Thursday, October 31, 2019

Production Scheduling and Control Essay Example | Topics and Well Written Essays - 500 words

Production Scheduling and Control - Essay Example A simulation is a made-up world run by a user (student) within the conditions and parameters set by the programmer (instructor) (Saskatoon Public Schools). It is designed to allow students to think critically and practice their decision making skills with very minimal risks involved. The simulation offered an insight on the benefits that batching could do for a business, particularly a restaurant business like Benihana. Batching or letting clients in by groups or â€Å"batches† (Shim & Siegel, 1999) is greatly effective during the peak hours. This is so because restaurant space is maximized by having clients stay at the bar and wait to be seated until there are enough to be seated on a free table. Because of this practice, all the seats for a particular table are used and no excess space is wasted. When this happens, costs for running two to three separate tables are reduced because one table would be enough for two to three small groups of diners. In addition, clients would not wait too long, lessening the chances of them walking out of the restaurant. All these would eventually translate to higher throughput, or sales per hour (Meredith & Shafer, 2007). On the â€Å"human† side of the experience, clients get to meet new people as they may be seated with diners whom they do not know at all. Still, computer based simulation, particularly the Benihana simulation system, is a great way t o practice one’s theoretical learnings in operations management.

Tuesday, October 29, 2019

Presentation of Self in Everyday Life Essay Example for Free

Presentation of Self in Everyday Life Essay A Canadian-American sociologist/writer named Erving Goffman, proposed the dramaturgical perspective or the theory of â€Å"dramaturgy† in his book: The Presentation of Self in Everyday Life, in order to explain the behavior of people. The book catered the interest of many readers as it was published initially in 1956. Not only mentioning the successful integration of the dramaturgical approach as a major contribution in Sociology, Goffman, was also criticized for the detraction of such authentic-written style of research he used as compared to the conventional researches that was used by many researchers and proponents of some theories. Goffman, as a competent and keen observant, combined different theories related to support and create his new theory of dramaturgy (Sannicolas, 1997). Moreover, the focus of this paper then, is to discuss the relevance of dramaturgy in everyday scenario of a man’s real life. Body Dramaturgy is a term popularized by sociologist, Erving Goffman, pertaining to the study of mechanisms of man’s social interactions by means of communication and â€Å"face-to face† encounters. Dramaturgy emphasizes the creation or projection of â€Å"roles† attempting to be congruent and accepted in the norms of society where a particular man or â€Å"actor† belongs in order to avoid ostracism and harmful discrimination of the majority group at their backs (an example of backstage behavior). It also functions for man to rehearse and practice one’s ideal goals for the purpose of portraying those roles into the â€Å"stage† or real world (frontstage behavior), and to be viewed by perceived viewers or onlookers (audience). The dramaturgy or dramaturgical perspective can be best understood by showing an example in some personal and professional situations. For instance, in a particular scenario, a play, an act or a drama occurs; perhaps, a person encountering an acquaintance or friend, may be â€Å"forced† in the situation to greet the person coming nearby and may therefore reveal a phony or a fake smile in order for the other person not to think negatively about the person who is expected to greet. The second person on the other hand, would and might as well return the greetings back because of the perceived â€Å"rightness† of the act as implied by the social norms and equity rules. Moreover, these two different persons may perform and engage in a talk and communicate through non-verbal gestures and of course, verbal language; these persons then, may use or show a facial mask or a facade we call in psychology, the â€Å"persona†. In a professional situation however, a good example may be the HR interviewer and the applicant (interviewee): both would have to perform their assigned and implied roles as for the HR interviewer, has to appear intimidating, serious, and straightforward with less smiles, and for the applicant’s part, one has to act as the confident but not so arrogant and aggressive projected image to impress the interviewer and has to act that one knows what one is doing and the position applying for (Sannicolas, 1997). Conclusion Further, it is concluded that the theory of dramaturgy explains the tendency of people to project rehearsed roles for the purpose of perfecting their interpersonal social skills. Sincere or not, obsequious or assertive, man’s mechanism is explained as such dominated by those internal ideal roles that is projected and performed outwards by persons in social situations (Sannicolas, 1997). References Sannicolas, N. (1997). Erving Goffman, dramaturgy, and on-line relationships. Retrieved October 31, 2008, from, http://www. dinicola. it/sit/Cybersoc%20Issue%201%20-%20Erving%20Goffman,Dramaturgy,and%20On-Line%20Relationships. htm

Sunday, October 27, 2019

Elements of Information Security

Elements of Information Security The fast growing of internet technologies and information technologies forces individuals, educational institutes or enterprises to use the internet that also introduces numerous illegal users which destroy or attack network security with the help of various fake websites, Trojan horse or other viruses, fake mails and many more (Yim et al, 2014). Computer systems are mostly affected by this network attacks and even can bring computer networks in state of paralysation. Intruders or illegal users use huge information from computer networks for their personal benefits. Further, some invaders use that information to cause huge disastrous activities by targeting military or government departments that can cause threat to national as well as social security. Information security elements: The security of information needs to be based on business objectives and ensures enterprise security. The protection of networks needs to be handled by top management of enterprises. The system for security needs to be cost effective. The policies related to information security needs to be published in detailed manner by describing role of each employee in enterprises. The system needs to be monitored on continuous basis that will avoid unauthorised access to information systems and enhance privacy of network as well (Lesjak et al, 2015). During development of information systems, analysis of risks, analysis of business impact and classification of information documents needs to be considered. Reassessment of information system needs to be done on continuous basis for its modifications and improvement of networks. Organizations culture also needs to be considered while developing secured information system. Security characteristics: Data needs to be integrated in effective manner and its modification needs to be done by authorised persons only. Data encryption needs to be considered for avoiding any unauthorised access form external users (Xie et al, 2014). Data should be available to authorised users on their demands only. The flow of data needs to be controlled in effective manner by following appropriate information patterns like data access, contents or communication for secured IT systems. Security awareness: The certain awareness programs needs to be introduced at different organizational levels for the IT security purposes. Education related to security needs to be done in such manner that should be cost effective and strategies need to be developed for security purposes (Ahmad et al, 2014). The awareness gap is created due to lack of inappropriate knowledge related to security of information technology systems. Network security threats: The human errors like improper usage by operators, vulnerabilities related to security configuration, lack of security awareness among users, or usage of simple passwords are some threats that can affect IT security systems. Security attacks in terms of active or passive attacks may possess threat to information or data stored in the systems and at the same time, privacy or confidentiality of security systems may also be suffered due to these attacks (Cardenas et al, 2013). Lack of secure networking software may also make IT systems more vulnerable to hackers and unauthorised users. Illegal users which can access personal information by unauthorised manner are also one of network security threat that is affecting IT systems. Security solutions: Firewalls are networking devices which are used for restricting passage of traffic in between the different networks. This consists of both software as well as hardware components and helps in implementing policies of security in effective manner (Zhao and Ge, 2013). Detection system for intrusion monitors IT systems on real time basis by using various sensors, analysers or components of user interface. This system works by gathering information from different sources or networks and accordingly analyses invasion signs by interpreting patterns of unauthorised activities on the system. References Ahmad, A., Maynard, S. and Park, S. (2014) Information security strategies: towards an organizational multi-strategy perspective. Journal of Intelligent Manufacturing, 25(2), pp.357-370. Cardenas, A., Manadhata, P. and Rajan, S. (2013) Big data analytics for security. IEEE Security Privacy, 11(6), pp.74-76. Lesjak, C., Hein, D. and Winter, J. (2015) Hardware-security technologies for industrial IoT: TrustZone and security controller. In Industrial Electronics Society, IECON 2015-41st Annual Conference of the IEEE (pp. 002589-002595). IEEE. Xie, F., Peng, Y., Zhao, W., Gao, Y. and Han, X. (2014) Evaluating Industrial Control Devices Security: Standards, Technologies and Challenges. In IFIP International Conference on Computer Information Systems and Industrial Management (pp. 624-635). Springer Berlin Heidelberg. Yim, K., Castiglione, A. and You, I. (2014) Prosperity of IT security technologies in homeland defense. J. Ambient Intelligence and Humanized Computing, 5(2), pp.169-171. Zhao, K. and Ge, L. (2013) A survey on the internet of things security. In Computational Intelligence and Security (CIS), 2013 9th International Conference on (pp. 663-667). IEEE.

Friday, October 25, 2019

Difficulty In Making An Important Decision :: essays research papers

Difficulty In Making An Important Decision Assignment: Describe a particular time in your life when you had difficulty making an important decision. During the course of our lifetimes we make many significant and difficult choices that affect us. These choices affect our personal and professional lives. Therefore, we make these choices with much thought and care. One of the most difficult and important decisions I have made was changing careers. Changing careers at this stage of my life, mid-life, was very difficult. Preparation for my new career required me to resign my job. The former position was providing a major portion of my family's income and most of the medical benefits. Some means of earning a living while preparing for a new career was foremost on my mind during this stage. If I spent to much time and energy pursuing a job to provide a means for supporting my family while retraining, I might not do a sufficient job of retraining for a new career. Another difficulty equally as important as the the financial one was the possibility of failing at a new endeavor or not being able to find a new job. These possibilities made me feel uncomfortable and insecure. If I failed or could not find a new position, what would my family think of me? Failing at a new career would also cause me to lose confidence in myself. These concerns, failure and financial, and not finding a new job made this decision very difficult. The decision to choose a new career was an extremely important one. The sole function of a career is not just to provide a means to make a living; it should have a larger purpose. The work I was doing did little for others, and in fact, served only a small, special interest group. In addition to pursuing a meaningful career, a career should be satisfying, and make some

Thursday, October 24, 2019

King v Cogdon

King v Cogdon, was an Australian case heard in 1950. Ms. Cogdon who suffers from minor neurotic conditions is believed to be her daughter’s murderer. She had on an occasion dreamt spiders were attacking her daughter (Pat). That night Ms. Cogdon had slept walked into her room and began to violently brush the spiders off her daughter’s face in her sleep. On the night of the murder, Ms. Cogdon dreamt of soldiers attacking Pat. Though Ms. Cogdon did not recall the incident, she remembered telling her sister that she thought she had hurt Pat.Unconscious Crime Sleepwalkers arise in a state of low consciousness, but are able to perform activities that would otherwise be performed in a state of full consciousness. These activities can range anywhere from: Cleaning, hazardous cooking, driving, grabbing at hallucinated objects, or even homicide. Usually sleepwalking in adults is a sign of drug abuse or some sort of disorder. Sleepwalking is less common in adults than children. Although, sleepwalkers have their eyes open, they have very little or no memory of the incident.Sleepwalkers become bystanders of their own crimes. With this said, should Ms Cogdon be held responsible for the death of her daughter while sleepwalking? Was the Killing of Pat Involuntary? Ms. Cogdon and Pat’s relationship was a close one. Ms. Cogdon always worried about her 19 year old daughter Pat, who had for some time been receiving psychiatric treatment for a minor neurotic condition. Although doctors had said she was cured, Ms Cogdon often worried that she was okay. The night before Pat’s death, they had both gone to the cinema.During their outing they had engaged in a conversation having to do with the war in Korea. This war troubled Ms. Cogdon. She was worried it would one day reach her door steps. Because of her sleepwalking, and other difficulties she had reported to her doctor, he had prescribed her a sedative. There had also been talk of the possibility of psychiatric treatment. That night that Ms. Cogdon fell asleep, she began to dream of the war, and that one of the soldiers was attacking Pat in her bed. It was then when Ms Cogdon in her sleepwalking state, grabbed an axe and struck Pat on the head twice with it killing her. Sleepwalking is one form of automatism, and does not consist of free will. Because sleepwalking is a phenomenon in its own, courts are not properly equipped to evaluate such claims. During the trial Ms. Cogdon plead not guilty, but refused to plea insanity. Experts agreed Ms. Cogdon was not psychotic. Acquitted of Murder Ms. Cogdon was soon released of the murder charges with the defense of automatism. It was believed that Ms. Cogdon had been sleep walking when she wandered into Pat’s room, and her bodily motions were beyond her control. Her story was also supported when her doctors gave testimony that she indeed suffered from mental and physical stresses. At the trial there was enough evidence to believe Ms Cogdon’s acts were involuntary, and therefore convincing the jury of her innocence. Ms. Cogdon was then acquitted of the crime.

Tuesday, October 22, 2019

Major Events That Led to the American Revolution

# Major Events That Led to the American Revolution:~ The road to revolution built slowly over time. Many events fed the growing desire of the thirteen colonies for independence. Following are the major events that led to the Revolution. †¢1754-1763 – French and Indian War – This war was between Britain and France. -British, colonists and Native Americans allies fought French And Native American French . -Great Britain's national debt nearly doubled during the war. -British expected Americans to help pay for protection. The war lasted 9 years. †¢1764 – Sugar Act -This act raised revenue by increasing duties on sugar imported from the West Indies. -Duty on sugar and molasses not obtained from Britain. -Smuggling cased tried in Great Britain. †¢1765 – Stamp Act This required tax stamps on many items and documents including playing cards, newspapers, and marriage licenses. Prime Minister George Grenville stated that this direct tax was intended for the colonies to pay for defense. Previous taxes imposed by Britain had been indirect, or hidden. 1767 – Townshend Acts -These taxes were imposed to help make the colonial officials independent of the colonists and included duties on glass, paper, and tea. Smugglers increased their activities to avoid the tax leading to more troops in Boston. -Money used to pay royal government. -No Taxation Without Representation. †¢1770 – Boston Massacre -The colonists and British soldiers openly clashed in Boston. This event was used as an example of British cruelty despite questions about how it actually occurred. British open fire killing 5 Americans. -Parliament canceled the Townshend duties. †¢1773 – Boston Tea Party -British sold tea even more cheaply than smuggled tea. -Colonists dressed up as Mohawks. -Colonists board tea ships -Tea was dumped over board. †¢1774 – Intolerable Acts -These were passed in response to the Boston Tea Party and place d restrictions on the colonists including outlawing town meetings and the closing of Boston Harbor. -British official in trouble sent to Great Britain for trail.

Monday, October 21, 2019

Latin Verbs and Infinitive Endings

Latin Verbs and Infinitive Endings An infinitive is a basic form of  a verb that in English often is preceded by to and that serves as a noun or a modifier.  In Latin, infinitives are rarely used to indicate purpose, but rather are most often used to express indirect speech (oratorio obliqua). Latin Infinitive Basics When you look up a Latin verb in a Latin-English dictionary, you will see four entries (principal parts) for most verbs. The second entry- usually abbreviated -are, -ere, or -ire- is the infinitive. More specifically, its the present active infinitive, which is translated into English as to plus whatever the verb means. The vowel (a, e, or i) of the infinitive indicates which conjugation it belongs to. Example of a dictionary entry for a verb in Latin:Laudo, -are, -avi, -atus. Praise The first entry in the dictionary entry is the present, active, singular, first-person form of the verb. Note the -o ending. Laudo  I praise is a first conjugation verb and, therefore, has an infinitive ending in -are. The entire present active infinitive of laudo is laudare, which translates into English as to praise.  Laudari is the present passive infinitive of laudo and means to be praised. Most verbs have six infinitives, which have tense and voice, including: Present active (to praise)Present passive (to have been praised)Perfect active (to have praised)Perfect passive (to have been praised)Future active (to be about to praise)Future passive (to be about to be praised) Perfect Infinitives of Latin Verbs The perfect active infinitive is formed from the perfect stem. In the  example of a first conjugation verb, laudo, the perfect stem is found on the third principal part, laudavi, which is listed in the dictionary simply as -avi. Remove the personal ending (i) and add isse- laudavisse- to make the perfect active infinitive. The perfect passive infinitive is formed from the fourth principal part- in the example, laudatus, plus esse. The perfect passive infinitive is laudatus esse. Future Infinitives of Latin Verbs The fourth principal part also informs future infinitives. The future active infinitive is laudaturus esse and future passive infinitive is laudatum iri. Infinitives of Conjugated Latin Verbs In Latin, verbs are conjugated to indicate voice, person, number, mood, time, and tense. There are four conjugations, or verb inflection groups.  Ã‚   Infinitives of a first conjugation Latin verb include: Present active- amare (love)Present passive- amariPerfect active- amavissePerfect passive- amatus esseFuture active- amaturus esseFuture passive- amatum iri Infinitives of a second conjugation Latin verb include:   Present active- monere (warn)Present passive- moneriPerfect active- monuissePerfect passive- monitus esseFuture active- moniturus esseFuture passive- monitum iri Infinitives of a third conjugation Latin verb include: Present active- regere (rule)Present passive- regiPerfect active- rexissePerfect passive- rectus esseFuture active- recturus esseFuture passive- rectum iri Infinitives of a fourth conjugation Latin verb include: Present active- audire (hear)Present passive- audiriPerfect active- audivissePerfect passive- auditus esseFuture active- auditurus esseFuture passive- auditum iri Interpreting the Infinitive It may be easy to translate the infinitive as to plus whatever the verb is (plus whatever person and tense markers may be required), but explaining the infinitive isnt as easy. It acts as a verbal noun; therefore, it is sometimes taught alongside the gerund. Latin Compositions Bernard M. Allen says that just under half of the time that an infinitive is used in Latin, it is in an indirect statement. An example of an indirect statement is: She says that she is tall. In Latin, the that wouldnt be there. Instead, the construction would involve a regular statement- she says (dicit), followed by the indirect part, with the subject she in the accusative case followed by the present infinitive (esse): Dicit eam esse altam.She says (that) she [acc.] is [infinitive] tall [acc.]. Allen says that Charles E. Bennetts New Latin  Grammar provides a rule for the tense of the infinitive that is only applicable to the present infinitive in an indirect statement. According to Bennetts rule: The Present Infinitive represents an act as contemporaneous with that of the verb on which it depends. Allen prefers the following: In Indirect Statements the present infinitive represents an act as contemporaneous with the time of verb on which it depends. In other substantive uses it is merely a verbal noun, without any tense force. Tense in Latin Complementary Infinitives As an example of why tense is a difficult concept with present infinitives, Allen says that in Cicero and Caesar, a third of their present infinitives follow the verb possum  to be able. If you are able to do something, that ability precedes the time of the statement. Other Uses of the Infinitive An infinitive can also be used as the subject of a sentence. The subjective infinitive is found after impersonal expressions like necesse est,  it is necessary. Necesse est dormire.it is necessary to sleep. Sources Allen, Bernard Melzer. Latin Composition (Classic Reprint). Forgotten Books, 2019Bennett, Charles. New Latin Grammar. Ithaca, NY: Cornell University, 1918.

Sunday, October 20, 2019

Argumentative Essay on Public Performances by Animals Should Be Banned Essays

Argumentative Essay on Public Performances by Animals Should Be Banned Essays Argumentative Essay on Public Performances by Animals Should Be Banned Paper Argumentative Essay on Public Performances by Animals Should Be Banned Paper Essay Topic: Argumentative Essay on Animal Performance Should Be Banned in Circus Argument against public performances by animals. We humans especially the scientists have turned the Earth’s color green to gray. In geography, we often read that Earth is the only planet to live in. We are not just affecting ourselves we are also affecting the innocent animals who don’t even know what is going on the Earth. These animals are not always affected by pollution but by the public performances. They are too much mistreated by us and we must stop it, because they are the essential part of our eco-system. Animals that are used for entertainment often endure many hours of long distance traveling in small confined cages with no climate controls, sleeping, eating, etc. Although some say that the animals get to stretch out after the trip, which is not generally the case. The animals must be contained prior to the start of the performance. Virtually 96 % of their lives are spent in chains or cages. These animals are also trained using extreme discipline such as whipping, hitting, poking and shocking with electrical prods. Check out more essay samples at Altheadlines.com! Many times the animals used in circuses are injured and are killed when they are no more useful. Circuses that exploit animals make lofty claims about their educational values and their contributions to conservations. It is not good for humans to use animals in entertainment shows, because such act is equivalent to exploitations. While humans and animals belong to different species, both are capable of feeling pain or pleasure. Both could feel emotions like happiness, loneliness, etc. Both could also feel thirst and hunger. Animals shouldn’t be used in public performances, because naturally they also have the right to live their life as they want. It should be noted that the right of animals could be different from the rights of humans. When animal circuses do come to town, we should write letters to newspaper editors and to the sponsors telling them circuses don’t need to feature wild animals to be entertaining. We must take particular notice of stores to stop supporting circuses with animal acts. We must also support local animal-free circuses. These steps must be taken to stop public performances by animals. We must spread awareness among peoples about this. They should know that circus elephants may carry tuberculosis, and can infect human with the bacterial diseases. This awareness may cause a fear between the peoples and stop them from going to circuses. The government should ban animal circuses. Since 1990s the circuses have been responsible for over 100 human injuries, worldwide. If we can live our own life so why can’t the animals? They are also creature of God. They should also have the right to live their own life. God made Earth for joy not only to humans but to animals.

Saturday, October 19, 2019

Issue 4 Assignment Example | Topics and Well Written Essays - 750 words

Issue 4 - Assignment Example Robert Ramsey, an author, illustrates that embracing the religious perspectives of employees, can result to the never ending unnecessary requests by employees that results to decreased productivity and profitability. The author stresses that business organizations should always keep their interests and objectives top priority, without diverging to non-core activities like allowing employees to wear faith symbols (Susan, 2012). The current workplace is greatly diversified, mainly due to the concept of globalization. This illustrates rich mosaic or integration of staffs from very different religious affiliations. Majority of the multinationals have employees who are Buddhists, Muslims, Jews, Christians and Hindus. International employment laws existing currently prohibit religious discrimination at the employment place. A major workplace dilemma for human resource managers presently is if employees should be given the chance to religious and other external symbols (Rao, 2013). The Society of Human Resource Management (SHRM) during 2008 explained that 64% of the companies under study have diverse religious workforce. This shows that a great number of employees are religiously diverse, due to immigrants from different world faiths. Demographic experts illustrate that people and hence employees from other faiths like Buddhists, Islam and Hindus, continuously increase with a likely effect of turning the protest ant faith look like the minority. Supporters of the workplace faith diversity explain that it is unfair for managers to expect the employees to ignore religious expressions and values during work. Organizations can effectively accept the diversity and ethnicity of their staffs, through adequate acknowledgement and understanding of their faith. Majority of the leading multinationals have adopted religion-friendly methods of operation. Companies like Ford Motors and also Coca Cola have given employees

Friday, October 18, 2019

The six day war israel against the arab states Essay

The six day war israel against the arab states - Essay Example Moreover, it has also resulted in a special relationship between Israel and the United States after the conclusion of the war, with military support available for Israel from America. This has further fuelled the discord in the Middle east region. In 1956, during the Suez crisis, Israel had advanced its military into the Sinai peninsula, but with heavy diplomatic pressure from both the United States and the Soviet Union, Israel withdrew forces and a UN peacekeeping force was stationed in Sinai. One of the major reasons why the Suez crisis had been precipitated was the closure of the Tiran strait to Israeli shipping, but after the Suez crisis, the strait was reopened and there was temporary peace in the region despite the lack of resolution of the issues plaguing the region, since none of the Arab States recognized Israel as a separate state. The events leading up to the war were actually set into motion when Egypt became suspicious about an imminent Isreali attack on Syria planned for May 17, 1967. Such suspicions were based upon militant speeches that were being made by Israeli leaders and the substance of a Soviet intelligence report on the hostilities along the Israeli-Syrian border. As a result, Nassar personally ordered for the mobilization two divisions of troops across the Suez Canal during a late night meeting on May 13 and 14. (Bergman 2000, p 44). These troops were to be sent into Sinai with the intent of putting the armed forces in Sinai on full alert and completing the troop mobilization before an anticipated Israeli attack on May 17th. On May 18, 1967, the UAR began expelling the United Nations Emergency forces, which were there to provide a peace keeping buffer in the area and this led up to the closure of the Straits of Tiran to Israeli ships on May 23rd. This was akin to a trumpet call for war, because Israel had earlier made a public declaration that it would equate any interference with freedom of navigation along

Short response 6 Essay Example | Topics and Well Written Essays - 500 words

Short response 6 - Essay Example According to Hunt (792), it was during this time that almost every revolutionary group wanted to take leadership reigns of the nation. One such group was the Bolsheviks band led by Lenin, who finally came to power. The revolution was a success because it occurred at the right time when Russia people needed change. This was after the World War when everyone including soldiers as well as civilians were tired of the suffering. According to Hunt (791), the revolution that followed this event in Russia was not just war but ended up being a civil war. This war was for power and domination between the Bolshevik party and the Provisional Government. Daniel (398) notes that the Bolsheviks revolution succeeded against incredible odds because of their disregard for any form of rational calculation previously done. Lenin saw a chance for the Bolshevik party to ascend to power and he took it. Together with other party leaders Lenin risked everything to gather enough force against the provisional government which was not ready to hand over power as it did everything to resist the takeover. Other party leaders including Zinoviev and Kamenev wished for a less radical and organized way of getting power. Lenin was keen to seize power once and for all and that is why he made vehement demands on the Bolshevik party to take the opportunity of the Provisional Government’s weakness and fight it with all their might (Daniels 399). He went ahead and chose Marxists ideologies of communism to govern Russia. According to Daniels (400), many of the decisions that Lenin made were widely influenced and pressured by his lieutenants from Bolshevik party. However, Lenin had his own convictions and as Hunt points out, he had devoted all his life to seeing socialism thrive and that is exactly what he did when he gained power. Lenin much feared for a counter revolution in his party leadership and that is why he accommodated other

The Variability Of Sound Velocity Through Cycles Of Neap And Spring Essay

The Variability Of Sound Velocity Through Cycles Of Neap And Spring - Essay Example METHODS Because a variety of water conditions were used to obtain data for the study, it was possible to obtain a wide range of results. The study was an oceanographic survey, which was conducted during the spring and neap phase of the tidal cycle at the Dart and Tamar estuaries. This offered a thorough observation of water column through a period of low water and high water. The table below shows the details of the project: Location 1: River Tamar is found in southwestern England, and forms the border between Devon (to the east) and Plymouth city (to the west). Before entering Plymouth Sound, River Tamar at its mouth, flows into the Hamoaze where it joins with River Lynher. The source of River Tamar is less than four miles (6 km) from the north Cornish coast, and it drains southward. Having a tidal length of thirty-two kilometres from its seaward end, the Tamar estuary is a partially mixed, mesotidal estuary. For about fifty miles, the River Tamar flows south to the English Channel, coursing its way through steep wooded country in its middle reaches. This location was used to collect data profiles during spring tides on December 07, 2005, between the time range of 09:40am to 16:00pm, and during neap tides on December 11, 2005 between the time ranges of 08:00am to 14:10pm.

Thursday, October 17, 2019

African films Assignment Example | Topics and Well Written Essays - 500 words

African films - Assignment Example The use of silence was a tool that disempowered women in the palace by not allowing them to speak about what was happening to them in their life. If they were forced into a behavior they did not want, they were expected to remain silent about the situation. If they were sick, they bore their pain in silence. The women knew what was going on in the palace, but were not allowed to talk to anyone about what they knew. If the woman was not married, the name of the father of any children was never uttered (Tlatti, 1994). The women were considered household slaves and were not allowed to leave the house, were expected to cook, clean, and perform any other duties, as requested by the family, without saying a word. They talked among themselves, but even that conversation was limited. Each woman had to bare her own burden in silence. The only way this silence could have been used to empower the women is if they would have been able to communicate with the outside world and then the family wou ld have had to pay them to keep quiet about the affairs of the palace. Sexual violence was included in the lives of these women, but none of them were allowed to have a voice in the situation. The women were not allowed to refuse, they could fight back until they were over powered, but the act would still take place if the man wanted it to happen (Tlatti, 1994). None of the other women were allowed to come to the aid of anyone being forced and the harm that was caused was not discussed by the victim. If medical attention was needed, a nurse was summoned. Demanding that a woman have an abortion is just as violent and results in death as other violent acts that can and have been performed on people in society. Making sure the slave/servant women remained in the home at all cost required that all births happened without any medical intervention (Tlatti, 1994). This could also be considered a form

Critical Analysis of the Movie Munich Essay Example | Topics and Well Written Essays - 1000 words

Critical Analysis of the Movie Munich - Essay Example "The Palestinians are never developed to the same extent. We get the impression that their resistance is irrational and unfounded; they've never faced the same psychic misery that Israeli Jews have" (Samuel. 2006). In this movie justice is as equally visceral as carnage where victims are blown to pieces by exploding television sets, dynamite in hotel beds and booby-trapped telephones, as if advancing the idea that violence begets violence. "His exhausting thriller tries to plant a white flag between Israel and Palestine by revisiting one of the ugliest dogfights in their toxic history" (Christopher. 2006). Operation Wrath of God although never been formally acknowledged by Israel, is immaculately presented in this film with an expert use of considerable skills to create an alarming sense of authenticity. The details are so specific: the trendy flared trousers, the grainy film stock, even the way the poodles are shaved in Paris. While there are many other film critiques who marvels at the magnificence of the plot along with the timely twists and irony, to me this movie simply speaks about terrorism, being the central theme further expounded into several areas of justifications. A resounding justification that terrorism and the acts that goes along with it, is a solution and at the same time a problem similar to the purported notion on an eye for an eye. Terrorism and hostage taking traces its roots back during early civilization. There are numerous references to abduction throughout Greek mythology. In medieval times hostages were taken for money or a guaranteed safe passage through a country. In the U.S., Indians on the western frontier terrorized settlers to frighten them away. Throughout the twentieth century, up until the 1970's various terrorist acts were committed, yet they were not as big a problem as they are today. The new age of terrorism dawned at 4:30 in the morning of September 5, 1972, the members of the Israeli delegation awoke in their quarters in the Olympic village to the desperate cries of wrestling referee Joseph Gottfreund. Eight Arab commandos (from the Palestinian terrorist organization Black September) broke into the Olympic compound in Munich. In an attempt to create time for an escape, Joseph Gottfreund tried to block off the door to the quarters in order to stall the intruders. He told his colleagues to le ave the premises. The terrorist shot and killed him immediately along with Yaakov Springer, the weightlifting referee. Those in the adjoining apartments who were not woken by the muffled cries were woken from the sounds of machine guns. The commandos then took nine others of the eighteen-member Israeli Olympic team hostage. They then settled into the compound for a siege. The terrorists imprisoned and tied up the athletes and their coaches inside the apartments. They were moved into one of the delegates' room where they were guarded by eight of the terrorists. Their weapons included sub-machine guns, pistols and grenades. Moshe Weinberg, a wrestling referee, and Joseph Romano, a weightlifter, were killed during an effort to free themselves from the terrorists. History proved that the issues between the Israelis

Wednesday, October 16, 2019

The Variability Of Sound Velocity Through Cycles Of Neap And Spring Essay

The Variability Of Sound Velocity Through Cycles Of Neap And Spring - Essay Example METHODS Because a variety of water conditions were used to obtain data for the study, it was possible to obtain a wide range of results. The study was an oceanographic survey, which was conducted during the spring and neap phase of the tidal cycle at the Dart and Tamar estuaries. This offered a thorough observation of water column through a period of low water and high water. The table below shows the details of the project: Location 1: River Tamar is found in southwestern England, and forms the border between Devon (to the east) and Plymouth city (to the west). Before entering Plymouth Sound, River Tamar at its mouth, flows into the Hamoaze where it joins with River Lynher. The source of River Tamar is less than four miles (6 km) from the north Cornish coast, and it drains southward. Having a tidal length of thirty-two kilometres from its seaward end, the Tamar estuary is a partially mixed, mesotidal estuary. For about fifty miles, the River Tamar flows south to the English Channel, coursing its way through steep wooded country in its middle reaches. This location was used to collect data profiles during spring tides on December 07, 2005, between the time range of 09:40am to 16:00pm, and during neap tides on December 11, 2005 between the time ranges of 08:00am to 14:10pm.

Tuesday, October 15, 2019

Critical Analysis of the Movie Munich Essay Example | Topics and Well Written Essays - 1000 words

Critical Analysis of the Movie Munich - Essay Example "The Palestinians are never developed to the same extent. We get the impression that their resistance is irrational and unfounded; they've never faced the same psychic misery that Israeli Jews have" (Samuel. 2006). In this movie justice is as equally visceral as carnage where victims are blown to pieces by exploding television sets, dynamite in hotel beds and booby-trapped telephones, as if advancing the idea that violence begets violence. "His exhausting thriller tries to plant a white flag between Israel and Palestine by revisiting one of the ugliest dogfights in their toxic history" (Christopher. 2006). Operation Wrath of God although never been formally acknowledged by Israel, is immaculately presented in this film with an expert use of considerable skills to create an alarming sense of authenticity. The details are so specific: the trendy flared trousers, the grainy film stock, even the way the poodles are shaved in Paris. While there are many other film critiques who marvels at the magnificence of the plot along with the timely twists and irony, to me this movie simply speaks about terrorism, being the central theme further expounded into several areas of justifications. A resounding justification that terrorism and the acts that goes along with it, is a solution and at the same time a problem similar to the purported notion on an eye for an eye. Terrorism and hostage taking traces its roots back during early civilization. There are numerous references to abduction throughout Greek mythology. In medieval times hostages were taken for money or a guaranteed safe passage through a country. In the U.S., Indians on the western frontier terrorized settlers to frighten them away. Throughout the twentieth century, up until the 1970's various terrorist acts were committed, yet they were not as big a problem as they are today. The new age of terrorism dawned at 4:30 in the morning of September 5, 1972, the members of the Israeli delegation awoke in their quarters in the Olympic village to the desperate cries of wrestling referee Joseph Gottfreund. Eight Arab commandos (from the Palestinian terrorist organization Black September) broke into the Olympic compound in Munich. In an attempt to create time for an escape, Joseph Gottfreund tried to block off the door to the quarters in order to stall the intruders. He told his colleagues to le ave the premises. The terrorist shot and killed him immediately along with Yaakov Springer, the weightlifting referee. Those in the adjoining apartments who were not woken by the muffled cries were woken from the sounds of machine guns. The commandos then took nine others of the eighteen-member Israeli Olympic team hostage. They then settled into the compound for a siege. The terrorists imprisoned and tied up the athletes and their coaches inside the apartments. They were moved into one of the delegates' room where they were guarded by eight of the terrorists. Their weapons included sub-machine guns, pistols and grenades. Moshe Weinberg, a wrestling referee, and Joseph Romano, a weightlifter, were killed during an effort to free themselves from the terrorists. History proved that the issues between the Israelis

Of Mice and Men - George and Lennie Essay Example for Free

Of Mice and Men George and Lennie Essay How does Steinbeck present the characters of George and Lennie? During the Great Depression of the 1930s when America was plunged into financial crisis following the Wall Street Crash of October 1929, levels of unemployment and poverty were at an all time high. In this ear life was a struggle and the mentality of society became survival of the fittest, every man for himself. Migrant workers toured the country in search of labour to provide money for food typically sent to relatives living on the bread line elsewhere in America. These men lead lonely and emotionless lives, which are reflected through Steinbeck’s portrayal of his characters in his famous, yet bleak, 1930s novella ‘Of Mice and Men. ’ In the novel, George and Lennie’s relationship diversifies them from the other ranch workers for the reason that they rely on each other for support and companionship ‘I got you and you got me. ’ In particular, the dream they share of owning their own land, reflects the American Dream of being the ringleader of your own life with a level of self-sufficiency. Steinbeck first introduces the reader to George and Lennie at the beginning of the novel ‘a few miles south of Soledad’, in the evening of a hot day where rabbits sat ‘as quietly as little gray, sculptured stones. ’ Disrupting the tranquil atmosphere ‘two men emerged from the path’ as the place was newly ‘lifeless’ for a moment. At first, the author presents George and Lennie as typical migrant workers, both wearing ‘denim trousers and carrying ‘tight blanket rolls’ en route to their next ranch. After creating the impression that the pair are similar, Steinbeck reveals that actually this is not the case ‘behind him walked his opposite. ’ George inhabits a small body with ‘strong, sharp features’ whereas Lennie has a ‘shapeless’ face and a ‘huge’ body. Irrespective of their appearance, it is inferred that both George and Lennie are victims of society ‘restless eyes’ and ‘dragging his feet’ constantly on guard as well as fatigued from both work and travel. Further into the first chapter, we learn that George has a level of authority over Lennie and it could be suggested that he stands as a ‘father figure’ to him. As Lennie ‘snorts into the water’ George ‘sharply’ orders him not to drink so much and informs him to never ‘drink water when it ain’t running. ’ At this moment it becomes evident that Steinbeck intends to present George and Lennie as Master and pet; the only way Lennie can cope is to be like a tame dog, tethered always to his master George and never let out of his sight ‘God you’re a lot of trouble. As the pair settle for the night under the stars, Steinbeck uses Lennie’s character to portray that the pair desire simple possessions ‘I like ‘em with ketchup’ which they can only but dream of having ‘Well we ain’t got any. ’ In this scene Steinbeck intends to emphasise that George and Lennie are unfortunate and t he reader is able to sympathise with them because basic amenities are taken for granted in society today. The scene also exhibits the fact that although George and Lennie are migrant workers they do not fit the ‘typical’ profile, this being because during moments of violence George describes what life would be like if he did not have Lennie to take care of; if he was a lone traveller, a ‘typical’ migrant worker ‘I could stay in a Cat House all night or set in a pool room and play cards. ’ Although George sometimes sees Lennie as an inconvenience it is clear that Steinbeck wishes to present George a companion to Lennie ‘he looked ashamedly’ as well as loyal ‘I want you to stay with me, somebody’d shoot you for a coyote if you was by yourself. This is poignant because it demonstrates that although Lennie keeps George in ‘hot water’ all of the time, George continues to care for Lennie because he knows the consequences of Lennie travelling alone and perhaps is also frightened of being lonely himself ‘that ain ’t no good. ’ In the same chapter, Steinbeck first incorporates the 1930s American Dream ‘An live off the fatta the lan. ’ Lennie makes George tell the familiar story of the small farm he intends to buy, delighting in hearing that he has a future. Evidentially, George does not believe the dream will ever become reality as he rhythmically reels off the words to Lennie as a matter of habit rather than optimism. That said, it is clear that although George does not believe the dream will come true he is thankful to have Lennie by his side ‘somebody to talk to that gives a damn about us’ which perhaps implies that although Steinbeck presents the pair as victims, he also presents them as lucky in the fact that they have each other and care for each other enough to build a firm relationship. To Lennie the dream is all about the rabbits he intends to keep and pet, rather than an engine of hope which drives George to continue the struggle. Lennie excites in the idea that one day he will own a rabbit hutch ‘An’ have rabbits’ because he is unable to see further than his own desires, however George dreams of simplicities such as ‘how thick the cream is on the milk’ implying that all he would like is a stable home. Regardless of their differences in the importance of aspects ncluded in the dream, their dream bonds them together in a shared goal which is to get a ‘stake’ so they can buy ‘a little house and a couple of acres. ’ Many migrant workers shared in dreaming of a better future but had nobody to share it with as everyman was for himself, making George and Lennie’s relationship a rare occurrence. Towards the end of the first chapter, George tells Lennie that if he gets in trouble he should go and hide in the brush until George comes for him ‘I want you to come right here an’ hide in the brush. This is because George recognises the cyclic nature of Lennie’s behaviour and uses his clever nature to devise a plan, something which Lennie would never have thought of doing as he is unaware of his own strength therefore he needs George for survival in the same way a child needs their parents for protection from the outside world. When George and Lennie arrive at the ranch, George reminds Lennie that he is not to speak when they are interviewed by the boss because the boss will not allow Lennie to work on the ranch if he knows of Lennie’s mental instability. George excuses Lennie’s silence telling the boss ‘he got kicked in the head, just ain’t bright’ and assures the boss ‘He’s a God damn good skinner. ’ Here, Steinbeck presents George as the voice of the pair and Lennie as the labourer, it could possibly be inferred that Steinbeck intends to present them as a team rather than George’s one man band with Lennie walking behind because Lennie is strong and can work twice as fast as one man alone, boosting their reputation leading to more work and more pay to add to their savings for the farm. It is also noticeable that the boss has ‘never seen one guy take so much trouble for another guy’ which infers not only that the boss surprised by George and Lennie’s relationship but also that because society was hostile and selfish the boss assumed that George was ‘takin’ his pay away. ’ This further infers that relationships were far and few for migrant workers during this era and that Steinbeck intends to present George and Lennie in the way he does because many would overlook the idea of a level of humanity during the 1930s. George’s companionship with Lennie staves of loneliness, but it also gives him a role in life; he has a clear task, looking after Lennie. When George explains the situation to slim in the second and third chapter ‘we kinda look after each other’, Slim offers the suggestion that ‘ever’body in the whole damn world is scared of each other. ’ Here the author offers the theme of violence because many people had lost the trust of those around them and were prepared to use violence to protect themselves, their belongings and any pride they had. George is honest with Slim ‘Made me seem God damn smart alongside of him’ admitting that early on it made him feel superior and he forced Lennie to do stupid things for the fun of it. However as his sense of shame stopped him, George began to realise that he is dependent on Lennie as much as Lennie is dependent on him because who would fight George if they knew they would have to fight Lennie as well. There are positives of George having Lennie, they defy the ethos of everyman for himself and at this stage it appears this is a key asset in their work. In the middle of the novella, George and Lennie both believe, for a short period of time, that their dream will come true ‘This thing they had never really believed in was coming true’ due to Candy’s offer of money for a place on the farm. Steinbeck demonstrates that although both men know their position, they easily become wrapped up in a fairytale unable to predict their fate of ‘grief and pain, instead of promised joy. ’ A significant part of the novel showing the devotion of George and Lennie’s relationship comes when Curley, bringing with him the theme of violence, picks a fight with Lennie. Showing his sense of justice, George won’t let Lennie get hurt as he is innocent ‘Get ‘im Lennie’, whereas the other men are reluctant to take sides; thinking of their own safety first. Experience with Lennie allows George to recognise Lennie’s strength and to encourage or discourage the use of it when appropriate. As the novel passes the midpoint when George leaves Lennie at the ranch to go to the local brothel with the other ranch hands, Lennie sees the light in Crook’s room and curiosity leads him inside. Crooks is not used to visitors in his room because of his black skin colour which he is heavily discriminated because of by the other ranch hands. He faces segregation and nobody ever wants to talk to him, this is why his bunk is away from the others. Lennie, being unaware of the social hierarchy ‘I thought I could jus’ come in’ is confused as to why Crooks is not wanted and so perseveres in conversation with him. Obviously, had George been around to keep Lennie on his tether, the situation would have been avoided. Lennie tells Crooks ‘me an’ him goes ever’ place together’ through this it is apparent that Lennie is totally dependent on George which Crooks sees as an opportunity to frighten vulnerable Lennie ‘s’pose he gets killed or hurt. ’ It is at this point where Lennie shows his sense of protection for George ‘Who hurt George? ’ and he begins to lose control of his strength walking ‘dangerously’ towards Crooks. Clearly, Lennie believes he should defend George because he is a friend, the man who is going to help him get the rabbits to tend; even when George is not around Lennie is constantly thinking about him and his safety, just as George worries for Lennie’s safety. As the novel draws to the end, Lennie’s lack of control over his strength becomes paramount. Stroking Curley’s wife’s hair, the atmosphere is relaxed and slightly playful as she prompts him to ‘feel how silky it is. When Lennie does not let go and Curley’s wife began to panic ‘struggled violently’ so does Lennie and he ‘began to cry with fright’ before he broke her neck and she ‘flopped like a fish. ’ Recognising that he has done a ‘bad thing’, Lennie acknowledges that he ‘shouldn’t have did that. George ‘ll be mad. ’ Significantly, Lennie has no moral judgement and things are ‘good’ or ‘bad ’ to him depending on what George would think of them; George could be perceived as the voice of Lennie’s conscience. Without George to guide him Lennie is lost, the pair are essential for Lennie’s survival. At the end of the novel, George becomes aware of the fact that Lennie has become a wild dog, needing to be ‘put down’ by his owner ‘I know, I know’ for the best intentions of both men. Features brought to George by his responsibility for Lennie, including his sense of shame and level of compassion and justice, all combine to force him to shoot Lennie and as Slim confirms, he ‘hadda. ’ Just before George releases the bullet, he encourages Lennie to think about the dream in order to ensure he dies in peace and happiness. This is significant in the relationship between George and Lennie as the other men from the ranch have no mercy for the ‘poor bastard’ it is only George who believes although Lennie should die, he should die a painless death. Overall, it is clear that Steinbeck presents George and Lennie as accepting victims of the economic crisis of 1930s America. He gives them a dream which should be realistic but is unfortunately out of touch and offers nothing but a chance of hope for better things to come, a reason to keep going. Ultimately, Steinbeck presents the pair as dependent on each other for their own needs. The reasoning behind Steinbeck’s use of George and Lennie comes from his intention to provide a novel that demonstrates that in the end fate is ways the winner no matter how you plan to avoid it. In this fiction, Lennie was like the mouse in the title; destined to die from the start as he is not fit for society and unfortunately George has to go on alone for himself because he recognises that with Lennie his too is closer to the hands of fate.

Monday, October 14, 2019

Traffic Congestion In Toronto Tourism Essay

Traffic Congestion In Toronto Tourism Essay Transportation is crucial in any town or city. Toronto is no exception. In the past several years, population growth rate has been high. Transportation systems therefore need to be upgraded to accommodate this demand. Toronto has over the years been known to have two seasons which include winter and construction seasons. The construction period implies the time when there are many constructions while the winter period is a time when traffic congestion reduces drastically. This refers to the traffic congestion menace in Toronto. Construction related delays have been common in Toronto due to politicization. Municipal infrastructure needs to be maintained in Toronto and other cities in Canada. Toronto replenishes its roads twice before reconstruction after every 60 years. This makes most roads deplorable amidst heavy demand by commuters (Chowdhury, 2005). This high demand together with temporary capacity reductions emerges from road crashes and commuter work zones. This paper tries to a ddress the traffic snarl up in Toronto with a view of finding a solution to this menace. Problem Statement Traffic related problems account for loss of seven to ten hours weekly for Torontians. These problems include traffic congestion and bad conditions of roads. . Traffic congestions in Toronto roads normally occur during the day and delays more passengers and goods than it delays used to be. It is reported that the average delay per peak traveler has moved from 15 hours in 1982 to 45 hours in 2002 each year (Buzzelli, 2001). Apparently, the figure has tripled within 20 years. It equates to the number of hours spent in working for the whole year. Traffic congestion is a paralyzing incident for the city and which gets worse day by day. Torontonians spend approximately seven to ten hours a week in traffic due to traffic related problems (Sewell, 2009). Examples of these problems range from traffic congestion to bad road conditions. For some, seven to ten hours may be seen as an honor- a short time menace. To others, this is a soul-sucking grind. Traffic congestions in Toronto roads normally occur during the day and delays more passengers and goods than it delays used to be. It is reported that the average delay per peak traveler has moved from 15 hours in 1982 to 45 hours in 2002 each year (Buzzelli, 2001). Apparently, the figure has tripled within 20 years. It equates to the number of hours spent in working for the whole year. Traffic congestion is a paralyzing incident for the city and which gets worse day by day. The traffic menace in the Toronto is rather a complex affair. Bicycles, cars, taxies, delivery trucks, buses, and pedestrians compete in using the same road at the same time. Standing traffic causes an increase in air and noise pollution. Bicycle lanes are placed in unfit locations that do not connect to other routes. This wastes money and space. The lanes are also unsafe to use.  The change in traffic routes and failure to enforce rules for parking and stopping of vehicles are major causes of traffic congestion too. The removal of parking lanes has also caused an overall drop in revenue from business (Vigar, 2002).   High Economic costs of Toronto are attributed to traffic congestions. The hours lost by employees in traffic jams or waiting for arrival of delivery buses are raising eye brows. During these congestions, there is increased use of fuel. This loss can be approximated as $2.0 billion annually (Statistics Canada Paragraph 16). On average a typical commuter currently spends more than 79 minutes currently getting to and from their workplaces as compared to 68 hours in 1990s. Additionally, health effects related to congestion are on the increase. Research has revealed that each year, there are approximately 440 premature deaths and around 1,700 other victims hospitalized in Toronto. These problems related to congestion are broad, big and complex and require great solutions to be eliminated permanently. Reasons for Traffic Congestion in Toronto Sharing of the road by motor cycles, bicycles, and all kinds of vehicles is a common characteristic in Toronto. Lanes for bicycles are placed on sidewalks and major thoroughfares. This makes pedestrians have difficulties in walking since bicycles occupy the sidewalks causing congestion. This also causes a reduction in parking and stopping spaces for cars in the city. Additionally, traffic and parking laws are not evenly enforced. The laws are effected on some vehicles but not on all road users this is a contributing factor to congestion, increased insurance costs and frayed tempers. Health problems and money wasted for gas and insurance are on the rise because of rise in traffic congestion (Mehr, 2005). During the construction period, traffic congestion is always on the rise. Main roads are blocked which causes traffic jams on the remaining roads. These delays are terrible. Moreover, politicians have turned the afflictions of pedestrians into prominent issues that contribute to the unending construction related delays. City mayors have been blamed of bureaucratic incompetence by politicians. This incompetence is said to have brought endless construction related work. The complexities occasioned by the aforementioned only hurts commuters.sub contractors involved during construction have failed to be coordinated which leads to delays too (White, 2009). Commuters have a high demand in road usage. This high demand together with momentary capacity reduction is as a result of road crashes and commuter work zones. These aforementioned causes a high cost of travelling and makes it more frustrating for commuters. The road government organ, federal highway administration (FHWA) with a jurisdiction of administering construction has mentioned congestion as an issue demanding a high priority. Environmental stewardship also known as the agencys vital few are other key priority areas (Vigar, 2002). Feasible Solutions to Traffic Congestion in Toronto This public menace has a potential for improvement. The use of new construction technologies should see Toronto construct its roads quicker or ensure construction does not affect the movement of traffic. For example, lateral drilling machines which eliminate the need for contractors opening up the pavement could be employed. Deployment and development of technologies in the 21st century is also important. These technologies are known as intelligent transportation systems (ITS).this technology could be used to develop the agencys capability to manage transportation systems. On the other hand commercial carriers and travelers will have ability to make informed choices about when and how to travel. Road works done on parallel arteries should also be avoided. The kind of advanced planning should be standard practice for Toronto. There should be coordination in road construction that should not restrict roadways during rush hour (Green, 2001). Traffic congestion should not be taken as a normal state of affairs. Efforts taken into consideration traditionally should be reinforced in addition to focus of FHWA on development and promotion of transportation systems and overall management and operations. Good management and operations should not do away with the need to construct new roads and to add transit capacity appropriately. The management should make most out of existing infrastructure. Retaining an existing vehicle by owners during peak operating condition is better than buying a new one in the operational strategies could be cheaper in implementation than road construction projects. This could help in reduction of traffic congestions and causing a stretch in infrastructure performance (Fisher 1996). Maintenance of municipal infrastructure in Toronto is an issue of great importance. There should be no less than 14 utilities including gas, hydro, phone and cable. These utilities should be used to replace aging equipment in Toronto streets. Despite all this, citizens of Toronto expect more and more from this city since its their right having paid heavy taxes. These disruptions have been there but they are becoming peoples centre of thought (Chowdhury, 2005). There is need to maintain municipal infrastructure in Toronto and this remains a fact not just in Toronto but other Canadian cities as well. There should be no fewer than 14 utilities, which should include gas, phone, hydro and cable. All these utilities should be tearing up Torontos streets to replace other aging equipment. Despite all these, people expect more and more from the city since it is their right after having paid the required taxes to the government. These disruptions have been there but they are becoming the peoples centre of thought (Mehr, 2005). Taking the construction activities for 24hrs is another approach worth exploring. For example the reconstruction of the Gardiner in the 1990s.the metro council back then opted to pay the contractor a premium to ensure that he works 24hrs so that the construction would take a shorter time. Toronto city should aim at constructing ring roads and by-passes. Though these are not common in Toronto city and country side, this can increase the number of roads to cater for the increasing number of vehicles in the roads. Additionally, more super highways should be constructed in addition to the existing ones. This will ensure that they utilize more space upwards and this will enable motor cycles, bikes and cars use specific highways (Green, 2001). Cars on the city centre should be banned; this should be done on busy days. A fee should be introduced for cars that enter the central business district. This will ensure that only public transport enter the city centre to ease the congestion. Private car owner who drive to work will park their cars at designated areas outside the city centre. They then board public transport to the city centre (Fisher, 1996). Creation of multi storey car parks is also important. Highways in city centers will have car parks alongside main roads. Additionally, entrance roads should be wider than countryside roads. By doing this it will create room for car parks. Rules and regulations should also be put in place to ensure that different vehicles are supposed to be parked (Chowdhury, 2005). Synchronization of traffic signals is also important. These signals should be used by all road users including pedestrians. All those breaking the rules by not observing these lights should face certain penalties. Licensing of cyclists should be done by payment of a certain fee. They should also e designated bicycle lanes on the roads where they could cycle. Roads in Toronto are often utilized for rallies marathons and protests. These functions cause congestion and closing of roads which is of no necessity. These functions could utilize the sidewalks or other areas be sought for the same. Exhaust fumes emitted from vehicles during congestion causes air pollution. Car hooting on the other hand causes noise pollution. Hence, keeping traffic in motion at all times is of essence to reduce environmental pollution and save resources. In addition the government should establish policies that are channeled towards reduction of congestion on our roads. Enforcement of these laws should be stri ct with penalties for the breakers of the law (Fisher, 1996). Conclusion Traffic congestion in Toronto is a time bomb waiting to explode. This situation has been occasioned as a result of poor enforcement of transport laws. Politicking also is a major contributing factor to this menace causing delay in construction works. Roads in Toronto are dilapidated too since the city resurfaces its roads after every 60years.the use of Toronto roads for other functions such as rallies which necessitate their closure at those times. Even though this problem seems difficult to solve there is room for improvement. Various solutions could go a long way in trying to solve this menace. New construction technologies need to be explored which will quicken the construction process. Creation of multi storey car parks is also should be considered. This will ensure that car parks are constructed along main roads. A fee should be introduced for drivers who enter the city centre. Commuters should be willing to use public transport to the city centre. Construction of bicycle lanes could help reduce congestion too. Although public transport is the solution to this menace, congestion can further be reduced by use of other means of transport. With the population estimated to increase by nearly 2.6 million, it is apparent that this problem will still persist since more than a million lore cars will be added to the roads. Therefore the commuter time is expected to stretch and the economic cost of congestion doubling. Further the death toll is expected to rise due to traffic causes alongside increase in emissions. In addition the government should enact policies and enforce efficiently. The only way to prevent the city of Toronto from coming to a standstill is to force people out of their cars by pricing them off.

Sunday, October 13, 2019

Carl Gustav Jung and the Buddhist Mandala Essay -- Buddhism Religion P

Carl Gustav Jung and the Buddhist Mandala A one-time disciple of Sigmund Freud's, Carl Gustav Jung (1875-1961) is credited with contributing significantly to the burgeoning field of psychotherapy by formulating some of the first ideas regarding dream analysis, psychological complexes and archetypes (paradigmatic images or instinctive impulses to action). As part of his search for universal keys to the human psyche, Jung also studied and wrote numerous commentaries throughout his career on Eastern religious texts and practices. His reading of Buddhism however, is fundamentally faulted as evidenced by his misunderstanding and misrepresentation of mandala symbolism. Originally, Buddhist mandalas1 aide-mà ©moires that helped meditators keep focussed during long elaborate visualizations. They were two-dimensional circumscribed square floor plans that represented three-dimensional palatial constructions. Each mandala palace was equated in meditation with the psycho-spatial complex of the meditator himself, so that any Buddha or2 depicted within his projected self-construction was understood to be a personification of his own enlightenment potential. The meditator would then mentally circumambulate his own palatial self-projection and consciously identify himself with the palace's (i.e. with his own) resident bodhisattvas. After effecting this transformative deity yoga, the meditator would then dissolve the entire edifice into emptiness. He thereby constructed, transformed and dissolved his own psycho-physical complex into the empty nature of Buddhahood. According to Carl Jung however, mandalas expressed the deep-seated universal archetype of the completely whole Self which balanced and integrated its conscious and uncon... ...n Buddhist Insight Meditation." The Journal of Transpersonal Psychology 20.1 (1988): 61-69. Jung, Carl Gustav. "Archetypes and the Collective Unconscious." Collect gen Series, 1978. Originally published in 1935 as "Psychologischer Kommentar zum Bardo Thodol." Das Tibetanische Totenbuch. Russel, Elbert W. "Consciousness and the Unconscious: Eastern Meditative And Western Psychotherapeutic Approaches." The Journal of Transpersonal Psychology18.1 (1986): 51-72. Waldron, William. "A Comparison of the Alayavijnana with Freud's and Jung's Theories of the Unconscious." Annual Memoirs of the Otani University Shin Buddhist Comprehensive Research Institute 6 (1988): 109-150. Wayman, Alex. "Contributions on the Symbolism of the Mandala Palace." Etudes Tibetaines, Dedià ©es à   la Mà ©moire de Marcelle Lalou. Paris: Librairie d'Amerique et d'Orient, Adrien Maisonneuve, 1971.

Saturday, October 12, 2019

Developing Through the Life Span Essay -- Prenatal Health

Prenatal Development and the newborn: The focal point of this section was conception and the development of life before birth. I’ve read that every woman is born with a number of eggs that will later be released. Out of that number 1 in 5,000 eggs will essentially mature. Contrary to women, a man begins producing sperm at puberty, which gradually decreases along with age. During the actual conception, over 200 million sperms head towards the egg and try to break through. One is successful, the rest aren’t. The following section focused on prenatal development. Prenatal development is †¦Ã¢â‚¬ ¦ I learned about Zygotes (fertilized egg’s), the Embryo (the zygote’s inner cells), and the fetus (the embryo after 9 weeks)is the . More specifically, the zygotes are the first cell organism’s that are produced. The embryo is a cell before it completes fertilization and becomes a fetus. And the fetus is an embryo at a more advanced stage of development. I’ve learned that by 6 month’s it is possible for the baby to survive if born prematurely. During pregnancy it is very important to pay c...

Friday, October 11, 2019

Gothic Themes in Edgar Allen Poe’s “the tell-tale Heart” Essay

In â€Å"The Tell-Tale Heart,† Edgar Allan Poe revolves the story around a raving individual and the object in which he obsesses over. This theme of insanity is progressed throughout the entire story by Poe’s style of gothic writing. Gothic-style writing is defined by using these elements: abnormal psychological behavior, creating a gloomy or threatening atmosphere, connections between the setting and its characters’ thought processes or behavior, and supernatural components. Poe’s usage of these gothic elements builds up the central theme in the â€Å"The Tell-Tale Heart.† Poe’s major element of gothic literature, which establishes the main theme of insanity, is the use of abnormal psychological behavior. The narrator proves his insanity at the very beginning by ranting about his nervousness and states his fear that the reader will assume he is mad, â€Å"How, then, am I mad? Hearken! And observe how healthily–how calmly I can tell you the whole story,† (The Gold-Bug and other tales*, pg. 74). The mere fact that he is afraid of being thought of as a madman does not prove that his psyche is abnormal. Poe manifests the narrator’s insanity by having him state that his preconceived murder has no purpose, â€Å"It haunted me day and night. Object there was none. Passion there was none,† (GB, pg. 74). The reader can see the narrator’s madness again after he divulges his plan to the reader, stating, â€Å"Ha!–would a madman have been so wise as this?† (GB, pg. 74). Eventually the narrator’s mind g ets the best of him and he kills the old man, but afterwards, his attitude is down right odd and sadistic, â€Å"In an instant I dragged him to the floor, and pulled the heavy bed over him. I smiled gaily, to find the deed so far done,† (GB, pg. 76). By having the narrator smile after killing the old man, Poe creates a picture of a raving lunatic in the readers’ mind. As the plot heightens, so does the narrator’s dementia. Police officers arrive at the narrator’s home shortly after he has finished disposing of the body. Feeling supercilious, the narrator invites them in to chat; sitting directly over the old man’s dismembered body. Hearing what he thinks to be the old man’s heartbeat, the narrator’s nervousness grows while he is chatting with the police officers. Poe, once again, show’s us the narrator’s insanity through his resulting actions, â€Å"I foamed–I raved–I swore! I swung my chair upon which I had been sitting, and grated it upon the boards,† (GB, pg. 77). The reader can really see the  climax of the narrator’s abnormal psyche when he actually thinks that the police of ficers can hear the beating heart too, â€Å"They heard!–they suspected!–they knew!–they were making a mockery of my horror!† (GB, pg. 78). In â€Å"The Tell-Tale Heart† Poe creates this kind of dismal and frightening atmosphere that is traditional to gothic style writing. By choosing dark or depressing words, Poe creates a dreary mood for the reader. This mood then reflects upon the characters’ thinking in the story. The narrator describes the old man’s eye, his fixation throughout Poe’s story, â€Å"One of his eyes resembled that of a vulture–a pale blue eye, with a film over it. Whenever it fell upon me, my blood ran cold,† (GB, pg. 74). The vulture is a creature of death, and by using this animal instead of another, Poe creates the sense of true evil, not just any old, ugly eye. The word pale gives the eye a quality of dullness or lifelessness, both of which have negative connotations; the film over the eye makes it repulsive to the reader, adding to the full effect of how grotesque this eye really was to the narrator. The reader can perceive from the mood that Poe creates in the story, what is going on in the mind of the narrator. The way that Poe has the narrator describe this eye shows the absolute hatred that he feels towards this eye. It gives the reader insight as to why the narrator is plotting this horrible murder. Each night, the narrator explains, how he goes into the old man’s room, describing it as â€Å"black as pitch with the thick darkness,† (GB, pg. 75). Poe writes the story so that the entire plot occurs at night, during this ‘thick darkness’, making the narrator’s motives even more frightening. The atmosphere surrounding the narrator also reflects upon his emotions. He is about to commit murder, and action full of darkness and hatred, and Poe places the story in a dark, frightening setting instead of during the day or in the light of the narrator’s lantern. This feeling of fright is again created for the reader, by Poe, when the narrator goes into the old man’s room, startling him, â€Å"And it was the mournful influence of the unperceived shado w that caused him to feel–although he neither saw nor heard–to feel the presence of my head within the room,† (GB, pg. 76). Emptiness and a mechanical like quality set the tone for when the narrator speaks of the old man being dead and what he did with the dead remains, â€Å"he was stone, stone  dead†¦First of all I dismembered the corpse. I cut off the head and the arms and legs,† (GB, pg. 76). That quote alone is enough to frighten any reader, and that is exactly what Poe is aiming for by using this particular gothic writing technique. The reader can again see into the mind of the narrator. He is devoid of feeling for this old man, stating that the old man is ‘stone dead’; further more, he meticulously explains the steps of ridding himself of the body after murdering the old man. Poe’s last gothic writing technique to enhance the theme of insanity is the use of supernatural components throughout the story. By having the eye torment the narrator until he viciously murders the old man, Poe is bringing a supernatural aspect into â€Å"The Tell-Tale Heart.† The narrator’s hatred for the old man’s eye is unexplainable, and the narrator himself does not even know why he came up with the idea, â€Å"It is impossible to say how first the idea entered my brain,† (GB, pg. 74). This eye almost possesses the narrator, becoming the driving force of his insanity. Another aspect of the supernatural at work in Poe’s story is when the narrator hears the beating of the old man’s heart in his own ears. It’s obviously impossible to hear the beating in the intensity at which the narrator describes it, â€Å"the sound would be heard by a neighbor,† (GB, pg. 76), but Poe adds this sentence to enhance the story’s supernatural aspect. Right after the narrator killed the old man, he could still hear the heart beating, again this feat is impossible, â€Å"for many minutes, the heart beat on with a muffled sound,† (GB, pg. 76). Even after the beating stopped, according to the narrator, it began again, once the police arrived. Poe makes it clear that the beating heart is not just the narrator listening to his own heart, or imagining the sound in his head, â€Å"until, at length, I found that the noise was not within my ears,† (GB, pg. 77). An unexplainable noise that grows louder and louder can only be the work of the supernatural. For the narrator even believes that the police officers can hear the beating too, and are making a mockery of his horror. Poe cleverly intertwined this idea of the supernatural, a gothic writing element, to intensify the lunacy of his main character. Throughout his short stories and poems, Poe uses the technique of gothic writing. In â€Å"The Tell-Tale Heart† Poe contributes to his main theme by  directly using certain gothic writing elements. More specifically, Poe uses the supernatural, gives his character an aberrant psyche, and creates a murky and chilling atmosphere that also directly correlates with the characters behavior and thinking. SUGGESTIONS: Paragraphs need to be broken up more. A little wordy NOTE: all quotations are taken directly from â€Å"the tell-tale Heart† This is an analysis of Poe’s story and his use of gothic theme writing.

Thursday, October 10, 2019

Disputes between the European Union and the Rest of the world Essay

Disputes between the European Union and the Rest of the world Introduction                   The sheer size of the EU sheer markets as well as its vast experience of more than forty years in negotiating international trade agreements has made it become the most powerful trading bloc in the world. Moreover, it has become a formidable power through trade, hence creating more problems with the rest of the world. The EU has increasingly used its market access as a bargaining chip to obtain changes within the domestic arena of its trading partners, starting with labor standards to development policies, and internationally, ranging from global governance to foreign policy. Therefore, this paper mainly analyses EU’s power in trade a factor that has made it create tension with the rest of the world. The analysis includes major dilemmas that are associated with how it exercises its trade power and point out why these strategies create tension with other international states. The argument also includes the need for the EU to refine it initial strat egies of accommodation for it to successfully transform its structural power to be more effective and hence have a more legitimate influence.                   Among the first goals of the EU as a trade power is using its power to secure concessions from others on market access. This makes it function as an economic globalization determinant or shaper. Basically, the EU is using its trade power to achieve non-trade objectives that range from the export-specific rules flanking market integration such as social, environment and safety standards to a more political or strategic linkage (Haughton, 2007).The rest of the world is therefore left to wonder if such use of trade power ultimately matters in geopolitical terms. Power in trade                   When we compare the EU and the US, there is no significant difference in the way the two exercise their power in trade at the bilateral levels mostly through agreements that they often have over their access to the market for their goods, capital and services in other regions. Agreements with EU have usually been involved more on reciprocal concessions over tariffs, quotas, and technical barriers to trade. However, concessions can sometimes be asymmetrical, either due to the fact that the EU could be making steeper cuts, or due to the fact that the value of the EU cuts could be greater following the size of the market. Failure to withstand such asymmetries means that the EU, similar to the US, uses preferential bilateral agreements to pry open the available markets that are found in the South as an exchange for accessing its own markets. Regionally, EU power has taken the form of less specific reciprocal concessions. As more nations across the world join regional trading blocs, the aim of the EU is to realize economies of scale through bloc-to-bloc deals. Such first bi-regional trade agreement is still being negotiated since 2000 mainly involving the EU and Mercosur, which is a customs union between Brazil, Argentina, Uruguay, and Paraguay created in 1991. It is to be followed by ASEAN (the Association of South East Asian Nations) as new economic partnership agreements (EPAs) with, among others, the Caribbean countries and the Gulf Cooperation Council. It cannot be denied that in Latin America especially, have taken such moves partly in consideration to reaction by USA’s own drive towards regionalism.                   EU’s involvement in multilateral bargaining at the global level has been shaped by its relationship to the US. These two great trade powers have for so long been engaged in what is seen by the rest of the world as a battle of the titans, as each side has been trying to ensure that each of them has a continued access balance towards the market through trade and regulatory deals, if not, to resort to dispute settlement (Grabbe, 2006). As that continues, they have also tried using their trade power to exert their rule of ‘western hegemony’ over the developing world, especially towards the so-called ‘new issues’ that pertain to services as well as intellectual property that were initially introduced during the Uruguay Round. Of late little co-operation has existed between the EU–US regulatory and these two powers have kind of began pursuing sharply diverging tactics, that came up with opposing alliances during the Hong Kong meeting of the Doha Round in December 2005. Power through trade                   The EU tends to be more attached to not only multilateral forms of trade relations but also to the premises of embedded liberalism. Contrary to the US case; the EU’s use of trade in order to achieve non-trade objectives has some pride as a potential instrument of Europe’s geopolitical power. Whilst little doubt exists in regards to the EU being considered as one of the top players in world trade, there has been a lot of keen interest while assessing EU’s identity as a ‘power’ in general. They have however put across various qualifiers in characterizing a mode of influence that can enable them to manipulate others and make them perform according to the interest of the EU.                   Existence of the shift from a post-war to a post-Cold War paradigm of economic hegemony does not seem to be towards only increasing interventionism inside the affairs of trading partners, that even other nations apart from EU promotes. It has also taken other forms absent in the subservience of trade to security imperatives, the power to be yielded from asymmetries in such interdependence, and the ends of increased interdependence, as scrutinized under a mode demanding criteria of legitimacy. Even as the US tries to promote some specific features of an open trading system that tend to serve its domestic interests, the EU instead has been increasingly engaged in a more clever game where values, interests, and model are blurred. It does not just try to promote openness, but are more concern with openness ‘the EU way’. Considering the fact that the EU itself is a system of market liberalization, external efforts that it encourages are regarding replication more than domination                   Most groupings that have come up in the last decade seem to have done so majorly to increase their bargaining power within the trade negotiations against the EU and the US. They forget that having a closer relation to other regions around the world tend to be a means of enhancing the normative power of the EU and a reflection of this power. This is because such EU outstanding context and unique character as an integrative policy among other states is shown to be important. It is not US as a federal state which is relevant to integration among countries, but the EU as a federal union. Therefore, it seems the EU’s support for regional organizations like the Pacific Islands Forum and the African Union is linked to a particular expectation of contribution not only to the economic integration but also to the prevention, management and resolution of inter-state conflicts.                   However, while the EU has considered itself to be the judge of what is right or wrong as a trade power, there is some evidence showing that as a union it is indeed a conflicted trade power. This is a fact since within its different guiding principles; there are various policies which directly contradict each other (Teorell, 2010). Regionalism vs. Multilateralism                   A lot of debate has been going on, whether regional trade agreements have been indeed building blocks or they are just stumbling blocks for multilateralism. The claim by the EU has always been that they are indeed building blocks. This was demonstrated when it defended the relevance of its own approach to the Uruguay Round agenda; as both the EU as well as the GATT at the same time tried to explore the fresh basis of trade in services, of course, with diverse ambitions as to the extent of liberalization. While it was a key player in the launching of the Doha Round, it is also becoming an active promoter of regionalism.                   The question then left to ask is whether these two factions are compatible. Following the sudden jump in terms of free trade agreements to more than 300 like in 2001, the shocking thing is that the WTO has not been able to reach agreement even on a single case report towards any regional agreement in spite of them vowing to participate in the role of regional trade committees. This is in contrast to the Appellate Body which has taken on the issue, for example, they suggested on the need to apply some kind of ‘necessity test’, towards a recent ground-breaking case, where by Turkey and EU were condemned after they increased unnecessary barriers to Indian textiles when Turkey decided to enter its customs union with Europe. Following the move the EU is still drawing lessons. Of course, such judgment may act as an inspiration to the EU policy-makers in their endeavor devise strategies of accommodation trying to tame the trade-diverting effects on regionalism. As an alternative, on the region-to-region front, there could be a possible insertion of clauses that link the implementation of market access deals with progress on the multilateral front, just like it was done with ASEAN. EU’s regionalism can also come under conflict with bilateral agendas of their own partners. Trials by the EU’s strategy of encouraging regional co-operation in the Balkans have come into conflict following its use of trade linkages for domestic change.                   Also, as was realized in the Euro-Med context when the EU sought to draw lessons from past relations with the Mediterranean after its multi-lateralized its relations and encouraged trade among the southern partners by changing its rules of origins and allowance of accumulation, for example, aggregation between the value added to the southern nations. However, following lack of consensus between these economies, such approach has not yet been judged to bear fruit, (Knodt & Jà ¼nemann, 2007). There could be a need for more drastic incentives. Continued systematic promotion of regionalism could be of harm indeed to the EU’s proclaimed development goals. Like, when some analysts argue that being engaged in urging of rapid regional integration in Francophone West Africa was seen as a great contributing factor towards the subsequent instability in the region. The EU sought free movement of goods in this case, but not people, but failing to provide a re distributive wealth mechanism that was to deal with adjustment costs and at the same time undermined government social programs.                   Moreover, most of the deals negotiated throughout the 1990s under the watch of the New Transatlantic Agenda between the EU and the US tended to be vulnerable to similar criticism. In a way they have had a trial to the feasibility of exporting the approach by the EU of market integration through regulatory mutual recognition by the US. However, still it is important for the EU and the US to design such agreements as well as their supporting mechanisms better and make them be open to those who are new who might take the approach of respecting the standards adopted trans-atlantically. Non-discrimination vs. Bilateral preferential relations                   What can be seen as a major variant on the multilateralism –regionalism dilemmas tend to be increasing tension between the vowed commitment of the EU to international trade law, more specifically the highly favored-nation (MFN) principle, as well as the desire of the EU to be able to maintain preferential trading relations with specific countries. The agreement by the EU to the concept of ‘trade distorting’ regimes that stems from some of its members’ colonial pasts, exceeding the entire preferential market access granted to ACP countries, may of course sound as an objective even more commendable as compared to the MFN pursuit of global justice. However, it is important for EU to be clear on the price it has to pay for this moral luxury. Therefore, establishing such tension between international law and special relations tend to be acting geopolitically pitting two sets of developing countries against one another.                   Likewise, the 2001 Everything But Arms initiative (EBA) involvement in granting duty and quota-free access to the entire exports but not where arms and munitions are involved from the least countries that are less developed has faced criticism for excluding the key crops such as sugar, rice and bananas until 2009, as well as for leading in discriminatory practices among developing countries. Vulnerable and small economies that have been included tend to be bound to displace the exports of the same but some countries were excluded. Some States like the Caribbean or the Bangladesh members of the ACP group got a chance to benefit from this preferential trading arrangement with the EU. The WTO has many times condemned such policies. However, most of the member states, like UK, France, or Portugal who are former colonial powers, would not be keen on abandoning a system that is designed to eradicate poverty for the poorest farmers around the world who have bec ome dependent on inflated EU prices. In this instance, the EU has chosen a classic strategy of accommodation: progressive graduation as well as the negotiation of transition systems. Based on the multilateral constraint, EU’s only remaining power tend to lie with determining the speed of transfer of adjustment costs with its trading partners and its import intermediaries.                   This kind of negative power is doomed to unpopularity. Therefore, by EU presenting a new deal like in 2005 of cutting guaranteed sugar prices by 36 per cent over four years, it was predictably criticized on all sides, attacked based on the fact that it was reforming the detriment of poor sugar exporting countries and it was failing to move much further. Somehow, the EU seems to have taken firm grounds stand, ironically, even playing around with the non-discriminatory obligations that are contained within the GSP, at least as under the rule of the WTO 2004 appellate body ruling on EU vs. India. In this case, India was challenging the EU’s modified GSP which tend to provide an additional margin of preference on the part of recipients with drugs enforcement policies where the Commission was involved in inventing the entire list of beneficiaries of the programme without considering any objective criteria. Seen as a brilliant compromise given to the EU given by the AB, the benefit of the doubt based on the fact that indeed the right to modify preferential treatment was not subject to a simplistic constraint of identical treatment among beneficiaries, (Tocci, N., 2007). The AB argued that different developing countries were not situated on the same way when it comes to their different needs and hence could possibly be subject to ‘performance requirements’ as long as the approach were objective, transparent, as well as non-discriminatory in the broad sense. What question perhaps remains to be tested is what are acceptable conditionalities more generally? In a sense, it was important for the EU to develop a more universal approach as to where to draw the line. Western Hegemony Vs. Mediating Power                   An area which has also brought tension is in the EU’s alliance strategy as well as the light it portrays on what kind of actor it really wants to become. As a matter of fact, is it possible for the EU to play the part of the nervous protectionist North (agriculture), the rich liberal North (services), as well as the mediator between the South and the North? Taking the ‘rich North,’ is it necessary for it to generally to always take the US side for it to protect their shared commercial interests? Or it should go for emphasizing its vocation as a mediating power on the global scene, especially between the developing world and the US but at the same time, increasingly, between different interests in the developing world itself? Just as was recently demonstrated by controversies in the Doha Round, not only do multilateral trade negotiations are asking how much liberalization, but they are also asking what kind of liberalization as well as for whose benefit The Uruguay Round basically represent the culmination of an assertive US–EU alliance bent towards a commercially driven line in addition to a grand bargain between their reluctant acceptance of (partial) opening on some tropical/agricultural products and a (delayed) opening on textile, as an exchange for introducing fresh issues within the newly created WTO. In particular, intellectual property issues have exposed the EU to a lot of criticism that comes from the developing world due to the fact it sided with the interest of US multinationals.                   This tension between the North – including the EU – and the developing world started way back. However, a lot of attempt has been made by the EU to establish a reputation as a champion of development including through its 2001 role, when it launched the ‘Doha development agenda. Some other promoted path-breaking declaration on trade and public health has been going on. Like it has opened the way for legalizing broad exemptions from intellectual property constraints during any imports on generic drugs to treat diseases such as AIDS. There are also other initiatives, for example the databank which was set up by the Commission’s Directorate General for Trade in order to assist developing countries in their market access strategies, and have enabled the EU begin to change the image it has in the WTO.                   Following what recently came up in the Doha Round is an indication again to the lack of commitment that the EU has in seeking to marry its natural alliance in most of the domains (not all) with the US and its development advocacy. For example, when a World Bank Study questioned the EU’s ‘demonstration strategy’ through EBA stating that once requirements such as standards as well as rules of origin were taken into account, it was realized that the US was actually more open to LDC exports as compared to the EU. On the other hand, there is failure by the EU to promote multilateral solutions that is capable of addressing perhaps the single most important factor that links trade and poverty such as the massive volatility as well as decline in the price of primary commodities. As a result if the EU is indeed committed to uphold an image as a ‘mediating power’ within the global political economy, it will have no option but to ac tively promote changes in the WTO which the US is likely to actively resist, (Marshall, M., & Jaggers, K.,2010). However, a lot of failure has been manifested by the EU in exploiting a potentially promising strategy of accommodation like putting transatlantic economic as well as regulatory co operation at the service of multilateralism. Internal vs. external objectives                   Somehow, the manner in which the EU is exercising power through trade should be held up to special standards. Claiming consistency between its internal and external actions tend to be at the heart of its legitimate exercise of power. The EU has indeed faced difficulties in an attempt to lead by example in the area of trade. Like, in case where the single market has been premised based on the assumption that free movement of people is a key dimension of market integration, as a matter of fact, what will this one mean for the position taken by the EU on the freedom of movement of people in order to deliver services? In order for EU to be consistent, it will need to invest political capital and more creativity in ‘globalization with human faces’ as well as the manner in which there could be encouragement of back-and-forth movement of people as an alternative to permanent migration.                   The existing tension between the internal and external is well evidenced over agriculture, and came up in the Doha Round. A lot of questions have been raised over the conflicted position taken by the EU regarding agricultural tariffs and subsidies in its commitment to putting multilateralism at the service of development. As a matter of fact, there is no need for denying European citizens their landscape, food security, and way of life. However, it is important to tell them the much it costs, like the number of people who are now living under $1 a day. Also the question can be whether region-to-region agreements tend to be more about promoting regional integration outside the EU ‘per se’ but not taking the form of a worldwide strategy pushing for convergence with European standards as well as mutual opening of markets, thereby supporting EU incumbents. Time and again representatives of Mercosur have stated that they are aiming to follow the EU’s example, which according to them has made Europe ‘less dependent on the outside world, (the EU has stressed market opening). What is interesting is that the current political leadership in Mercosur, particularly President Lula in Brazil, have kind of supported the EU project over the US-led Free Trade of the Americas Agreement, indicating that the EU’s leverage through trade does not show some indications of legitimacy as compared to that of that of the US, (Stephanie Hanson, and Brianna Lee, 2012).                   Moreover, it seems that EU assumes that the liberal recipe of ‘peace through commerce’ which has indeed seems to have worked so well with them applies uniformly anywhere else. Generally, trade is capable of fueling conflict especially when carried out within a context of corrupt governance, deep social inequalities, and unfair rules, as well as without enough attention being paid to its destructive byproducts like export dependence, adjustment costs, price volatility or illegal trafficking. For EU to bring its external action to be in line with its internal philosophy, it needs to establish trade policies that are also sensitive to these potential conflicts. The current certifications efforts for diamonds or timber constitute tend to be a promising starting point. Equal Partnership vs. Conditional Opening                   There is a fundamental contradiction that exists as well within the very idea of ‘normative’ or ‘soft’ power. The language the EU is speaking is of shared norms which are developed through consensus and co-operation. But on the other hand, trade power tends to be the use of ‘carrots and sticks’ in enforcing such norms on trading partners. We are not even surprised that the incorporation of non-trade conditions in trade deals faces great resistance from developing countries, as they just see this to be a blunt coercion. A growing debate is now going on regarding the effectiveness of conditionality, which is now kind of spilling over from the field of aid to that of trade. Regardless of any instrumental argument, what is still being asked is whether a post-colonial power is not suppose to rely on voluntary change as well as the provision of public goods like its markets in bolstering the likelihood of such change. Do we miss to see a contradiction as the EU tries to export norms of its making, which is predicated based on voluntary co-operation between states using its quasi-coercive leverage through trade? Some of the policies such as the EBA undoubtedly tend to lie at the other end of the spectrum; unconditional opening to be a tool for development; having trust that new export opportunities in themselves is likely to encourage desired changes in the beneficiaries. Nevertheless, is it true that this policy is genuinely taking the interests of developing countries to heart, or it is just a public relations coup on the part of the EU? This is a signal to the rest of the world that the EU was eventually acting upon its pro-developing world rhetoric, the EU managed to find their way out in Hong Kong in generalizing the principle under WTO. So far giving way duty/quota-free access to 97 per cent of the products that originates in least developed countries is not welcomed by majority. Trade Liberalization vs. Domestic Preferences                   There is great tension for the EU as a trade power based on the embedded liberalism compromise. The conflict is in the manner of combining a trade liberalization credo with a primary concern for the social effects of market integration. Often, the EU has been facing social demands for protection that somehow may be going beyond the spirit of embedded liberalism. In response to such demands, the Commission’s trade policy-makers under the leadership of Pascal Lamy have developed a fresh conceptual apparatus based on the fact of collective preferences setting up institutions that are capable of forging collective preferences. The end result is diversification of social choices over health care, inter alia food safety, precaution in the field of biotechnology or welfare rights, cultural diversity, public provision of education and health care. However, it is argued that if these concerns justify protection then the EU has the obligation of providing c ompensation to its trading partners. Conclusion                   Indeed, it seems like EU exploits its formidable trade power for pursuing non-trade objectives through conditionality or through fostering regional trade blocs in its own image. This highlights the way the divergences between member states objectives makes it hard for the EU to signal its resolve to the outside world more clearly. Nonetheless, such divergences are themselves a byproduct or an expression of existing tensions between various alternative priorities or even norms that must simultaneously be committed to by the EU machinery, such as nondiscrimination and bilateral preferential relations, regionalism and multilateralism, western hegemony and mediating power, trade liberalization and domestic preferences, internal and external objectives, equal partnership and conditional opening. Due to the fact that legitimacy tends to be the main currency for an aspiring normative power, it will be difficult for the EU to effectively become a power through t rade without addressing what majority of the world considers being unsustainable contradictions. References Haughton, T. (2007). When does the EU make a difference? Conditionality and the accession process in Central and Eastern Europe. Political Studies Review, 5(2), 233–246. Knodt, M., & Jà ¼nemann, A. (2007). Introduction: Conceptionalizing the EU’s promotion of democracy. In A. Jà ¼nemann & M. Knodt (Eds.), Externe Demokratiefà ¶rderung durch die Europà ¤ische Union-European external democracy promotion (pp. 9–32). Baden-Baden: Nomos. Marshall, M., & Jaggers, K. (2010). Polity IV project: Political regime characteristics and transitions, 1800–2009. Fairfax: Center for Systemic Peace, George Mason University. Stephanie Hanson, and Brianna Lee (2012) Mercosur: South America’s Fractious Trade Bloc. Retrieved 3rd 10, 2014. http://www.cfr.org/trade/mercosur-south-americas-fractious-trade-bloc/p12762 Teorell, J. (2010). Determinants of democratization: Explaining regime change in the world. Cambridge: Cambridge University Press Tocci, N. (2007). The EU and conflict resolution. Promoting peace in the backyard. London: Routledge. Source document