manager; Site orientation tour; Review of the health and safety management systems; Records review; Interview with personnel; Field observation; Meeting with site staff; (Lawrence B. Cahill, 2005) In support of it, he added that it is always difficult to achieve a perfect audit although the entire possible measures have been put in place in order to conduct it. He goes further by adding that the most common problems encountered are: Poor time management; Inadequate sampling and verification; Poor balance between interviews, record review and interviews; disorganized records review; Poor interviewing techniques and; Poor findings communication. Walter Willborn (2000) on the other hand, proposed some solutions in order to cater for some of the gaps that have been found by Lawrence. Those are as follows: Poor time management; The auditor should develop its own agenda accordingly and review his progress against the agenda daily make adjustments accordingly. Developing an agenda well in advance helps the auditor to ensure that all topics are being covered. Inadequate sampling and verification; Before an audit the auditor should define when the field activities are to be completed. Auditors often struggle to determine the appropriate sampling size. On the other hand, he cannot take one as a sample. The auditor can spend much time in document review that he may neglect other areas which are much as important as the other fields. Not all the sampling must be statistically representative but there must be a balance within it. There should be at least three areas of non compliance before the auditor can come to the conclusion that there is a finding. Balance between the different fields is vital. Eyes are more accurate witnesses than ears (Heraclitus, 2007). This is just to say that the auditor must be able to see all the slightest detail before reaching to any conclusion. Poor balance between among records review, interviews and observations All auditors have a tendency to incline towards their activity comfort zone. For some, its record review. For others, its field observations and for a few its interviews. For this reason the auditor will spend more time in an activity and neglect the others. The auditors must keep track of the time they have to spend on one activity and then move to another area. Occupational health and safety requirements generate thousands of paper each year and this can be one area that trips the auditor. They should recognise that although document review is very important to demonstrate compliance, it is not the whole story. If too much time is spent on this area it may compromise the efficacy of the audit. There should be a method to review and below are some steps that are easy to use: Obtain all the records needed within the time limit. Records review must be your first on-site activity. Many auditable needs can be found in the documents. Dont get overwhelmed; stay organized. Start with strategic documents, such as written programs or procedures (many Occupational Safety and Health programs, such as confined space entry, actually require written procedures). Ask for quiet time as needed. Nobody wants to be watched while they are reading. While reviewing records, develop a list of requirements so as to verify later through interviews or observations (winter, 2007). Process for compliance audit The process can be clearly described through the following points developed by Aldona Cytraus: Conduct an opening meeting with the management, stake holders and representatives of the work force to state the different objectives of the audit and introduce also the members of the audit team. Follow a small tour of the work premises in order to be become familiar with the working environment. Study the laws that will be used as standard. Develop the audit techniques which include a combination of observation of processes, examination of documents and records, and interview of management, staff members and consumers. This is mainly done to gather audit evidence so as to make the audit findings more reliable as there will be different views. All the data obtained must be reviewed by the audit team in order to present the information to the management and thus determine the level of compliance. Presentation of the report to the management and other members in a closing meeting and also mentions the corrective action that needs to be undertaken. Give the complete report to the management which includes all the facts and findings and in there clear distinction should be made between statements and observations. But on the other hand Fargason James Scott from the Institute of Internal Auditors wrote in 1993 that the most important in compliance auditing is the competence of the auditors and that everything depends on that. The auditors must have a broad knowledge of the law in question. People observe the same thing but are able to make different conclusion as all those depends on the judgement on the person and thats why the findings must be repeatedly studied in order to detect any error. He also provided a simple audit process: An audit plan should be prepared from the beginning till the end (write the objectives of the audit, methodology and verification methods). Document review should be conducted to obtain all the necessary data. Physical inspection should be conducted (e.g. observation of workers, observation of processes). Conduct interviews with all levels of personnel. Once the report is being submitted the evaluation and corrective action should be undertaken. He added some conditions so that the audit can be conducted correctly and those are: The audit team must compromise of at least one qualified person which should be the leader. A report should be developed at the end so as to state the findings. The employer should go through the report immediately after its submission in order to correct any deficiencies. The two most up to date reports must be kept for documentation. Global Perspectives on Health and Safety Every year, around the world, there are 270 million occupational accidents, 160 million workers suffers from occupational diseases and 2.2 million occupational deaths. The cost to society is several billion pounds. Britain has the lowest fatal injury rate in the European Union but although those 19.5 million days were lost due to work related ill health in 1999 against 6.5 in 1998. Musculoskeletal disorders and particularly back pain are the most frequently reported work related illness (Wilf Altman, 2000). The Health and Safety Executive (HSE, 2005) places great emphasis on the requirement systems that cover inspection, monitoring and auditing as essential features of the action required by organisation to satisfy their regulatory duties. Such systems are designed to prevent any failures that lead to accidents, incidents and prosecutions. According to them, Spain has the largest rates of accident in the European countries. The National survey of working conditions conducted in 2001 in Spain stated that 59% of the workers were exposed to hazards at work, 33% were exposed to noise while 32% were exposed to chemical pollutants and about 50% of the workers maintained static postures or perform repetitive movements during a quarter of their working time. It further stated that 37% of male and 29% of the female workers consider that their work represent a risk to their health. For the men the greater amount of hazards is found in agriculture, construction, transport and communications whereas for women those are mainly found in agriculture, mineral processing and manufacturing industries. Uncomfortable postures and physical effort are the most common occupational risk for both women and men. Some 86% of male workers interviewed believe that their health is excellent, very good or good. The state of health is worse among older workers, manual workers and women and above all among women in catering. Manual workers have a worse state of health as compared to non manual and women have a worse state of health as compared to men. Factors of change Examples of impact Micro economy Expansion of small and medium enterprises. Demographic evolution Ageing of the working population, increasing female participation rates and better qualified women. Increase in immigration.