Monday, September 30, 2019

Providence Within Romeo and Juliet

Shakespeare writes of a world marred by the petulant idiocy of the Montagues and the Capulets, requiring God to intervene in order for the quarrel to end. Romeo and Juliet are fated to be â€Å"A pair of star-cross’d lovers†¦Ã¢â‚¬  and are the living sacrifice necessary to end the feud. Providence utilizes the pressures of society and time to create whirling events established as fate within the play in order to impose a gentle ending for the lovers. Shakespeare establishes a forcefulness of fate and a great will of God in the life and death of Romeo and Juliet as a means to bring peace to the corrupted society of Verona. The public and private lives of Romeo and Juliet are greatly influenced by God’s unequivocal desire to end the disorder and chaos within Verona. Providence utilizes the pressures formed within Shakespeare’s society to aid in the death of Romeo and Juliet. The feud between the Montagues and the Capulets creates an undisputed loathing between the two families and yet, Romeo and Juliet manage to look deeper within identity and see beyond a family name. Juliet transcends beyond Romeo’s surname and knows that her love for Romeo lies within Romeo’s personality. â€Å"What’s in a name? That which we call a rose/ By any other word would smell as sweet. † (2. 2. 43-44) Though the lovers express a maturity in being able to come together privately and look beyond identity, the idea of Romeo and Juliet coming together is inconsistent to society. As a result, the lovers form their lives together in secrecy which results in Providence easily manipulating the course of the lovers as their love is unknown and disregarded within society. The secrecy of Romeo and Juliet’s love, and later marriage, causes Juliet to hurry into swift action which is later revealed. Friar Laurence, characterized by his wisdom and philosophy, is swayed in judgment as he begrudgingly weds Romeo and Juliet. The Friar agrees to oversee the marriage as it is his idea that the two families will be united through a sacrament between the couple and God. â€Å"For this alliance may so happy prove/ To turn your households’ rancour to pure love. † (2. 3. 91-92) Friar Laurence recognizes the need to end the feud as the quarrel between the two families will otherwise completely disunify society through violence and death. However, Friar is aware that the rash and impulsive decision to marry will cause the couple â€Å"[to] stumble as [they] run fast. † (2. 3. 94)- as Shakespeare is referring to the lovers, he evokes the death of the couple. Shakespeare establishes fairness within the law whilst also establishing Providence’s ability to manipulate fate through Romeo’s banishment. Romeo acts out of foolishness as a result of vengeance and fate. Romeo, after killing Tybalt in an attempt to avenge Mercutio’s death, is sentenced, by the law- giver Prince, to banishment as an acknowledgement of Romeo killing the murderer, Tybalt. Shakespeare evokes Providence’s desire to establish unity within Verona as the law is given fairly through Prince and additionally the tragedy of the lover’s demise is continued as a means to end the feud and restore order. Poverty, within Romeo and Juliet, aids in destroying the lives of the lovers. Romeo, stricken with grief at hearing of Juliet’s death, wishes to commit suicide and approaches a poor apothecary whom unwillingly agrees. â€Å"My poverty, but not my will, consents. † (5. 1. 5) Shakespeare establishes that the society he writes of creates a contrast of wealthy and poor resulting in the apothecary providing Romeo with an illegal poison and gaining money the apothecary believes may make him wealthy. The poison the apothecary provides Romeo with causes the physical death of Romeo and aids in the work of Providence as the demise of one lover ultimately kills the other. Romeo and Juliet’s deaths and the events that lead to their demise ar e a constant work of Providence. Shakespeare utilizes speed as evidence of the force of fate acting upon Romeo and Juliet as well as, an aid in the destruction of the lovers. Shakespeare builds a fast- paced world around Romeo and Juliet which results in swift and hazardous decision making. The final scene of the play, which details the death of the lovers, occurs quickly and hastily as Romeo swiftly slays Paris, drinks the poison, and dies within the tomb having Juliet, moments later, immediately commit suicide at seeing her love lying deceased upon the ground. Shakespeare establishes the reliance of time in regards to assisting Providence in the death of the lovers. Events happen at such a rapid pace, it results in an inability for characters to adhere to the Friar’s wisdom of properly contemplating situations and an inability to ponder a solution other than that of suicide which would attempt to counter Providence. The deaths of Romeo and Juliet are necessary sacrifices within Providence’s plan to restore unity, peace, and ease within Verona. The citizens of Verona are greatly influenced by a feud that Shakespeare leaves unexplained and unreasoned. Servants from either household are willing to fight for their masters, though not for a particular reason. â€Å"The quarrel is between our masters and us their men. † (1. 1. 18) Shakespeare emphasizes the need for a great sacrifice as Verona’s citizens are easily swayed into violence without proper reason, suggesting the inability for the law within Verona to overcome the violence resulting from the feud. The feud within Verona has resulted in a loss of human dignity and a disregard for life. Tybalt, upon recognizing Romeo’s voice at the Capulet’s banquet, is quick to assume Romeo has come to harm the Capulet’s in some way and swiftly admits â€Å"To strike him dead I hold it not a sin. † (1. 5. 58) The suicidal death of Romeo and Juliet reestablishes a regard for human life as the families witness the result of their children having lost a regard for their own lives. Providence required the death of the two lovers as their death effected both the Capulets and the Montagues in such a personal way as they realized the consequences of the feud the families had established. Romeo and Juliet are fated by Shakespeare to love and die as a means to end their parents’ feud. Providence is evident within the lovers’ lives and deaths as events occur out of fate. The disordered society of Verona pressures the lives of several characters to unknowingly aid in the destruction of the lovers. Time is evoked as being destructive as the rapid movement of time aids in the lovers’ dying at possibly avoidable moments. The forcefulness of fate and the will of God as a result of the lovers’ parents’ quarrel resulted in the death of Romeo and Juliet.

Sunday, September 29, 2019

Politics & The English Language-By George Orwell Essay

1: Orwell’s thesis is somewhat stated, but also implied. His thesis is that any effect can become a cause, such that something that starts as an aid for a different ailment may eventually become detrimental. 2: Orwell’s analogy of the cause and effect of alcohol abuse to the demise of lanuage in paragraph two is very effective. It shows a chain reaction, where the person starts drinking alcohol to combat a problem in their live, but then the alcohol eventually leads to more difficult problems. 3: In Paragraph 4, Orwell uses a simile to compare â€Å"phrases tacked together† to â€Å"sections of a prefabricated henhouse†. That shows how prose consists of words that aren’t necessarily chosen for their meaning, but instead just because it’s easy. In Paragraph 12, Orwell uses a similie to compare someone â€Å"choking† to â€Å"tea leaves blocking a sink†, which shows how the author knows what he wants to say, but sometimes he has too many â€Å"stale phrases† in his head. In paragraph 15, Orwell uses a similie to compare â€Å"a mass of Latin words fall upon the facts† to â€Å"soft snow†, which blurs the outlines, and covers up the details. In paragraph 16, Orwell compares â€Å"his words† to â€Å"cavalry horses answering the bugle†, which create an analogy that is effective because both words and cavalry horses are powerful. 4: Removing the extensive uses of examples in paragraphs 5, 6, 7 and 8 weakens Orwell’s argument, and makes the passage less interesting and boring to read. The examples also aid Orwell’s credibility as a writer. 5: The additional information in the footnotes in paragraphs 7 and 8 serve to clarify and expand on his ideas. I believe that he made them footnotes, as opposed to putting the additional information right in the body of the essay, because putting the information in the body of the text would take away focus from what he was writing and the points he was trying to make. 6: Orwell may not have any doctoral qualifications to speak on language, but he establishes his ethos, his ethical appeal; by using an immense amount of examples. He should not of been more direct, he proved his point quite well in the way he already wrote the essay. 7: Orwell’s essay is organized quite exquisitely. He starts the essay with a few introductory paragraphs, then he lists 5 passages where what he just states applies, which is very good at proving his point. Then he speaks on four different sections: Dying Metaphors, Operators or Verbal False Limbs, Pretentious Diction, and Meaningless Words. He uses a ridiculous amount of examples throughout his essay. 8: Orwell’s purpose in writing the essay was to show how much language and wording can affect someone’s writing. His Post-WWII knowledge could aid the essay, because during WWII both sides (Axis & Allied) used propaganda to stress their point, and their propaganda used wording effects quite frequently to get their points across. 9: Orwell’s tone varies across the passage, but he is always trying to accomplish the same goal of the wording effect on language and writing.

Saturday, September 28, 2019

State Agencies- Structure Models Research Paper Example | Topics and Well Written Essays - 250 words

State Agencies- Structure Models - Research Paper Example The centers of urgent care operate with a cheaper fee and do not have the space of providing services to patients who do not pay. Additionally, the health facilities are normally certified by the joint commission (Winston, 2012). Assuming the center is working under the tax identification number of the hospital, the surveyors could choose to carry out the operation of the outpatient Center and the standards simply not appropriate for the urgent care. When that is done, the excessive cost would be brought down. Consequently, the prospective payment mechanism, established by the Medicare needs that all the services offered to the same clients for the similar diagnosis by a related organization with three days of hospital admission, is taken to be part of the admission. For the same reason, any facility operating the urgent care center as a super agency model will be required to have and maintain the mechanism of tracking the patients to follow the post treatment in the centers of urgen t care and to consolidate he service charges that meet the criteria(Williams & Connor,

Friday, September 27, 2019

Literature Review Assignment Example | Topics and Well Written Essays - 2250 words

Literature Review - Assignment Example Clinical symptoms of CHF include: breathing problems, fatigue, exercise intolerance and peripheral oedema, and frequent thirst. According to Donner et al. (2012, p. 442), some of the causes of heart failures include high sodium consumption, consumption of foods that are poor in vitamins, mineral and fiber, high intake of saturated fat, cholesterol, and simple carbohydrate. Among adults with over 65 years, CHF is the leading cause of hospitalization. Doris et al. (2007) argue that effective management of heart failure requires pharmacological management combined with non-pharmacological interventions. This position is significant in this literature review because of the need to evaluate the best option between pharmacological and non pharmacological management interventions. It will be vital to evaluate which option will provide the best management that will ensure no reoccurrence of hear failure in elderly patients. In this literature review, three themes stand out in the management of congestive heart failure namely; pharmacological treatment therapies, non pharmacological treatment therapies, and a combination of the two management therapies. PHARMACOLOGICAL MANAGEMENT THERAPIES Pharmacological management therapies involve administration of a drug to alleviate the symptoms of CHF. Diuretics such as furosemide, torsemide, bumetanide and thiazide are important drugs in the management of CHF. Administration of these drugs can either be through intravenous bolus every 12 hours or by continuous intravenous infusion. Debates still exist on the most effective way of administrating these drugs. Similarity Some studies have shown that administration by continuous intravenous infusion is more effective in the management of CHF. Differences However, these studies have received a fair share of criticism. Similarly it is not clear as to whether administration of high dose of diuretics is more effective in management of CHF than administration of low doses of diuretics. Th is means that current guidelines on administration of diuretics are based on expert opinion. This has resulted in variation in the mode of administration and the dosing. The integration/synthesis of the evidence There is still some controversy on the administration of pharmacological management therapies. This may have some negative impact on the treatment of CHF among elderly patients. For example, in a study done by Felker et al. (2011), it was observed that among patients with acute decompensated heart failure (HF), there no significant differences in â€Å"patients’ global assessment of symptoms† or in the change in renal function on administering diuretic therapy by bolus when compared with continuous infusion or at a high dose as compared with a low dose (p.797). These findings do not agree with findings of previous study, which recommended that continuous intravenous infusion is more effective than intravenous bolus. Critique of the evidence This leaves the medi cal doctor at a dilemma and thereby, no agreement on the best way to administer pharmacological treatment to patients. Unless this is done, varying expert opinion will still be used in the administration of diuretics by clinicians, and this poses a danger to the patients because such treatment will be based on try and error. NON PHARMACOLOGICAL CHF MANAGEMENT THERAPIES Non pharmacological CHF management therapies involve the use of non drug approaches to alleviate the symptoms (Kostis, et al., 1994).

Thursday, September 26, 2019

The Bluest Eye and Cathedral Raymond Carver Essay

The Bluest Eye and Cathedral Raymond Carver - Essay Example The story revolved around the manner by which the girl, Pecola, desired to be white, with pale skin and the deepest blue eyes. On the other hand, The Cathedral narrated a story about a man's encounter with a blind man called Robert. The account for this brief interaction, with its varying phases of emotional experience and personal relationship was anchored on how the latter was able to teach the narrator a new perspective in seeing things, transforming him in the process. Thematic Similarities The similarities between Morrison and Carver's work rest fundamentally on the way they wrote their respective stories on families in addition to troubled and tragic protagonists. Pecola suffered physical and psychological abuse from her father and her surroundings whereas; the Robert in Carver's tale was blind and has recently lost his wife. Even the narrator of the story seems to be suffering from some form of inner turmoil and suffered from confusion and emotional catharsis among other thing s depicted in a number of nuances and details. Also, both of these stories revolve around the theme of bigotry. In Morrison's work the community is still typified with the discrimination against the black people. As a result, people that surrounded Pecola used the whites and their lifestyle as standards of perfection, wherein those that they have are things to be desired. Her parents called her ugly, so she aspired to be white with blue eyes. Carver concentrated the bigotry on his narrator. It was not racial but targeted towards someone with disability. There was prejudice in his attitude towards the blind man and when he met him, it was further tinged with a degree of condescension. About Standards The theme of beauty and aesthetics, which is at the core of The Bluest Eye, revolved around the idea that being white, is beautiful. This variable is crucial in explaining the female black identity in the story. Morrison described this as psychologically damaging to black girls in Americ a. By providing a racist and patriarchal social setting, Morrison was able to illustrate the manner by which black women and men were shaped by cultural influences. To demonstrate this, there is the case of Pecola's father. He was treated throughout most part of the book with a kind of repulsiveness because of his appearance. For some, his looks appeared to resemble that of an alcoholic, so even he was not, he became one. The social perception involved with being black was emphasized to be equated with ugliness and Morrison enumerated several adverse effects on the psyche and behavior of a people. Carver was more specific in his tale with his minimal use of characters. In the interaction between his bigoted narrator and blind Robert, the reader is provided a summary of the social perception on disabled people. When the narrator met Robert, he observed and observed and, in his thoughts, the readers would be able to identify preconceived notions, prejudices and antagonisms that many o f them would find familiar. Cultural versus Utilitarian The treatment of themes and the text content conveyed revealed two different concerns. As Morrison focused on racial and gender identity, and the role of the social norms in the rage and pain of a people with their privations and exclusions, her narrative became a cultural critique. On the other hand, through his

Wednesday, September 25, 2019

Process of exploring acomplex situation Essay Example | Topics and Well Written Essays - 1750 words

Process of exploring acomplex situation - Essay Example Each of these categories has their own matched occupations. For example, the realistic type is best suited to be a mechanic, drill press operator, assembly-line worker or a farmer (Robbins 2005, p. 39). These classifications lend understanding on how individual behave towards their work and other people. Hence, choosing the most appropriate motivation tool can be applied to that individual. Central to the effectiveness of motivation is its definition. Motivation is the "willingness to do something and is conditioned by this action's ability to satisfy some need for the individual" (Robbins 2005, p. 48). The needs of the individual which must be satisfied are identified through the understanding of the individual's personality. Lukes, Gaventa VeneKlasen and Miller explained that there are three faces of power: visible power which is the first face of power, hidden power which is the second face of power and invisible power which is the third face. More specifically, an example of invisible power is culture which means the "invisible power concealing behind concretely visible things and it will influence people's behavior" (Chang and Lee 2007, p. 300). Power visible is the ability to influence decision making and thus, can be observed. This power is sourced from specific mandates, for example a company's Chief Executive Officer's power is visible and inherent in his position. Power invisible, on the other hand, is not always observable. It is the shaping of people's wants and needs which is normally embedded social, cultural and ideological norms and values. For example, in the early 1970s, an American manager deployed somewhere in Japan has no visible power to fire an employee because of the cultural and social norm in the county of 'life time' employment. Question # 3 Part A Figure 1 Spray Diagram Part B 1. The Community - being the most affected by the wastes and toxins emitted and discharged by the United States' healthcare systems. The people, as the community, are directly affected because of the diseases resulting from exposures to toxins released by the healthcare system. This considering the rising cost of healthcare. 2. The Healthcare Systems and its Components - if the healthcare system doesn't shape up in light of its impact to the environment and to the community, affected stakeholders such as the community and the government will likely demand penalties. The Healthcare System is composed of clinics, hospitals, doctors, suppliers, pharmaceuticals, incinerator operators, and its employees. 3. The Government - as the overseer of the whole system which includes the healthcare system and overseer of the welfare of the average American, the government can not help but to take a firm hand on how the healthcare system manages its wastes. Part C Based on the discussion and the spray diagram, surely I am as much at risk as the average American. The effects of exposure to toxins such as the chlorine content of polyvinyl chloride or PVC and mercury are not selective. These toxins can affect anyone, anytime. Chlorine from PVC "forms cancer-causing dioxin as a byproduct when manufactured and incinerated" (HermanMiller 2007, p. 4). Most of the diseases resulting from exposure to the toxins and dioxins released from the wastes of the different components are fatal while all of them requires high amount of money to cure. In my opinion, the Hippocratic Oath of physicians should be expanded and include the well being not only of individual

Tuesday, September 24, 2019

How does a leader find the balance between employee needs and the Essay

How does a leader find the balance between employee needs and the organizational goals of a company - Essay Example Such leaders sometimes prove effective in achieving their goal but they are inconsiderate toward their employees. In my perspective, this type of leadership is not balanced because such leaders can’t approach their goals and reach a decision that can satisfy most of their employees. So being a â€Å"balanced† leader who tries to achieve the company’s goal, and also cares for the workers requires a special approach. First of all, the leader should understand the characteristics of all of their workers, and he/she should use past experience to reach a decision that can satisfy the majority of individuals in the company. Understanding the characteristics of workers is the main objective in drawing a balance between the employees’ need and the organization’s goals. The leader of a company should gather all information about the workers and study each section of their abilities and weaknesses. Employees are human beings and they are not perfect, so understanding their situation is the first step in balancing the employees’ needs and organization’s goal. Then the leader can establish the working style, vision, mission, and rules of organization that can satisfy the employees as well as help the leader achieve the goals of the company. Besides collecting and analyzing the data, leaders should use past experience when they reached a decision for their previous organizations. They should reflect on their past experience while making a recent decision for the company, so that the leaders can learn from their past mistakes that made them distracted from the organization’s goals and also overlook the employees’ needs. This way, the decision they take will satisfy the recent employees’ needs, and approach the organization’s goals. It is complicated to draw a balance between the employees’ needs and the organization’s goals. It is because we are living in the real world that is different from a perfect world. There are no paths to

Monday, September 23, 2019

Supply chain relationship management Research Proposal

Supply chain relationship management - Research Proposal Example The first benefit is that it results in job creation. Such kind of jobs results in various roles for the employees like managers, sales, distributors, warehousing etc. There are mainly two classification of retailing depending on the identification of products. It was necessary to allow grouping of the products on the basis of the forecast methods, replenishment methods, planning system etc. The two classifications are Functional or staple products and Innovative Products. There are many challenges in retail supply chain. One challenge is that it can be very costly if the supply chain is not properly designed. There are many other glitches which are both external and internal to the business. Another major problem facing them is Suppler Reliability. If any supplier fails to do any of his function then there will be no product for them to sell (Coyle, Langley, Gibson, Novack and Bardi, 2008, p. 211). This can result in result in loss of consumers, lost profits and declining sales turn over. Hence in the process of selection of supplier it is very important to choose any reliable supplier. In today’s scenario, potential markets and outsourcing can have a major impact on the way a retail supply chain is structured. Presence of low cost for innovative products from Asian and China countries has resulted in paradigm shift to global manufacturing from local manufacturing. Hence this affects the supply chain in terms of cost and complexity. Bullying happens in retail sector where the companies like Wal-Mart have been accused of bullying small retail outlets. Retail stores are now taking full potential of the technology by carrying out many of their activities online. Hence such devices have increased the efficiency of small and medium retail business. But the main point of contention is that it could take forever for the company to generate returns on their investment (Mentzer, 2001, p. 186). The data

Sunday, September 22, 2019

Chocolate by Joanne Harris Essay Example for Free

Chocolate by Joanne Harris Essay If we were all to rebel against what weve always known to be accepted, if we were to completely ignore the teachings of our elders and do the things weve been taught to be evil and sinister, what would happen? This situation is one which occurs in a small and tranquil French town in the extract from Chocolat. Throughout the extract there are a variety of juxtapositions, polarizations, and much contrast building the subject. Joanne Harris creates a compelling story, but not without exaggerated or overstated situations. Through reading the extract and analyzing each significant line of literature, we are able to understand the narrator and the young girls character to a more advanced degree. In the extract, we first encounter Vianne with her daughter Anouk as they brave the harsh wind and settle into the new village. We came on the wind of the carnival. The quoted piece of literature displays the sly exotic wind, a rather unusual one for February. To some extent, the wind presents the characters of Vianne and Anouk as they are independent and wild, the same as the wind that brought in the carnival. Reminiscent of the carnival, the narrator and her daughter are very bright and lively which is ironic as they settled the grey village during the time of the carnival. This piece of text also shows polarization; Light vs. Dark and Lively vs. Dull, as well as contrast between the towns people and the carnival. The polarization of Lively vs. Dull can be seen in the extract through the mentioning of fanciful tales. A dragons head on a shield, Rapunzel in a woolen wig, a mermaid with a Cellophane tail, a gingerbread house all icing and gilded cardboard, a witch in the doorway. Seeing that most of us have matured with the impression that fairy tales are magic- blissful, bright and fantastic, as we read this passage we can see how Vianne trys to keep magic alive in Anouk as well as in herself. Their itinerant from town to town represents this burning flame; the magic she is striving to keep alive. Not only does Vianne attempt to keep magic flourishing in herself and Anouk, she also aids the parishioners. The extract is an enchanting brew of confections and humanity. Vianne, a shaman-like woman rides the North wind casting her spell of kindness to  those in need; she visits town after town seeking battles with those who would take advantage, and attempt to lord over other poor souls. Carrying on a tradition of lifting the spirits of the downtrodden, with her magical unrefined cocoa and special chili pepper in the form of delicious chocolates. This shows great contrast amongst Vianne and the villagers for the reason that, the personality of Vianne is much di fferent than that of each person in Lansquenet. We also notice this contrast out of the text through Her silk scarf fluttering at her throat; the child in yellow Wellingtons and sky blue mac. Their coloring marks them. Their clothes are exotic.. Unlike the towns people, Vianne is more insightful and exotic as well as observant but nevertheless logical. This is shown in ..knowledge is currency here.. and I feel their gaze As for Anouk, she is able to see beyond the truth. At first, we witness this during the carnival. But at six the world retains a special luster. Then, at the mentioning of a mermaid. ..a mermaid with a Cellophane tail.. She can still see the real witch, the real magic. Joanne Harris used a great juxtaposition here; magic vs. functionality. Not only does Joanne Harris use juxtapositions to build her subjects, she also employs contrast, polarization, connotations, sensuality/austerity (priest, villagers) plus flamboyant passages along with descriptive ones used to paint an image in the readers mind that appeals to our senses. For example, to appeal to our tastes Joanne Harris uses very descriptive words that are enough to make you drool. ..hot greasy scents of frying pancakes and sausages and powdery-sweet waffles.. This also creates wild images in the readers mind, tying in contrast amongst the carnival and towns people. The fact that Vianne arrives in town on the day of the carnival just prior to lent shows great significance- Contrast to people and village is Lively vs. Grey/Dull, which ironically is seen a lot throughout the passage. The carnival also acts as a connecting thread though means of a new beginning. More precisely, a new beginning between Vianne and the villagers; almost like a float. In addition, the carnival sets mood and personality; the fact that everything is not always as is seen, especially when it comes to Religion where the church is a means of control. This control is used as a juxtaposition, repression, and emphasis throughout the movie as well as the passage. All the factors mentioned in the essay; character, language, connections, significance, tie in to create the  subject. The subject of how the towns people judge Vianne and Anouk which then leads to tolerance- how the author creates the subject.

Saturday, September 21, 2019

Web or Mobile Application Essay Example for Free

Web or Mobile Application Essay JP Morgan Chase Mobile Bank application is one of the most important applications I have in my iPhone. Chase has created a new way of banking with their application. It is user friendly, it offers amazing capabilities, it is a time and money saver, and it has room for improvement. Chase has brought banking into our hands. The purpose of the application is to make banking for their customers stress-free. With this application customers can deposit checks from their iPhone, iPad, iPod touch, Android, Kindle Fire, and Windows Phone. All they do is input the amount of the check, take a front and back picture of the check and click submit. Customers can also view their banking and credit card balances and transaction history. Customers can transfer money between Chase and non-Chase accounts, in different ways. They offer Transfer Money, Wire Transfer, and Chase QuickPay. I just used the QuickPay feature today. My little sister bought my tickets to Lollapalooza so I paid her back through QuickPay. In order for the money to get deposit to her account, we both have to enrolled in the Person-to-Person QuickPay. Once we both signed up, I type her e-mail or phone number and the amount to transfer and submit it. Once sent, she approves the transaction, and it is complete. I am also able to pay bills with the application. This feature is truly helpful; I set up reminders on my phone to remind me of when my payments are due. When my reminder goes off, at that moment I log in to my Chase application and make the payment on the spot. I do not have to wait to get home because if I do I would forget to make it and I am charge with the late fees. Another capability is being able to find the closest branch or ATM near me. All this is possible with a smartphone and a tablet. The Chase bank application is a time and money saver. I was in the Army and I had been station in places where Chase branches or ATMs are not close to me. Right now, I live in Copenhagen, Upstate NY, which is about half an hour from Ft Drum. The closes Chase branch or ATM to me is in Syracuse, which is about an hour and a half away. Being able to have access to my account on the palm of my hand is amazing. Not having to set a foot on the bank has saved me time, gas and money. Time is very important to me and the way I pend it is written down in my planner. I do not have the time or the money to drive and wait in line. In the time it would take me to drive to the branch and back home, I could watch a movie with my family or do some homework. This application has really made my life a little easier In a likely future that I want to see added to this application would have to be like a check balance book. This feature would help me see where my money goes. Just by taping an icon I can see how much did I spend on Tuesday, how much money do I have left in my account, when do I get paid, am I getting closed to overdraft. I know this is my responsibility, but it would be nice to have my own personal accountant. Another possible addition could be being able to send and receive e-mails to and from Chase. I think these two features can help Chase improve and be ahead of other banks. ‘JPMorgan Chase has yet again won a ranking of mobile banking apps. In this one, Keynotes semiannual mobile banking scorecard, Chase came in first for the third time in a row’, ‘†¦its analysts score the apps according to 120 criteria in four categories functionality, ease of use, privacy and security, and quality and availability’ (Penny Crosman, 2013). I remember when every Saturday I will had to go to the bank to make a deposit of my checks, and having to fill up the deposit slip. Just the waiting in line used to irritate me. Being able to access my account, pay bills and make deposits without having to set a foot inside a bank is incredible. Chase Mobile definitely has changed the way their customers and I bank!

Friday, September 20, 2019

The Green Party | Political Analysis

The Green Party | Political Analysis The emergence of the green movements was related to a shift to post-materialist values in advanced industrial societies, especially in Europe (Muller-Rommel, 2002). Aiming for better quality of life and self-fulfilment, the green agenda was originally focused on single issues like provision of park tracks, urban renewal, high-way construction, nuclear energy and cruise missiles in the 1980s. During the period of 1980 to 1984 there were Green Parties in twelve Western European countries with which started to successfully perform in the parliamentary system, including national government (Muller-Rommel, 2002). During the 1970s, Green Parties were founded in more countries like Europe, Australia, Brazil, the USA and Ukraine (Doherty, 2002). Although the first Green Parties were established in Tasmania (1972), New Zealand (1972) and Britain (1973), they were not considered as successful and remained small and weak in their political performance. Although the different green parties were all based on the same basic principles, their evolution, progress and electoral success vary widely between different countries. As table 1.1 shows, Austria, Belgium Finland, Germany, Italy, Luxembourg, Netherland, Sweden and Switzerland identified as the countries with more successful Green Parties. Green party success is a multi-variable phenomena (Richard). Existence, electoral and parliamentary power of green parties , their electoral success and environmental consciousness are vary widely between countries (Rich). Factors behind the differential success Although many theories have been put forward to discuss this variation of success, most of them consider electoral success rather than the success as a whole. New social movements, new class accounts and post materialism (Carter, 2007: 88) are the three major theoretical attempts to explain the green party development but failed in explaining the differential success (Carter, 2007). New social movements are students, peace , antinuclear, feminist and environmental movements that are responsible for protest campaigns that swept Western Europe from 1960s (Carter, 2007). New class accounts justify the new politics targeting basic changes in economic and social structures of capitalists society in post war era (Carter, 2007: 88). Democrats in industrial countries shift away from material concerns for economy and security to post-material concerns such as a concern for liberty or for the environment is explained by the post materialism. However, the Political Opportunity Structure (POS) t he dimensions of the political environment that either encourages people to use collective action or discourage them from doing so, and which shape the development of movement explains the variation in success in aspects of structure, culture, electoral system and party competition. (Carter, 2007:88) Rich () identified the environmental consciousness with an identified political action which is appropriate to the individual state agenda, as the fundamental factor of the development of a green party is success. He further explains that the progress of green parties from 1970s 1980s was based on their understanding, that pressure group activity and personal spirituality are not substitutes for political actions. In Harmel and Robertson (1984); Hauss and Rayside (1978) Cleavages or strains; institutional factors, such as characteristics of the electoral system and centralization of the government; and more directly political factors, such as the position of trade unions and the configuration of existing party competition were identified as factors behind differential success. As a main dependent variable in green party success electoral success is determined by their capability of reaching a given vote or a seat threshold (MÃ ¼ller-Rommel,1994: Kitschelt 1988). In a successful party it should not be limited to a particular election but stable and consistent over a considerable period (Bomberg, 2002). However the recent attention of this analysis is more towards the party behaviour within the government (MÃ ¼ller-Rommel, 1994). It was argued that, as existing parties fail to meet new requirements of material wealth, considerable changes in the industrial formation, modifying living standards, and the increase of postmaterialist values, Green Parties gain a better opportunity to establish their selves in political and social arena (Inglehart 1990). Analysing the green party evolution of Germany, Britain and France is critical to clear understanding of this differential success due to their contrasting behaviour. German Greens The German Greens were neither the first green party nor the first greens that entered a parliament (Redding and Viterna,1999). However, it is highlighted in the literature on green party evolution due to the early success which inspired the rise and spread of green parties globally and due to the formation of a red-green coalition (Muller Rommel and Poguntike, 2002). The four pillars of Green parties Ecological wisdom, Social justice, Grassroots democracy and Nonviolence introduced by German green party in 1979 to 1980, are fundamental to the world wide green parties. Unquestionably, Die Grunen in the Federal Republic of Germany was the most successful green party in Europe (Oneill, 1997; Muller Rommel and Poguntike, 2002). The German Green Party Die Gruenen was established in 1980. It emerged from the new social movements of the 1960s and 1970s. It was mainly the peace movement, the womens movement, the anti-nuclear movement and the ecology movement that contributed to the foundation of the party. The early Greens focused on protest campaigns regarding issues like nuclear power, Pershing and Cruise missiles and acid rain (Carter, 2007).. Proportional representation of electoral system and open POS of Germany helped German greens to enter the political system (X). As it refunds the cost of election campaign for parties who earn more than 0.5 % votes, the electoral system of the Germany encouraged the arrival of greens into politics. Consequently, green party was able to work on election campaign without drawing a rich sponsor (carter, 2007). Although Germany was governed by the SPD from 1969 to 1982, the social-democrats failed to resolve the conflict between environment and economic interest groups and respond to new political demands raised by the green movement. This failure was one factor of the electoral success and establishment of Die Gruene in the German political arena (X). . In the 1983 federal elections, Die Gruenen gained 5.6% of the votes and won 27 seats in the national parliament. Though the 5% threshold value of electoral system makes harder to small parties to entering the parliament, German Greens were able to be the first Green party entering European national legislature achieving that barrier (X). This experience enabled Die Grunen to gain national media attention and build up financial resources, parliamentary skills and political credibility, as well as to expand their popular support (Frankland 1995: 27). With all the publicity and their strategies, German greens managed to increase their votes in the 1987 federal election and was able to won 8.3% of the votes (X). The federal election of 1998 was an important milestone in their history as they participated in a new federal government in an unprecedented coalition with the social-democratic party (Rommel and Poguntke, 2002). To analyse if the greens were successful in this coalition, it is crucial to assess their negotiation with the coalition partner, the strategies they applied to influence government policies and their conflict resolution strategies (Rommel and Poguntke, 2002). In contrast to countries like Denmark, Sweden and the Netherlands, the absence of a communist party after 1956 facilitated the establishment of greens in Germany. The Greens filled up the gap of a left political party (Richard) and X. With this progress western Germany could win 8.8% in 2005 and more success than 5% of East Germany (Carter, 2007). Another challenge the Greens were confronted are the internal conflicts between two opposed internal factions. Fundis members adhere to green principles without any compromise while Realos are more pragmatic and willing to adopt party strategies to be more successful X). However, wise conflict resolution and proper leadership could drive the party success (Carter, 2007). British Greens Britain Green party People was the first European Green party established in 1973 (Carter, 2007). This party was based on the Blueprint for Survival which consists of four principles; human survival with minimum disruption of ecological process, the maximum conservation of materials and energy, a population in which recruitment balanced loss, and social system which the individual citizen was content with (Oneill, 1997). Despite that attempt of demonstrating their environmental consciousness they could obtain only 1.8% votes in 1974 general election and among five constituencies North West recorded with the highest of 3.9%. In 1975 as a pure green approach among other parties with dark green and red green fractions they have changed their name as Ecology party (Oneill, 1997). However, British Green party is considered to be having an unsuccessful fortune, compare to most of other greens with national government success (Carter, 2007; Oneill,1997). The major reason behind this regression is the British electoral system and its poor recognition of small political parties (Carter, 2007). A rather closed Political Opportunity Structure in Britain focuses more on major parties and their success and its opportunity for a smaller party is negligible (Carter). Since the British Plurality electoral system focuses on individual constituency contests between major parties, prospects for small parties to enter the parliament are rare, unless they represent a Welsh or Scottish Nationality based on geography. The financial barrier created by the British electoral system discourages small parties from contesting in elections as they need to deposit 500 pounds per candidate before election, which is only refundable if a minimum of 5% of the vote is won. The Green party faced a significant economic crisis after the general election of 1992, as they lost their deposits for all 253 candidates and did not receive any government funding (Carter, 2007). The competition by other political parties trying to draw environmentalists votes, such as Liberal Democratic, Scottish and Welsh nationalists party also created a hard time for greens in establishing their political stability. However, as an important miles stone they were able to win 15% of the votes in 1989 election (Carter, 2007). Growing public environmental consciousness, protests against the Conservative Government and fragile nature of new Liberal Democratic party are considered to be the major reasons behind this success. However, as the Liberal Democrats got more successful and materialism grew again, the Green party was confronted with a lot of obstacles and their popularity decreased (Redding and Viterna, 1999: Carter, 2007). However recent positive trend of British Green party is more likely to be satisfactory as they could secure the European parliament election and Scottish election in1999 and Greater London Assembly in 2000. Successes of 2003 and 2004 could win the seven seats of Scottish Parliament. These achievements triggered their performance in national election and won 3.37 contested seats in 2005 while saving 24 deposits. Reformation of Political Opportunity Structure of European parliament through introduction of proportional representation opened up the way for this positive trend in greens fortune in Britain (Carter, 2007). French Greens The establishment of the French greens was triggered by the anit-nuclear movement and its opposition the construction of a powerful nuclear plant under a right-wing government in 1974. The first French Green party Les Verts was formed in 1984. It won eight seats in European election in 1989. The French Greens were first elected to the French National Assembly in1997. After Francois Mitterant, was elected president in 1981, broke his promise of submitting a moratorium on the construction of a nuclear power plant, environmentalists realized the importance of forming a unique party to raise their voice on environmental problems. Generation Ecologie was the second French Green party. It was formed in1990 by Brice Lalonde, former Environmental Minister. Even though both parties were successful in the 1992 regional elections, they were unsuccessful in the 1993 national election and failed to win even a single seat. One of the major reasons why the green parties had trouble to develop stability is the Political Opportunity Structure in France. In contrast to Germany or the UK, the electoral system of France is based on two rounds of elections. There is a legislative and a two-round presidential election. 12.5% vote winners of first round can proceed with the second round. Hence passing this threshold values alone was again a major challenge for minor parties. As a mutual effort socialists and greens had to reach the target together to keep their political stability and survival in the parliament. Les Verts could again establish in 1997 through a coalition with Dominique Voyer the national speaker of the socialist government and secure the status even in 2002. In contrast to Germany, left -right cleavage of the French political system is basically a static system which constrains the establishment of a new party in the political arena. However, the decline of political stability of major parties in 1980s facilitated the entering of greens into the political arena. Although coalition used as a strategy for entering the political system it was the beginning of decline of party structural integrity. Diverse political views between members was fundermental to lots of internal conflicts and some of the main green activists left the party due to the inconsistency of the political vision. With the changes of POS under plural left alliance green party was exhausted with organizational structure, leadership and financial stability (Carter, 2007). Conclusion Evolution of green parties and the rationale behind their rise and fall vary widely between countries. However, German, France and Britain examples which have different fortunes for green parties reflect that they all bear a common pool of facts behind the differential success. National constraints that green parties confronted with vary widely between countries. Firstly the institutional structure of the state, where countries with closed system of government have more space for ideas and establishment of green parties. However openness of the bureaucracy marginalizes the green parties as in Britain. Political tradition of a country and nature of the electoral system also can obstruct or facilitate the development of green party. However, no single factor can determine the success and development of a green party or the potential of its establishment (challenge Richard). The essay supports the (X)s argument of existence, electoral and parliamentary power of green parties is proportional to the performance of green parties in national government coalitions. The actions of a green party especially ideological development, internal struggles and performance in the government, influenced on its electoral success (Redding and Viterna, 1999). The literature figure out that electoral system of the country, environmental consciousness, institutional structure of the party, financial stability and party behaviour (internal conflicts and conflict resolution) as the major factors behind the differential success of Green parties as a whole. According to Skocpol (1992) being successful as a party is lie in how social demands well within the institutional structure, especially in opportunities and obstacles. Foreign Direct Investment: Comparison of India and China Foreign Direct Investment: Comparison of India and China Foreign Direct Investment is a hot topic in most policy circles as it is associated in many instances with significant macroeconomic changes and improvements in the range of goods and services produced in recipient countries. Furthermore growth in recipient countries is often ascribed to these inflows and so competition for higher inflows of FDI has become competitive. Most of the developing and developed countries increase their economy by enhancing their share in the global market through FDI inflows. As FDI shows more impact on the countrys economy, most of the foreigners are investing their amount in other countries for improving their profits with less manpower and minimum initial cost. These inflows were easily achieved by the investors by just fulfilling their basic requirements and maintaining their policies. FDI can be used by the countries only when they meet some of the major requirements like transfer of capital, a source of funds for foreign operations, Control investmen t and a balance of payments flow (Nicolas, B., 2010). Even though the FDI inflows in developing countries are low that is nearly 5%, this shows more impact on the economy in terms of the development programs by introducing new technologies. This change will be occurred only in the surroundings of investment areas. Here, in this research the FDI inflows between India and China are studied by comparing both the countries. Further of this study clearly explains the various aspects that are considered by the India and China for increasing the FDI inflows in the global market and also illustrates the policies that are followed by China as most of the investors prefer China when compare to the India. Finally, it recommends some of the policies and the changes that need to be made by the Indian Government for improving its FDI inflows. 1.2. Aim and Objectives Aim: To study the variations between the FDI policies of Indian and China based on their inflows and overall performance of the economy. Objectives: To study the importance of FDI and the required fundamental policies for acquiring the FDI. To research on the impact of FDI inflows in India and China based on their overall performance. Identifying the possible steps for Indian policy makers for improving their FDI inflows. Statistically evaluating the comparison between India and China in terms of FDI inflows. 1.3. Purpose of Study This study mainly focuses on the Foreign Direct Investment, the role of FDI in India and China and also illustrates the comparison between these two countries in terms of FDI. This research is selected in order to know more about the investments made by the developing countries and the involvement in international financial banking markets to influence the global and political aspects. This study is mostly useful for the people who are willing to know about the role played by FDI in the fast growing countries like India and China where these two countries differs in their environmental conditions. While researching about the FDI in both countries, one can easily analyze that China is showing more interest in attracting the FDI and is leading their economy when compare to India. So in order to clearly investigate on this point, this study also focuses on the aspects and the policies that need to be designed by the Indian country for attracting the investors and also to increase the ov erall performance of the economy by raising the inflows when compared to China. 1.4. Research Context In this study the researcher is focused on the worlds largest two most populated countries: India and China with a greatest history background. These two countries are known to be fast growing countries in the world and are known for their ample facilities and environmental conditions. These two countries are economically improving their standards in terms of technology and infrastructural growth. However, China is considered to be more positive in terms of attracting FDIs and are almost leading the comparison with India. In this research the time is a biggest constrain and to understand the research physically is really a tough target for the researcher by visiting both countries to meet and interview/ survey the financial organizations experts from various locations. However it is also noticed that in India only the FDI policies are changing from place to place based on the local governments rules and regulations. All the major rules and regulations governed by RBI and Government o f India are applicable, addition to that the investing company also needs to ensure that the environmental and ethical issues are not disturbed by the foreign investors in local and urban areas of various parts of India. As an example, there are some pilgrim places of India which does not allow non vegetarian food or related items so in that circumstance neither Government of India or RBI cannot allow the foreigners to invest their amount for a restaurant or bar and etc. Similarly in China it is one of the largest countries in the world and is having different cultures and backgrounds with in the country. Hence from the above context it is understood that this research will mainly focus on the secondary data available and in some areas it can get into the help of people related to the financial and banking industry. 1.5. Research Methodology For conducting any type of research, the data needs to be gathered by the researcher where this collected information should be in such a way that it is valid and accurate. Researcher need to choose a suitable method from various research methods, by which the researcher can successfully finish the research. Generally there exist two different types, primary data and secondary data. Primary data mainly focus on the aim of the research where the researcher can easily collects the information from various methods like surveys, interviews, etc. Where as in the secondary data, the researcher can collect the data only from the sources like journals, books, magazines, online articles, etc. where the researcher need to collect the accurate data as these recourses will not focus on the aim of research (Kumar, R., 2005). Here in this research, researcher collects the information through secondary data as the main aim of this research is to compare the FDI inflows in both India and China. As t he time is the biggest constrain, it will be really tough target for the researcher to select the primary data as the researcher either need to do interview /survey with the concern persons by visiting two countries where it cannot be possible with the period of time. So, its better to prefer secondary data for gathering accurate information for the research by referring various resources. Hence, the research can be successfully completed by analyzing the collected information and drawing the conclusion from this data. Chapter 2: Literature review 2.1. Overview This chapter will provide the suitable information and required material for completing research successfully with no issues during the research process. At the same time the literature review gives a basic idea about the research problem solving background with additional material from their related background history. The growth of multinational enterprise (MNE) activity in foreign direct investment (FDI) has grown at a faster rate than most other international transactions as well as the trade flows between countries. The research literature review covers the objects related to foreign direct investment, detailed introduction and description of FDI and impacts of FDI. International Monetary Fund (IMF) has defined the FDI as an international investment of one company with the target of enduring relationship i.e. Investments made by company must exceed the equity of Target Company by 10%. The major requirements of the investors will help in faster growth of their organization which is explained by Nicolas, B. (2010) in terms of Control investments, supply of funds for foreign operations, a balance of payments flow and Capital transfers. 2.2. Brief History and background of Foreign Direct Investment In the present world, there exist various investment techniques for the corporations for increasing their growth. If these industries lacks in making right decisions in their investment then it may lead to reduce their growth and their level in the global market. So, many of the countries prefer Foreign Direct Investment (FDI) compare to other techniques because most of the corporations get affected financially due to their investment decisions. Mostly FDI is preferred as it is considered as an integral part of an open and effective international economic system and also referred as the major catalyst to development (OECD, 2002). In the present market, USA stood a number one position in FDI flows. According to Nicolas Breitfeld (2010, p.1), Foreign Direct Investment (FDI) is defined by the IMF as an international investment of one company with the intention of lasting relationship. Foreign Direct Investment (FDI) plays an important role in the financial sector. Generally most of the countries believe that increasing the international linkages through FDI is an important feature of financial globalization and elevates the major challenges for statistics and policymakers in industrial and developing countries (Neil, K. P., 2004). Further of this section, it clearly discusses the views of authors on FDI, the importance of FDI and mainly focuses on the issues that are being faced by the countries while introducing the FDI. Even-though authors define Foreign Direct Investment (FDI) in different ways based on their research it is mainly mend to development on countrys and globalization. Some of the authors views on FDI are discussed below: According to Organization for Economic Co-Operation and development (OECD) (2008, p.62), Foreign Direct Investment (FDI) occurs when a business located in one country (the direct investor) invests in a business located in another country (the direct investment enterprise) with the objective of creating a strategic and a lasting relationship. Here, the author suggests that occurrence of FDI exists only when the business persons invests their money in another country. They invest their income in another country by making some rules and regulations in their relationship. But according to Alexander, L. and IMFD, (2002), foreign direct investment defined as the integration of three components which are illustrated below: The branch profits need to be distributed and divided in equity without any holding withholding taxes. Accrued interest need to be paid to the direct investor by the direct investment enterprise, this can also be referred as income on debt. Earnings are reinvested in proportion with the direct investment stake. In this context, author says that the investment and the interest benefited by the business people need to be redistributed in an equal proportion among the investor and the direct investment enterprise. At the same time, Neil, K. P. (2004, p.3), discusses that according to BPM5 (Balance of Payments Manual) FDI defined as a category of international investment that reflects the objective of a resident in one economy (the direct investor) obtaining a lasting interest in an enterprise resident in another economy (the direct investment enterprise). ÂÂ  Here, the author discuss that FDI indirectly affects the economy of another country as the other country invest their income on another country for gaining interest on their investment. Even though the opinions and views of the authors differs in defining the FDI but all the authors focus on only one point that is the benefit dragged by the investor and the direct investment enterprise. These investors of get benefited globally with FDI on the interest on their investment and also increases their international linkages with the industries established in another country. ÂÂ   2.3. Impacts of FDI Foreign Direct Investment is considered as a driver of economic growth and development for developing countries which often lack the technology or capital to promote sustained economic growth and development. Mostly, FDI is considered as one of the major drivers of globalization as it continuously raises with the high growth rates before the financial crisis hit the world economy. The way through which FDI promotes economic growth and development to the countries is contentious because there is no definitive evidence and lags in supporting the literature. Even though there is no empirical evidence in representing the impact of FDI on the countries there are some theoretical explanations from which one can easily analyse the impacts of FDI on developed and developing countries. According to Bora, B. (2002, p.168), FDI flows were increasing rapidly much more quickly than international trade flows, which in turn were increasing faster than world GDP. Laura Alfaro (2003) says that FDI of fers great advantages to host countries because many of the academics and policy makers argue that there exists a most important positive effect on the development of host countries. FDI not only acts as the source of the valuable technology but also helps the countries in developing the linkages with the local firms that indirectly helps the country in raising the economy. Due to these reasons, most of the developing and industrialized countries offer incentive for encouraging the FDI in their economies. The environmental impacts of foreign direct investment may be positive, negative or neutral based on the institutional and industrial context. Gorg and Greenwood (2002) comes under a conclusion that the effect due to FDI is negative by reviewing the information from the foreign-owned to domestically owned firms. But Lipsey (2002) supports the positive benefits in preferring FDI. FDI flows attained a new record level right from the year 1990 to 2000. Then, from the year 2001 the gro wth in the investment failed and the later years it saw a steady and steep decline in global FDI flows. , Figure: Shows trends in global FDI flows during the year 1991 to 2003 (FDI, 2007, p.7). FDI affects the economic growth of the country in various aspects like it raises the formation of human capital, provides a facility to transfer the technology between the host countries and also stimulates the domestic investment. The relationship between the impact of FDI and economic growth can be easily analyzed with the help of production function and also with the other variables that affect economic growth such as domestic, trade, labour and capital (Falki, N. 2009). Production function was done based on the endogenous growth. According to Kumar, N. (1998, p.112), Direct investment was thought of mainly as a flow of capital, possibly replacing local capital or possibly representing marginal additions to the host countrys capital stock, followed by the necessity of financing dividends and interest, and possibly repatriation of capital. Some of the authors studied on the impact of FDI on economic growth in developing countries where those opinions are illustrated below: Authors views on Does FDI promote Economic Growth in developing countries S.No. Authors name Researched during the year Does FDI promote Economic Growth in developing countries (Yes/No/May be) Explanation 1. Balasubramanyam 1996, 1999 May be Requires open or neutral trade regime 2. Borensztein 1998 May be Depends on education level of workforce 3. De Mello 1999 May be Depends on degree of complementarily and substitution between FDI and domestic investment 4. Graham and Wada 2001 Yes Raised per capita GDP in Chinese provinces with FDI concentration 5. Graham 1995 May be TNCs market power can generate negative impacts 6. Loungani and Razin 2001 May be Risks 7. Lim 2001 May be Depends on tax incentives, regulatory and legal impediments, macroeconomic instability 8. Marino 2000 May be Requires open trade and investment policies 9. Mallampallyand Sauvant 1999 May be Requires human resource development, information and other infrastructure 10. Markusen and Venables 1999 Yes Raises productivity and exports of domestic firms, generates spillovers 11. Rodrik 1999 No Reverse causality: TNCs locate, rather than drive growth, in more productive and faster growing countries Table: Shows the authors explanation on Does FDI Promote Economic Growth in developing Countriesthis is a question? (LyubaZarsky, 2005, p.25) From the above table, it can be understood that out of 11 authors, only 2 authors support that FDI promotes economic growth in the developing countries as they explain that it raises the productivity, exports of domestic firms and stated a practical example that it raised the percapita GDP of china government with the help of FDI. Rodrik, opposed the views of the other authors on supporting the FDI as based on their research. From Rodrik research, it has been stated that it doesnt shown impact rather it was derived as a reverse causality. Apart from these three authors, the remaining 8 authors were in a dynamo whether to support the FDI or not because all these authors states that the impact on FDI on economic growth depends only on the circumstances that the author considers but not on any other aspects. For example: FDI shows more impact on economic growth only when the government fulfil some basic needs such as require open trade, investment policies, human resource development, i nformation, other infrastructure, etc. If these requirements are fulfilled by the government then automatically it get benefited with the FDI but if it fails in reaching those needs then it may face some risks due to the policies and the agreement between the countries. Hence, it can be stated that impacts of FDI directly depends on the situations and circumstances that are being considered by the government. By tightening of international financial conditions will have as awful effect on inflows of FDI. In the recent years, this has been main source of assets for many countries (U. N. Staff. 2009).FDI shows more effect on the economic growth of the countries as it provides various benefits to the countries that acquire FDI are illustrated below (Khan Arshad, 2007): Introduces the latest techniques and technologies of marketing and management with the help of FDI, the developing countries can know more about the latest techniques and the technologies that are being used by the developed countries. By acquiring and implementing these latest technologies in the developing countries, to some extent it can increase its growth in terms of economy. Exploitation and utilization of local raw materials usage of raw materials in the countries will be increased by exporting these excess materials to other countries and get benefited with them by importing other raw materials from other country which are shortage in their countries. Can be easily access to the new technologies as there will be a rapid flow between the countries, each of the country can know more easily about the other country and their religion. Based on this analysis, it can assess and access the technologies in their own region by making contract with the other countries. Financial flows between the countries Foreign inflows between the countries are used for financing current account deficits. The finance flows between the countries are transferred in the form of FDI where it doesnt generate interests and repayment of principal but internally raises the human capital stock through job training. Chapter 3: Empirical Literature on FDI based on INDIA and CHINA 3.1. Effects of FDI on all other countries when compared with India and china The existence of a strong negative relationship between trade share and country size was supported by the literature on trade and development. Country size and trade ratio are inversely proportional in size (larger the size of the country smaller is the trade ratio), the foreign trade, investment, and technology transfer between countries will directly affect the degree of sincerity and competitive pressures emanating from abroad (Pieter, B. 2007). Thus, the impact of these competitive pressures would be much less in a large country such as China and India than that among other East Asian NICs. In recent years china had recognized its need towards foreign trade, investment and technology with the aim of modernization, nothing like the Third World developing countries (India) that impoverished foreign capital. 1984-85 1994-95 1999-2000 2004-05 2006 2007 World 2.2 4.8 18.3 9.0 12.9 14.8 Developed economies 2.1 3.9 19.1 7.7 12.80 15.6 Developing economies 2.8 8.1 15.8 11.9 12.5 12.6 Developing Asia 2.3 7.9 12.1 9.9 11.0 10.6 East Asia 1.9 9.0 14.8 9.3 8.7 8.6 China 1.8 15.9 10.4 7.7 6.4 5.9 South Asia 0.2 1.7 2.4 3.3 6.2 5.7 India 0.1 1.7 2.7 3.1 6.6 5.8 Table 2: shows FDI inflow as percentage of gross domestic fixed capital formation (GDFCF), 1944 -2007. (Source: Prema, C. A. 2009, p.379) The average annual level of FDI inflow for developing Asia had raced sharply from US$ 19 billion during 1984 1985 to US$ 500 billion till 2007, at the same time share to developing countries have raised from 15.1 to 17.4 percent which is shown in the above table. The gross domestic fixed capital (GDFCF) as a share of FDI inflow is higher for all the developing countries in the period 1984 1996 and reversal due to the Asian financial crisis during 1997 98. FDI inflow for developing Asia with the average FDI/GDFCF ratio during entire period 1984 2007 is approximately 9 percent and 7.1 per cent when compared with all the developing countries at the same time the global average is 7.4 per cent. China is the recipient country of inward flow and the largest developing country from past two decades where it has been investigated a theoretical increase in inflow with in developing Asia. Among all the countries china was in the second position for total FDI flow as per the ASEAN countries , with increased average annual level of US$ 3 billion during 2000-2007, and from the year 1980 to 1997 almost before six years china was in the second half with US$ 30 billion which was the onset effect of financial crises from 1997-98, due to decline and with determination from about US$ 35 billion per annum before the year 1997 to an annual average of about US$ 24 billion between 1997-79. Establishment of export-oriented industries is heavily concentrated by chinas FDI, there observation on the share of FIEs for total exports in transition economies of china is two percent of expended persistently before 1980 and approximately 60 percent by the year 2006. India process to increases FDI participation in export- oriented activities which had remained at a outlier region of FDI whose one/third FDI during the independence in 1947 was a major amount of stock as a primary sector with plantation, mining and oil at the same time one/forth was the manufacturing and all the remaining stock s are in services, mostly trade, construction, transportation and utilities. The inflow started increasing in manufacturing from 1960s although with a divestment from this sector of FDI, since, low-wages, low skilled manpower are the Indias huge supply it can attract garments and other simple assembly activities which would indirectly favor the heavy foreign investment industry thus primarily focusing towards domestic market. From mid 1990s a slight increase in software is observed as well as significant competition with the world market at industrial production was not notable (Park, J. H. 2002).some of the difficulties which are to be faced and over come for fast development of the country . India faced many difficulties to attract foreign investors in both products and services market now it is only success to service industry of IT mainly. In order to overcome these difficulties to stimulate domestic demand this is given in three steps: The interest rates should be competitive in RBI. Value added tax (VAT) are to be implemented. Reduce the budget deficit through government. Figure: shows the financial states of India and china GDP the total chinas financial assets is approximately 220 per cent of GDP at the same time Indias financial assets is 160 per cent, countries savings and investment is the great strength for chinas financial system and Indias financial system is outside occur in savings and investments (Sources: Slide share 2008, slide No:18). 3.2. Fundamental policies of FDI India followed market-distorting policies on both foreign and private investments thus with this estimation about barriers for imports and exports are analyzed. Thus it become necessary to control the production and distribution as well as administered price controls etc. The impacts of opening up policies are likely to open up with foreign trade, investment and technology transfer, which would be much less in large countries of china and India when compared with all other East Asian NICs. Chinas opening policies in recent years is the success story with the favorable impact is not only for small economies but also for all large continental economies. China and India may not suffer from a large country constriction for adopting the export-oriented, outward-looking development strategy considerably (Park, J. H. 2002). The reformist policy is to fill the domestic savings gap which is necessary for economic development with foreign capital inflows, along with other goals in advanced for eign technology and managerial skills, and to promote exports to increase the foreign exchange earnings of the country. Due to open-door policy Chinas trade and inflow of foreign direct investment and loans are impressive, thus within a very short time china became a major exporting country, and an export competitor with the East Asian NICs (Newly Industrializing Countries) and ASEAN (Association of Southeast Asian Nations) countries in the Asia Pacific region. The opening policies in china have contributed to the countrys economic growth and development considering all domestic economic events. The Indias economic reforms undertaken in 1991 in light of Chinas experience with the export-oriented, foreign direct investment strategy for economic growth and development which has been examined with superiority of export-oriented, outward-looking development strategies. Thus China can provide important lessons and policy implications in economic development for all Third World developing countries like India. The success story of china open to worlds economy made it ideal for studying the relationship between trade and development as well as for testing the validity of export-promoting development strategy. 3.3. Historical Background and National Goals 3.3.1. History of FDI in India The generational explanation of history is given as follows after Indias independence: during 1947 to 48 there was the British owned the private foreign capital through the national policies resolution which is Swadeshi movement Industrial policy. In the next generation i.e. from 1949 to 1953 foreign investments where far away from trio of domestic business house with foreign capital as well as with the government nationalist sentiments. The second Economic plan was launched in 1957 as industrialization through import substitution and encouraging private investment. Some of the selected industries got foreign collaboration and JV mostly manufacturing companies which are retained participation in India FDI since 1960s, the devaluation of rupee encouraged the socialist idealism banks and foreign oil majors nationalized after late 1960s. After almost 8 years in 1968 the foreign investment board had encouraging investments on there own terms and conduction. In the year 1973as per the F oreign Exchange Act (FERA) which launched a new article that all firms should come together for their foreign equity, holding 40% of foreign equity to be considered as Indian companies due to which IBM as well as coca cola is exited. After seven years of strict vigilance on FDI, from the year 1980 licensing procedures were liberalized to softened, technology transfer and royalty payments relaxed, foreign investment was encouraged wherever possible. During 1900-s rupee value got down, withdrawal of NRI money, India turned to IMF; there was liberalization on trade regime and regulatory frame work. Many of the industries were invited by FDI and in some cases limit was increased from 51% to 100%. The service sector was again opened for FDI. The political instability after 1995 had started but a perception towards FDI had changed due to changes in government kept focus on FDI. 3.3.2. History of FDI in China China has joined the joint venture with other countries in the year1979, and by the year 1986 china became fully foreign owned enterprise. It was divided into four zones namely Shantou, Shenzhen, and Xiamen in the year 1980. After four years in 1984 it was found that chinas economic zone has fourteen cities and whole china combined by late 1900s. There was a rapid economic growth in reform period due to profusion of labour and its low costs, Rapid expansion of Chinas domestic market at the same time plays important role of overseas Chinese for increasing integration with world economy. The marketing effects are generally obtained by imports and exports in both bilateral countries. FDI is very essential for developing countries for Off setting the capital deficiency, Acquiring advanced technology, Gaining production know-how, Promoting exports as well as to Table 2: shows FDI in India-China products Trade (in million US Dollars). (Source: Prema, C. A. 2009, p.379) The two highest population countries of the world are India and China which together contain approximately 40 per cent of the worlds humidity on an adjacent landmass in Asia. Both countries are pride in birthplace of civilization entering the era of sharing worlds greatest development problem. The underdeveloped areas of these two countries is due to huge population relative to land and other resources, around 1950s there was no commitment to national planning for economic modernization as there was new governments of China and India, led by Mao Zedong and Jawaharlal Nehru so as to eliminate poverty and raise the standard of living (Park, J. H. 2002). Approaches to Development: Some of the important characteristics shared within India and China as the wealth of people relative to other rare resources such as arable land, natural resources, and capital suggesting the appropriate strategies for development would have involved production of labor-intensive goods. Among these some are exchanged for imports of capital goods and technology as per the necessity for development. For economic development and modernization India

Thursday, September 19, 2019

The Liability of Tobacco Makers Essay -- Argumentative Persuasive Essa

The Liability of Tobacco Makers Cigarettes have an affect on almost everyone, even if a person does not smoke. A man name Charles Green was affected by cigarettes, even though he never smoked a cigarette in his life. Green is 39 years old, and he used to be a very athletic person. That is, until he began working for a company full of smokers. Green worked behind a desk in an office building where everyone around him smoked. He was shoved in a little cubicle where smoke was thick in the air from his coworkers. After a time, Charles needed medication to help control his asthma from all of the smoke in his lungs. When he began to complain about the smoke, he was told to â€Å"Live with it.† When Charles decided to sue the company and the tobacco industry, he was awarded $60,000 for worker’s compensation. Green was not the only worker to sue tobacco companies, and he will not be the last (We’re Fighting). Is it right that people are allowed to put tobacco companies at fault for illness due to smoking? Each year there are hundreds of court cases in the United States against tobacco companies just like Charles Green’s case. Long term smokers and nonsmokers like Green are suing large tobacco companies for injuries from smoking. They feel that tobacco companies should be punished for making a product that millions of people use everyday. Although studies show that smoking cigarettes may cause cancer, tobacco companies claim that there is not a direct link. If the tobacco companies start losing the court cases, the price of cigarettes will increase. This increase is designed to keep people from buying cigarettes because of the high prices (Olsson). Even though tobacco companies have only lost one case, the link between smoking c... ...ere are also warning labels on every product with tobacco in it that is sold in the United States. Although there has only been one case where a tobacco company has ended up paying a settlement, I feel that as more people get cancer, more people will find new ways to sue. Works Cited â€Å"Highlights of the Tobacco Settlement.† 26 June 1997. Facts on File: World News Digest. 30 October 2004 . Olsson, Johan. â€Å"Product Liability in the Tobacco Industry. A Contemporary Issue.† 29 April 1994. Times Square. 2 November 2004 . â€Å"Tobacco Litigation Documents.† 27 September 2004. Galen: Digital Library of UCSF. 29 October 2004 . â€Å"We’re Fighting Big Tobacco.† 2000. JEL Iowa. 30 October 2004 .

Wednesday, September 18, 2019

The Character of Hester Prynne in The Scarlet Letter Essay -- Papers N

The Character of Hester Prynne in The Scarlet Letter Hester Prynne, a character within The Scarlet Letter, is a prime example of Hawthorne's common transformation of individuals within his books. These mutations involve the qualities and attributes of her physical appearance, feminine emotions, and reputation among the townspeople. Throughout the novel, the mentioned elements of Hester's character develop and change several times, providing the reader with better understanding of the influence that the scarlet letter and other characters have on her. In the beginning of the novel, the reader is presented with a physical appearance of Hester that is pleasing to the visual eye. It is Hawthorne describes his heroine of the book by writing that "She had dark and abundant hair†¦face†¦beautiful†¦features and richness of complexion†¦deep black eyes" (51). Over time, these attributes faded and the "attractiveness of her person had undergone†¦change†¦sad transformation†¦luxuriant hair†¦cut off†¦hidden†¦some attribute had departed from her, the permanence of which had been essential to keep her ...

Tuesday, September 17, 2019

Financial Management Case Study-Payout: Gainesboro Essay

Corporate Goals Management expected the firm to grow at an average annual  compound rate of 15% and reach $2.0 billion in sales and $160 million in net income through 2011. Recent strategy of Gainesboro The company devoted a greater share of its research-and-development budget to CAD/CAM as to reestablish its leadership in the field. The company also underwent two massive restructurings, including selling two unprofitable lines of business, selling two plants, eliminating five leased facilities, and reducing personnel in 2002. Then, in 2004, the company implemented a second round of restructuring by altering its manufacturing strategy, refocusing its sales and marketing approach, and adopting administrative procedures for a further reduction in staff and facilities. The Artificial Workforce was an array of advanced control hardware, software, and applications that could distribute information throughout a plant. Thus a product could be designed, manufactured, and packaged solely by computer no matter how intricate it was. Although the company had successfully patented several of the processes used by the Artificial Workforce, there were two factors that could affect sales which shou ld be concerned. First, two strong competitors were developing comparable products and would probably introduce them within the next 12 months. Second, sales of molds, presses, and CAD/CAM equipment and software were highly cyclical, and predictions about the strength of the U.S. economy were not encouraging. II. The inferential process Cause the company goal is to change its revenue structure, which make CAD/CAM and peripheral cutting edge products generate 3/4 of the sales, and the traditional presses and mold would account for the remainder. Thus, we think that the company will definitely have to leave some money for the R&D design. On the other hand, expanding aggressively in the international arena and getting new product through M&A also need to prepare a lot of money. Base on the idea we got from the Microsoft readings, company had better keep some percentage of the cash for the operating expense in case there would have emergency need. The analysis of investors’ attribution From the Exhibit 4, we can see that the attributions of the investors are changing. As for the institutional investors, the growth-oriented investor drop from 13% to 6%, while the value-oriented investors raise from 8% to 13%. This gives us a cue that the institutional investors are gradually change from growth-oriented into value-oriented. Which means that now the institutional investors think that the Gainesboro Corporation is not a highly growth company. Instead, it’s a stable growth company .So the institutional investors will expect to have high dividends. As for the individual investors, the long-term investors drop from 37% to 26%, while the short-term investors increase from 5% to 13%. This shows that individual investors have a trend to sell the stock in a short   time and regardless the dividends. The suspicion of forecasting We hold doubt on the stated speculation of a 15% compound rate of growth due to manufacturing mishaps and missing components which delayed production growth, as well as start-up costs continued to penalize earnings. How much dividends did other companies pay? In general, investors could accept 20.8% payout ratio, and there is a trend that the ratio has been decreasing for decades (66.5% in 1978; 20.8% in 1999). So we think Gainesboro doesn’t need to pay 40% dividends. We can see that in CAD/CAM industry, PE ratio is so high because they are expected to be high-potential, so they need lots of capitals to reinvest, such as acquisition, R&D. As a result zero dividends-payout is acceptable and makes sense. So if Gainesboro wants to prove they are also high potential, they can make the same decision in order to keep money for their growth but they has to communicate with investors well to make them understand what they are going to do. III. Conclusion The percentage of firms paying cash dividends had dropped to 20.8% since 1999. In that case, perhaps the market would react favorably, if Gainesboro adopted a zero dividend-payout policy. In the meantime, we strongly recommend the firm buyback partial stocks so as to increase EPS and stock price. Send a signal to the market that managers are confident on company’s new development   and expansion. Regarding to numerous growing strategies of the firm, we prefer canceling dividend payout and save more capital to support all the new projects. Besides, we support to launch image advertising and name change program step by step, which is not necessary in 2005. The firm can periodically reveal new expansion policy and R&D progress, for building up a solid image that the firm is under a transformation with highly innovative speed. The branding campaign should be done before 2011 when growth projects finished. In 2005, the firm should keep maintaining revenue growth rate and optimize productions for sustainable growth.

Monday, September 16, 2019

Review of the Amazing Spider-Man Movie

The Amazing Spider-Man Review I have always enjoyed action films. I would state that this fact does make me somewhat biased for this review. Fictional characters that are super heroes only made them better for me. I went into this movie knowing it was going to be one that I would enjoy. This year has had a few different super hero films such as The Avengers and The Dark Knight Rises. The Avengers released May 4th, 2012, was a box office hit, topping the charts for weeks. The Amazing Spider-Man was released just two months afterward on July 3rd.The super hero fan world was still in awe with The Avengers, myself included. I still wanted to watch The Amazing Spider-Man because I love super heroes. I give this movie 4. 5 stars out of 5 stars. I just did not think Sony could top The Avengers. Both films far exceeded the expectations I had built up for them. The Amazing Spider-Man will never measure up to the sheer scale and epic action of The Avengers, but it was still an action packed fi lm. The plot for The Amazing Spider-Man is a different sort of story altogether from that of The Avengers.The Amazing Spider-Man movie is not trying to tell a different story than Sony’s previous expedition into the Spider-Man realm, just simply a different spin on the story. The biggest question I asked myself was will the new story stand up against the previous trilogy. It is the story of Peter Parker, an average, though brilliant, teen trying to make it through high school. Peter’s father, with his secretive work, caused both of his parents to disappear one night, leaving him with his aunt and uncle to be an orphan of sorts.He has since grown up, but he unexpectedly begins uncovering clues about his father and his work. This chance discovery of his dads’ old research into cross-species genetics sends Peter searching for clues at Oscorp, his father’s old employer. There, while he is snooping around, he accidentally comes into contact with a genetically engineered spider. Peters’ high school crush, Gwen Stacy interns alongside the brilliant, but disabled Curt Connors, who was his father’s closest associate before he disappeared. That introduction to Dr.Connors results in Connors and young Parker bonding over scientific theory. Peter hands over parts of his father’s work that was thought to be lost. From there the experiments Dr. Connors has been working on are able to work, creating formulas and serums that allow rats to regrow their limbs. Things quickly spiral out of control. The doctor finds himself opposite Spider-Man before too long. In the middle of this conflict, there is a budding romance between Peter and the girl he has secretly admired for years. Andrew Garfield plays a fairly different Peter Parker than Tobey Maguire did.Despite being rather good-looking and decently dressed, he is more socially awkward, has zero friends and is more inept around girls than Tobey’s was. It feels more in line w ith what I believe Peter Parker was like from the comics, although perhaps a bit more modern-day. The bottom line is that it just works. Peter is much more likable and feels much more fleshed out. It is not that Tobey Maguire’s Peter Parker was not executed well, it was. In the previous releases the story and characters in Raimi’s original three movies were all so idyllic.Everyone, in his movies, was a good person and no one made mistakes. The emotional tone and serious nature of the story is not quite driven down your throat as much in this film, thanks in large part to the humor sprinkled liberally throughout the film. The drama comes from the Lizard, as he is known in the comics. The creature is at least eight to nine feet tall, with massive, retractable, razor-sharp claws, seemingly unlimited strength and a powerful prehensile tail. Spider-Man fights it three or four times through the film, using his agility, speed and powerful webbing to full advantage. And he nee ds to.The Lizard is absolutely fearsome, cold-blooded, and terrifying. The Lizard is much more monster than super villain and the critical injuries constantly inflicted upon Peter made me wonder if this film should have been rated higher than PG-13. The action is very tense due to the violent nature of the villain, but that simply moves the plot line along. A lot of things help tell the story in this version, especially the budding romance between Parker and Gwen Stacy. His original girlfriend from the comics is cast as a very genuine teenager and becomes very likable when played by the talented Emma Stone.Gwen is an intern that works directly with Dr. Connors, further complicating the already intricate web of relationships in the story. Her family, only briefly shown are not very memorable, with special exception to her father, the Chief of Police. Dennis Leary, in this role, plays a dry, sarcastic, impatient man to perfection here, as he hunts down Spider-Man to stop his string of vigilante crimes. Martin Sheen and Sally Field embody the loving, caring, wise Uncle Ben and Aunt May, respectively. This movie gives them both much more vitality and character than in the original series.Putting life into the movie took on an entirely different view with the special effects being among the best you can see in such a film. Notable praise goes to the film’s 3-D work. This is one of three films, the other two being Avatar and Prometheus, to be filmed in and then released in 3-D, rather than filmed in 2-D and converted to 3-D. The CGI (computer-generated imagery) characters are animated brilliantly and move like they were alive. Spider-Man succeeds in hitting all of those strange poses that are his signature moves on the flashy covers of his comics.It helps add more â€Å"comic authenticity† that Garfield himself is very tall, nimble and lanky. All traits I think Maguire does not really possess, being a little shorter in stature and a bit more ripped and bulky. If the film falls short in one category, it is the soundtrack, which I thought was serviceable, but not very memorable. All together it was better thought out film with more insight into Peter’s motivation and his turmoil. Gone are the nerdy narrations from Tobey Maguire. Gone are the idyllic people populating the original franchise.Raimi’s Spider-Man bounced headlong into danger from the get-go to save the innocent and protect those who could not protect themselves. Webb’s Spider-Man is not trying to save anyone so much as get revenge, until the point where he decides to save a boy trapped in a burning car. His actions and heroics from then on, speak more volumes than the original three films combined. Peter feels responsible for protecting people because he both chooses to be and because has to be. That is what a super hero is made of. Therefore I give this movie 4. 5 stars out of 5 stars.

Sunday, September 15, 2019

Alcohol Prevention

There is a rich body of literature that deals with intervention approaches for the large population that have problems with alcohol abuse. Alcohol abuse appears to be a grave situation, considering the huge number of adolescents who have a problem with alcohol and substance abuse.Thus, â€Å"[i]n 2002, an estimated 10.7 million American youths, 28.8% of total youths 12–20 years old, were current drinkers† (Society for the Study of Addiction, 2004).The gravity of the problem is underscored by the huge part of the statistics to belong to binge and heavy drinkers. The â€Å"US National Survey on Drug Use and Health in 2002† estimated that 7.2 million adolescents are binge drinkers, while 2.3 million adolescents are heavy drinkers. Heavy drinkers are those who consumed more than four drinks in five different days in the past 30 days.The staggering figures lead to the conclusion that there is serious public health problem among the youth with respect to their alcohol consumption.This problem extends to serious behavioral disorders resulting from alcohol consumption, such as alcoholism. The problem is even more serious because disorders that are related to alcohol abuse are likely to become â€Å"chronic and to persist into adulthood† (Society for the Study of Addiction, 2004).The problem with adolescent alcohol abuse has led to the development of various treatments, both in the private and public healthcare systems. These treatments often range from adolescent to adult care.However, treatment cares often result in relapse in 50-70 percent of affected adolescents. Therefore, there is a need for systematic approaches that are tailored to meet the specific needs and limitations of the target population, which is the youth (Society for the Study of Addiction, 2004).Treatments require appropriate diagnostic criteria in assessing alcohol use patterns of adolescents. For example, current drinkers may be determined by using the criterion that the person â€Å"consumed at least one drink in the past 30 days† (Society for the Study of Addiction, 2004).Moreover, there is a need to develop a framework within which â€Å"alcohol-related pathology† could be accounted for in the adolescent stage of a person's life (Society for the Study of Addiction, 2004).The literature on the subject also has a huge space for the role of support groups in the prevention and therapy for people who have problems with alcohol abuse.Literature ReviewThe article entitled Society for the Study of Addiction (2004) cites Liddle (2004), who reviewed therapies involving the family of the adolescent who has problems in alcohol and drug abuse. There are suggestions to develop   â€Å"adolescent focused, family-based therapies for substance abuse† (Society for the Study of Addiction, 2004).Family-based therapies are believed to be effective for the helpful recovery of alcohol-dependent adolescent. Family-based therapies often analyze à ¢â‚¬Å"videotaped in-therapy sessions.† Such records help in the identification of problems and issues, and serve as bases for change and treatment (Society for the Study of Addiction, 2004).This article is useful because it points out how important it is to first determine the extent of the problem before attempting to solve it. In the case of alcoholic adolescents, there is a need to first know the needs and limitations of each person and proceed from there. Intervention strategies, such as family-based therapies, should factor in such details in order to be effective.Videotaped therapy sessions are also helpful because they allow all stakeholders, such as the alcohol-dependent person, his family, and the therapist, to have a clear perspective of the situation, through observation from a different angle. Finally, family members could be effective in helping adolescent alcohol dependents by providing moral support.Another article focuses on the â€Å"pragmatic aspect of the t herapeutic process taking place† in the weekly-held meetings of Alcoholics Anonymous. It also discusses how the fellowship had grown into a worldwide phenomenon since its inception in the 1930s (Arminen, 1998).Alcoholics Anonymous, which is described as a â€Å"therapeutic fellowship for those who are prone to addictions and over consumption of alcohol and other substances† (Arminen, 1998), encourages therapy through situated interaction. It’s motto is â€Å"one day at a time†, which emphasizes that the attainment of sobriety is uncertain, but reachable (Arminen, 1998).Analysis of the style of sharing implemented in meetings of Alcoholics Anonymous led to the observation that speakers refer to speakers in previous meetings to show how the speakers are aligned. Moreover, this style has significant value as social devices that maintain the fragile relationship between members (Arminen, 1998).This article is useful in showing effective methods of dealing with alcoholism as a group, rather than as individuals. It shows how a method that deals with the problem one day at a time could achieve results. Furthermore, this article points out how Alcoholics Anonymous uses social devices to meet the goal of addressing alcoholism.Another article on the subject was written by Linsky in 1970 – 1971. It is an exposition of the public's views on alcoholism, as manifested by themes of articles and images featured in popular magazines. Generally, alcoholism was viewed as a form of social deviance. However, in the twentieth century, society's views on alcoholics were redefined. The article notes that changes in society’s views on alcoholism also influenced the treatment options available to alcoholics (Linsky, 1970-1971).