Saturday, August 31, 2019

Outcome Blank

Which song you would like today ? 2. Identify regulatory requirements what underpin a positive environment for children and young people. In my setting we working with different activities such as: We had two activities for mothers Samba and Yoga class every Wednesday besides Cryache services. The cryache works with the child in two session: In the morning when the child arrive we do activities to be play and snack time, in the afternoon the child to learning Speech and Language assessment and remedial help, this activity we works with children +2 years old.Also we art therapy, dance and movement therapy, chronological therapy, safe space to families when mothers receive information about abuse or domestic violence. These activities we use regulatory' ECMA and EYES with the children, in the other hand, the safe space in my setting work with CAR-SACS regulatory. Outcome 2 – Be able to support a positive environment that meets the individual needs of children and young people. A ssessment Criteria 1 Meet and greet children and young people in a way that welcomes them onto the work setting.When the child arrive at centre one person open the door for him with your parent, then this person give welcome, ask open question, then when the parent living in the child, we star sing welcome song with the children where every child learning the names together. 2 Provide opportunities for children and young people to engage in activities of choice. In my setting we have AnD Space, when we offering therapeutic help for school children aged 4 to 13 years through, the use of art therapy and drama therapy. O Individual sessions Small group work 3 Provide activities and resources to meet the individual needs or children and young people.

Friday, August 30, 2019

Negative Effects of Marijuana Use

When someone says the phrase â€Å"pot head†, what do people think of? Does the stereotypical street bum, pickpocket, or druggie come to mind, or is it possible that this type of person could be the normal neighbor next door? Marijuana use is looked down upon by society in general but more and more people are taking advantage of it. Marijuana has favorable effects for its users when it comes to physical feeling and experience, but it can also put our families and those that we expose it to in uncomfortable and often dangerous situations. The scientific term for marijuana is â€Å"Cannabis Sativa†, but is also referred to as weed, Mary Jane, grass, hash, and countless other street names. Marijuana can be smoked or eaten, the former often in the form of a joint, blunt, or bowl. Marijuana use in the United States has been on a slow increase since its extreme popularity in the 1960’s and 70’s. Marijuana is illegal in the United States, but this obstacle hasn’t been able to stop teenagers from gaining access to it. It is estimated that at least 49 percent of high school seniors experiment with marijuana at least once prior to graduating high school and that 22 percent of high school seniors smoke marijuana at least once a month. The effects of marijuana can influence all aspects of life, from the users’ educational and extra-curricular environment to their home and family life. Most doctors and physicians believe that marijuana use affects a person’s ability to retain information and learn in general. In a quote from John P. Walters, â€Å"Marijuana directly affects the brain†¦.It impairs the ability of young people to concentrate and retain information during their peak learning years.† THC (tetrahydrocannabinol), which is the main property in marijuana, attaches to nerve receptors in the hippocampal area of the brain. This attachment distorts functions necessary for long-term memory and also weakens short-term memory. The effects that long-term marijuana use has on the brain and its processes can seriously endanger a students learning and educational environment. It can make memorization more difficult, studying harder, and concentrating and focusing an arduous task. The health risks that marijuana use poses to the individual are somewhat intimidating. First, the risk of heart attack for the smoker more than quadruples during the first hour of use. The effects of weed on the lungs are similar, if not more harmful, to the effects of tobacco. Burning and itching of the throat and esophagus are common, along with excessive coughing, increased heart beat, and an increased pulse. Marijuana use while pregnant with a child can cause lung/respiratory infections in the mother and slow the motor functions of the unborn child. Anxiety and panic attacks are also common results of long-term use. When faced with the side effects of using marijuana, the question is â€Å"Why do people continue smoking?† Some experts say that marijuana is addictive, but others are adamant that marijuana doesn’t contain addictive properties that are in things such as cigarettes and alcohol. Me as this being an experience in my life, I don’t agree to marijuana being addictive but for most it is a longterm drug mainly used to fit it or look cool , but that wasn’t my case and in the long anybody who does that drug will regret it. So my advice , pass it !

Thursday, August 29, 2019

Apple’s “1984”: Greatest Commercial Ever Made Essay

â€Å"1984† is an American television commercial which introduced the Apple Macintosh personal computer for the first time. The commercial served as a significant milestone in the history of adverting and had a massive effect on the popularity of Apple. The ad consistently been lauded as a classic, winning critical acclaim over time. It is now considered a watershed event and a masterpiece in advertising, and is widely regarded as one of the most memorable and successful American television commercials of all time. It aired only once on daytime television, on 22 January 1984 in the third quarter of Super Bowl XVIII. The ad was not only rated as the best advertisement ever in 2007, it was also rated as the ‘Best Super Bowl spot in the 40 years history’. The turning point event was not the only computer advertisement that aired in these years, but it was â€Å"the only one that changed people’s lives†. The ad started the phenomenon known as â€Å"event marketing,† in which a high-visibility commercial garners a lot of extra free publicity. â€Å"1984† also inaugurated the trend of showcasing commercials on the Super Bowl. And, most importantly for Apple, the ad brought consumers into the stores. The commercial opens with a droning voice resonating through a science-fiction dystrophic setting, which is held in dark, blue and gray tones. Then you see emotionless, bald and almost robotic people marching in unanimity through a long tunnel with telescreens on the wall. Then out of nowhere, a young woman appears, dressed like an athlete, in a color-full sports outfit that forms a strong contrast to the dull gray environment surrounding her. She carries a sledgehammer and is being chased by uniformed guards and then she runs up to the screen, hurls a hammer with a heroic grunt, and shatters the TV image of the said dictator named â€Å"Big Brother†. As the screen explodes, bathing the stunned audience in the light of freedom, a voice-over announces, â€Å"On January 24th, Apple Computer will introduce the Macintosh. And you’ll see why 1984 won’t be like â€Å"1984.† The ad was an allusion to George Orwell’s noted novel, â€Å"Nineteen Eighty-Four†, which described a dystopian future ruled by a televised â€Å"Big Brother†. After the ad was released in 1984, Apple became a household name in the United States. Apple’s 1984 commercial’s aim was to brand their product, Macintosh with an ideology of empowerment and individuality; contrary to the 1970s perception that personal computers were tools invented for utilitarian purposes and designed to facilitate specific tasks. During those times, the trend was common and utilitarian, so with Macintosh deviating its image against the norm, the people’s attention was acquired with a bold ad set up by Apple. The 1984 ad’s strategy was to differentiate themselves by combating conformity and asserting individuality. It was a definite plus for Apple to choose to air the commercial during the most watched television event in United States, The Super Bowl. Surely, the amount of people watching was at an all-time high thus making the visibility of the commercial reach its maximum. With a large number of people exposed to the memorable commercial, it is more likely to be remembered and talked about, thus making the Macintosh known and popular. Apple’s strategy of making the viewers of the Super Bowl, particularly a wide range of age, gender, ethnicity and social status as their target audience was a clever move since the more exposure, the better outcome. The commercial made a bold move in referencing George Orwell’s novel â€Å"Nineteen Eighty- Four† which could easily been misinterpreted and ended up scaring the audience with futuristic dystopian themes. Fortunately, the ad was considered as revolutionary, innovative and positively shocking which is a good thing because it made the idea of Apple stick into people’s minds. With Apple imaging itself as the ‘hero’/’saviour’ of the masses against forced conformity, the commercial was a clever way of saying that ‘If you buy a Mac, the awful dystopian future will not take place and instead individuality and self-empowerment will dominate.’ Ever since that commercial, the Mac has glowed with an aura of rebellion and empowerment. One major element on why the ad was so successful was, of course, the remarkable production values. Nobody had ever spent that much money to make a commercial look like a big-budget blockbuster movie. By bringing in the best people in the industry, the execution was astounding especially to the common individual. Steve Job’s vision of stressing the liberating power of the Apple Macintosh and paving the way for individuality was highlighted as the message of the commercial. The advertisement delivered the message of what Apple as a whole stood for and what distinguished it from the multitude of other computer brands in the market. Steve Jobs thought he knew what was special about Apple: they were the underdogs, who’d battled the corporate giants and brought computing power to the masses. The 1984 ad glorified the Information Age into a good vs. evil battle between technologies. They considered the rival PC in the market as bad technology – centralized, authoritarian – which crushes the human freedom and controls peoples’ minds. But we can be liberated from that bad technology by the good technology – independent, individualized – of the Apple Mac. In that instant when â€Å"1984† premiered, it positioned the Apple brand as creative, different and human while re-positioning its competition as staid, status quo and robotic. The commercial ultimately explained Apple’s philosophy and purpose; that people, not just government and big corporations, should run technology. If computers aren’t to take over our lives, they have to be accessible.

Wednesday, August 28, 2019

To what extent does an understanding of the history and evolution of Assignment

To what extent does an understanding of the history and evolution of business and globalization help in our understanding of business today; and what value could this have for your career - Assignment Example world reach unprecedented levels of globalisation; this has been as a result of liberalising economic trade, which has seen human capital flow from regions where it is surplus to the regions where there is shortage (Gerdes, 2006, p87). Businesses have also capitalised on the opportunities brought about by globalisation and expanded their market in different regions in the world, which has necessitated them to send expatriates in those regions. Initially, when protectionism and imperialism were the order of doing business in the world, movement of people from one country to another was restricted and countries attempted to be self sufficient; both in terms of technology, human capital and goods (Boudreaux, 2008, p107). However, when countries realised that opening up their boarders to trade provided more opportunities for them, the process of globalization began. One of the greatest effects of globalization was movement of human capital from areas where there it was in surplus to wher e it was needed. This movement of people created several challenges due to different cultures and competitions. In order to overcome this barrier, there was need for businesses to develop intercultural competencies in order to deal with people from different cultures (James, 2007, p90). The desire to develop people with such skills has made organizations to train their employees, a practise that has been developing with time and which s currently very popular with a large number of international NGO’s and multinational corporations. Opening up of trade between countries which saw a shift in trade policies from protectionism to open economic systems is also part of history that can be used to understand why countries trade the way they do, for instance, countries are interested in making bilateral and multilateral trade agreements. In understanding the inspiration between these agreements, it is important to define open and closed economic systems as countries are moving from

Responsibility of Internal Audit in the Detection of Fraud Research Paper

Responsibility of Internal Audit in the Detection of Fraud - Research Paper Example Auditing is mostly of two types: Internal and external audit. The internal audit team is a team appointed by the management of the company which aims at ensuring that the company is acting according to the rules and operations are in compliance to all type of internal and external rules. Internal audit prepares a company for an external audit by evaluating the operations and checking for fraud within manageable levels. External audit, on the other hand, is conducted by independent authorities who have no personal concern or take in the company and are appointed by the SEC or legal authorities to check the company’s operations. When an internal audit team audits, the company does not face any fine or legislation in case of fraud detection but in case of the external audit team, companies face legislation, fine and other legal processes in case of any fraud in their operations. Fraud in operations is one of the most occurring and costly issues faced by organizations. Studies sho w that US organizations have faced a very significant and increasing proportion of fraud in their operations every year. US economy faces the highest proportion of fraud in the period of economic downturn that is because employees and management do not get money enough for their survival or many other reasons contribute. It has also been observed that proportion of fraud had been increasing with significant percentage each year since 2001 (Howe, 2009). As a proportion of fraud is increasing in the organizations, it has brought high concerns to the management. Organizations today strive their best to lessen fraud and corruption in their operations. For this purpose, they rely heavily on the internal audit team and internal auditing activities. Internal auditor reports only to the board of directors he gets better control on fraud and corruption because of the fact that board of directors have a stake in the company and hence they don’t tolerate any kind of fraud and donâ€℠¢t hold any other personal interest. Organizations believe that as internal auditors review the activities in depth and monitor the operations independently without any personal take on them, they usually stem well in the areas where fraud is taking place. Internal audit teams get a good knowledge of the operations and organizational process over time and this is what makes it easy for them to detect any fraud happening. The internal auditors are believed to have better knowledge of the risk areas, control systems, employee profiles and this is what helps in effectively dealing with fraud in the organization. It has been stated by ACFE US that the internal audit team has detected the highest proportion fraud in organizations. The survey elaborates that internal auditors have no concern or personal interest in the organization. Rather they are independent authorities. Contrary to them, management has a personal interest in bonuses, rewards, and promotions as well as job retention whi ch given them the way to fraudulent behavior.  

Tuesday, August 27, 2019

The Metamorphosis- Gregor's Sarcasm and Irony Essay

The Metamorphosis- Gregor's Sarcasm and Irony - Essay Example He despised his boss, but in spite of that he imagined staying in his job for a long time, in order that he may pay the debts that his parents had incurred towards the boss. In a way he was working for his parents and for his sister, and is that not the mark of a good man, to be self-sacrificial? Yet viewed another way, one can make a case for reading the text from the perspective of how sarcasm and irony can be a means to understand what is happening in the story, given the fantastic nature of the change that happened to Gregor, and given the way Gregor seemed to have reacted to the whole change not so much with a sense of shock and horror but more with a kind of surreal acceptance. The same goes for his family. The rest of the paper examines these lines of thinking as they relate to understanding Gregor from the lens of irony and sarcasm (Kafka). An argument can be made for instance to view Gregor’s thoughts about his job in the light of its sarcastic and ironic overtones. He hates his job, but has to keep it because his parents owe his boss a lot of money. Sure he is the breadwinner, but does not that come with Gregor resenting his work, and secretly resenting the life that he is living? When he says, for instance, that he has maybe five or six years left before he can fully pay his parents’ debts, does not that sound like he is being sarcastic? From experience, if you hate your job, even a day can seem like an eternity. Six years on the other hand, is sheer torture, in comparison to which maybe turning into an insect is more acceptable? Is this why he turned into an insect in the first place, as a kind of wish fulfillment and a way out of his dreary existence? Taking a step back, is not there something ironic and sarcastic in the way Gregor reacted to the fact that he had turned into an insect? One moment, he was shivering at the sight of his body, his legs, the white spots where he itched, and the next

Monday, August 26, 2019

Critically appraise the key concepts and principles of the theory and Essay

Critically appraise the key concepts and principles of the theory and practice of the Person Centred approach - Essay Example Carl Rogers (a major contributor of the person centred model) emphasized the humanistic perspective as well as ensuring healing relationships with clients promote self-esteem, authenticity and actualization in their life, and help them to use their strengths (Seligman, 2006). Person-centred model has two primary goals, which are increased self-esteem and greater openness to experience. Attempts are made to facilitate related changes and seek to promote in clients the following: closer agreement between the clients idealized and actual selves; better self-understanding; lower levels of defensiveness, guilt, and insecurity; more positive and comfortable relationships with others; and an increased capacity to experience and express feelings at the moment they occur (Rogers, 1980). Person-centred model here means research that focuses on the person as a core of the study. The person then becomes the main conceptual unit and also often the main analytical unit. Person-centred model can be contrasted to variable-centred model where the focus is on the variable as the main conceptual and analytical unit. Variable- centred model is far more common but is not the topic of this article. For example training can be classified into variable-centred approach where the main focus is on the content of course which is being trained while coaching is person centred where the main focus is the person being trained not the content of the training. Person-centred model does not need to be quantitative and can in certain situations be carried out by case-oriented model and by using a qualitative model. Obviously, the study of the single individual, studied quantitatively using the technique, is in one way person-centred, but is not normally so according to the definition given above (since the focus is usually then on relationships between variables within the individual). The perspective given in this paper is of

Sunday, August 25, 2019

Descriptive annotated bibilograhy Bibliography Example | Topics and Well Written Essays - 1000 words

Descriptive bibilograhy - Annotated Bibliography Example The author is an expert on his subject having spent 25 years designing, and then analyzing, and reporting on both military experiments and tests carried out in the operational field. This long document contains such things as definitions and principles to be followed an dins concerned with moving on from the industrial age into the age of technology without discarding all earlier knowledge. It considers hierarchies within the military, but is also willing to take in ideas from the private sector where these are relevant. It describes the characteristics required of forces in the 21st century , including the ability to integrate and co-operate, working with many different agencies as required. It has an excellent bibliography on related topics. The authors are both experts in their fields, Dr Alberts being concerned with research and planning and Dr Hayes being an expert in the multidisciplinary analyses of command as well as in concerned with control as well as intelligence, and issues of national security. This extensive paper is another of a series of related documents from the Center for Advanced Concepts and Technology. It is concerned with a global view - one which had its beginnings in informal links and which is now much more extensive and interconnected, considering how basic is the whole idea of how groups are formed, and how they interact and overlap. It looks at the present situation, or very recent events, but also on into the future. The vulnerability of various methods of communication is considered using real example such as the Falklands War. The index is extensive and easy to use and there is also a catalog of related works from the CACT. The authors look back far into history and somehow connect ideas from those times to modern situations. This document describes how network centric warfare can become reality by looking into the future. It considers such important matters as training and education, security in a fast

Saturday, August 24, 2019

Did humans kill off the Mega-fauna Essay Example | Topics and Well Written Essays - 1000 words

Did humans kill off the Mega-fauna - Essay Example The answer is difficult to know for sure, but it seems increasingly likely that human beings played a large role in the extinction of megafauna. The idea that human beings are responsible for the deaths of these large animals is a controversial one. There are other theories that lay out competing claims. As Floyd Largent writes in his article on comet impacts, these kinds of extinction events may be explained by the high impact collision of an extraterrestrial body. He describes a recently published theory that states, â€Å"a comet hit North America 12,900 years ago, dooming the Pleistocene megafauna and decimating the local human population† (Largent, 1). This may well have happened and be true. Indeed, huge numbers of megafauna may have died in this event. But the question we must ask ourselves is: does this theory fit the pattern that has begun to emerge over the last few years regarding the extinction of megafauna? Leaving judgment on this theory aside for the moment, it is useful to examine additional evidence that is somewhat related. According to recent studies, a massive climate shift occurred about 12,000 years ago that killed off massive amounts of the large animals in North America. In his article on the subject C. Vance Haynes canvases a number of theories. He looks at the possibility of a cosmic collision, massive climate change, and human hunters. However, he feels unable to come to a conclusion due to the proliferation of theories and the still undiscovered geochronological evidence. He does however say, â€Å"I remain skeptical of the ET impact hypothesis as the cause of the YD onset and the megafaunal extinction. However, I reiterate, something major happened at 10,900 B.P. that we have yet to understand† (Haynes, 6525). That is very nice, but not especially helpful. He believes humans had an impact, but were not the

Friday, August 23, 2019

Ressurecting Russia's Church Essay Example | Topics and Well Written Essays - 1250 words

Ressurecting Russia's Church - Essay Example Following 70 years of continuous religious oppression and the violent spreading of atheism in the Soviet territories, Russia’s Orthodox Church viewed the Soviet collapse as the beginning of its own resurrection. The new process of the Russian Church’s revival led to the serious geographical and territorial shifts in how various religious groups were spread across the Russian territory: as of today, most Russian territories have their own orthodox churches, and the number of peaceful pilgrims constantly grows. In his article, Sergey Schmemann (2009) reviews the process and changes in the state-church relationships in Russia. The purpose of the article is to reconsider the process of the Russia’s church revival in the Soviet territory and to compare the state of church development in the country with the period that immediately followed the collapse of the Soviet Union. Schmemann (2009) chooses the town of Murom as the central object of his analysis – the town the author is familiar with and the town which reflects the basic stages of Russia’s church resurrection on the post-Soviet landscape. Schmemann (2009) provides the detailed description of Murom, its location, geographical features, and history: the town is arrayed on seven hills along Oka’s left bank and used to be one of the most important points of the Russian eastern periphery in the medieval times. Murom is also unique in the sense that more often than not, it was able to withstand and suppress the So viet atheistic pressures; it would be fair to assume that throughout the Soviet era, Murom retained its unique religious atmosphere, with numerous monasteries and myths (Schmemann, 2009). Finally, the choice of Murom for this article is justified by the fact that Juliana Osorin – one of the town’s residents – was canonized in 1604, to persuade the public that holiness was easy to achieve in the family and at home,

Thursday, August 22, 2019

Characteristics of Effective Technical Writing Essay Example for Free

Characteristics of Effective Technical Writing Essay Technical writing is meant to get a job done. Everything else is secondary. If the writing style is interesting, so much the better. There are 6 basic characteristics of technical writing: 1. Clarity: The written document must convey a single meaning that the reader can easily understand. Unclear technical writing leads to wasted time, money and resources. 2. Accuracy: This means to not only be careful to avoid errors in recording facts; it also means freedom from bias or subjectivity. If readers suspect you are slanting information by overstating the significance of a particular point, they have every right to doubt the validity of the entire document. 3. Comprehensiveness: A comprehensive technical document provides all the information its readers will need. Readers who must act on a document need to be able to apply the information efficiently and effectively. 4. Accessibility: This refers to the ease with which readers can locate the information they seek. Topic sentences should be used at the beginning of paragraphs. Thesis Statement should be identifiable in the introductory paragraph. 5. Conciseness: To be useful, technical writing must be concise. The longer a document is, the more difficult it is to use, for the obvious reason that it takes more of the reader’s time. A document must strive to balance the claims of clarity, conciseness, and comprehensiveness; it must be long enough to be clear-given the audience, purpose, and subject –but not a word longer. 6. Correctness: Good technical writing observes the conventions of grammar, spelling, punctuation, and usage. Leaving sloppy grammar errors in your writing is like wearing a soup-stained shirt to a business meeting: it will distract your readers, and may make them doubt the importance of your information.

Wednesday, August 21, 2019

Risk for food hypersensitivity Essay Example for Free

Risk for food hypersensitivity Essay Link To Nursing There is a growing concern among the population about food hypersensitivity as a primary health risk. Breast fed infants may potentially be exposed to a more diverse diet via variable components of milk transmitted from the mother, compared to the relatively static composition of commercial infant formulas. To determine whether or not breastfeeding might potentially decrease risk of food hypersensitivity is important to the field of nursing because nurses are in a primary position to educate their patients and the public about disease prevention and wellness practices to optimize health. The healthcare community has diagnosed an increase in food hypersensitivity over the past few decades and it is our duty and opportunity as nurses to work with a multidisciplinary team to develop and promote front-line evidence-based interventions. If breastfed infants demonstrate a decrease in the incidence of food hypersensitivity later in life, then subsequent efforts to educate the public could have an enormous positive impact on promoting long-term wellness for future generations. Primary Resource Venter, C., Pereira, B., Voigt, K., Grundy, J., Clayton, C., Higgins, B., Dean, T. (2009). Factors associated with maternal dietary intake, feeding and weaning practices, and the development of food hypersensitivity in the infant. Pediatric Allergy And Immunology: Official Publication Of The European Society Of Pediatric Allergy And Immunology, 20(4), 320-327. doi:10.1111/j.1399-3038.2008.00832.x

English Tort Law Imposing Liability Law Essay

English Tort Law Imposing Liability Law Essay This essay will address the question by exploring cases dealing with occupiers liability, vicarious liability and psychiatric harm. I intend to focus on narrow aspects within these three areas of law allowing a deep critical analysis. Occupiers liability, in my opinion, is an area of law that imposes too much liability in cases involving trespassers. I dont doubt that there must be liability for the homeowner who invites someone onto their land and fails to provide a safe environment which is seen in statute such as the Occupiers Liability Act 1957, duty to take such care as in all the circumstancesto see that the visitor will be reasonably safe in using the premises.  [1]  However, tort law insists that an occupier can be held liable for personal injury suffered by trespassers because of the state of the land and this is where I believe the Occupiers Liability Act 1984  [2]  takes the principle of the 1957 Act and stretches it too far. My first critique of this aspect of to rt law is the conflict it has with criminal law. It seems incoherent that in a criminal court a home owner whose land has been trespassed on, perhaps by a burglar, will be considered the victim and duly have the sympathy of the court and yet be cast in the role of villain in a civil court. Leon Green describes how an occupier will, insist[ing] upon the intruders own wrong andinvoke[ing] his own immunity from any duty to exercise active care in behalf of a trespasser.  [3]  He then goes on to say, Assuming the intruder to be a wrongdoer, the landowners position would seem unassailable.  [4]  This journal dates back to 1917 before statute had imposed occupiers liability but the sentiment holds true. Why should the victim be held accountable for the criminals injuries in cases where there has been no active action on the part of the occupier? The negligent state of the land and arising liability should, in my opinion, be limited to lawful visitors and trespassing children, who cannot be held to the same standard as adults, if only for policy reasons. A clear message needs to be sent to unlawful visitors; crime does not pay. Why recompense them in any way from an illegal venture? Not only does it not dissuade criminal behaviour it is also wholly unfair to impose this liability on a home owner. Additionally, I would argue that when comparing occupiers liability to other areas of tort law, such as pure economic loss, it becomes clear that comparatively occupiers liability allows too much liability. The case of Weller Co.  [5]  established that a person cannot claim for pure financial loss if that loss is unaccompanied by physical damage. It seems reprehensible that innocent victims of negligence cannot claim damages from those whose, shoulders are broad enough to bear the loss,  [6]  and yet homeowners can be held liable for the injuries of trespassers. Tort law insists that innocent victims of pure economic loss must accept the financial loss as bad luck. Why is this principle not extended to trespassers? Those who trespass on land with the intent to commit a crime cannot claim to be innocent of the misfortune that may befall them. This awareness combined with the illegality of the act is enough in my opinion to put any injury that befalls a trespasser down to bad luck with, in my opinion, no liability to the homeowner. If tort law will not help the innocent it seems foolish that it is so willing to help the guilty and this yet another reason why I believe tort law imposes too much liability. Furthermore, I believe there is too much tortuous liability for occupiers in this area of the law and this can be seen in the conflict with the absolutist nature of property law. This view is seen in Semaynes case: The house of everyone is to him as his castle and fortress.  [7]  This principle has always come with certain restriction as English property law has never recognised total dominion over land. The 1957 and 1984 Occupiers liability acts impose a safe standard of maintenance of property. However, I put forth the argument that a landowner who has paid for the privilege of a property right should not be compelled by the law to prevent trespassers being injured. Property law does not enforce positive covenants as they are considered an erroneous duty, why then, should the occupier, who is doing nothing, bestir himself to look out for the safety of those who come upon his premises? Why should they not look out for themselves, as they would do anywhere else, except as to negl igence of those pursuing an active course of conduct.  [8]  I believe this burden should be alleviated and that occupiers should be allowed to spend their money, not on lawsuits, but on their property. Surely that is the prima facie benefit of owning land? Insisting that occupiers are liable for trespassers does not sit well with the absolutist history of English property law as it presupposes that money be spent in a certain way to prevent injury. I do not believe tort law should add further restrictions to property that is already subject to the laws of planning permission, restrictive covenants, nuisance etc. I believe tort law imposes too much liability and needs to strike a better balance with occupiers property rights. Another area of tort law where there is too much liability, in my opinion, is vicarious liability for employers. I am not challenging the belief that employers should be liable for their employers, to an extent, however I do believe greater limitations need to be put in place as employer liability is far too expansive. The law currently insists that employers are liable for any tortuous act committed by their employees as long as the act is within the scope of employment. Even in cases where the employer has done his utmost to prevent any negligent behaviour from his employee the law still holds him accountable such as in the case of Whatman v. Pearson.  [9]  Vicarious liability is an important aspect of tort law, as employer insurance means the claimant has a higher chance of being paid damages. However I struggle to accept an area of the law that so transparently undermines the crucial principle of causation. The law has had trouble establishing what employers should be liable for and I believe to make liability just and fair, vicarious liability should only apply in cases where the employer had some measure of control over the actions of the employee for example, authorising the act. Acts that involve the work environment but are actually entirely removed from the employers scope of awareness, for example the fraudulent dealings of the defendants in Lloyd v. Grace, Smith Co.  [10]  , would therefore fall outside the employers scope of liability. This would allow for fairness for the employer, something which I believe has been disregarded in the development of vicarious liability, because as it is the law imposes too much liability in this area. Moreover, I believe that tort law imposes too much liability in placing the burden of liability on the employer as this reduces the employees accountability for his actions. The practice of indemnity is in place but prima facie, vicarious liability effectively negates an employees legal culpability as despite sharing liability damages are most likely to come from the employers insurance. Legal theory has taught us that laws play their part in shaping social dynamics and surely what is needed to improve society are laws that ensure people are held responsible for their actions. The practice of vicarious liability, though coherent regarding policy reasons does not deal with the human reality of being legally and socially culpable for ones actions. It seems to me that vicarious liability is yet another area of the law that supports the notion of passing the buck and the way to reduce acts of negligence is to hold the actual tortfeasors, the employees, financially responsible. Take the J apanese model of employer liability as described by Joseph Sanders and Lee Hamilton, Japanese law stresses individual responsibility for corporate crime and rarely holds the organization responsible.  [11]  As long as employees are aware that any tort of negligence they commit during the course of employment will be recoverable from the employer they will never be inclined to be diligent to the best of their ability. It is for this reason I believe that tort law imposes too much liability on employers. I believe the area of psychiatric injury is one area of tort law where there is far too little liability. For a claim regarding psychiatric injury to be actionable the claimant must have either been a primary victim who was a foreseeable victim of psychiatric or physical injury or a secondary victim who meets various criteria. These criteria are laid down in Alcock v. Chief Constable of South Yorkshire  [12]  and are that there is a loving bond with the claimaint and the primary victim, proximity to the accident and that the psychiatric injury occurred as a result of seeing or hearing the accident with eyes and ears. Secondary victims have to jump through hoops to prove they deserve recompense for a psychiatric injury and this seems to suggest that the judicial system does not hold psychiatric injury in the same regard as physical injury. The law commission states, although psychiatric illness is often more debilitating than physical injury, the message conveyed by the prevailing rules is that mental and emotional wellbeing are of less account than physical integrity.  [13]  Perhaps the recalcitrance of the tort system to consider psychiatric injury as equal to physical injury, and therefore increase liability, is because of the residual stigma associated with psychiatric injury as well as the fear of floodgate liability. Whatever the reason, a system that differentiates between the two forms of injury is in my opinion a flawed system as both are forms of injury that should be dealt with uniformly. Lord Lloyd remarks that, there is no justification for regarding physical and psychiatric injury as different kinds of injury,  [14]  and yet the liability for both forms of injury is still imbalanced. Furthermore, why should different rules apply to primary and secondary victims? Should forseeability, causation, establishment of harm etc not be the core principles in establishing liability? As H. Teff states, in distinguishing between primary and secondary victims tort law, allows artificial criteria to displace the more natural question: should the defendant be liable to the plaintiff in all the circumstances?  [15]  I believe tort law offers too little liability by erecting false barriers that prevent victims from attaining damages. Cases such as Alcock  [16]  and White and Others v. Chief Constable of South Yorkshire  [17]  are evidence of the unfair system at work. Both cases involve innocent victims who were denied damages as liability was not imposed because crude, superficial criteria were not meant. As long as the harm to the victim was caused by the defendant and the damage to the victim was foreseeable then I do not believe there should be any differentiation between primary and secondary victims. The flaws of tort laws attempt to make a distinction between between primary and secondary victims is summed up by H. Teff who states, Instead of discriminating against foreseeable secondary victims, the law should reflect the fact that, often, the altruistic source of their reactions makes them at least as deserving as many primary victim Until the current legal system looks to a new and fairer model of liability regarding psychiatric injury the liability imposed will never be enough. Another fault with the tort system in how it deals with psychiatric injury is that the limits imposed for liability are too restrictive and the reasons behind the restrictions not particularly persuasive. The law refuses to relax the criteria for liability with no real explanation as to why bar a fear that laxer criteria will open up the floodgates of litigation. However H. Teff, referencing B.F. Hoffman  [18]  and the Law Commission, Consultation Paper  [19]  , explains why he does not think this is a real cause for concern, The enduring, if diminished, stigma associated with psychiatric illness inhibits many would-be claimants, and the risk of exposure through increasingly refined techniques of psychological assessment has reduced the risk of undeserving claimants succeeding on the strength of loose medical definition.  [20]  So if one accepts that the floodgate argument, for imposing such rigid criteria before there can be criteria, is unsound then one must also accept that the current law imposes too little liability as a result. Furthermore, many of the criteria regarding psychiatric injury are archaic and arbitrary. For example, Mullany noted that, The psychiatric literature does not allow the assertion that the impact of trauma is inevitably more severe if directly perceived  [21]  and yet tort law has stubbornly held onto the criteria that the event causing injury must be perceived with the senses, refusing to allow development and change in line with new understandings of psychiatric illness. Cane argues, how can we justify a rule which requires mentally traumatized people to go to court and prove that they have strong feelings of love and affection towards another?  [22]  The old attitudes to psychiatric harm are no longer justifiable and so a criterion that is insensitive to the needs of those suffering injury must be criticized and adjusted. The criterion that the event causing psychiatric harm must be sudden  [23]  again seems arbitrary, a rule designed for no other purpose but too limit liability. Harvey Teff argues, The laws current stance effectively penalises those whose illness involves a more prolonged reaction to an event or events closely connected with the defendants negligent conduct.  [24]  These are but a few of the criteria imposed before there can be liability and I believe they serve to show that as Harvey Teff states, the current rules are, At odds with psychological reality, amount(ing) to no more than unprincipled line-drawing.  [25]   I have attempted to give both sides of the question equal attention and in doing so this has led to me to the conclusion that one cannot say tort law as a whole imposes too much or too little liability. I believe that psychiatric injury is too restricted in its liability and vicarious and occupiers liability are too expansive. In these areas I believe reform would be welcome however one must recognise that no legal system is perfect and the tort system could be far worse.

Tuesday, August 20, 2019

An Inspector Calls :: English Literature

An Inspector Calls Essay There are many aspects that Priestley uses to make ‘An Inspector Calls’ successful on stage i.e. the use of dramatic irony, time zones, twists, cliff hangers and the 7 deadly sins. He also represents the inspector as omniscient and enigmatic and his surname is a homophone which is used symbolically. E.g. Goole to Ghoul. This makes him seem like ghostly spirit. J.B Priestley wrote this play as a message/moral to show the world that everyone is equal through terms of money and power. He saw more clearly the effects of both wars that some higher/upper class had no problems with rebuilding businesses, housing and even their lives as they had the money to do so. An element used to make ’An Inspector Calls’ successful on stage would be the ‘whodunnit’ genre. This differs from a detective genre as in a detective story there s a suspect that committed the crime but in ‘An Inspector Calls’ all of the characters in the same way helped to make Eva Smith/Daisy Renton commit suicide. Each member of the family had something to do with her whether it was physical contact or not; here is how each member was involved with her suicidal attack. Gerald and Eric both had sexual intercourse with Eva and Eric had left her pregnant, Sheila and Birling had no physical contact but both got her sacked from her job as a factory worker and working in a shop where Shelia shopped regularly, and last of all Mrs Birling pushed Eva to the limits when she would offer no help to Eva and her unborn foetus when she asked for help at the charity. Mrs Birling was the person who pushed Eva to the limit of committing suicide. The use of dramatic irony in ‘An Inspector Calls’ is used by most characters especially Mrs Birling who says to the inspector â€Å"I accept no blame for it at all†¦. Take some steps to find this young man and then make sure that he’s compelled to confess in public his responsibility†. The irony comes into this as she does not know that the father of the baby is Eric’s! Priestley presents all of the characters symbolising as the seven deadly sins. He presents the inspector as a mysterious, omniscient and enigmatic character : his name ‘Goole’, is a homophone for ‘Ghoul’ which we know is linked to the meaning ‘Ghost’; this makes you feel as if he is a kind of ghostly spirit; knowing some things before they happen. Priestley made Birling have mistaken predictions such as when Birling quoted, â€Å"‘the Titanic-she sails next week-absolutely unsinkable†, which makes the audience laugh with sarcasm as we all know that the

Monday, August 19, 2019

The Adventures Of Tom Sawyer †Tribulations :: Adventures Tom Sawyer Essays

The Adventures Of Tom Sawyer – Tribulations Mark Twain uses "The Adventures Of Tom Sawyer" to reveal his own childhood. In the preface Mark Twain states "Most of the adventures recorded in this book really occurred; one or two were experiences of my own, the rest those of boys who were schoolmates of mine. Huck Finn is drawn from real life; Tom Sawyer also, but not from an individual - he is a combination of the characteristics of three boys whom I knew, and therefore belongs to the composite order of architecture." This is Mark Twain's "The Adventures Of Tom Sawyer". From this point we begin our tour through the Adventures Of Tom Sawyer's life, accompanied by his friends. It is the story about life in a boys' world and it discloses feelings of Mark Twain concerning his boyhood, his town and the people there. Tom Sawyer was a boy but not a genus that would describe good children as the protagonists. Tom Sawyer was a fiend yet he was never malicious, but always up to a trick or a practical joke of some kind. During the years that we view Tom Sawyer, a multitude of events had occurred. All of which are recorded in Mark Twain's style. Mark Twain composes in a picaresque style, Tom Sawyer's adventures being set out in an episodic journalistic report by Mark Twain. In "The Adventures Of Tom Sawyer," Tom Sawyer, the lead character is seen as the protagonist, the hero of the story. "The Adventures Of Tom Sawyer," also fits into the genres of satire, frontier literature, folk narrative and comedy. Every adventure is new and more stimulating than the prior episode. These adventures are from an adult who views the adult world critically and looks back on the sentiments and past times of childhood in a somewhat idealized manner, with wit and also in a nostalgic way. Critics have suggested several other sources for the novel, including South Western humorist, George W. Harris. This is an example of "escapism" from a society that Mark Twain had felt alienated from. Set in the old South West, in an almost poverty stricken shabby town, called St. Petersburg.

Sunday, August 18, 2019

Genitourinary Disorder Alteration in Fluid Elimination UTI Essay

Genitourinary Disorder Alteration in Fluid Elimination UTI Introduction Urinary Tract Infection (UTI) is a bacterial infection that affects the various parts of the urinary system such as the urethra, bladder, ureters, and kidneys. In young children, this disease is common and potentially serious. Statistics show that approximately 1% of boys and 3-5% of girls are affected by UTI. While most cases of UTI in boys usually occur within the first year, the age at which the first case of UTI is diagnosed in girls varies greatly. There are many factors that predispose young children to UTI including vesicoureteral reflux (VUR), incomplete emptying of the bladder, sexual abuse, pinworms, and fecal incompetence (Berreman, 2002). Correct diagnosis of UTI is paramount in order to avoid prescribing the wrong medication. In addition, correct diagnosis is critical in developing effective management and care plans for the patient which would go a long way in improving patient outcomes. During diagnosis, various diagnostic methods are used and the patient’s medical history as well as signs and symptoms ought to be a central focus by the clinician. This is important because as opposed to the more clear symptoms in older children and adults, UTI symptoms tend to be less specific and thus hard to detect in young children and infants. In fact, fever may turn out to be the only sign pointing to the possible presence of UTI in infants. In this case study, a case of UTI in a four month old female is examined with a special focus on the medical history, signs and symptoms, diagnosis, etiology, treatment, and management and care of the patient. Medical history and physical assessment of the patient A female infant aged 4 months presents with chi... ...t should be taken. If they appear nontoxic, oral antibiotics and fluids can be used for treatment. However, for patients who appear toxic, parenteral antibiotics and intravenous fluids should be aggressively administered. Most patients with uncomplicated UTI respond well antibiotic treatments in outpatient care without further problems. However, patients with severe or chronic infections require close follow-up, imaging, and appropriate treatment to prevent further sequelae in the long term. If a patient’s condition responds well to therapy, repeated urinalysis and urine cultures are not necessary. Before choosing a particular empiric therapy, clinicians should be aware of antibiotic resistance due to previous exposure of some uropathogens to antibiotics such as in cases of otitis media (Fisher, Pediatric Urinary Tract Infection Treatment & Management, 2011).

Saturday, August 17, 2019

Reasons for private tutoring in Egypt

Reasons for Private Tutoring in Egypt When it comes to education systems, Egypt has so many major problems. For Instance, the educational budget is too tight and the education itself is totally ignored by the government officials. Also, the courses are outdated and prehistoric. But the most terrible problem is the problem of private tutoring. Teachers, schools and students are to blame for this problem. First, the blame usually falls on the teachers.For one thing, some of them Just show up In class once at the beguiling of the school year and teach very well to attract students to their private lessons but never appear again in class. In Dalton, some of the teachers may force their students to Join the private lessons by saying: † Never dream of passing the participation test unless you Join my private lessons! † Another thing, teachers sometimes aren't well-trained. Therefore, they badly teach at class and eventually make the students resort to private lessons.Second, sc hools are also to blame for the problem of private tutoring. For example, public schools aren't well-equipped. You rarely see a well-organized computer or science lab in it. The classes are very old and unhealthy. They're also very crowded to the extent that you might see 50 or 60 dents accumulated in one class. Also, public schools lack activities that can help motivate students and develop their characters. Finally, there are reasons that make students resort to private lessons. For example, some of them can't understand what's being taught in class.Also, parents put so much pressure on their children. They keep asking them to be on top of the class and to Join top faculties. Furthermore, nowadays finding a Job is a very competitive process. Thus, students have to either become an engineer or a doctor to have comfortable living conditions which can only be achieved through private lessons throughout school years. To sum up, private tutoring is the result of the carelessness of sch ools, the greed of the teachers and taking advantage of the need of the students.Reasons for private tutoring in Egypt By Hager-Eater instance, the educational budget is too tight and the education itself is totally ignored teachers. For one thing, some of them Just show up in class once at the beginning of never appear again in class. In addition, some of the teachers may force their sometimes aren't well-trained. Therefore, they badly teach at class and eventually the problem of private tutoring. For example, public schools aren't well-equipped.

Friday, August 16, 2019

Macbeth: The Struggle Against Evil Essay

Thesis Statement: In Shakespeare’s Macbeth, the character Macbeth constantly battles against his evil nature. As the play progresses, Macbeth seems to have become a completely evil tyrant, but he never fully ends his struggle against evil. Introduction I. Macbeth: a noble and virtuous character II. Struggle with temptation and evil A. Witches B. Himself C. Lady Macbeth III. Murder of Duncan A. Before the murder B. Effects of the murder IV. Murder of Banquo V. Murder of Macduff’s family VI. Lasting nobility and signs of conscience Conclusion William Shakespeare’s primary source for Macbeth was Holinshed’s History of Scotland. The fictional character, Macbeth, is based mainly on the actual Macbeth who Holinshed writes about. This Scottish play is, â€Å"Shakespeare’s chief tragic gift to the world at large† (Jonson, Beaumont, Fletcher 279). Although it is his shortest play, it is often considered to be his best. In it he depicts the â€Å"corruption of a soul† in a way that both excites us, yet at the same time brings fear to us (Jonson, Beaumont, Fletcher 279). He is a character with whom, we are strangely able to identify, and whose destruction we cannot watch without feelings of fright and pity (Alden 276). It is a play, which becomes the personal tragedy of Macbeth, a noble character whose flaws cause his downfall. In Shakespeare’s Macbeth, the character Macbeth constantly battles against his evil nature. As the play progresses, Macbeth seems to have become a completely evil tyrant, but he never fully ends his struggle against evil. Initially, Macbeth is portrayed as a brave, noble, and loyal man. He is well known and praised by many, including Duncan, the King of Scotland, who praises him for his loyalty and successes in battle. Macbeth seems to be the quintessence of nobility. Walter Curry states, â€Å"He knows what it is to be actively loyal to king and country, to accept duty, to promote justice, amity, and piety† (112). Before meeting the witches, he seems to have a â€Å"definite disposition†, to be resolute in his choices, and free from ambiguity (Curry 104). According to Raymond Alden, â€Å"The principle point is that Macbeth is presented to us at the outset in a nobly attractive form and is actually, in some sense, a good man† (276). When he meets the witches, they help instill evil thoughts into his mind. They see, â€Å"what passions drive him and what dark desires await their fostering† (Curry 116). He struggles with these evil thoughts which are already rooted within him. His real temptation begins after hearing Johnson 2 the witches’ predictions saying that he will become king. Curry says that the witches’ prophecy, â€Å"arouses his passions and inflames his imagination to the extent that nothing is but what is not† (78). Realizing his flaws in character and that he wants the kingdom, they feed his strong sense of ambition and self-love. Curry explains that the witches, â€Å"symbolize a secret world of evil spirits that with satanic cunning lie in wait for human souls, conquering the unguarded heart and rejoicing in hurling their victim to the dust of misery and sin†(57). Their purpose is, â€Å"to stimulate Macbeth’s imagination to the point of grasping some underlying emotional, moral, or intellectual content† (Curry 55). Through their temptation, the witches are able to confuse and corrupt his judgement so that he is lead towards choosing the means to reach his desired goal, to become king. After the first appearance of the witches, Macbeth’s pride and ambition begin to overcome him. Evil thoughts of how he could obtain the crown run through his mind. He really begins to go through an internal struggle against evil. Curry says that he is too concerned not with, â€Å"attaining the ultimate good, but of flattering his inordinate love of self† (113). He is incapable of using correct judgement and making a reasonable decision. He knows that to become king, he will have to commit murder. He is very sensible and thinks about what the consequences of his actions would be. He still has a strong sense of conscience; although, his ambition is beginning to overtake him. Alden observes that Macbeth’s evil thoughts are, â€Å"in the making, instead of ready made; and they struggle against that sense of their vileness which we have already observed† (277). Duncan is a good and virtuous king; he is also Macbeth’s cousin. The power of his ambition is demonstrated when he says, â€Å"I have no spur / to prick the sides of Johnson 3 my intent but / vaulting ambition, which oerleaps itself / and falls on th’ other† (1.7.25-28). â€Å"Vaulting ambition† is his chief character flaw and his only reason to kill the king. Edward Dowden points out that, â€Å"Shakespeare does not believe in any sudden transformation of a noble and loyal soul into that of a traitor and murderer† (223). Macbeth’s conscience still bothers him, even though he knows what course of action he should take. After much contemplation, he resolves not to kill Duncan, but his decision doesn’t last long. Evil thoughts overcome him. Lady Macbeth is also seen as an evil with which he struggles against. She understands Macbeth very well and knows exactly how to manipulate him. She knows that he is a good man. This is demonstrated to us when she says, â€Å"Yet I do fear thy nature; / It is too full o’ th’ milk of human kindness / To catch the nearest way. Thou wouldst be great, / Art not without ambition, but without / the illness should attend it† ( 1.5.16-20). She also knows that he will probably not go through with his plans without her pressuring and influencing him to go through with them. She decides that she must rid of anything that interferes with him becoming king. Macbeth tells her that he has decided not to kill the king and she becomes infuriated. She knows that he is a very proud man, so by questioning his manhood she is able to convince him to kill the king. According to Curry, â€Å"He dares do all that may become a man. And it is precisely this established foundation of his self-esteem that Lady Macbeth assaults. She charges him with unmasculine weakness and contemptible cowardice† (118). She is a very influential force upon him and holds much power. Macbeth succumbs to the temptation and evil of his wife. Even though he has given into the temptation and evil, he continues to have a strong sense of conscience and fears the evil act which he is soon going to commit. Johnson 4 Macbeth goes through a major struggle with his guilt and conscience when he commits his first murder, the murder of Duncan. Wilson Knight observes that, â€Å"He himself is hopelessly at a loss, and has little idea as to why he is going to murder Duncan† (121). Macbeth is nervous and feels very guilty about murdering him. He feels so guilty that he even becomes delusional and starts imagining things. His regretting conscience and struggle against evil is demonstrated to us when directly after murdering him, he hears voices saying, â€Å"Glamis hath murdered sleep, and therefore Cawdor / Shall sleep no more: Macbeth shall sleep no more† (2.2.41-42). He is very remorseful and doesn’t want to think about the evil act which he has just committed. His remorse and conscience is shown after killing Duncan when he says, â€Å"This is a sorry sight† (2.2.20). He is very rattled and on edge because of his sins. Beginning after the first murder, there is a dramatic change in the Macbeth’s character. Curry says, â€Å"It is a profound alteration in the state of his personality, an astounding dislocation of the very center of being, which fixes itself immediately in a habit inclining to further crime† (104). After murdering Duncan, it’s as if the good in him begins to diminish. He starts to lose some of his conscience and begins transforming into an almost evil character. Curry quotes Thomas Aquinas in saying, â€Å"when man through one sinful act loses honor, charity, or shame, or anything else that withdraws him from evil, he thereby falls into another sin, the first being the accidental cause of the second† (119). He becomes less concerned with conscience, and more concerned with completing what he has already begun: â€Å"I am in blood stepped so far that, should I wade no more, returning were as tedious as go o’er† (3.5.37- ). He feels like it is too late for him to turn back now, and that he has nothing left to lose at this point. Johnson 5 It becomes easier for Macbeth to commit the second and third murders. A â€Å"train† of sins and crimes follow the first crime he commits (Curry 120). The second murder is the murder of Banquo. Banquo was one of his close colleagues but his, â€Å"wracking passions, frayed nerves, and inordinate apprehension of the imagination,† have led him to believe that Banquo’s knowledge Could be a possible threat to him (Curry 127). He built it up in his mind that Banquo was the main source of all his problems and a very significant threat to his kingdom. Thinking that doing evil will be easier if he does it quickly, he says, â€Å"The very firstlings of my heart shall be / The firstlings of my hand† (4.1.147-148). Taking this irrational course of action leads to the third murder that Macbeth commits, the murder of Macduff’s family. Macduff is one of the main people who oppose Macbeth and pose a major threat. Without any rational reason, and in a rage of anger, he surprises Macduff’s castle and kills everyone in his family. By this time it seems as if so many of his sins have built up, and that almost all of the goodness which he initially had has left him. He remains an almost completely evil tyrant. Although finally, it seems like there is no goodness and nobility remaining in him, there is. Macbeth never fully allows himself to become entirely evil. There are still lasting signs of conscience and virtue shown in his character. Curry explains, † Macbeth remains essentially human and his conscience continues to witness the diminution of his being. There is still left necessarily some natural good in him; sin cannot completely deprive him of his rational nature, which is the root of his inescapable inclination to virtue†(133). Even when Macbeth is about to die, he demonstrates nobility by not killing himself or giving up. He also did not want to kill Macduff because he felt guilty about spilling so much of his blood already. This shows his Johnson 6 lasting conscience and virtue. Thomas Aquinas is quoted as stating that, â€Å"no human being can become completely evil† (Curry 89). Initially, it is easy to see all of Macbeth’s good virtues, but later after he has committed all of his evil acts, it becomes very difficult. It’s almost as if the evil takes over and becomes second nature to him, but not quite. Doing the evil acts is always difficult for him, and through it all he is able to maintain his conscience and some virtues. He never becomes completely evil because of his conscience, which causes a great deal of mental suffering. The good in him is never fully destroyed, and we hold admiration for him even up to the time of his death: â€Å"Macbeth’s language is the grave utterance of the very heart, conscience-sick, even to the last faintings of moral death† (Jonson, Beaumont, Fletcher 230). Works Cited Alden, Raymond. Shakespeare. New York: Duffield, 1922. Curry, Walter C. Shakespeare’s Philosophical Patterns. Ann Arbor: LSU UP, 1959. Dowden, Edward. Shakespeare: A Critical Study of His Mind and Art. New York: Harper, 1880. Jonson, Ben, Beaumont, and Fletcher. Shakespeare. Liverpool: Howell, 1874. Knight, Wilson. The Wheel of Fire: Interpretations of Shakespearean Tragedy. New York: Meridian, 1957. Shakespeare, William. Macbeth. Literature, Timeless Voices, Timeless Themes: The British Tradition. Ed. Ellen Bowler et al. Saddle River, New Jers4ey: Prentice, 1999. 272-361.

Thursday, August 15, 2019

Trx Case

1. How does the strategic repositioning of the company and the use of the IPO as an exit for minority shareholders affect the attractiveness of the IPO? The strategic repositioning of the company was to gradually shift away and exist from customer care which TRX generated more than 50% in 2000, and Davis’s long term strategy was to focus on the higher margin sectors, such as data transaction and integrations. By shifting away from customer care, of course would reduce operational cost and increase bottom line for the company but I think it would affect the attractiveness of the IPO in negative way.If I was an investor I would be in agreement with TRX only if they were reducing the customer care due to the high operating cost, but I mean reducing, not totally exist. In the service based company, interacting with end consumers is critical even know it has lower margin but the company should be able to profit from it, if it continues to operate in the future which I believe would create higher customer satisfaction and strong long term relationship with end-consumers.Davis decided to use the strategy to make the financial data looking good or positioning the company for the IPO which he knows that he was going to do in the future because the company need capital to support the firm’s growth, however to exist a sector was not good way to start with the risk that they might have lower customer satisfaction, as the company went IPO, any negative issues would tank the company’s shares if they were not in good relation with end consumers.Davis had chance to improve the attractiveness of the IPO, he had two options; first one was go ahead with the IPO at the lower price of $9 per share, then he had to deal with Hogg Robinson whose intention was to exit TRX, and Sabre whose was in its best interest to sever the relationship with TRX. Their lack of agreement would eventually block the IPO, in order to prove the attractiveness of the IPO; Davis has to convince those two companies to agree upon the price so the proper managerial plan could carry forward.Second, David would just wait for some time to grow the company and complete the exit from the customer care business before the next IPO attempt while increase higher margin businesses. The use of the IPO as an exit for minority shareholders would eventually help the company better alignment of his stakeholders while offering liquidity for those minority shareholders an â€Å"easy out† which would increase the attractiveness of the IPO for small investors. 1. Estimate a preliminary file range for TRX’s shares.CSFB had prepared a valuation of the file price range by comparing TRX to comparable publicly traded companies, there are really no direct competitors as a result there were not going to be perfect comparable company. The methods CSFB and TRX’s management believed are best for them are both enterprise and price earnings multiples which would bring the com pany credit for its strong cash flow and an improving earnings outlook. In the EXHIBIT 9, by using enterprise multiple methods which a measure of a company's value, often used as an alternative to straightforward market capitalization.Enterprise value is calculated as market cap plus debt, minority interest and preferred shares minus total cash and cash equivalents. Base on the result estimated from 2005-2006, the enterprise for online travel sector were around 15, for Payment Processors were about 10 and for distribution is around 7. The calculation is based on CSFB’s financial projections on its own research and forecasts of TRX’s business, and is more conservative if compared to TRX’s management’s forecasting.The second method is price earnings, it is a valuation of a company’s current share price compared to its per share earnings and we calculated it by taking market value per share divided it by earnings per share, the ratio for online travel is around 25, for payment processors is about 20, for distribution is around 17, a high price earning suggests that investors are expecting higher earnings growth in the future compared to companies with a lower price earnings. For those two methods, a 15% discount was applied to this equity value based on the banker’s belief that a newly public firm would not trade at the same value as a seasoned firm.The proposed IPO filing ranged based on analysis should be set at least $11 to $13 per share. However, due to the investor demand during the time of TRX’s road show were really low, and the final IPO offer price will have to be $9 in order to attract more or enough investors. Technology changes so fast and brutal to make it more serious, Davis’s long term goal as discussed in question 4 might not be as good as it really is due the uncertainties of being in such shifting and fast moving tech world, it is very likely that TRX might or ight not fail, we don’t know but if the company did not keep up with the skilled workforce and future prospects, it would put the company in a very difficult position even after IPO, if they are lucky, there could be some big investor jump in and take over the company but the chance are too low because TRX’s is still too young in terms of operation, and even know that the revenue have been steadily increasing, the net income were still negative and there were too many I considered red flags in the financial statement, for example, goodwill on TRX’s balance sheet have increased dramatically from 2003-2004, and current portion of long term debt almost 7 times as higher than previous year, all those factors be main contributor to the future’s success of the company. One last thing is that while the TRX is going public, two of its main investors want to exit; if I am an investor, I wouldn’t want to invest in the company. 2.Given the situation Davis faced in September 2005, what wou ld you recommend that he do with respect to the offering? The situation Davis faced in September 2005 was tough, but the situation could be solved if he could convince Hogg Robinson, and Sabre which I recommend him to signify all the positive aspects of TRX such that they have strong relationship between majority shareholder in BCD technology, and present the fact that due to the 911 incident, the travel industry had experienced some serious headwinds and should be recover as matter of time soon in the future and company will started to make profit if IPO is successfully launched, and proper managerial plan is implemented.Besides, some strength such that its ability to automate and engineer travel and travel related processes, if Hogg Robinson and Sabre agreed to the $9 price, then Davis should proceed with the IPO which will help TRX to raise capital to support growth and accelerate the transition away from customer care, when the company started to grow so their stock price should start to increase too therefore making up the difference of the company’s expectation. I would recommend him do whatever he could at his best to proceed the IPO and I think it is the best option for the company. Otherwise chose the second option which is to withdraw the IPO and allow TRX time to grow and complete the exit from the customer care businesses, and some of TRX’s operational uncertainty would also be reduced because the time might not be right as Delta and Northwest Airlines declared bankruptcy and the overall difficulties and risk as being a technology company.The first dimension be a proper fit, TRX cannot define all major problems and issues that is facing probing and analytical investment, and its products and services were only few, the information about the future perspective of the company given by the Davis were too simple, the only thing that he mentioned again and again is that the company need capital to expand and support growth. The company has the working capital deficit almost four times higher by comparing from 2001-2005 and two investment companies for TRX have declared they want to exit even when the TRX want go to public which would indicate that there are something wrong within the company or perhaps they just aren’t in agreement about that fact that the company is going public so TRX is not proper fit in the first dimension. Second, sharing of ownership seems to be a bit problem, as Davis have indicated that going public offered liquidity for minority shareholders, and lead to a better alignment of his stakeholders.As what it sounds like that Davis did not really want to give up majority of its shares to other companies therefore is not fit on this dimension too. Third dimension is investors appeal, Davis and TRX management met with investment bank which they selected Credit Suisse First Boston because CSFB had strong analyst coverage in the online travel and data transaction sector which Davis believed wou ld help investors understand TRX’s business model therefore they do fit in this dimension in terms of helping investors to understand their business model. Fourth one is the amount raised in capital for the company, Davis decided to officially start the IPO process with a proposed IPO of 6. 8 million shares of common stock, 3. 4 million primary share, and 3. 4 million secondary shares.Even though they have all the shares planed out, Davis did not give any clear idea of how much the company really need to expand and how much ownership he is willing to abandon, as a result I will state that TRX did not meeting this dimension. Fifth, the purpose and timing of the IPO, Davis has been thinking about going public since 2000, but due to the dot-come bubble burst, he was forced to abandon its IPO. After carefully exam the technology IPO market performance, Davis finally decided to file an S-1 registration statement with the U. S. SEC. on May 9, 2005. In term of purpose and timing, Da vis has been very carefully, I think that he knows that he needs this success in IPO in order to support the company.

Total Rewards

The first advantage of a total rewards approach is self fulfillment so that people are recognized for what they do and encouraged to reach their potential through effective learning and development processes and given feedback on their performance. The second advantage is an organization culture where roles are clear and organizational and personal values are in alignment so that employees engage and enjoy work.Another way to consider the necessary components of rewarding people is to view them as individuals, within their team, in the organization and generally in the workplace. The fourth advantage is recognition, you must make sure that the employees are being appreciated, and not taken for granted. The last one is Organizational culture which is being able to engage and fit with the organization in terms of its values and how things are done. Describe five (5) common ways a total rewards strategy can go astray.The five common ways a total rewards strategy can go astray is simply copying another organization’s reward practices can lead to disaster, It would be harmful for either firm to adopt the reward practices of the other, Not implanting an effective award strategy, No considering the employees communication strategy, and Not following the strategy the way is was implemented. Describe the six (6) steps in designing a total rewards program. Developing a total rewards strategy specific to your institution’s needs requires some initial homework to establish a baseline of what you already offer and to develop a more strategic approach to rewards.The first step is Inventory rewards, it will conduct a full, detailed, and accurate inventory of the rewards currently offered by your institution. This inventory should include both formal programs and informal practices. Some of this information is readily available but some of it will require investigation, particularly in large, decentralized institutions. To be effective, a total rewards strategy s hould reflect your institution’s strategy and goals for attracting, retaining, and engaging qualified talent.The second step is Measure investment, this is where you calculate the current level of investment in each element to establish a baseline and to track changes. The third step is Increase information because through clear communication, it helps employees understand the full suite of rewards available to them. The fourth step is Implement improvements, this implementation and execution is essential to a fully realized total rewards strategy. Vague practices, inconsistent implementation, and unclear communication will contribute to a less-than-effective strategy.Setting priorities for developing or enhancing rewards and communicating these improvements will demonstrate an institutional commitment to employees. The fifth step is Measure impact, which is a total rewards strategy that constitutes a vibrant plan. Maintaining the plan’s relevance requires regular revi ew of your institution’s initiatives and external influences. Lastly the sixth step is Involve the community. Involve leadership, faculty, and staff in understanding the total rewards strategy and how it supports the institution’s overall strategic direction. Describe the eight (8) steps in the communication process.Communication plans can be prepared for a variety of activities – internal and external. Interestingly, though, many companies overlook the value of creating formal communication plans to outline their overall internal communication objectives – and to provide a framework for activities, with measures to help determine whether the tactics used are really making a difference. The eight steps in the communication process is Situation analysis/background, Quantifiable objectives/goals, Target audience, Key messages, Strategies and tactics to meet objectives/goals, Responsibility/accountability for completing tactics, Budget, and Measurement.The s ituation analysis or background section of your communication plan should provide a high level overview of the situation or communication need with sufficient detail that someone not directly involved would understand the issue driving the need for communication and the desired outcome. The next step in developing your communication plan is to identify objective/goal statements that indicate the â€Å"end state† you hope to achieve. It’s critical that each of your objectives/goals has a specific, targeted â€Å"end point† or outcome.This both helps you determine the amount of resources that must be allocated to achieve the goal and also provides an indicator of success. The next step is to target your audience because you will need to remember that your challenge will be finding a balance between exerting more effort than is required to communicate to various audiences and not exerting enough effort to impact the appropriate audiences. A good starting point in i dentifying target audiences is to consider the various stakeholders that the message impacts. Each identified target audience has different communication needs.The content, order and number of key messages are likely to vary by group. The fewer and more specific your key messages can be, the better. Three key messages are a good number to aim for more than that will broaden your focus and minimize the impact of your communication. Objectives/goals identify the end points you hope to achieve. You will have to go beyond these broad objectives to identify specifically how you will achieve those end points. This involves developing strategies and tactics. Strategies are broad statements of activity.Tactics are more specific statements of activity that are actionable. When identifying strategies and tactics, it’s important to be realistic. Assigning accountability for the accomplishment of that plan is critical. Unless specific areas of the organization – and individuals wi thin those areas recognize that they are being held responsible and accountable for completing specific tactics that drive your ability to achieve your strategies and objectives. You have to achieve your communication plan objectives, you may also need to address the budget resources needed.While some communication plans will require no additional budget and can be accomplished with existing staff within standard work hours, other plans will require additional staff or the development of communication materials. To be effective, communication needs to be part of a carefully considered process, focused on achieving clearly identified, measurable results. It is not difficult to communicate effectively, but it does take some thought, a clear focus on objectives, an understanding of the tools available to communicate your messages and a strong partnership between you and your internal customer.

Wednesday, August 14, 2019

A new teenage magazine with the target Essay Example for Free

A new teenage magazine with the target Essay ? The brief was to produce a new teenage magazine with the target audiences of either or both male or female within the target range of 13 to 19 years old. In the process of the production we could working in groups or individually. Working in a group of three produce front page and a double page spread article for the new magazine. In the production each member of the group need to have a minimum of three original pictures. Before staring the production i made a project schedule to with deadline for each sections of the production. To fulfil the brief i started researching similar text. It would best suit me to produce a magazine for male audience hence researched magazines complementing boy’s titles such as TOPGEAR, EVO and MAX POWER. The mise en scene and the conventions of all these magazines had resemblance regards to the design, layout. For example the magazine names where all in bold fonts with use of strong colours representing stereotypical macho man characteristics. Technical codes such as the high angle shots used to denote the power of the cars. All the magazines included vast number of images that consist of Mid shots, Mid Close Up and Mid Long shots of the cars facing the magazine to grab the attention of the readers so that they won’t be bored of reading a long article. The researches into similar text help me to decide some important aspects of the magazine. I carried out a questionnaire and interviews. the questionnaire was give to both males and females. I found that there was a demand for teenage car magazine in the market but my founding’s showed that females didn’t have much of interest in cars. The males where asked if they would or won’t buy the magazine the majority said they would if the magazines contented more of their interests of sex and cars. Whereas female’s lacked interest. in the questionnaire the done most participants were interested customising their cars. And that they find the cost of insurance and fuel to high some when considering to sale their cars. I have chosen my target audience to be male so both of the interviewee i interviewed where males between 16-19 drives. From this i would be able observe the interests and the difficulty first hand. To meet the demand of the targeted audience i have decided to have an article on ways to get cheaper and more affordable insurance. The format that I have decided to adopt is similar to the one of the other Car magazines and as this I found from the interview was preferable by my target audience. I have chosen the name TOPSPEED which follows the stereotype that most male readers want â€Å"fast cars† and â€Å"babes†. I would be reviewing a car that relates to target audience cars that has small engine and cheaper insurance category so that student can financially afford to drive it. The planning involved a subject matter research where the main research was done for Ford Fiesta ST in areas like car specification and it’s stability for young drives using i cold write up the double page spared article. The other area i researched was for student car insurance. This could be used to write up a mini article to help and give advice for getting cheap car insurance. I had never used Photoshop before so the whole process was an opportunity to learn new skill. I got some practise on Photoshop and Publisher before i started the final production. The technical skills that we practised in class include lighting. Regarding lighting, it can be used to create a particular mood. I started off by brainstorming me ideas. Finally deciding on car giving information and review car of a car that is affordable to teenagers as my target market will be more interested in rather than an expensive car that they may have trouble affording. I had descried to review the new Ford Fiesta ST because this would perfectly for my targeted audience since it had a small engine which uses less fuel plus it had i low insurance category meaning lower insurance premium. The Ford Fiesta ST was the sport version denoting speed and boy racers. Regards the design Ford was a very good looking Supermini which would easily grab the attention of the targeted audience. Analyzing the questionnaire cost of insurance was other area where young drivers had difficulties so i had decided to add tip to get cheap insurance. I write up a draft article using the information from the research which i will later improve for a magazine standard. Use this i experiment different layout for front cover and the double page spread and the use of font size different colours so that i had clear idea what work and what doesn’t in a car magazine plus this help with how i want to take the pictures. I experimented with different typeface for the magazine name with different font’s colours and size to see which suits best for the front cover. Before the photo shoot i had to have a miscellaneous paperwork and productions design which includes the location of the shoot which is in Edgware i won’t do any alteration to set design which is the car showroom. The showroom will have a good lighting so there is no need for me to arrange any sort of lighting for the shoot. I could have different action for the cars open doors or turn the wheel sideways will show the wheels properly and give the car character. The miscellaneous paperwork need to be done for risks assessment, equipment book forms, access permission and call sheets to be taken to the shoot location signed and dated by the person give the permission to take the photos The photo shoot was hard to arrange I called up several Ford dealerships to organise a photo shoot but only a couple of the dealership agreed to let me take pictures in there showrooms. The space around the car was limited for that reason most of the pictures i took was close up shoot or mid shoots i wasn’t able to get any long shoot which would have helped show all the outer features of the car. The showroom had too much light i couldn’t take some of the photos that i wanted. The car was parked in way that i could get pictures from back of the car. I wanted to take close up pictures of the speed-o-meter of the car but the staring wheel came was obstruction which i couldn’t get clear picture. The staring wheel was locked which meant i couldn’t turn the wheel sideways which is a convention in must car magazines. I didn’t want the background of the photos i took using Photoshop i cut them out with the Magic wand tool and using the smudge tool smoothen the edges. I did this with most of the photos i wanted to use in the production. i decides to use black background for the red car. This is because the colour of the car would stand out and it strong male on your face colours. When i placed the photos on the cover page over a black background you could still see the ragged edges around the car. To solve this problem i added drop back shadow which covered the edges. I decided to use all caps and with modern but simple bold fonts in white colour that would stand out with black background. I downloaded a font from internet that you could make barcode with it this way i could customize the barcode specifically for my magazine. Inside the magazine for the main headings i used the same fonts as i had on the front cover. Experimenting with the layout I found one that would suit the best for the double page article. I divided the columns into equal sizes with little gaps between to make it easy to read. I give white border around the all the pictures used in the double page spared and place them on top of each other to give it a nice effect. When i improved my draft article and paste it into the columns of the double page spread using auto flow the article was too long and didn’t fit into the area i wanted it. I thought that teens would be bored to read a long article so i decided to shorten it. I decided to have a different colour background for the mini article about insurance. A new teenage magazine with the target. (2017, Aug 02).

Tuesday, August 13, 2019

Disaster Recovery Planning Essay Example | Topics and Well Written Essays - 2000 words

Disaster Recovery Planning - Essay Example This article looks at the various essential elements of disaster recovery planning how NIST guidelines can be applied to implement a disaster recovery plan. Physical risks for business include and are not restricted to natural calamities like Earth Quakes, Storms, and Floods etc. Fire accidents, power failures, Use of Unsafe machinery and Equipment all come under Physical Risks. Malfunctioning of Individual units in a system, Network Cables, Cable tapping are some of the physical factors that pose risk to a Business (Cooper, 1995). Physical risks to a business also include risks to the physically existing things like buildings, the computers, related media and equipment. Few of the physical risks are mentioned below. Natural Calamities: Natural Calamities like Earth Quakes, Storms and Floods disrupt any business and their corresponding data that is stored. A single quake can destroy entire business information in no time and nullify its existence. Continuous monitoring of this information and assessing the risks that these factors cause, becomes an important issue. All business data and resources (movable and immovable) are at stake if risk due to these factors is not analyzed. Malfunctioning of Cables and Other C... All business data and resources (movable and immovable) are at stake if risk due to these factors is not analyzed. Malfunctioning of Cables and Other Components: Another major risk faced by the business is due to the improper functioning of components present in a system or the Network cables that make up the backbone of any network. Hardware faults are inevitable, so nullifying them will not be possible. Their affect could be equally frustrating and annoying. Even these cause many problems to the organizations that include data loss, increased response time, network congestions, and un-timely break up of systems and temporary stagnation of work (Cooper, 1995). Managing these risks is not only necessary but also very important for the growth of an organization. Trashing: Trashing, also known as dumpster diving is a possible physical risk commonly found in the corporate sector. In this method, sensitive data is searched for in the trash and most of the times, the crackers become successful. History has proved that many industrial spies achieved remarkable success with this approach. It is common for crackers to find useful information in used tape drives, disks and discarded print outs. Crackers often find computer manuals, passwords and other information in them. All sensitive data that should not be saved will be saved and can be easily recoverable from trash. This becomes the initial point for the risks. A cracker sees a highway ahead to breach the system with this approach (Cooper, 1995). Eaves Dropping: Business data may be prone to interception with this approach, commonly known as Eaves dropping. It is a known fact that upon pressing a key on the keyboard, Electro Magnetic waves will be generated

Monday, August 12, 2019

Risk in marketing and human resource and how to manage it Essay

Risk in marketing and human resource and how to manage it - Essay Example In the section of promotion, risks occur if a company fails to select the right media to reach its audience and the idea that, a company develops a message that is not making any progress, this could mean that either the message is not clear or the one announcing has tempered with key points.   SWOT analysis is one strategy that helps eliminate most of the risks. That is if the companies together with the employees sit together and get to know what their customers are saying about the prices of their commodities, if they are fair, expensive or cheap and see the need to adjust. Also, if the company feels it does not reach out to the public, it needs to come up with new strategies of promoting their products, could be, they look for sale person or change Medias. Risks in this section start as fast as planning is concerned. Human Resource entails analyzing jobs and descriptions. This means that; they have a right to select the right person for a given position. If neglect is done in this area, there is a possibility of not getting the right manpower at the right time. In recruitment and selection, an action plan is set to ensure that the organization does not get any shortage of personnel that are qualified. If poor procedures are followed, there is a risk of incompetence in job production. The other aspect is in performance appraisals; all employees are expected t undergo an evaluation to see if the set goals were met or not. If no appraisals are done, there is a risk of de-motivation and will impact on production negatively. Being able to identify a risk brings us to the first step of risk management. This is achieved through a careful assessment tool, so as to be able to analyze and manage the types of risks (Kiritsis, Dimitris 28-30). Print Kiritsis, Dimitris. ‘Engineering Asset Lifecycle Management.’ Proceedings of the 4th World Congress on Engineering Asset Management (wceam 2009), 28-30 September 2009. London: Springer,

Sunday, August 11, 2019

Consequences of Divorce for Children Essay Example | Topics and Well Written Essays - 1250 words

Consequences of Divorce for Children - Essay Example Without touch, even physiological systems will not function properly since the human skin is the first to develop and is the largest and the neediest sense organ (Linn et al., 1997: 29). Children in divorce-wreaked abodes generally lack parental touch due to the distress that the hurt and separation caused both parents, who need time alone and go through a process of grief, especially for one party who felt cheated. Studies of adolescents found a positive correlation between drug abuse and home environments with having little or no touch (Huttmann, 1993:168). Similarly, amidst the fact that a mother's care is critical during infancy, infants need touch and care from their fathers too, and little or lack of it will result to "abnormal" bonding behavior, such as the high amount of incestuous behavior among stepfathers who never had the chance to bond with their stepdaughters as infants (Hamilton,1985: 10). Studies show that when fathers interact with their infants, those infants thrive and grow up securely surrounded by the love of two parents rather than just one. The rate of development of children who frequently stayed with their fathers rather than just their mothers is found to be high (ibid). On the contrary, infants who are seldom touched tend to develop slower and are passive (Linn, et al., 1997: 30). Hence, it is apparent that in homes where the parents decide for divorce, the child is usually deprived of the needed frequent touch from each parent, and since legal laws provide the custody of children to the mother, it is often the father's touch that is missed. Based on this discussion, when the most striking impact of divorce happens at the time when the child is in infancy stage, the parents' lack of attention due to the grief that divorce had caused results in slow physical, social, and even mental development for the child (ibid). Erikson describes children in their early childhood as experiencing a conflict between autonomy vs. shame and doubt. Autonomy develops as the child tries to develop his own will and tries to get what he wants, while shame and doubt are the result if the child chooses his own will and consequently disappoints his mother (Cordes, 1985: 33). However, Erikson clarifies that when the child chooses his own will, he does not disconnect from his mother but rather seeks a separate sense of self in order to relate to her in new ways (Stern, 1985: 10). It may be inferred that children at this stage are learning many things; thus, they become their own person. They are learning how to talk, walk, and go where they want. Piaget posits that children in this stage can understand that divorce is something bad, that somebody must be responsible for this, and the concept of guilt does not enter their minds (Jensen and Mckee, 2003). Hence, during this stage, divorce is not related to guilt. Children m ake judgments from their own viewpoints and cannot easily imagine that there are other judgments other than their own (ibid). Erikson posits that it is important that at this stage of the child, parents are firm but loving so that the child will not grow into a little Hitler if they are too permissive, or will not be deeply hurt if they always say no to everything he wants. If children do not sense that they have a will, then anything