Wednesday, July 31, 2019

Ethical Decision Making Essay

Abstract What is ethics and what place does it have in decision-making? Ethics means different things to each of us. We develop our ethics from our culture, ethnic background, religious beliefs and all that make us unique as humans. Knowing this does not help when we are asked as administrators or managers to make decisions that are jam-packed with ethical dilemmas. Acting as Faith Community Hospital (FCH) administrator I turned to the Santa Clara University website, article â€Å"A Framework for Ethical Decision Making†. This article gives five steps that I will use to address the problems FCH face. They are: Recognize a moral issue, Get the facts, Evaluate the alternative actions from various moral perspectives, Make a decision, Act, then reflect on the decision later. Ethical Decision Making Trying to determine the meaning of ethics is, to say the least, a challenge. My search for that meaning took me to the Santa Clara University website. There I found discussions that I agreed with. Sociologist Raymond Baumhart found that replies to the question â€Å"What does ethics mean to you?† was as diverse as those he asked. The answers varied from personal feelings to what is socially acceptable, from religion to legality. So then, what does it mean to be ethical in your decision-making? Shanks tell us â€Å"because we have the ability to be critical of our interpersonal behavior . . . . . we have the ability to develop codes and norms to guide that behavior. Those moral norms and codes, plus a set of virtuous character traits, are what we mean when we talk about ethics.† He also tells us that while we all endeavor to make ethical decisions we run into â€Å"stumbling  blocks† inhibiting our ethical decision-making. He lists the following: -â€Å"My small effort won’t really make a difference -People may think badly of me -It’s hard to know the right thing to do -My pride gets in the way -It may hurt my career -It just went by too quickly -There’s a cost to doing the right thing† We’ve all had to face these â€Å"stumbling blocks†. This is why ethical decision-making is so personal and varied. In our case study of Faith Community Hospital we came across many issues needing resolution. The majority if not all of them required ethical decision-making. Faith Community had a diverse group of employees, and each of them had their own set of ethical/moral standards. While administration can appreciate those differences, the responsibility to bring unity to the organization falls to them. Putting my self in the role of administrator, how do I accomplish this task? Again, I turn to the Santa Clara University website, to the article â€Å"A Framework for Ethical Decision Making†. This article gives five steps that I will use, they are: 1.Recognize a moral issue 2.Get the facts 3.Evaluate the alternative actions from various moral perspectives 4.Make a decision 5.Act, the reflect on the decision later First, recognize a moral issue. At Faith Community there are several issues. They are: -Staff on both ends of the spectrum of Do Not Resuscitate (DNR) orders. I have staff that resuscitate when a DNR is in place as well as staff that do not resuscitate when a DNR is not in place. -Staff refusing treatment to patients without first confirming insurance coverage as well as requiring HIV clearances. -Unauthorized pro bono treatment and installment payments on prescriptions. -Unnecessary treatments being performed Second, get the facts. To some extent the facts speak for themselves. Staff is acting on their individual code of ethics without regard or possibly without knowledge of the hospital’s code. With respect to the DNR issues, in all cases the family members were happy, but in this case, as administrator their happiness is not the issue. The legality however is. DNR orders are for the protection of the hospital and its staff. If they are not adhered to that protection is none existent. What are the facts surrounding treatment or lack thereof? Investigation again reveals varied results. I have staff that fear for their personal safety, so they require HIV clearance before treatment. I have staff that is concerned for the welfare of the hospital, so they require insurance verification prior to treating. I have staff that care for the patients themselves so much they provide free service or payment on installments, both occurring without consent of administration. I also have staff the order treatment just for the sake of doing the procedure. Third, evaluate the alternative actions from various moral perspectives. While the hospital mission â€Å"to promote the health and well-being of the people in the communities we serve† must remain a focal point, as administrator the overall health of the organization falls to me. The decision on what treatment should be given should be at the discretion of the physician. The physician must not abuse this authority by ordering those treatments that are not necessary for the welfare of the patient. Even though I can appreciate and even respect the values presented by the staff the truth of the situation is that not everyone is going to be happy. What is going to â€Å"promote the common good† for all concerned? This becomes the question to answer. Fourth, make a decision. The number decision is the development of policies and procedures that address the identified issues. With regard to: -DNR orders: Once the policy is written concerning implementation of DNR orders, staff in positions to implement these orders will receive written copies of the policy at a mandatory training session. Each staff member will also be required to sign and acknowledgement form indicating receipt of the policy and personal accountability should policy not be adhered to. -Refusal to treat. In addition to the newly developed policies and procedures a new department will be created. The sole function of this department is to determine insurance eligibility. If the patient does not have insurance, it will be determined if they are eligible for state or federal aide. If it is determined they are rejected in both arenas and their injuries are not life threatening, they will not be treated. Training will be held to address both insurance issues and personal safety issues. -Treatment in general. All staff will be required to sign an acknowledgement as to hospital policy regarding non-emergency treatments. This policy will address: unnecessary procedures, when and if pro bono services will be allowed, as well as acceptable financial agreements with the hospital. Fifth, act, and then reflect on the decision later. Consistent reevaluation  of all new policies will be essential. Through their monitoring, I will be able to identify problem areas as they arise and fine-tune the process to deal with them. The decision making process is constant. In order to maintain the health of an organization the process must remain fluid. This is mandated by the one constant in every workplace. THINGS CHANGE! Conclusion Utilizing the five steps outlined in the Santa Clara University website, article â€Å"A Framework for Ethical Decision Making†, allowed Faith Community Hospital to benefit from a good ethical decision. While all concerned my not is happy with the outcome, the guesswork has been eliminated providing for more consistent and I believe better treatment for the community being served by FCH. Training will be ongoing, as will the evaluation of the decision making process, allowing for changes to be made quickly. References A Framework for Ethical Decision Making. Retrieved April 21, 2002 from the World Wide Web: http://www.scu.edu/SCU/Centers/Ethics/practicing/decison/framework.html What is Ethics? Retrieved April 21, 2002 from the World Wide Web: http://www.scu.edu/SCU/Centers/Ethics/practicing/decison/whatisethics.html Shanks, T. Everyday Ethics. Issues in Ethics- V.8, N.1. Retrieved April 21, 2002 from the World Wide Web: http://www.scu.edu/SCU/Centers/Ethics/publications/iie/v8n1/everydayethics.html

Tuesday, July 30, 2019

Post Partum Haemorrhage (PPH) Essay

Introduction: Post partum haemorrhage (PPH) is an obstetrical emergency that can follow vaginal or cesarean delivery. It is a major cause of maternal morbidity and one of the top three causes of maternal mortality in both high and low per capital income countries, although the absolute risk of death in much lower in high income countries (1 in 100,000 versus 1 in 1000 births in low income countries). Furthermore, hemorrhage is the leading cause of admission of the intensive care unit and the most preventable cause of maternal mortality. The average blood loss following vaginal delivery, caesarean delivery and caesarean hysterectomy is 500 ml, 1000ml and 1500 ml respectively. Depending upon the amount of blood loss, post partum hemorrhage (PPH) can be- âž ¢ Minor (1L) âž ¢ Severe (10g/dl) so that the patient can withstand some amount of the blood loss. †¢ High risk patients who are likely to develop post partum hemorrhage (such as twins, hydramnios, grand multipara, APH, history of previous PPH, severe anemia) are to be screened & delivered in a well equipped hospital. †¢ Blood groping should be one for all women so that no time is wasted during emergency. †¢ Placental localization must be done in all women with previous caesarean delivery by USG or MRI to detect placenta accreta or percreta. †¢ Women with morbid adherent placenta are at high risk of PPH. Such a case should be delivered by a senior obstetrician. A availability of blood & or blood products must be ensured before hand. Intranatal: †¢ Active management of the third stage, for all women in labour should be a routine as it reduces PPH by 60%. †¢ Women delivered by caesarean section, oxytocin 5 IU slow IV is to be given to reduce blood loss. †¢ Exploration of the utero-vaginal canal for evidence of trauma following difficult labour or instrumental delivery. †¢ Observation for about 2 hours often delivery to make sure that the uterus is hard and well contracted before sending her to ward. †¢ During caesarean section spontaneous separation & delivery of the placenta reduces blood loss (30%). Management of retained placenta: This diagnosis is reached when the placenta remains undelivered after a specified period of time (usually half to 1 hour following the baby’s birth). This is done to apply pressure to the placental site. The whole hand is introduced into the vagina in cone shaped fashion after separating the labia with the fingers of the other hand. the vaginal hand is clenched into a fist with the back of the hand directed posteriorly and the knuckles in the anterior fornix. The other hand is placed over the abdomen behind the uterus to make it anteverted. The uterus is firmly squeezed between the two hands. It may be necessary to continue the compression for a prolonged period until the (during the period, the resuscitative measures are to be continued). Manual removal of the placenta: The operation is done under general anaesthesia. The patient is placed in lithotomy position with all aseptic measures, the bladder is catheterized. One hand is introduced into the uterus after smearing with the antiseptic solution in cone shaped manner following the cord, which is made taut by the other hand. While introducing the hand, the labia are separated by the fingers of the other hand. The fingers of the uterine should locate the margin of the placenta. Counter pressure on the uterine fundus is applied by the other hand placed over the abdomen. The abdominal hand should steady the fundus & guide the movements of the fingers inside the uterine cavity till the placenta is completely separated. As soon as the placental margin is reached, the fingers are insinuated between the placenta & the uterine wall with the back of the hand in contact with the uterine wall. The placenta is gradually separated with a side ways slicing movement of the fingers, until whole of the placenta is separated. When the placenta is completely separated, it is extracted by traction of the cord by the other hand. The uterine hand is still inside the uterus for exploration of the cavity to be sure that nothing is left behind. i) Management of third stage bleeding: In this third stage of bleeding or hemorrhage, the bleeding occurs before expulsion of placenta. Principles âž ¢ To empty the uterus. âž ¢ To replace the blood. âž ¢ To ensure effective haemostasis. Steps of management: a) Placental site bleeding: âž ¢ To palpate the fundus and manage the uterus to make it hard. âž ¢ To start crystalloid with oxytocin at 60 drops /min and to arrange for blood transfusion if necessary. âž ¢ Oxytocin 10 units IM or methargin 0.2 mg. is given intravenously. âž ¢ To catheterize the bladder. âž ¢ To give antibiotics (ampicillin 2gm.and Metronidazole 500mg. IV). b) Traumatic bleeding: The utero vaginal canal is to be explored under general anaesthesia after the placenta is expelled. ii) Management of true post partum hemorrhage: In this true post partum hemorrhage the bleeding occurs subsequent to expulsion of placenta (majority). Management: âž ¢ Call for extra help involve the obstetric senior staff on call. âž ¢ Keep patient flat and warm. âž ¢ Send blood for diagnostic test. âž ¢ Infuse rapidly 2 litres of normal saline. âž ¢ Give oxygen by mask 10-15L/min. âž ¢ Monitor the pulse, blood pressure, urine output, drug type, dose and time. B. Secondary Post partum hemorrhage: Definition: Secondary post partum hemorrhage is bleeding from the genital tract more than 24 hours after delivery of the placenta and may occur upto 6 week later. The bleeding usually occurs between 8th to 14th day of delivery. Causes: The causes of late post partum hemorrhage are- 1. Retained bits of cotyledon or membranes (commonest) 2. Infection and separation of slough over a deep cervico-vaginal laceration. 3. Endometritis and sub involution of the placental site- due to delayed healing process. 4. Secondary hemorrhage from caesarean section wound usually occur between 10-14 days. 5. Withdrawal bleeding following oestrogen therapy for suppression of lactation. Clinical Manifestation: 1. The lochia are heavier than normal & recurrence of bright red flow. 2. Offensive lochia if infection is a contributory factor. 3. Sub involution of uterus. 4. Pyrexia & tachycardia. Diagnosis: The bleeding is bright red and varying amount. Rarely it may be brisk. Varying degree of anemia & evidences of sepsis are present. Internal examination reveals evidences of sepsis, sub involution of the uterus & often patulous cervical OS. Ultrasonography is usual in detecting the bits of placenta inside the uterine cavity. Management: Principle: âž ¢ To assess the amount of blood loss & to replace it (transfusion) âž ¢ To find out the cause & to take appropriate steps to rectify it. Management: i) Massage the uterus if it is still palpable to bring about a contraction. ii) Express any clots. iii) Encourage the mother to empty her bladder. iv) Give an oxytocic drug such as ergometrine by intravenous or intramuscular route. v) Save all pads & lines to assess the volume of blood loss. vi) If retained products of conception are not seen on an ultrasound scan, the mother may be treated conservatively with antibiotic therapy and oral ergometrine. vii) Anemia is treated with iron supplement & in severe cases, blood is transfused. Nursing management of PPH: Assessment: 1. Assess maternal history for risk factors, plan accordingly and communicate to the perinatal area. 2. Assess pulse pressure, recording consistently less than 30bpm are consistent with hypertensive crisis. 3. Assess intake & output chart. 4. Assess location & firmness of uterine fundus. 5. Palpate the bladder distension, which may interfere with contracting of the uterus. 6. Inspect for intactness of any parineal area. Diagnosis: i) Deficit fluid volume related to blood loss as manifested by looking pale, dehydrated & decrease pulse rate. ii) Acute pain related to perineal discomfort from birth trauma and physiologic changes from births as monitored by wrinkled in forehead, restlessness & irritability. iii) imbalance nutrition less than body requirement related to restriction in food intake as manifested by fatigue, weakness and lethargic. iv) Sleeping pattern disturbance related to pain & bleeding as manifested by drowsiness, lethargic, irritated, etc. v) Risk for infection related to birth process & maintaining poor hygiene as manifested by patient’s verbal complain, irritable & discomfort. Goal: i) Monitoring for hypotension & bleeding. ii) Minimize the pain. iii) Improve nutritional status. iv) Improve sleep pattern. v) Reduce the risk for infection. Intervention: âž ¢ For 1st diagnosis: i) Monitor vital signs every 4 hours during the first 24 hours. ii) Assess vaginal discharge for clots and amount. iii) Maintained IV line as ordered by the doctor. âž ¢ For 2nd diagnosis: i) Assess pain level, location, duration and type also. ii) Provide comfortable position (i.e. supine position) iii) Administered medicine as prescribed by the doctor. âž ¢ For 3rd diagnosis: i) Assess the nutritional status of the patient. ii) Patient is advised to take liquid diet from 3rd day & solid from 4th day. iii) Weight in monitored daily. âž ¢ For 4th diagnosis: i) Sleep pattern is assessed. ii) Provide a neat and tidy bed to the patient. iii) Unnecessary procedures avoided during sleeping period. iv) Patient is advised to discourage day time sleeping. âž ¢ For 5th diagnosis: i) Assessed the level of infection, burning sensation and frequency of urination. ii) Washing hands & wearing gloves can reduce the risk for infection before doing any procedure. iii) Advised the patient to maintain the personal hygiene and also should teach how to take care of perineal area. Evaluation: i) Bleeding is reduced than before. ii) Patients pain level might be minimized. iii) Nutritional status of the patient is improved. iv) Patients sleep pattern is improved. v) Infection is controlled. Conclusion: Post Partum hemorrhage continued to be a leading cause of maternal morbidity & mortality. In this patient despite identification and attempt at correction of an identified clotting disorder, major obstetric hemorrhage was not avoided. However, these factors may be unavoidable and early surgical intervention as per local protocol is recommended to minimize maternal morbidity. After studying & presenting the seminar on the topic of PPH, I got a thorough idea about this disease and I am thankful to ma’am for giving me opportunity of presenting this topic. I think I can be able to import some amount of knowledge to the group & I will be able to provide proper care to such patient if I got in future. Bibliography: 1. C.D. Dutta â€Å"text book of obstetrics† 7th edition, new central book agency, page no- 410-418 2. Annamma Jacob â€Å"A comprehensive textbook of midwifery & Gynecological Nursing†, 3rd edition, Joypee brothers medical publishers (p) Ltd. 3. â€Å"Myhes Tex book for midwives†, edited by V. Rith Bennett Linda K. Brown, 12th edition. Page No- 462-470 4. Dr. Parulekar Shashank V., â€Å"Text book for midwives†, 2nd edition, voramidical publication. Page No- 351-356. 5. B. Basavanthappa T. â€Å"Essentials of midwifery & obstetrical Nursing†, 1st edition, Jaypee Brothers medical publishers. Page No- 544-555. 6. w.w.w.urmc.rochester.edu>URMC>Health Encyclopedia âž ¢ w.w.w.birth.com.au>Labour & Birth. âž ¢ w.w.w.rcog.org.uk>Home>women’shealth> idelines>search for a guideline. âž ¢ Bmb.oxford journals.org/..205full. âž ¢ w.w.w.ncbi.nlm.nih.gov> journal list>cases J/V.J;2008

Monday, July 29, 2019

Black Hole and White Hole

Under the theory of quantum mechanics black holes possess a temperature and emit Hawking radiation through slow dissipation by anti-protons. Most black holes are made when a giant star, called a supergiant, at least twenty times bigger than our own Sun dies, and leaves behind a mass that is at least one solar mass. Stars die when they run out of hydrogen or other nuclear fuel to burn and  start  to collaps. A supergiant stars death is called a supernova. Stars are usually in equilibrium, which means they are making enough energy to push their mass outward against the force of gravity. When the star runs out of fuel to make energy, gravity takes over. Gravity pulls the center of the star inward very quickly. A white hole, in general relativity, is a hypothetical region of space time which cannot be entered from the outside, but from which matter and light may escape. In this sense it is the reverse of a black hole, which can be entered from the outside, but from which nothing, including light, may escape. However, it is theoretically possible for a traveler to enter a rotating black hole, avoid the singularity, and travel into a rotating white hole which allows the traveler to escape into another universe. White holes appear in the theory of eternal black holes. â€Å"In addition to a black hole region in the future, such a solution of the Einstein equations has a white hole region in its past. † However, this region does not exist for black holes that have formed through gravitational collapse, nor are there any known physical processes through which a white hole could be formed. Like black holes, white holes have properties like mass, charge, and angular momentum. † They attract matter like any other mass, but objects falling towards a white hole would never actually reach the white holes event horizon. The white hole event horizon in the past becomes a black hole event horizon in the future, so any object falling towards it will eventually reach the black hole horizon. They are, predicted as a possible other end of a black hole that has a worm hole through space, ut black holes are most likely just a point in space without an other side. A white hole is the theorized time reversal of a black hole. The event horizon of a black hole attracts matter, so event horizon of a white hole ejects matter even though the white hole itself still attracts matter. The main difference between the two is the action of the event horizon. As you can see, this is what a black hole and a white holes are

Case study Case Study 6 Essay Example | Topics and Well Written Essays - 750 words

Case study Case Study 6 - Essay Example The trial period of the 59 participants, who at least managed to decide on attempt at quitting, serves to realize ‘quality life’ objective in the sense that this might leave a chance to induce the smoker to consider the application in the future. Quality long life, by all means, appeals to the attention especially of those whose unbreakable chain habit is up to seek serious and thorough remedy. Program experience in its efficiency allows choices to be contemplated upon with enough duration so that each participant’s response to objective through behavior is monitored. There is then a way of determining whether the working objective or goal set is attainable and up to which degree, to enable assessment of the evaluation procedure itself. Reduced insurance cost is rather indirectly pertained to as one of the main targets but while this projected benefit earns returns on savings for the company, it would be able to sustain other areas that facilitate improvement of its services to all employees. Because smoking cessation program promotes health restoration and long life, this affects an individual’s well-being and soundness at work and with any other physical activities outside. Thus, the acquired goal effect once the smoker, on quitting, does not yield to withdrawals until the evaluation is completed, would have him develop consistent patterns of increased productivity and lowered absenteeism. The goal to render smoking workers to establish reversed habit and cure any existing ailments caused by the old vice, in the process, has made the hospital become capable of adjusting with campaign cost given that the expected savings from each participant is a function of age according to published research (Posavac). Gradually thus, the implementation of the program across-the-board realizes unforeseen investments for the company besides the sole aim to lead hazardous frequencies of corporate smoking to cessation and other healthy occasions

Sunday, July 28, 2019

Writing assignment Essay Example | Topics and Well Written Essays - 750 words - 2

Writing assignment - Essay Example With the many possible sources of ocean pollution, there exist myriad of adverse effects with prevention calling for collaborative efforts among governments, international community and individuals. The first form of ocean pollution is oil pollution. As noted by WWF, 12% of ocean oil pollution emanates from oil spills with 36% attributed to runoffs from cities and industries. The oil from down the drain contributes to ocean oil pollution the greatest, emitting 363 million gallons of oil per year according to Gradwohl. Other sources include natural seeps, offshore drilling, routine maintenance and big spills. Although oil-covered sea animals would be covered from cold by the oil as documented by Miller and Spoolman, they face adverse health effects including reproductive complications and liver diseases due to swallowing of oil which threatens their survival (267). This form of pollution kills ocean life including mangroves and coral reefs with intertidal zones noted to be the most sensitive. Thus, cleanups have been embraced by various governments to curb the problem. As NASA documents, the 1983 United Nations treaty, MARPOL (MARine POLlution) brings together the international community to reduce operational and accidental oil spillages. Individually, people should be encouraged to avoid dumping oil and oil-based waste into oceans. Secondly, there are toxic materials dumped into oceans. Slowly degrading chemicals and metals settle on the floor of the ocean, accumulating and becoming hazardous to organisms living at the bottom of the ocean. Eventually, such toxins could enter the food web, contaminating sea animals that are a source of human food. Beard cites mercury, dioxin and radioactive substances released from industries, agricultural practice, gardening and household activities among others as some of the toxins (280). Gradwohl further notes that almost 1,000 new toxins get added to the ocean every year. Digging out

Saturday, July 27, 2019

Leadership and organisation Essay Example | Topics and Well Written Essays - 2250 words

Leadership and organisation - Essay Example It will focus how and when change takes place within an organization, and how leaders adopt with it, deal with it and what are the consequences while dealing with the change. The essay will discuss the basic skills of leadership such as the ability to inspire others, have effective communication skills, is enthusiastic and inspirational. The importance of these skills would assist the leaders to manage the change. The main objective of this paper is not only to review the concepts of leadership on theoretical notions but to also elaborate the application of these theories with the real case study examples. Leadership is an influence of people including leaders and followers who aim the actual changes and outcomes that reflect their shared drives. It reflects upon the changes and purposes being shared by the people (Daft 2008, p.4). Leadership involves the four vital factors including leader, followers, communication and situation that help to acquire the positive within an institute. Every leader should have personal responsibility and honesty towards the followers and organization, besides leader should have the mentality to accept changes and sharing purpose with the followers (Clark 2010). According to Daft definition leadership entails forming change, and not only being dependent upon the traditional concepts. This change directs to achieve the end-results that leader and the follower both desires. It helps to influence and motivate the leader and the follower to attain the mutual vision (Daft 2008, p.194). Organizational change is considered as an approach of bringing change in terms of transition within the team or organization in the current phase to the desired phase. There are different types of organizational change for which leaders are responsible including mission changes, strategic changes, operational changes technological changes, behavioral changes among the workforce (Boje 2000). Leaders are highly

Friday, July 26, 2019

Conflict in my polish teachers tie How is conflict between social Essay

Conflict in my polish teachers tie How is conflict between social position and identity presented - Essay Example From then onwards, she lost command over her mother tongue. It was Stefan that brought her back to her instincts. The friendship of Carla and Stefan started when one day the Head of the school announced the teachers exchange program. The theme of the program was â€Å"Polish teachers looking for English pen friends to improve their English†2. It was something that stimulated Carla and although she wasn’t eligible, she was confident enough to get the details from the Head who was reluctant to do so. She received letters from Stefan who started calling himself Steve. The letters mostly contained poems in both English and Polish. They had developed and reached a very comfortable level of communication so she told him about Jade and memories of her childhood when she knew how to sing Polish songs. But what she didn’t tell him and he assumed was that she was a teacher and not someone from the catering staff. Her conscience told her that she wasn’t doing something wrong by hiding her designation. The stream of letters kept flowing between them when one day the Head announced that a Polish teacher was coming to England and paying a visit to the school. He was going to stay with a teacher named Mrs. Kenward. It was Stefan Jeziorny, Carla’s pen friend who was coming. He was also expecting to meet Carla, the teacher. This news alarmed her because she thought Steve would find out that she pretended to be a teacher and that might cost her to lose their friendship. But when he arrived, Carla met him and introduced herself wearing the blue and white uniform of a caterer. To her surprise, Steve was filled with so much joy that he sang a Polish song to her that spurred back her memories of childhood. Carla noticed something unique in the attire of her friend, a red colored tie with bold green squiggles that she admired. That tie represented the flag of a different country, a country either one of them didn’t belong to. 3 This

Thursday, July 25, 2019

Alternative Approaches to Slowing Global Warming Essay

Alternative Approaches to Slowing Global Warming - Essay Example This paper offers a thorough review of the article â€Å"To Tax or Not to Tax: Alternative Approaches to Slowing Global Warming†, written by William D. Nordhaus. The article written by the author is a comprehensive study and analysis of the various issues relating to global warming from an economic point of view. The articlewas written to find out, how a control by the government on the public goods would help to combat the problem of global warming. The different control mechanisms which are either price controls or quantity controls have undergone a thorough analysis in the article. Along with that the various prospects and the setbacks that the government face relating to these controls have also been discussed by the author. The scientific analysis of the problems of global warming has been provided. This is a constructive approach which would help the reader understand why there is a necessity for the control of pollution. An outline of the source of the problems has been discussed. The issue of climatic changes has been explained with the help of suitable examples. The reader can understand that the emission of various industrial gases are the reasons why the atmosphere around the earth is getting polluted and how it is linked to the changes in the climate. Although the scientists had made the world aware about the negative consequences of global warming a long time back, countries have been instrumental in taking formal actions only at a later stage. In this context the author has put forward the example of United States. The United Nations Framework Convention on Climate Change is the body that started its functioning with the Kyoto Protocol in 2005. The framework was adopted by the participating industrialized countries where the emissions take place the most. The European Emissions Trading Scheme was an attempt made by the countries of the European Union to tackle the problems of Carbon dioxide emissions in the countries with the implementation of the economic principles (European Environment Agency 11). However, according to the author the Kyoto Protocol had major problems because there was very little scope for inclusion of the other countries. The United States also did not participate in the treaty which acted as a major setback for the success of the mission. The treaty also suffered a failure because the growth in the industrialization took place in the countries that did not come under the purview of the treaty. This is a valid argument put forward by the author because any schemes that are being adopted by the countries have to be remodeled with time. Unless all the countries come forward and participate, a global issue cannot be countered only by a few nations. Therefore Nordhaus posited that the nations did not do enough in the initial stage to combat the pollution levels of their respective countries. Therefore the article does a detailed analysis of the Kyoto Protocol and also tries to look for an alternative solution in case of non viability of the former. The author has presented the first section of the article with global public goods, an example of which is the phenomenon of global warming. The author has describes these goods as those which affect the entire world and are not specific to any country. The global public goods are becoming more prominent with time because of the extensive of use of technology. This representation of global warming is somewhat not appropriate because it is a result of production or consumption of a good and therefore should be considered as a negative externality rather

Wednesday, July 24, 2019

Sports and Entertainment Management Essay Example | Topics and Well Written Essays - 750 words - 2

Sports and Entertainment Management - Essay Example The most interesting thing that I learnt was that life takes unexpected turns for all of us. It is not always for the worse but some brilliant opportunities are presented to us too. We need to be open to new circumstances. A flexible attitude always prevails. Mr. Baker talked about transition in an organization. Transition or change is very important for an organization. Mr. Baker said that making a change is extremely difficult but we have to make it because we have to stay up to speed with the rest of the world. The ways of the world change. The tastes of the consumers change. Technology changes all the time. This is why an organization needs to be flexible and must be able to anticipate the requirements of change. According to Lewin, when an organization undergoes change, it goes through three processes which are unfreezing, change, and refreezing (pp. 197–211). Unfreezing is the most difficult part because it is the stage which is resisted the most. It is common human beha vior that when people are settled in and are comfortable, they always tend to resist when they are asked to make a change. A good leader administers change in a very effective manner by taking all team members into confidence and explaining to them that a change is necessary for their own well-being. When the team members know about the importance of change, they cooperate in a better manner. The key is to involve the team members in the process of transitioning. If the details of change are kept from the team members, a greater resistance is likely to be expected. However, no matter how much efforts are made to involve the team members in the change process, there would always be some resistance. It is very important that this resistance is dealt fairly because it causes great stress otherwise. Lewin suggests that a â€Å"controlled crisis† can be created by the leader so that the team members or the employees are motivated to find a new equilibrium themselves. When the cris is creates a sense of instability in the team members, they seek change themselves and, therefore, enter the second phase of change. According to Lewin, different people respond differently to change. It is not possible that the change would be undergone overnight. There are two types of people; proactive and reactive. Proactive people understand the need of change quickly and start working in the new direction at once. Reactive people do not change unless something really happens to them and they are forced to change. The creation of a crisis was suggested to set the wheels of reactive people in motion. However, there are always certain people who benefit heavily from the status quo. Such people take a long time to unfreeze and change. Here comes the importance of yet another very important aspect of Mr. Baker’s presentation which is decision-making. A leader must be able to take tough decisions in a timely manner. Being a hockey coach for a fair amount of time, Mr. Baker ha s the mental toughness and maturity to handle a team effectively. According to him, it is very important that a leader never cheats. One of the major aims of his coaching was to hold the kids accountable if they do anything wrong so that a sense of responsibility can be created. This also helps in letting the team members know what their boundaries are. The team members are also treated with great respect so that they may never feel mistreated. All these things apart, the need to take necessary decisions is very important no matter how tough they are. However, there is always a room for improvement and there is a possibility that things can be done in much better way than they have been done in the past. According to Shapira, decision making is considered as a process in which different interests and perspectives

Tuesday, July 23, 2019

Equity Essay Example | Topics and Well Written Essays - 3000 words - 1

Equity - Essay Example he other hand, expects that the property may be asserted by loan bosses before individual A bites the dust, and that subsequently B would get none of it. A could secure a trust with B as the beneficiary, yet then A would not be qualified for utilization of the property before they passed on. Defensive law of trusts was created as an answer for this circumstance unlike the equity’s darling rules1. A would create a law of trust with both A and B as recipients or rather beneficiaries, with the trustee taught to permit individual A to utilize the property until A passed on, and from there on to permit its utilization to B. The property is then sheltered from being guaranteed by As lenders, at slightest the length of the obligation was gone into after the trusts law2. This utilization of the law of trusts is like life domains and leftovers, and is much of the time utilized as plan B to them. As per the common law, lawful frameworks, a law of trust is a form of connection whereby a land is held by one gathering for the profit of an alternate like the beneficiaries but according to the equity’s darling, there are no beneficiaries recognized by its court and this brings out the difference between the two courts. A law of trust is made by settler, who exchanges some or the majority of his or her land to a trustee. It is clear that the trustee holds that land for the trusts recipients. Since the Roman times, the law of trusts has been existing and currently, they have turned in a standout amongst the most critical advancements in property or rather land law. A manager setting land into the law of trust puts a piece of his or her heap of the rights to the trustee, differentiating the lands lawful proprietorship and control from its evenhanded possession and benefits. This may be an expense which is finished in some other reasons or to control the land and its advantages if the settler is non-attendant, debilitated, or is dead. Commonly the law of trusts is m ade in wills,

African American Gay Rights Essay Example for Free

African American Gay Rights Essay I cannot begin to argue about African American/Hispanic LGBT, living in New York City and their civil rights without remembering the public outcry against black civil rights. Although the focus of this paper is on African American/Hispanic LGBT living in New York City and Their Rights to Marriage I have decided to start my paper of by discussing the civil rights movement of the 1960s. The civil rights movement of the 1960s and the continuing struggle against race-based discrimination were rooted in the struggle against slavery. As early as the eighteen hundreds the United States legislative had laws known as segregation laws that limited certain freedom to them. They had to live in separate neighborhood, attend separate schools, drive in the back of public buses verses in the front where Whites were; African American would not dare go against these laws back then because if and when they did, they were unjustly imprisoned, beaten lynched and more for just trying to exercise human rights. In the 1960s African Americans led a fight to remove the legally codified vestiges of slavery from our constitution and from state and local laws. Most repulsive among these, were Jim Crow laws that required racial segregation; African Americans had to endure all these things until The Civil Rights Movement. The modern concept of civil rights was pioneered by African Americans in their long struggle to become full citizens of the United States. From the Civil Rights Movement to the Stonewall Riots of 1969 to May 17, 2004, the LGBTQ movement has made some tremendous gains into mainstream society, a reality that has not been afforded to African Americans. The African American Civil Rights Movement gave birth to many other civil rights movements in the 1960s. African Americans not only made new law, their success gave new hope. Among the many efforts sparked by the African American Civil Rights Movements were the efforts to end discrimination against women, Hispanic Americans, Native Americans, and Asian Americans, people with disabilities and lesbians and gays. Some African American still has one more river to cross because now African American LGBT are fighting a new civil war, the fight for same sex marriage; the right to be legally married. Currently, marriage has two distinct components: civil marriage and the religious ritual of marriage. Mixed-gender couples can have a civil marriage without the religious ceremony/ritual. Couples can have a religious ceremony/ritual, without a civil marriage. Some couples can choose both. However, to receive the legal protections of marriage, a couple must have a civil marriage, which is the only marriage that can be addressed by courts or legislatures. The LBGT believe that the rights and legal protections of civil marriage that are given to mixed-gender couples and families should also be extended to couples and families who are headed by same-gender couples. These include the rights of survivorship, inheritance, insurance, joint income tax filing, and a myriad of rights that many mixed-gender couples take for granted. For African American LGBT, state regulation has been particularly harsh. State sodomy law has had a way of preventing LGBT from acquiring some of the rights they are entitle to. Today, fewer than half the state has sodomy laws. LGBT recognizes New York City for being the birth place for many modern gay movements; however, New York has not yet passed any law giving LGBT legal protection and political support, (right to marriage being on of them). New York State gay rights bill, first introduced in 1971, still has not become law. While other states, like Vermont has established civil unions for LGBT, New York has not. Andy Humm writes that the biggest gay-related debate throughout the country right now is over government sanction of same-sex elationships. Vermont has gone the furthest, establishing civil unions for gay couples that confer almost all of the rights to which a married man and woman are entitled, though stopping short of full legal marriage. New Yorkers may travel to Vermont for the civil ceremony as of July 1, but there is some question as to what legal weight it will carry back home. The federal government enacted the Defense of Marriage Act (DOMA) in 1996 when it looked as if Hawaii might give same-sex couples marriage licenses. It barred federal recognition of legal same-sex marriages performed in any state and gave the other states the right not to honor such a contract. Thirty-two states have passed laws barring recognition of same-sex marriages performed in other states, even though no state or nation allows gay couples to obtain a marriage license. (Holland will likely be the first in 2001. ) A New York version of the Defense of Marriage Act is pending in Albany, but has not had a vote in either chamber. Bibliography Diane Silver et al. , The New Civil War: The Lesbian and Gay Struggle For Civil Rights (New York; New York:1997), 25-26 Andy Humm, The State of gay rights in New York, Available http://www. gothamgazette. com/iotw/gayrights/ (Accessed May 16, 2005).

Monday, July 22, 2019

Knowledge is Everlasting Essay Essay Example for Free

Knowledge is Everlasting Essay Essay One may ask, â€Å"What is knowledge?† I understand Knowledge to be the intellectual ability of being able to understand the events in the world based on principles learn from one’s experiences. Once Knowledge is truly gained, can it be lost? I believe that if one is truly knowledgeable about something it is rather impossible that such knowledge can merely vaporize into thin air. Many people claim that they have indeed â€Å"lost knowledge†but sadly all they lost was information they memorized. Conversely, knowledge involves the careful observation of events, reasoning as to how and why these observations occur, and also learning through experiencing. Furthermore, I have come to recognize the eternal quality of knowledge based on biological facts, and also during my own daily experiences. From a biological point of view, the permanency of knowledge has been proven to be true, through the realization of the brain’s vast characteristics such as memory cells. When an individual learns something for the first time, this information gets stored by memory cells in the brain. Then the next time the individual is encountered with a situation involving or requiring such knowledge, for its interpretation, the brain accesses the stored datafrom the memory cells. This data it had gained from prior experiences. For example, the scenario of the first time one peels an orange. Individuals were not created with the instructions of how to peel an orange imprinted in their DNA. Rather, it must be learned from experience. Therefore,the first step in peeling an orange is gathering information from a source about the necessary method of success.After which, one acquires the apparatus (the knife and orange) and sinks the blade into the peel slightly, so the blade goes just beneath the surface. Then gently glides the blade through the peel to reveal the white layer underneath. After removing all the peel, the orange is sliced into two halves revealing the pulp. Of course, on the first try one might make mistakes and not peel the orange so perfectly. However, upon each ot her trial of peeling an orange one’s technique become more  mastered.Soon,a point is reached where it is possible to peel an orange without thinking how to do it. Clearly, knowledge is always permanently stored in the brain’s memory cells for future use. Additionally, knowledge also becomes magnified each time it is applied and verified in different situations. Often time, true knowledge gets confused with its close relative, memorizing. The fact stands that memorizing and being knowledgeable about something are two completely different concepts. Speaking from my own experiences, studying for an exam is a typical example where memorizing and obtaining knowledge interact closely and may become intertwined. For instance, during the course of studying for an exam there are some definitions of theories that I merely memorized. The result was that I forgot them after the exam since all I did was replicate the definitions on the exam paper. Still, there were some cases in which I had gained knowledge of things I still remember. This was because, I read about the concepts in greater detail beyond their definition and actually understood the concepts and applied them to real life situations. The misperception of memorizations for knowledge is very common among people and so they tend to misinterpret the principle of knowledgeable, thereby failing to see the permanent nature of knowledge relative to the temporary and limited character of memorizing. I believe rather than dying, knowledge grows with experience and constantly metamorphosis into an even higher level of knowledge. It is intensely evident that knowledge is perpetual. Moreover, knowledge is limitless as it goes beyond mere memorizing of data and events, towards developing an understanding of the observations made during life’s experiences. My belief is reflected in the common rhyme I was taught in school, â€Å"silver and gold may vanish away, but a good education will never decay†. Thus, the lifetime of knowledge is so vast and unlimited that it is given higher value above even the most precious minerals on Earth, such as silver and gold.Wouldn’t you agree that the truly most valuable trea sure known to mankind is knowledge? Works Cited Quindel, Emilie. our local history. 02 December 2012. WordPress. 10 September 2013 .

Sunday, July 21, 2019

Internet Responsible For Social Changes In Teenagers Media Essay

Internet Responsible For Social Changes In Teenagers Media Essay In 1950s, the first electronic computer was invented. This made work of day to day life very easy for the working population. But later in 1980s, the first world-wide Internet Protocol Suite was regulated and the world-wide network of all the computers interconnected through IP/TCP was called INTERNET. Then it started bringing reforms in working style, schools and education and recreational activities. Later, social networking sites were first introduced. Lately, internet has caused a very long term drastic changes in peoples day to day life. It has made communication so much easier that its use is rapidly increasing and is affecting the population of all the age groups. The age group which is most affected are the teenagers. Internet has provided them with different recreational activities with the most popular activity called social networking.https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEhQBLO0_-SvE-dGZaislzlJr-DuSHadQsk8t6Ez9ppDc915dLznCOzDk_eDQ_XDJ8bImcwkxGEmEbmAMbelNrsvR-XtfeladTQ33kTWpep6qb7i6zrh3FZyFTBg5-v7uS53DnDRk4ceaAE/s320/internet.gif à ¢- Ãƒ ¢- Ãƒ ¢-  Frequently children in 4th-6th grade levels engage in social networking activities. In the process they post personal, potentially exploitable, information about themselves online. Specifically, and within the last school year: 16% posted personal interests online, 15% posted information about their physical activities and 20% gave out their real name. In addition, 5% posted information about their school, 6% posted their home address, 6% posted their phone number and 9% posted pictures of themselves. This has led to child abuse which include kidnapping and raping that disrupts a kids childhood. à ¢- Ãƒ ¢- Ãƒ ¢-  Why I Chose This Topic? I chose this topic because in myself think that I have lately been using a lot of resources from internet for my educational work as well as recreation and fun. I have been using facebook very much lately and that has directly reflected on my grades in the exams that I gave lately. This addiction is so intense that I have to spend 2 hours of my time on facebook every day. So I have decided to research about how internet has affected my life? Global Perspective Internet gives us access to virtually unlimited amount of knowledge and information. The days are gone when teenagers had to flip through the books. Internet has made this very easier and books have been replaced by laptops and desktop-computers. These have made international cross communications very easier and have introduced different life concepts and cultures amongst the teenager who use internet. As the statistics suggests, 98% of the population aged from 18-24 uses social media too frequent in their day to day life. Worldwide, there are more than 1 billion user active users for the big three Microsofts Hotmail, Yahoo! Mail and Gmail. The international schools in MEDCs (more economically developed countries) like USA and UK encourage the use of internet widely in their type of teaching style. E-mails are used by students to make the communication easier, organised and faster for students and teachers both. GmailÆ’Â   425 million active users in June 2012 HotmailÆ’Â   350 million active users in October 2011 Yahoo MailÆ’Â  310 million active users in October 2011 More than 1.2 billion people across the globe uses worldwide social networking sites very frequently with most of them as children aged fewer than 20s. The survey of Rochester Institute of Technology states that 48% of students 2nd to 4th graders interact with people on social networking sites, while 50% indicate that their parents watch them when they use a computer and they have strict regulations over how to use internet and time limits for use of internet. But Harris Interactive-McAfee said that 63% of teenagers said that they know how to hide what they browse online from their parents. This suggests that the teenagers are slipping out of their limits and exploring data in the internet that they are not supposed to. Social networks are becoming more frequently used for dating purposes for teens. As suggested by Harris Interactive-McAfee survey, 52% of teens have given out personal information online to someone they dont know offline including personal photos and/or physical descriptions of themselves (24%). Statistics of the girls (34%) suggest that more girls have shared their personnel details than boys (15%). National Perspective- INDIA Introduction to diverse life concepts and cultures Development and introduction of internet through India has introduced many life concepts, different ideologies, cultures and different concepts on the very basic notion of how to live life. From cultures of the western world to cultures of remote civilizations,  it is said that the internet has made perception of life in general, extremely individualistic. Even if most of the Indian teenagers have not been abroad, but you can still see a part of them turning into western type culture. Exposure to vices and bad habits Internet is a pool of unlimited amount information. This cannot be always thought in a good way because this information portal has no device of filtering information for teenagers in India. Lets consider a typical global issue of pornography websites. Some of the websites have disclaimers which wares the user and warns them about what they are visiting because of the confirmation of age above 18 is asked. But is that working successfully to stop the teenagers from entering the adult websites? This was just an example. Indian teenagers have free access to information regarding drugs, sexuality and other ill habits that are condoned by the government of India. Concept of friendshipsC:UsersArjun DethaliaDownloads128863011033949093.png 1990: In these times, a friend was the one who youd meet regularly and have fun to gather. At last you would have many everlasting memories. And the communication took place through letters and telephones. When they part-away, there was agony of being separated because of no long distance communication as India was not developed in those times. 2012:  A friend is a person whose profile has been added to your profile and you know him by chatting or in neighbourhood. Communication with him/her takes place through chats and call. There is just a little feel of sadness when your friend drifts away because you could always stay in touch through social networks. Changing norms and traditions Internet has challenged the very thought of traditionalism of a cultural and religious India. In a land where culture, religion and values come before anything else in the world, internet is ruffling quite a few feathers -whether it is challenging traditions of how to build a house, how to use frozen food, how to live a nomadic life by taking backpacking trips or something as absurd as a woman looking up ways of becoming a pilot and a man looking up colleges to study catering. (Indonesia)Abductions and kidnapping have caused a large problem in countries like Indonesia. There have been several cases of kidnapping and child abuse there and police can really not do anything about it as the identity of the internet user is anonymous. Police is nearly impossible to find the culprit. Individual/ Local Perspective Rajkot is a city located in India, Gujarat. It is the 4th largest city in Gujarat and is one of the fastest growing cities in India. As it has gone through a rapid urbanisation, there has been a widespread use of internet since past 10 years. Internet has helped the teens of Rajkot transition in many different ways. Todays Teenagers of Rajkot uses technology more than they ever did. More than 80% of Junior-High students in TGS (The Galaxy School- one of the best schools in Rajkot) have internet access which they use to send and receive email, instant messages, live chat, and more. Well, the schools of Rajkot has tried to introduce education through internet amongst children from which TGS is has been extremely successful. Teens of Rajkot have nearly stopped hanging out with their friends because of internet because they could now; easily chat with their friends through live-chat/conference-calls. Online chatting also has its own hazards. Especially, when talking to strangers online they do not really know who they are. They can be just anybody pretending to be someone else. Many teens of Rajkot have been reported of child abuse and kidnapping happening this way!! And it has come hard on police as there is no way of verifying who have really done this. As far as I have researched, I have to agree that internet harms the teenagers more than they improve them. I am a teenager, 15 years old, and Internet has changed my life to a great extent. It provides me data that I can download and watch free without even paying for it in real life. I have a privilege to use internet whenever I want as far as I use it for something productive. As far as I have researched internet is bad for teenagers life and should be used in limited amounts a day or it could lead to addiction, a permanent physical disorder like weight gaining or could create a barrier between kids and their social life. Thus, I will try to cut down on my internet usage and will try to do my most of the work by many other authentic sources like books and articles. Possible Scenarios:- Cyber-Bullying Cyber-Bullying is a form of bullying that takes place over the internet that maliciously threatens a And humiliates the victim very badly. It was declared a serious crime by National Crime Prevention Council, in 2010.   It has extremely dangerous consequences like emotional distress to victims; from which depression has caused many deaths by suicides committed by youth. It is difficult to prevent as the criminal/s are anonymous and are hard to find. But if society takes necessary actions, the frequency of it occurring can be reduced. Friends and family of victims are also impacted when cyber bullying occurs. They may also feel powerless to stop it or guilty for not having spoken out against the bullying.   Ã‚   Social Development It has been proved that kids who spend more time on social networking cannot converse with people as well as who spend less. This is a real blow to kids development Children cannot therefore not socialize and blend with the people around them. Possible Courses of Action Kids under 15 are less stubborn and easy to control. Parents could just watch over them while they are browsing through internet for studies or anything else that is productive. They could be allotted with time to go online on social networks and chat with their friends or play games. Children that are over 15 are stubborn and are not as easy to control. So there are ways of watching over what they do on internet. Everything except the productive data on internet could be blocked using a software like Cyber-Roam Porn and drug trading is against the rules of using internet for teenagers. It is also legal to some extent in the developed countries. But it is still too harmful to get introduced in teens life. To stop the illegal activities happening on internet, sites that are for above adults should ask for a particular ID that proves that the person is above 18/adult. Drug trading online is illegal in each and every country of the world. There is no way that it could be banned in the country in a short period of time; but awareness can gradually reduce the amount of drug trades over years until it is nearly negligible.

Saturday, July 20, 2019

Classification Of Computers :: Computer PC Desktop Technology

Classifications of Computers According to the U.S. Census "Forty-four million households, or 42 percent, had at least one member who used the Internet at home in 2000" (Home Computers 2). Today, no doubt, even more family members in the United States use computers. Most people are aware of the desktop computers which can be found in the home and in the workplace. What are the different types of computers and what are their purposes? Computers can be classified into three different categories of home computers, portable computers, and business computers including workstations and super computers. First, what is a computer? "While the term computer can apply to virtually any device that has a microprocessor in it, most people think of a computer as a device that receives input from the user through a mouse or keyboard, processes it in some fashion and displays the result on a screen" (What are the Different p. 1). Home computers are being used by children, teenagers, and adults. The PC or personal computer is designed to be used by one person. The term, Mac, is a PC, but most people link computers with Windows software such as Windows 98, Windows 2000, or Windows XP. A PC is actually a desktop that is designed to be used in one set location. "Most desktops offer more power, storage, and versatility for less than their portable brethren" (What Are p. 3). Many desktop computers are used at home and at work. Various types of software have been designed to meet individual needs of the computer user. The use of home computers or PCs can be for various purposes such as education, w ork at home, personal communication through e-mail, to gain knowledge about different topics, to find recipes, and even to play games. The second classification of computers is portable computers. This type of classification includes lap tops and palm tops. The personal digital assistant or PDA was designed to help people stay organized. This was expanded upon and now PDA's offer a variety of services. PDA's are "easy to use and capable of sharing information with your PC. It's supposed to be an extension of the PC, not a replacement" with many different types of services (How PDAs Work p. 1). Many PDA's are even capable of connecting with the Internet and act as global positioning devices. Other portable computers are now available. Another portable computer is the palmtop.

Majungatholus Atopus: A Dinosaur Cannibal :: Anthropology Essays Paleontology Papers

Majungatholus Atopus: A Dinosaur Cannibal The dinosaur Majungatholus atopus is a meat-eating dinosaur that lived 65 to 70 million years ago, during the Cretaceous period, in what is now the island of Madagascar. The Majungatholus has long been known for being a carnivorous dinosaur, but it wasn’t until recently that researchers revealed that this dinosaur was probably a cannibal. They were able to conclude that this was probably the case as a result of discovering several bones of the Majungatholus dinosaur with specific tooth marks in them that researchers have proven belonged to the Majungatholus dinosaur. In her 2003 press release for the National Science Foundation (NSF), Cheryl Dybas quoted the NSF program director Richard Lane, â€Å"this research greatly expands our understanding of how dinosaur species related to each other in the context of their environment, and also serves as a way of increasing public awareness of and appreciation for the earth sciences."1[1] There was one other discovery of what might have been another cannibal dinosaur; the Coelophysis bauri, a small Triassic theropod2[2], this discovery however has not yet been proven and may be unconfirmed. The discovery of the Majungatholus however has what geologist Raymond Rogers calls the â€Å"smoking gun in the form of diagnostic tooth marks,† which are â€Å"a ‘snapshot’ of a day in the life-- and death—of Majungatholus.†3[3] There is however no evidence to point to whether or not Majungatholus killed its meals or simply scavenged. Rogers says the evidence for the theory of cannibalism comes from twenty-one tooth marked elements which were a part of two different Majungatholus individuals found in two isolated locations on the island of Madagascar.4[4] On these bones are distinct sets of tooth marks that point only to being from the jaws of a Majungatholus dinosaur; the marks not only match the size and spacing of the teeth found in the jaws of the Majungatholus, but they also have the same smaller grooves that match the sharp irregularities of this particular dinosaur. According to Rogers, â€Å"measurements taken from the modified bones and the Majungatholus teeth are comparable.†5[5] The set of parallel tooth marks found on one of the bones matched up with the same approximate inter-tooth spacing as the jaw of the Majungatholus. This particular dinosaur also can display an even pattern of tooth eruption that is evident in several of the bones in the sample.

Friday, July 19, 2019

Severe Acute Respiratory Syndrome in Taiwan Essay -- Health, Diseases

In March 2003, the outbreak of Severe Acute Respiratory Syndrome (SARS), so far the most lethal infectious disease in this century, hit the world, including Taiwan. The unfortunate pandemic shattered Taiwan’s tourism industry and the nation’s image of a safe tourism destination region, thus affecting Taiwan’s economy. The Taiwanese government, as well as others that were affected, placed restrictions of varying stringency on domestic and international travel due to the cases of SARS. Therefore, precautions were taken and Taiwan’s global travel and tourism system deteriorated. Having Japan and Hong Kong as Taiwan’s two main sources of tourist arrivals, this pandemic decreased a huge amount of international arrivals from these generating regions reaching a level the island had never before witnessed. Accordingly, due to the influence of SARS on tourism from Japan and Hong Kong, Taiwan had to re-establish its image as one of Asia’s must-see dest inations. Undertaking such research in this pandemic will give a further insight into the impacts of SARS and how the tourism industry has responded in relation to the turmoil that transpired in one of the worst affected in the Asian region, Taiwan. The importance of this research relies vastly on the perceptions from various stakeholders that were affected by the disease, including the community, business owners and the nation as a whole. The impacts of such a turbulent disease ranged from escalating health warnings and death tolls, to economic problems including the deterioration of businesses and sales which led to loss of jobs and furthermore, the large decline in inbound tourist arrivals primarily from Japan and Hong Kong (Pine and McKercher, 2004). Due to the large scale of impacts... ...’s concern about SARS. Secondly, advertising and promotional campaign took place to boost willingness to travel to Taiwan. In order to obtain the numbers of Japanese tourists during pre-SARS, the Taiwan government implemented on advertisements with the aim of giving Taiwan the image of being one of Asia’s must-see destinations for tourists. With the aid of these initiatives, Taiwan’s tourism market had restored to normal by the summer holiday season. While arrivals from Japan recovered to only 70% of pre-SARS level due to a drop off in international trips by Japanese travellers in general, growth was seen in all the other major source markets, including Malaysia, Singapore, Korea, and the U.S. The Japanese tourist arrivals did not recover completely until more than a year after Taiwan was officially removed the list of SARS affected areas (Mao, Ding, Le 2004).

Thursday, July 18, 2019

Formulation & Evalution of Atenolol Hcl Microemulsion for Ocular Administration

1. INTRODUCTION Objectives of the project: (a) Develop a formulation of Atenolol HCL microemulsion for ocular application to decrease IOP in case of glaucoma. (b) Improve the quality of patient’s life suffering from glaucoma. (c) Reduce the number of dosing per day. 1. 1 Eye â€Å"If a physician performed a major operation on a seignior (a nobleman) with a bronze lancet and has saved the seignior's life, or he opened the eye socket of a seignior with a bronze lancet and has saved the seignior's eye, he shall receive ten shekels of silver.But, if the physician in so doing has caused the seignior's death or has he destroyed the seignior's eye, they shall cut off his hand† the forgoing excerpts are from 282 laws of King Hammurabi's Code. The eye is unique in its therapeutic challenges. An efficient system, that of tears and tear drainage, which quickly eliminates drug solutions which makes topical delivery to the eye somewhat different from most other areas of the body. Pr eparations for the eye comprise a variety of different types of products; they may be solutions (eye drops or eyewashes), suspensions, or ointments.Any modern text on drug product design and evaluation must place into perspective the unique nature of the ophthalmic dosage form in general more specifically. It must consider that the bodily organ which, probably better than any other, serves as a model structure for the evaluation of drug activity, the eye. In no other organ can the practitioner, without surgical or mechanical interaction, so well observe the activity of the drug being administered.Most ocular structures can be readily viewed from cornea to retina and in doing so; any signs of ocular or systemic disease can be detected long before sight-threatening or certain health threatening disease states become intractable. Behind the relative straightforward composition nature of ophthalmic solutions and ointments, however, like many physicochemical parameters which affect drug stability, safety and efficacy as they do most other products.Additionally, specialized dosage forms such as parenteral type ophthalmic solutions for intraocular, subtenons, and retrobulbar use; suspensions for insoluble substances such as hydrocortisone; and solids for reconstitution such as ecothiophate iodide and tetracycline, all present the drug product designer with composition and manufacturing procedure challenges in the development of pharmaceuticals. Opthalmic products, like most others in the medical armamentarium, are undergoing a process termed optimization.New modes of delivering a drug to the eye are being actively explored ranging from a solid hydrophobic device which is inserted into the ophthalmic cul-de-sac, to conventionally applied dosage forms which, due to their formulation characteristics markedly increase the drug residence time in the orbit of the eye, thus providing drug for absorption for prolonged period of time and reducing the frequency with which a gi ven drug product must be administered [1]. Ocular diseases are mainly treated topically by application of drug solutions administered as eye drops.These conventional dosage forms account for 90% of the available ophthalmic formulations. This can be due to the simplicity and convenience of such dosage forms [2]. It is often assumed that drugs administered topically to the eye are rapidly and totally absorbed and are available to the desirable site in the globe of the eye to exert their therapeutic effect. Indeed, this is generally not the case. When a quantity of topical ophthalmic dosage form is applied to the eye, generally to the lower cul-de-sac, several factors immediately begin to affect the availability of the drug contained in that quantity of the dosage form.Upon application of 1 to 2 drops of a sterile ophthalmic solution, there are many factors, which will participate in the removal of the applied drops from the lower cul-de-sac [5]. The first factor effecting drug availab ility is that the loss of the drug from the palpebral fissure. This takes place by spillage of the drug from the eye and its removal via nasolacrimal apparatus. The normal volume of tears in human eye is estimated to be approximately 7  µl, and if blinking does not occur the human eye can accommodate a volume of 30 III without spillage from palpebral fissure.With an estimated drop volume of  µl, 70% of the administered volume of 2 drops can be seen to expel from the eye by overflow. If blinking occurs, the residual volume of lO  µl indicates that 90% of the administer volume of two drops will be expelled. The second factor is the drainage of the administered drop via the nasolacrimal system into the gastrointestinal tract which begins immediately upon instillation. This takes place when reflex tearing causes the volume of the fluid in the palpebral fissure to exceed the normal lacrimal volume of 7 – 10  µl.Fig (l) indicates the pathways for this drainage. A third mech anism of drug loss from the lacrimal fluid is systemic absorption through the conjunctiva of the eye. The conjunctiva is a thin, vascularized membrane that lines the inner surface of the eyelids and covers the anterior part of the sclera. Due to the relative leakiness of the membrane, rich blood flow and large surface area, conjunctival uptake of a topically applied drug from the tear fluids is typically an order of magnitude greater than corneal uptake [3]. Figure (1): The pathways for drainage of drug from the eye [2]In competition with the three foregoing drug removal from the palpebral fissure is the transcorneal absorption of drug, the cornea is an avascular body and, with the percorneal tear film first refracting mechanism operant in the physiological process of sight. It is composed of lipophilic epithelium, Bowman's membrane, hydrophilic stroma, Descement's membrane and lipophilic endothelium. Drugs penetrate across the corneal epithelium via the transcellular or paracellula r pathway. Lipophilic drugs prefer the transcellular route.Hydrophilic drugs penetrate primarily through the paracellular pathway which involves passive or altered diffusion through intercellular spaces, for most topically applied drugs, passive diffusion along their concentration gradient, either transcellularly or paracellularly, is the main permeation mechanism across the cornea [6]. Physicochemical drug properties, such as lipophilicity, solubility, molecular size and shape and degree of ionization affect the route and rate of permeation in cornea [3]. 1. 2 Microemulsions Oil and water are immiscible. They separate into two phases when mixed, each saturated with traces of the other component [7].An attempt to combine the two phases requires energy input to establish water-oil contacts that would replace the water-water and oil-oil contacts. The interfacial tension between bulk oil and water can be as high as 30- dynes/cm [8]. To overcome this, surfactants can be used. Surfactant s are surface-active molecules. They contain water-loving (hydrophilic) and oil-loving (lipophilic) moieties [9]. Because of this characteristic, they tend to adsorb at the water-oil interface. If enough surfactant molecules are present, they align and create an interface between the water and the oil by decreasing the interfacial tension [8].An emulsion is formed, when a small amount of an appropriate surfactant is mechanically agitated with the oil and water. This results in a two-phase dispersion where one phase exists as droplets coated by surfactant that is dispersed throughout the continuous, other phase. These emulsions are milky or turbid in appearance due to the fact that the droplet sizes range from 0. 1 to 1 micron in diameter [9]. As a general rule, the type of surfactant used in the system determines which phase is continuous. If the surfactant is hydrophilic, thenoil will be emulsified in droplets throughout a continuous water phase.The opposite is true for more lipoph ilic surfactants. Water will be emulsified in droplets that are dispersed throughout a continuous oil phase in this case [10]. Emulsions are kinetically stable, but are ultimately thermodynamically unstable. Over time, they will begin to separate back into their two phases. The droplets will merge together, and the dispersed phase will sediment (cream) [9]. At this point, they degrade back into bulk phases of pure oil and pure water with some of the surfactant dissolved in preferentially in one of the two [8]. 1. 2. Characteristics of Microemulsions If a surfactant that possesses balanced hydrophilic and lipophilic properties is used in the right concentration, a different oil and water system will be produced. The system is still an emulsion, but exhibits some characteristics that are different from the milky emulsions discussed previously. These new systems are called â€Å"microemulsions†. The interfacial tension between phases, amount of energy required for formation, dro plet sizes and visual appearance are only a few of the differences seen when comparing emulsions to microemulsions.Microemulsions are in many respects small-scale emulsions. They are fragile systems in the sense that certain surfactants in specific concentrations are needed for microemulsion formation [11]. In simplest form, they are a mixture of oil, water and a surfactant. The surfactant, in this case, generates an ultra-low free energy per unit of interfacial area between the two phases (103mN/m) which results from a precise balance between thehydrophilic and lipophilic nature of the surfactant and large oil-to-water interfacial areas.These ultra-low free energies allow thermodynamically stable equilibrium phases to exist, which require only gentle mixing to form [12]. This increased surface area would ultimately influence the transport properties of a drug [14]. The free energy of the system is minimized by the compensation of surface energy by dispersion entropy. The flexible i nterfacial film results in droplet sizes that fall in a range of 10-100 nm in diameter for microemulsion systems. Although these systems are formed spontaneously, the driving forces are small and may possibly take time to reach equilibrium [14].This is a dynamic process. There is diffusion of molecules within the microstructures and there are fluctuations in the curvature of the surfactant film. These droplets diffuse through the continuous phase while kinetics of the collision, merging and separation of droplets occur [13, 10]. With droplet sizes in the nanometer range, microemulsions are optically transparent and are considered to be solutions. They are homogeneous on a macroscopic scale, but are heterogeneous on a molecular scale [7]. Microemulsions usually exhibit low viscosities and Newtonian flow characteristics.Their flow will remain constant when subjected to a variety of shear rates. Bicontinuous formulations may show some non-Newtonian flow and plasticity [16]. Microemulsi on viscosity is close to that of water, even at high droplet concentrations. The microstructure is constantly changing, making these very dynamic systems with reversible droplet coalescence [15]. To study the different properties of microemulsions, a variety of techniques are usually employed. Light scattering, x-ray diffraction, ultracentrifugation, electrical conductivity, and viscosity measurements have been widely used [20].These are only a few of themany techniques used to characterize microemulsions. Instrumentation and their application to microemulsions will be discussed in a later chapter. 1. 2. 2 Types of Microemulsions Microemulsions are thermodynamically stable, but are only found under carefully defined conditions [3]. One way to characterize these systems is by whether the domains are in droplets or continuous [22]. Characterizing the systems in this way results in three types of microemulsions: oil-in-water (o/w), water-in-oil (w/o), and bicontinuous.Generally, one wo uld assume that whichever phase was a larger volume would be the continuous phase, but this is not always the case. Figure (2): Possible nanostructures present within microemulsions: a) o/w; b) o/w, and c) Bicontinuous [22] Oil-in-water microemulsions are droplets of oil surrounded by a surfactant (and possibly co-surfactant) film that forms the internal phase distributed in water, which is the continuous phase. This type of microemulsion generally has a larger interaction volume than the w/o microemulsions [23].The monolayer of surfactant forms the interfacial film that is oriented in a â€Å"positive† curve, where the polar head-groups face the continuous water phase and the lipophilic tails face into the oil droplets [17]. The o/w systems are interesting because they enable a hydrophobic drug to be more soluble in an aqueous based system, by solubilizing it in the internal oil droplets. Most drugs tend to favor small/medium molecular volume oils as opposed to hydrocarbon o ils due to the polarity of the poorly water-soluble drugs. An o/w drug delivery tends to be straightforward when compared to w/o microemulsions.This is the result of the droplet structure of o/w microemulsions being retained on dilution with the biological aqueous phase [23]. Water-in-oil microemulsions are made up of droplets of water surrounded by an oil continuous phase. These are generally known as â€Å"reverse-micelles†, where the polar headgroups of the surfactant are facing into the droplets of water with the fatty acid tails facing into the oil phase. This type of droplet is usually seen when the volume fraction of water is low, although the type of surfactant impacts this as well.A w/o microemulsion used orally or parenterally may be destabilized by the aqueous biological system. The biological system increases the phase volume of the internal phase, eventually leading to a â€Å"percolation phenomenon† where phase separation or phase inversion occurs [23]. O ral peptide delivery in w/o microemulsions is still used, however, The hydrophilic peptides can be easily incorporated into the water internal phase and are more protected from enzymatic proteolysis by the continuous oil phase than other oral dosage forms [17, 18].A w/o microemulsion is best employed, though, in situations where dilution by the aqueous phase is unlikely, such as intramuscular injection or transdermal delivery [17, 19]. When the amount of water and oil present are similar, a bicontinuousmicroemulsion system may result. In this case, both water and oil exist as a continuous phase. Irregular channels of oil and water are intertwined, resulting in what looks like a â€Å"sponge-phase† [ 20, 21]. Transitions from o/w to w/o microemulsions may pass through this bicontinuous state.Bicontinuousmicroemulsions, as mentioned before, may show non-Newtonian flow and plasticity. These properties make them especially useful for topical delivery of drugs or for intravenous a dministration, where upon dilution with aqueous biological fluids form an o/w microemulsion [25]. 1. 2. 3 Preparation of Microemulsion The preparation of microemulsions requires the determination of the existence range of microemulsions, which can be determined by visual observation of various mixtures of surfactant, co-surfactant, oily phase, and aqueous phase reported in a phase diagram.Two techniques are presented in the literature, each of them resulting in microemulsions: (1)†Exact† process by autoemulsification; (2) process based on supply of energy. 1. 2. 3. 1 Autoemulsification: Due to the spontaneous formation of the microemulsions, they can be prepared in one step by mixing the constituents with magnetic stirrer. The order of the addition of the constituents is not considered a critical factor for the preparation of micro emulsions, but it can influence the time required to obtain equilibrium.This time will increase if the co-surfactant is added to the organic phase, because its greater solubility in this phase will prevent the diffusion in the aqueous phase. This method is easier and much simpler then â€Å"supply of energy† method [25]. 1. 2. 3. 2 Process based on supply of energy: In this case, microemulsions are not obtained spontaneously. A decrease of the quantity of surfactants results in the use of high-pressure homogenizers in order to obtain the desired size of droplets that constitute the internal phase as opposed to the former technique [23].Benita and Levy [18] have studied the efficacy of various equipment for obtaining particles of different sizes. Two steps are required: the first step produces a coarse emulsion (0. 65 mm) by using a high-speed mixer. The second step consists of using a high pressure homogenizer. The dispersion of the oily phase in the aqueous phase is also facilitated by heating the phases before mixing them, the choice of the temperature depending on the sensitivity of the drug to heat.Cooling the preparation is required before its introduction in the high-pressure homogenizer, which can raise the temperature. A blue opalescent micro emulsion is obtained. 1. 2. 4 Review of literature: The microemulsion dosage form provided a delayed pharmacological action compared to the pharmacological action of regular eye drops. This observation led to the conclusion that the micro emulsion eye drops have a real advantage compared to regular eye drops which must be administered four times a day due to the short duration of the pharmacological action.According to Naveh et al. , it appeared that the retention of pilocarpine content in the internal oil phase, and the oil-water interface of the emulsion are sufficient to concomitantly enhance the ocular absorption of the drug through the cornea, and also increasing the corneal concentration of pilocarpine. After comparing the diffusion profiles of two microemulsions preparations and an aqueous solution of pilocarpine, Hasse and Keipert [29] s tudied their pharmacological effect in vivo by using six rabbits for each group.The obtained results were different from those observed in vitro. The two microemulsions provided a delayed release compared to the release of the drug incorporated in the aqueous solution. No experimental study has been conducted with microemulsions prepared by autoemulsification. However, several trials were conducted with microemulsions prepared by supply of energy. Melamed et al. [27] prepared micro emulsions containing adaprolol maleate. According to these authors, no ocular irritation was noticed in the group of forty healthy volunteers as opposed to regular eye droplets.The depressor effect was delayed; the intra-ocular pressure was still high 6 and 12 h after the instillation of the micro emulsion. A single instillation of microemulsion or corresponding placebo, namely microemulsion without any drug, was administered to twenty healthy volunteers. The determined parameters were the pupillary diame ter and variation of intra-ocular pressure. The effect of the micro emulsion which contains pilocarpine is obvious as compared to the placebo and was noticed within 1 h from instillation. The return to the initial values was noticed within 12 h [28,29]. Lv et al. 32] investigated micro emulsion systems composed of Span20/80, Tween20/80, n-butanol, H20, isopropyl palmitate (IPP)/isopropy lmyristate (IPM) as model systems of drug carriers for eye drops. The results showed that the stability of the chloramphenicol in the micro emulsion formulations was increased remarkably. Study of the effect of a single dose of atenolol 4% eye drops on 21 patients with primary open-angle glaucoma during a double-blind clinical trial. Monitoring of intraocular pressure (IOP), blood pressure, and pulse rate. At three and six h after medication, the average reduction of IOP was 7. and 4. 1 mm Hg respectively compared to the baseline readings without medication. The reduction of IOP at four h after medic ation was 6. 3 mm Hg compared to the pretreatment value. This corresponds to an average change from the pretreatment value of 22 percent. Blood pressure and pulse rate did not change significantly. We observed no subjective or objective ocular side effects. The duration of the effect of a single dose of Atenolol 4% eye drops is approximately six h. Atenolol 4% eye drops may become a useful agent in the medical treatment of glaucoma if a long-term effect and no ocular side effects [30]. . 3 Atenolol Atenolol is a selective ? 1 receptorantagonist, a drug belonging to the group of beta blockers (sometimes written ? -blockers), a class of drugs used primarily in cardiovascular diseases. Introduced in 1976, atenolol was developed as a replacement for propranolol in the treatment of hypertension. The chemical works by slowing down the heart and reducing its workload. Unlike propranolol, atenolol does not pass through the blood-brain barrier thus avoiding various central nervous system sid e effects. 25] Atenolol is one of the most widely used ? -blockers in the United Kingdom and was once the first-line treatment for hypertension. The role for ? -blockers in hypertension was downgraded in June 2006 in the United Kingdom to fourth-line, as they perform less appropriately or effectively than newer drugs, particularly in the elderly. Some evidence suggests that even in normal doses the most frequently used ? -blockers carry an unacceptable risk of provoking type 2 diabetes. Figure (3): Chemical structure of Atenolol [26]

Wednesday, July 17, 2019

Book Report on Oliver Twist by Charles Dickens Essay

In his novel, Oliver flexure, Charles deuce narrates a clean spirit level (in a true keep experience manner) of a mistreated Orphan, named Oliver Twist. The story unfolds the adventure of Oliver Twist who lost both(prenominal) parents at a very postage stamp age and thus lost his chances of mightily nutriment. His mother died at child give up, while his produce was conspicuously absent in his biography from the beginning. He spent his tender eld in a far onward babyfarm, where children were giving precise or no care and treated with contempt.You neednt sound judgment sending up to me, if the child cries, nurse, tell the surgeon, putting on his gloves with nifty deliberation. Its very homogeneously it will .. Oliver Twist went from wiz sordid experience to other till providence eventu whollyy brought him facial expression to face with his true identity and his heritage. In the end, he was adopted by a aright family and was bestowed a decent living he never had a nd had always envisage of. When he was just nine age old, he was sent to the workhouse (the same office his mother had died while giving birth to him), where he met with unbearable hardship.It was the tradition of the workhouse to starve orphans, giving them just ab discover large to keep them alive. The provides were not only when murdered to the needs of these orphans, they were overly untamed to them. So when Oliver Twist went to meet Bumble, a staff of the workhouse, to demand for more than gruel, Please sir, I want some more, he was tagged a trouble maker. Olivers treatment was a typical mannikin of giving a dog a bad name so one can hang it. His penalty for this was that he was offered as an apprentice to an undertaker, named Sowerberry, where he met with more hardship.A boy named Noah claypole ridiculed Olivers dead mother which led to a fence between the two of them and only Oliver was penalize for that. He decided to run past to London to start life afresh, yet unfortunately, the amicable vices of Victorian London had only more cruelty in root for him. Oliver wanted to lead a decent life but when he met characters like Dawkins, the Artful Dodger, Charley Bates, Fagin and the rest of the bandit, he could not keep himself away from troubles.His false experience led to an injury which culminated to being interpreted in by Brownlow. Brownlow offered Oliver an ample prospect to live a decent life, a life he had wanted so much, but Nancy and Bill Sikes came to ruined it all by taking him back to Fagin. Nancy later realized that they had ruined Oliver chance of a better life and she felt remorse about it. Till luck brought Olivers identity to the open and revealed Mr Monks (Olivers half brother) evil intent for him, his life kept revolving roughly controversies.Charles Dickens deployed his characters to be cruel and mete out hardship to Oliver twist and to themselves as tumesce to achieve the plot of the play. It was only the famil y of Maylies and Brownlow who were keen and caring to Oliver. From Bumble who sold Olivers locket to Mr Monk who wanted to cheat Oliver of his heritage and the group of bandit that first took in Oliver in London, all were characters that displayed a enormous extent of sternness of the inn to the needs of a wanting orphan.Summarily, the theme revolves around the experiences of an orphan boy, left in the cruel hands of a society that cares little about children that have lost their parents. It also delves into the crude and brutal life styles of criminals. The throw is a satire, a mild social critic of the insensitivity and unthoughtful of the society toward the orphans, oddly children, who where enforced to work in workhouses. These workhouses were unkempt, unmonitored and overly in a topsy-turvy state.In the bear, Charles Dickens draws the attention of the familiar public to the social vices of his time, most especially the law that states that orphans should work in the wor khouse. The phraseology of the book also helps to a great extent in making the book a social satire, the diction is wax of sarcasm and a peculiar biliousness painted with gloom. There are some(prenominal) scenes of melodrama, with passages marrying humour and horror together.Today, the book is be quiet relevant in our contemporary world, for it sleek over addresses social issues like child comprehend and child involvement with crimes with are on the increase everyday. The book has adapted into several(prenominal) films and musical. Over, the book has made a literary and economic success. Reference Charles Dickens, Oliver Twist, Or, The Parish Boys Progress, Contributor Philip Horne, Penguin Classics. 2003 Paul Schlicke, Oxford Readers Companion to Dickens OxfordOxford University Press, 1999. www. online-literature. com www. goodreads. com/book/ turn in/18254. Oliver_Twist www. powells. com/biblio

Literary Analysis of David and Goliath

A Character depth psychology of David and giant star When studying any piece of publications thither are many assorted methods and techniques that dope be used. The Bible, in specific, is often referred to as a source of moral code, hope, and answers to social, ethical, and political questions. However, this incredibly influential book can also be charter as if it were any other novel. The tied(p)ts, settings, and events can on the whole be evaluated for what they are, for describeting the nonion that they are from a sacred text. This approach is c all tolded narrative criticism.When regarding to the Bible in this way, we do not need to know any historical information or concentrate on on desire a deeper theological nitty-gritty. sort of, the stories are evaluated in cost of how well the characters, settings, and thus farts portray the overall theme or inwardness of the narrative. The taradiddle of David and demon in particular, does a great job in using its char acters to reach out this goal. though there are many different interpretations of this spirit level, I am going to focus on one the idea that power and distinctiveness is not needed to succeed or win, tho preferably it is our heart and determination, intelligence, and above all, our cartel in God.To get this point across, the implied occasion uses narratives to tell us some David and Goliath as well as bespeak us specific and relevant character traits through and through their deeds and beliefs. In order to understand how the characters portray the message of the story we must first develop a set of traits found on what the information habituated to us by implied author. In the actually headword start of the story we are given a circumstantial comment of Goliath And there came out from the large number of the philistines a champion names Goliath, of Gath, whose height was sextette cubits and a span.He had a helmet of bronze on his head, and he was armed with a co at of mail the metric weight unit of the coat was five thousand shekels of bronze. He had greves of bronze on his legs and a javelin of bronze swig between his shoulders. The shaft of his spear was alike a weavers beam, and his spears head weighted six hundred shekels of weight-lift and his shield- bear outer went before him (1 Samuel 17 5-7). Based on this description we can easily recognize to the conclusion that Goliath is extremely strong and powerful and an experienced warrior.He is prepared, sure-footed, and uncoerced to analyse on whatever he is set about with. It is also explained that Goliaths height is six cubits and a span, which is about nine feet in like a shots society, making him extremely tall. Further more, we are explicitly told that he is a champion, alluding to the idea that he neer loses a battle. It is here where the implied subscriber would initially hit that Goliath is most likely to prevail. It is also say in the text, through the words of David , that Goliath is uncircumcised.Though this pincer detail can easily be miss it is important to note because it demonstrates Goliaths lack of faith in God. In addition to what the implied author explicitly tells us, there are several characteristics of Goliath that can be presumed from his own actions as well as those some him. For example, Goliaths character can be described as arrogant and cocky based on his command to push an Israelite to death for victory. He shouts to the Israelites, Choose a man for yourselves, and let him come knock off to me.If he is able to fight with me and annihilate me, hence we entrust be your servants but if I prevail against him, then you shall be our servants and serve us (1 Samuel 17 8-9). Before the battle can even begin, Goliath immediately takes it upon himself to set the terms and conditions of how to fight the battle at Socoh. He becomes very positive and authoritative, bossing everyone around. Instead of twain armies fighting one an other, like a typical battle, Goliath is so sure-footed in his fighting capacity that he declares a one-on-one battle to determine the outcome of the battle.In answer to Goliaths demand, Saul and all the Israelites fled from Goliath, and were very much afraid (1 Samuel 1724). Not precisely does this show the power and terrifying quality of Goliath, but it also demonstrates a weakness in Saul, who is forecast to lead and protect the Israelites, and his people. At this point, it is hard to ramp with either the Philistines or the Israelites since neither show desired qualities. Goliath, though strong and powerful, shows nothing beyond that. He shows no faith in God and is solely dependant on his fancy armor and swords.Goliath has no other source of strength other than his corporeal stature and possessions. David, on the other hand, is depicted as a character that is lacking brute strength and weaponry. We are told through the voice of Goliath that he is only a youth, ruddy and handsome in appearance (1 Samuel 17 42). It is evident that David is meant to appear as an average kid with no exceedingly superior(p) or spectacular qualities. This simple portrayal of David is authoritative because it sets in motion the development of naturalistic empathy from the implied reader towards David.It is important for the implied reader to feel empathetic towards David because even though David slaughters Goliath in the end, we are meant to stance him as a hero, not a murder. construct a connection between the implied reader and David makes this possible. Though David represents a seemingly common boy at the time, he has several qualities that make him stand out. However, these character traits are never simply told to us. Instead, the implied author uses Davids actions, decisions, and beliefs to reveal his nature.For example, while his two brothers followed Saul David went abide and forth from Saul to feed his engenders sheep at Bethlehem (1 Samuel 1715). Throug h this simple action we see the first sign of Davids obedience and commitment. Despite the event that both of his brothers decide to focus on their truth to Saul, David continues to devote his time to support his father and stays true to his obligation. Though the tycoon to be loyal is not enough to help David win the battle against Goliath, the implied reader is able to give away with David creating a deeper and more developed sense of realistic empathy.We are then provided certainty that David does in circumstance possess a set of military skills. When confront with Sauls doubt and disbelief that he leave layabout be able to successful take on Goliath, David tells him a story of how he protects his bugger offs sheep from social lions and bears. David proclaims, your servant used to keep sheep for his father and whenever a lion or a bear came, and in like mannerk a lamb from the flock, I went after it and in love it wad, rescuing the lamb from its mouth and if it tur ned against me, I would snapshot it by the jaw, strike it down, and kill it.Your servant has killed both lions and bears and this uncircumcised Philistine shall be like one of them, since he has defied the armies of the living God (1 Samuel 1734-36). Providing us with this story of the sheep is a very effective way for the implied author to demonstrate Davids skill set. He is unco very courageous for taking on the lion and bear in the first place and appears abruptly fearless and determined when he continues to strike and kill them. These, in truth, are qualities that prove to be usable when in a fight. Though David is initially epicted as an underdog, his victory in this story provides the implied reader with more reason to continue building empathy towards him. However, above all these traits, is Davids unwavering and unconditional faith in God. David states, the LORD, who saved me from the baseball glove of the lion and form the paw of the bear, give save me from the hand o f this Philistine (1 Samuel 17 37). This verse clearly depicts Davids relationship with God. Instead of relying on armor, swords, and spears, like Goliath, David puts his fate in Gods hands. He undoubtedly trusts that God will allow him to prevail, entirely as he did against the lions and bears.This is in contrast with Goliath, who worships counterfeit Gods and is completely dependant on his weapons and physical strengths. David then prepares for battle when Saul presents him with his armor, which he refuses to wear because it is too heavy for him to walk in. This simple gesture shows that David is confident in his own abilities and the power of God. Instead of relying on the armor for protection, like Goliath, he plays up his skills and utilizes his familiarity with a sling and stones. When David first appears to Goliath, Goliath disdained him, for he was only a youth (1 Samuel 1742).Goliath goes on to jeer him stating, Am I a dog, that you come to me with sticks? And the Philis tine cursed David by his gods. Come to me, and I will give your flesh to the birds of the air and to the wild animals of the handle (1 Samuel 1743-44). Through this statement, we can conclude that Goliath represents a bully figure. He appears cruel and harsh, assay to make David feel lesser than him for having no armor, no sword or spear, but just a sling and some rocks. However, David is not frightened or fazed by Goliaths attempt to scare and discourage him. In fact, the very opposite occurs.In his response to Goliath, David exudes bravery, determination, and loyalty to God and his people. David exclaims, This very day the LORD will deliver you into my hand, and I will strike you down and cut off your head and I will give the dead bodies of the Philistine army this very day to the birds of the air and to the wild animals of the earth, so that all the earth may know that there is a God in Israel and that all this assembly may know that the LORD does not save by sword and spear for the battle is the LORDs and he will give you into our hand (1 Samuel 17 46-47).Not only is Davids faith further visualized in this statement, but also it provides great evidence towards Davids character. Instead of backing down to Goliath, he asserts himself and stands up to him. He also mocks Goliath by mimicking him in that he will feed his luggage compartment to the birds, displaying his courage and bravery in the face of overwhelm force. Though the climatic point in this story is when David actually defeats Goliath, it is in this very statement where the meaning behind the action derives.The implied author explicitly tells us that it is not force and weapons that win the battle, but it is the ability to fully entrust in God. However, despite the fact that the implied author plainly states the message of the story, the power behind it would cease to exist without the strong character development. It is required for us to create a distinct discover of Goliath as a tall, s trong, and powerful wizard with intense weaponry to understand that these qualities are not what lead to success.Alternately, it is courage and mental strength, combined with faith and trust in a higher power, which is exhibit through the character of David. Instead of choosing to back down when faced with the tremendous force, Goliath, David steps up and places a strong belief in his abilities and in God. The precipitate of Goliath is not simply a level of an unexpected defeat, but of the value of faith in accomplishing the impossible.