Thursday, October 31, 2019

Hormonal dysfunction of preeclampsia Essay Example | Topics and Well Written Essays - 3750 words

Hormonal dysfunction of preeclampsia - Essay Example Pre-eclampsia is found to occur most commonly in young first-time pregnant women, first pregnancies with a new partner and in pregnant women over the age of thirty-five (Lloyd & Lewis, 1999). Several complications can arise during pregnancy. Some of these complications may be easy to manage, but there are several problems that are associated with pregnancy that are life threatening to the mother or foetus or both. Management of life threatening complications has improved due to the advances in the knowledge of the complications and through the advances in medical science and technology. However, the possibility of the development of life threatening complications have increased, with women delaying their first pregnancy and facing the risk of complications in pregnancy that are brought on by increase in age, obesity, hypertension and a variety of other disorders(Crafter, 1999). The common disorders that create complications in pregnancy include cardiac, respiratory, renal haematological, metabolic, infectious, neurological and autoimmune conditions (Lloyd & Lewis, 1999). Pre-eclampsia continues to be a cause of serious concern in the developed world, as it is one of the leading causes of morbidity and mortality in the mother and foetus. The reason why this high rate of morbidity and mortality continues to persist with pre-eclampsia in spite of the advances of medical science is the lack of clear knowledge on several aspects of the disease. This lack of proper knowledge has led to differing perspectives on the definition of the disease, its classification and pathophysiology and effective treatment (Boulanger & Flamant, 2007). Chappell et al, 1999, reviewing literature on pre-eclampsia found that there is seldom any uniformity in the definition of pre-eclampsia. Since hypertension and proteinuria are easily measured, from a practical perspective they have become yardsticks for defining pre-eclampsia, but the problem with this is that the increase in

Monday, October 28, 2019

The Impact of the FCAT-based learning system on English Language Learners Essay Example for Free

The Impact of the FCAT-based learning system on English Language Learners Essay The Florida Comprehensive Assessment Test (FCAT) is a high stakes mandatory evaluation for students in elementary public schools in the state of Florida. It is famed for gains in student achievement and teacher accountability. On the flip side, it is dreaded for test anxiety in students, and a state administered bonus incentive to top performing schools among other flaws. It is unfair to subject non-English speakers to the FCAT. As defined in section 1001.56 of the Florida Statutes; English Language Learners (ELLs) means Limited English Proficient. These are individuals who do not speak English as their primary language and who have a limited ability to read, speak, write, or understand English. (Florida Administrative Weekly). The researcher admits that they did not factor in ELLs in their survey questions. However he compensates for this with a recommendation as well as a good number of insightful comments from respondents. This could be a pointer that ELLs could be ignored by the Florida state education system. This could lead to protests and hate speech from minorities. A respondent commented: It is ridiculous for second language learners to take the FCAT as soon as they enter the country! Research indicates it takes as many as six years for students to be able to reason and express themselves in writing in a second language! FCAT standards have been found to be failing under the rules of the federal ‘No Child Left Behind’ legislation. This mandatory test exacerbates the school drop out problem in Florida.(FCAT Project) In conclusion the FCAT system is not fair to ELLs. There are other tests like ACT, SAT in line with Sunshine State Standards (Florida Department of Education) that can be used. If this system is to be popular, then policy makers need to work on its flaws. Works Cited â€Å"Accommodations of the Statewide Assessment Program Instruments and Procedures for English Language Learners.† Florida Administrative Weekly and Florida Administrative Code. May 5, 2009, May 7, 2010. https://www.flrules.org/gateway/RuleNo.asp?id=6A-6.09091

Saturday, October 26, 2019

Psychological Effects of Single Parent Family

Psychological Effects of Single Parent Family CHAPTER 1: INTRODUCTION The purpose of this project proposal is closely observer the psychosocial problems faced by adolescents from single mother families in the state of Selangor which has higher level of divorce and separation cases. Thus, the intent of this proposed study firstly is to identify, the influences of the family, social system and socioeconomic issues which cause the rise of psychosocial problems of the adolescents from single female parent families, such as anti-social behaviour. In that regard, there are three chapters in this project proposal. Chapter 1: Introduction, provide a discussion around the basic theme and problem statements which contribute to psychosocial problems of the adolescents. The purpose of qualitative research of face to face interview is to wear down the objectives acting upon the adolescents from single mother’s family. Chapter 2: Through the literature review extends the analysis and provokes an idea from the theories. Chapter 3: Qualitative research method of facial expression to face interviews were utilized to identify (N=5) adolescents from the age of fifteen to eighteen from single mother families, (N=5) of their mothers and (N=1) from the NGO, in order to interpret and explain the societal phenomenon of adolescent from single mother families. The determination is to address why anti-social behaviour occurs among adolescents from single mother families and also how to and implement methods to prevent and overcome anti-social behaviour among these adolescents, with the help and associate with the aid of others, such as, government, NGOs, relatives and friends. 1.1  Background of study The focus of the background study reveals increase as in separation and divorce levels due to several factors and influences. From previous studies, single parent family in Malaysia is growing faster than other family relationships. The arrangement of two parents in the family is broadly conceived as an accepted family, and the single parent family is known as a sort of non-accepted family. (Baharudin, R., Et al. Journal of comparative Family Studies, 2011). Established on the article from (Overturf, J. V., Downs, B., 2003) it states; parental monitoring is an important connection of adolescence risk behaviour. The full point of adolescence is really essential to the maturation of any person. The identifying features of this period make it unique from other aspects of development. It is a transitional period from childhood to maturity; it requires an atmosphere full of passion and understanding to do well. (Ajidahun, B. O., 2011). Therefore, adolescents from single mother families may experience peculiar psychological and emotional problems of separation anxiety, sorrow, anger, depression, aloneness, and poor sexual self-identity. (Meier, P.D. Minirth, F. B. el ta, 1991). Hence, the significance is likely employed in several risk behaviours, such as antisocial behaviour is high. Anti-social behaviour is considered a personality disorder and brings up to behaviour that lacks affection for others with a high chance of harming others without feeling guilty and an evident failing of most emotions. (Kalat, J.W., 2008). The development of antisocial behaviour among teens could be drug abuse, vandalism, bullying, and gangsterism. Nevertheless, based on studies (Lee et al., 2007; Chiah, 2009), it has been discovered that adolescent from single mother families were more frequently taken in social problem behaviours than their twins in two-parent households. Hence, the context of this background work is founded on face to face questionnaire, interviews in order to gather information that comprises samples of (N=5) adolescents from NGO residential home for the teenagers which residing in the City of Petaling Jaya, Selangor and (N=5) of their mothers and (N=1) from the residential dwelling. The interviews questionnaire is used to pack out the collection primary data in this field to assess the findings of the research. In addition, based on the qualitative analysis from the work of other researches on anti-social behaviour among these adolescents from single mother families, the factors highlight the realization of several reasons in this area. The important results of the conditional relation of this background study for the adolescents from single mother families seriously need more attention and counselling in the field that becomes problems for them. Parents attention is recommended as revealed in this study, the adolescents need a conducive environment where they can look for help and affirm to resolve their problems inside their families. Therefore, through the interview samples as well as the interpretation of literature and journals, and research has facilitated to improve and determine the levels of the different social classes’ problems. Aside from the discussion of background study, the following section in particular addresses the problem statements. 1.3  Problem Statements This research aims to identify the psychosocial problems of adolescents from single mother families. The issue of divorce and living in fatherless families, infidelity of husband and wife, financial issues, emotional and psychological problems and social stigma are some of the major ones. (Faizah bte Abd Ghani Azian Abd Aziz, 2013). Their troubles are often pushed under the carpet, but manifest in anti-social behaviour which includes poor academic performance, relationship with teachers, school mates, mother or father, siblings, relatives and the public at large. They also resort to anti-social activities including drinking, which frequently result in adolescent pregnancies. My study samples are (N=5) adolescents between the ages of fifteen to nineteen, (N=5) single mother and (N=1) from the residential homes for the teenage boys in the state of Petaling Jaya, Selangor. 1.5  Research Questions In this research, these are the questions which my research will be addressed: What are the psychosocial problems of the adolescents from single mother families? What are the factors that influence the development of adolescents from single  mother families? What is the mother involvement in psychosocial problems of their adolescent’s  development? To what extent the changes come about when the adolescents stay in the NGO  residential homes for the teenagers? These research questions are directed at seeing the chief objectives of this study, which look at the factor causing psychosocial problems, such as, anti-social behaviour in the adolescents from single mother families. 1.4  Research Objectives The intent of this proposed research objective is to limit the possible factors that carry the potential to delay the effective operation of the psychosocial problem of the adolescents from single mother families. It is also aimed at the objective as stated below: To find out the psychosocial problems among the adolescent. To identify the factors that influencing the development of adolescents from single  mother families. To find out what is the mother involvement in their adolescent’s development. To determine what is the mother involvement in psychosocial problem of their  adolescent’s development. To find out what extent the changes come about when the adolescents stay in the  NGO residential homes for the teenagers. 1.6  Study Contribution This research covers (a) The definition of a psychosocial problem among the adolescent from single mother families. (b) The factors of psychosocial problems. (c) The mother involvement in psychosocial problems of their adolescent’s development. (d) The changes occur when the adolescents stay at the NGO homes. The responses to the interview questions and samples will be held through from a residential home for the teenage boys which residing in the City of Petaling Jaya. This chapter closes the call for the proposed research in psychosocial problem among adolescents from single mother families. The financing will be gained from the scope, significance of the problems and aims. The next chapter of this research covers the pertinent literature, letting in the factors, causes and solutions. Additionally, the recommendations proposed will also be discussed, such as, with the psychosocial, socioeconomic and the ecological problems and also how the adolescents from single mother families can seriously consider living a better lifestyle?

Thursday, October 24, 2019

Stakeholder Relations :: essays research papers

Brief Many organisations are addressing the relationship they have with stakeholders. Select an organisation that is currently changing its policies towards stakeholders and, acting the role of a key stakeholder representative prepare a positioning statement/report that summarises key issues for your supporters. Background In 1875 J H Mills in Bristol opened a small family grocery store, and in 1900 became a limited company with 12 shops. J H Mills Ltd. turned into Gateway, in 1950, when a major finance house became the major shareholder. The J H Mills shops were then converted to become self-service type supermarkets. Throughout the late 20th century the amount of stores increased dramatically with takeovers and different acquisitions across the country. In 1996 Gateway food markets turned into Somerfield and was floated on the stock exchange and became a plc. The Somerfield group is made up of four separate businesses, which together operate over 1400 stores nationwide in the UK. Firstly, the Somerfield Stores division consists of around 1,000 stores incorporating Somerfield Stores and approximately 450 Kwik Save Stores. Somerfield is a modern high street retailer offering fresh foods, groceries, and household needs. The Kwik Save division was introduced to Somerfield when they announced their unconditional merger on March 20, 1998. Kwik Save's philosophy is to provide a full range of quality products at the lowest price on the high street. The idea was all about no frills low pricing. Somerfield started a  £1 billion programme to convert Kwik Save stores to Somerfield and also modernising the original Somerfield stores. Somerfield's third business is the Convenience division, a group of about 100 stores, ideal for 'top-up' shoppers, offering a range of groceries and provisions in a small store format located in convenient positions. The last of the businesses is Somerfield 24-7, a new, recent venture that allows people to shop for groceries without going into any of the supermarkets, by using the phone, Internet or interactive television and getting the goods delivered to their door. I am a representative for the employees of Somerfield plc. Report On Thursday November 11 Somerfield announced the sale of up to 490 stores and a reduction in its central office and distribution business. The board has decided to focus Somerfield operations on a potential  £30 billion neighbourhood food retailer market. Somerfield currently has approximately 10% of this market and believes it can increase its market share by further emphasising the importance of fresh food, improving the ease of shopping and developing a more responsive culture from its employees.

Wednesday, October 23, 2019

Presupposition in Semantics Essay

IntroductionPresupposition is originated in the field of philosophy and it was proposed by German philosopher Ferge in 1892. In the 1960s, presupposition entered the area of linguistics and became a significant concept in semantics. Later in the 1970s, Keenan introduced presupposition to the pragmatics to describe a relation between a speaker and the appropriateness of a sentence in a context (Levinson: 177). Hence, presupposition can be distinguished into two categories: semantic presupposition and pragmatic presupposition. This thesis is mainly centered on the exploration of presupposition in semantics from the perspectives of features and problems of presupposition. For the sake of searching for the solutions to the problems, the writer also brings two pragmatic theories of presupposition into discussion. Part I. Two Approaches to PresuppositionIn the linguistics, two approaches to presupposition are semantic and pragmatic. Semantic presupposition views the sentence relations in terms of truth relations while pragmatic presupposition describes sentences as an interaction between individuals. A.Semantic PresuppositionIn ordinary language, of course, to presuppose something means to assume it, and the narrower technical use in semantics is related to this (Saeed: 93). In semantics, the meaning of a sentence is based on the sentence itself instead of something constructed by the participants. The semantic presupposition is only concerned about the truth value of the statements. For instance,a)John managed to stop in time. b)John tried to stop in time. (Suo: 130)In the example, sentence a) presupposes sentence b), that is to say, if it is true that John managed to stop in time, it must be true that John tried to stop in time. Meanwhile, if this proposition is false, the presupposition that John tried to stop in time still exists. However, only the truth of sentence b) doesn’t tell anything concerning the result whether he stopped in time or not. Based on the analysis, we can draw a truth table for this presupposition:a bT → TF → TT or F ↠ TThis table is an overt description of the truth relations between sentence a) and b). If sentence a) is true, then its presupposition b) is also true. If sentence a) is false, then the truth of b) still survives.  While if sentence b) is true, sentence a) can be either true or false. The interpretation of presupposition in semantics is on the basis of truth relations. B.Pragmatic PresuppositionCompared with semantic presupposition- a truth-relation approach, pragmatic presupposition is an interactional approach in interpreting the sentence relations. Stalnaker argues that presupposition is essentially a pragmatic phenomenon: part of the set of assumptions is made by participants in a conversation, which he terms the common ground (Saeed: 101). This common ground is the mutual knowledge shared by both speaker and hearer. For example, â€Å"I am afraid my car broke down.† The presupposition of this utterance is that the speaker has a car, which is known to the hearer. However, if the hearer originally doesn’t know the fact, on hearing the utterance, s/he can take it as a common ground for a further conversation. By virtue of context, appropriate presupposition will help the hearer understand the utterance of the speaker. During the conversation, both speaker and hearer are doing the turn-taking and they can depend on the former utterances to conduct a smooth communication. By comparison of semantic presupposition and pragmatic presupposition, we can gain a better understanding of this notion applied in the linguistics. However, the focus of this thesis is on the presupposition in the semantics. Thus, the following parts will be concentrated on the semantic presupposition. Part II. Features of Semantic PresuppositionIn semantics, presupposition possesses unique features: being different from entailment, presupposition is stable under negation. It is produced not only by the definite description, but also by presupposition triggers. A.StabilitySemantic presupposition relies on the meaning of words and grammatical structures to describe the truth relations between sentences and these aspects don’t vary too much from context to context. Hence,  presupposition is relatively stable and it remains constant under negation of the main sentence. This feature of semantic presupposition makes a distinction between entailment and presupposition. For example,a)I borrowed my friend’s bike today. b)I borrowed something today. If sentence a) is true, it guarantees the truth of sentence b), to be more specific, a) entails b). However, if we negate a) to form a’) then it no longer entails b), repeated as follows:a’) I didn’t borrow my friend’s bike today. b’) I borrowed something today. If it is false that I borrowed my friend’s bike today, it can not tell whether I borrowed something today or not. It might be true that I borrowed something instead of my friend’s bike, but we just don’t know. In contrast, the presupposing sentence is constant even under negation, for instance, c)My sister got married last year. d)I have a sister. The pre-condition of sentence c) is d), if c) is true then d) must be taken as a fact. In other words, sentence c) has the presupposition in d) and the truth of c) makes sure the truth of d) as well. If negating c) as â€Å"My sister didn’t get married last year.† The presupposition that â€Å"I have a sister† also survives. This is the difference between entailment and presupposition, namely, the negation of an entailing sentence leads to the failure of the entailment while negating a presupposing sentence allows the presupposition to survive. B.Presupposition TriggersOn the one hand, the existence of presupposition can derive from the use of a name or definite description. On the other hand, it  can be produced by particular words or sentence constructions, which are called presupposition triggers. Karttunen has collected thirty-one kinds of triggers but in the following section the writer will mainly focus on four types of these triggers: factive verbs, change of state verbs, temporal clauses and cleft sentences. To begin with, verbs like â€Å"regret,† â€Å"deplore,† â€Å"know† and â€Å"agree† are under the category of factive verbs, for they presuppose the truth of the complement clause. For instance,a)Martha regrets/ doesn’t regret drinking John’s home brew. b)Martha drank John’s home brew. (Suo: 131)Whether Martha regrets drinking John’s home brew or not, it is a known fact that Martha drank John’s home brew. The sentence a) has the presupposition in b). By contrast, no such presupposition exists with the non-factive verb like â€Å"think.† For example,c)Tom thought that John was late. d)John was late. Sentence c) indicates that it is only Tom’ personal opinion of John’s being late. Actually, John might not be late and the truth doesn’t reveal from the sentence itself. Therefore, sentence c) doesn’t have the presupposition in d) due to the non-factive verb â€Å"think.†Secondly, the employments of verbs like â€Å"stop,† â€Å"start,† â€Å"begin† and â€Å"finish† imply the change of state. Hence, these lexical triggers are regarded as change of state verbs, which describe the new state and presuppose the former state as well. For instance,a)John stopped/ didn’t stop beating his wife. b)John had been beating his wife. (Suo: 131)The verb â€Å"stop† means making something end and here if John stopped beating his wife, which means that he makes the action of beating his wife end. But if he didn’t stop, the occasion of beating will continue to happen in the future. No matter what the situation is, sentence a) presupposes the fact b) that John had been beating his wife as the former state. What’s more, not only the lexical words trigger the presupposition, but also clauses like temporal clauses may produce presupposition. For example,a)Linda went to the supermarket before she met her friends. b)Linda met her friends. The temporal clause marked by the conjunction â€Å"before† shows that Linda went to the supermarket first and then went to meet her friends. In effect, sentence a) states the fact that Linda really met her friends. It is this temporal clause that ensures the truth of sentence b) and also triggers the presupposition in b). Last but not least, syntactic structure such as cleft sentence can also act as a trigger for the production of certain types of presupposition. For example,a)It was the noise that annoyed me. b)What annoyed me was the noise. c)Something annoyed me. In the example, the cleft construction in a) and the pseudo-cleft in b) share the presupposition in c). No matter how the sentence structure changes, the essence of the sentence remains unchanged. What sentence a) and b) intend to stress is that there is something annoyed me. By means of the features like stability and presupposition triggers, the real intention of the utterances can be investigated. If the speaker changes the predicate â€Å"has† to â€Å"hasn’t,† or â€Å"does† to â€Å"doesn’t,† the presupposition for the utterance is the same, for presupposition is of stability. Presupposition triggers can be used as a tool to present the essence of the sentence, no matter what lexical words and constructions are applied. Part III. Problems of Semantic PresuppositionIn semantics, this truth-based approach gives rise to problems for the presupposition, such as, presupposition failure, the defeasibility of presupposition and the  projection problem. A.Presupposition FailureOn the basis of truth condition, it has been taken for granted that a name or definite description being used refers to the existent entity in the field of semantics. However, if the named or described entity doesn’t exist, it causes problem for this truth-relation approach, which is known as presupposition failure. The following example is by now the most discussed one in this literature:a)The King of France is bald. b)There is a King of France. (Saeed: 96)According to the criterion of truth relation, no doubt sentence a) presupposes sentence b), if it is true that there is a King of France. But if there is no King of France, that is to say, the sentence b) is false, the problem is aroused, for it is uncertain whether this presupposition survives or not. Are the sentences like a) true or false, or just in a gray area, neither true nor false? This dubious situation for truth-based approach results in the truth value gap. For such a problem, Russell offers a famous solution to make an analysis of this definite description as three expressions as follows:The King of France is bald is true if and only if:a)at least one thing is the kingb)at most one thing is the kingc)whatever is the king is bald. (Saeed: 97)From the Russell’s analysis, we know that if there is no King of France, it leads to the falsity of this proposition that the King of France is bald. Thus, there is no gray area between true or false, no truth value gap. However, it seems to be too complex to employ these preconditions for the explanation of one name and it may cost great efforts to analyze the preconditions whenever meet with such kind of statements. In comparison with truth relation approach, it may be less problematic for an interactional approach. During the communication between the individuals, whenever an unfamiliar name or definite description occurs, the hearer can interrupt the speaker so as to signal the failure of the conversation. For instance, the speaker says to someone, â€Å"Mr. Hong will invite us to dinner next Friday.† If the hearer doesn’t know Mr. Hong, it may cause confusion. As the conversation continues, the hearer can ask the speaker who Mr. Hong  is. As for the speaker, s/he can take an immediate response to clear up the misunderstanding. The presupposition failure in semantics results from the narrow question of the truth value of statements about non-existent entities, while in pragmatics, the attention is paid to the more general question of what conventions license a speaker’s referring use of name or definite description. B.DefeasibilityOne of the peculiar things about presupposition is that it is sensitive to context, either immediate linguistic context or the less immediate discourse context, or in circumstances where contrary assumptions are made. In particular context, the presupposition is cancelled and this phenomenon is known as defeasibility. Two factors result in presupposition cancellation: one is the linguistic context and the other one is background assumption about the world. One kind of presupposition defeasibility arises in certain types of linguistic context. For example,You say that someone in this room loves Mary. Well maybe so. But it certainly isn’t Fred who loves Mary. And it certainly isn’t John . . . (We continue in this way until we have enumerated all the people in the room). Therefore no one in this room loves Mary. (Suo: 135)In the example, each of the cleft sentences (it certainly isn’t Fred, etc.) are supposed to presuppose that there is someone in this room who loves Mary, for presupposition is constant under negation. However, the speaker intends to persuade the hearer that there is no one in this room who loves Mary by ruling out the possibilities. Therefore, the presupposition that someone in this room loves Mary is defeated in this counterfactual assumption. Here is another example of the same kind:a)John didn’t manage to pass his exams. b)John tried to pass his exams. c)John didn’t manage to pass his exams. In fact he didn’t even try. Sentence a) has the presupposition in b), but if put a) into such a statement as c), the prior presupposition is abandoned. Without knowing the real fact, if someone makes the utterance that John didn’t manage to pass his exams, it may leave the hearer an impression that at least once he tried to pass his exams. On hearing the fact the hearer will know John’s failure for the exams is due to his lack of efforts in his study. Thus, the presupposition can be cancelled within certain contexts. The other kind of presupposition defeasibility is caused by our general knowledge of the world. For instance,a)She cried before she finished her thesis. b)She finished her thesis. (Saeed: 187)As mentioned above, the temporal clause functions as a trigger for the presupposition. Sentence a) with before-clause presupposes that indeed she finished her thesis. However, if the verb in the main clause is changed to â€Å"die,† the situation will be totally different. For instance,c)She died before she finished her thesis. d)She finished her thesis. (Saeed: 187)Since her death preceded the event of finishing her thesis, it is certain that she never finished the thesis. It is common sense that people do not conduct things after they die. Even if sentence c) is expressed with before-clause, it doesn’t have the presupposition in d). As a result of background belief in the real world, the previous presupposition that she finished her thesis is blocked in this context. C.Projection ProblemLangendoen and Savin suggest that the set of presuppositions of the complex whole is the simple sum of the presuppositions of the parts, i.e. if S0 is a complex sentence containing sentences S1, S2, . . . Sn as constituents, then the presuppositions of S0 = the presuppositions of S1 + the presuppositions of S2 . . . + the presuppositions of Sn (Levinson: 191). For example,S0: John stopped accusing Mary of beating her husband. S1: John accused Mary of beating her husband. S1†²: John judged that it was bad for Mary to beat her husband. S2: John stopped doing it. S2†²: Before time T, John did it. (Suo: 136)In the example, sentence S0 is the complex sentence including two parts S1 and S2, to be more specific, from the statement that John stopped accusing Mary of beating her husband, two meanings can be interpreted: one is that John accused Mary of beating her husband and the other one is that John stopped doing it. The presupposition of S1 is S1†², namely, S1 presupposes that John judged that it was bad for Mary to beat her husband. While S2 has the presupposition in S2†², that is to say, S2 presupposes that before time T, John did it. Thus, the presuppositions of S0 are the presupposition of S1 plus the presupposition of S2. As a matter of fact, this simple solution to the presuppositions of complex sentences is far from correct and it turns out to be impossible to take it as a formula. By using this solution, it is difficult to predict exactly which presuppositions of the parts survive in the whole presupposition of the complex sentences. This compositional problem is called the projection problem for the presuppositions. The projection problem in the presuppositions has two aspects: on the one hand, presuppositions remain in the linguistic context while entailments disappear. On the other hand, presuppositions are cancelled in certain contexts where entailments survive. The first aspect of the projection problem is the survival of presuppositions and cancellation of entailments in the same context. As mentioned above, negation is a typical example for the distinction between presupposition and entailment, for presupposition is stable under negation while entailment isn’t. However, there are other situations in which presupposition remains  and entailment disappears. For instance,a)Mr. Brown bought four books. b)There is a Mr. Brown. c)Mr. Brown bought three books. d)It is possible that Mr. Brown bought four books. e)Mr. Brown could have bought four books. In this example, sentence a) presupposes sentence b) and entails sentence c). If it is true that Mr. Brown bought four books, the precondition for this proposition that there is a Mr. Brown must also be true. And if he already bought four books, he is supposed to have bought three books. However, when the modal operators or modal verbs are embedded in the original statement, the entailment of a) disappears while the presupposition b) still exists. Because modal operators like â€Å"possible,† â€Å"probable† and modal verbs like â€Å"could,† â€Å"should† are considered to be a kind of conjecture. The employments of them reveal speaker’s uncertainty about his utterances. Another situation of the same kind is the compound sentences formed by the connectives â€Å"and,† â€Å"or,† â€Å"if . . . then† and what not. For instance,a)The two students handed in the homework late again this Monday. b)A student handed in the homework late this Monday. c)The two students handed in the homework late before. d)If the two students handed in the homework late again this Monday, their teacher will get angry. The adverb â€Å"again† applied in the sentence a) presupposes that the two students handed in the homework late before. If two students handed in the homework late, it must entail that one of them handed in the homework late. Thus, sentence a) presupposes c) and also entails b). However, if sentence  a) is embedded in a complex sentence like d), the utterance a) can only be regarded as an assumption in the complex whole. Hence, the former entailment is abandoned in the new compound sentence but the presupposition that they did before still survives. The other aspect of the projection problem is that presupposition is blocked while entailment still exists in certain contexts. If the predicates of the utterances are the verbs of propositional attitude such as â€Å"want,† â€Å"believe,† â€Å"imagine,† â€Å"dream† and the like, the blocking of presupposition appears to take place. For instance,a)Tom believes he’s the president of America. b)There is a present president of America. In this example, sentence a) entails that Tom believes something, but it doesn’t have the presupposition that there is a present president of America. The verb like â€Å"believe† is only a non-factive verb, which doesn’t ensure the truth of its complement. Moreover, the employment of it will leave the hearer an impression that what the speaker says is just a personal opinion. Thus, the presupposition is blocked because of the verb â€Å"believe.†Another example is given as follows:a)I dreamed that I was a German and that I regretted being a German. b)I was a German. In the sentence a), the speaker doesn’t shoulder the responsibility of uttering it by employing the verb â€Å"dream.† The application of â€Å"dream† indicates that this utterance can not be taken seriously as a fact. However, sentence a) still entails that â€Å"I dreamed something,† but doesn’t presuppose that â€Å"I was a German.† In such a situation, the complex sentences with certain verbs of propositional attitude block their presuppositions but maintain the entailments. By means of analyzing the problems of presupposition in the field of semantics, we can draw a conclusion that this truth relation approach is far  from adequate to describe the relationships between presupposing and presupposed sentences. Admittedly, the issue of presupposition is not only being discussed in semantics but also in the pragmatics. Part IV. Pragmatic Theories of PresuppositionAs for pragmatic presupposition, various theories have been put forward by linguists such as Stalnaker, Gazdar and what not. Among these theories, two of them are the most developed theories that deal with the defeasibility and the projection problems. Both theories assume that presuppositions are part of the conventional meaning of expressions, instead of semantic inference. The first theory has been developed by Karttunen and Peters, which is expressed in the framework of Montague grammar. In the Montague grammar, clauses are built up from their constituents from the bottom up rather than from the top down as in transformational generative grammar (Levinson: 207). The basic idea in this theory is that sentences are built up from their components and the meanings conveyed in these sentences are subject to the words, clauses and so on, but in the presuppositions, meanings are associated with these triggers. According to Karttunen and Peters’ theory, presuppositions are actually non-cancellable. The meaning expressions that capture the presuppositional content of each presupposition-triggering item will be related with each constituent a heritage expression. If there is a predicate like propositional attitude verb, it will have a heritage expression that blocks the presuppositions ascending to be presupposition of the whole sentence. In such circumstances, presupposition isn’t in fact cancelled, but it is blocked during the process of derivation by the heritage expression. For example,a)Bush thinks that Kerry’s attitude about terrorism is dangerous. b)Kerry has an attitude about terrorism. The subordinate clause of sentence a) presupposes that Kerry has an attitude about terrorism. However, the verb â€Å"think† has the heritage expression which prevents this presupposition from being the presupposition of the whole. The other theory is proposed by Gazdar, in which presuppositions are actually cancelled. At the early stage of derivation, the presuppositions of any complex sentence will consist of all the potential presuppositions of the parts. Then a canceling mechanism will begin to work and it only selects these presuppositions which are consistent with all the propositions already in the context. In this theory, the generations of presuppositions adhere to a special order: first the entailments of what are said are added to the context, then the conversational implicatures, and only finally the presupposition (Levinson: 213). In each step, these presuppositions that contradict the former propositions will be eliminated through selection and only the ones being consistent with them will survive. For example,a)If there is a King of France, the King of France doesn’t any longer live in Versaills. b)The speaker knows that there exists a King of France. c)It is consistent with all the speaker knows that there is not a King of France. (Suo: 143)In the sentence a), the clause that â€Å"the King of France doesn’t any longer live in Versaills† has the potential presupposition in b). However, the conditional sentence a) entails that there is not a King of France. Based on the special order in Gazdar’s theory, this entailment enters into the context before the potential presupposition. Hence, this potential presupposition is cancelled without entering into the context. Although the two theories are opposing to each other, both of them offer an explanation for the defeasibility of presupposition and projection problem. However, even in the field of pragmatics, adequate solution to the presupposition is not obtained, which needs further developments. ConclusionIn the field of linguistics, we can probe into the presupposition from two perspectives, namely, semantic presupposition and pragmatic presupposition. This thesis mainly focuses on the interpretation of presupposition in semantics. The writer introduces the features of semantic presupposition like stability under negation and presupposition triggers and then makes an analysis of the problems aroused by this truth-based theory  such as presupposition failure, defeasibility and projection problem. To solve these problems, two theories concerning the pragmatic presupposition are discussed. Although both of them offer the explanations for the problems of presupposition, they are not considered to be adequate solutions. The further developments of presupposition rely on the complex interactions between semantics and pragmatics. References Levinson, Stephen C. Pragmtics. Beijing: Foreign Language Teaching and Researching Press, 2005. Saeed, John I. Semantics. Beijing: Foreign Language Teaching and Researching Press, 2005.

Tuesday, October 22, 2019

Spanish Possessive Pronouns

Spanish Possessive Pronouns If youve learned the long form of the possessive adjectives, you already know the possessive pronouns of Spanish. In fact, some grammarians classify the long-form possessive adjectives as pronouns, even though they are used to describe nouns. What Are Possessive Pronouns? Possessive pronouns are the equivalent of the English pronouns mine, yours, his, hers, theirs and its, but they arent used in exactly the same way in Spanish as they are in English. As the name suggests, possessive pronouns are used in the place of nouns rather than to describe nouns as adjectives do. Here are the possessive pronouns of Spanish with simple examples of their use: mà ­o, mà ­a, mà ­os, mà ­as - mine Tu madre y la mà ­a no pueden cantar. (Your mother and mine cant sing.)No me gustan los coches rojos. El mà ­o es verde. (I dont like red cars. Mine is green.)Cuido de tus mascotas como si fueran las mà ­as. (I take care of your pets as if there were mine.) tuyo, tuya, tuyos, tuyas - yours (singular informal) Este libro no es mà ­o. Es tuyo. (This book isnt mine. Its yours.) ¿Dà ³nde est mi mochila? La tuya est aquà ­. (Where is my backpack? Yours is here.) suyo, suya, suyos, suyas - his, hers, yours (singular formal or plural formal), its, theirs Mis calcetines son rojos. Los suyos son negros. (My socks are red. His/hers/yours/theirs are black.)Amo a mi esposa. Él no ama a la suya. (I love my wife. He doesnt love his.) nuestro, nuestra, nuestros, nuestras - ours Este coche es nuestro. (This car is ours.) ¿Te gusta tu casa? No me gusta la nuestra. (Do you like your house? I dont like ours.) vuestro, vuestra, vuestros, vuestras - yours (plural informal; infrequently used in  Latin America) Nuestra casa es muy vieja.  ¿Y la vuestra? (Our house is very old. And yours?)No me gustan los coches de vuestros competidores. Prefiero los vuestros. (I dont like your competitors cars. I prefer yours.) As you can see from the examples, possessive pronouns must match the noun they represent in both number and gender, just as do the long-form possessive adjectives. They do not necessarily match the number or gender of the person or thing that has possession. Spanish Possessive Pronouns The possessive pronouns of Spanish take the same form as the long form of the possessive adjectives, namely mà ­o, tuyo, suyo, nuestro, and vuestro along with their plural and feminine counterparts.Except when followed by forms of ser, a verb meaning to be, the possessive pronouns are preceded by el, la, lo, los, or las.  Because  suyo is ambiguous, it is sometimes replaced by phrases such as de à ©l or de ellas. Definite Articles With Possessive Pronouns Note that unlike the equivalent pronouns in English, the Spanish possessive pronouns are usually preceded by a definite article (el, la, los or las), the equivalent of the. The article is usually dispensed with when the possessive pronoun follows a form of the verb ser, such as son or es, as in the examples, although it is sometimes retained for emphasis. Ambiguous Suyo Suyo and the related forms can be ambiguous since they can mean his, hers, yours, theirs, or its. When context doesnt make its meaning clear, the possessive pronoun can be omitted and replaced by a prepositional phrase such as de à ©l (instead of his) or de ellos (instead of theirs). Examples: No es mi coche. Es de ella. (Its not my car. Its hers.) ¿Dà ³nde estn mis zapatos? Los de à ©l estn aquà ­. (Where are my shoes? His are here.)En nuestras listas hay luchadores; en las de ellos, cobardes. (On our lists there are fighters; on theirs, cowards.) Note that you wouldnt normally use the de object pronoun to refer to those that arent included in the meaning of su. So, for example, you wouldnt normally substitute de mà ­ for mà ­o. Using the Possessive Neuter Form The single, masculine form of the pronouns can also be treated as neuter and thus be preceded by the definite article lo. Even though singular, the pronoun can stand for more than one object. The neuter form is used when no specific object is being referred to. Examples: No toques lo mà ­o. (Dont touch what is mine. Dont touch my things.)Lo mà ­o es importante. (What is mine is important. My things are important.)Es intolerable que nuestro là ­deres no defiendan lo nuestro. (It is intolerable that our leaders dont defend what is ours. It is intolerable that our leaders dont defend our traditions.)

Monday, October 21, 2019

The Individual Its Struggle and Purpose Essay

The Individual Its Struggle and Purpose Essay The Individual Its Struggle and Purpose Essay From the dawn of our culture we have valued individuality, independence and freedom over almost any other values. After all of the revolutions and wars fought in the name of independence, in the freedom to be an individual, it is shocking to think of how often we forget its meaning and importance. It is much easier to affiliate with a group rather than risk rejection and act on your accord. The film Equilibrium, written and directed by Kurt Wimmer, and several articles from the PACS book highlight the issues concerning this struggle of the self. In order to fully understand the issue one must define individuality, recognize the trials of developing and maintaining individuality, and understand why it is important be an individual. Individuality can be defined as the characteristic of being free from the burdens of others opinions. Unfortunately in such a socially dependent society as our own it is nearly impossible to be completely free of others opinions. We were neglected the lux ury of discovering everything for ourselves. Instead we are taught. Our sovereign autonomy is tainted the first time parents say something is wrong and something else is right. The same contamination occurs upon the first days of school as we begin to learn not only what the majority believes is correct, but how to suppress the self in order to advance peacefully in society. We learn established rules and regulations. We learn that someone else has already found out what is right and we learn to accept without questioning. John Stuart Mill comments on the development of such universally accepted dogma in Of Thoughts and Discussion: It is illustrated in the experience of almost all ethical doctrines and religious creeds. They are all full of meaning and vitality to those who originate them and to the direct disciples of the originators. Their meaning continues to be felt in undiminished strength , and is perhaps brought out into even fuller consciousness, so long as the struggle lasts to give the doctrine or creed an ascendancy over other creeds. At last it either prevails, and becomes the general opinion, or its progress stop... (44) In this passage Mill explains that if a society can claim something is fact eventually the population learns to accept without questioning. Although it may be impossible to be completely free of the burdens of others opinions, it is possible to at least question those opinions we hear. Individuality is not accepting blindly and having a critical mind that checks others opinions with their own logic. This may seem simple enough but there is another complication when aspiring to achieve true individuality. It is equally important to act on your own beliefs as well as have them. An autonomous being is useless as an observer, but powerful when active. If a revolutionary idea is never shared and given the opportunity to change this world, it may as well have never existed. A true follower of autonomy must share their thoughts and work on making them reality. However this is often very difficult since identity is constantly under assault by societal and social pressures. Even after one ac hieves a state of intellectual sovereignty the views of others continue to pressure and challenge that autonomy. Humans are social creatures by nature and are often concerned with what others think of them. The desire to be well liked and the fear of being rejected are two forces working against the sense of self. In more extreme societies the fear of rejection can be replaced with the reality of political persecution. Equilibrium’s city of Libria is a perfect example of such a society. In the city state of Libria there is no individuality. The social opinions are all dictated by Father, the epitome of oppression. Those that counter Father’s opinion are hunted and executed. For this reason any â€Å"sense offenders† in the city must hide any original or creative thoughts. However one individual decides to act out against the tyranny of

Sunday, October 20, 2019

Aspects of Internet Censorship by the Government

Aspects of Internet Censorship by the Government Introduction Internet can be defined as computer networks interconnection using a standard protocol to provide information to the entire world irrespective of where one is at any time (Garcia 32). The networks compose of public computers, learning institutions computers, business enterprises computers and private organization computers for local and global scope.Advertising We will write a custom research paper sample on Aspects of Internet Censorship by the Government specifically for you for only $16.05 $11/page Learn More Earlier the internet was being referred to as the information super highway, its’ main aim of was to avail limitless information to everyone who needs it as fast as possible. Internet censorship refers to the act of controlling information access through the internet. Main motives of internet censorship vary from one website to another (â€Å"Research profiles.† 1). Main reasons are children protection from harmful and expl icit material, enabling grown up avoid contents that may compromise their community and personal standards, imposition of a moral framework in adult communication through the internet, and blocking of information material that is illegal to possess according to the government of a particular country under consideration. The government uses various techniques to censor internet depending on the content they want to restrict. It does so through the use of program software called web filters or censor ware. Internet censorship Main techniques for internet censorship include, IP blocking technique, this target website hosted by a common server. The entire websites hosted by that particular IP address are blocked (â€Å"Research profiles† 1).Whenever one tries to access them he/she is denied the access rights. Filtering domain name server (DNS) method, in this method the domain name is not resolved hence one is unable to access the site. This method uses software that restrict res olving of the domain name, as a result the target website is unavailable. Packet filtering method, this technique uses keywords in filtering the content to be accessed, if the keyword is detected the site content is blocked. Another method is through the use of the uniform resource locator (URL), it uses keywords to block censored site from access. When one try to access a website the uniform resource locator is checked if it consists of the restricting keyword, if the keyword is found in the URL the site become unavailable. Reasons for censorship Different government censors the internet due to different reasons, some may be reasonable and varied, while others are misuse of the power by the government. This has created a controversial situation of whether the government should carry out internet censorship or not (Kenny 1).Advertising Looking for research paper on ethics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Different pe ople have different views depending on the perspective one look the situation from, each any everyone has reason and evidence to support his/her theory. The positive aspects of internet censorship by the government around the world are immense. World internet censorship ratings Blue No censorship Yellow Some censorship Red Country under surveillance from Reporters without Borders Grey Internet black holes (most heavily censored nations) The rule makers and enforcers should work hand in hand. Their Failure to cooperate leads the rule amounting to nothing. The social contract theory was developed by the philosopher Thomas Hobbes; it argues that without rules and a systematic way of enforcing them the efforts amount to nothing. It uses the concept of cooperation between involved parties, they mutually resolve to follow laid down guidelines.Advertising We will write a custom research paper sample on Aspects of Internet Censorship by the Government specifically for you for only $16.05 $11/page Learn More The guidelines are the rules set to benefit the people socially. All agree there should be rules laid down and the government should ensure they are enforced to all irrespective of one position. This theory was develop due to no man has authority over others naturally, hence there was need to establish contracts based on covenants. For censorship to be effective the law enforces and the designers should be one body (Eid 1). Currently there are many unethical action been carried out, since the enforcers have absconded their duties. Regulations that govern the internet ethic are no longer being observed while the law enforces are enforcing new rules at will without consulting. Recently the government of Afghanistan censored interactive sites without even consulting. This shows there is a link between the enforcers and the law makers. The rules are desirable if the effect s of their consequences is positive. If the consequences are negat ive then the rule is undesirable. The theory of rule utilitarianism was developed as a result of weaknesses in the act utilitarianism theory. The morals theory argues that an action is morally right, if the consequences of an action results to an increase in the level of happiness. The theory uses the rules when explaining the moral values of an individual contrary to the act utilitarianism which uses the principle of utility (â€Å"Introduction to Content Filtering† 7). It tries to exploit the fact that the rules are universally adoptable, hence result to immense happiness. Rule utilitarianism and Kantianism are similar in that they use the rule to base their argument. The difference between the two is that rule utilitarian emphasis on the action consequences while the Kantianism emphasizes on the action motive. It encourages universal adoption of an action that will increase the pleasure of the affected subjects. In the year 2003 August, a worm by the name of blaster infect ed computer system using windows operating system .The worm exploited a security loophole in the windows operating system. It resulted to excess network traffic and also disabled some of the networks. The infection resulted to computer rebooting itself continually. Another worm named Nachi was developed to exploit the same loophole, but did not infect those immune to the blaster worm. On contrary Nachi worm accessed the computer in the network to destroy blaster worm copies and also to download patches of windows to fix the loophole problem. According to the computer ethics introduction of harmful malware in a network is unethical and prohibited. According to the rule utilitarian it was morally correct since the consequences of the action increased pleasure to the affected subject.Advertising Looking for research paper on ethics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Impact on the society The consequences of an action do not matter. What matters are the actions themselves. The act utilitarianism theory was developed by philosophers Jeremy Bentham and John Stuart Mill. This contradicted the earlier theory of Kantianism. It based its’ argument on the fact that an action is termed to be good if the result benefit a person and undesirable if the action harm someone. The theory was founded on the principle of utility, where the action is gauged to be right or wrong depending on the effect on the level of happiness on the concerned party. This theory measures the morality by determining the rise or fall of happiness on the concerned party. Attitude behind an action is not relevant in this argument, what is of more concern is the consequences of the actions. Being in this context is used to refer to anything that may experiences happiness and sadness. From the definition the being not only refers to the humans but also other mammals. It is hard to measure utility thus several attribute have been selected to weigh the effect of an action on the pain and pleasure (Carter 1). Intensity measures the experience extent, certainty measures the likelihood, and duration measures the experience length, extent measures the number of being affected, purity measures the concentration of pain or pleasure, and fecundity measures the ability replicate the experience. Freedom without limit is always abused; most internet users do not observe the internet rules set aside to govern access of information. Almost all government censors sensitive government information or the information is not availed to the internet users. The explicit material in the internet should be restricted to avoid underage from accessing them. Most of the Muslim dominant countries pornographic materials have been completely censored. This ensures the young ones are protected from obscene materials. The action of the government is essential to maintain a morally uprig ht generation in censoring some materials. Due to the complex internet network the government cannot leave the censoring action to parents or private companies, it has to undertake the action itself. The will motivating an action should be the basis of judging an action whether morally right or wrong. An action may not be moral but the motive was moral. The Kantianism` theory was developed by a philosopher named Immanuel Kant. His argument was, people action and deeds should be based on moral laws which are universally acceptable. Citing the bible examples to support his theory, he believed for any supreme moral law to hold it must be based upon some reasoning. Someone who is a Kantian should be able to state something whether it is good or bad and qualify it using specific and varied reasoning. It entails more than arguing whether something is morally right or wrong. The main reasoning was something may be morally right, yet it can be used wrongly to harm others or cause conflict. In this world there are barely good things without need to qualify them to be good. Only good will can be termed to be good, since there is no need to qualify it to be good. An action cannot be termed to be good simply due to the beneficial results; something good is good irrespective of the outcome from the action. What we are meant to do is more important than what we do. We should act out of morals instilled in use rather than what we feel we should do, our moral should be the driving force upon our actions. The oppressive regime use this theory to suppress it citizen and deprive them information access. They censor interactive sites to intimidate those opposing their agenda. Late 2009 China censored interactive site especially in Tibet area. This was meant to curb growing defiance against the government It is hard to say that the consequences of an action do not matter; what’s matter is the action itself. People are more concerned in the results not the way the results ha ve been achieved. Kantianism theory advocate that the motive is what’s matters not he actual result of the actions. If you have a granary infested with rats, there are different ways to remedy the situation. If you burn down the whole granary it is an option but at what cost. As much as the motive of an action is good the consequence are dire. As much as the government may have good motives and intention in censoring the internet, caution should be taken to ensure the consequences do not outweigh the gains. The Kantianism theory should not be employed much in censoring as it may result to undesirable dire consequences. January this year the Iran government censored all interactive site, in a mission to curb government critics who were using them to sell their ideas. In addition they also banned women right websites; this caused more harm than good. It also denied the woman their rights to voice out their view; such school of thought belongs to the Stone Age where women were c onsidered inferior. Error analyses of filters Filtering Product Misdetection False Alarm Error Rate Smart Filter 15% 7% 11% Surf Watch 12% 7% 10% Web Sense 17% 9% 13% I-Gear 36% 10% 23% Cyber Patrol 16% 7% 11% N2H2 14% 7% 11% Conclusion Government Internet censorship is not meant to suppress the society of information access, although it may result not unanticipated negative result. Every government actions to censor internet access are meant for the better of its citizen. But there are isolated cases, where the government censors internet access using unvaried bases. This may result the country citizen being left behind in the fast growing global village. The reason for censoring internet should be clearly defined and measures put in place to protect the law from being abused. The law should also clearly define the method and modes to be used in censoring to avoid safe site from being blocked due to criterion used to block. From the theories discussed above, it i s clear from the different approaches the main objective of all is the effect of censoring to the people. They all agree if censoring result to positive effect then it is worthy but if it is harmful then it is harmful to the same people it ought to be protecting. Irrespective of the reasons behind the censoring of the internet the result should be positive, it should not affect the people’s majority negatively. Whether it uses the rules, consequences of the action or the will motivating the action, the moral effect should be upheld at all times. Internet should be used for moral upright or justifiable action at all time. The internet ethos should be upheld and observed by all internet users indiscriminately of their position. Error analysis of filters for the distinct data set Filtering Product Misdetection False Alarm Error Rate Smart Filter 13% 4% 8% Surf Watch 12% 11% 11% Web Sense 12% 7% 10% I-Gear 36% 7% 21% Cyber Patrol 15% 9% 12% N2H2 11% 1% 6% Compl ete censoring of the internet is contrary to the objective of having it and unhealthy to the people. The main aim of the internet is information sharing among the users and all information about any subject across the world should be accessible from anywhere in the world (Edelman 2). Censoring result to discriminated information sharing and result to the internet falling short of its main objective. This hurt many sector in the world from business to entertainment. Although internet censoring is essential, it should be done up to a certain level where it cause more good than harm to the people. Carter, Wendy. â€Å"How to write a thesis statement.† 2003- July 27, 2010. tadafinallyfinished.com/how-to-write-a-thesis-statement.html Edelman, Benjamin. â€Å"Documentation of Internet Filtering in Saudi Arabia.† July 27, 2010, http://cyber.law.harvard.edu/filtering/saudiarabia/ Eid, Gamal. â€Å"The Internet in the Arab World A Space for Repression?† Reports and Pres s Releases. The Arabic Network for Human Rights Information. 2004- July 27, 2010 anhri.net/en/reports/net2004 Garcia_Murillo, M. â€Å"Assessing the impact of Internet Telephony on the deployment of telecommunications infrastructure.† July 27, 2010. http://faculty.ischool.syr.edu/mgarciam/Research/ppr%20IP%20telephonyIEP05.pdf Introduction to Content Filtering. â€Å"What is this service?† July 27, 2010. isu.net.sa/saudi-internet/contenet-filtring/filtring.htm Kenny, Aaron. â€Å"Inside Internet Filtering.† 2009- July 27, 2010, insideinternetfiltering.com/category/government/ Kuwait. â€Å"Research profiles.† July 27, 2010, http://opennet.net/research/profiles/kuwait Saudi Arabia. â€Å"Research Profiles.† July 27, 2010, http://opennet.net/research/profiles/saudi-arabia

Saturday, October 19, 2019

BTEX in an Urban Setting Essay Example | Topics and Well Written Essays - 500 words

BTEX in an Urban Setting - Essay Example Furthermore, the chemicals are also widely used in the urban setting for several purposes. The components of BTEX have effects on both human and environment. However, the effects are more serious on human since the environmental effects also affects human indirectly. This is because human resides I the environment and uses most of the resources that BTEX has adverse effects on. For instance BTEX contaminates water and water is life to human. It also contaminates soils and this is one of the most important resources for human especially in agricultural production. However, these components have different effects on human depending on the degree of concentration. Furthermore, they have both long-term and short-term effects on human life. Human are greatly exposed to effects of BTEX because its components are encountered by man regularly. There are several short-term effects of these components. They include; respiratory effects especially nose and eye irritation due to inhalation. It may also cause problems to the central nervous system and this may further lead to dizziness, loss of coordination, headache and tiredness. Additionally, prolonged exposure to the chemicals may lead to other complications in the blood system, liver, and kidneys. However, these are the combined effects of the acronym, but the individual chemicals have other effects on human life. There are other individual effects that these chemicals cause the human life, for instance, benzene. Long-term exposure to benzene may lead to production of phenol after high concentration of the chemical in fatty tissues of the blood stream. This chemical produced is more carcinogenic than benzene hence harmful to human life. Furthermore, high exposure leads to fatality. Therefore, benzene is poisonous and toxic. Individuals have to be careful when exposed substances that produce the chemical. This is because even small quantities of the chemicals are harmful to human health. Furthermore,

Friday, October 18, 2019

Diversity Essay Example | Topics and Well Written Essays - 250 words - 5

Diversity - Essay Example CEI is an indication of zero tolerance to discrimination in the workplace, especially with reference to the LGBT community. The rating of corporations in terms of their CEI displays to the public companies with good and ethical practices in terms of their corporate cultures. For a company to appear in the list of top ten LGBT companies, it has to exhibit maximum CEI. This compels potential employers of LGBT community to develop their organizational cultures with gender orientation in mind. Consequently, the 100 percent CEI requirement is a good initiative of checking workplace discrimination on LGBT community in a work environment crippled by dearth of LGBT workplace protection law. Human rights must be protected from all dimensions. Every member of the society deserves to enjoy protection against discrimination of whatever kind. Consequently, it is difficult to object the demand by Diversity Inc’s requirement of 100 percent CEI for companies listed in their website, which is a public exhibition of companies that are socially responsible and zero tolerant to workplace

Analysis of Leadership Theories for Their Applicability Inside an Research Paper - 4

Analysis of Leadership Theories for Their Applicability Inside an Organisations Leadership Model - Research Paper Example Situational and contingency theories will be highlighted in detail, in assessing the most appropriate theory to rely on in setting up an organizational model of leadership. Leadership insights are apparently inevitable in the management roles that an organization’s executive have in steering the organization towards the realization of its objectives. From these two approaches, the theorists assist in understanding the relevant connection to be made between leadership and management, under the inspiration of the organizations’ mission and vision focuses. On one hand, situational theory, Paul Hersey and Ken Blanchard contributions to the effect that styles of leadership styles are not fundamentally important than or superior to the leadership’s response to the varying situation is examined. On the other hand, Fiedler’s contingency theory has been visited in conjunction with the situational theory to illustrate the importance of leadership in the formulation of organizational leadership practices (Kreitner, 2006, p452). In this discourse, I will attempt to find solutions to the question of whether an organization can adopt several leadership perspectives to sustainably tackle all of its challenges. A position held up to the generation of the question is that the organization faces pretty too many leadership challenges such that it cannot be possible to be reliant on a single approach. The choice of these theoretical approaches of leadership was deliberately done to demonstrate the need for the model of organization to depart from retrogressive leadership designs that rigidly fixates the organization to conservative systems inhibiting initiatives. Under the opposing theories of leadership, it is difficult for organizations to respond to the rapidly changing market but reacting to the market only leaves the organization in a poorer condition.  

Ecconomics Assignment - To Compleate the assignment required (as Essay

Ecconomics Assignment - To Compleate the assignment required (as attachment). It requiresto compleate a table andamswer a few questions usingdiagrams where nece - Essay Example In perfect competition, equilibrium point is when P=MR=MC. Q2e) Initially the firms increased when the existing firms were earning supernormal profits i.e. when average revenue was greater than average cost. As more and more firms entered the industry the share of profit for each firm started getting less and less and may firms left the industry. Hence in the long run, there will be only enough firms in the market to break-even and a no profit, no loss situation. Q3) The profit maximizing price will be $14 and quantity will be 4 items per minute if the firm is a monopolist. This is the price and quantity because here the monopoly profit is the highest at $32. The monopoly profit is calculated by taking the difference between the TR and TC. The other approach by which we can prove that this is the profit maximizing price and quantity is MR>MC. At quantity 4 items per minute, MR is $8 and MC is $5. Beyond this point, increasing quantity will cause MR to be less than MC and the monopolist wont be maximizing profits. For instance if quantity is increased to 5 items per minute, MC will increase to $6 and MR will decrease to $4 and hence not a profit maximizing condition. Q4c) Over the range of prices between $14 and $16 on average, a 1% reduction in price increases quantity demanded by 2.14%. Since elasticity is greater than 1 at this point, it means that consumers are highly responsive to a change in price and will quickly move to substitutes. Over the range of prices between $6 and $8 on average, a 1% reduction in price increases quantity demanded by 0.46%. Since elasticity is less than 1 at this point, it means price elasticity of demand is inelastic and the consumers are more or less indifferent to changes in price and will not move to substitutes. The price elasticity of Splots at 2.68 shows that Splots has an elastic demand and that consumers are responsive to changes in price. This means that if price of Splots will rise, the quantity

Thursday, October 17, 2019

Cost and Management Accounting Essay Example | Topics and Well Written Essays - 1750 words

Cost and Management Accounting - Essay Example In 2006, Britvic sold 1.4 billion liters of soft drinks in hundreds of different flavours, shapes and sizes and delivers to over 4,000 customers and approximately 200,000 points of distribution. This explains the wide customer network of Britivic revealing the company's excellence in production and service capabilities. Britvic has the instilled pride to produce more soft drinks brands in its portfolio than any other UK manufacturer. This provides an insight on the effective branding strategies and promotions followed by Britivic and the effective business planning of the company's management. The company has approximately 2,700 employees based either at our main offices in Chelmsford and Sol hull or at one of seven factories and network of depots around the country. This portrays the human resource capability and strong local presence in the soft drinks market. The corporate culture of Britivic provides an amicable atmosphere for all the workers who feel great working for the company.Britivic promotes excellence and initiative and encourage the employees to be passionate about our brands and their roles. Accounting policies of Britivic Source : Balance sheet data of Britvic (2007) Investments The Company recognizes its investments in subsidiaries at cost less any provisions made for impairment. Interest bearing loans and borrowings Borrowings are stated at proceeds received less any unamortized issue costs. Issue costs of loans The finance cost recognized in the profit and loss account in respect of capital instruments is allocated to periods over the terms of the instrument using the effective interest method. Borrowing costs ]After initial recognition, interest-bearing loans and borrowings are subsequently measured at amortized cost using the effective interest method. All borrowing costs are recognized as finance costs in the profit and loss account in the period in which they are incurred. Foreign currencies The foreign currency transactions are recorded at the date of transaction referring the ruling rate at that instance. Foreign currency denomination of assets and liabilities will be translated on the basis of exchange rate as depicted in the balance sheet and balance sheet date will be used. All the noticeable differences are updated in the profit and loss account of balance sheet. Issued share capital Ordinary shares are classified as

EU institutional law and policy Essay Example | Topics and Well Written Essays - 3500 words

EU institutional law and policy - Essay Example 10 new countries that acceded to the European Union in 2004 (Hungary, Poland, the Czech Republic, the Slovak Republic, Slovenia, the Baltic states of Estonia, Latvia and Lithuania, and the Mediterranean islands of Malta and Cyprus), all intend to join third stage of the EMU in the next ten years, though their precise timing depends on various economic factors. Similarly, those countries who are currently negotiating for entry will also take the euro as their currency in the years following their accession. Prior to adopting the euro, a member state has to have its currency in the European Exchange Rate Mechanism (ERM II) for two years. Cyprus, Denmark, Estonia, Latvia, Lithuania, Malta, Slovenia and Slovakia are the current participants in the exchange rate mechanism"(Economic and Monetary Union of the European Union, en.wikipedia.org, referred on 06.05.2006)1 The main objective of the euro is to maintain price stability within the European Union, and at the same time support EU general economic policies, such as the principle of an open market economy, with free competition. "Within fiscal policy, the euro area countries must manage public finances so as to guarantee a sustainable growth, as envisaged in the EU Treaty. A Stability and Growth Pact was adopted, through which all Member States acknowledged the need of a sound fiscal policy for the smooth functioning of the EMU. The Pact comprises three legally binding elements: A resolution passed by the European Council that lays down a firm commitment of its Member States, Commission and the Council to implement the Stability and Growth Pact. A Council regulation that calls for the strengthening of the surveillance of all budgetary positions and co-ordination of economic policies. The key features of these programmes are the specification of national medium- term budgetary targets set close to balance or in surplus. This allows countries to pursue anti-cyclical fiscal policies without breaching the 3% reference value of the deficit. The Stability and Growth Pact is a Council regulation on speeding up and clarifying the implementation of the excessive deficit procedure. If there are no exceptional circumstances and the deficit is considered excessive, the Council will immediately issue a recommendation to the Member State concerned. A maximum of four months is then allowed for the country to take effective action to correct the situation. If the Council considers that the measures are not effective, the next step of the procedure will be engaged" (Stability and Growth Pact, www.bportugal.pt, referred on 06.05.2006)2 As trade between the EU Member States mounted, the member states found EMU as the natural complement of the single

Wednesday, October 16, 2019

Ecconomics Assignment - To Compleate the assignment required (as Essay

Ecconomics Assignment - To Compleate the assignment required (as attachment). It requiresto compleate a table andamswer a few questions usingdiagrams where nece - Essay Example In perfect competition, equilibrium point is when P=MR=MC. Q2e) Initially the firms increased when the existing firms were earning supernormal profits i.e. when average revenue was greater than average cost. As more and more firms entered the industry the share of profit for each firm started getting less and less and may firms left the industry. Hence in the long run, there will be only enough firms in the market to break-even and a no profit, no loss situation. Q3) The profit maximizing price will be $14 and quantity will be 4 items per minute if the firm is a monopolist. This is the price and quantity because here the monopoly profit is the highest at $32. The monopoly profit is calculated by taking the difference between the TR and TC. The other approach by which we can prove that this is the profit maximizing price and quantity is MR>MC. At quantity 4 items per minute, MR is $8 and MC is $5. Beyond this point, increasing quantity will cause MR to be less than MC and the monopolist wont be maximizing profits. For instance if quantity is increased to 5 items per minute, MC will increase to $6 and MR will decrease to $4 and hence not a profit maximizing condition. Q4c) Over the range of prices between $14 and $16 on average, a 1% reduction in price increases quantity demanded by 2.14%. Since elasticity is greater than 1 at this point, it means that consumers are highly responsive to a change in price and will quickly move to substitutes. Over the range of prices between $6 and $8 on average, a 1% reduction in price increases quantity demanded by 0.46%. Since elasticity is less than 1 at this point, it means price elasticity of demand is inelastic and the consumers are more or less indifferent to changes in price and will not move to substitutes. The price elasticity of Splots at 2.68 shows that Splots has an elastic demand and that consumers are responsive to changes in price. This means that if price of Splots will rise, the quantity

Tuesday, October 15, 2019

EU institutional law and policy Essay Example | Topics and Well Written Essays - 3500 words

EU institutional law and policy - Essay Example 10 new countries that acceded to the European Union in 2004 (Hungary, Poland, the Czech Republic, the Slovak Republic, Slovenia, the Baltic states of Estonia, Latvia and Lithuania, and the Mediterranean islands of Malta and Cyprus), all intend to join third stage of the EMU in the next ten years, though their precise timing depends on various economic factors. Similarly, those countries who are currently negotiating for entry will also take the euro as their currency in the years following their accession. Prior to adopting the euro, a member state has to have its currency in the European Exchange Rate Mechanism (ERM II) for two years. Cyprus, Denmark, Estonia, Latvia, Lithuania, Malta, Slovenia and Slovakia are the current participants in the exchange rate mechanism"(Economic and Monetary Union of the European Union, en.wikipedia.org, referred on 06.05.2006)1 The main objective of the euro is to maintain price stability within the European Union, and at the same time support EU general economic policies, such as the principle of an open market economy, with free competition. "Within fiscal policy, the euro area countries must manage public finances so as to guarantee a sustainable growth, as envisaged in the EU Treaty. A Stability and Growth Pact was adopted, through which all Member States acknowledged the need of a sound fiscal policy for the smooth functioning of the EMU. The Pact comprises three legally binding elements: A resolution passed by the European Council that lays down a firm commitment of its Member States, Commission and the Council to implement the Stability and Growth Pact. A Council regulation that calls for the strengthening of the surveillance of all budgetary positions and co-ordination of economic policies. The key features of these programmes are the specification of national medium- term budgetary targets set close to balance or in surplus. This allows countries to pursue anti-cyclical fiscal policies without breaching the 3% reference value of the deficit. The Stability and Growth Pact is a Council regulation on speeding up and clarifying the implementation of the excessive deficit procedure. If there are no exceptional circumstances and the deficit is considered excessive, the Council will immediately issue a recommendation to the Member State concerned. A maximum of four months is then allowed for the country to take effective action to correct the situation. If the Council considers that the measures are not effective, the next step of the procedure will be engaged" (Stability and Growth Pact, www.bportugal.pt, referred on 06.05.2006)2 As trade between the EU Member States mounted, the member states found EMU as the natural complement of the single

Art Gallery Essay Example for Free

Art Gallery Essay In completion of this assignment the art gallery that I chose to visit was Mark Gallery in Englewood New Jersey. When you walk up to the establishment there are floor to ceiling glass windows that allow you to see everything inside. Facing the gallery there were so many colors that enticed you to enter. The arrangements and art work was spaced out nicely not causing clutter. This allowed you to individually take in each piece on by itself. All of the pieces were very nice but the artist that caught my attention was Mr. Mark Oberndorf. Oberndorf was born in New York but is currently residing in Bergren County New Jersey. He is a contemporary realist painter. Since the age of 10 he has been interested in the visual arts. At an early age some of his beginning works were illustrating his school yearbook to painting murals on his elementary school building. From 1995 to present Oberndorf has had art in various group and solo exhibitions and galleries. Currently his work is currently represented by Mark Gallery of Englewood New Jersey and Westwood Gallery in Westwood New Jersey. I found several of his pieces interesting because they were so basic. Not meaning they did not have levels or dimensions but they put me in the mind of simpler times and relatable memories. His pieces display three dimensional effects on a two dimensional surface with natural lighting effects. All painting are created with oil on linen canvass. Such pieces as the â€Å"Wyckoff Train Station†, â€Å"Dairy Queen† and â€Å"Gas† all represent the Bergren County area and parts of New York prior to the gentrification phase. â€Å"Gas† depicts an old two pump station as you would see it in the 1970’s. The piece of the â€Å"Dairy Queen† shows the classic franchise that was shaped somewhat of a barn prior to the new modernized look you may see today. I can remember as a kid having one of these in our neighborhood. We frequently visited it for a Sunday cone after attending church. I could not wait to stand in line for my soft serve on a cone. Lastly the â€Å"Wyckoff Train Station† is truly a classic single standing building not so big on the side of the tracks. Much dated compared to the enormous train stations and subway stations you see in the big cities such as New York. Through viewing these pieces I would think this is his way of holding on to a piece of history, before all common landmarks that held tradition and memories were torn down. Prior to gentrification in many of our communities there were several sites or establishments that were a common thread to our community. Be it the mom and pop store on the corner to the old fashioned ice cream stand. Gentrification has erased these things with more modernized establishments that help to bring economic wealth for some but forces others out of the neighborhoods and communities that they have been a part of for quite some time.

Monday, October 14, 2019

Shareholder Wealth Maximization And Stakeholder Capitalism Model Economics Essay

Shareholder Wealth Maximization And Stakeholder Capitalism Model Economics Essay The Anglo-American markets are described by a philosophy that a firms objective should follow the shareholder wealth maximization (SWM) model. Anglo-American is defined to mean the United States, United Kingdom, Canada, Australia, and New Zealand. This theory presumed that the firm should try to maximize the return to shareholders, as measured by the total of capital gains and dividends, for a certain level of risk. On the other hand, the firm should minimize the risk to shareholders for a given rate of return. The SWM model assumes as a universal truth that the stock market is efficient. The share price is always correct because it reflects the expectations of return and risk as perceived by investors. It quickly incorporates new information into the share price. Share prices, in turn, are considered as the best allocators of capital in the macro economy. The SWM model also treats its definition of risk as a universal truth. Risk is defined as the added risk that the firms shares br ing to a diversified portfolio. The total operational risk of the firm can be eliminated through portfolio diversification by the investors. Therefore, this unsystematic risk, as known as diversifiable risk, the risk of the individual security, should not be a prime concern for management unless it increases the prospect of bankruptcy. Systematic risk, as known as non-diversifiable risk, the risk of the market in general, cannot be eliminated. This reflects risk that the share price will be a function of the stock market. Corporate wealth maximization model In contrast to the SWM model, Continental European and Japanese markets are characterized by a philosophy that a corporations objective should be to maximize corporate wealth. Thus, a firm should consider shareholders on a par with other corporate interest groups, such as management, labor, the local community, suppliers, creditors, and even the government. The goal is to earn as much as possible in the long run, but to maintain enough to increase the corporate wealth for the benefit of all interest groups. This model is also called the stakeholder capitalism model. The definition of corporate wealth is much broader than just financial wealth, such as cash marketable securities, and unused credit lines. It includes the firms technical, market, and human resources. as a result, it goes beyond the wealth measured by normal financial reports to take in account the firms market position as well as the knowledge and skill of its employees in technology, manufacturing processes, marketing and administration of the enterprise. The corporate wealth maximization (CWM) model does not assume that equity markets are either efficient or inefficient. It does not really matter, as the firms financial goals are not fully shareholder-oriented. In any case, the model assumes that long-term loyal shareholders should influence corporate strategy, not the transient portfolio investor. The CWM model assumes that total risk, that is, operating and financial risk, does count. It is a specific corporate objective to generate growing earnings and dividends over the long run with as much certainty as possible, given the firms mission statement and goals. Risk is measured more by product market variability than by short term variation in earnings and share price. Comparison of Shareholder Wealth Maximization and Stakeholder Capitalism Models Shareholder Wealth Maximization Model Stakeholder Capitalism Model Based on the assumption of share price efficiency i.e. the share price in the market reflects intrinsic value and shareholders wealth No assumption on share price efficiency Firms objective is to maximize shareholders wealth by achieving the highest possible total return to equity (including both capital appreciation and dividend distribution) Firms objective is to maximize corporate wealth but return to equity is constrained by the interest of other stakeholders such as creditors, employees, governments, etc. Only systematic risk is a prime concern for management as unsystematic risk is supposed to be diversified Total risk (operating and financial risk) is considered by management Corporate strategies are directed by the board on behalf of shareholders Corporate strategies are influenced by long-term stakeholders rather than mobile portfolio investors Journal 2: Shareholder Wealth Maximization According to the maximization model, there are three types of maximization in a company, which are shareholder maximization, stakeholder-owner maximization and total stakeholder maximization. Shareholder maximization is a particular case of stakeholder-owner maximization, where only the pure owner interest as supplier of risk-capital is considered in the maximization. The stakeholder-owner has particular resources and interests which are important for the commitment of other stakeholders and thus for the economic performance of the venture as a whole and for the distribution of stakeholder benefits. Examples of such stakeholder-owners would include managers within the company who were also shareholders or suppliers who had an interest in the ownership of the company. Total stakeholder maximization includes the advantages for all groups, such as employees, local communities, shareholders, suppliers, customers, investors and partners. Among the three maximization of a company, shareholder wealth maximization plays a significant role and indeed more important than the other two, which are stakeholder-owner maximization and total stakeholder maximization. Many assume that total stakeholder maximization is the most important maximization for a company, yet in reality, such maximization is not easy to achieve. Under the new field of corporate social responsibility, many company are encourage to take the interests of all stakeholder (not only shareholder) into consideration during their decision making process. This is a process where the conflict of interest between shareholder and stakeholder eventually happen. For example, if the general public is part of the stakeholder considered under corporate social responsibility (CSR) governance, a conflict might occur when the company decide to carry out operation that would increase the profit of the company, specifically shareholder but at the mean time the operation may c ause more pollution to the environment, which is at the disadvantage of the public (the stakeholder). In short, total stakeholder maximization can be hard to achieve as a profit and earning for a group of the stakeholder (shareholder) can sometime be the disadvantage and loss of another group of stakeholder (group other than shareholder) or vice-versa. The general type of maximization that companies pursue is stakeholder-owner maximization. Maximization of shareholder value is actually a special case of stakeholder-owner maximization. Under restrictive assumptions, the shareholder maximization is larger or equal to stakeholder-owner maximization. Generally, the main objective of most companies is to maximize its value to its shareholders.   Value is represented by the market price of the companys common stocks, which is a reflection of the firms investment, financing, and dividend decisions. Otherwise, the companies should minimize the risk to shareholders for a given rate of return. In reality, companies are more concern about shareholder wealth maximization as this is what the company is portraying to the public. Take an example, if a company focus more on its stakeholder-owner maximization rather than the shareholder wealth maximization, the shareholder (including general public who own an amount of the stock of the company) m ay gain less or no profit and in some cases even suffer a loss. In this situation, it can bring a negative influence to the perspective of others towards the company which will then lower the value of the company and in the long run, curbs the development of the company. In conclusion, shareholder maximization is more important than the others. This is because shareholders are solely the holder that finance a company or provide finance for a company development. However, stakeholder-owner maximization too must be taken into consideration as they may be the human resources or the resources that mainly contribute to the performance of a company. Journal 3: Is Shareholder Wealth Maximization immoral? Shareholder Wealth Maximization A company that implements shareholder wealth maximization indicates that its goal of management is strive to maximize the return in term of capital gain and dividend paid to its shareholders. The ultimate objective of all activity within the firm is the maximization of shareholder wealth. However, financial economists should be increasingly aware of growing dissent from, or at least equivocation on, that standard finance definition of corporate objectives. The idea in shareholder wealth maximization model is that shareholders are the group that take the greatest risks and thus deserves special treatment is a fiction. In shareholder wealth maximization model, managers make decision on the basis of stock price maximization. The first myth is that making decisions on the basis of stock price maximization is amoral, that is morally value neutral. The second myth is one commonly held by business ethicists, namely, that decisions premised on shareholder wealth maximization are strictly immoral. The myth that making decision on the basis of stock price maximization is morally value neutral held by financial economists because belief in it can exempt them from any moral self-examination. Shareholder wealth maximization serves as a conduit of ethics rather than a net determinant of ethical behaviour. Besides, every firm strive to pursue shareholder wealth maximization leads to maximum aggregate economic benefit, they think that its not just benefit to the shareholder but also the society. This will come about as scarce resources are directed to their most productive use by businesses competing to create wealth. The implication of such a defense is that shareholder wealth maximization is morally neutral. In addition, a manager acting in accordance with shareholder wealth maximization is not exercising any particular moral judgment. For example, the manager makes decision that act in the interests of whoever has the greatest economic influence on the companys stock price. On the other hand, the business ethics literature clearly rejects shareholder wealth maximization as an ultimate justification for decisions in business, and they apparently proffer some more ethereal, less material ultimate justification as an alternative. Besides, as a justification for behavior, shareholder wealth maximization is rarely sanctioned by business ethicists because this model just emphasis on the interests of shareholders. This model focuses on the equity market value which is revealed in the companys stock price. A manager pursuing shareholder wealth maximization is concerned with anything that affects the company value. In fact, stock price is increasingly being determined by a series of intangible factors such as employee relations, credit quality, environment sensitivity, product reliability, cultural sensitivity and whatever society values. A management group that is insensitive to the needs and concerns of stakeholders will not flourish financially and, of course, a company that does not flourish financially will not be able to help stakeholders. So, shareholder wealth maximization is not morally neutral and not simply immoral. It neither favors strictly material objectives, nor does it unfairly favour stockholder over other stakeholders. In accepting shareholder wealth maximization as the objectives, business professional should not abrogate all moral common sense when making any decisions. Only through sound moral judgment on the part of individual managers can the organizational premise of shareholder wealth maximization be morally justified. Journal 4: Globalizing Asia: Towards a New Development Paradigm Journal 5: The U.S. Capitalism Model Has Failed Stakeholder Capitalism Model Stakeholder capitalism model says that company should make decisions by taking into account the interests of all the stakeholders in the firm. Stakeholders include all individuals or groups who can significantly affect the welfare of the firm in the aspects of not only the financial claimants, but also employees, management, customers, local community, supply chain members, local or national government and creditors. One of the important variables in this model is considering all stakeholders interest as they are people who support and sustain the company. In the stakeholder capitalism model, it is argued that firms should pay attention to all their supporters that can affect the firm. Managers and boards of directors of company have vital roles on making decisions that suit multiple competing and inconsistent constituent interests. However, there are different demands and interests from stakeholders. Customers want low prices, high quality, expensive service and so on. Employees want high wages, high quality working conditions, and fringe benefits including vacations, medical benefits, pensions and the rest. Suppliers of capital or known as shareholders want low risk and high returns. Communities want high charitable contributions, social expenditures by firms to benefit the community at large such as build hospital, donation, stable employment provided, increased investment, and so on. In making these critical decisions, company must specify how to make the tradeoffs between these often conflicting and inconsistent demands from vario us stakeholders. Many managers and directors of organizations still embrace stakeholder capitalism theory even will be failed at last if they are competing with firms that are behaving so as to maximize value. The theory allows managers and directors to manage company resources in the way they like because the management of the resources in stakeholder capitalism model is inexplicable. Therefore, this allows self-interested managers to pursue their own interests at the expense of society and the firms financial claimants. It may permit managers and directors to invest in their favourite projects that diminish firm value. As a result, agency cost increases because management of company does not act in shareholders interest. Management is given free authority to do almost whatever they want to. So, they may not follow or implement what shareholders require them to do. The other variable is free power. Managers are empowered to exercise their own preferences in spending the firms resource. If the manage ment uses the authority given wisely, company will sustain growth and vice versa. I would prefer stakeholder capitalism model because not only owners, investors, and managers able to share profits but also employees, suppliers and other individuals or groups that related to firm. In stakeholder capitalism model, employees are involved in management decisions and profit distribution. The benefit of the stakeholder capitalism model is cooperative relationship between employees and management that allows steady productivity for sustainability of the firms. If there is few goals such as maximize profits, market share, growth in profits, and others, this will make management has no idea what to achieve. The management cannot focus on a single goal thus makes the firm inefficient. As to solve this, firm can specify the tradeoffs among different groups of stakeholders. Effects of the decisions no matter good or bad that are affecting firm are listed out. For example, cash flow, operating and financial risk which are the main concerns of every corporation. Another variable is single goal. Single goal set allows company to concentrate on accomplishing single purpose as to satisfy stakeholders interest and it requires a deep knowledge on choosing the single goal to achieve.