Thursday, October 31, 2019
Environmental geography Essay Example | Topics and Well Written Essays - 2250 words
Environmental geography - Essay Example Scientists agree that hunting played a more significant role in the formation and life of the ancient people, and thereby determined its development. Speaking of hunting, hunting methods used by ancient people should be noted. Hunting for large animals is difficult to imagine without the use of specific method. However, those hunting tools used by Neanderthals were too fragile and not allowed to deal with such animals. Hunting process more than anything else has stimulated the development of collectivism: hunting on large animals was always performed with all the forces of the primitive community. It is the labor process which from the beginning to the end helped to unite members of society. Finally, thousand-year experience and knowledge about the world gave the way from the difficult situation. Primitive man began not only to take from nature, but to restore its wealth. People have long noticed that the corns of plants that fall into good ground subsequently germinated. They also realized that the small little animals, found during hunting, should not be killed. People began to sow grain deliberately and domesticate and breed animals. In the Mesolithic dog was domesticated. Gradually in the Neolithic period primitive people moved from hunting and gathering to agriculture and animal husbandry, by appropriating management practices to reproduction. This transition has been called the Neolithic revolution. Agriculture was spread on the land with the most favorable conditions: the warm climate, fertile soil, wild grasses. The invention of agriculture and animal husbandry, according to scientists, determined the future of mankind. From now, there were unprecedented prospects for increasing the necessary of food for human life. Agriculture provided a person with a constant number of necessary products, the production of which it could control.
Tuesday, October 29, 2019
Comparative Vertebrate Anatomy Essay Example | Topics and Well Written Essays - 1500 words
Comparative Vertebrate Anatomy - Essay Example The seal's flippers are composed of living cells that needs constant blood oxygen supply. The dilemma is that the circulation of blood to the flippers will bring back ice-cold venous blood to the interior of the seals body. This dilemma is solved with the counter-current exchange system that is existent in these animals' flippers. Venae comitantes are veins that surround the limb arteries of the seals to prevent the return of cold venous blood to the body of the seal(Koeslag, 1995). Before the oxygenated blood enters the arteries of the flippers, the heat which is present that blood releases its heat through the venae comitantes to the cold venous blood. The oxygenated blood that enters the flipper arteries is cold as it circulates the flippers but when in enters the veins through the venae comitantes it is warmed near the body temperature (35C) utilizing the heat that it released before its entry in the flipper artery. Thus, the counter-current exchange mechanism of the seals' flippers prevent the alteration of the normal internal body temp of the animal which is 37C even though blood is continuously circulating to the flippers(Koeslag, 1995). Human beings also have a counter-current mechanism that is similar to that of the seals. ... The limbs of human beings are equipped with a counter-current system that maintains the normal temperature of the blood flows from the limbs during cold weather(Koeslag, 1995). Closely at the deep center of the limbs, the arteries of humans are strategically located. These arteries are also surrounded by venae comitantes or deep veins which receives the blood that circulated the limb arteries for transportation to the center of the cardiovascular system. The normal temperature of human blood is 37C so the oxygenated blood before entering the limb arteries transfers the heat to the venae comitantes making the oxygenated blood cold to about 20C. Then before entering the veins of the limbs the deoxygenate blood is warm to 37C in the venae comitantes. The temperature of the blood that is returned to the heart therefore remained unaltered that is still 37C. The process of blood circulation in the limbs in cold weather is slow to facilitate the function of the counter-current system(Koeslag, 1995). During warm weather that counter-current system of the human limbs is switched off because the circulation of blood to the limbs is increased compromising this system. The venae comitantes is not utilized instead the blood from the limb arteries return to through the subcutaneous veins. The blood circulating during hot weather is cooled with the facilitative dilation of the superficial veins and constriction of the venae comitantes(Koeslag, 1995). Question number 2: Camel or Camelus spp. are dessert animals that posses this taxonomic characteristic: Kindon Animalia, Phylum Chordata, Subphylum Vertebrata, Class Mammalia, Order
Sunday, October 27, 2019
UN peacekeeping operations
UN peacekeeping operations ââ¬Å"Why are the UN peacekeeping operations rarely successful? Explain using appropriate examplesâ⬠. A. Introduction With the end of the Cold War, a new generation of peacekeeping operation was born. On the one hand, the deadlock situation lived before in the Security Council was overcame for a more coordinated one. On the other hand, ââ¬Å"almost all new armed conflicts have occurred within the territories of a sovereign stateâ⬠(Doyle and Sambanis, 2006, p.3). This new frame claimed for a more robust peacekeeping operations able to deal with intrastate conflicts. As the 1990s passed, UN experienced difficulties to reach it objectives, changing the initial optimism for a more pessimistic position. The complexity of intrastate conflicts -waged within the population, with weak governments and serious humanitarian problems- required multidimensional peacekeeping missions. During this decade, interventions into states in conflict were justified as humanitarian intervention. Peace operations carried on during this time leaved a negative trace -Bosnia, Somalia, Rwanda. The rarely successful of UN peace operations drove the organization to consider a serious change on the peace operation structure. The lack of consistency and determination of the mandates could not be sustained any longer. In words of the Secretary-General Kofi Annan peace operations are meant ââ¬Å"(â⬠¦) to intervene: to prevent conflict where we can, to put a stop to it when it has broken out, or -when neither of those things is possible- at least to contain it and prevent it from spreadingâ⬠(Kofi Annan, 1999, p.4). The results of this change of lenses are the UN mandates in Sierra Leone (UNAMSIL 1999-2005) and Haiti MINUSTAH (2004-Present). However, further consequences of this shift will come with the consolidation of the Brahimi Report (2000) in future missions. The aim of the present essay is to offer a critical analysis of the effectiveness of UN peace operations launched in the post-Cold War period, supporting the arguments with examples of the most controversial peace operations of 1990s -UNOSOM and UNAMIR. To get this approach, the structure of this essay is composed by three sections. This first one introduces the main characteristic of peace operations, articulating an understanding of the modus operandis of UN and the key problems. The second section comments the main difficulties that the coordination between the political sphere (UN) and the operational sphere (battlefield) has been facing in concrete situations -Somalia and Rwanda- showing the deterministic connection of events. Finally, a brief conclusion with the main findings and future expectations. B. Burying the seed of failure. ââ¬ËPeacekeeping is a complicated concept with complicated uses. Being the result of a difficult coordination between the political sphere UN, Secretary-General, Security Council and Member States and the operational sphere type of conflict, geographical area, and parties confronted-, peacekeeping operations lacked the consistency that should had to be effective. The problems begin with the absence of a definition of peacekeeping in the Charter of United Nations. There is no specific Article of Chapter that refers precisely to what peacekeeping operation entails, the criteria to establish it, or guidelines for it deployment.[1] According to the Secretary-General Boutros-Ghali (1992) peace operations concern ââ¬Ëthe deployment of a United Nations presence in the field, hitherto with the consent of all the parties concerned, with the aim to terminate the conflict and recover security in the region. Peacekeeping forces are meant to protect civilians, provide aid, supervised ceasefires, military demobilization and elections in order to bring back the state in conflict into peace and stability. As a result, peace operations during the 1990s were characterized for more complex affairs and much longer duration represented by multidimensional missions. Peace operations are, according to Fridley (2002), all UN missions involving military personnel, mandated by the Security Council and operating under the UN command. Four types of peacekeeping operations can be distinguished: (i) observation missions, (ii) traditional peacekeeping missions, (iii) multidimensional missions, and (iv) enforcement missions. The first three are resolutions taking under the Chapter VI, while the last one is under the Chapter VII (Fortna, 2006, p.6-7). Growing in complexity from one to four, the last two are applied more often since the end of the Cold War to end the conflict and improve the prospects for peace (Doyle and Sambanis, 2006). However, the optimism for a wider peacekeeping with more resources defined by Secretary-General Boutros-Ghali in his Agenda for peace (1992), ended with the opposite results than those expected. I argue in this essay that UN peacekeeping operations rarely succeed due to problems of coordination and determination. Let me go into the main handicaps. Political Sphere United Nations peace operations, as mentioned above, are the result of a mandate emanated from the Security Council (SC). Composed by fifteen members, five of them permanent and with veto power China, France, Russia, United Kingdom and United States (P5) -, the SC is responsible to make resolution after a recommendation for peace mission made by the Secretary-General. To approve the mandate, its required a majority of nine members. Besides the coordination needed to get the minimum votes, the resolution can be block by one of the P5. The decision of one of the members to use the veto power depends on her interest and aspirations the veto problem. This is the first setback on the way to peace. For example, in January of 1997 China used its veto power to block a peace mission to Guatemala designed to verify Guatemalas signed peace accords. The reason why China took this decision was because she did not like Guatemalas close ties to Taiwan.[2] During the process to approve a Resolution, other problems can emerge. The ââ¬Ëposturing problem is the drafting of an elaborated and abstract resolution that most of the time does not contain what is needed to solve the conflict -too weak, or too pretentious This was the case of Somalia; one of the objectives of UNOSOM II was the disarmament of the militias, however, the implementation of the mandate was not feasible, specially after the withdraw of USA troops. The ââ¬Ëcoordination problem arrives when the great powers should define the nature of the conflict and take the most effective way to solve it; this is the crux for a appropriate design of a successful operation. However, this coordination problem is the responsible of deliberately vague mandates and a mode to get consensus between the members of the SC. Once a mandate is approved by the SC as a Resolution, the deployment of the peace forces depend on the contribution from Member States, as it is specified in the Fact Sheet of United Nations Peacekeeping. However, the authorization of the deployment does not guarantee its effectiveness.[3] As I discuss next, these inconveniences at the political level affect the operational one; a delayed resolution and an inadequate strategy have terrible consequences on the final result of the peace operation Rwanda (1993), MINURCA (1998).[4] Operational Sphere Intrastate conflicts are difficult to solve. The fundamental distinction between types of civil wars -ethnic, separatism, religion- and the parties involved make each conflict different not only the operational level, but also in the political articulation of it (Byman and Seybolt, 2003). This information should be taken into consideration for the SC to articulate a mandate that responds to the situation. But, the SC responses are not as straight forward. Crisis and its answers are shaped by the decision of those that compose the SC, who are determined by their interest and the internal situation of their country as it was mentioned before with China in 1997. However, when the conflict is considered ââ¬Ëa threat to peace and the SC is able to articulate a Resolution, the intervention should be legitimized. Intervention can only take place when the state is (i) engaging in a systematic human right violations, (ii) is incapable of protecting human right violations due to the breakdown of the state authority, or (iii) when the government in power is unlawfully constituted (Semb, 2000). Justified in terms of humanitarian claims under Chapter VII (Articles 41 and 42)[5], the intervention must have the voluntary consent of the parties to the presence and activity involved in the mission[6]. (Fridley, 2002). The mandate is to relieve humanitarian crisis, as it was the case of Somalia (UN OSOM 1993) when the state breakdown. The success of the operational sphere depends, then, on the adequacy between the mandate and the conflict situation. Coordination The two spheres must be well coordinated to terminate the conflict. Different situation can be originated from this. It could be the case that the lack of interest form the member states to intervene generates the absence of intervention or a more complicated bargaining process to involve state members on the mission . As Wilson (2003) stress, ââ¬Å"in the post-Cold War era the absence of a UN military capacity has meant that when the SC has at least been able to use its Character VII powers at an unprecedented rate, it has been forced to rely on a decentralized approach to enforcement the action and entrust operations to those actors willing to conduct them on its behalfâ⬠. Most of the time, this calculation is made in terms of cost-benefit analysis; when the conflict provides more loses than gains, the state will be reluctant to provide troops at the beginning of Rwanda crisis in 1993, most Member States where not interested to intervene. But, this is a double-sided sword. States can also see the opportunity to defend her interest as it was the case of UK in Sierra Leone in 1999 and Franc e in Rwanda. It could also be the case that the SC approves a Resolution and Member States agree to provide the troops as it was the case of USA with Bosnia (1992) and Somalia (1992) respectively. However, when the purpose of the mission is not clear, the precision on the solving-conflict situation is inexistent and incoherent, creating a disarticulates mission. This difficulty can be solved. Resolutions already deployed are reinforced by the events on the conflict area; a new Resolution can then answer the needs of the conflict. This was the case, for example, of UNOSOM I and a later UNOSOM II. However, when the Secretariat is not supportive enough, there is not real response to the conflict situation, and then, the mission failed Secretary-General Boutros-Ghali with UNAMIR. The complexity of levels and coordination between the spheres and within them are not following any patter. Although, the interdependence between decision-making -systematic setbacks that decrease the possibilities to obtain a coherent mandate- and conflict events -the necessity of a strong mandate to operate consistently- determines the character and effectiveness of the mission. Gilligan and Stedman (2003) address the vagueness of this UN internal process, ââ¬Å"standards of the UN provide little guidance as to the actual decisions of the Security Council regarding when and where peacekeepers will be deployedâ⬠. This links the criteria problem; UN decision between Chapter VI or Chapter VII to generate the mandate that will determine the core of the peace operation. Mandates under Chapter VI lack the strength needed UNMOP (1996-2002) -, and mandates of enforcement under Chapter VII are costly for state members UNOSOM (1992-1995).[7] The inadequacy of institutional structure to respond effectively, the intermittent communication between spheres, and the vacuity of the mandates ended with the dominant tendency to fail. By the end of 1990s, UN was aware of this setback. The result to this declined support for peacekeeping operations was the Brahimi Report (2000). Composed by fifty-seven explicit recommendations and over one hundred implicit ones, it was prepared for the Millennium Summit. It claims for a relation between the magnitude of the conflict and the resourced and supported operation deployed to solve it. It also stresses (i) the need of criteria to avoid the intervention in conflicts that cannot be solved, and well-supported plans when it is required an intervention; (ii) a better understanding of the conflict, and coherence between the mandate and the real situation. (iii) This implies more flexible administrations rules capable to show in the Resolution a ââ¬Å"greater delegation of authority to the fieldâ⬠; (iv) Clear and concrete mandates; (v) and, last but not least, a rapid deployment of the peace operation to be ready to operate within week six and twelve. Since then, a slightly modified typology has been applied. Mission as UN MIL (2003-Present), MINUSTAH (2004-Present), and UNAMID (2007-Present) were designed under this focus.[8] From my point of view, this repost stresses the most controversial points that generate inappropriate mandates. However, this only recommends certain actions on the operational sphere that can help to increase the effectiveness of the peace missions. It does not mention that the problem of coordination also involves part of the structure of UN. Even though it is possible to improve the articulation between the two spheres, states members can provide or move back troops from the operation if they consider it appropriate, interest will remain in the atmosphere of the SC, and the criteria for intervention will depend on the SC decision. Hence, the Brahimi Report is a valid document to improve the immediate problems, but does not mention the roots of them. C. Harvesting failures. The problematic coordination between the political level and the operational one, and also problems within the structure of peacekeeping operations, carry with it another obstacle: time. Since the beginning of the conflict till the deployment of the peace forces, the conflict has different picks of intensity. During this time, more elements are involved in the conflict (children soldiers, natural resources) and more destruction is generated (infrastructure, deaths, famine, etc). The longer it takes to deploy the peace operation, the more complex it will be to solve the magnitude of the problem. And this was the case of most UN peace operations during the 1990s. Nonetheless, the complexity and wide range of areas that the mission should cover, made the peace operations complicated to assess. A problem arrives then, the criteria to determine how much forces and commitments should be taken to solve each conflict. It is generally argued that UN ââ¬Å"should have been done less in Somalia, and cold have done much more in Rwandaâ⬠(Frarrel, 2007). The case of MONUC (1999-Present), UN mission in the Democratic Republic of Congo, is a good example. The recommended force of 6,000 troops is too small to present a credible military deterrence, but is too large for a symbolic presence considering the extension of the territory; the lack of infrastructure represented and extra complication to an already difficult operation. In same line of a criteria problem, we also have the lack of consistency in the decision-making of UN -discussed in the former section. Generally, in peace operations, the objectives are not well defined. Mandates produced by the UNSC can be indecisive, written with abstract concepts that make its application inconsistent with the real conflict -too pretentious for the force deployed or too scarce for the actual need. Military commanders will applied the mandate as precisely as possible to solve the actual situation where they find, but this does not solve the problem. The unity of command is another setback. On the one hand, troops are provided by a number of Member States, with different training and equipment. The motley composition of troops needs to operate with determination, a good coordination and synchronization. However, such adequation in time and space is nearly idealistic. On the other hand, the states members that provided troops can end their cooperation to the mission if they consider that their troops are in serious threat cost-benefit analysis. This was the case of USA in Somalia during UNOSOM II, who showed to be really sensitive to casualties withdrawing its forces after the death of eighteen soldiers. Here I describe two of the most sounded UN peace missions that gather together all the difficulties mentioned before: UNOSOM, and UNAMIR.[9] The reason why I chose these two cases is the relation that connects the two: the passive reaction to the later one was a consequence of the negative results of the former. The first conflict represents the new challenges that peace operations faced at the beginning of the 1990s. The second one a passive attitude toward the conflict, consequence of the Bosnia (1992-1995) and Somalia (1992-1995) failures. Somalia (1992-1995) United Nations Operations in Somalia (UNOSOM I) was deployed in mid-1992 when the country reached the lower situation of her civil war and a terrible famine hit her population. The civil conflict took the country into a complete anarchic situation, where the distribution of aid failed landlords manipulated it as power. By the end of the summer of 1992, 300,000 Somalis were dead. The UNSC approved the Resolution 794 to let UNITAF, a US 37,000-strong force, to resolve the situation and establish the adequate situation for a proper distribution of aid. However, by December 1992, 95% of the population was malnourished and 70% in imminent danger of death by starvation (Western, 2002, p.115). The mandate was created to demilitarized zones to get a better distribution of the aid. In mid-1993 UNOSOM II was deployed with 28,000-strong UN force to fulfil a more ambitious mandate: the disarmament of the parties and the reconstruction of the Somalia government. However, all the efforts were truncated; the ceasefire with the warlords was broken when the paramilitary group attacked a UN patrol killing twenty-four Pakistani soldiers. UNSC Resolution 837 determined the end of the conflict; but the result was the opposite when the 3rd of October of 1994 a US helicopter was shot down; eighteen US soldier were killed. The Clinton administration withdraws her troops within months and UNOSOM II kept active till 1995 without a strong leadership and too ambitious objectives to be accomplished. [10] Even though the money invested and the strong military presence in Somalia, UNOSOM II failed in its mandate: to restore a long-term order. The difficulties faced in Somalia made the Security Council members reluctant to engage in similar conflicts, the passive reaction to the genocide in Rwanda can be explained under this focus (Semb 2000). Rwanda (1993-1994) The ethnic conflict in Rwanda ended in a terrible massacre of 800,000 Tutsi and moderate Hutu. The precedent of such irrational situation was an instable political situation when the Hutu-moderate government introduced a multi-party democracy that ended with the exclusion of the Hutu extremists.[11] This radical faction started a terror camping, after the accidental death of the President, to exterminate the Tutsi population of the country. By April of 1993, when the genocide started, there was a UN peacekeeping force with a limited mandated deployed in Rwanda. Composed by 2,500-strong United Nations Assistance Mission for Rwanda (UNAMIR) was designed to monitor the ceasefire between the government and the Rwandese Patriotic Front.[12] The peace operation was ââ¬Å"understaffed, under-resourced, and unauthorized to use force to prevent crimesâ⬠.[13] The UN response the 27th of April was inadequate: to re-establish the ceasefire. The awaited Resolution 918 to expand UNAMIR to 5,500 troops to protect the population arrived the 17th of May, too late. By July the genocide was already committed. The disintegrated situation in Rwanda was denounced by the UNAMIR Force Commander, Major General Romà ©o Dollaire, in February 1993. The UN could have been able to do much more; if not to stop the genocide, at least it could have reduced the terrible consequences of it. Boutros-Ghali was unable to push an adequate resolution and the SC was blocked by USA and UK. It can be appreciate from the examples examined the difference of commitment to bring into an end the conflict. However, both situation ended in failure. Both cases have in common the weak coordination between the political and operational spheres that generated late and inconsistent mandates. Somalia demonstrates the compromise of USA to finish it, but in the end the situation was reversed and such commitment was shown not to be that strong. Rwanda is in the opposite side of the spectrum, there was no interest part as the failure of Somalia for intervention. After a decade of rarely successful operation, the ââ¬Ëcredibility of UN was damaged, as it was assumed by the UNSC in November 2000, Resolution 1327. D. Conclusion: awaiting for a better harvest. The main reasons why UN peacekeeping operations during 1990s rarely succeeded were problems with coordination to approve a resolution and the inconsistence of delayed responses. I argued that the intensity of the conflict aggravated through this ââ¬Ëdecision time determined the structure, durability, complexity, and the final balance of these peacekeeping operation. In a simple line, we can say that the objective of the UN forces were not clear by the time they went into the conflict area. This triggered a whole succession of complications such as a deficient coordination, an irregular institutional behaviour, and the lack of criteria to establish the adequate measure of forces. Missions were then no strong enough to be able to take robust actions against peace spoilers. Overall, missions tended to fail. As I argued before, the complexity of intrastate conflicts and the corresponding peace operation can get worse rather than better if (i) the expected peace operations has not a clear objectives already designed by the time of it implementation, (ii) there is no coordination between the area of the conflict and the SC to empower the strategy to wage the conflict, and (iii) if there is no suitable ââ¬Ëtime-reaction from the authorities to operate on the conflictive area to stop the violence. Conflicts experience different waves of violence, and the grade of destruction increases when the peace forces are not effective. So, the longer the conflict, the more elements are involved, and the more complex the peace operation should be to re-establish peace (e.g. Children soldiers, infrastructure, mechanism of corruption, etc). In other words, the longer to make a resolution and deploy the peacekeeping troops with a specific and consistent mandate, the less effective the operation will be. The structural and functional problems considered here made clear a claim for robust mandates, that is, the implementation of the appropriate force to achieve the mission mandate, to protect civilian in danger, and provide the suitable condition to deploy the mission (Yamashita, 2008). A strong justification must support this type of robust mandates. As it was the case of Sierra Leone in 1999 (UNAMSIL); the Resolution 1313 of the 4th of August of 2000 was the result of the breakdown of the Agreement. This Resolution authorized peacekeepers to deter and counter the threat of RUF responding robustly to any imminent direct use of force (Yamashita, 2008 p. 620). This new direction of peacekeeping has also its institutional consequences. Recently published, the 2008 Principles and Guidelines Material for Peacekeeping[14] outlines the interconnection between the two spheres mentioned before. In order to get that, the SC decisions are influenced by the agreement reached and the parties that compose the conflict. The result of a good coordination will produce a suitable mandate for the conflict see also the Brahimi Repost already mentioned. To sum up, peacekeeping is not risk free, this is the main reason why if UN is going to intervene in a conflict must do it with the strength and consistency required for an effective action. Once the operation is in the conflict, it must be able to complete the mission successfully fruit of the satisfactory coordination between the political sphere and the operational one being able to bring peace where it is needed.[15] The actual deployed missions generated under this new wave of peace keeping MINUSTAH (2004-Present), UMIT (2006-Present), UNAMID (2007-Present) will show if the coordination and consistency problems, that were the pulse under which peacekeeping was shaped during the 1990s, has been solved. E. Bibliography. Annan, K. ââ¬Å"Reflections on Interventionâ⬠in Kofi Annan, The question of Intervention, New York: United Nations, 1999. A.J. Bellamy, ââ¬ËThe ââ¬Å"Next Stageâ⬠in Peace Operations Theory? International Peacekeeping, Vol. 11, no. 1, 2004, pp. 17-38. J. Boulden (ed.) Dealing with conflict in Africa. (London: Palgrave-McMillan, 2003). D. Byman T. Seybolt, ââ¬ËHumanitarian Intervention and Communal Civil Wars: Problems and Alternative Approaches, Security Studies, Vol. 13, No. 1 (Autumn 2003), pp.33-78. Donald, ââ¬ËNeutrality, Impartiality and UN Peace-keeping at the Beginning of the 21st Century, International Peace-keeping, Vol. 9., No. 4, (2002), pp. 21-38. J. Darby R. MacGintty, (eds), Contemporary Peacemaking: Conflict, Violence and Peace Processes, (London, Palgrave, 2003) Doyle and Sambanis (2000) ââ¬Å"International Peacebuilding: A theoretical And Quantitative Analysisâ⬠American Political Science Review, Vol. 94, No. 4 (Dec. 2000), pp. 779-801. David M. Edelstein, ââ¬ËOccupational Hazards: Why Military Occupations Succeed or Fail, International Security, Vol. 29, No. 1 (Summer 2004), pp. 49-91. Also useful for following week. T. Farrell, ââ¬ËHumanitarian Intervention and Peace Operations, in J. Baylis, J. Wirtz et al, (eds), Strategy in the Contemporary World: An introduction to strategic studies, (Oxford, Oxford University Press, 2007), pp. 313-334. Fortna, V. (2006). Does peacekeeping work? Shaping belligerents choices after civil war. Oxford: Princeton University. Fortna, V. (2004) ââ¬Å"Does Peacekeeping Keep Peace? International Intervention and the Duration of Peace After Civil Warâ⬠. In International Studies Quarterly, Vol. 48, No. 2 (Jun. 2004), pp. 269-292. Findlay, T. (2002) The use of force in UN Peace Operations. Oxford: Oxford University Press. M. Goulding, ââ¬ËThe Evolution of UN Peacekeeping, International Affairs, Vol 69, No 3, 1993, pp. 451-464. J-M. Guehenno, ââ¬ËOn Challenges and achievements of Reforming UN Peace Operations, International Peacekeeping, Vol 9, No. 1, Spring 2001, pp. 69-80. Guilligan and Stedman (2003) ââ¬Å"Where do the Peacekeepers Go?â⬠International Studies Review, Vol. 5, No. 4, Dissolving Boundaries (Dec. 2003), pp. 37-54. M. Pugh, ââ¬ËPeacekeeping and Critical Theory, International Peacekeeping, Vol. 11, no. 1, 2004, pp. 39-58. A. J. Semb, ââ¬ËThe New Practice of UN-Authorized Interventions: A Slippery Slope of Forcible Interference?, Journal of Peace Research, Vol. 37, No. 4, (2000), pp.469-488. The United Nations Blue Books Series, Volume VIII The United Nations and Somalia 1992-1996. (New York: Department of Public Information, 1996). J. Western, ââ¬ËSources of Humanitarian Intervention: Beliefs, Information, and Advocacy in the U.S. Decisions on Somalia and Bosnia, International Security, Vol. 26, No. 4 (Spring 2002), pp. 112-142. G. Wilson, ââ¬ËUN Authorized Enforcement: Regional Organisations versus ââ¬ËCoalitions of the Willing, International Peace-keeping, Vol. 10, No. 2, (Summer 2003), pp. 89-106. H. Yamashita, Impartial Use of Force in United Nations Peacekeeping, International Peacekeeping, Vol 15, No 5 November 2008, pp. 615 630. [1] J.M. Guà ©henno (2002) [2] Francisco Villagran de Leon, Embassador of Guatemala to Canada (January 1997) for the New York Time, available at [3] The P5 has had the tendency to pas the resolutions, but has not been able to provide the means. [4] Edelstein (2004) [5] Semb (2000) [6] This can take place once a ceasefire agreement for the deployment of peace forces was reached. [7] Doyle and Sambanis, 2006. [8] For more detailed information, [9] Due to the complexity of the intra-state conflicts, I do not discuss the historical facts that composed the each of these operations. I will only concentrate in those events that where significant for the failure of the mission and that allow me to establish a critical analysis of the cases. [10] The United Nations and Somalia (1996), Boulden (2003) [11] Wilson (2003) [12] Boulden (2003). [13] Farrel, T. (2007) p. 320 [14] Available at [15] ââ¬Å"Military intervention is a nasty business. It should never be the first option considered, but sometimes it is the only choiceâ⬠(Beyman and Seybolt, 2003 p. 77). UN Peacekeeping Operations UN Peacekeeping Operations Peacekeeping was never has been mentioned in the UN Charter, but it has been a very effective means to respond to regional conflicts or civil wars. Peacekeeping, according to Mingst and Karns (2000), is the respond to deadlock of the Security Council to intervene civil wars due to the great veto powers. It helps the implementation of cease-firing agreement, prevents hostilities and it uses troops and civilian personals from the member states that voluntarily contributes their personals. It was first used, he adds, in the late 1940s to monitor the cease-fire agreeing in the land of Palestine and Kashmir. Since 1991, The UN has deployed many peacekeeping operations. It was launched in such countries as, Angola, El Salvador, Western Haiti, Cambodia, Rwanda, Yugoslavia etcà ¢Ã¢â ¬Ã ¦. Some of which were successful, yet some of which were not. Here, we will only examine on the UN peacekeeping operation in Rwanda (UNAMIR). We will discover whether or not the UNAMIR was successful. Firs t, we will go briefly through the root cause of the conflict inside Rwanda. Second, we will look at UNAMIR mandate to see what task it was assigned to undertake. Later, as it is well-known that this peacekeeping operation was a failure, we will examine on why it was not able to fulfill its job. Yet, we still believe that there were some positive points of this operation too. Therefore, we will also find out what are all those points are. At last, we will come to the conclusion with the outcome of UNAMIR, and answer the objective question, Was the UN peacekeeping operation in Rwanda successful or not? Root Causes of the Conflict In order to understand the root causes of civil war inside Rwanda we need to look back to colonial periods. In one of her research, Heleta (2006) illustrates that Rwanda was made up of majority Hutus and Minority Tutsis. Hutus were mainly lower class people whereas Tutsis were mainly the nobles. They spoke the same language and lived side by side, yet they sometimes intermarried. Since 1890, according to Howard, Rwanda was under the colonization of Germany, and Belgium after the end of World War I. During colonial period, minority Tutsis was in favor of both colonial masters. Rwanda gained independence in 1962 after the majority Hutus raised up against Belgium, who promoted and placed many Tutsis in many positions of the administration. They also threatened the Tutsis to leave the country. Eventually, Major General Juvenal Habyarimana, a Hutu, in 1973, created an authoritarian government after staging a coup. Bruce says, the civil war erupted when Rwandese Patriotic Front (RPF), a mo vement which was mainly made of Tutsis, started the offensive in from Ugandan-Rwandan border. After a series of fighting between the RPF and the FAR (Forces Armà ©ss Rwandise) or the government military; and many negotiations resulted in cease firing that did not really last for long, the two warring parties agreed on Arusha Agreement of August 4, 1993. During the peace talks progress, Howard says, a new Hutu movement started to gained power and established their own militias to disrupt the peace talk and reconciliation. This is the Hutu extremist group that plans the genocide of the minority Tutsis. Heleta (2006) says, à ¢Ã¢â ¬Ã ¦Hutu radicals, who saw no other solution to the Hutu-Tutsi problem but to exterminate the entire Tutsis Population in Rwanda. The Arusha agreement was signed by both warring parties, and both parties consented the UN intervention to facilitate the implementation of the agreement. UNAMIR Mandate The UN resolution of peacekeeping operation is authorized by the Security Council to determine the size and its mandate in which any decision requires at least nine out of 15 votes, and is subject to a veto by any of the five permanent members- United States, United Kingdom, Russian Federation, France, and China. Importantly, to implement the peacekeeping operation, the member states are asked to voluntarily contribute in term of troops and civilian polices, equipment, supplies, transportation, and logistical support, and also the General Assembly is responsible for approval of budget and resources of the mission. Each and every United Nation peacekeeping operation is implemented with its own purposes and objectives. A paper that unequivocally describes the purpose and objectives is called mandate. Now we will examine what UNAMIR was originally assigned to do. From the outset, UNAMIR was created to facilitate the implementation of the Arusha agreement. The mandate stated that UNAMIR would observe the cease-fire, provide security and stability in Kigali, ensure the disarmament and create the non-military zone, assist in land mine clearance activity, monitor human right and the return of refugees, and prepare for the election. As it was implemented under the Chapter VI of the UN, the use of its force was strictly limited for only self-defense (Howard, 2008). Later, after the eruption of the mass killing, UNAMIR mandate was extended to mediate the two warring parties, protect the civilian who sought refuge with UNAMIR and provide many other humanitarian aids (Bruce, 2007). UNAMIR did receive consent from both warring parties, but why was it impossible to achieve? We will answer this question in the following section. Failure and Causes Why it is a failure? The outbreak of the genocide in the face of the presence of the UN peacekeeper clearly demonstrates that the mission is a failure. According to Howard (2008), the mission was mandated to maintain peace, security and stability inside the country, but apparently it could not accomplish its tasks. The genocide killed approximately 800,000 people in just over 100 days. The UN peacekeeper was not able to respond when they were under attack from the Hutu extremists. They proved to be militarily weak, when 10 Belgium peacekeepers were killed and no respond was given from them. Instead of giving any response, the Belgium withdrew all their force; this paved the way for the genocide. What could have been worse while UNAMIR could not even prevent the outbreak of the genocide, and UNAMIR also was voted to reduce its size for the operation? In the following section, we will examine what were the obstacles, impediments and other contributing causes that contribute to its frustrating failure. What made it a failure? The failure of United Nation Peacekeeping Operation in Rwanda was result many contributing causes. The major cause is the lack of political interests from member states, especially the United States, the most prominent member of the United Nation Security Council, to take any action in response to the crisis. Howard (2008) argues that the Security Council intentionally did not want to identify the problem, the genocide. None of the members inside the council would dare to challenge the new disinterest of the US. The reason of the disinterest, he adds, was the incident of October 5 1993, in which the US rangers died in Somalia. The encouragement of new peacekeeping operation also declined. Similarly, the Secretary-General, Boutros Ghali, was dysfunctional. The report of violence in April 1994 in Rwanda did not come into the hand of him in time. The Secretary-General was touring around Europe, and came back to New York only a week after the report had been submitted. Eventually, the Secretary-General did produce a report to the Security Council, a mere report. In the report, the Secretary-General did present but did not recommend any of the following suggestion: withdraw all the force, send in massive peace enforcement force, and withdraw majority of the force to save the peacekeepers life while maintaining international community presence inside the country. In the report to the Security Council, the Secretary-General missed one crucial point; identify the violence as genocide. If the report had mentioned about the genocide, the Security would have decisively taken action against it (Howard, 2008). If the Secretary had mention genocide in the report, the action would h ave been taken decisively under Article II and 1948 Genocide Convention. Found in same book, Vaccaro (1996) says The failure [UNAMIR] was twofold: not enough accurate analysis was available to the Council, and the information that was reported seems to have fallen on deaf ears. Some particular members such as US and Belgium endorsed the immediate withdrawal of the troops from the operation, complaining that they were under pressure of the mounting billion dollars operation debt; therefore, they need save up in order to pay off the debt. Besides, the United Kingdom opposed the suggestion of sending more forces into operation arguing that lessons learned from Somalia case proved that stronger force still would not be able to complete its mission, and would even worsen the situation there (Howard,2008). Eventually, the decision to downside the scale of operation was reach unanimously. The US disinterest and Secretary-Generals dysfunction created many problems. As the most prominent member of the council, no member was willing to challenge US. The US did not support the mission in Rwanda; therefore, this leads to many problems such as troop contribution, funding, etcà ¢Ã¢â ¬Ã ¦ Howard (2008) states, The council did not recommend adequate funding nor did countries provide adequate troops, given the extensive mandate assigned to UNAMIR. Jones (2007) argues that the political uncertainty during the birth of UNAMIR illustrates its destiny. Such uncertainty would provide limited implementation of its mandate, communication to its political master to respond to the problem effectively. Not only the Secretary-General that was dysfunctional, the UN headquarter also was. A report, known as black file by Canadian Major-General Romeo A. Dallaire, was sent to the UN headquarter. The report explained the plan for genocide that was not planned by President Habyarimana but by a group of Hutu extremist. It also stated the plan to kill Belgian peacekeepers to provoke the withdrawal of them, and kill all the Tutsis. The information of this report was given by a high-level official in the government who gave this information in the return of protection from the UN. When the report come into the UN headquarter, it was put aside and ignore. General Dallaire was only told to alert Belgian, French, and US, and not to attack the weapon warehouse that he wanted to. Three months later, everything mentioned in the report became real. Ten Belgian peacekeepers were killed along with Prime Minister Agathe Uwlingiyimana. Another contributing cause to the failure is the finance and logistic problems. The deployment of the UN peacekeeper to Rwanda was conducted in such a very slow manner. Jones (2007) describes the UNAMIR as financially and logistically very weak. He explains that the force was deployed in small detachment rather than concentrated force. The deployment of such small detachment did not provide much deterrence, and proved to be weak when the ten Belgium peacekeepers were killed by the extremist Rwandan. In term of financing the operation, it received its budget installment 8 months after the budget planned went to the UN Fifth Committee; the Advisory Committee on Activities and Budgetary Questions (ACABQ). Its budget was endorsed only two days before the genocidal attack broke out, and ultimately received all its financial support one month after the attack had stopped. Moreover, UNAMIR never obtained critical asset such as intelligence capacity and defensive equipments (Jones, 2007). UNAMIR was only equipped with such armored personal carriers that was contributed from the UN operation in Mozambique. Many of those were not working, and this proved no sign in respond to the genocide. And when they were not equipped with advanced equipment, how could they face with the army with such sophisticated weapon? According to its mandate, UNAMIR was deployed under the Chapter VI. Therefore, the weakness of UNAMIR lays in its mandate, in which it was stated that the use of force was strictly limited to only for self-defense. Jones (2007) argues that this weakness contribute a lot to the failure. When the genocide broke out, the UN peacekeepers were not able to respond and to confront the army with such sophisticated weapons. Moreover, the collecting weapon method was not included in its mandate. Howard stressed that While the Secretary-General had recommended that the force be charged with collective weapons as a way to enhance the security, the Council did not include the provision in the mandate. After the killing of the Belgium peacekeepers, Belgium government unilaterally withdrew its own force from Rwanda to prevent further causalities of their personals. According to Jones (2007), this action is called Non-response. Belgium did not seek for further method to keep peace inside the region, but they withdrew their own force and this decreased moral of the other peacekeepers there. They did not only withdraw their force, they also persuaded the others troop contributing nations to do so as well. Obviously, they did this because they wanted to lower their embarrassment. This would make the peacekeeping force even weaker, and also made other countries reluctant to contribute their force. Even the new reinforcement of UNAMIR (later known as UNAMIR II) was approved in December 1994, with the mandate to protect civilians by granting 5,500 peacekeepers; however, there were not adequate troops and equipment to operate its mission. The reason of this is straightforward. UNAMIR II got narrow support from the Security Council with ten votes in favor and five abstentions by China, New Zealand, Brazil, Nigeria, and Pakistan. As a result of no immediate available force to operate, the reinforcement was only deployed in August 1995, by which the genocide had already reached its peak in mid-may and started become less severe (Jones, 2007). In short, UNAMIR II was a humanitarian mission rather than an effective peacekeeping operation. Positive points about UNAMIR The operation of UN in Rwanda is mostly considered as the failure because the lack of resources of UNAMIR in field and the limited political will commitment of UN member states and international community. Even though, they are recognized as the failure; UN had done several commitments to help Rwanda as well. These commitments would be counted as small success for UNs operation. First of all, In October, 1993 the Security Council, by its resolution 872 (1993), established the international force, the United Nations Assistance Mission for Rwanda (UNAMIR) to help the parties implement the agreement, monitor its implementation and support the transitional Government. In addition, UNAMIR troops managed to protect thousands of Rwandese who took shelter at sites under UNAMIR control. Howard (2008) says, à ¢Ã¢â ¬Ã ¦some UNAMIR troops had begun to protect civilian against genocidal attacks, which was the morally appropriate action to take civilian protection could have been included as part of a new mandate, but it was not. Next, UNAMIR also continued its efforts to ensure security and stability, support humanitarian assistance, clear landmines and help refugees to resettle. Then, when Rwanda conducted the meeting with the United Nations Development Program in 1996, international donors pledged over $617 million towards the reconstruction of the country, United Nations agencies have continued to provide humanitarian aid and to assist in the return of the refugees. After that, On 8 November 1994, the Security Council established the International Tribunal for Rwanda for the sole purpose of prosecuting persons responsible for genocide and other Rwandan citizens responsible for genocide and other such violations committed in the territory of neighboring States, between 1 January 1994 and 31 December 1994. And UN also support Rwandas national program for capacity building and contribute to the strengthening of local government and local development partner, as well as civil society actor. Conclusion In short, United Nations peacekeeping operation in Rwanda was a failure. Even though, it also had some positive points. Later in this section, we will access a very brief summary, personal analysis and recommendations. Summary UN peacekeeping operation in Rwanda (UNAMIR) was created to facilitate the implementation of the Arusha Agreement after many bitter fighting between the government and Rwandan Patriotic Front. It was mandated to ensure peace and stability in the capital Kigali, to create weapon-free zone around the city, to help clearing land mines, and to assist the returning of Rwandan refugees. However, it was not a satisfied and successful story. Ten Belgian peacekeepers were killed by the radical Hutus, and the number of international force was decrease. This paved the way for genocide to break out, which killed almost 800,000 minority Tutsis and moderate Hutus of Rwandan. Disinterest of the member states to deploy the mission in time and effectively, dysfunction of the Secretary-General were the two main reasons contributing to the failure. UNAMIR was also weak in term of financial, logistical, and military, while it was only allowed to use weapon in the means of self-defense. Personal Analysis and Recommendations After examining UNAMIR, we have found its weakness and we also have come out with what could be done to improve future peacekeeping operation. We will begin with our personal analysis. We have found that the most prominent cause of the UNAMIR is the US disinterest in authorizing the mission. After the US peacekeepers were killed in Somalia, the US became reluctant to deploy another mission, fearing further casualties of their soldiers. Therefore, the peacekeeping was lack of leadership. As Jones (2007) says, The political reluctance, which attended the birth of UNAMIR, shaped its destiny. Another significant factors contributing to the failure is the inadequate of the information by the Secretary-General. The report that the Secretary-General submitted to the Security Council did not mention the violence as genocide, while it was genocide in every aspects of its but its name. If the Secretary-General had mentioned about the genocide, serious action could have been taken. After giving our own analysis, here we will articulate our recommendation. What should be done to improve the effectiveness of the UN peacekeeping operation? First, UNAMIR should have been deployed under Chapter VII (peace enforcement) rather than under the Chapter VI. UNAMIR was in no position when the genocide broke out, because its use of weapon had been restricted to only self-defense. Therefore, we suggest that future peacekeeping operation to be deployed under Chapter VII (peace enforcement). If the mission is deployed with a broader use of weapon, the peacekeepers might use it to protect civilian to raid weapons warehouse, and for many other humanitarian purposes. Second, so far we have seen that only after the mission is authorized, then the troops are mobilized. UNAMIR II was authorized, but at that time it did not have immediate available troops, and it needed to wait for the member states to contribute their troops. This is a time wasting process. Therefore, we would sugge st that the peacekeeping troops to be mobilized in advance. In other word, we suggest that UN should have the reserved troops for emergency.
Friday, October 25, 2019
Broadband IP Networks :: essays research papers
Putting Broadband to work Broadband value added services create value and loyalty, thus revenue. Abstract à à à à à Broadband carriers, access, and service providers initially focused on providing Internet Access. As competition and price pressure intensify, Providers are seeking to deploy IP-based value added services. Rapid Industry adoption of rich streaming media is being driven by an eco system of interested parties: Service providers, Advertisers, Broadcasters, Consumers and Carriers. This rapid conversion needs a new platform to manage, store, protect and distribute Broadband Content of all types (Games, Video, Music and Business Applications) This document describes the needs and the solution for such a platform, empowering the new breed of horizontally layered providers of services. RAGAââ¬â¢s platform was developed to uniquely address these concerns and offer and end-to-end solution for Broadband Content Delivery. We regard Broadband as a powerful technology, potentially a ââ¬Å"Killer Appâ⬠, because it can change and redefine our lifestyle, reshaping infotainment and the way we use our leisure. Broadband is a new infrastructure for numerous Infotainment services not possible before. It enables a Content Revolution in Entertainment (especially Music, Video and Games), education, Productivity and Communication. During the last two years, the industry seems to understand this trend, and traditionally well-defined borders between separate types of operators seem to now blend. The Telecommunications Market is undergoing a vast convergence process. Different industries, having served in the past different sectors in the market, have now contributed, mostly thanks to technological advances, to the formation of the ââ¬Å"Information Societyâ⬠, where the general public accesses incommensurable quantities of all types of content and media: Basic requirements to deliver Broadband Content To fully realize the potential of a public network delivering Broadband On-Demand content to a ââ¬Ësegment of oneââ¬â¢ user, Service intelligence is needed in the network, across all applications. To get a coherent and repetitive intelligence across many applications, the best solution is to host them on a single Middleware or Platform (which is what the RAGAâ⠢ framework is all about), which applies the intelligence to all content and applications. The service intelligence needs to ask each user: Who are you? What applications do you want to use? Are you allowed to use it? What class of service do you require? How much are you willing to pay for that service? The platform must then dynamically apply the necessary combination of security, performance, address management, and protocol functions. This user-oriented, session-aware service model requires that the platform support the following service intelligence functions: User Authentication and Authorization ââ¬âfor secure access control
Thursday, October 24, 2019
Protestant Reformation and Hamlet S Character
To Do or Not To Do? How many times does one find themselves shirking responsibilities they accepted, or avoiding promises they made? One who often finds himself in such situations, will most likely be able to relate with William Shakespeareââ¬â¢s character, Hamlet. In Hamlet, Hamlet is commanded by his fatherââ¬â¢s ghost to avenge his murder. Whenever Hamlet is presented with an opportunity to do so, he delays his action. Hamletââ¬â¢s inability to act is a product of the time period during which the play was written. Shakespeare wrote Hamlet during the 1600s in Elizabethan England, during the time of the Renaissance and the Reformation. The Renaissance and Reformationââ¬â¢s belief in ghosts, ways of thinking, views on revenge, and doubts about the afterlife cause Hamletââ¬â¢s inability to act on his fatherââ¬â¢s request. The effects of the Renaissance and the Reformation on Hamletââ¬â¢s character, are manifest even before he meets the ghost. Formal mourning was taken seriously during the Renaissance, and most had people heeded a custom (which was usually upheld by a law) which forbade a widow to remarry earlier than a year following the death of her husband. In the start of the play, following his fatherââ¬â¢s death and his motherââ¬â¢s hasty remarriage, Hamlet enters with his suit of black, complete with mourning cloak and hood. At this point, Hamlet is already established as a Renaissance figure. Furthermore, Hamlet asks Gertrude and Claudius if he can return to university. Gertrude replies ââ¬Å"go not to Wittenbergâ⬠(1. 2. 119). Hamlet studied at Wittenberg, a center of the Reformation. Hamletââ¬â¢s past behavior gives evidence that he is affected by the Renaissance and the Reformation. The effect that the Renaissance and Reformation have on his actions is most apparent in his inability to avenge his fatherââ¬â¢s murder. Hamlet learns from the ghost of his father that his death had been a murder, and that ââ¬Å"the serpent that did sting thy father's life now wears his crownâ⬠(1. 5. 46-47). The ghost asks Hamlet to ââ¬Å"Avenge his foul and most unnatural murderâ⬠(1. 5. 26). Hamlet is eager to undertake this responsibility, and says ââ¬Å"Haste me to knowââ¬â¢t, that I, with wings as swift / As mediation or the thoughts of love / May sweep to my revengeâ⬠(1. 5. 30-32). But in actuality, Hamlet rethinks his commitment, and procrastinates. One instance of Hamlet procrastination is when he decides that he will not kill Claudius until he has actual proof of Claudiusââ¬â¢s crime. Hamlet presents Claudius with a play. One sene of the play ââ¬Å"comes near the circumstance,â⬠(3. 2. 76) itââ¬â¢s plot is similar to Old Hamletââ¬â¢s murder. Hamlet tells Horatio to ââ¬Å"Observe mine uncle. If his occulted guilt / do not itself unkennel in one speechâ⬠(3. 2. 79-80). Hamlet wants Horatio to detect any sign of Claudiusââ¬â¢s remorse or guilt. Why does Hamlet suddenly begin to doubt the reality of the ghost? Hamletââ¬â¢s uncertainty is due to his protestant upbringing. ââ¬Å"[Hamlet] attended Wittenberg, a Protestant school . . . and Protestants did not believe in ghostsâ⬠(Neuman). The Reformation had given rise to a new faction of the Church, the Protestants. Hamlet was educated by Protestants, who didnââ¬â¢t believe in ghosts, therefore he is reluctant to accept the ghostââ¬â¢s message. Hamletââ¬â¢s hesitation to believe the ghost can also be related to Renaissance skepticism. Renaissance humanism and individualism, emphasized the belief in human reason, and Humanists started challenging and questioning the world around them. Hamlet is affected by Renaissance skepticism, and therefore is suspicious of the ghostââ¬â¢s reality. Another obstacle that stood in the way of Hamlets revenge was the opposition of the church and state, of Renaissance English, to taking revenge. The state viewed revenge as taking the law into oneââ¬â¢s one hands and undermining the political authority of the state. They felt that the right and correct response to the original crime would be to allow the legal system to take over. The church disproved of revenge because they considered it disgraceful and a result of jealousy and hatred. In their opinion, God was the ultimate avenger. Hamletââ¬â¢s struggles between societyââ¬â¢s opposition to revenge and his own personal desire to avenge his fatherââ¬â¢s death. The belief of the afterlife is another cause for Hamletââ¬â¢s inaction, lies in. The Protestant Reformation caused many debates about the existence of Purgatory and the road to Heaven. Catholics believe that ââ¬Å"how we behave ââ¬â will determine where in the afterlife you will eventually end upâ⬠(Zammit). One who dies in ââ¬Å"Godââ¬â¢s grace and friendship and [is] perfectly purified, live[s] forever in [heaven]. â⬠If one dies and is still ââ¬Å"imperfectly purified,â⬠he will ââ¬Å"undergo purificationâ⬠(biblehistory) in Purgatory. If one dies ââ¬Å"in a state of mortal sin, [he will] descend into hellâ⬠(Catechism of the Catholic Church). On the other hand, Protestants believe that anyone who accepts Jesus, receives him by faith and repents will go to Heaven. Those who reject God are sent to Hell, a place of torment and separation from God. Purgatory is never explicitly mentioned in the bible, therefore Protestants reject the Roman Catholic teaching that there is also a transitional place or process of purification of the soal. According to the Protestants, there is no Purgatory. Hamlet is unsure about the afterlife. At times he accepts the Catholic view, and at other times he trusts the Protestant view. Hamlet is presented with a perfect opportunity to kill Claudius. He approaches a kneeling, praying Claudius, but ââ¬Å"he is consumed with the Christian notion of the afterlife. The conception that if one died while in prayer, they would automatically go to heavenâ⬠(A Christian Excuse for Cruelty). Hamlet wants to kill Claudius ââ¬Å"when he is drunk asleep, or in his rage,/ Or in th'incestuous pleasure of his bed,/ At gaming, swearing, or about some act/ That has no relish of salvation in'tâ⬠(3. 3. 89) so that Claudius will go to Hell. Although in the pervious instance, Hamlet leans towards the Catholic approach, he later discusses his uncertainty about the afterlife. Hamlet feels that if he cannot act, he can at least kill himself to escape his situation. But, in his ââ¬Å"To be or not to beâ⬠soliloquy, Hamlet dismisses his suicidal plans because of his doubts about the afterlife. As Smith points out, at one point in his soliloquy, Hamlet ââ¬Å"thinks for a moment that [death] may be like a deep sleep,â⬠which seems like a fairly pleasant situation. But then, Hamlet wonders, ââ¬Å"To sleep: Perchance to dream: ay thereââ¬â¢s the rub; / For in that sleep of death what dreams may comeâ⬠(3. 1). Hamlet is afraid of the dreams of the after life, the ââ¬Å"pains that the afterlife might bringâ⬠(Smith). Hamlet continues to discuss the ââ¬Å"dread of something after death,â⬠and comes to reject his plans of committing suicide because of his dubiousness of the afterlife. Hamletââ¬â¢s inability to act is largely a byproduct of the time period during which he lived. Hamlet was influenced by societyââ¬â¢s views, doubts and beliefs. Even today, peopleââ¬â¢s actions are largely effected by the characteristics of the time period, and by society's pressures.
Wednesday, October 23, 2019
How does the relationship between salt concentration
How does the relationship between salt concentration effect osmosis in the aquatic plant Elodea? Quantitative data From observing the cells under a microscope, we see that they are continuously moving and therefore are alive. We have observed that when the cells are in the 10% sodium chloride, the chloroplasts are positioned to the sides of the cell wall and the cytoplasm is more expanded. Cells in the distilled water are slightly smaller than the cells in the sodium chloride solution and the chloroplasts have begun moving to the same.Finally, cells in the isotonic water are very small and equally spread out through out the cells. Conclusion From observing the Elodea in different concentration of water, we can see that the more concentrated the solution is, the more osmosis occurs. This can be seen from the change from observing the plant in isotonic water, distilled water and a 10% sodium chloride solution. As the concentration of the solution increases, the cytoplasm and chloroplas t was pushed to the edges of the cell membrane instead of being spread out like in the isotonic water.This observation is especially visible for he 10% sodium chloride solution; where all of its chloroplast was on the boundary and pressure of the cytoplasm is more. This occurs because of osmosis where water molecules move in the sodium chloride solution as osmosis works from a region of lower solute concentration to a region of higher solute concentration across a partially permeable membrane. The sodium chloride molecules moves across the membrane so the net is in equilibrium, due to this the elodea contain more water and therefore becomes larger.At some cells, we can see that they look very weak and ull, these are the cells which are reaching the maximum capacity of water they can obtain. If we were to leave the elodea in higher concentration solution they may burst due too much water flowing and pressure inside the cells. There was only a gradual change between the cell in the is otonic water and distilled water since the salt concentration to the distilled water was not very strong. Also, because the solution is less solute is due to less molecules held up so they move more freely across the membrane. Thus, a smaller net movement of water is evident.However, we can still ee some small changes such as the some of the chloroplasts have been moved the side, as while as the cell has expanded slightly, especially the cytoplasm. When place in isotonic solution, the cell does not experience any changes since there is an equal exchange of water. The reason for this is the solution and cell has the same concentration, therefore water moves in the same direction so osmosis does not occur. There is no pressure inside the cell so the cytoplasm is not pressed against happens better in concentrated solutions where the cytoplasm and chloroplast are ainly affected.Although I only did the experiment once, my results may not be completely accurate; however, because of our kn owledge of osmosis, we can infer that the results are to a large extend reliable and can be use to Justify our conclusion. Evaluation Limitation How it affected the results How to improve it The slide where the cell was put on to be observed under the microscope may have contained traces of previous concentration of solutions. Because the solutions were mixed (for instance, some traces of isotonic water on slide when the cell was put in istilled water) it could weaken the concentration of the solution.The weaker solution may create a barrier to how much of the stronger solution could enter the cell. Therefore, the cell could contain more of the weaker solution than the stronger. Due to more of the weaker solution, osmosis may not occur as effectively as it would with a pure solution. After observing the elodea, cleanse it thoroughly so excess water comes off. When wanting to observe the next elodea in a different concentration take a new slide each time so there is the cell is on a completely clean surface. The harsh ight of the microscope created heat, which was aimed towards the cell.The heat would have made the cell drier by drying the water that the cell contained. This would have made the cell flaccid as the cell loses water and has lack of firmness. Therefore the cells' structure would be altered, giving false results. Decrease the amount of light shined on the cell. Also, only switch off the microscope when not using to observe to ensure that extra light will not shine. The time the leaf is left in the solution is not consistent. ââ¬â Sometimes the leaf was left for 5 minutes sometimes onger. The time needs to be consistent since the effects of osmosis may be more visible if there is longer time.The cell in a particular concentration may be less ââ¬Å"developedâ⬠compared to the cell in another concentration, which was in the solution for a longer period of time. Have a fix time for the elodea cell to be in each of the solutions. (10 minutes w ould be a good time) The experiment was only done once This may not have given very accurate results as the one trial we did may have been flawed. Therefore it is not very reliable to assume that our results will always give the ame conclusions that concentration effect osmosis.Do the experiment at least fives times to compare the results to make sure they are all similar. This way you can ensure that your results are more accurate and have no anomalies. Different leaves were used for each of the three solutions. and how everything is placed. Because of this, we do not know if the changes we see are due to osmosis or if the leaves are different from each other. It makes comparison between the concentration of solutions harder as we need to be more cautious in what we assume are the effects of osmosis.Use the same leaf whenever changing into a different solution. However make sure to fully cleanse the leaf after putting in each concentration to ensure there is no traces of old concen tration. Limitation by use of sketching to collecting information There might be human error when sketching since we cannot locate the same part of the plant and also there is different amount of cells within each part. Humans may also produce error when drawing the shapes, so when comparing, it is difficult to know whether the shapes produce are caused by human error or osmosis.
Tuesday, October 22, 2019
Definitions of Indexes and Scales in Research
Definitions of Indexes and Scales in Research Indexes and scales are important and useful tools in social science research. They have both similarities and differences among them. An index is a way of compiling one score from a variety of questions or statements that represents a belief, feeling, or attitude. Scales, on the other hand, measure levels of intensity at the variable level, like how much a person agrees or disagrees with a particular statement. If you are conducting a social science research project, chances are good that you will encounter indexes and scales. If you are creating your own survey or using secondary data from another researcherââ¬â¢s survey, indexes and scales are almost guaranteed to be included in the data. Indexes in Research Indexes are very useful in quantitative social science research because they provide a researcher a way to create aà composite measureà that summarizes responses for multiple rank-ordered related questions or statements. In doing so, this composite measure gives the researcher data about a research participants view on a certain belief, attitude, or experience. For example, letââ¬â¢s say a researcher isà interested in measuring job satisfaction and one of the key variables is job-related depression. This might be difficult to measure with simply one question. Instead, the researcher can create several different questions that deal with job-related depression and create an index of the included variables. To do this, one could use four questions to measure job-related depression, each with the response choices of yes or no: When I think about myself and my job, I feel downhearted and blue.When Iââ¬â¢m at work, I often get tired for no reason.When Iââ¬â¢m at work, I often find myself restless and canââ¬â¢t keep still.When at work, I am more irritable than usual. To create anà index of job-related depression, the researcher would simply add up the number of yes responses for the four questions above. For example, if a respondent answered yes to three of the four questions, his or her index score would be three, meaning that job-related depression is high. If a respondent answered no to all four questions, his or her job-related depression score would be 0, indicating that he or she is not depressed in relation to work. Scales in Research A scale is a type of composite measure that is composed of several items that have a logical or empirical structure among them. In other words, scales take advantage of differences in intensity among the indicators of a variable. The most commonly used scale is the Likert scale, which contains response categories such as strongly agree, agree, disagree, and strongly disagree. Other scales used in social science research include the Thurstone scale, Guttman scale, Bogardus social distance scale, and the semantic differential scale. For example, a researcher interested in measuring prejudice against women could use a Likert scale to do so. The researcher would first create a series of statements reflecting prejudiced ideas, each with the response categories of strongly agree, agree, neither agree nor disagree, disagree, and strongly disagree. One of the items might be women shouldnââ¬â¢t be allowed to vote, while another might be women canââ¬â¢t drive as well as men. We would then assign each of the response categories a score of 0 to 4 (0 for strongly disagree, 1 for disagree, 2 for neither agree or disagree, etc.). The scores for each of the statements would then be added for each respondent to create an overall score of prejudice. If a respondent answered strongly agree to five statements expressing prejudiced ideas, his or her overall prejudice score would be 20, indicating a very high degree of prejudice against women. Compare and Contrast Scales and indexes have several similarities. First, they are both ordinal measures of variables. That is, they both rank-order the units of analysis in terms of specific variables. For example, a personââ¬â¢s score on either a scale or index of religiosity gives an indication of his or her religiosity relative to other people. Both scales and indexes are composite measures of variables, meaning that the measurements are based on more than one data item. For instance, a personââ¬â¢s IQ score is determined by his or her responses to many test questions, not simply one question. Even though scales and indexes are similar in many ways, they also have several differences. First, they are constructed differently. An index is constructed simply by accumulating the scores assigned to individual items. For example, we might measure religiosity by adding up the number of religious events the respondent engages in during an averageà month. A scale, on the other hand, is constructed by assigning scores to patterns of responses with the idea that some items suggest a weak degree of the variable while other items reflect stronger degrees of the variable. For example, if we are constructing a scale of political activism, we might score running for office higher than simply voting in the last election. Contributing money to a political campaign and working on a political campaign would likely score in between. We would then add up the scores for each individual based on how many items they participated in and then assign them an overall score for the scale. Updated by Nicki Lisa Cole, Ph.D.
Monday, October 21, 2019
Free Essays on Tawas Michigan
I chose the city of Tawas/East Tawas for my Michigan history project. Tawas has a personal touch to it because it is my summer home. My family owns two cottages in Tawas right on Lake Huron. Tawas is about and hour and fifteen minutes from Saginaw. Tawas is a part of Iosco County. Between the Huron National Forest and the blue-green waters of Lake Huron and Saginaw Bay lie the peaceful twin cities of Tawas City/East Tawas. For the most part Tawas is a very touristy city. There are hiking, skiing, and snowmobile trials throughout the town that attract tourists. Also there are many other hot fishing spots located along the towns waterside edge on Lake Huron. There are many in land lakes located in the city of Tawas that offer great fishing. Perchville is their annual event to celebrate ice fishing; this year will be their 52nd. There are always festivals and craft and antique shows going on as well. The origin of Tawasââ¬â¢s name comes from a Native American word meaning ââ¬Å"water of light.â⬠Tawas is also known as ââ¬Å"The sunrise side.â⬠There is an Indian museum located in Tawas that tells the history of the Native Americans that lived in the area. Prior to the arrival of the European trappers and settlers, this area of Michigan was sparsely populated by Native Americans. The Chippewa tribe had been living here since around 1525, but their main settlements were not in this area of the state. The land was covered with rich pine and hardwood forests and populated with an abundance of wildlife. The rivers and lakes were teeming with fish. White fish, grayling, sturgeon, and herring were so plentiful that the local Native Americans easily maintained large stocks of dried fish for food and for use as trade goods. Although some aspects of their life might have seemed rather idyllic, it must also be remembered that other tribes (notably the Iroquois) often made ra ids into this part of the Great Lakes and warred with the Chippewa and H... Free Essays on Tawas Michigan Free Essays on Tawas Michigan I chose the city of Tawas/East Tawas for my Michigan history project. Tawas has a personal touch to it because it is my summer home. My family owns two cottages in Tawas right on Lake Huron. Tawas is about and hour and fifteen minutes from Saginaw. Tawas is a part of Iosco County. Between the Huron National Forest and the blue-green waters of Lake Huron and Saginaw Bay lie the peaceful twin cities of Tawas City/East Tawas. For the most part Tawas is a very touristy city. There are hiking, skiing, and snowmobile trials throughout the town that attract tourists. Also there are many other hot fishing spots located along the towns waterside edge on Lake Huron. There are many in land lakes located in the city of Tawas that offer great fishing. Perchville is their annual event to celebrate ice fishing; this year will be their 52nd. There are always festivals and craft and antique shows going on as well. The origin of Tawasââ¬â¢s name comes from a Native American word meaning ââ¬Å"water of light.â⬠Tawas is also known as ââ¬Å"The sunrise side.â⬠There is an Indian museum located in Tawas that tells the history of the Native Americans that lived in the area. Prior to the arrival of the European trappers and settlers, this area of Michigan was sparsely populated by Native Americans. The Chippewa tribe had been living here since around 1525, but their main settlements were not in this area of the state. The land was covered with rich pine and hardwood forests and populated with an abundance of wildlife. The rivers and lakes were teeming with fish. White fish, grayling, sturgeon, and herring were so plentiful that the local Native Americans easily maintained large stocks of dried fish for food and for use as trade goods. Although some aspects of their life might have seemed rather idyllic, it must also be remembered that other tribes (notably the Iroquois) often made ra ids into this part of the Great Lakes and warred with the Chippewa and H...
Sunday, October 20, 2019
Marjorie Joyner and the Wave Machine
Marjorie Joyner and the Wave Machine An employee ofà Madame Walkersà empire, Majorie Joyner invented a permanent wave machine. This device, patented in 1928, curled or permed womens hair for a relatively lengthy period of time. The wave machine was popular among women white and black allowing for longer-lasting wavy hair styles. Joyner went on to become a prominent figure in Walkers industry. Early Years Joyner was born in 1896 in the rural Blue Ridge Mountains of Virginia and moved in 1912 to Chicago to go to school study cosmetology.à She was the granddaughter of a white slave owner and a slave. Joyner graduated from A.B. Molar Beauty School in Chicago in 1916. She was the firstà African-Americanà to achieve this. At the beauty school, sheà metà Madame C. J. Walker, an African-American beauty entrepreneur who owned a cosmetic empire. Always an advocate of beauty for women, Joyner went to work for Walker and oversaw 200 of her beauty schools, working as the national adviser. One of her major duties was sending Walkers hair stylists door-to-door, dressed in black skirts and white blouses with black satchels, containing a range of beauty products that were appliedà inà the customers house. Joyner taught some 15,000 stylists over her 50-year career.à Wave Machine Joyner was also a leader in developing new products, such as her permanent wave machine. Sheà invented her wave machine as a solution to the hair problems of African-American women. Joyner took her inspiration from a pot roast. She cooked with paper pins to shorten prep time. She experimented initially with these paper rods and soon designed a table that could be used to curl or straighten hair by wrapping it on rods above the persons head and then cooking them to set the hair. Using this method, hairstyles would last several days. Joyners design was popular inà salonsà with both African-American and white women. Joyner never profitedà fromà her invention, however, because Madame Walker owned the rights.à In 1987, the Smithsonian Institution in Washington opened an exhibit featuring Joyners permanent wave machine and a replica of her original salon.à Other Contributions Joyner also helped write the first cosmetology laws for the state ofà Illinois,à and founded both a sorority and a national association for black beauticians. Joyner was friends with Eleanorà Roosevelt,à and helped found theà National Council of Negro Women. She was an advisor to the Democratic National Committee in theà 1940s,à and advised several New Deal agencies trying to reach out to black women. Joyner was highly visible in the Chicago black community, as head of theà Chicago Defenderà Charity network, and fundraiser for various schools.à Together with Mary Bethune Mcleod, Joyner founded the United Beauty School Owners and Teachers Association.à In 1973, at the age of 77, she was awarded a bachelors degree in psychology fromà Bethune-Cookman Collegeà inà Daytona Beach, Florida. Joyner also volunteered for several charities that helped house, educate, and find work for African Americans during the Great Depression.
Saturday, October 19, 2019
African americans in sports Research Paper Example | Topics and Well Written Essays - 2750 words
African americans in sports - Research Paper Example 42-43). Too often, however, sport does not provide social mobility and lucrative careers for African American. Background Debate involving whether or not the sport domain in the United States is benefiting or exploiting its African American participants continues to be an issue of critical concern. Specifically, as the discussion relates to the impact of the athletic experience upon the progress of young, African American student- athletes. Embedded within this discussion exist two opposing perspectives which view sport as either "the embodiment of the American dream of meritocracy and success" (Sammons, 1994, p. 215) or as an institution designed to operate as a form of social control. According to sport sociologist George H. Sage (2000) the fundamental difference regarding these arguments and in how sport has historically been understood lies in whether one considers sport a cultural practice or not. Sage (2000) offers a logical and rational argument for considering larger socio-hi storical context when examining sport issues. He maintains that sport is a cultural practice that cannot be fully understood "as a practice isolated from the social, economic, political, and cultural context in which it is situated" (In Brooks & Althouse, p. 2). The divergence in opinion regarding the utility of sport, as expressed by the African American community, has dated as far back as slavery (Wiggins & Miller 433). The sentiments of ex- slave and abolitionist Frederick Douglass on this subject have been noted by historian Jeffrey Sammons: From his retrospective position as ex-slave, Douglass considered sport and oppressive instrument and divisionary device to occupy the minds and energies of slaves, thus preventing them from pursuing more useful activities and fully appreciating their horrible plight (p. 216). Cautiousness about the current role of sport in the lives of the African American community continues to be voiced mainly through the limited amount of sport sociologic al literature addressing the subject of the African American athletic experience. As indicated by Gates (p. 78) much of the current focus involving African American athletes has been generated in response to the channeling and overrepresentation of young black youth into collegiate revenue producing sports, unrealistic dreams of playing at an elite level, and the alarmingly poor academic performance and graduation rates of high profile Division IA collegiate athletics [i.e. basketball and football]. Historically, higher education institutions have tended to view low achieving minority students as "problems" citing the student's inability to "acculturate" to the college environment as a significant factor. Tierney (p. 603-618) suggests that institutions reconsider this position and to consider their own inability to operate in a multicultural world. Explanations for poor academic performance [as compared to whites] in African American student-athletes have generally been consistent w ith the "problem" perspective, implying that these student-athletes and their significant others overemphasize sport at the cost of academic development. According to Powell (p. 73) African-American males ââ¬Å"donââ¬â¢t treat academics with the same intensity as they do basketball or football.â⬠According to Harris (In Brooks & Althouse, 47) the National Collegiate Athletic
Friday, October 18, 2019
Visual arts, music, drama, and film constitute works of art Essay
Visual arts, music, drama, and film constitute works of art - Essay Example The reality is that art is about expression; not only of the artists, but also of the audience. Every person views the product in light of their own perception and preconceived notions - we still haven't decided at large what the expression on Mona Lisa's face entails. Therefore, the questions stands ever more potently: what does constitute a work of art. Technically speaking, every person using the creative means to express themselves essentially come under the cadre of 'art'. However, whether it is actually another Rembrandt in the making, is a question that only time can tell. Even when small children scribble with crayons on their drawing books, that is one form of art. Yes, it may not be the standard to be placed in a museum, but it is still the mode of expression for that child. Similarly for music - nature is encrypted with melodies and rhymes, all synchronized to give life the color it deserves. Thus even the whistling sound of a cool breeze is a form of art (again something that may not find itself in a collector's catalogue. Performing arts also form a distinctive genre in their own right. Dance and yoga both form a wholesome means of expression for the body. Two people fighting are generally termed as something uncivilized.
Primark and the 5 Gaps Model Essay Example | Topics and Well Written Essays - 3000 words
Primark and the 5 Gaps Model - Essay Example Primark is famous because they sell their items of clothing at budget end prices of the market. This is the main reason of success of Primark as they supply their sources cheaply. The clothing they have is of simple fabrics and designs. Sizes of the clothes are of the standards sizes and they make it in bulks with different types of varieties (About us- Primark, 2010). These are some of the brands of Primark (About us- Primark, 2010): Atmosphere ââ¬â Women wear/footwear Active - menswear Backswing - Women and menââ¬â¢s sportswear Butler & Webb ââ¬â formal menswear Cedar wood State ââ¬â casual menswear Denim Co. ââ¬â women wear, casual men's and childrenââ¬â¢s wear Early Days ââ¬â baby wear (newborn-23mnths) Essentials - basic cheaper items Girl 2 Girl ââ¬â young girls wear (2yrs-7yrs) Limited Edition ââ¬â women wear Competitors of Primark The main competitors of Primark are all the fashion retail stores such as Marks and Spencer, John and Lewis, Zara ââ¬â¢s and other such brand retail stores. The difference between Primark and its competitors are that Primark has adopted a low cost strategy in fashion retailing and its competitors are high priced. ... The type of services provided by the organisation is at times very difficult to measure as service is an intangible thing (Wisniewski, 2001). There have been many definitions discussed on the term service quality and the most common ones are the service quality is the meeting of the expectation of the needs of the customers (Lewis and Mitchell, 1990). It should be strongly adhered by all organisations that they should constantly work upon improving their service quality so that they can attain a large customer base. The type of services provided by the organisation has to be valued against the perceived service by the customer. In other words it is the difference between the expectations of a customer of the service and the perceived service (Asubonteng et al., 1996). All service organisations need to match up to the expectation level of the customers so that they have a good perception level of the organisation. If the customers have expected vey high and the performance is not up t o the level, then dissatisfaction is observed from the customer (Parasuraman et al., 1985). Organisations need to constantly work upon improving their standards of service delivery so that they can attain a high level of customer satisfaction from their valuable customers (Dotchin and Oakland, 1994). Reasons for Primarkââ¬â¢s Success In the midst of high competition in the fashion retail market, Primark has successfully managed to overcome their tough competitors such as Marks & Spencer, John & Lewis and other such fashion retail stores. The reasons for Primarkââ¬â¢s success are as follows: Primark implemented the low cost strategy in their organisation and this strategy worked perfectly for them. In the time periods of high inflation, everyone has to work upon their budgets; they cannot
Thursday, October 17, 2019
Mosques in America Essay Example | Topics and Well Written Essays - 750 words
Mosques in America - Essay Example In order to develop a better understanding of the problem one should take a look at statistical dimension of Islam in the United States. Thus, the actual population of Muslims is two times larger that estimated one. In addition to that, the number of mosques increased greatly in the first decade of 2000. Moreover, the majority of mosques are relatively young: built less than 40 years ago. What is more important is that mosques in America feature a considerable amount of diversity. To begin with, it is not only Arabs, but various ethnic groups are represented in almost every mosque. Secondly, Shiite mosques which represent a second branch of Islam are also quite numerous in the United States. Thirdly, mosques can be found both in metropolitan areas and suburbs. As for the places which are used for a mosque, one should note that they include purchased, built or rented facility. The position of a mosque in the American society has had influence on its practices. It was found that mosques in the US preach flexible interpretation of Quran which is suitable for modern circumstances. The local spiritual leader feel general atmosphere of acceptable by the community. They also encourage Muslims to take active part in American society. Finally, the rate of conversion to Islam in the America reflects general interest to this religion. All in all, one might come to the following conclusions. First of all, the presence of Muslims in the American population may be more that it is estimated. Secondly, mosques were able to integrate successfully into American society. Finally, mosques reflect the diversity of the American social environment. This report contains all the necessary information that might be used to research the topic of a mosque in the United States. Another big advantage of it is the fact that the information that it is based on is relatively recent and reflects of the important cultural events that happened in the American society. The primary focus of
Principles of the Constitution Essay Example | Topics and Well Written Essays - 250 words
Principles of the Constitution - Essay Example The executive is the presidency and the ministers in office. The legislature is the senators and congressional representatives of the house. The judiciary interprets the constitution and operates the judiciary system. These three arms of government interact closely in order to serve the American citizens. The executive comes up with policies, which it sends to the legislature for approval and the judiciary determines the constitutionalism of approved laws and policies or statutes (Cuninghame, 1811). The three arms of government operate in a constructive manner to promote the will of the people by passing policies and statutes that consider the welfare of the electorate. As such, the representatives of the people pay more concern about serving the peopleââ¬â¢s agenda rather than fulfilling their personal interests. The electorate plays an important role in the attitudes and actions of the elected officials as they judge the official on their performance and delivery on their promises, failure to which they vote him or her out of
Wednesday, October 16, 2019
Discuss the economic and demographic arguments for and against new Essay
Discuss the economic and demographic arguments for and against new labour migration - Essay Example Population characteristics of UK and its economic implications UK is among the developed western continents. Majority of the people in UK are old aged as the lifespan is longer, but this reduces the population growth rate because the aged are not within the productive age brackets. Economically, these people are not strong enough to provide workforce needed in economic building (Borjas 2000; Kupiszewski, 2012). Additionally, due to their age, there is no possibility of young generation to replace them in the work environment (Lisiankova and Wright, 2005). This population structure poses a threat to both population structure and economic condition of the country. To address this condition, several procedures have been formulated. One of the measures includes encouraging labor immigration. Need for immigration Given the scenario of UK population challenges, analysts and economists would raise question to find out whether UK requires immigrants or there are other options that can be fol lowed. By understanding the need for immigrants, it will be easier to formulate appropriate policies to be used (Borjas 2000). Currently, UK migration is characterized by the two types, international and domestic migration. Labor immigration has great effects in the UKââ¬â¢s economy and population. ... This is to ensure the adverse effects of immigration are addressed now and in future (Borjas 2000; Great Britain, 2012). UK countries need to remain pro active in policy making in regard to immigration and future labor market situation. In economics, philosophers have concluded that through migration everybody benefits. The countries receiving employees benefit through reducing the labor shortage and produce low cost products. Countries, from which the people come from, reduce the rate of unemployment while the workers in the foreign land benefit. From the above theory, it can be noted that it is true, but these benefits are only in the short run; in long run, migration cost is huge. Countries getting foreign workers endanger their citizen job security. The native employees in firms may be fired to recruit cheap workers from foreign countries. This is so in nations with labor market which inflexible (Borjas 2000). It is therefore important to check on the flexibility of labor market before formulating policies that encourage immigration. Immigrants find themselves trading off their rights for wealth creation in other countries. The immigrants are exposed to high chances of being exploited in the foreign countries. Merits of Immigration Creation mobility of job - Immigration leads to establishment of new jobs because of economic growth and enhancement of job mobility. In 18th to 20th century, over one third of UKââ¬â¢s population growth, moved to other countries, but this was not sustained for long. In 21st century, largest increase in population is due to immigration. It is important for any country to control the movement of people across the borders. Migration has effects on both demographics and economic performance of a country. Demographics
Principles of the Constitution Essay Example | Topics and Well Written Essays - 250 words
Principles of the Constitution - Essay Example The executive is the presidency and the ministers in office. The legislature is the senators and congressional representatives of the house. The judiciary interprets the constitution and operates the judiciary system. These three arms of government interact closely in order to serve the American citizens. The executive comes up with policies, which it sends to the legislature for approval and the judiciary determines the constitutionalism of approved laws and policies or statutes (Cuninghame, 1811). The three arms of government operate in a constructive manner to promote the will of the people by passing policies and statutes that consider the welfare of the electorate. As such, the representatives of the people pay more concern about serving the peopleââ¬â¢s agenda rather than fulfilling their personal interests. The electorate plays an important role in the attitudes and actions of the elected officials as they judge the official on their performance and delivery on their promises, failure to which they vote him or her out of
Tuesday, October 15, 2019
To Kill a Mockingbird Essay Example for Free
To Kill a Mockingbird Essay There are many destructive and brute forces that demonize and demolish our humanity, beat down our beliefs, and wreak havoc upon our morals. Among these are greed, ire, and ignorance. These are major situations in todayââ¬â¢s society, but none is as powerful or as dangerous as racism. Itââ¬â¢s a major issue in todayââ¬â¢s society as well as the society in Harper Leeââ¬â¢s novel To Kill a Mockingbird. It was demonstrated in the novel by what befalls Tom and Helen Robinson and Bob Ewell. Racism has ruined the lives of countless men, women, and children by causing certain ethnicities to hide and cower in fear as the ââ¬Å"superior ethnic groupâ⬠inflicts misery upon them. It is an unnecessary evil that could never be solved because of societyââ¬â¢s blindness to recognize it. By far the largest example of social inequality in the novel is the case of Tom Robinson. He is a black man falsely accused of violating Mayella Ewell. Tom is brought forth to trial upon a prejudiced, biased, and unjust white jury. He is being defended by Atticus Finch whom in the novel is the figure and backbone of social justice and morals. He takes on the case because he feels he would be hypocrite not to. To teach his kids, Jeremy and Jean Louise Finch, the importance of equality and for him not to value his own teachings is misguiding. ââ¬Å"ââ¬ËNigger-lover is just one of those terms that dont mean anything like snot-nose. Its hard to explain ignorant, trashy people use it when they think somebodys favoring Negroes over and above themselves. Its slipped into usage with some people like ourselves, when they want a common, ugly term to label somebody. ââ¬â¢ ââ¬ËYou arent really a nigger-lover, then, are you? I certainly am. I do my best to love everybody Im hard put, sometimesââ¬âbaby, its never an insult to be called what somebody thinks is a bad name. It just shows you how poor that person is, it doesnt hurt you. ââ¬â¢ Atticus is aware of the manââ¬â¢s innocence and proves as much, but despite his best efforts the juryââ¬â¢s racist viewpoints cloud their morals and the trial is lost. ââ¬Å"Thereââ¬â¢s something in our world that makes men lose their heads- they couldnââ¬â¢t be fair if they tried. In our courts, when itââ¬â¢s a white manââ¬â¢s word against a black manââ¬â¢s word, the white always wins. Theyââ¬â¢re ugly, but these are the facts of life. â⬠(pg. 252) Tom being sentenced to death and even though that Atticus knows that the might have a chance at an appeal Tom refuses to acknowledge it. Tom believes that once again he will be judged because of the color of his skin rather than his innocence. He decided to break out from jail but in turn it was a failure. It resulted in him being shot a total of seventeen times. The only ones who were in woe or showed and remorse were the Finches along with Tomââ¬â¢s wife, Helen. I couldnââ¬â¢t in truth say that we had more than a good chance. I guess Tom was tired of taking the white menââ¬â¢s chances and preferred to take his own. â⬠(pg. 237) Racism unfortunately can and will never go away. There will always be people in the world who feel they are superior just because of the color of their skin. At times they take their beliefs and allow it to cloud their logic and take brutal action to ââ¬Å"prove how they are superior. In reality, we are all equal; no one is above another solely based on the color of their skin. Atticus saw this, and the world should too.
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