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Monday, September 30, 2019

River Out of Eden

Division among species Human beings often questions about the world such as how the world was created, and have doubts about religions even thought they believe in one. The theory of Darwinism, creates a new idea of how human beings were created, and how they came to the stage they are in right now. In the Richard Dawkins book, River out of Eden, introduces a idea of Digital River, where species creates many branches of many kind. In this book, Dawkins explains the digital river by using the illustration of speciation, explanation for the â€Å"long good bye†, and speciation rom the reptiles. To begin with, the digital river, term that humans created for the explanation of the speciation, describes the whole cycle of process that occur among the living creatures over time. In order for creatures in this world to survive, they need to adapt to the environment they are in. Dawkins states that â€Å"to be good at surviving, a gene must be good at working together with the other genes in the same species-the same river. To survive in the long run, a gene must be a good companion. †(5) Thus saying that among their own kinds, any certain kind of species has to be in good shape and needs the competitive attitude towards their kind. For example, when lions hunt zebras, they need strong leg muscles and swift movement in order to get the prey in one shot. Usually, in order to achieve this status, lions need to acquire good genes from their ancestors. If they do not have the skills to hunt, they will not be able to survive, resulting only the fastest and quickest lions to survive in the cycle. Dawkins also states the idea of the â€Å"long goodbye†, relates to the digital river. The â€Å"long ood bye† is a status when animals of similar kinds cannot have sexual intercourse anymore. The book states â€Å"nobody doubts that the most important ingredient is accidental geographical separation. For example, when lions and tiger mates, they still h ave a baby, people call in the liger. But ligers cannot mate within themselves because their genes are different in a great way. Tigers and lions may had a same ancestor, but by the geographical factors, divided in two ways. They have many similarities and style of living, but still they cannot create a new branch in the igital river. Lastly, Dawkins talks about the speciation of the reptiles. The book states â€Å"When the ancestors of all the modern mammals broke away from those that are not mammals, the event was no more momentous than any other speciation. †(9) like this, even though many people bring upon the idea of the Darwinism that reptiles turning into other mammals by the theory of evolution, this is no other different than the process of speciation such as geological part away, or natural selection. In Dawkins book, Digital River presents lot of information and thought about how pecies evolve in about to certain stage, and how they come upon to that certain degree . It is not a true fact, or a certain thing whether the evolutionary statement of Dawkins proves that species exists in certain stages, but because of the entry of the Darwinist thoughts, human beings think about the life one more time before they simplify the life, and also come up with psychological factors that deals with life. Works Cited Dawkins, Richard. â€Å"River out of Eden. † The Digital River. New York: Basic books, 1995: 1-29

Sunday, September 29, 2019

Celeb Reputation

In today's society, celebrities are seen regularly on the front covers of newspapers, magazines, and on television shows. As a prominence in the public the celebrities must understand what a crucial part they play on kids and young adult’s life. It is their responsibility to make sure they are a pleasing choice for parents to be seen as a role model for their kids. I strongly believe celebrities should be obliged enough to be an admirable choice of a role model because, kids spend most of their time on television and internet to follow them.If the celebrities live a wild life their reputation in the public's mind will be poor, and the celebrities will be viewed as a horrible choice of role models for the youngsters. In addition, it’s important to be a good role model because young kids are easily tempted, and if they find their most favorite person smoking they too will want to spoke. First of all, with information about a celebrity within kid's fingertip, youngster is most likely to follow them rather than view either their friends or parents as role models.More than half of the celebrities in this world live a wild life to receive attention and popularity from the media. Apart from that, youngster tends to follow fashion from their favorite model. That means the kids tends to believe they have to be thin, blonde and wear the latest designer clothes in order to maintain their coolness in public. Some may say that there are other celebrities who do important things in society to educate others well of what is wrong and right. However, when the society looks at the superstars they are in all likelihood to picture the information the media have presented.This means that public picture more Disney stars who are supposed to be good kids turning bad and awful. Celebrities like Britney Spears who was caught on tape wrecking a car because of reasons that could have been solved peacefully are horrible influences on kids. When others are trying hard to tea ch youngsters on not using violence to solve problems, kids who see their favorite superstar doing the exact opposite may cause the kids to believe those things are acceptable, but they are not. Apart from that, celebrities live in a glass window.People judge them for their actions, so it is really important for them to make sure they think more than twice before they act. Since actions speak louder than words, it is important for them to choose wisely about the things they wear and the things they talk because youngster are watching them and following their footsteps minute by minute. It is true that in one way they shape up our society, and that is exactly why celebrities should try their best to have a good reputation in public.People appreciate other who does well this for the society, and not people who cause more problems for others. If the celebrities start to help the society, the public will be more than happy to accept them as heroes or role models for the young ones. Howe ver, we live in a society where most celebrities aren't good role models. They do anything to receive attention from the media and public even if it’s for something bad and inappropriate. Some may argue that the celebrities are just living their life to the fullest, and there is nothing wrong with it.I do agree that there is nothing wrong with living a good wild life, but it shouldn't be when there people around you who adores and worships you because you’re a famous person. If the celebrities did really want to live a wild life they shouldn't have become famous after all. Also, celebrities aren't exactly the right kind of role models because they pressure kids to turn the wrong way. Whenever the celebrities drink and drive, smoke pot, use drugs or talk inappropriate they don't understand what exactly they are doing or whom exactly they are influencing.Research shows that kids who started smoking at young age got brainwashed into believing smoking was glamorous from th eir favorite actor or actress or someone they looked up to. Celebrities should be responsible enough to make the right choices in public, meaning they should learn how to apologize if they do something wrong. Kids these days have access into watching vulgar music videos filled with unacceptable scenes of their favorite actress smoking pot and drinking are not to be seen my young kids. Kids don’t know what exactly the right kind of a good role model is.Whenever someone asks them to be like their role model they picture a celebrity drinking, smoking, and doing all the bad things possible. That's why most celebrities aren't good role models because of the life they live. On the whole, most of the superstars in our society aren't good example for the youngsters. They don't believe they need to set an example for other. However the truth is they need to because people are always following them. These days wherever we look on billboard, magazines, websites, newspaper, and televisio n shows all we see are scandals of celebrities and their weak point.The media have made them into a really horrible choice of an example to the young ones. They have exposed themselves in a wrong way to the public eye to become a subject people won't be happy to talk about. In brief, celebrities aren't good role models because they influence youngster in the wrong way to dress inappropriately, use drugs and start smoking. This cause the celebrities to have a bad reputation in public causing parents to be not happy about having their kids look up to the celebrities.

Saturday, September 28, 2019

Adidas And Reebok Core Competencies Marketing Essay

Adidas And Reebok Core Competencies Marketing Essay Introduction: This reported is presented with intent to draw would the comparison in the marketing communication strategies and mix adopted by the shoes brands Adidas and Reebok. The dual brands are functioning in a non-monopolistic global market environment which imposes the need to be market savvy and creative on the part of the business houses such as Adidas, Reebok and many other established brands to not only retain their existing market segment but also grow into new market on a local, national and international plane. There is a pre-existing need to modify strategies in context to pricing, advertising, product lines, product quality and marketing communication strategies. Failure to do so on the part of the business houses could adversely affect the sales of the product and lead the company and the product to an undesirable state of declination. The fact cannot be denied that the athletic shoe brand market has been emerging to be extremely competitive and a few brand names su ch as Adidas, Reebok, Nike, Puma have successfully captured certain market segments. These brands recognise the need to retain their market position and work towards market growth in the process. Adidas and Reebok, for the sake of exemplification have proven the fact that besides high quality products, a good market communication strategy and mix is vital for survival and simultaneous growth in a market which is constantly driven by a competitive atmosphere. I intent to utilize the following techniques to present a comparative analysis on the strategies adopted by Adidas and Reebok: Primary Research: Consumers would be interviewed and data compiled would be analyzed and inferences would be drawn on that basis. Secondary Research: Secondary Research would be gathering, analysing and segregation of data from websites, business journals and books. Business Analytical Tools: S.W.O.T. Analysis, Marketing Mix Market and Literature Review: Adidas: The German National Adolp Dassler could be credited with the creation of the phenomenal brand â€Å"Adidas†. His nickname â€Å"Adi† and the first syllable of his last name â€Å"Das† put together created the brand name â€Å"Adidas†. History states that Adolf was a shoe fanatic who spent several hours in his workshop designing shoes with intent to perfect it and to surpass anyone in this line of work. His dedication towards his cause led to the creation of this brand which in today’s day and age is the second best global athletic shoe brand commanding a market position of 33% internationally after Nike. This brand came in to limelight with the 1926 Olympic Games wherein the sport star of the Games Jesse Owens wore Adidas shoes which performing at the Olympics. This led to instant recognition of this brand and soon the sales was reported to have gained huge momentum. The Olympic Games was the most crucial turning point in the history of the brand Adidas. From then on, Adidas, the Business house has been essentially sponsoring Global Sports Events, Olympic Games and many such events and has amassed mass popularity for their product lines. This strategy of the organization has helped the brand gain great worldwide media coverage for their product lines and the sales have been reported to grow in continuity.

Friday, September 27, 2019

Food control Essay Example | Topics and Well Written Essays - 750 words

Food control - Essay Example In addition, in order to meet the key elements of the food law as requirements to ensure the safety of food, which is mentioned in Article 14 also compliance with obligations towards mentioned responsibilities in article 16-19. According to article 11 of regulation (EU) 178/2002, there are some requirements for food hygiene from importers, which referring to it in article 10 of Regulation (EC) 852/2004. However, in article 2 of regulation EC No 178/ 2002 defines food as is a composite product that foodstuffs intended for human consumption and originates from animal/non-animal origin. There are some of the requirements that must be met to import this food: Regulation (EC) 882/2004 in article 15 permits for the competent authority to apply all official controls and ensure safety of food non- animal origin through food law, which includes all aspects the food such as check all documents and ascertain the identity of randomly. Therefore, has presented by about 300 border inspection posts to ensure that the consignments are safe and completed all the requirements of the European Union (EU Commission, 2007). As the regulation 852/2004 by articles 3 to 5 refers to work on the application of some of the procedures, which meet the requirements of hygiene and scrutiny of food particularly imported from third world countries such as HACCP moreover article 6 refers to the need to register all food business operators with the local authorities. There are certain regulations associated with ensuring the safety of food whether importing or produced locally for example, Regulation (EC) 1881/2006 to determine acceptable levels of some contaminants in food. While Regulation 396 (EC) 396/2005 describes the permissible levels of pesticide residues on plant food and animal food as well as feed. Moreover, there is a Regulation (EC) 733/2008, which terms

Thursday, September 26, 2019

Epigenetics Essay Example | Topics and Well Written Essays - 1000 words

Epigenetics - Essay Example Altering the mice epigenome so that they can produce thin, brown mice rather than fat, yellow ones means that epigenetics is close to curing some of the diseases considered as inherited. In the video, the pregnant rats are fed diets rich in methyl groups to form tags that can turn genes off. This experiment proves successful in mice as the coat color was shifted producing many more brown mice. The epigenetic fix when the mothers were pregnant resulted to a consequent produce of brown mice. Use of environmental toxin on the mice instead of nutrients produced more yellow mice doomed to grow fat and sick like their mothers. This video shows that in humans, epigenomes change in relation to what we eat, smoke or drink. The video shows that, in younger twins the epigenome is almost similar but as the twins grow older, epigenomes change dramatically and especially when they are subjected to different lifestyles. The research conducted on Sandra Shelby and Roy Cantwell using epigenetic therapy aimed at changing the instructions of the cancer cells through genes reactivation is a step closer to solving modern day killer diseases like cancer and leukemia. This video cautions us from engaging in activities that can mess up our genomes. According to the video, humans are what they eat and what their parents and grandparents eat. Unlike the genome, the epigenome is subject to change affecting our future generations and humans should be responsible as there is hope for the future.

Operation Management Essay Example | Topics and Well Written Essays - 2500 words - 2

Operation Management - Essay Example This achievement can be credited to the attribute and analysis of Etisalat's widespread network, that characterizes UAE as one of the developed countries in the world in terms of unified and the best quality mobile connection (Etisalat, 2013). Research question 1) What are the concepts of operations management at Etisalat? 2) What are the weak points of operations system in Etisalat? Mission and vision statement Vision This vision is a community where populaces' reach is not restrained by issues or detachment; a society where individuals will naturally keep in touch with friends and family; a society where companies of different extents can make contemporary sales without the confines of distance and transportation (Etisalat, 2013). Mission Etisalat task is to lengthen publics' influence (Etisalat, 2013). Etisalat is developing superior networks that will make people to advance, acquire, and develop. The company has been in the forefront in technological inventions, involving a netwo rk of 3.75 installed in Egypt. Furthermore, Etisalat owns popular stocks in Thuraya, a controlling supplier of cable telephony (Etisalat, 2013). How Etisalat delivers its products to the customer Etisalat employs workforces that are highly skilled and obtained from twenty different nations, mainly contribute to the achievement of the company. Using expertise in working modern and technically advanced apparatus, the workers conduct widespread testing measures at every production stage (Etisalat, 2013). Its products are presently marketed in over forty countries across the world. Approximately fifty five per cent of Escalate's sales are achieved out of the UAE marketplace, as Etisalat aims at penetrating new markets in Asia and Africa (Etisalat, 2013). Explain the competitive priorities of the company A business should be involved in satisfying its clients' needs for quick and reliable services at affordable cost, as well as assisting its own providers in increasing facilities they pr esent (Slack and Lewis, 2007).There are five crucial aims and they concern all kinds of procedures. These are cost, quality, flexibility, and speed (Slack and Lewis, 2007).The following are the competitive priorities of the company of Etisalat telephone; cost, quality, flexibility, and speed as presented in the following table (Etisalat, 2013). Table 1.1 Cost, quality, flexibility and speed Cost refers to the actual price of the commodity. It should be noted that low cost is generally attractive to clients, which can be realized by manufacturing commodities at lower prices. Quality refers to organizing things in the right manner by providing goods and services that are perfect, which in turn satisfies the customers. Flexibility refers to implementing things quickly for clients to receive their commodities or services. Speed refers to doing things fast, to reduce the time between the demand and the invention or service that provides the client speed benefit. Marketing strategies A st rategy refers to an enduring proposal to attain certain aims. Marketing strategy refers to a marketing proposal designed to attain selling objectives (Slack and Lewis, 2007). Etisalat aims at producing the best quality telephone that cannot be found in any other company in UAE (Etisalat, 2013). Operation strategies This is the total outline of suggestions

Wednesday, September 25, 2019

Interpret the result in your report. Also, your report and model Essay

Interpret the result in your report. Also, your report and model (where possible) should analyse the following- - Essay Example In both cases, the major components of the statements are explained e.g. remunerations disclosures, segment reports and interests disclosures have been made. The reliability of the financial statements has also been made better by the better governance structure and the independence of the auditors. According to the auditor’s reports, the financial statements give a true and fair view of the positions of the company. Moreover, both M & S and Morrison have reported the financial performance in a comparable manner. The performance in 2011 has been compared to those of 2010 to help investors monitor the firms’ progress. Notwithstanding, the notes to the financial statements have been compiled to make the information better understandable. Comparatively, Mark Spencer notes are detailed. On the element of legislations, the companies’ strategies have incorporated their products and services to satisfy the expectation of the customers and the society. For instance, Morrison is committed towards reducing the quantity of carbon released to the environment. In both cases, the users to the financial statements are the shareholders, investors, customers, the government and competitors (Palepu & Healy, 2008). The government requires the information for determining the tax amounts, customers for purposes of knowing progress of the companies and shareholders for monitoring the companies return (Palepu & Healy, 2008). The complex nature of the financial statements and the accounting jargon is the limitation in the financial reports. In conclusion, the preparation of the financial statements in accordance to the accounting standards and the companies act is necessary for comparison purposes and uniformity in reporting. This explains why both the companies have largely there is no major differences in reporting. Wahlen, JM, Bradshaw, M, Baginski, SP, & Stickney, CP, 2011, Financial reporting, financial statement analysis, and valuation: a

Tuesday, September 24, 2019

How does a society's relationship to the natural environment influence Term Paper

How does a society's relationship to the natural environment influence the cultural beliefs and practices of its people - Term Paper Example 1). Anthropology came from the Greek word arthropos which means human and logos which mean study of. The discipline of anthropology is about the human behavior with the combination of humanistic, scientific, historical, psychological, social and biological views (Jurmain, Kilgore and Trevathan, 2009, p. 6). According to Angrosino (2002), two fields of anthropology currently exist: physical anthropology and cultural anthropology. Human population is studied by physical anthropology through their genes and mechanics of evolution. The fossils and the living creatures are compared to come up with conclusions. On the other hand, cultural anthropology is concerned with the human societies and its impacts in the daily lives of the people. Cultural anthropology has five subdivisions: archaeology, ethnography, ethnology, social anthropology, and linguistics. Archaeology deals with the culture through studies using the remains or materials (artifacts) while ethnography describes the society sy stematically and vividly usually through field work. Ethnology deals with the interpretations of the information from ethnology while social anthropology is concerned with the social structure and groups. ... Various views may help the readers to understand the importance of knowing how the ways of life of people is affected by their surroundings. DISCUSSION Environment greatly affects the culture of people like the concept of racism. The variation within the human race is not caused by biological changes but more of cultural concepts like difference in access to social and economic resources (Goodman, 2006, p. 161). It can be said that the differences is manmade because biological variation is nonconcordance according to Goodman (2006). It is inherited separately or independently. Also in the biological perspective, genes are not the only means where the effect of nature can be seen or measured. Physical body is also checked to prove the differences among races and researchers also tried to prove that racism is a biological effect. Craniometry was done by experts to compare the intelligence of the human ancestors. It was even use in the society to rank criminals and people from different races because the traditional belief of intelligence is affected by the size of the brain (Lansing and de Vet, 2006, p. 4). Many myths have been held by people regarding the concept of racism as biology, but no matter what they do, the commonly-held beliefs are still beliefs and myths, not a reality. First of all, race is not based upon fixed, ideal and unchanging concepts contrary to the popular belief which was favored by the popular culture but not science (Goodman, 2006, p. 163). A good example is the traditional concept of beauty which turns against the black. The fad favors the European-looking people to be beautiful (Mercer, 1990, p. 247). The same can be seen in the chapter of a book written by Richard Rodriguez. According to Rodriguez (1990, p. 277-278), his

Monday, September 23, 2019

Florence Nightingale and her Philosophy of Nursing Term Paper

Florence Nightingale and her Philosophy of Nursing - Term Paper Example The reason she observed was absence of sanitation, lack of food and warmth for the wounded soldiers. After enduring with these circumstances she formed a theory which was successful and is practiced and followed by many. The main focus of her theory was on the environment and the patient’s reaction to it. Her belief was, if alternation in the surroundings are made nature helps patient to heal. The foundation of her theory depended upon environment, patient, health and nursing. NURSING THEORIES: A general view Theories are composed of concepts, definitions, models, propositions and sometimes even assumptions derived from nursing models, to acquire the knowledge regarding patient’s health and betterment. Nursing theories aims to identify and predict the phenomena of nursing. The theories of nursing assist the nurses to describe, explain and predict everyday experiences as well guide to review interventions and evaluation of the nursing care system. FLORENCE AND HER THEORY OF NURSING Florence Nightingale’s theories were basically regarding the ideal nursing requirements and one of the essential requirement was of course the â€Å"home sister† and after that practice of the skills required by the profession, for this purpose she wrote two articles, â€Å"Nursing the sick† and â€Å"Nursing, training of†, her aim was to combine the training from the wards and supervise learners abilities and moral development. The home sister’s duty in fact is to train the nurses, however Florence herself, was the nurse trained without the Home sister. â€Å"Observation tells how the patient is; reflection tells what is to be done; training tells how it is to be done. Training and experience are, of course, necessary to teach us, too, how to observe, what to observe; how to think, what to think† (Nightingale, 1882). She explained her environmental theory in her book â€Å"What it is and what it is not† According to Florence process of learning should carry on from the initial formal training and it should never be discontinued because nursing requires a solid educational base. It is however, quite surprising that Florence fought against the idea of requirement of license for the nursing professionals as it would undeniably affect their training and will be a cause of self-importance for the nurses where as actually this profession wants a feature of kind heartedness and down towards earth temperament. Profession of nursing should be considered as a higher calling other then just a profession, was Florence’s vie w, and that can just be secured when a nurse recognizes her responsibilities for the well being of the patient because nursing is

Sunday, September 22, 2019

Ebola Virus Outbreak Framework Essay Example for Free

Ebola Virus Outbreak Framework Essay Overview of the Event Ebola virus disease is a virus that is communicable through human-to-human contact as well as animal-to-human contact in which has promoted the spread of this virus that can be deadly if left untreated (WHO, 2014). Not only is the Ebola virus disease (EVD) quite contagious but is gaining momentum from community to community with lack of proper health care, containment, and the families of those that have been affected by the outbreak. There are widespread awareness by the World Health Organization (WHO) that there are short and long term psychological effects of the EVD outbreak due to the swiftness of how EVD can affect entire family members (PFA, 2014). Not only families are affected by the outbreak of EVD but the healthcare workers that are tending to the effected population are at increased risks of facing psychological trauma from their actions in containing the EVD spread (PFA, 2014). The Size of FEMA and WHO The World Health Organization (WHO) and Federal Emergency Management Agency (FEMA) are the agencies that are taking the lead in containing the EVD outbreak. World Health Organization has actions in place to address the psychological trauma that is connected with this catastrophic event such as this event. FEMA has created a Catastrophic Incident Annex (2008) in which has collaborated with all federal departments and agencies in order to follow various guidelines in which is best to contain the Ebola Virus Disease outbreak. The World Health Organization is the first in charge when it comes to how to do certain actions pertaining to the health within the United Nations system (WHO, 2014). FEMA is part of the Department of Homeland Security; therefore the agency itself is rather large on the net of what it can or does cover. Qualifications and Skills of Employees for FEMA and WHO There are over forty (40) members of the US Department of Home Homeland Security/FEMA that is in charge of what exactly happens in the event such as the Ebola Virus Disease outbreak. Starting at the top of the chain of command within FEMA would be the administrator in which they would be the first in command to direct the rest of the team of FEMA. Each office within the FEMA organization is in charge of their own parts of the outbreak, ranging from equal rights to response and recovery. The qualifications are endless but are specific in which what area of the outbreak they can work on and containment of the outbreak. Protection and preparedness is a specific office within the FEMA organization where the employees focus on not only immediate needs of the outbreak but lessons learned, training on how to handle a community of an event such as the current outbreak of EVD (FEMA, 2014). World Health Organization (2014) has more specific qualifications when it comes to containment and direct care of the psychological effects of EVD. It is considered a flexible organization to be part of in which the skills that an employee must possess is rather defined. At minimum a first year degree or equal professional trainings pertaining to the specific position being applied for, experience with national and international levels of conflicts and containments, excellent analytical skills, understanding of policy issues, heightened awareness of public health, proficient in a secondary United Nations language (Arabic, French, Russian, Chinese, Spanish), effective team work, and communication skills (WHO, 2014). Services Provided by FEMA and WHO The World Health Organization is the global protector of health and welfare while Department of Homeland Security/FEMA is the national protector. Each of these organizations has their own specific role to do when it comes to covering the outbreak of EVD. The WHO is about the preventative measures before an outbreak while FEMA addresses the in-the-now moment of outbreaks of Ebola Virus Disease. It is important to address not only the specific services each of these agencies can (and does) provide but their core functions as well. Once the functions are understood, the services that each organization provides can be better understood. While some services provided may not necessarily be directly connected with the psychological effects of  the present danger of the Ebola Virus Disease, each organization has their own agenda in order to maintain their level of professionalism in the current crisis situation. FEMA focuses on national needs when disaster strikes and ensures that each com munity member within the declared disaster area have the means to recover from the event. FEMA covers costs of housing needs such as temporary housing, repairs, replacements, permanent or semi-permanent housing construction (FEMA, 2014). In a crisis situation such as the current EVD outbreak, FEMA addresses the instant need as well as maintaining long term health. FEMA provides crisis counseling and training to maintain the mental and psychological health of community members that are directly affected by the EVD outbreak (FEMA, 2014). FEMA connects community members to counselors that are there to help sort out the magnitude of the Ebola virus disease outbreak and why it affects each person differently when it comes to mental and psychological health. The Key Components of FEMA and WHO FEMA has a national preparedness system that has six specific parts within it. According to FEMA (2014); Identifying and assessing risk, Estimating Capability Requirements, Building and sustaining capabilities, Planning to Deliver Capabilities, Validating Capabilities, and finally Reviewing and Updating.’ Each of these parts has their own goals and reasons why they are as they stand. Their main goal is the all the same; safety and resilience. The World Health Organization has six main core functions that they, as an international organization, strive to maintain. According to WHO (2014); ‘providing leadership on matters critical to health and engaging partnerships where joint action is needed; shaping the research agenda and stimulating the generation, translation, and dissemination of valuable knowledge; setting norms and standards, and promoting and monitoring their implementations; articulating ethical and evidence based policy options; providing technical support, ca talyzing changing, and building sustainable institutional capacity; monitoring the health situation and assessing health trends.’ Overarching Mission of FEMA and WHO World Health Organization has a general overall mission to keep the world safe of outbreaks, emergency assistance to disaster struck areas and the  mass immunization campaigns to protect the world’s population of potentially deadly diseases (WHO, 2014). WHO is responsible for taking the lead in the current EVD outbreak so it is contained where it is found and eradicated as much as possible, as that is their sole mission statement. FEMA’s mission statement is to support citizens and first responders to make sure that the nation works together in order to sustain, build, and improve the capability to prepare, protect, respond, recover, and mitigate all potential hazards (FEMA, 2014). FEMA is responsible for the urge to have communities to work together in order to recover and sustain livelihood in the event such as our current EVD outbreak. Role of FEMA and WHO with criminal justice system FEMA is an extension of Department of Homeland security; it works rather closely in order to maintain their mission statement to support the nation in crisis events but it also adheres to the law side of what could potentially arise in the event of a situation that would cause the criminal justice system itself to crumble. WHO would not be part of the criminal justice system or rather, an extension of it, due to the international outlook it holds for the world and not just the United States criminal justice system. Conclusion Understanding, communication, and diligence in the event of a communicable virus such as Ebola Virus Disease is the number one priority around the world. From small knit communities in rural Kansas to the bustling metro stations of Hong Kong, the ability to address and contain Ebola Virus Disease is the most important agenda that the world can these communities can hold. When a country, city, and continent can understand the dire need to be educated on what exactly the Ebola Virus Disease can do the world’s population is when the virus is uncontrolled can have not only physical affects but psychological ones as well. Families, communities, governments crumble and the world is left in mayhem due to the psychological effects that is left from watching Ebola Virus Disease wipe out world as we know it. Leaning on World Health Organization and Federal Emergency Management Agency can lessen the stress and how the world takes the heavy psychological effects that are present for a lif etime. References Catastrophic Incident Annex. (2008). Retrieved from http://www.fema.gov/pdf/emergency/nrf/nrf_CatastrophicIncidentAnnex.pdf Federal Emergency Management Agency. (2014). Retrieved from www.fema.org Psychological First Aid. (2014). Retrieved from http://apps.who.int/iris/bitstream/10665/131682/1/9789241548847_eng.pdf?ua=1 World Health Organization. (2014). Retrieved from http://www.who.int/mediacentre/factsheets/fs103/en/

Friday, September 20, 2019

Postcolonial Criticism Has Embraced Cultural Studies Essay

Postcolonial Criticism Has Embraced Cultural Studies Essay After the end of World War II, there occurred a large-scale process of decolonization of the territories subjugated by most of the imperial powers (Britain, France, the Netherlands, Belgium). Postcolonial literature and criticism arose both during and after the struggles of many nations in Africa, Asia, Latin America, and elsewhere for independence from colonial rule. The 1950s and 1960s saw the publication of seminal texts of postcolonialism: Aimà © Cà ©saires Discours sur le colonialisme, and Frantz Fanons Black Skin, White Masks. In 1958, Chinua Achebe published his novel Things Fall Apart. George Lammings The Pleasures of Exile appeared in 1960 and Fanons The Wretched of the Earth followed in 1961. In his book Postclonialism: A Very Short Introduction, Robert Young regarded that the founding moment of postcolonial theory was the journal the Tricontinental, which initiated the first global alliance of the peoples of the three continents against imperialism (Young 16-17). E. ii. Main aims of the theory Postcolonial criticism has embraced a number of aims: most fundamentally, to re-examine the history of colonialism from the perspective of the colonized; to determine the economic, political, and cultural impact of colonialism on both the colonized peoples and the colonizing powers; to analyze the process of decolonization; and above all, the contestation of forms of hegemony, and the articulation of political and cultural identities (Young, White Mythologies, 11). Early voices of anti-imperialism stressed the need to develop or return to indigenous literary traditions so as to restore their cultural heritage eclipsed by the imperial domination  [1]  . Other prominent voices, such as Said and Spivak, have advocated a deconstructive critique of Western discursive formation of knowledge in order to attain their own political and Acultural ends. However, recent voices, led by Homi Bhabha, have embraced the notion of hybridity as a space of cultural articulation and negotiation. E. iii. Scope and projects The scope of postcolonial discourse extends over the domains of gender, race, ethnicity, and class. Indeed, it might be an oversimplification to treat either the colonizer or the colonized as homogeneous entities, which can somehow be mutually opposed. Such a rigid division undermines the fact that both class exploitation and gender oppression function in both the West and in colonized nations (Young 8-9). Hence, postcolonial discourse has been associated with ethnic studies of various minorities in Western societies such as African-American, Native American, Latin American, and womens studies. All of these discourses have challenged the main streams of Western philosophy, literature, and ideology. In this respect, it has become a common project to question and revaluate the literary and cultural canon in Western institutions. The 1960s saw left-wing uprisings against the elements of liberal humanism: Western democracy, the Enlightenment rationalism, objectivity, and individual auton omy. This reaction against the Western mainstream tradition was fostered largely by the emergence of French literary theory, which insisted that the text was an indirect expression and often a justification of the prevailing power structure. This structure was inevitably a hierarchy in which the voices of minorities, women, and the working classes were suppressed. In fact, the appeal to timeless truths in the Western literature, which is presumably claimed as universal in its scope and purpose, has always transcended historical, economic, and political contexts. Such claim reveals the extent to which Eurocentric representations of the Self, resting on the Enlightenment project of rationality, progress, civilization, and moral agency, were constructed on a binary opposition to various forms of Otherness, which are founded on polarized images such as superstition, backwardness, barbarism, and moral incapacity. E. iv. Recent developments in the postcolonial theory Saids landmark work Orientalism appeared in 1978. More recent works include The Empire Writes Back (1989) by Bill Ashcroft, Gareth Griffiths, and Helen Tiffin and Gayatri Spivaks The Post-Colonial Critic (1990), as well as work by Abdul JanMohamed, Benita Parry and most importantly Homi Bhabhas The Location of Culture (1994). In his book White Mythologies, Robert Young sees postcolonialism as continuing to derive its inspiration from the anti-colonial struggles of the colonial era. Anti-colonialism had many of the characteristics commonly associated with postcolonialism such as diaspora, transnational migration and transcultural identities. Ashcroft, Griffiths, and Tiffin also use the term postcolonialism in a comprehensive sense to cover all the history impacted by imperialism from the moment of colonization to the present day, which is a form of continuity between the colonial and postcolonial periods. Most of the exponents of postcolonialism have regarded the trio: Said, Spivak and Bhabha, as the most influential theorists of what has become known as postcolonialism  [2]  . Their works have largely been at the center of various contemporary postcolonial debates. Saids Orientalism is generally regarded as having inaugurated the field of explicitly postcolonial criticism in the West. He argues that the Western representation of the Orient was produced by the imaginative geography of Western scholarship and has been instrumental in the colonization and domination of non-Western societies. Postcolonial theory reverses the historical center/margin direction of cultural studies. Critiques of the metropolis and capital now emanate from the former colonies. Moreover, Homi K. Bhabha has questioned the binary thought that produces the dichotomies-center/margin, white/black, and colonizer/colonized-by which colonial practices are justified. The work of Gayatri C. Spivak has focused atten tion on the question of who speaks for the colonial Other and the relation of the ownership of discourse and representation to the development of the postcolonial subjectivity. Nowadays, postcolonialism offers a fundamental critique of the ideology of colonial domination and at the same time seeks to subvert the essentialist thought that produced conceptual as well as economic divides between West and East, civilized and uncivilized, First and Third Worlds. In this respect, postcolonial theory has brought fresh perspectives to the role of colonized peoples- their wealth, labor, and culture- in the development of modern European nation states. While postcolonial criticism emerged in the historical moment following the collapse of the modern colonial empires, the increasing globalization of culture, including the imperialism of multinational capitalism, suggests a continued relevance for this field of study. E. v. Delimitation of postcolonial theory Postcolonial theory, as any other theoretical approach, has conceptual boundaries and limitations. Although it offers a theoretical approach that highlights the importance of examining the present colonial legacies, most of the early literature in postcolonial theory has emerged from the decolonized world of the twentieth century that theorizes mostly from the British imperial discourse. Thus, for the most part, it has not only overlooked the (post)colonial texts written in native languages, but also created a kind of postcolonial canon that has so far reinforced and maintained the supremacy of the colonizers language that has served as a tool for colonialism and imperialism. According to Wail Hassan and Rebecca Saunders, Anglophone postcolonial studies have sustained British literature as a frame of reference (18). Therefore, only Commonwealth Anglophone writers are introduced to English departments, while writers who write in their native languages are neglected. As a result, Anglo phone postcolonial literature is a highly selective field [] [that consolidates] the argument that Anglophone postcolonialism has become a mimic canon that functions effectively to reinforce neocolonial hegemony (Hassan and Saunders 18). Nevertheless, the use of english  [3]  as the language of expression makes the postcolonial works available to a wider audience and, thus, gives voice to ex-colonial subjects (Subaltern/Other) to speak for themselves and restitute the agency of self-representation. According to Ashcroft, through using E/english, colonized people have subverted the tropes by which they have habitually been marginalized, and, ultimately, have permanently influenced even the educational disciplines by which those tropes were perpetuated (Ashcroft, On Postcolonial Futures, 2).

Thursday, September 19, 2019

Loss of Innocence :: essays research papers

  Ã‚  Ã‚  Ã‚  Ã‚  Innocence is usually associated with youth and ignorance. The loss of one’s innocence is associated with the evils of the world. However, the term â€Å"innocence† can be interpreted in a variety of ways. Similarly, the loss of one’s innocence can be interpreted in more than one way, and, depending on the interpretation, it may happen numerous times. The loss of innocence is culture specific and involves something that society holds sacrosanct. It is also bounded by different religious beliefs. Still, no matter which culture or religion is at hand, there is always more than one way to lose one’s innocence, and every member of that particular culture or religion experiences a loss of innocence at least once in their lives. In addition, the individual’s loss of innocence will impair him or her emotionally and/or physically.   Ã‚  Ã‚  Ã‚  Ã‚  Committing a crime of some sort will certainly cause an individual to lose his or her innocence with emotional scars and perhaps with physical scars. In Native Son, by Richard Wright, Bigger Thomas accidentally suffocates his boss’ daughter to death. Suddenly, Bigger feels a strength that had been dormant in him, a sense of control and power over another person. Although the murder is accidental, Bigger Thomas experiences a loss of innocence that enables him to kill others also, including his own girlfriend. Yet, with the power he believes he had acquired from his loss of innocence, he also obtains an abundance of guilt and fear. Bigger knows that he had performed a terrible act, and because of this he feels guilty. Also, he begins to fear that he would be caught. Bigger becomes very paranoid after the murder and ultimately is caught and executed anyway. The case of Bigger Thomas is almost tragic. His loss of innocence, an accident, causes him to become a d ishonest and dishonorable person. He is unable to forget the event and bears guilt and fear until he is executed.   Ã‚  Ã‚  Ã‚  Ã‚  Knowing a victim of an unforgettable and unforgivable crime will cause a person to lose a type on innocence. However, witnessing the heinous violation of the victim is much stronger. After the witness sees and hears the exact event, it is nearly impossible to disregard his or her memory. This is true in the short story â€Å"In the Shadow of War.† The protagonist of the literary work, a young boy named Omovo, witnesses the killing of a woman.

Celtic Lifestyle :: European Europe History

Celtic Lifestyle During the period when the Celts existed, which is approximately 800 BC - 400 AD, they were just a little tribe compared to other large civilizations such as the Romans and Greeks. They still managed to conquer many regions and prove victorious in most of their battles. Who were these Celts that survived numerous struggles? Where did they originate? What kind of social structure did they have? What kinds of beliefs did they have? What sort of weapons and armor did they use in battle? What were some of their military tactics? These are some of the questions that will be evaluated in the following paragraphs. The Celts were tall, fair-skinned warriors who were well built, had blond hair and blue eyes. Some of them washed their hair in lime water to increase the hue of it. Some of them shaved their beards, but others let them grow long. Some also shaved their cheeks and let their moustaches grow so long that they would cover their mouth. While eating, they sat on wolves or dog skins. They ate at low tables, like the Chinese, and were served by young boys and girls. They cooked big quarters, usually from a pig or calf over a fire on a spit and the hero was served the biggest portion. Seeing as how the they were so aggressive and easy to anger, they often fought during meals or challenged each other to fights. The Celts lived in the Western region of Europe called the Normandy region. Normandy is a small region in the north of France, but they spread out from that region through all of France and Belgium. They also conquered areas in the western part of Germany, through the Black Forest region, along the Jura Mountains of Switzerland, along the Alps and to the upper part of Spain in the Pyrenees Mountains. They expanded their region to Spain and Portugal in 600 BC and through Italy, beyond the Alps in 386 BC. In 325 BC - 279 BC, they conquered areas throughout Greece, and in 278 BC they expanded into Asia Minor. But around 250 BC, the Romans regained their power in Italy and pushed the Celts back towards Gaul (modern day France) until 52 BC when the Romans, under command of Julius Caesar finally pushed them out of main land Europe and into England and then into Ireland, where the Celts fended themselves from any further attack from their southern and eastern neighbors.

Wednesday, September 18, 2019

Vestibular System :: Biology Essays Research Papers

Vestibular System Athletes must accomplish amazing feats of balance and coordination of the body. As scientist, Mikhail Tsaytin discovered in the 1970s, acrobats can successfully make a two person human tower in the dark, but after adding a third acrobat, not even the most talented can maintain the balance required to keep the tower intact while in the dark (1). What does darkness have to do with it? The point is that balance relies on at least three signals coming from the body, and one of those is sight. Once you eliminate one of these signals, the body cannot accomplish the required task. In addition to sight, signals coming from muscles and joints, called proprioceptors are sensitive to changes in position. The third contributor to the human tower and the topic of discussion of this paper is the vestibular system. A three-person human tower in the dark must not have enough information coming from the vestibular and proprioceptive systems to function without vision, whereas the two-person tower did have enough information. The ear houses some of the most sensitive organs in the body. The physics of sound is well understood, while the mechanics of how the inner ear translates sound waves into neurotransmitters that then communicate to the brain is still incomplete. Because the vestibular labyrinth and the auditory structure are formed very early in the development of the fetus and the fluid pressure contained within both of them is mutually dependant, a disorder in one of the two reciprocating structures affects the (2). The vestibular system accomplishes three tasks. First, it contributes to an individualà ­s sense of equilibrium in relation to the force of gravity and thus adds to the subjective sense of motion and spatial orientation. Second, inputs coming from the vestibular system convey information to the bodyà ­s muscles and posture. Third, while head and body are in motion, the vestibular system controls eye movements so that images remain steady and in focus. This is called the vestibular-ocular reflex. These tasks are accomplished through the mechnoreceptors of the three semicircular canals, the utricle and the saccule (3). Like the neighboring auditory system, each canal has hair cells that detect minute changes in fluid displacement, but unlike the auditory system, the utricle and the saccule send information to the brain regarding linear acceleration and head tilt. Shaking your head à «noà ­ employs one of these canals. Likewise, there is a canal that detects head movement in the à «yesà ­ position, and there is yet another semicircular canal that detects motion from moving your head from shoulder to shoulder (4).

Tuesday, September 17, 2019

Role of the HR Professional

No matter the breadth or the depth of an organization, it will always have the inherent need for human resources. It is safe to say that without manpower, no organization in the world would exist. Recognizing not only the need for people, but more importantly, the need for skilled, efficient and loyal employees has been a key turning point in defining the role of the HR professional. As the â€Å"people people† or organizations, today†s HR professionals work in a wide variety of capacities as mediators, mentors, job analysts, and career planners – to name a few. However, perhaps some of the most important and challenging functions of HR professionals are directly related to the recruitment, selection, training, and appraisal of the organization†s employees (or potential employees as the case may be). It is up to HR manager or management team to create processes and methodologies in recruiting, training, and appraising its staff in such a way that it is congruent with the values, vision and culture of the organization. This can be an enormous challenge – especially in today†s business world where companies are constantly acquiring and merging together forming whole new identities at an exponential rate. In dealing with the ambiguity of the corporate world HR professionals realize that it is not singular performance of each and every HR function that will assure the best human resources for their organizations, it is the alignment and integration of all of the HR functions that create an environment that empowers and encourages employee growth, competency, and loyalty. There are two main components of the staffing function, which are the recruitment and selection of potential employees. Recruitment, which involves all actions in attracting applicants from both inside and outside the organization, is one of the most pivotal roles of the HR professional. The bottom line in the recruiting effort is to attract the most qualified applicants for the needed positions by communicating the qualifications needed in order to fulfill the position. With a constant cycle of mergers and acquisitions occurring around the globe involving some of the world†s most monolithic organizations, the role of recruiter has changed vastly over the past few years. Because organizations are finding themselves more and more saturated with talented and highly competent employees, they are looking to fulfill vacant positions within the organization. This is also a very logical approach because existing employees are already well oriented with the policies and culture of the organization and do not need to undergo the orientation that an â€Å"external hire† would require. In contrast, recruiters have also had to become much more creative and ultimately aggressive in recruiting potential applicants externally. With the introduction of the World Wide Web and the increase in competitiveness among universities, colleges and other post-secondary institutions, graduates are entering the business world with more knowledge, skills and insight than ever before, making them desirable assets to many organizations. With the increase in popularity of job fairs, co-op programs and web-based career centers, recruiters are now equipped with the resources they need to seek out and entice the most qualified of applicants. At the same time, graduates and other people seeking employment have become empowered to seek out their most desirable positions, and are challenging recruiters with a much more proactive and aggressive approach themselves. Once the recruiter has aptly performed the function of attracting qualified applicants, they then assume the role of â€Å"selector†. In this capacity, it is up to the HR professional to select the best possible applicants to fill the positions that are needed. Usually the selection process involves the consideration of three types of information: 1. Education, Work Experience and Background History 2. KSAO†s – Ability, Performance, Personality, Honesty/Integrity 3. Medical Condition or similar considerations – physical and psychological health The selection process also usually involves, the initial sharing of information, filling out and application, initial interview, the administration of any tests, a final interview (or secondary interview with potential colleagues), reference checks, and then the final selection is made. Although the selection process varies in different organizations, the underlying framework is usually the same. Throughout the entire recruiting and selection processes, the HR professional must also use their intuition and consider the applicant using less â€Å"tangible† measurement methods, such as observing their mannerisms, understanding the applicants† personal values and beliefs and what their extra-curricular interests are. Although an applicant is judged more on his or her qualifications and skills, as a â€Å"selector†, it is important for the HR professional to select someone whose values and beliefs are congruent with the company and who they feel would best â€Å"fit† within the culture of the organization. If an HR professional is able to use their intuition and â€Å"people skills† effectively in attracting and selecting applicants, they are ultimately integrating and aligning their â€Å"staffing† role with their successive role as a trainer, which follows once a successful applicant has been selected. The health of any organization depends on the development of its people. If indeed the greatest asset is its human resources, then it is even more vital that the organization allow for its HR professionals to invest time and energy into this vital planning function. As was stated earlier, the success of the HR professional in being an effective recruiter and selector is key in ultimately determining their success as a trainer, and the employees† success in becoming well-oriented with the philosophy, policies, procedures, and culture of the organization. When planning how best to train new and existing employees, HR professionals should always be sure to address both immediate and long-range goals, behaviours and skills. However, more often than not, just like anyone else, HR people cannot always assume or pretend to know what would best work for everyone, so it is critical that before planning out the training process, they must conduct a thorough needs assessment. This can be done through many ways such as the administration of questionnaires and surveys to determine employee needs and expectations, observation of job functions and the organization as a whole, and other methods of qualitative information gathering. Once a training plan has been established, the entire process by which people learn what is expected of them in their new roles in the organization is socialization. This process, not unlike many other HR processes, has multiple stages such as: Entry/Anticipatory Socialization, Socialization/Accommodation, and Mutual Acceptance. It is important for HR professionals to recognize and encourage the full development of the new employee through all of these stages. Throughout the orientation and training of new (or old) employees, it is also important for an HR professional to conduct a training and development assessment. A thorough assessment would include an analysis of the training needs as well as the development needs over the next few years. Training needs should be based on immediate needs for changes in behaviour, where as the long-range development goals should be based on the acquisition of knowledge and skills to be used now and in the future. Positioning employee training to focus on short and long term development helps HR professionals to look â€Å"down the road† and address how they can help their employees meet challenges, create change and ensure the overall health of the organization. In using this futuristic approach, an imperative strategic alignment is built to integrate employee training and development, with that of employee performance management. Once employees have gone through all of the processes or socialization and have become well-oriented with how the organization functions on all levels, it is at this time that the HR professional takes on yet another role as that of performance measurer and manager. There are two primary reasons for performance management: 1. Administrative: includes promotional consideration, dismissal consideration, compensation, benchmarking and the ability to manage performance at all levels 2. Developmental: includes the ability to provide feedback, assessing training needs, encouraging external and internal motivation, and analysis current job design Historically, the only people directly involved in the appraisal of an employee†s performance were the employee and their immediate supervisor. However, as the practice of HR evolves, so have many of its functions, especially in the area performance appraisal. Today, more and more organizations are adopting the practice of â€Å"360 degree feedback† in evaluating their employees† performances. This method involves not only the boss and the employee, but also the employee†s peers, subordinates, and clients. ‘This relatively new practice facilitates a much more well-rounded and thorough evaluation of the employees performance and has been proven to be much more useful in assessing the employees developmental needs and areas for improvement. However, like any major practice, the â€Å"360 degree feedback† method is not without it complications. Allowing this type of participation in performance appraisal can cause such problems as: the â€Å"Halo Effect†, central tendency, overt leniency or strictness, and biased appraisals. In recognizing these common appraisal problems, it can be said that the ends still justify the means in this case. As long as appraisals are designed to be relevant to the job, sensitive, reliable, fair, and practical, employees receive a much better picture of how they are doing in their jobs and where they can improve. It is my opinion that the strategic integration of the HR functions that have been discussed in this paper such as staffing, training, and performance management are not aligned in the sense of a linear relationship. In my mind, they are linked cyclically, with each function being a continuation of the previous function. For example, once a performance appraisal has been conducted, it is at this time that a training needs assessment is also conducted, allowing all parties involved to gain a better understanding of the areas in which improvement is needed. In turn, this would be where the HR professional would take on the role of trainer and facilitate the further development of the employee. It can also be seen that performance appraisals are also very helpful within the recruitment and selection role in aiding the HR professional to gain a better understanding of the qualifications and behaviours that are essential in seeking out potential candidates and choosing the best one for the job. Writing this paper and taking closer look at these specific HR functions has helped me to gain a better understanding of the many roles that the HR professional has to assume at any given time. It has also given me a greater appreciation for the underlying connectivity between all of the HR functions and how strongly they are linked.

Monday, September 16, 2019

Read Recite Review

| Read-Recite-Review†¦ Remember| A critical analysis; 3R Study strategy| | Nicole Turnbull| | | Transition to University Study – SSS021 Roy Sanders 13 March 2013 Transition to University Study – SSS021 Roy Sanders 13 March 2013 Mark A. McDonald, Daniel C. Howard and Gillies O. Einstein (2009). The Read-Recite-Review Study: Effective and Portable. A Journal of the Association for Psychological Science, Vol 20 No 4, 516 – 522.There are numerous strategies used by students for learning and recalling information from various sources of educational texts. The paper (Mark A. McDonald, 2009) provides evidence why the study strategy; 3R Read-Recite-Review produces mnemonic benefits that exceed those of note-taking and rereading. Two experiments were conducted, students were instructed to learn specific pieces of text using either; reread only (control group), read and take notes (control group) or follow the process of the read-recite-review strategy.The effectivene ss and efficiency of the study strategies were assessed by timing the time taken to complete the reading process and by comparing the results of immediate and delayed testing which utilised free call, multiple choice and short answers to check the amount of information retained. Experiment 1 required students to read factual, simple and short passages which proved that the 3R strategy was more effective using free call of information both immediately and delayed, however these benefits did not show in the results for both multiple choice nd short answer tests. Experiment 2 involved students reading longer and more complex passages, results supported those found in experiment 1. Additionally the second experiment found 3R beneficial over rereading for both multiple choice and problem solving. The results from both experiments concluded that the 3R strategy may promote a deep learning of materials, having benefits beyond improving retention. The study clearly demonstrated that the 3R strategy is an efficient and effective study strategy when used in a controlled laboratory setting.However, the study was unable to establish if the motivation level of students would weaken the processing benefits of the strategy. As Daniel, Howard and Einstein state if learners are in a more motivating setting and consequently are more conscientious in their study activities, would the effects of 3R be attenuated? The experiments were performed using psychology students who participated either as part of a course requirement or for money, however students in all fields of study utilise study strategies.The motivation of students is again questioned as the I believe the personal benefit would be greater in a real life setting as opposed to receiving a monetary value to participate with no personal impact from the result achieved. Therefore I think the study should be repeated using a range of students from various courses/fields of study, using more real life motivators. In additio n, I suggest testing the 3R strategy using spaced presentations of learning materials as opposed to information being presented in one sitting in order to test the effectiveness on longer term retention.

Sunday, September 15, 2019

Majority Rule In The Bahamas

59 Novembers ago three men came together and form the Progressive Liberal Party (PLP). They were Henry Milton Taylor, William. W. Cartwright, Cyril St. John Stevenson. They began meeting regularly discussing the pros and cons. They invited 7 men to join them but only 6 accepted the invitation. Henry Taylor was the Chairman, William was the treasurer and Cyril became the secretary. The party progressed in Nassau and decided to include the outer islands. When sir. Lynden Piddling came home from law school he joined the PLP party and that was the beginning of the road to majority rule.Sir Lynden Pindling, Randol Fawkes, Auther Hanna, Sir. Milo Butler Sr, Clarence Bain, Samuel Isaacs, and many other women and men planned and strategized to free there people from colonize. At that time racial segregation was a way of life in The Bahamas. The ‘blacks’ were referred to as coloured people. They were schools were coloured children were not allowed to enter. They were places like hotels, shops, and restaurants were colour people were not allowed to dine. There were also churches where coloured people were not allowed to sit in the same pews as the whites.In January 1954 the PLP held its first public meeting. In 1956 there was the first election. The Bay Street Boys started to get scared that they were going to lose so they called the U. S. A policemen saying a Negro colonist party was trying to take over The Bahamas. A group of woman led by Jorgina Symonette and others fundraised to raise funds for the PLP. The PLP did not have enough funds to have fish fries, grocery baskets, free liquor and parties to try and bribe the people like the Bay Street Boys did. The PLP would pass around hats at meetings to try to raise funds but it was not enough.The Bay Street Boys gave out free money to the people for their votes. They would tear the money in half and give half before the election and the other after if they voted freely. On election eve the white candidate fo r Grand Bahama from the UBP paid the black candidate 1000 pounds to drop out. In the 1965 election 6 PLP candidates were elected. They were Sir. Lynden Pindling, Randol Fawkes, Samuel Isaacs, Sir. Milo Butler, Cyril Stevenson and Clarence Bain; they were called the magnificent six. In 1958 a dispute broke out over the carrying of visitors from the new Nassau airport at Windsor field.Tour companies had been formed by the Bay Street Boys edging out the Taxi drivers. On January 12 1958 there was a strike that broke that was very dramatic and successful. On November 1st 1957 the taxi cab union under the leadership of Sir, Clifford Darling and others blocked all traffic to and from Nassau’s international airport for hours while the commissioner officers looked on helplessly. Struggle To achieve Majority Rule On January 13 1958, every hotel and business was closed down completely. The PLP led a boycott along Bay Street. The workers went on strike and cried out â€Å"Not a sweat un til our demands are met†.On January 19, 1959 Doris Johnson had asked to address the House of Assembly and lead a group of woman to declare to vote. They were denied sir Stafford Sands by him saying â€Å"over his dead body’. On July 31 1961 the grant of the Woman’s Suffrage Movement was passed and women were able to vote. The PLP government began the dynamic thrust for educational change in The Bahamas by making secondary education available to all Bahamians in 1967. This was key to removing the scales of ignorance from eyes of a people through a massive commitment to educate.The late Sir Cecil Wallace Whitfield, one of the members of the first majority rule Cabinet, was given the task to improve and Bahamianize the educational system. Huge capital expenditures were made to multiply and upgrade primary and secondary schools, to institute technical education and train new Bahamian teachers. The government’s White Paper on Education provided for the impleme ntation of broad parameter involving teachers, parents and students, and was supportive of the high ideals with the government advocated – self-help, equality, the dignity of labour and service responsibility and co-operation.The establishment of the PLP government also brought about a new outlook on economic development. The objective was directed towards opening up greater economic and social opportunities for the citizens of The Bahamas and for greater flexibility of the economy. One of the major battles to achieve this objective was making Freeport Grand Bahama, safe and desirable for all Bahamians. During the 1970s, the PLP government launched the â€Å"Social Revolution,† which included the introduction of the National Insurance Scheme, a system of social security, which is continuing with a massive low cost housing programme.The PLP government also moved to improve the delivery of health care by adding an extension to the Princess Margaret Hospital, upgrading an d building new polyclinics throughout New Providence and the Family Islands. On April 27th 1965 was Black Tuesday. A crowd of PLP supporters lead by the PLP chairman marched from Windsor Park to Bay Street and assembled in the front of the House of Assembly. Inside the House the PLP members lead by Pindling strongly opposed the revision of the bounties draft order. He advocated a national registration of voters.Outside the House of Assembly the PLP supporters cried out â€Å"Amend, Amend â€Å", â€Å"Shame and Scandal in The House†. Sir Lynden, then Leader of the Opposition, during the heated debate over the issue of boundaries but in a carefully orchestrated move got up and threw the Mace, the Speaker’s symbol of authority, out of the window of the House of Assembly. He declared â€Å"The authority of this Island belongs to the people â€Å"and threw the mace out of the window. â€Å"Yes, people outside and mace belongs outside to. † He shouted. After that Sir Milo Butler got up and threw the two hour glass that were used to time to speakers out of the window.The UPB watched surprisingly. Sir Lynden Pindling then led the crowd singing the song â€Å"We Shall Overcome†. ACHIEVEING Majority Rule An election was then called on January 10th, 1967. This was because in the Bible in the book of Exodus the Lord said he will free the children of Egypt on the tenth day of the first month. January 10th, 1967 was neither an end nor even a beginning. Instead, it was an important milestone in a journey that was begun centuries ago when some anonymous slave struck a blow for freedom for the first time. We pause to pay homage to the personalities and players in this epic struggle.In a hard fought and competitive election in 1967, the PLP delivered the following 18 members to a 38-member House of Assembly. They were: Lynden Pindling, Preston Albury, Clarence Bain, Milo Butler, Clifford Darling, Elwood Donaldson, Arthur Foulkes, Carlton Francis , Arthur Hanna, Warren Levarity, Curtis MacMillan, Uriah McPhee, Maurice Moore, Edmund Moxey, Jimmy Shepherd, George Thompson, Jeffrey Thompson and Cecil Wallace Whitfield. Randol Fawkes who successfully ran as Labour in 1962 and 1967 with the support of the PLP threw his support behind the PLP and became a member of the first Majority Rule cabinet.He figured prominently in the movement toward Majority Rule. Successful Independent candidate Sir Alvin Braynen threw in his lot with the PLP and accepted the post of Speaker of the House. These two warriors for justice and freedom tipped the proverbial scale in favour of the PLP and the first Majority Rule cabinet was formed: This distinguished group consisted of Cecil Wallace-Whitfield, Milo Butler, Arthur Hanna, Clarence Bain, Jeffrey Thompson, Carlton Francis, Randol Fawkes, Warren Levarity, Curtis McMillan, Clement T. Maynard and Lynden Pindling.

Saturday, September 14, 2019

Forecasting techniques in tourism demand Essay

This summary is focused on showing the forecasting techniques used to determine the likely demand in tourism and argues that given the importance of the tourism sector to the economy of any tourist country, accurate forecasts of tourist arrivals are of importance for planning by both the private and public sectors. First we should answer the question what tourism is itself. It is obvious that tourism industry is not one company. It combines thousands of products and services. A company sets goals and uses its production, marketing and managerial resources to achieve them through its management process. And in tourism there are too many companies involved and too many goals are set, but almost everything in this industry depends upon the visitor numbers in other words demand. This is the main target of forecasting. It has been pointed out that forecasting is useful in shaping demand and anticipating it to avoid unsold inventories and unfulfilled demand. Moreover since consumer satisfaction depends on complementary services, forecasting can help to anticipate the demand for such services. As well it helps optimizing the use of public funds, in other words save money. It should be mentioned that a fall in demand can bring about decreases in living standards following the rise in unemployment, while increased demand can lead to higher employment, income, output and inflation as well may threaten environmental quality and sustainability. Moreover, tourism firms are confronted by changing revenue and profits and governments experience changing tax revenue and expenditure. Thus, tourism demand effect can be observed in all sectors of economy – households and individuals, public sector and private businesses. For example, decisions on tourist expenditures, the tourism markets structure and decision-making nature between them, cross-country linkages between tourism firms, the contribution of environmental resources and their relevance to policies for sustainable tourism have not been fully investigated and need further economic analysis. Aim. The paper is aiming on showing the existing forecasting techniques, their positive and negative features for better understanding the importance of demand forecasting in tourism, and the necessity of using these or those methods for obtaining the most accurate and precise results. It is obvious that one of the more complex aspects of tourism is the tourism demand. As a rule it is defined and measured in a variety of ways and at a range of scales. Generally, there are economic, psychological and social psychological methods used in forecasting. For example, decision to purchase holidays are often made with friends and family so that consumer demand theory based on individual decision-making must take account of individuals` and groups` social contexts. As well as the analysis of travel patterns and modes has been dominated by geographical analytical frameworks, while the study of demand outside economics tends to be underpinned by psychological or social psychological methods. ‘The many studies of tourism demand in different countries and time periods are reviewed by Archer, Johnson and Ashworth, Sheldon and Sinclair while Witt and Martin examined alternative approaches to tourism demand forecasting. ’ (Sinclair, 1997). The significance of tourism demand provides a strong case for better understanding of the decision-making process nature among tourists. In case of using an inappropriate theoretical framework in empirical studies of demand can result in incorrect specification to estimate tourism demand and biased measures of the responsiveness of demand to changes in its determinants. It should be mentioned that ‘empirical studies help to explain and understand the level and pattern of tourism demand and its sensitivity to changes in the variables it is dependant on. For example, it helps in observing income in origin areas, exchange rates between different destinations and origins as well as relative rates of inflation. This type of information is of importance to public sector policy-making and the private sector. ’ (Sinclair, 1997). But only in case of appropriate theoretical specification of the studying model used the estimates can be accurate and precise. Hence, explicit consideration of the consumer decision-making supporting empirical models is of importance in presenting the provided estimates are neither misleading nor inaccurate in their policy implications. Thus there are two approaches used to model tourism demand. First one is the single equation model and the second is the system of equation model. ‘The first one single equation model has been used in studies of tourism demand for numerous countries and time periods and states that demand is a function of a number of determining variables. ’ (Sinclair, 1997). This technique permits the calculation of the demand sensitivity to changes in these variables. Contrary to the first approach, the system of equations model requires the simultaneous estimation of a tourism demand equations range for the countries or types of tourism expenditure considered. The system of equations methodology tries to explain the sensitivity of the budget shares of tourism demand across a range of origins and destinations (or tourism types) to changes in the underlying determinants. There exists one more forecasting technique which is more recent and can be compared with the single equation approach. It is the Almost Ideal Demand System (AIDS). (Maria De Mello,1999). This model is theoretically better than the mentioned above and offers a range of useful information concerning the sensitivity of tourism demand to changes in relative prices and in tourists` expenditure budget. This approach was used in examining the UK demand for tourism in its geographical neighbor-countries as France, Spain and Portugal. The result of such investigation indicated that ‘the UK demand for tourism in Spain increased more than proportionately with respect to a rise in the UK expenditure budget for tourism in three countries, the demand for tourism in France increased less than proportionately and the demand for tourism in Portugal remained stable. The sensitivity of the UK demand for tourism in Spain to changes in effective prices in Spain is increasing and exceeds the corresponding values of the sensitivities of the demand for tourism in France and Portugal to changes in French and Portuguese prices, respectively. (Maria De Mello,1999). ‘In contrast, the UK demand for tourism in Spain is insensitive with respect to changes in prices in its smaller Portuguese neighbour. The UK demand for Portugal is sensitive to changes in prices in Spain, although the degree of sensitivity appears to be decreasing over time, and the demand for France (Portugal) is insensitive with respect to a change in prices in Portugal (France)’(Maria De Mello,1999). So it is obvious that stability of demand in the face of rising prices may be observed as signals of success, and contrary outcomes mean a possible case for rethinking policy toward tourism demand. Scientists have used a variety of other forecasting techniques during the past decades for tourist industry. Among them are quantitative forecasting methods. They may be classified into two categories: causal methods (regression and structural models) and time series methods (basic, intermediate, and advanced explorative methods). For further explanation we should mention that causal methods represent methodologies for identifying relationships between independent and dependent variables and attempt to incorporate the interdependences of various variables in the real world. However, there is certain difficulty of applying the causal methods. It is identifying the independent variables that affect the forecast variables. So the accurateness and reliability of final forecast outputs made under causal methods depend on the quality of other variables. The second group of methods, time series quantitative methods, offers many advantages. It is pointed out that ‘the use at time t of available observations from a time series to forecast its value at some future time t+1 can provide a basis for (1) economic and business planning, (2) production planning, (3) inventory and production control, and (4) control and optimization of industrial processes’(Chen, 2003). Time series methods offer techniques and concepts facilitating specification, estimation and evaluation. They acquire more precise forecasting results than those yielded by causal quantitative techniques. It should be mentioned as an example that forecasting is complicated by the strong seasonality of most tourism series. It is pointed out that to see seasonality as a form of data contamination is one of typical approaches to the analysis of macroeconomic time series. This was the approach often used in many census and statistical departments. In the case of tourism analysis seasonality is integral to the process and is of high importance for the timing of the issuance of policy measures in addition to studying the long run trend. ‘As significant features of quantitative tourism forecasting (involving the numerical analysis of historical data) we see that while it is particularly useful for existing tourism elements, it is limited in its application to new ones where no previous data exists’. (Smith, 1996). This technique was used in forecasting potential UK demand for space tourism. Appendix 1, 2). (Barrett, 1999). As well univariate forecasting techniques may be used to forecast arrivals. This limited methodology relative to structural models allowing policy makers to determine how changes in particular variables can help to improve the industry. The weak point of the technique is that the models have no explanatory variables so it is difficult to interpret the individual components. Therefore, the forecasting record of many univariate models have considerable forecasting accuracy. Lim and McAleer employed univariate techniques to forecast quarterly tourist arrivals to Australia and to determine their forecasting accuracy using a variety of seasonal filters. Kulendran and King also employed a variety of models to rank forecasting performance of various tourist arrival series using seasonal unit root testing’ (Alleyne, 2002). Conclusions and Recommendations. It should be mentioned that forecasting techniques and forecasting itself have some weak points. Firstly, current forecasting is mostly the domain of policy makers. It is beneficial for three groups: public sector tourism organizations as it helps justify budget allocations; managers of public and private sector tourism projects as they may encourage investors, and the forecasters themselves. There are no actual benefits from forecasting for tourism operators and suppliers because the results are not actionable and unrelated to the real needs of the majority of tourism businesses. The problem with the results may be illustrated by such an example. (March, 1993). ‘The BTR’s â€Å"Australian Tourism Forecasts† report released in April 1990 forecasts 4. 85 million visitors by the year 2000. The BTR’s latest forecast for 2000 is 4. 824 million visitors. And only last month The Australian newspaper (Oct 12 1993:p. 6) reported the results of â€Å"a respected private sector forecaster† who has forecast 5. 33 million by the end of the decade’(March, 1993). So you see numbers keep changing and this is the evidence that sometimes the forecasting results become not actionable. Summarizing all the mentioned above we may say that there is a wide range of techniques used for forecasting demand in tourism. In this paper we mentioned only some of them which to our mind deserve attention and may be used in forecasting the demand. As you may see investigation of tourism demand involves specific problems because it has some special nature attributed to the complexity of the motivational structure concerning decision-making process as well as the limited availability of the necessary data for econometric modeling. Quantitative approach for tourism demand needs the framework of a formal mathematical model providing estimates of sensitivity to changes in the variables the demand depends on. Econometric modelling offers a good basis for accurate forecasting which is of great importance to the public sector making investments in the industry. The single equation model often ignores the dynamic nature of tourism demand, disregarding the possibility that the sensitivity of tourism demand to its determinants may differ between periods of time. The alternative model is the Almost Ideal Demand System. It is originally developed by Deaton and Muellbauer. This model not only permits the estimation of the complete set of relevant elasticities, but also allows for formal tests of the validity of the assumptions about consumer behaviour within the sample set of observations. The AIDS allows to test assumptions and estimate parameters in a way which is not possible with other alternative models. So for now, we may say that there are no completely bad or good techniques used for forecasting tourism demand. But there are preferable models for getting more accurate results. It is better using models based on old theoretical knowledge but with new trends able to cover all the necessary aspects in forecasting tourism demand.

Friday, September 13, 2019

Whiteness in Historical Research Essay Example | Topics and Well Written Essays - 1500 words

Whiteness in Historical Research - Essay Example and 2000; Roediger, 1993; Allen, 1994). These studies are normally addressed as 'whiteness studies'. Although the term 'whiteness studies' is often perceived negatively as promoting white identity and being an element of a racist discrediting of political correctness and increasingly popular tendency of multiculturalism in all spheres of life, such perception is not fully correct. On the contrary, virtually all the whiteness studies tend to confront white privilege, which is the cornerstone of modern racism, while their authors "...see a close link between their scholarly efforts and the goal of creating a more humane social order" (Kolchin, 2002). There are many approaches in whiteness studies (e.g. white identity construction, public policies, economics, education, etc), but the primary goal of whiteness theory is make white cultural and political assumptions and privileges visible so that those with white skin do not assume that their own position is neutral or normal (Jensen, 2005). However, the whiteness theory should in no way be considered a synonym for multicultural theory: these two are distinct perspectives though their goals may be similar. Multicultural theory usually seeks to promote an appreciation of minor cultures within the contexts of dominant cultures and may also involve criticism of some assumptions fostered within the dominant culture. Yet, since the multicultural perspective is predominantly concerned with fostering authentic understanding of minor cultures, they usually do not focus on the issue of how the dominant white culture in such countries as the U.K., U.S. promotes and maintains the established patterns of the whiteness typically associated with the so-called 'white privilege'. By contrast, whiteness theory highlights the problem of whiteness as a sum of political, social, and cultural status and identity which, to a large extent, are gained at the expense of non-white group (Hague et al., 2005). Although the issue of whiteness - in some or other form - has been with the Western countries for ages, the recent explosion of whiteness related publications relies upon a solid body of research literature written largely by writers of non-white descent over the last fifty years (Roediger, 1999). These works predominantly explore the concept and definitions of race and the social construction of white and non-white identities within the numerous contexts of slavery, citizenship, colonial settlement, growth of cities and industrial labour, etc. (Bonnett, 2000). Modern authors lean toward the opinion that the concept of whiteness was first identified with racial issues by Europeans whom made it into essence of their community. From this perspective, European discourse of whiteness differs from, for example, Asian discourse which has never been 'racialised' (Dyer, 1997). Although there is ongoing debate on the first use of racial whiteness, Jordan (1977) traces the evolution of the legally defined line between 'blacks' and 'whites' to British colonial government efforts to prevent cross-racial revolts among unpaid labourers in the early 1600's. Allen (1994) believes that racialisation of whiteness occurred in the 18th century U.S. when the country's business and political elites attempted to

Thursday, September 12, 2019

The Palace of Minos at Knossos Essay Example | Topics and Well Written Essays - 2000 words

The Palace of Minos at Knossos - Essay Example There are indications of proper systems of obtainment of natural light during the day. There are signs of proper systems of drainage and water supply. As far as heat is concerned, the palace gives no signs of proper systems for the control of cool and chilled winds in winter seasons (Benton and DiYanni, 1998). Because of the facilitation of natural light, the constructors of the palace had to provide a lot of openings for the incoming light and these facilitations of light appear to be problematic in winter seasons. In night, there were employment of ceramic lamps and candles with olive oil (Dempsey, 2007). The palace of Minos at Knossos served for many purposes according to the archaeologists. It served as an administrative center for the people of Crete. It also served as a religious center for the people of Crete. It also worked as storage of food so; it also served as a food storage center for the people of Crete (Bourbon, 1998). The palace is not like those palaces that provide residential facilities but as a place that provided working facilities as the archaeologists found no furniture or objects that can be called as beds or other residential features (Dempsey, 2007). The palace of Minos at Knossos is regarded as the major site for the analysis of Bronze Age buildings prevalent till this time. It is archeologically the largest building found related to Bronze Age (Bourbon, 1998). It is located at Crete. It gives a clear overview of Minoan culture and civilization. Tourists from all over the world visit the palace in order to judge the features of Bronze Age still found in the world today. The palace of Minos at Knossos is named after the discoverer, Minos Kalokairinos (Benton and DiYanni, 1998). The discovery can be traced back in 1878. The palace can also be named on the King Minos of Crete for whom; it was constructed according to the mythology. With the discovery of the palace, it

Wednesday, September 11, 2019

Transportation Essay Example | Topics and Well Written Essays - 250 words - 6

Transportation - Essay Example Both public and private types of road transport are available for students and the public in Abu Dhabi. The government has also improved usability of both means through reduced traffic and low cost of rail transport (The Oxford Business Group 185). One can use a private car, taxi, a bus, or other types of transport. In addition to received value from a type of transport, which can be convenience, efficiency, or effectiveness, cost is a factor to selection and opinion over types of transport. The study aims at understanding usage of different types of transport systems by students of Abu Dhabi University. Focus will be made on type of transport that students use and amount that students spend on transport. Other variables of interest are age, number of vehicles owned, and kind of car owned by students. Questionnaires have been distributed to 40 students and stratified random sampling was used to ensure age and social status

Tuesday, September 10, 2019

Clocks in the Vasculature Essay Example | Topics and Well Written Essays - 1000 words

Clocks in the Vasculature - Essay Example An example is mammalian sleep rhythm or hunger, and its is now well known that there is a light-controlled master clock in the brain that controls these activities. Now the research is exploring the molecular mechanisms of these clocks in the peripheral tissues, which have been postulated to work through nutrient availability, although the exact mechanism is not known. heart which is essentially vascular tissue. This activity physiologically is autonomous, originating in the neurocardiac muscles of the heart and in health, occurs 72 times per minute in a regular fashion. In most and usual cases, human beings cannot control the frequency of these beats on their own. However, several neurophysiological conditions can cause change in this pattern and there is established roles of emotion, feelings, strenuous activities, stress in destabilizing this clock either to a higher or a lower rate, and there are physiological systems that tends to bring back these abnormal rates to normal through neural and humoral mechanisms. Small molecules interact with molecular hormone receptors module circadian rhythm. Catecholamines, vasoactive hormones, such as vasopressin and angiotensin interact with positive circadian regulators both centrally and at the peripheral vascular tissues to express circadian variations in heart rates, blood pressure, and vascular resistance (Harris, 2009). Genetic Mechanism Curtis et al. (2004) indicated the molecular mechanism of this clock. This occurs through pacemaker rhythms generated and sustained through positive and negative feedback loops. These in turn are mediated through transcriptional regulation at the genetic level (Curtis et al. 2004). Molecular Mechanism The drivers of this biological and molecular rhythmicity are transcriptional activation of of Per and Cry genes. These occur through transcriptional activation of feedback loop by heterodimeric bHLH-PAS proteins. It has been shown that these trascriptional coactivators and histone acetyltransferase initiate the key events in molecular rhythmicity. These, p300/CBP, PCAF, and ACTR, react with bHLH-PAS proteins, CLOCK and NPSA2, to lead to positive gene expression (Ko and Takahashi, 2006). Link to Vasculature The negative feedback loop is mediated by Cry2 mediated repression of NPAS2:BMAL1 through overexpression of p300. This leads to a circadian and time-dependent association with NPAS2 in the vasculature, which is timed in such a manner that it will precede the peak expression of the target genes (Westgate et al., 2008). Therefore, at the molecular level this is essentially a histone H3 acetylation. It has been correlated with the cyclical expression of the mRNAs

Monday, September 9, 2019

How German Conservative helped the Nazi Party to come to power Essay

How German Conservative helped the Nazi Party to come to power - Essay Example Hitler encouraged militarism, national pride and working wholeheartedly towards a racially â€Å"Pure† German. Initially, through conservatism approach, Hitler meant what he was for a racially pure German. The pure breed conservatism approach seemingly changed the general view of German Conservatives to the social-cultural existence of the German communities. Hitler, through the pure breed notion of the German race, condemned the Jews fiercely exploiting their anti-Semitic feelings than had in the time immemorial prevailed over Europe for centuries. He changed the name of the German Worker’s Party to the National Socialist German Worker’s Party and finally to the Nazi Party (NSPDAP). Towards the end of 1920, Nazi Party had registered 3000 memberships. By 1921, Hitler fully took control of Nazi Party as their conservative leader (Fuhrer). How did Nazi Germany treat disabled people? The Nazi launched a hugely innate propaganda campaign against mental and physically incapacitated Germans. The Nazi German, through all these propaganda, killed, persecuted and isolated that individual whose genes were incompatible with the ideal German populace genes. The disabled individuals in German culture did not fit into the Nazi typecast of the pure Aryan, which is a physically fit populace with an adversely loyal mind to oblige the Reich. Overly, the Nazi Party viewed the disabled part of a social system as a burden since were unproductive and unable to work thus, in most cases, drained the state resources.