Saturday, August 31, 2019

Censorship on Huckleberry Finn, Argument and Counterargument Essay

Time and time again art has been criticized for being too vulgar and expressive, Mark Twain was one of these individuals who participated in art, he was raised in the generation where slavery was common and racial slurs were frequently used. So to criticized and censor his work for writing what he grew up knowing would be like punishing Huck Finn for stealing things from others when he was told it was borrowing all his life by his pa â€Å"Pap always said it warn’t no harm to borrow things if you was meaning to pay them back some time; but the widow said it warn’t anything but a soft name for stealing, and no decent body would do it† (Chp. 12 Pg, 49). I strongly disagree with the fact that people want to ‘update and improve’ the classic â€Å"Adventures of Huckleberry Finn† because it uses a term that is found offensive frequently in todays generation. My problem with this posse that wants to change the wording of the book is that, their bigge st concern to why they want to change the word â€Å"nigger† to â€Å"slave† is that they’re doing for the children, trying to make it more comfortable for them to read and protecting the youth from frowned upon terms. If this is their concern then why are they singling out books and classics from decades ago, why not focus on the books being published now with the terms â€Å"whore† â€Å"slut† or â€Å"trailer trash† in it? To me those are equally offensive terms. John Foley once said that he thinks â€Å"To Kill a Mockingbird† Harper Lee’s classic about racial inequality in the Deep South, and John Steinbeck’s â€Å"Of Mice and Men†(Source A) should be removed from the curriculum for similar reasons† all because they show the reader the time gap between the setting of the writing and the present of today even though in the beginning of all books they tell you what time frame the story is held in â€Å"SC ENE: The Mississippi Valley; TIME: Forty to Fifty Years Ago† (Page 0). Now I can see why some might want these books (Huck Finn, Of Mice and Men, and To Kill a Mockingbird) removed from curriculum, yes I do believe that Twain used the term â€Å"nigger† a few times to many, â€Å"the N-word appears 219 times in Huck Finn† (Source C). Children or even young adults should not be exposed to the vulgar terms and racial slurs that were used in the past. Isn’t the whole point of evolution is to change over time? What good comes from exposing our youth to the past that we all know America is not fond of? Don’t we want our youth to know that these terms are not acceptable in today’s society or the future? When these books make it sound like it was just a little friendly nickname. This is why I feel like students and parents should be given the choice as to whether they want them to read books such as these. We do it for movies at the beginning of every school year, why not do it with books also?

Friday, August 30, 2019

International accounting standard IAS Essay

We say Impairment has taken place when an asset’s carrying amount exceeds its recoverable amount. Carrying amount is the amount at which an asset is recognized in the balance sheet after deducting accumulated depreciation and accumulated impairment loss. And recoverable amount is the higher of an asset’s fair value less costs to sell (sometimes called net selling price) & its value in use. Also the fair value is the amount obtainable from the sale of an asset in a bargained trasction between knowledgeable; willing party’s . on the other hand value in use is the discounted present of estimated future cash flows expected to arise from the continuing use of an asset and from its disposal at the end of its useful life. Impairment of goodwill involves two steps: 1) Screening step 2) Computation step Impairment is calculated at a reporting unit level. Impairment is calculated when the carrying Amount of the goodwill for a reporting unit exceeds its implied fair value. A reporting unit is an operating segment, or one level below an operating segment. The Goodwill for one reporting unit may be impaired, while the goodwill for other reporting units may or may not be impaired Calculation of goodwill for impairment involves two major steps: Step 1: Identify impairment by comparing the fair value of each reporting unit with its carrying amount including goodwill. Assign assets acquired and liabilities assumed to the various reporting units. Assign goodwill to the reporting units. Determine the fair values of the reporting units and of the assets and liabilities of those reporting units. If the fair value of a reporting unit is less than its carrying amount, there is potential goodwill impairment. The impairment is assumed to be due to the reporting unit’ goodwill since any impairment in the other assets of the reporting unit will already have been determined and adjusted for.. If the fair value of a reporting unit is more than its carrying amount, there is no impairment goodwill and Step 2 can be avoided. But where the result is vice versa step two can not be avoided a since goodwill impairment as taken place. Step 2: measuring the value for both tangible and intangible assets (impairment of goodwill) Step 2 is more complex than step1 because it requires that the fair market values of each of the identified tangible and intangible assets and liabilities of a reporting unit be estimated first before calculation takes place Value of Reporting Unit = Value of Identified Assets + Value of Goodwill = (Value of Reporting Unit- Value of Liabilities) = (Value of Identified Assets-Value of Liabilities) + Value of Goodwill = Fair Market Value of Equity = Fair Market Value of Net Assets + Fair Market Value of Implied Goodwill Summary and Conclusions Financial Accounting Standard 142 requires that goodwill emerging from acquisitions be tested to determine whether it has impaired or not because FAS 142 requires firms to effectively undertake a market test to see if Goodwill has been impaired. This test is completed in two steps as mentioned above. Reference: 1. International accounting standard IAS 36 2. Financial Accounting Standard (FAS) 142.

Thursday, August 29, 2019

My Sisters Keeper Essay

In the novel My Sisters Keeper, the author Jodi Picoult brings up the issues of moral ethics and family dynamics. She explores the balance between saving a child’s life and putting another child in danger. Although I think the main theme in the novel would be that you should always live in the present instead of future, and live life it to the fullest. My Sisters Keeper is a moving story about Ana who files a law suit over the rights of her body. Ana was born to provide blood, bone marrow and all sorts of body parts for her sister Kate who has a serious case of Leukaemia. While this book is serious and somewhat negative, I found a positive message between the lines. I think it is about not letting life pass you by and seizing every single day. This is the case when Kate is sick and Sara (the girls’ mother) is so preoccupied with Kate’s medical business that she forgets to just enjoy the time with her family while she still can. The family spends so much time concentrating on Kate’s death and what will happen when she does pass that they miss the time she has left living. Sara also does not realise that she also forgets to spend time with her other children when she is too busy with Kate and her treatments, and makes her eldest, Jese feel left out and abandoned. I believe that the theme of living life in the present and living it to the fullest is very relevant to today’s society, as everyone seems so busy and preoccupied with plans for the future. They are forgetting to live in the moment.

Wednesday, August 28, 2019

Influences of EU Laws on UK Laws Essay Example | Topics and Well Written Essays - 2750 words

Influences of EU Laws on UK Laws - Essay Example The enactment of the Equality Act 2010, which brings together UK’s anti-discrimination laws, was particularly influenced by EU law. This paper critically examines the influences of the EU law on the UK’s anti-discrimination laws. Article 141 of the Treaty of Rome, providing for equal pay for employees undertaking a like job has also influenced the English domestic law1. EU Directives and the EU Treaty continue to play a pivotal role in the implementation of the Equality Act 2010. The Equality Act 2010 consists of Equal Pay Act 1970, the Sex Discrimination Act 1975, the Race Relations Act 1976, and the Disability Discrimination Act 19952. The statute consists of other statutory structures outlawing discrimination in workplaces on the basis of religion or belief, age and sexual orientation. The recent enactment of the Act was influenced by the EU Directives on Equal Treatment. The Act requires fair treatment in employment, whether it is a public or private organization irrespective of age, physical ability, gender, marital status, ethnicity, sex, and sexual orientation . The legislation also envisages special privileges for expectant women and mothers, since their condition is classified as a protected characteristic. Moreover, the law requires employers and organizations that provide services to effect adequate adjustments at their premises to allow the disabled persons an unfettered access and equal benefits as the not-disabled4. Despite its overarching role in ensuring equality in the UK as captured in the EU law, the Act permits the barring of transsexuals from occupations that require gender-specific qualities for purposes of realizing a valid objective. Equal Pay Act 1970 Equal Pay Act was the first anti-discrimination law in Great Britain. Whereas, equal pay is an important part of EU and local anti-discrimination law, its enactment was not influenc ed by the EU5. The debate as whether equal pay across gender constitutes discrimination may be the result of a lack of a clear pattern by the international influences on this particular issue, and partly due to the joint codification of equal pay and sex discrimination legislation in the English law6. Anyhow, discrimination law both at the EU level and locally has shaped equal pay legislation where ‘genuine material difference’ exists (Equal Pay Act section 1(3)) or where the employers create indirectly biased payment systems. Whereas equal pay across gender and sex discrimination laws were codified separately, unequal pay based on ethnicity and race discrimination can be effectively handled under the Race Relations Act 19767. In light of this, the Equal Pay Act 1970 could be an original body of law whose creation was informed by local concerns because at its enactment, the UK had not yet joined the European Commission (EC) membership8. The subsequent inclusion of the U K in the EC in 1973 arguably served to strengthen the implementation of the law since a similar provision is present in the Treaty of Rome of 1957. Nonetheless, the is no denying that the

Tort Law Essay Example | Topics and Well Written Essays - 2250 words

Tort Law - Essay Example The police negligently pulled Mike back to the extent of having injured himself. In general, the emphasis is on the conduct of the police. However on occasions, mental state may be irrelevant considerations. Although much emphasis is placed on the notion of force in the modern law of tort, there is a comparatively new development. Legal scholars have different notions about the significance of force in ordinary law. However, the need to prove force in order to establish liability in tort became increasingly important towards the end of the 19th century. Keep in mind that as reforms altered social attitudes, the volume of social legislation designed to improve the lives of people actually increased. Ascribing responsibility became easier with the advancement of science as did greater competence in determining causation which made it easy from a pragmatic point of view to establish force. There was a trend from selfish individualism towards greater social and civil responsibility. This trend manifested itself in legal decisions culminating in Donoghue v Stevenson1. Although Donoghue v Stevenson was principally on negligence to defective products, it had greater significance. This significance was that: negligence is a separate tort in its own rights; an action for negligence can exist whether or not there is a contract between both parties; an action for negligence will succeed if the plaintiff can prove that a duty of care is owed by the defendant to the plaintiff and that this duty of care has been breached, and that there is resultant damage which is not too remote; in order to establish the existence of a duty of care, the â€Å"neighbor principle† based on reasonable foresight must be applied. It is certain therefore, that Mike can sue the police even though there is no contract between Mike and the police; the police owe Mike, Lewis, Maria and Soraya a duty of care

Tuesday, August 27, 2019

Groups and teams Essay Example | Topics and Well Written Essays - 1000 words

Groups and teams - Essay Example All the activities were electrically related as the groups were required to design a digital invention for sale at the end of the semester. Two poorly functioning groups or teams were identified and denoted as team A and team B (Borkman). For the purpose of this assignment, the two poorly functioning groups or teams will also be denoted as team A and team B. This paper elucidates the multiple factors that caused the poor functioning of each of the two poorly functioning groups, draws a comparison between the two groups in respect to the conflict process in regard to the Tuckman’s framework or model. This paper also suggests a resolution to the conflicts and further elucidates why the resolutions will be effective. Team A It is of significance to posit that there is a range of factors that caused the poo functioning of each off the group. Team A was one of the teams involved in the project. In this group off seven members, Borkman posits that only four of the group members were unfailingly involved in the activities off the team. The other three members of the team failed to actively participate in the activities. One of the factors that caused the poor functioning of the team was leadership. Of the three constantly absent members of the group, one of them initially presumed a leadership role. This person’s name was denoted as ‘All Talk’ and was adopted by other group members. ... As illustrated by Tuckman in his model off development, a team or group ought to identify and recognize authority, as well as role and communication arrangements or organizations. In team A, all the members had divergent views and opinions on whether there were too many or too few individuals in positions of leadership. The members had also divergent opinions on whether the leaders within the team were legitimate or not. Secondly communication issues also cause the poor functioning of the team. In the forming stage, it was agreed upon that members of the group could either contribute through emails or could physically attend group meetings. Though a common discussion tool for communication was proposed and created, the members who physically attended meetings failed to update those who missed the meetings through the discussion tool. Therefore, there was poor communication within the group hence the poor functioning off the team. According to the Tuckman’s model of development , communication is vital or critical for the normal functioning of the team (Borkman). Thirdly, the poor functioning of the team was caused by the fact that some of the members of the group were isolated by the others. When the members were interviewed, it was observed that four members of the group worked hand in hand while the other three members were isolated. Therefore, the isolated individuals had divergent opinions and views regarding the project as compared to the four members who worked collectively. There are other factors that caused the poor functioning of the group. Some lf the team members were not dedicated and devoted in their work. This is attributed to the absence of three of the members hence the

Monday, August 26, 2019

Compare the way in which institutionalists and Marxists conceive of Essay

Compare the way in which institutionalists and Marxists conceive of the state and its role in the economy - Essay Example By the 1960s, there was ageneral opinion of living in a ‘mixed economy’ (also known as organised capitalism), which changed dramatically since the mid-1970s, when Neo-Liberalism came into existence thataimed atending mixed economy and bringing back market principles unimaginable inthe years just after the WWII.The emergence of Neo-Liberalism in the last few decades has changed the nature of debate on the State’s role, and the state is no longer regarded as a neutral guardian of its citizens, but as a major tool in the hands of the economically powerful social classes or as a predator (Chang, 1994). In this context, the essay will examine the Institutionalists and Marxists notions on the state and its role in the economy, two major theories on political economy that were popularduring the latter half of the twentieth century. The term ‘free market’ generally refers to economy that is free from state intervention. To analyse whether a particular market is free or not, one must review the underlying institutions thatframe the structure for obligations and rights of participants in a specific market,along with various other ‘externalities’ (Schotter, 1985). The institutions that must necessarily be analysed includeregulations(formal and informal ones) that govern the organisation and exercise of interests (regulations on lobbying, political relationshipsand incorporation);ideologiesassociated with concepts of rights and justiceprevalent in that particular society; andthe institutions that ascertainstructural changes in rights and obligations, such as processes for social or legal changes. Therefore, by defining ‘free market’ and ‘state intervention’one can also analyse whether market failure is evident and if state intervention may make the failing market more efficient. From the perspective of the

Sunday, August 25, 2019

My father is a serious person Essay Example | Topics and Well Written Essays - 750 words

My father is a serious person - Essay Example Growing up, we only saw our father during the holidays. Even then, mother had to force us to pack up; as we barely knew him, it was always awkward during the first days of the holidays. However, though there was this need to connect with him at an emotional level, the time never seemed right. My father had always been a prim proper man who always seemed too busy on the phone, talking up a client or trying to close a deal. He barely had enough to time to sit and enjoy a meal. Learning to ride a bicycle, I only rode with my uncle. I am told that my father was right there throughout the learning period. I do not remember it. When I broke my collar bone back in elementary school, all I remember was seating at the back of the car and my mother’s worried face as we drove to the hospital. I do not recall who the driver was though it was him behind the wheel. In my recollections of the past, I can barely recall interacting with my father. All are but stories I had tried to no avail to combine to form a picture. Dentist appointments, first day at school, graduation ceremonies, birthday parties – he was always there. He never missed any of them. This is no longer the case now, and we are now inseparable. Like there was never a gap in our relationship. A life threaten ing experience can really change how people relate. Twelve years ago I was taken ill with a very funny ailment. My whole body was itchy and I could not stop scratching myself against anything in site. On seeing a doctor, we discovered that my kidney had been failing and had been getting treatment for the symptoms during hospital visits. This came as a shock to the family, considering I had to be put on dialysis as soon as possible and a drastic change in dietary needs. It was thought that I needed a kidney transplant, and being on a waiting list could take years before I get a donor. Either way I was evaluated for insurance purposes and my name

Saturday, August 24, 2019

Madoffs Fraud Case Research Paper Example | Topics and Well Written Essays - 1250 words

Madoffs Fraud Case - Research Paper Example He said that he earned the capital he invested in the business from Far Rockaway as lifeguard earnings. His firm was a major contributor to the growth of Nasdaq and boasts of succeeding in creating a system where brokers who mostly had traded in the New York Stock Exchange could do more business with the Nasdaq. When news that the business executive had been defrauding the investors and that the firm was nothing but a scam went public, it became a shock for most people. The scheme was a well-organized plan by a number of people to convince the regulators, investors, and visitors in the firms’ office that trading was going on while in real since it was not. In fact, there was no trading in the company for most of its life, with Mr. DiPascali an employee, revealing that he discovered that the company was not trading at all since the late 1980s. In addition, the firm also used a program that generated numbers randomly to choose the people to award-trading orders to, which happene d in varying intervals and in different increments. In such a case, it is unlikely for the investors to face charges for being victims of injustice (Efrati, 2009). However, Efrati, (2009) explains that two of the biggest investors in the firm, who had invested and trusted the firm with billions of dollars, got involved in the case, and the prosecution dragged them individually as well as their foundations to court to face charges. Instead of winning sympathy from the prosecutors and the judge, as they faced the charge of conspiring with the managers to defrauding other investors in the company. In a Manhattan court, Peter Madoff confessed among other crimes that he had faked documents and lied to regulators, which helped his elder brother Bernard Madoff to perpetuate the biggest of all investment frauds. The multi-billion dollar fraud scheme, known as the Ponzi scheme, defrauded investors of their invested capital during the collapse of Benard L. Madoff Investment Securities LLC inv estment firm owned by Bernard Madoff. According to his confession in the court, Peter said that the investment sham caught him in shock when his brother told him the truth in the December of 2008 but said that he helped to divert the firm’s remaining funds to friends and family of the Madoffs. The employees forged documents that created a wrong impression of the company as trading and lured them into getting into the contracts and later lost their money. During his confession, Peter apologized for his irresponsible behavior, which is nothing, compared to the number of losses that investors suffered under his watch. For Peter, pleading guilty for his actions did not let him walk free after the judge sentenced him to 10 years imprisonment (Bray & Lauricella, 2009). The sentence also requires him to forfeit all his personal assets that include a Ferrari and more than 10 million dollars in cash. The sentence did not spare his wife and daughter, where he is required to forfeit the ir assets too. According to Peter, Bernard always acted as the boss, without giving his younger brother a chance for dialog. Despite this, he had an option of choosing not to honor his brother’s commands and do the right thing. He contributed to losses estimated at 17 billion dollars, money owned by the company on behalf of the investors, of which he promised to recover 11 billion.  

Friday, August 23, 2019

Position paper for 2020 tourism Strategy Essay Example | Topics and Well Written Essays - 2000 words

Position paper for 2020 tourism Strategy - Essay Example The ACT Government, under the auspices of VisitCanberra, prepared the 2020 Tourism Strategy. The strategy seeks to provide a framework within which the full potential of the tourism industry in Canberra can be realized (The ACT Government, 2013). Its goal is to increase the revenue from overnight visitors to Canberra spend from the current $1.58 billion to $2.5 billion by the year 2020. This goal is consistent with the National Tourism Strategy 2020 that seeks to double the amount of money overnight visitors in the whole of Australia spend from the 2009 figure of $70 billion to $140 billion by the year 2020. The basis of the 2020 Tourism Strategy was a thorough market research of the industry (The ACT Government, 2013). The research project profiled the current tourist products and experiences as well as potential for new ones. In the first short run, the strategy will seek to realize its goal through a raft of measures. The first measure is to invest in the marketing of tourist destinations in the Canberra region for both local and international visitors. The second measure is to realize direct international flights and to expand the local aviation industry. The third is to enhance the technological capacity of the industry. The fourth is to promote sectors that complement the tourism industry. These include transportation and commerce. The fifth measure is to create an enabling business environment by eliminating barriers to entry and keeping statutory requirements to a minimum. Finally, the Government shall invest in new tourist products development. The Government recognizes that the above actions cannot be realized single-handedly; they will require the cooperation and coordination of all stakeholders (The ACT Government, 2013). These include tourism enterprises, regulatory bodies and all the attractions that the Commonwealth funds. Another broad goal if the strategy is to promote the

Thursday, August 22, 2019

Night and Singapore Essay Example for Free

Night and Singapore Essay The usual fays are over for me. No school, no study just play. But the next day was a dream going to become true. WE WERE GOING TO SINGAPORE just the next day. I got up early morning. We packed the things and went to the airport. In the airport and saw may types of people. We boarded our flight and went for Singapore. After reaching the airport we went to hotel exhausted and hungry when we reached we ate and slept had booked our flight to Mumbai international airport. I liked Singapore because the people are nice and the food is very nice and everything is green and very clean and they keep the streets clean and it’s safe to walk down them not like in my home when I lived in Hollywood where the streets have a lot of people who get sick and make a mess from either their mouths or they make BM’s and just leave it on the streets for everyone to walk by. Singapore is much cleaner than Hollywood. Here are some things I learned about Singapore: * Singapore has the highest per capita rate of millionaires in the world (approx 10%) * Singapore was originally a small fishing post until about 200 years ago, when Stanford Raffles and the British East India realized it was a very good place for a port town * Singapore means â€Å"Lion town† because an old Sultan said that he once saw a Lion there but since Lions don’t live anywhere Tigers live, everyone agrees that he either dreamed it or was a-lion about it! (That was a pun.) * In Singapore, you can go to the zoo at night on a â€Å"Night Safari† and see all the nocturnal animals, and it makes a lot of sense because normally when I go to the zoo in America all the animals are exhausted because it is hot and they always tell you â€Å"most of these animals don’t have sweat glands that’s why they play in the mud† which seems mean to keep them out all the time in the hot sun so kids can poke sticks at them and bang on the glass, but in Singapore, it is nighttime so the animals are all eating and moving around and this one animal called a â€Å"Tapir† came right up to the tram and I think it was because he liked how I smelled. All in all I highly recommend a trip to Singapore because it is awesome!!

Wednesday, August 21, 2019

Assessments for Early Childhood Programs Essay Example for Free

Assessments for Early Childhood Programs Essay William J. Wilson once said, â€Å"The person who scored well on an SAT will not necessarily be the best doctor or the best lawyer or the best businessman. These tests do not measure character, leadership, creativity, or perseverance†. Why do we test students? What is the purpose of assessments? Do these tests and assessments benefit the students? These are questions educators have been asking for years. It is impossible for one to determine a child’s academic abilities based solely on a test. Yet there still needs to be some form of assessments performed in order to evaluate the academic level each student has reached. But how much assessing is too much? How heavily do educators rely on the results of these assessments? The main issues, when it comes to assessing early childhood students, are the consequences of the assessment results and how they affect the child. According to The National Academies of Sciences, there are two key principles that support the success of assessment. The first is that the purpose of an assessment should be a guide for assessment decisions. The purpose for any assessment must be determined and clearly communicated to all stake- holders before the assessment is designed or implemented. Most important, assessment designed for programs should not be used to assess individual children. Because different purposes require different kinds of assessments, the purpose should drive assessment design and implementation decisions† (The National Academies of Sciences, 2008). The second principle is that any assessment performed should be completed in a â€Å"coherent system of health, educational, and family support services that promote optimal development for all children. Assessment should be an integral part of a coherent system of early childhood care and education that includes a range of services and resources† (The National Academies of Sciences, 2008). These two principles explain the main purpose of why assessing is important and how assessments should be conducted. After having an understanding of the purpose of assessments, why is it so important to begin evaluations at such a young age? What is the purpose of evaluating infants and toddlers? Author Sue Wortham explains evaluating toddlers and infants determine whether the child is developing normally or if they show any signs of delay and need assistance. All in all, the main purpose of assessment is to benefit the child (Wortham, p. 32). The NAEYC believes that during a child’s early years, evaluating and assessing their development should be the primary focus. They want to study how young children grown and learn. All the â€Å"results of assessment are used to inform the planning and implementation of experiences, to communicate with the child’s family, and to evaluate and improve teachers’ and program’s effectiveness† (Wortham, p. 4). Teachers also use assessment results to in order to plan their curriculum accordingly. So exactly do assessments search for? Assessments look not only for what the child is already capable of doing independently but also what they can do with the help of a teacher or another student (Wortham, p. 35). So how are they assessed exactly? There are many different assessments given to children across the U. S. everyday. These may be administered orally or as written works, such as questionnaires, surveys, or tests. These may include: standardized tests, observations, checklists, rating scales, rubrics, interviews, or portfolios. Each of these serve a different purpose in order to give different pieces of information needed to evaluate the child in question. Standardized tests, though many disagree with them, are meant to measure individual characteristics. Observations, on the other hand, are one of the most effective ways to measure students’ characteristics. When children are young, it can be hard at times to determine if there are any developmental delays (Wortham, p. 39). Developmental checklists, or scopes, are mainly used at all levels of education. These checklists are lists of the learning objectives that have been established by the teacher in order to keep track of their learning and development. Items on a checklist are rated with a negative or positive response from the teacher. Rating scales, unlike checklists, provide measurement on a continuum and are used when a collection of criteria is needed to attain specific information. Another form of assessment teachers commonly use is Rubrics. Rubrics were created to â€Å"evaluate authentic and performance assessments† (Wortham, p. 41). Rubrics, like rating scales, have a range of criteria that must be met. However, unlike rating scales, rubrics can be used to not only determine the quality of performance required, but are also used to assign grades. Rubrics make it easy for students to understand what is expected and is makes it easier for teachers to grade assignments. The final types of assessments that are most frequently used are performance and portfolio assessments. These evaluations might be administered through interviews given directly by the teacher in order to understand the child’s thinking and understanding (Wortham, p. 41). Teachers may present these evaluations through directed assignments, activities, or games. The performance results are typically kept in a student or teacher portfolio. These portfolios contain samples of student’s work and are used as a sort of progress report card. Keeping detailed reports of student’s work in the portfolios help teachers keep track of their student’s progress and help determine which areas of learning are lacking attention (Wortham, p. 41). Overall, according to Wortham, these tests, whether administered to an individual child or a group of students, are meant to determine a student’s â€Å"abilities, achievements, aptitudes, interests, attitudes, values, and personality characteristics† (Wortham, p. 9). Now having an understanding of the different types of assessments used to evaluate students and the purpose, let us turn to the negative and positive effects of these evaluations. It is crucial for educators to administer tests and evaluations carefully, because it they are poorly articulated, it can lead to decisions that are unfair or unclear, and they may do harm to programs, teachers, and, most importantly, children (Snow, C. E. Van Hemel, S. B. , p. 341-342). Evaluations and assessments are not meant to punish a child, and therefore, should never be overseen lightly. It is important that the information gathered outweighs any negative effects. Editors of Early Childhood Assessment: Why, What, and How, Catherine E. Snow and Susan B. Van Hemel, explain that â€Å"although the same measure may be used for more than one purpose, prior consideration of all potential purposes is essential, as is careful analysis of the actual content of the assessment instrument. Direct examination of the assessment items is important because the title of a measure does not always reflect the content† (Snow, C. E. Van Hemel, S. B. , p. 346). So what are some negative effects? Negative consequences of assessment findings may include program de-funding, closing a center, firing a teacher, mislabeling a child, or a reduction in program resources (The National Academies of Sciences, 2008). These effects, such as mislabeling a student, can follow students for the rest of their education career. Once a child is entered into a program, it can be difficult at time for teachers to look past that label. Children all develop at different his or her own pace. No one child will develop and learn the same way as another child. They all grow up and develop at different stages. Yet educational theorists have been able to observed and gather enough information to conclude that children, if divided in age groups, do tend to follow a certain development pattern. The problem is, it is hard to determine which children are the outliers in these results without carefully administering proper assessments. Assessments are not used to necessarily judge student or punish them. Their main purpose is to help students, teachers, and parents. So what are some positive effects of assessment and evaluations? Students that benefit from assessments and evaluations are those that are properly observed and tested. Teachers also benefit from the use of assessments because it helps them create an appropriate curriculum for their students. Evaluating children at a young age can have a positive effect if a delay or disability is in fact found, and because it was caught early, the student has a better chance of exceeding their potential in school. Catching developmental delays or disabilities at a young age is the same as finding cancer at an early stage in the sense that the earlier the cancer is found; the chances of survival are greater. Assessment results are used to plan for instruction, evaluate instructional programs, and report student progress. These are all positive results of assessments. Without the results of assessments and test, how can educators determine what to teach their students? Evaluations, if planned and administered properly, can be more beneficial than harmful. Unfortunately, not all teachers evaluate children fairly or appropriately. So it is important for parents to stay involved in their children’s education in the event that the results of an evaluation do not match the potential of their child. Parents should know the norms and abnormalities of their child’s behavior. Therefore, it is always beneficial to the child for parents and teachers to communicate. This way if a child is acting up in class, and the teacher notifies the parent, the parent may confirm any fears right away by simply saying, â€Å"that isn’t like him† or â€Å"he’s just nervous†. Avoiding drastic measures and not jumping to conclusions is the proper way to evaluate a child fairly. What are the predicted long-term benefits to Early Childhood Assessments? Are assessments and student evaluations accurate? Should teachers be required to assess and evaluate students as much as they already do? These are just a few of the questions that plagued educators for years. Too much assessing has placed so much pressure on students and teachers, inevitably taking away a child’s desire to learn for the sake of learning. The purpose of assessments and evaluations is a great concept, but placing too much pressure and emphasis on the test results is tainting the original purpose of learning.

Evaluation Of The One Sony Strategy

Evaluation Of The One Sony Strategy The following report contains about the Sony Corporations new strategy implementation called One Sony which is a new structure for the top management of the company where the company is making changes to drive revitalisation and growth. The report further discuss about the extent to which the strategy fits the Sony Corporations current capabilities to face external challenges and achieve the objectives. In addition to that, the suitability and the feasibility of the strategic decisions arising from the implementation of this strategy are also discussed. In order to do the above the report is guided through three stages which is analysis of strategic position internally and externally which is the research content, strategic choices and decisions by applying relevant theories and implementation of the strategy. Finally considering all of the above a critical opinion or a perspective will be made with relevant justifications and in respect to the Sony Corporation. Analysis of strategic position In order to identify the external environment in which Sony operates a PEST analysis could be done which will be as follows; When the political aspects are looked in to it is evident that they are changing at all times. The government has the power as stated in Henry (2008) to impact the operations of Sony through changes in policies and regulations. On the other hand better sales could be achieved by Sony due to the reduction in liquidity crisis and recession. But by doing so the number of competitors Sony has will increase significantly. In addition to that, the government can create laws which will have an impact on policies in the global context. When economy is considered it is currently not is a good position where it has faced recession recently and has a negative economic growth. Due to this there can be significant changes in the exchange rates and interest rates. Sony should make sure that they are aware of any government restrictions on trading and exchange rates as Sony is an international company where these restrictions would affect Sony negatively. As for the social factors Sony is expected to perform well. That is because of the reputation they have obtained through their quality products and services as per William and Green (1997). Sony should make sure that they develop revolutionary devices at regular intervals to retain and hold on the customer and may be attract new customers. It is also important to understand the perspectives of the public where they can introduce products which match the expectations of their customers. Towards technological aspect Sony Corporation should put more attention as they work in that industry with high technological usage. The productivity level of the company depends on the level of technology used. Therefore Sony should make sure that they use upgraded technology to have high level of productivity and to be efficient. Use of technology is also important to Sony Corporation to research and develop new products which matches the expectations and choices of the customers. Next would be to identify the internal environmental factors which should be considered when developing a strategy for Sony according to Drejer (2002). Prahalad and Hamel core competencies model and Michael Porters value chain could be used to do the analysis as follows; Sony has created a reputation and a brand name which has a high recognition in the technological industry. But at present they are having a hard time which is why they are coming up with a new strategy call Sony One. The strategies implemented by Sony previously are outside in as well as inside out. Out of these one was to develop mini-series of their products in order to grow their core competencies where they require high level of technology, human resources such as engineers and marketers. In addition to that the customer needs should also be looked in to through market research for the success of a strategy. Sony had required all the resources which allowed them to be success in almost all the strategies they implemented. But the uniqueness of these resources or competencies as stated in Enders (2004) is questionable. Sony also had an aim of manufacturing customer oriented products which they believed will help the company to increase the competitive advantage and will also create more value adding activities. Sony also implemented a strategy of diversification which is to add value to the processes of the organisation. Also taking risks and learning from mistakes is one of the unique factors done by Sony which is also an advantage. After both the internal and external analysis is done the internal strengths and weaknesses as well as the external threats and opportunities need to be identified for the SWOT analysis to be completed. The strengths as recognised above are the fact that Sony is trying out unique strategies as per Hitt et al. (2010) such as miniature products as they are available to the required technology and engineering. Sony being diversified is also unique to the organisation which creates core competencies. In addition to that, taking risks when introducing new products and making mistakes, moreover learning from these mistakes without breaking down the operations is another major strength which is unique only to the Sony Corporation. As for the weaknesses it would be a fact that the resources such as technological staff, engineers and marketers are not being unique to Sony in the todays technological industry. Sony not being able to differentiate the level of skills required within the organisation is a weakness which would affect the company in the years to come. One reason would be the technology being outdate very quickly at present and the industry being very competitive. The opportunities that are arising from the industry would be corporate political activities with the government where Sony operates which will give the support of the government policies in favour of the operations that is being carried out. In addition to that, identification of new customer groups and new customer expectations through the customer oriented strategy as per Beloff et al. (2005) and delivering products which matches those choices would allow Sony to exploit opportunities arising from the external environment. Lastly the threats that are arising from the external environment could be identified. The fact that the industry in which Sony is operating is being innovative and fast moving is making the company to adapt to the situations and move forward with a lesser time. Companies like Apple and Samsung is creating a rivalry where technology is becoming outdated almost every day. Moreover, the rival companies are introducing new products to market with lesser lead time which increase the threat arising towards Sony. Strategic choices and decisions The development of strategic choices is a critical stage for Sony where they need identify their capabilities, resources and requirements as per Johns and Saks (2004). There are three main focus areas under this stage. Deciding how Sony could achieve competitive advantage Identifying possible directions through which Sony would enter a market and the types of products and market it should enter or leave Deciding in methods of growth with in the market Deciding on the basis of competitive advantage When deciding how Sony Corporation could compete in a market or create a basis for the customers to want to buy their products the following options are visible as stated in Daft et al. (2010). These are also known as Michael Porters generic strategies. Be a low cost provider of goods and services or in other words providing products at a budget price. This is not suitable for Sony as they require high research and development cost to come up with new products where selling at a lower price would be difficult. Being a high value adding market player or a differentiator is another option. According to this type of a choice Sony can build in a higher level of value in the products or devices they offer by the company. Following a focused strategy is another option. A choice made by Sony Corporation to provide a device targeting a smaller number of customers, such as coming up with a special edition of an existing product. Strategic Direction This is where the Sony Corporation decides how it would grow in to the future entering different markets and using its strengths. When deciding on strategic directions available for the organisation the Ansoff matrix can be used according to Ewy (2009). The matrix identifies growth possibilities for Sony based on the dimensions of markets and products. https://blogger.googleusercontent.com/img/b/R29vZ2xl/AVvXsEgopLpJouvBwjzSqu4w6vBJKJWnGw4M53N3B_ecoomXr_hxhXU28myXFiMtDJ1PpUBxRbo3mKZYfa36qd8P3PbcmHS77AuOFaSo1d8_jUObl-HfoFtXx9TBj9Rvr08w9jajlfT5aGy_6sg/s320/Ansoff+Matrix.jpg Figure 1.1: Ansoff Matrix [Source:http://www.marketing-equity.com/2011/09/few-examples-of-ansoff-matrix.html ] Market Penetration: This is where the company would grow internally into existing markets by aggressively promoting its existing devices and products with in them. Sony could promote their Sony Xperia with in the UK market. Product development: This is where the company would develop new products for the existing markets and generates more sales from them. Sony could develop new models of Sony Xperia to sell in the UK market. Market development: This is where the company would develop new markets for its existing products such as Sony Xperia being launched in China Diversification: This is where the company would enter a completely new market according to Freeman (2010) with a completely new product or a device. Sony entering in to the Laptop market where it provided Sony Vaio would be diversification. Strategic methods With the selected growth directions the Sony Corporation can use many different methods in order to grow and achieve their goals. Internal development: This is where Sony growing through its own resources where the case of Sony Vaio appeared according to Mahadevan (2009) Takeovers or acquisitions: The Sony Corporation might buy over another company and use its products and technologies for growth. Sony taking over Colombia pictures is a perfect example Strategic alliances: Sony Corporation would grow by linking and partnering with other organisations. Franchises also fall under this category. Sony forming an alliance with Olympus would be an example here Out of the choices that were generated the organisation should pick one or more options based on the SAF model which is the strategic decision making Suitability: Selected growth directions and methods should match with the Sony Corporations brand image and reputation Acceptable: Selected options should be approved by the shareholders and be in line with their thinking and expectations Feasibility: Strategic choices that were selected should be financially viable for the company. As the above stated methods the strategic options will be generated according to Vos (2004) and chosen in order to implement the most correct strategic option or options. Implementation Putting strategy in to action Before a strategy is being implemented Sony should understand the culture of the organisation, the management as well as the leadership styles. McKinsey 7S Framework 7S model Figure 1.2: Mckinsey 7S model [Source: http://b4tea.com/information/mckinsey-7s-framework-7s-model/] The 7S model developed by the Mckinsey consulting group identifies seven different elements that lie at the heart of a culture of the organisation. Hard Factors These refers to non-human type of elements as stated in Egan (2007) which has an impact on culture Strategy: The direction followed by Sony in order to achieve the goals and targets of the business as explained above Structure: The organisations structure or how the lines on authority are arranged with in the company, how decisions are made and whether the communication channels between top and bottom levels are long or short will affect the culture Systems: The level of control that exists within the company such as the budgeting and management accounting controls as well as controls on processes will have an impact on the culture of Sony Soft Factors These are more of human related factors that affect the culture of Sony Skills: The talent and abilities of people and whether all staff members have equal levels of skill as per Cole (2001) or a few members have a high level of skill on whom the others will depend decides on the nature of the culture Staff: The nature of the attitude of staff members as well as their individual cultures will have an impact in the overall organisation Style: The style of management by the superiors will have a direct impact on the culture of the organisation. Leadership style Sonys co-founder Akio Morita was following was based upon the values, imaginations and beliefs of his which is now being changed by the new strategy One Sony Share Values: Organisations will have a common set of values and beliefs which are followed by all the employees and is given top priority when Sony does it operations After considering the above factors and understanding them the implementation of the strategy will be successful. In addition to that, understanding of the leadership style with in Sony is also important. For that, the Likert four systems of management which identifies four leadership styles as stated in Harrison and John (2009) ranging from the extremes of being job centred and employee centred can be used. figure Figure 1.3: Likert four systems of management [Source: https://www.ncjrs.gov/policing/corr177.htm] Exploitative Authoritative: This is where as stated in Waters (2006) the leaders are highly exploiting the lower individuals and there is a very high distance between higher level and lower level individuals Benevolent or Somewhat Authoritative: There would be still a high distance between the higher level and the lower level management, but the leaders will be believe in that they are acting in the interest of the rest of the individuals with in the Sony Corporation Consultative: This is a more employee centred approach where by the leader would be listening to others but will not always follow their comment or ideas Participative: This is where the leader will get the others involved as well and the final decision that is made is one that everyone agrees with and no single handily made by the leader. This is the most extreme employee centred leadership approach according to Daft and Marcic (2010) Once strategies have been planned and choices made also understanding the culture and leadership styles it needs to be implemented through a series of programs. Tactical programs: Programs run at a middle management level such as training programs Operational programs: This refers to the daily activities happening with in an organisation with a focus of realising the company strategy The Sony Corporation should now select one out of the two above to implement the strategy of One Sony by considering the culture of the organisation and the management styles. Review and control is also required as stated in Grunig and Gaggl (2011) where the organisation would check if the strategic path implemented is correct one by looking into following aspects; Is the strategy allowing the achievement of the objectives stated initially Since the consumer electronics environment keeps changing dynamically and strategy implementation is based on an environmental scan done earlier it should be checked if current strategies match the environment Conclusion The above report contains about the Sony Corporations new strategy implementation called One Sony which is a new structure for the top management of the company where the company is making changes to drive revitalisation and growth. The report further contains about the extent to which the strategy fits the Sony Corporations current capabilities to face external challenges and achieve the objectives through PEST, core competencies and SWOT analysis. In addition to that, the suitability and the feasibility of the strategic decisions arising from the implementation of this strategy are also included with reference to the SAF model. The report is guided through three stages which is analysis of strategic position internally and externally which is the research content, strategic choices and decisions by applying relevant theories and implementation of the strategy where theoretical as well as practical aspects has been applied. Finally considering all of the above it is clear that the strategy implementation of One Sony is dependent on the above stated factors and because of that the implementation is successful.

Tuesday, August 20, 2019

Star Wars :: essays research papers

People are always looking for a good way to escape the pangs of work. Since work is so important in society today that it is almost impossible to avoid doing work without having to pay the price in the future. The perfect escape would be one that alleviates the strain of work yet does not incur any future expenses. Many people have found science fiction novels and movies to be great escape mechanisms. Science fiction is such a perfect escape for many people because it allows its audience to vicariously experience the joy of future technology – technology that promises less work and much more play, at no cost.An escape must have three things in order to be considered a true escape. First, an escape must permanently or at least temporarily eliminate one’s responsibilities. As long as one has responsibilities looming overhead, one cannot really feel free. It will also work if the escape produces the illusion that one’s responsibilities are gone.Secondly, an escape must enhance leisure. If the escape does not enhance leisure then boredom will most likely be the result. Also, due to the fact that most escapes are the temporary kind, leisure time is generally very precious. Therefore, it is not enough that an escape simply do away with work and responsibility. An escape must also take full advantage of one’s leisure time.Third, an escape must not have any undesirable consequences. This is the condition that justifies the escape itself. Suppose for example that a person became tired of his or her job and simply stopped working. That person would soon be fired, and although he did avoid doing work, his method of escape cannot be justified because of the undesirable consequences that followed. This is perhaps the most important condition an escape must satisfy. Science fiction literature and films are very good escape mechanisms. While a person is absorbed in the goings on within a particular novel, movie, etc., that person can experience what the characters are experiencing, and it is common for the characters to have lifestyles that meet the three conditions above. The reason for this is that in science fiction it is very common for the characters to have a very technologically advanced way of living. The futuristic technology allows the characters to do less work and have more fun with no consequences. Take for example the movie star wars.

Monday, August 19, 2019

Macbeth: A Tragic Hero :: essays research papers

Tragedy occurs to some more often to others, but most define it differently. Webster’s Dictionary defines it as â€Å"a kind of drama in which some fatal or mournful event occurs† (764). To philosophers and traditional writers philosophy takes on another meaning. For example, to famous philosophical figure Aristotle, â€Å"tragedy occurs when noble or great persons are led, through pride or a secret flaw in their personalities, to suffering that changes their fortune. The tragic hero must begin in a high position and end in death or some sort of degraded role† (Definitions of Tragedy). Based on human nature, Aristotle’s philosophy of tragedy, and current literary criticism of Shakespeare’s Macbeth, the main character, Macbeth, is classified as a tragic hero.   Ã‚  Ã‚  Ã‚  Ã‚  Born in 384 B.C. at Stagirus, well known philosopher Aristotle was a student to Plato for over twenty years. Growing up on this Greek Colony and attending lectures, he acquired and retained new information. His father was a well known physician and scientist therefore Aristotle’s knowledge was broadened by his father. Unlike Plato, Aristotle studied the natural and sensory world; â€Å"while Plato used his reason, Aristotle used his senses† (Gaarder 107) He said that â€Å"things that are in the human soul were purely reflections of natural objects† (Gaarder 107). Aristotle believed that reason is mans most distinguishing characteristic; Macbeth had great lack of reason. When the first murder occurred, Macbeth did not anticipate the outcomes of the events, thus is soul was infected with selfish thought, and to him, nothing else mattered.   Ã‚  Ã‚  Ã‚  Ã‚  A human soul in Aristotle’s words is â€Å"the perfect expression or realization of a natural body,† which Macbeth follows (Aristotle). His internal instinct led his actions and soon to his main goal. Fellow philosopher Democritus, (460-370 B.C.), believed that all men are just mechanical and made up of different substances (Gaarder 44). If, his belief that there is no spiritual fore in nature, and everything happens mechanically is true, then Macbeth could not control his actions thus is innocent of his crimes. To Macbeth, it meant that he was destined to become king, and mechanically could not manage his own actions. This is because Macbeth’s imagination is â€Å"plunging deeper and deeper into unreality,† and turns into uncontrollable desires and wants (Knight 42). These two elements of soul and imagination are able to cause a dreadful combination of tragedy and misfortune. A Shakespearian critic implies that, â€Å"once caught by t he devils bait, only at the end he is able to express his inward state openly† (Davidson 92).

Sunday, August 18, 2019

Sir Gawain And The Green Knight: The Role Of Women :: essays research papers

In the fourteenth century, chivalry was in decline due to drastic social and economic changes. Although feudalism-along with chivalry-would eventually fall for other reasons, including a decrease in cheap human resources due to a drop in population caused by plague epidemics and the emergence of a mercantile middle class, the Gawain author perceived a loss of religious values as the cause of its decline. Gawain and the Green Knight presents both a support of the old feudal hierarchies and an implicit criticism of changes by recalling chivalry in its idealized state in the court of King Arthur. The women in the story are the poet's primary instruments in this critique and reinforcement of feudalism. The poet uses the contrast between the Virgin Mary with Lady Bertilak's wife to point out the conflict between courtly and spiritual love that he felt had weakened the religious values behind chivalry. The poem warns that a loss of the religious values behind chivalry would lead to its ul timate destruction. Although superficially Sir Gawain and the Green Knight appears to be a romantic celebration of chivalry, it contains wide-ranging serious criticism of the system. The poet is showing Gawain's reliance on chivalry's outside form and substance at the expense of the original values of the Christian religion from which it sprang. The first knights were monastic ones, vowing chastity, poverty and service to God, and undertaking crusades for the good of their faith. The divergence between this early model and the fourteenth century knight came with the rise of courtly love in which the knights were led to their great deeds by devotion to a mistress rather than God. The discrepancy between this and the church's mistrust of women and desires of the flesh is obvious, and the poet uses women in the story to deliver this message. In contrast to reality at the time, women in the story are given great power: Mary, when properly worshiped, gives Gawain his power, Lady Bertilak operates alone in th e bedroom and singlehandedly taints the chevalier, and Morgan the Fay instigates the entire plot, wielding enough power. The author is using them as a metaphor for other anti-social forces and dangers outside the control of feudalism and chivalry, drawing upon biblical and classical examples in his audience's minds of where femininity is linked with subversiveness. Lady Bertilak is clearly seen in the Biblical role of the temptress, the Eve who led Adam astray--in Gawain, she represents the traditional female archetypes of courtly love, disobedience, lust and death. Sir Gawain And The Green Knight: The Role Of Women :: essays research papers In the fourteenth century, chivalry was in decline due to drastic social and economic changes. Although feudalism-along with chivalry-would eventually fall for other reasons, including a decrease in cheap human resources due to a drop in population caused by plague epidemics and the emergence of a mercantile middle class, the Gawain author perceived a loss of religious values as the cause of its decline. Gawain and the Green Knight presents both a support of the old feudal hierarchies and an implicit criticism of changes by recalling chivalry in its idealized state in the court of King Arthur. The women in the story are the poet's primary instruments in this critique and reinforcement of feudalism. The poet uses the contrast between the Virgin Mary with Lady Bertilak's wife to point out the conflict between courtly and spiritual love that he felt had weakened the religious values behind chivalry. The poem warns that a loss of the religious values behind chivalry would lead to its ul timate destruction. Although superficially Sir Gawain and the Green Knight appears to be a romantic celebration of chivalry, it contains wide-ranging serious criticism of the system. The poet is showing Gawain's reliance on chivalry's outside form and substance at the expense of the original values of the Christian religion from which it sprang. The first knights were monastic ones, vowing chastity, poverty and service to God, and undertaking crusades for the good of their faith. The divergence between this early model and the fourteenth century knight came with the rise of courtly love in which the knights were led to their great deeds by devotion to a mistress rather than God. The discrepancy between this and the church's mistrust of women and desires of the flesh is obvious, and the poet uses women in the story to deliver this message. In contrast to reality at the time, women in the story are given great power: Mary, when properly worshiped, gives Gawain his power, Lady Bertilak operates alone in th e bedroom and singlehandedly taints the chevalier, and Morgan the Fay instigates the entire plot, wielding enough power. The author is using them as a metaphor for other anti-social forces and dangers outside the control of feudalism and chivalry, drawing upon biblical and classical examples in his audience's minds of where femininity is linked with subversiveness. Lady Bertilak is clearly seen in the Biblical role of the temptress, the Eve who led Adam astray--in Gawain, she represents the traditional female archetypes of courtly love, disobedience, lust and death.

Saturday, August 17, 2019

Critical response †Of mice and men Essay

Within The novel â€Å"Of Mice and Men† by John Steinbeck the reader is presented with a selection of sad, lonely individuals who have no families. As soon as the novel starts, the author creates a picture of the surroundings in the reader’s mind â€Å"the river drops in close to the hillside bank and runs deep and green† this gives the reader a feeling of peace at mind. The reader is then presented with George, a small man with strong features, and Lennie, a gentle person who enjoys who enjoys the company of a pet. In the novel Lennie continuously gets the pair into all sorts of trouble and by the end of the novel George has no choice but to shoot Lennie, due to the fact that he murdered an innocent woman, who happened to be Curley’s wife, the boss’s son. It soon becomes apparent that the theme of loneliness is illustrated through characterization between the main characters. The first character we are introduced to is Lennie. Lennie’s character is illustrated by his mental immaturity. â€Å"Blubberin like a baby? Jesus Christ a big guy like you! † The reader first sees that Lennie’s loneliness and need for companionship during his journey to the ranch. â€Å"What you want of a dead mouse? â€Å", to which Lennie responds â€Å"maybe I could pet it with my thumb while we walked along. † Lennie wants to carry a dead mouse round as a constant companion. This shows how desperate he is to feel loved and to have a friend. One of the characters that illustrates loneliness is a man named Crooks. Crooks is a colored man s been isolated from the rest of the ranch due to the fact that he is a â€Å"nigger†. The reader feels sympathy for crooks because he has his own shelter and has no friends. As soon as a â€Å"white man† enters his shelter, Crook’s initial reaction is to tell them to â€Å"get lost I don’t want to know†. This again shows the reader that Crooks is a lonely individual. Another character that emphasizes the theme of loneliness is Curley’s wife. To the reader’s surprise, the author never gives Curley’s wife a name. This reinforces the fact that Curley’s wife is there to look after Curley and that she is not important to anybody else but himself. It also shows that the other ranchers are not used to talking to other woman. Curley’s Wife is generally considered to be a tramp by the men at the ranch and shamelessly uses sex to intimidate the workers. She married Curley so she could leave home and be spoilt with gifts and do whatever she wanted. However it is obvious that this did not happen and she hates her husband. . She still holds some hope of a better life, by claiming that she had the chance to become a movie star in Hollywood. Another interesting character is Candy, an old man who only has a dog to keep him company. Candy is the oldest out of all the other ranchers, who has only one hand because he lost the other hand in an accident on the ranch. Candy is a frail person because he has had to work on the ranch for so long because he has no friends. There comes a sad point in the novel when candy’s dog is shot because he is giving off a bad odour. This shows the readers that the ranchers don’t care for anyone else but themselves and that they have a short temper. This incident seems to put Candy down more because he now has no companion. In addition to this, Candy feared that he was going to be on the ranch until he died. This image is reinforced when he ws caught ease dropping on George and Lennie â€Å"I didn’t here nothin you guys was saying. I was just standing in the shade scratching my dog†. Although the novel is filled with men trying to earn money so that they can fulfill their dreams, it is obvious that the main theme of the novel is loneliness. This is illustrated through the sad, traumatic, lonely characters that work on the ranch. The entire novel is devoted to reinforcing the main theme, loneliness, and therefore creating sympathy for the characters on the ranch.   

Friday, August 16, 2019

MBA admission

My long-term career goal is to manage a high-tech company in the field of electronics and communications. With over six years of experience in the technical aspects of high-tech product development, I bring considerable technical knowledge to this task, and hope to compliment this knowledge with a firm understanding of business fundamentals provided by the McCombs School of Business.My personal ackground is no less of an asset, as it allows me to understand people and business issues from a unique and mature perspective. I grew up in India and obtained a Bachelors and a Masters degree in Electrical Science from Delhi University. After that I attended the Indian Institute of Technology Kanpur and earned a second Masters degree in the field of laser technology. My professional career began in 1995 when I was hired by HCL-Hewlett Packard to work on computer hardware design in an office outside of Delhi.It was my first direct experience with state-of-the-art technology and the exciting e xperience convinced e to pursue a career in the high-tech arena. Within nine months, I traveled to the Netherlands to work as a consultant for Tulip Computers NV, then the largest manufacturer of computers in Europe. After six months abroad, I returned to India but was soon transferred by my parent company to NCR Corporation in South Carolina.Before I could be recalled, I left HCL-Hewlett Packard and looked for another Job since I had decided to settle in the United States. I worked briefly for an ill-fated start-up, but left when the company moved its operations to China. I started my current position at American Megatrends, Inc. , (AM') in 1998 and have been employed here for over three years. IVe been working on high-tech motherboard design and have worked my way up to the position of team leader.AMI has offered me a unique opportunity I haven't had in other positions: the opportunity to participate in all the steps of product development. As a pure engineering company, AMI has v irtually no high level management and the engineer is responsible for everything from product conception, to development, to manufacturing and marketing! I have seized upon this opportunity and greatly expanded my understanding of product development beyond the design stage. I interact very closely with the manufacturing group and have come to understand production issues.Understanding how our products are mass produced at the plant, and especially how the factory workers utilize the machines for manufacturing, has given me a perspective on human and material capital which will be of great use in management. I have also worked closely with the sales and marketing division, and have occasionally even traveled to customer sites. While I have gained much practical experience (both in terms of technology and in terms of leadership) through my work, I cannot see myself in the same position fifteen years from now.I want to take my electronics firm into a new direction and believe at tn th is vision can best be accomplished trom a position ot management. I have realized from my six years of work experience that a strictly engineering background is not sufficient to enable me to reach my goals. A sound understanding of business fundamentals, that can be obtained through the McCombs School of Business, will help me develop the management skills I need to analyze business situations and manage resources rationally.An MBA will build upon my practical experience and allow me to achieve a position of leadership. My personal struggle to obtain the life I have now has imbued me with an ambition to grow as an individual and to give back to the society that has given me so much. My practical work experience and unique outlook on life contribute toa compassionate leadership style and an ability to understand the needs of people from all levels of society.

Motorcycle Accidents

MOTORCYCLE ACCIDENTS ENGLISH 215 28 AUGUST 2011 Motorcyclists are more prone to die in accidents than those in automobiles. Accidents are caused by the motorcycle itself, the lack of experience, not wearing proper gear,  riding at excessive speeds, and inexperienced automobile drivers. The main reason for most motorcycle accidents are caused by motorcyclist that operate their vehicles without wearing the proper protection. A safe and secure cyclist wears a helmet if riding one mile or two hundred miles.Without a helmet, a person is leaving themselves open for the potential for many different types of injuries when riding a motorcycle, in particular injuries to the brain. There are many dangers which can be waiting on the highway for motorcyclists and many of these are preventable by being properly ready to ride and always being safe. Some believe that motorcycles are temptation for fate; unlike cars that have overhead covering, seatbelts, windshields, and two extra tires. Motorcycl es provide no safety features for the rider. This seems to be a good enough reason for most people to avoid riding motorcycles.A select few individuals are willing to take this chance at fate and enjoy the thrill and excitement of riding on the open road. There are many injuries and fatalities associated with motorcycles that cause most people to be against operating motorcycles. Some people have even lost love ones because of the love of motorcycles. Once the collision has occurred, or the rider has lost control through some other mishap, several common types of injury occur when the bike falls: * Collision with less forgiving protective barriers, or badly placed roadside â€Å"furniture† (lampposts, signs, fences etc. This is often simply a result of poor road design, and can be engineered out to a large degree. Note that when one falls off a motorcycle in the middle of a curve, lamps and signs create a â€Å"wall† of sorts with little chance to avoid slamming agains t a pole. * Concussion and brain damage, as the head violently contacts other vehicles or objects. Riders wearing an approved helmet reduce the risk of death by 37 percent. ( Wald, Matthew, 12September 2007, The New York Times) The Hurt Report also commented on injuries after an accident stating that the likelihood of injury is extremely high in these motorcycle accidents – 98% of the multiple vehicle collisions and 96% of the single vehicle accidents resulted in some kind of injury to the motorcycle rider; 45% resulted in more than a minor injury. ( U. S. Department of Transportation. ) People who ride motorcycles most realize that due to the extreme risk of riding, certain protective gear must be worn to help minimize injuries.The most important piece of equipment is the helmet. Operating a motorcycle without a helmet is just ludicrous. Riders should want to be highly visible at night. When a motorcyclist is not visible to others at night they become more susceptible to bei ng injured by other vehicles. The wearing of bright or reflective clothing helps other people notice you at night. Abrasion resistant clothing is a must. This material help protect against debris and major cuts. Wearing jackets and pants that have extra padding assists in protecting the motorcyclist from extreme impacts.Gloves are very important as well. Depending on the weather a riders hands may become moist or damp and could potentially cause the hands to slip of the throttle. The proper foot wear is very important because a rider most protect his ankles and have the necessary grip on the foot pegs to ensure a safe posture. Speeding also plays a part in the fatalities and injuries of motorcyclist. Motorcyclists tend to be very competitive when it comes to motorcycles. They often choose to speed but lack the experience to handle the speed.Inexperience motorcyclist and automobile drivers play a big part in most accidents. Most automobile operators lack the necessary skills to opera te a motor vehicle. The average person goes to the DMV and takes the written test and passes it. Then go straight to the driving portion without going through any type of driver’s training. Attending drivers safety courses can help reduce injuries and fatalities among motorcyclist and automobile operators. Most states highly encourage people to attend these classes but few actually attend.Even with over 1,500 locations in USA, and over 120,000 annual students, MSF only trains about 3% of the owners of 4,000,000 new motorcycles sold for highway use. (Motorcycle Safety Foundation. ) There are many reasons for motorcycle accidents and fatalities and some of them are unavoidable, but it is up to the individual to decide whether they want to operate the vehicle, regardless of the dangers. REFERENCES www. ct. gov/dot/LIB/dot/Documents/dhighwaysafety Department of Transportation. www. nytimes. com/2007/09/12/us/12helment. html New York Times. www. msf-usa. org/SafeCycling/Safe_Cycli ng Motorcycle Safety Foundation

Thursday, August 15, 2019

Personal experience at Real Estate Development and Investment Essay

It was either to be a blessing or cursing. I had just come from the university as a fresh graduate. Job insecurity is a thing that sends chills of tremor down the spine of each graduate. Thank goodness this never happened with me but a new challenge was ahead. The firm which I was operating was quite meticulous in its activities; was I to be their down fall as an omen of failure. No certainly I must work breath out of me to sustain or even improve if there was anything to improve. The workplace was the carrot to reward my personal and professional development or a cane to spank my etiquettes. This was what I was up to when I joined the Real Estate Development and Investment, in Chicago. In customer care office, there were new and old problems which were brought to our attention by the clients. This is when I recognized the question which was posed to me during the interview. The question was what I would do if the length of my tie varies interchangeably during the course of wearing it. Certainly here I was dealing with two anti-parallel problems brought forward by the clients. There were those who wanted new residential houses while there were those in pursuit of selling their houses. With time, I believed that my solid performance would improve. I remember the day a client came complaining we have delayed to find a potential buyer of her house. The lady was pugnant and cantankerous in her behavior. Not a single answer she would hear. I was perplexed because I was new and such an answer would only be averting from attending her problems. Certainly, customers are kings and should be attended to regardless on who first dealt with him/her. After all will s/he have to go home and wait till who attended him/her come? No this would be suicidal to the business. So here I was juxtaposed between a rock and a hard place. The information which I had acquainted myself with was the only arrow in the quiver. Now I had to give an answer for unfamiliar situations and conclusion on the problem raised by the client. To start with I answered that there was already a willing buyer but what he was offering was meager amount and thus we never saw the need to inform her. This was after realizing from her pass that the lady came from California. It was plausible that the house was in Chicago and not California and apparently the cheapest house was selling at $ 210,000. Therefore, by excusing the house was bargained at $ 110,000, the lady will accept that certainly this was cheap and not worth to inform her of such a buyer. Luckily, it turned that what I had said was the case although I had not dome an empirical enquiry on what had happened. Form this is learnt that it’s appropriate to give wrong information than no answer to the client as it would appear rude. Barely a week was not over and there was a crisis. The manager who assisted me to secure the placement at Real Estate Investment Development was linked to a corruption scandal in the organization. So bad for those were affiliated to him. The company decided to pay them prior to sacking them. I merely escaped the crack of whip which was lashing over the innocent and those assumed to be guilty. It was a hectic time trying to convince the management that I was not involved in the graft. Were it not for the quality work that I was delivering to the customers, I would have disappeared together with the rest. The customers complained bitterly of losing an agile and kindhearted official. Besides, everything I did was in accordance to the stipulated rules of the company. Other worker also considered me friendly and my latency was shown through teamwork. Jackson, whenever we meet considers that I came to replace him; therefore it was better not to have considered my request. However, we find ourselves laughing at the idea it was like a substitution reaction which we had earlier learnt in organic chemistry. The firm was behaving like alkanes; it functions by substituting what it previously had. The week days were exceptionally busy for me. I had to equip myself with the current changes in business trends. Changes that are inevitably setting in with advent of technologies were eyesore to the conservatives but an impetus to the radical. At lunch break, fifteen minutes I would spare to browse in the internet and peruse on books so as to keep abreast with changes taking place. My food I would take as if I was in a food eating competition. Two to three spoons were enough to summarize the heap of food lying before me. It was quite symbolical that for any firm to succeed must seize the opportunities as they come just as I was gulping at the food. In the afternoon long queues of people I would find awaiting me as if I was God and on mission to rescue them from Satan. In this case the Satan was financial issues. It was crystal clear that less time was required for each client and at the same time ensuring that a comprehensive and satisfactory answer is given. Most clients were eager to know the factors which they should put into consideration while investing in real estates. Though the factors appear to be obvious, I had to put them in a way they appear new to the client’s ear. To start with, I would give a preamble of what a good investment would include while enlisting the factors to consider. Through this short encounter with customers, there was what I would call ‘resonance transfer of information’. I would make sure the client and I resonate at the same frequency and phase. Anything beyond my scope I would simply seek the information over it for the customers. Real Estate Investment Development was like the components of the table salt how they complement each other. During the course of my internship, I was also experienced the leadership vacuum which arose after summary dismissal of my friend. Jackson even though he had a lot of wiles which led him to rub the management the wrong side; he had the potential to handle any difficulties which emerged. For example, there was no one who was directly responsible for the transactions of the business. The Real Investment Development was using other firms to do their advertisement and the profit leapt was divided according to the proportion of their contribution. The number of new customers dwindled since they feared joining a corporation where you don’t know who is really in control. Collective responsibility cannot fully be trusted since there vices such as sabotage still exist. Attempts to increase the number of directors only increased the cost of management and had little change if any. At Real Estate Investment Development, the number of ladies was more than the number of gentlemen. This though was not meant to be a problem turned out to be a problem. A competition arose among the ladies over men. The dressing code was the most affected. The skirts were shortened by quite a large number. Some were the length of a bow-tie and others were as transparent as a crystal. As if this was not the only problem, the shoes were irritating to the ears as they tried to attract the attention of the men. It was a wake up call of sort, trying to wake men from the cocoon of fleeing form ladies for lack of wooing words. The administration tried to address the problem of Lorita but this never changed the situation. Moreover, the number of absentees increased due to feministic issues which are inevitable. At first I thought the problem was not to affect me. My belief is that a seed needs decomposing materials to germinate. In this case, I was the germinating seed and the ladies the decomposing materials. In the office I was located at the corner at the desk and a lady was located opposite to my desk. This is where the drama started. The way she sat was embarrassing. Thighs ajar and a finger placidly put between the slit on her skimpy dress. This sometimes made my brain go blank as I found myself carried into nitty gritty of even knowing the weekly series of her knickers. This lass was quite provocative besides teasing her wanton eyes and leg theatrics as a seductress lady. At one time she made the boss to suspect there was a beef as she was mostly found reeling on my desk with her merely chest protruding forward. The last experience which I cannot forget was the amount of work. The work was quite exhausting. The number of clients attended to were quite many and the number of staff was a few. All days we were busy searching from the internet for information, replying some emails from clients or discussing with the clients in the office. Within a month my weigh had decreased by two kilograms the exact figure stipulated by physician for the AIDS sufferers. In fact I had to be examined to know my status.

Wednesday, August 14, 2019

Prone Positioning On Critically Ill Health And Social Care Essay

In my nursing experience, I have worked in both the neonatal intensive attention unit ( NICU ) and the paediatric intensive attention unit ( PICU ) . When I worked in the NICU, our babies were positioned prone ( face down ) for comfort grounds for the bulk of a 24 hr period. Our neonatologists seldom used sedation or trouble direction resources for our automatically ventilated patients. In the PICU I presently work in, all of our automatically ventilated patients are given uninterrupted medicines for both sedation and hurting, nevertheless prone placement is about ne'er used. When I have positioned patients prone in the past, most nurses look cross-eyed at me as though I have done something incorrect. Past research has suggested that prone placement is a curative manoeuvre that improves oxygenation in both paediatric and big patient populations ( Curley et al. , 2006 ) . However, some clinical tests in both paediatric and big populations have demonstrated that there is no betterment in clinical results for the patient ( Curley et al. , 2006 ) . In other surveies, when a patient is placed in the prone place, it has been shown that there is an increased in terminal expiratory lung volume and improved ventilator-perfusion fiting taking to better oxygenation ( Gattinoni et al. , 2001 ) . As you can see, there is assorted informations from many surveies proposing prone positioning leads to break clinical results for patients. Besides, as I was researching, I truly could n't happen a survey or literature that was new within the last 5 old ages. There is a current demand for updated research surveies and information. Hopefully I can carry through and add to the research with my proposed survey.Purpose, Aims, and HypothesissThe intent of this research survey would be to bring forth informations to assist infirmaries develop a policy, process and protocol for prone placement in critically sick, paediatric patients. The informations collected from this survey can add to the literature and hopefully convey current evidence-based pattern to PICUs across the state. Harmonizing to Polit & A ; Beck ( 2008 ) , purposes can be defined as the particular accomplishments a research worker would trust to accomplish by carry oning a research survey. My proposed survey has two specific research purposes.Aim 1To prove the effectivity of prone placement in automatically ventilated, critically sick paediatric patients, related to betterments in oxygenation.Aim 2To analyze techniques in airway direction of a automatically ventilated, critically sick paediatric patient, to find the safest nursing pattern in prone placement.HypothesissFor Aim 1, the hypothesis is that paediatric patients, who are critically sick and automatically ventilated, will hold better positive clinical results related to betterment in oxygenation in prone placement than in supine placement. The void hypothesis is that there is no difference in prone or supine placement in patient clinical results. For Aim 2, the hypothesis is that there will be safe techniques in airway direction in prone placement for the automatically ventilated, critically sick paediatric patient. The void hypothesis is that there is no safe technique in airway direction in the prone place based on continued, critical inauspicious events.BackgroundThe reappraisal of literature on the effects of prone placement in automatically ventilated patients has mixed ideas. Surveies conducted by Dr. Martha Curley and her research squad from Boston Children ‘s Hospital have refuted and so accepted the usage of prone placement in automatically ventilated, critically sick paediatric patients. Curley et Al. ( 2000 ) researched the physiologic alterations of automatically ventilated paediatric patients and evaluated the safety of prone placement who experienced acute lung hurt. The information was collected from a single-center prospective instance series from October 1997 to March 1999. The sample was 25 paediatric patients with bilateral paranchymal disease necessitating mechanical airing with a partial force per unit area of arterial oxygenation ( PaO2 ) to the fraction of divine O ( FiO2 ) ratio of less than or equal to 300 millimetres of quicksilver ( mm Hg ) ( Curley et al. , 2000 ) . The patient ‘s ages ranged from 2 months to 17 old ages. The participants were placed prone for 20 hours a twenty-four hours â€Å" until clinical betterment or decease occurred † ( Curely et al. , 2000, p. 156 ) . After run intoing eligible standards, informations collected consisted of arterial blood gases, critical marks ( temperature, bosom rate and arterial blood force per unit area, and cardinal venous force per unit area. Ventilator scenes and the figure of staff utilized and the clip it took to turn a patient were besides collected. The research workers besides collected informations on the medicine profile, particularly comfort medicines such as morphia and diazepam, and assessed force per unit area ulcers and presenting. â€Å" Features of the survey population are expressed as frequences, mean ( +/- SEM ) , or average with interquartile scopes ( IRQs ; 25th and 75th percentile ) † ( Curley et al. , 2000, p. 158 ) . The survey revealed that when prone place informations measurings were compared to the patient ‘s supine measurings, there were immediate and cumulative betterments in oxygenation ( Curley et al. , 2000, p. 161 ) . The research workers conclude that their survey suggests informations that prone placement is both safe and effectual in paediatric patients with ALI. Dr. Curley and her co-workers believe that this survey provides a foundation for a hereafter randomized survey to look into early and repeated prone placement for this paediatric population. Dr. Curley and her co-workers took on a prospective, multi-center randomized survey from August 2001 to April 2004. The hypothesis of this survey was that kids with ague lung hurt treated with prone positioning would hold more ventilator-free yearss than those treated with supine placement. Patients were included if they were age 2 hebdomads to 18 old ages old, intubated and automatically ventilated with a ratio of a PaO2 to FiO2 of 300 or less, bilateral pneumonic infiltrates, and no clinical grounds of left atrial high blood pressure ( Curley et al. , 2005 ) . Exclusion standards included patients less than 2 hebdomads of age, less than 42 hebdomads post conceptual age, had relentless hypotension or intellectual high blood pressure, cardiac related respiratory failure, and a figure of other medical conditions listed by the writers in their article. Of 8017 patients screened, merely a sum of 102 participants were included in the survey. A information and safety supervising board stopped the test at the interim analysis based on the futility fillet regulation. Ninety-four patients had completes the 28-day survey period. Of these 94, 47 were in each of the groups. After statistical analysis had been done, it was determined that if the survey had reached the planned registration of 180 patients, the chance of showing a difference in ventilator-free yearss between intervention groups was less than one per centum ( Curley et al. , 2005, p. 232 ) . The survey found that there was no statistically important difference of ventilator-free yearss between supine and prone placement in paediatric patients with acute lung hurt. Dr. Curley and her co-workers do non back up the continued usage of prone placement of paediatric patients as a curative intercession to better results in acute lung hurt ( Curley et al. , 2005, p. 236 ) . This province counters the research decisions drawn from Curley et Al. ( 2000 ) . Interestingly, Dr. Curley continued her research by executing a secondary analysis on this information collected in 2006. The intent of this secondary analysis was to depict the effects of prone positioning on airway direction, mechanical airing, enteric nutrition, hurting and sedation direction and staff use in paediatric patients with acute lung hurt ( Curley et al. , 2006 ) . The research workers suggest that their informations really shows that prone placement can be accomplished safely in critically sick paediatric patients. The research workers besides province that they believe patients can be safely assess and managed piece maintained in the prone place for drawn-out periods of clip, every bit long as 20 back-to-back hours ( Curley et al. , 2006, p. 417 ) . In this article on secondary analysis performed by Dr. Curley and her co-workers ( 2006 ) , they province that prone placement should go on to be used in critically sick kids as a enlisting manoeuvre in acute lung hurt to better oxygenation, lessening force per unit area wounds, and decreased bronchopulmonary compaction. These research workers besides province that this is the first survey to clearly show that prone placement can be accomplished safely. After researching prone placement in critically sick, automatically ventilated paediatric patients, I wholeheartedly agree. I believe that this is why these surveies could be replicated to assist formalize the protocols developed by Dr. Curley and her co-workers.SignificanceThe significance of a research survey on prone placement in paediatric patients is overpowering. In my ain personal experience, there has ne'er been grounds presented to my nursing co-workers or myself on whether prone placement is really safe and effectual. As ant ecedently stated, in reexamining the literature, there are really few clinical surveies that would be considered good mentions as true province of the art, evidence-based nursing pattern. In fact, I can non believe that merely Dr. Martha Curley has taken this undertaking on for the paediatric population. This proposed survey will be able to place the effectivity of prone positioning on improved oxygenation in a automatically ventilated paediatric patient. From survey informations aggregation, techniques in safe air passage direction could assist ease the usage of prone placement in paediatric patients of all ages and sizes and possibly advance more positive clinical results. In my survey, I hope to retroflex Dr. Curley ‘s methods utilizing her protocols, with some minor tweaking. This proposed survey should add to the organic structure of literature. The significance of this survey could assist formalize Dr. Curley ‘s protocols from her past surveies and besides assist make a criterion of pattern for prone placement.Research MethodsSample, Setting and RecruitmentThe mark population to be studied would be critically sick, paediatric patients runing from ages 2 hebdomads to 18 old ages of age. Inclusion standards will besides include patients with acute respiratory hurt necessitating cannulation and mechanical airing. Exclusion standards will be patients with respiratory hurt or failure of cardiac nature. Patients will besides be excluded if they have spinal instability or hold had abdominal surgery, as it would non be safe for these patients to be prone positioned. Patients with tracheotomies will be excluded. I would trust to include patients on conventional airing and high frequence hovering airing. Patients will be excluded if they weigh over 200 lbs, as the protocol will merely utilize three staff members to turn the patient, and this may be insecure in a patient of this size. The survey participants will be recruited from paediatric intensive attention units from infirmary centres willing to take part. In day-to-day unit of ammunitions, we would allow the paediatric critical attention doctors determine if the patient ‘s medical position was stable plenty to be eligible for survey standard. Randomization of patients will be done between prone placement and supine placement by utilizing a consecutive figure system. Centers will be provided envelopes with cards denominating between prone and supine placement and assign as each new participant is eligible. A sample size that would mirror Dr. Curley ‘s would be ideal. I hope to obtain at least 100 participants, but purpose for 200 participants. With 200 participants, the hope is to duplicate the original sample size, duplicate the figure of prone-to-supine and supine-to-prone bends, and increase the cogency of the research.Data Collection and InstrumentationFor my research survey, I hope to develop a systematic extension reproduction of the old surveies done by Dr. Curley and her research squad ( Curley et al. , 2000 ; Curley et al. , 2005 ; Curley et al. , 2006 ) . Dr. Curley and her co-workers ( 2006 ) developed a prone placement protocol for bedside nurses to follow in respects to analyze participants. The protocol is attached in Appendix1, nevertheless a brief drumhead is provided to assist assistance in the shaping of informations aggregation and instrumentality. When a patient has been met standards and is designated as eligible for the survey, informations will be collected based on the Pediatric Risk for Mortality III ( PRISM III ) ( Pollack et al. , 1997 ) . Demographics such as age, race, and ethnicity will be categorized. An anteroposterior thorax radiogram, in the supine place, should be obtained to document and guarantee that the endotracheal tubing ( ETT ) is positioned decently in the deep windpipe. The security of the ETT shall be assessed every bit good, based on the establishments current protocols. The size of the ETT, whether it is cuffed or uncuffed, and arrangement shall be paperss as Ten centimetres ( centimeter ) at the gum, as in â€Å" the patient has a 4.5 cuffed ETT, taped firmly at 12 centimeter at the gum † . The turnup of an ETT should be inflated with the minimum leak technique: inflate turnup until an air leak is ascultated at end-inspiration while maintain turnup force per unit area & gt ; 25 millimeter Hg ( Curley et al. , 2006, p. 420 ) . Security of the ETT and arrangement at the gum will be documented after each bend from the supine-to-prone and prone-to-supine placement every bit good as every 4 hours while in the prone place. The nurse or respiratory healer will doc ument whether or non the patient had a nonelective extubation during the bend. In respects to soothe and clamber unity, the patient ‘s should hold separately sized caput, thorax, pelvic, and leg shock absorbers to place the patients while prone ( Curley et al. , 2006, p. 419 ) . The end is to hold the patient positioned prone, with their shoulders, hips and lower limbs supported while their venters has room to stick out ( towards the bed ) and custodies can be tucked under the venters. The existent shock absorber will be difficult to set up, as every infirmary uses different positioning devices, nevertheless, I will offer the thoughts of slackly rolled covers or the Eggcrate stuff cut to the appropriate size. It will be documented if the patient has developed a force per unit area ulcer, and the ulcer will be staged harmonizing to National Pressure Ulcer Advisory Panel ‘s ( NPUAP ) description. The NPUAP ( 2007 ) established four phases of force per unit area ulcers. The first phase includes force per unit area sores that include non-blanchable inflammation, with integral tegument, normally over a cadaverous prominence. Phase two includes shoal, unfastened ulcers with a ruddy or pink pigmentation, without sheding of the tegument. Stage three ulcers include a full thickness tissue loss. Hypodermic fat is normally seeable at this phase and shedding may be present. In a phase four ulcer, the ulcer is stage three with seeable bone, musculus or sinew. A patient will stay positioned prone for 20 hours of the twenty-four hours and supine for 4 hours a twenty-four hours. The length of clip a patient is prone and supine will be recorded. Ongoing measurement will be done on all organic structure systems, including pneumonic and circulatory. Arterial blood gases will be obtained 1 hr prior to a patient being positioned prone and 1 hr after the patient has been prone. To maximise safety, staff will use bedside nurses and respiratory healers during chances for turning. The respiratory healer should be responsible for the unity of the tubing and turning the patients head, bedside nurse 1 shall be responsible for the turning of the shoulders, thorax and weaponries, and beside nurse 3 shall be responsible for the turning of the hips and legs. The prone positioning protocol that is attached as Appendix 1 which will be at the bedside of every patient for the nurses and respiratory healers to follow consequently.Datas AnalysisHarmonizing to Polit & A ; Beck ( 2008 ) , there are two wide categories of statistical trials, parametric and nonparametric. Parametric trials normally involve the appraisal of parametric quantities, require measurings on an interval graduated table, and presume that the variables for distributed usually for a population. These trials are frequently considered the most power and are normally preferred by research workers ( Polit & A ; Beck, 2008, p. 591 ) . Nonparametric trials do non gauge parametric quantities, normally used when the sample size is little or the information is considered non-normal. Figure 22.5 in Polit & A ; Beck ( 2008, p. 592 ) is a speedy mention for choosing bivariate statistical trials. Harmonizing to Polit & A ; Beck ( 2008 ) , the Fisher ‘s exact trial will be used to prove the significance of the differences in the two interventions ( Polit & A ; Beck, 2008, p. 601 ) . Fisher ‘s exact trial or x2 trial will be used to compare prone and supine groups in their baseline features and results that will be calculated on an single patient footing. Based on the categorical informations, such as the oxygenation of the patient, related to the arterial blood gases, I think a Fisher ‘s exact trial will be the best trial. The accidental extubation rate during bends will be calculated utilizing an exact binomial trial for comparing the rates of two Poisson procedures. For prone patients, Wald ‘s statistic, distributed as a qi square, will be calculated based on results evaluated after alterations in placement. The figure of staff utilized and the length of clip involved in the place turns will be analyzed utilizing signed rank trials such as a Wilcoxon rank trial. Once all information has been collected, synthesized and analyzed, the research will be drafted into a manuscript and submitted to the Pediatric Critical Care diary. Before the survey begins, it will be reviewed, and hopefully approved, by the IRB. Before a patient becomes a participant of the survey, written informed consent will be obtained from a parent or legal defender. Both female and male patients will be utilized, and the exclusion standard is entirely based on patient safety. The participants will be allocated to the prone and supine placement groups reasonably by utilizing random assignment. Complete decrease of prejudice can non be established because it will be impossible for the clinicians to non cognize whether or non their patient is positioned prone or supine. With the assorted placement protocols and adjustments with pressure-reducing stuffs, I hope to diminish the incidence of compromised tegument unity and uncomfortableness. This survey does non object, and encourages the usage of sedation and hurting medicines while the participants are automatically ventilated.