Thursday, October 31, 2019

MENTAL HEALTH Research Paper Example | Topics and Well Written Essays - 1500 words

MENTAL HEALTH - Research Paper Example However, the elder patients are believed to view and imagine nursing staff as their own daughters. In developed nations relationships among children and parents have significantly deteriorated and therefore, elders are becoming lonely and depressed (Werner, 1993). Nevertheless, all patients from different age groups are famous for practically loving their medical staff. But, in case of children, the job of nurses gets tough and challenging because psychologically, one has to become a child in order to play with a junior and because of this reason, it is recommended in multiple studies that nurses with a special kind of personality should be assigned to the children ward. Most of the nurses are notorious for having rude and rough behaviors because they are living under such level of emotional and psychological stress that they become unstable to say the least. But, again when it comes to treating children nurses are supposed to transform healing into a game so that the childrenâ€℠¢s fear can be circumvented (Swanson & Wojnar, 2004). The hospitals are providing a colorful environment for children where there are paintings of famous cartoon characters on the walls and the patients have the facility to play and engage in positive activities such as playing music and listening and watching television. The children are fighters because their bodies have been known to perform at peak proficiencies and therefore, they are not mentally aware and neither they are willing to accept their illnesses (Altimier, 2004). Both of the previously mentioned factors have the power to expedite healing process. The challenge lies in providing a proper reinforcing environment where the belief of a child can become a reality (Pesek, Helton, & Nair, 2006). Still, the nurses must be informed that elders and children heal in two very different ways. The former ones heal with the help of a listener while the latter group wants a companion, a friend, and a player. The nurses then, must a llow the elders to share their experiences and should also provide a silent ear. The hospitals of the 21st century are transforming into community centers because they are taking up the roles of facilities that are helping in bridging the gaps between elders and children (Langsley & Barter, 1983). Quite a significant number of facilities are providing elders with an opportunity to share their life’s experiences with the next generation. The needs of both groups are fulfilled in this fashion because the elders have a profound need to share their knowledge whereas the children’s need to listen bedtime stories from their grandparents is satisfied as well (Doty, 1986). The nursing profession was developed and flourished as a means of assisting the physicians in the terms of devising an effective and efficient way of treating the illness (Bakken, Cashen, Mendonca, O'Brien, & Zieniewicz, 2000). But, according to the literature of modern healthcare, most of the physical disea ses are just manifestation of psychological problems and diseases and therefore, it is highly recommended to cure both dimensions of the illnesses simultaneously (Weatherhead, 1951). Furthermore, the children are by-default positive thinkers but transform into a hopeless individual due to the environment and because of this reason, the hospitals are repeatedly suggested to create and foster

Tuesday, October 29, 2019

Informative Synthesis Essay Example | Topics and Well Written Essays - 1500 words

Informative Synthesis - Essay Example However, the anticipated environmental concerns and possible health and life threatening effects are consistently increasing the international organizations’ condemnation on the eminent nuclear energy in Iran. Indeed, the nuclear reactors tragedy in Fukushima Japan brought severe and lifetime effects that proved to be dangerous and inevitable (Greenpeace 1). However, the significance of this critical subject hails from the fact that the host nation is a minority nation with more economical interests than human or global security concerns. Iran is indeed not in any way ready to compromise its quest in this project. Actually, the urge to make their dream for a nuclear source of energy has only grown more real. Additionally, Iran has been concealing a ploy to develop uranium enrichment in its territories. Indeed, Iran produced 215 billion kWh gross in 2008 generating a per capita consumption of about 2000 kWh/yr. Out of these production, 80% of its electricity was from gas and 16 .5% from oil. In fact, the nuclear energy reactor started up in Iran on 8 May 2011 through September 2011 after many years of construction and many consistent efforts against ever increasing international opposition. With 75 % production capacity realized in March, the prospects of the project oversee the project entering commercial operation about April 2012 (World Nuclear Association 1). Subject to these developments, the international organizations like the UN Security council and international governments like the US institute sanctions, trade barriers, and diplomatic withdrawals against Iran with a hope of convincing or even coercing Iran to compromise on its pursuit for Nuclear energy (UN Security council 1-12). However, despite the stringent terms, Iran has not shown any signs of giving in to international pressure where they prioritize their economic interests on nuclear energy before international interests. This puts to question the mode of decision-making that Iranian lea dership adopts on matters of global concern like the nuclear energy. The significance of international pressure on nuclear energy in Iran is a relevant issue on the University of Alabama student. I addressing this topic, I will focus on opinion articles, "Only Crippling Sanctions Will Stop Iran" of March 2, 2012 by Emanuele Ottolenghi and "Starving Iran Won't Free It† March 2, 2012  by Hooman Majd. The article, "Only Crippling Sanctions Will Stop Iran" of March 2, 2012 by Emanuele Ottolenghi is however more effective in that it draws the history of important Iranian decisions, how Iranians value sanctions, what drives the Iranians to change and the respect accorded to the Iranian government by the Iranians. This will help in analyzing the effect of the international sanctions against nuclear energy in Iran. Emanuele holds the opinion that the western allies assume that Iran’s leaders are rational actors, and rely on cost-benefit analyses to reach important decision (O ttolenghi 1). Hence, they assume that their continued gradual increase in the costs of Iran’s nuclear pursuit will lead to Tehran concession in the current nuclear standoff between the western decision makers and the Iranian decision makers. They expect the Iranian decision makers to behave rationally agree to a compromise and ignore Iran’s perspective on costs already incurred, the price of completing the journey and the advantages of turning back subject to the continued international pressure (Ottolenghi 1). The Iranian decision makers do not necessarily behave as assumed by the Western decision makers. History shows that the Iran’s decision makers are impervious to cost-benefit analysis and have never been isolationists. Hooman recognizes the fact that coercion, sanctions or exiles and their enablers

Sunday, October 27, 2019

Global Macroeconomic Imbalances And The Financial Crisis

Global Macroeconomic Imbalances And The Financial Crisis The world experienced the global financial crisis between 2007 and 2008. This crisis led to the threat of collapse of mane large financial institutions, down turns of major financial market in the world and bailouts of banks by difference governments in the world. One of the areas that suffered most from the effects of the global financial crisis was the real estate sector, which most argue that it must have also contributed to the crisis. This crisis also played a significant role in the failure of many key businesses around the world. One of the consequences of these business failures was the rise of high rate of unemployment around the globe. It also contributed to the decline in consumers wealth and the down turn in economic activities around the globe, which eventually led to the global recession between 2008 and 2012. Other negative effects of the global financial crisis include the rise of the European sovereign debt crisis and liquidity challenges experienced from 2007 (Obstf eld and Rogoff 2009). Many reasons have been suggested as the main contributors to the global financial crisis. Some of these reasons include the existence of easy credit conditions in the global financial markets, growth of the housing bubble in the United States of America, predatory lending, over leverage, and incorrect pricing of risks among others (Ferguson and Schularick 2009). Although many controversies remain about the role of the global imbalances on global financial crisis, it is clear that there exists a connection between the two. Those who are against the idea of the role that global imbalances played towards global financial meltdown argue that external pressure could not have played any role in the crisis. The reason they give as the main cause of the financial crisis was the failure of financial regulators to effectively control financial institutions and markets in the United States of America and globally. They also argue that policy errors could also have played a significant role in t he crisis. However, those who support the view that global financial imbalances could have played a role in the global financial crisis suggest various mechanisms through which global imbalances could have had a significant role in causing the collapse of the financial system in the world. Some of these mechanisms include the high savings of china, oil exporters and other surplus countries, which depressed real interest rates globally. The depressed global real interest rate is thought to have led investors to scramble for yield and to under price the risk. The connection between the global imbalance and the global financial crisis may also have originated from economic policies employed in a number of countries globally before the crisis. There was also the existence of distortions that played a role in the transmission of these economic policies through the United States of America and finally through the global financial markets (Ferguson and Schularick 2009). United state of America policies contributed immensely to the crisis. This country had the ability to finance her macroeconomic imbalances from easy foreign borrowing. As a result of this, the country failed to come up with tough policy measures that could have prevented the crisis. This was also the same case with other major countries that experienced deficit before the crisis. One of the alternatives source sought by the United States of America to finance her deficit was foreign banks, which provided a ready source of external funding. The main source of motivation for these foreign banks was their high appetite for assets. Prior to this period, the United States of America employed loose monetary policies, which allowed the country to borrow in dollars at low nominal interest rates. These policies also created an environment in which the asset-price movement and the exchange rate kept United States of America foreign liabilities growing at a rate that was far below its cumulative current account deficit. The case of the United States of America was similar to what was experienced in many other countries around the globe, which had current account deficit prior to the global financial crisis (Ferguson and Schularick 2009). Countries with current account surpluses on the other hand, faced minimal pressures to adjust. For instance, China was able to maintain an undervalued currency and therefore, defer to rebalance its own economy due to its ability to sterilize the immense reserve purchases,which it placed in the United States of Americas markets. Therefore, complementary policy distortions kept United States of America artificially far from her higher autarky interest rates and China artificially far from her lower autarky interest rates. It was possible therefore, to either contain or mitigate the global financial crises had low-cost postponement options not been available. The action of china to undervalue her currency may have also played a significant role in the global financial crisis that followed in between 2007 and 2008. This together with the undervaluation of the exchange rate contributed to the global imbalances (Obstfeld and Rogoff 2009). Therefore, it is clear that external imbalance were a reflection of internal imbalances in many countries. The connection between the global imbalances and the exchange rate undervaluation means that the problem could not be resolved automatically without involvement of significant exchange rate adjustments. The labor rate in china prior to the global financial crisis was far below the countrys Gross Domestic Product (GDP). Cheap relative production costs in China supported the profitability and investment in manufacturing industry. The loss of competitiveness in this country was avoided through the availability of excess labor or organized wage restraint (Ferguson and Schularick 2009). China employed policies that were aimed at promoting export-led industrialization. The policy of real exchange rate undervaluation and reserve accumulation in China could not automatically be collected by inflation due to the pervasive role of the state in the countrys financial sector, large supply o f surplus labor and the effectiveness of capital control. All this created an environment that enabled china to accumulate massive reserves of foreign currency as well as create current account surplus. This action of the Chinese country may have contributed to the global financial crisis experienced in 2008. According to Ben Bernanke, the Chairman of the Federal Reserve, a saving glut in the Asian economy as well as other exporting countries is primarily responsible for the current pattern of global macroeconomic imbalances. In providing support for his argument, Ben argues that the Asian turbulence of 1996 formed the genesis of the global imbalance. He points at Thailand which had for a long time maintained a fixed exchange rate of her currency against the United States of Americas dollar. However, there was a rapid credit expansion in the Asian countries, which fuelled bubble in stocks and real estates (Obstfeld and Rogoff 2009). This credit expansion took place within the liberalized financial system. In Thailand, the current account deficit reached about 8 percent of the countrys GDP as the rising prices of assets reversed the course. The country also experienced a fierce speculation of currency which led to the breaking up of the countrys currency peg against the dollar. This crisis was contagiously transmitted to other countries in Asia, many of which seemed healthier fundamentally than Thailand. Under this pressure, the Asian banking system faced financial crisis. To avoid eventual collapse of the banking system, most of those countries that faced the crisis turned to the international monetary fund for assistance. The conditions placed by the international monetary fund as the requirement for financial assistance left bitter memories in these countries (Ferguson and Schularick 2009). Afterwards, the developing countries as well as the newly developed countries in the Asian world went into surplus although most of them had weaker currencies than before the crisis. The dissipation of the recessionary effects in the Asian countries and the boom of dot com led to the rise of commodity prices globally. This further helped to generate surpluses for the oil producing countries in the Middle East and the commonwealth of independent countries. The case was different in the advanced countries which operated on the current account deficit. For instance, the United States of America ran on a deficit of about 4.3 percent in 2000. There was persistent growth of surpluses in the Asian countries and the oil producing countries. However, in this newly industrialized Asia, the gross savings did not change substantially after the crisis although there was a considerable decline in the investment. In contrast, the savings in the developing Asian countries initially returned to the same level as before the crisis. This was followed by rapid growth in savings which peaked at about 47 percent of the GDP (Obstfeld and Rogoff 2009). The case was the same as far as gr oss investment was concerned. The investment returned to the pre-crisis level and then rose significantly thereafter. These current account surpluses were supported by the exchange rate policies, which tended to maintain rates at competitive levels different from what was the case in the pre-crisis period. Foreign exchange intervention policy in Asian countries was motivated by the need to pursue export-led strategies for maintenance of high economic growth rates. There was also the need to accumulate substantial stock of international reserves as a buffer against future financial crises. This was considered to be necessary in order to avoid a possible future dependence on International Monetary Fund. Therefore, some countries such as Saudi Arabia maintained pegs to the United States of Americas dollar. This further helped in the growth of the global imbalance that finally was responsible for the global financial crisis in 2008 (Ferguson and Schularick 2009). Further, these countries devalued their currencies against the United State of Americas dollar. Therefore, these countries remained at depreciated levels compare to the period prior to the crisis. The intervention policies by the Asian countries were responsible for the rapid growth of international reserves in these countries (Obstfeld and Rogoff 2009). Another factor that may have contributed to the global imbalance and eventually the global financial crisis was the speculation against the overvaluation of the dollar during the closing years of Bretton Wood System. This speculation led to the growth in international reserves and the high global inflation that followed thereafter. The reserve growth in the United States of America also led to the increase in the prices of commodities, housing and other assets in the country and other countries. The Chinese reserve accumulation outstripped even the growing current account surplus. The balance of payment surpluses was further augmented by the strong inward of Foreign Direct Investment (FDI). Therefore, economic policies and market developments played a significant role in the generation of current account surpluses (Ferguson and Schularick 2009). This in turn led to rapid accumulation of private and public claims on industrial countries especially the United States of America. According to Bernanke, the outward shift of emerging market saving schedules was the principle cause of expansion of the United States of Americas deficit starting in the 1990s. This global saving glut led to the worldwide asset price adjustments, which induced a number of advanced economies such as the United States of America to borrow m ore heavily from foreign sources. Other economic factors that contributed to the global financial crisis include equity prices. United States of America experienced heavy capital inflow from emerging market savers. This led to a large appreciation of the stock prices and the value of the dollar. This implied wealth and international competitiveness effects and a large deficit in the United States of Americas current account. Saving in the United States of America was further discouraged by the expectations of the rapid future productivity growth. These expectations encouraged investment. Another factor behind the global financial crisis was the falling real interest rates in the United States of America and other advanced economies (Ferguson and Schularick 2009). This low rate of interest contributed to the decline in savings. There was also the fall of long-term interest rates which brought down the mortgage rates in the United States of America and other countries in the world. Allan Taylor in his article The Financial Rebalancing Act argues that even without any government intervention, these global imbalances are likely to stop increasing at the same pace and may even decease. He further argues that the economists and the policy makers risk fighting the last battle even as a new post crisis economy emerges with its own set of challenges. According to him, this will happen as a result of emphasizing the importance of these imbalances. For the long-term solution to the imbalances, the view of Taylor is correct. Imbalances will create counterparts conditions in different countries which will eventually bring this countries current accounts into equilibrium(Taylor 2011). For instance, one factor that has led to the global imbalance is the devaluation of currencies by some countries. This policy has enabled countries that follow such policies to create current account surpluses. It has also contributed to huge capital investment in countries with current account deficit. In the long term, the interest rate in the deficit countries will cease to be attractive and therefore, discourage further foreign investment. The low demand for dollar as a result of this will lead to the depreciation of the dollar relative to the currencies used by the surplus countries(Taylor 2011). This will lead to the reduction in the level of surplus and the deficit in respective countries. Some of the policies that countries can employ to correct global deficit include reorientation and coordination of fiscal policies, addressing financial markets instabilities, alignment of macroeconomic and structural policies for sustainable development and dealing with job crises through g lobal rebalancing. The EURO Crisis Economic crisis has on numerous occasions hit the world and the factors that have contributed to the crisis either directly or indirectly. It is worth noting that financial crisis is as a result of a combination of complex factors which include internal trade imbalances, high risk lending as well as borrowing among others. However, one of the financial crisis that shocked the EUROZONE and has had profound impact is the EUROZONE crisis; various scholars as such have come forth with different schools of thoughts concerning the crisis. One such scholar is Martin Feldstein argues that the current crisis of the European single currency was an accident waiting to happen. To him he argued that the development of such economic structure was a ruthless, politically motivated experiment. Similarly the present problems facing member countries as a result of leaving country-specific economic policies and individual exchange rates were predictable by economists politicians chose to ignore them (Feldstein, 2010). The paper will give the views of the researcher whether he agrees or not with Martin Feldstein argument. In doing so, the researcher will critically look into arguments for and against adopting a single currency economy. Additionally the major factors deemed to be responsible for the crisis of confidence in the EURZONE. Martin Feldstein argument and my views With regards to EUROZONE crisis Martin Feldstein strongly believed that indeed the adoption of a single currency was an accident waiting to happen. The unpleasant cost of adopting a single currency on a incongruent group of countries were at first concealed by the short-run advantages that the weakest countries enjoyed when they adopted the euro in 1999 and by the favorable global economic conditions that prevailed until 2008 (Feldstein, 2010). In order to support or refute the claim, it is important to first examine the pros and cons of adopting a single currency economic structure. However it is important to understand the beginning of the crisis. The crisis in the zone started immediately the financial markets lost confidence in the creditworthiness of Greece and other periphery countries; this resulted in interest rates on government bonds going higher to levels that compelled the affected governments to ask for bailouts from international community, the European Community and th e IMF. EUROZONE adopted single currency back in 1999 with the aim of empowering the member countries economically as well as politically. This is after the region tracked greater financial integration since 1957. There are two main categories of the advantages that come with the adoption of a single currency in the EUROZONE both leading to gains in economic efficiency. One important importance of such a concept is that the transaction cost will be eliminated. Usually transaction costs are manifested in several ways for instance fixed commission as well as the spread between the buying and selling prices of any given currencies. It is worth noting that for the member countries which operate business with others in the same region, then the currency conversion cost is done away with for the member countries which are vital for both individuals as well as firms doing business with foreign partners (Rose Wincoop, 2001). On the same note a single currency ensures that there is a ground to compare prices, making price differences more noticeable as well as equalization across the borders. Scholars in the field of economy have held that the absence of transaction costs as well as transparency in prices creates a deep and more integrated financial market. This type of integration makes it possible for member countries to have various channels used to share risks. For instance when a member country is hit by negative shock, firms definitely make losses which result in lowered stock prices, on the other hand when there is an economic boom in a another country, the stocks of firms in that country will go up contributing to profit making investors from the country hit by negative shock a new lease of life. Thus single currency allows country to share the risks of negative shocks. It has been argued that the justification for adopting single currency in EUROZONE is to avert the negative effects of exchanges rates. There is no doubt that uncertainty in changes in exchange rates hinders the flow of trade as well as investments. Thus in situations where business people are faced with trade opportunities or investment, they will be more attracted to countries where the risks of currency and interest rate changes are minimal(Artis, Hennessy Weber, 2000). However Feldstein, 2010 argued that a common currency means that every EUROZONE country has the same exchange rate, stopping the natural rate of adjustments that maintain national competitiveness when there are different trends in productivity and demand. As such he posits that this denies some countries the opportunity to raise the real incomes of her employees. In fact this is what EUROZONE is trying to discourage a scenario where some countries are extremely richer than others. Despite the advantages mentioned above, single currency has a number of disadvantages. First the system brings costs to firms, individuals and other institutions to adjust to the new currency. Usually these parties have to incur huge costs in changing the invoices, price lists, office forms, payrolls, databases, bank accounts, and meters for postage as well as parking among other things (Rose Wincoop, 2001). For countries which had weaker financially, they have to engage in excessive borrowing in order to carter for these expenditures. This as explained by economists is a recipe for economic crisis (Artis, Hennessy Weber, 2000). Secondly single currency economy means that there is no national monetary policy which has been a vital tool for states to adjust the economic equilibrium in situations where it faces economic shock. Usually economic shocks are unpredictable and unexpected and it characterized with disparity in production, consumption, investment as well as government expenditure (Feldstein, 2010). Factors responsible for the current crisis of confidence in the EURO zone There are a number of factors that played substantial role leading to the present crisis of confidence in the EUROZONE. Top on the list the inability of the government to service their debts. The debts resulted in heavy government spending and the desire to help those countries in problem to get out of the economic crisis. A typical example is Greece who received numerous loans for the purposes of bailing itself out of the economic crisis. However it emerged that the country was unable to service their debts (Rose Wincoop, 2001). Similarly other countries such as Italy and Portugal accrued debts at very high levels making them unable to successfully service their loans. Additionally member countries such as Spain found it difficult to roll-over maturity debt, this coupled with the fact that it was not possible for EUROZONE member countries to raise enough financial resource to rescue member countries such as Italy and Spain was too large contributed to the confident crisis in the reg ion (Yifu, L. Treichel, 2012). More importantly financial deregulation and liberalization contributed to the confident crisis. These two concepts enhanced the creation of new financial instruments as well as derivatives which made banks in member countries to raise leverage and to boost funds to be loaned. This in the end spurred a real estate as well as expenditure explosion (YifuTreichel, 2012). Similarly another contributor to the consumption bang is the single currency which eliminated currency risk by allowing the interest rates to be lower. The two concepts as well as the decline in interest rates led to increased inflows of money from core fall in interest rates contributed to large inflows of capital from core countries into periphery countries resulting in housing bubbles and surplus consumption. Conclusion From the review the paper has critically looked into the assumption that the adoption of a single currency is to blame for the recent EUROZONE crisis. However, looking at the advantages and disadvantages of the economic structure I beg to disagree with Martin Feldstein views that the current crisis of the European single currency was an accident waiting to happen. To my understanding, a host of factors contribute to financial crisis and it is wrong to lay blame on a single currency economy as the sole reason for the crisis. Similarly the major causes of confident crisis in the region include failure of government to service their debts, high level of unemployment as well as financial deregulation and liberalization. The Asian Curreny/Financial crisis The East Asia Currency/financial crisis were mainly caused by sudden shifts in market confidence and expectations. Since the macroeconomic in some countries had worsened in 1990s, the depth of the 1997-1998 crisis are not attributed to deterioration in fundamentals, but to panic on the international domestic investors, reinforced by the international financial community and response of the International Monetary fund faulty policy (Poser, 2008). The financial turmoil reflected policy and structural distortions in the countries of that region. The currency and financial crisis in 1997 was triggered by fundamental imbalances. Once the crisis started, herding and market overreaction caused the plunge of exchange rates, economic activity and asset prices to be more severe than the one which was warranted by the weak economic conditions. The macroeconomic imbalances in East Asia countries are accessed within structural factors: foreign indebtedness and current account deficits, savings and investment ratios, real exchange rates, growth inflation rates, budget deficits, and foreign reserves, measures of debt and profitability and political instability (Roubini, Pesenti, Corsetti, 1999). Principal factors responsible for the Asia currency/financial crisis The roots of the Asian crisis are evident on the structure of incentives under which financial sectors and corporate operated in the region, in reference to regulatory inadequacies and close relationship between private and public institutions. The Asia moral hazard magnified the financial vulnerability of the countries in the process of financial market liberalization in 1990s, showing its fragility in the financial and macroeconomic shocks that occurred in 1995-1997 period. This problem lead to the exhibition of three different yet strictly related dimensions at the financial, corporate and international level (Mengkni, 2009). For the corporate level, political pressures for maintaining high economic growth rates led to long public guarantee to private projects, where some of them were undertaken under control of the government, subsidized directly, or supported policies of credit to favor industries and firms. In the absence of explicit promises of bail out, the strategies and plans of production of the corporate sector overlooked riskiness and costs of the underlying investment projects. Having the industrial and financial policy enmeshed within a business sector network o political and personal favoritism, and with the government being ready to intervene for the troubled firms, markets were operated with the impression that to be back to the investment was some how insured against adverse shocks (Poser, 2009). This beliefs and pressures represented the underpinnings of a sustained process of accumulation of capital, hence resulting into sizable and persistent current account deficits. As we all know, borrowing from a broad to finance investments domestically should not lead to concerns about external solvency, but it can be the optimal course of action for economies which are undercapitalized with good investment opportunities. According to the evidence for the countries, in 1990s, it highlights that the profitability of the projects which were new was low. The capital inflows and investment rate in Asia remained high even after the negative signals which were sent by profitability indicators. This result was due to the interest rate which fall in industrial countries lowered the capital cost for inflows and motivated financial flows in these East Asian countries. The crucial factor which underlined the sustained investment was the moral hazard problems in the countries, hence leading the banks to borrow excess finances from abroad and lending excessively at home. The financial intimidation also played a crucial role in channeling the funds to projects which were marginally if not outright unprofitable (Roubini, Pesenti, Corsetti, 1999). In the Asian pre crisis, there is a long list of structural distortions in the banking and financial sectors. these are: low capital adequacy ratios, weak regulation and lax supervision, insufficient expertise in the regulatory institutions, lack of compatible-incentive deposit insurance schemes, distorted incentives for monitoring and project selection, non market criteria of credit allocation, outright corrupt lending practices, according to the model of relationship of banking that practiced semi monopolistic relations between firms and banks while down playing price signals. The stated factors lead to the creation of severe weaknesses in the undercapitalized financial system, with a growing share of non performing loans (Poser, 2008). The distortion consequences were magnified by the financial market deregulation and rapid process of capital account liberation in the region during the 1990s, which leads to the increase of elastic supply of funds from abroad. The liberalization of capital markets was consistent with low supply of funds to the domestic corporate and national financial institutions sector. This goal motivated policies of exchange rate aimed at reducing the domestic currency in terms of the US dollar; hence the risk of premium on dollar denomination debt is reduced (Mengkni, 2009). International dimension of the moral hazard problem was affected by the international banks behavior, which lead to crisis over a period had lent large funds to domestic intermediaries, with the neglect of standards for risk assessment. This over lending syndrome may have lead to short term interbank be effectively guaranteed by a direct government intervention in financial debtors favor, or by indirect bail out through IMF support programs. Again, large amount of foreign debt accumulation was in the form of unhedged, bank related short term, and foreign currency denominated liabilities. In the year 1996, a short term liability in the form of total liabilities above 50 percent was the norm in the countries. Also, the ratio of foreign reserves to external liabilities, which is an indicator of financial fragility, was above 100 percent in Thailand, Indonesia and Korea (Roubini, Pesenti, Corsetti, 1999). The implication of moral hazard is the adverse shock to profitability which does not induce financial intermediaries to be more cautious in lending and following the financial strategies hence reducing the riskiness of their portfolios. To be opposite, the negative implications of a future bail out gives a strong incentive to act on more risk. On this regard, several countries, specific and global shocks lead to severely deteriorate that the outlook of the overall economy in the Asian region. This exacerbated the distortions in place (Poser, 2008). Inevitability of the Asia Crisis The Asian financial crisis was inevitable because before the crisis, the Asia countries currencies were already depreciating and the growth was very slow. There was also a drop of stock markets and real estate, and speculative trends were fueled by foreign capital inflows. This led to outright defaults and wide losses in the financial and corporate sectors. Again, policy uncertainty which was stemming due lack of commitment to structural reforms by the domestic authorities made things worse. The rapid reversals of financial capital inflows on the summer of 1997 lead to regional currencies collapse hence the international and domestic investors panic (Mengkni, 2009). The timing of the crisis The timing of the crisis was in line with financial challenges of the East Asia countries. The economy of the countries was stagnant before the crisis began. Before the crisis, there was fundamental imbalance which was triggered by financial and currency crisis. Therefore, the timing of the crisis was in relation with the weak economic conditions experienced (Roubini, Pesenti, Corsetti, 1999).

Friday, October 25, 2019

Leadership :: essays research papers

are in an election year, and it is during such time candidates running for office love to discuss subjects that are in the public eye. The latest topic among candidates stumping for political office is the decline of the American family. Many candidates address different aspects of this issue, but few politicians offer real solutions. I believe it is not the role of the federal government to legislate solutions for the problem's families face within our country today. This responsibility belongs to individual men who should work to protect and strengthen their family. Steve Farrar’s book, Point Man, takes on the issue of male leadership and the importance it plays in the home. He tackles the issue from a Biblical perspective; offering insight from God’s word throughout his book. The author writes, â€Å"If hundreds of thousands of men seriously began to lead their own homes, the impact on America would be far greater than one Christian man leading in the White House.à ¢â‚¬  Steve Farrar takes a hard hitting approach from the very beginning the book by stressing the important role men play in the lives of their families. They are the â€Å"Point men," who must take up the lead and guide their families through the war zone; protecting them from the enemy. Farrar shows the casualty list is real by listing the most recent statistics for divorce, and teenage pregnancy. The emphasis in the second chapter deals with, â€Å"Saving the boys.† Today’s little boys will grow to be tomorrow’s leaders, and husbands. He identifies the importance of a man spending time with his children, by emphasizing the significance of physical and emotional support a child needs from a parent. The author quickly shifts from a mans relationship with his children to the one he shares with his wife. He writes about how commitment has become cheap in our society, and is only kept if it is convenient. Farrar contrasts this attitude with the Biblical truth of lifelong commitment. A â€Å"One-Woman Kind of Man,† remains faithful by always considering what his eyes see and mind thinks about. He deals directly with the seriousness of adultery, choosing not to tip-toe around the subject like society has chosen to do. While dealing with this topic the author provides valuable insights of how men can guard against the pitfall of this sin. The two key chapters of this book have to do with a mans personal relationship with God.

Thursday, October 24, 2019

Ls module

By definition, security refers to ease and trust. C] People you can rely on & know what is expected in the future (or vice versa) 0 Have a better feeling of comfort and safety (or vice versa) e. G. More engagement In social / group activities 0 More trustworthy Friends; Family Relationship Secondly, another esteem builder Is Selfless. By definition, selfless means self-concept. D Acquire self-knowledge & a feeling of Individuality with accurate and realistic self-description C] e. G. Assistance to build up a better self- Image, Like exercise to build up a sharper boy shape; Explore uniqueness & talentsThirdly, another esteem builder is Affiliation. Affiliation refers to belonging & connectedness. D Feeling approved of, appreciated, and respected by others C] Sense of belongingness and acceptance, particularly in relationships that are considered important L e. G. Communication skills for making friendships 0 Sense of acceptance; Assistance to integrate into community Fourthly, anothe r esteem builder is Competence. Competence refers to Feeling of Success. C] Being aware of one's own strengths, being able to accept personal weakness 0 Have a sense of success and accomplishment D e. G.Assistance to find a suitable Job; Give positive comments & achievements; engagement In social & charitable activities Fifthly, last esteem builder is Mission. Mission refers to Purpose and Responsibility. D Set realistic and achievable goals and willing to take responsibility 0 Feeling of purpose and motivation in life 0 e. G. Assistance to set up achievable short term and long term goals 2. Measles Hierarchy of Needs proposed by Ram Moscow (Related to Module 5 Public Health) Hierarchy means arrangement of Items, so dissatisfaction of lower level hinders satisfaction of higher levels.So dissatisfaction of lower level needs hinders recognition & satisfaction of higher level needs. The farther up the hierarchy one goes, the more individuality, humanness and psychological health one ac hieve. Level E. G. Food, drink, oxygen, sex, sleep, exercise, homeostasis(stable internal environment), excretion Level two is the safety and security needs. It refers to needs for long-term survival and stability. E. G. Property, health, family, resources, employment, law and order, predictability, body, structure, stability, freedom from threatening forces such as illness, fear and chaosLevel three is the belongingness and love needs. It refers to affiliation and acceptance. E. G. Friendship, family, sexual intimacy, affectionate relations with others. Level Four is the Self-esteem needs. It refers to achievement and recognition. E. G. Desire for competence, confidence, achievement, independence, freedom, and respect from others, like desire for prestige, recognition, reputation, status, appreciation and acceptance. Level Five is the self-actualization. It refers to full development of one's potentials.E. G. Morality, creativity, spontaneity, lack of prejudice, acceptance of facts , problems- loving Elaboration: (More like the effects or impact of something) Issue 0 Physiological needs, the lowest level not satisfied 0 Principle of Hierarchy: Dissatisfaction of low level hinder satisfaction of higher level 0 Cannot reach higher level of needs, namely the 4 higher levels 0 Mention the highest level 0 Less individuality, humanness and psychological health [Commonly seen in Less Developed Countries, like Africa.

Wednesday, October 23, 2019

Biographical/Historical Influences Essay

Frankenstein, also known as ‘The Modern Prometheus’, is written by a British author Mary Wollstonecraft Godwin – Shelley during her teens. The novel’s theme is leavened with a few characteristics of Gothic and Romanticism. Based on â€Å"Frankenstein, Or, The Modern Prometheus† (Shelley), the title is alluded to an inventor, Victor Frankenstein, who has an ability to create life of a man whom he calls ‘monster’ afterwards. Moreover, the long arguments with regard to the significance and originality of the story always come along the way; thus, this paper unfolds the real essence of the story—what does it signify for the modern readers; and how do words of the story flow along with the connotations; its influences and so on. Given the list of influences and/or events from Mary Shelley’s life, it becomes quite easy to identify and distinguish how these impacts have prospered to the entire conception of the novel. One of the influences concern the arguments of his father, Godwin in Political Justice, in which he argues that decisions made concerning who lives and dies should be made by those scientists and doctors that are completely impartial. In addition, the impacts of Godwin’s pieces of writing in Shelley’s philosophical thoughts become undeniable, indeed. Her father created a certain philosophy in which the presence of responsibility is inevitable: â€Å"The true perfection of man was to attain, as nearly as possible, to the perfectly voluntary state; that we ought to be, upon all occasions, prepared to render a reason of our actions; and should remove ourselves to the furthest distance, from the state of mere inanimate machines, acted upon by causes of which they have no understanding,† (â€Å"Political Justice 2: 519-528,† Godwin). Hence, as an analysis of the entire view, it becomes quite easy to determine all the responsibilities, which are accountable for every individual’s behavior such as those of Frankenstein. One of the impacts that should also be acknowledged is that which concerns her father’s disapprobation of the rise of technology; stating that its existence would diminish the need for human beings to cooperate with each other—making it less and less necessary to work together. In other words, such a view concerns dealing with reliability on the information technology: â€Å"Responsibility in the contemporary world and with the awesome power of technology which may be used for good or evil has changed. We cannot evade the responsibility that comes with this change — the responsibility to use technology wisely, not only for the sake of our patients but also for the sake of the future. In a sense, we need to be able to foretell the future, to re-enunciate norms and standards as substitutes for the norms and standards left behind by technology. If we fail to do this, the future is bleak,† (Loewy). In other words, development of the high and sophisticated technologies may bring a number of troubles in various means, as seen in the Frankenstein’s work. Moreover, the creation of the novel also comes along with an influence concerning Mary Wollstonecraft (Shelley’s mother) who refers Frankenstein to Prometheus who attempts to give the power of the gods to humanity. In her novel, the appearance of the ‘monster’ is a scientific blame in which the creature dares to imitate God: â€Å"Nature in every thing demands respect, and those who violate her laws seldom violate them with impunity,† (â€Å"Vindication of the Rights of Woman,† Wollstonecraft). Hence, the laws of nature should make the boundaries of everyone’s behavior; Victor Frankenstein surpasses such boundaries like the new sophisticated technologies. Cited Works Loewy, Erich. â€Å"Textbook of Medical Ethics. † NY: Plenum Medical Book Company, 1989, p. 69 â€Å"Political Justice. † bilkent. edu. February 2, 2009. Shelley, Mary. â€Å"Frankenstein, Or, The Modern Prometheus. † Broadview Press Edition 2. Eds. David Lorne Macdonald and Kathleen Dorothy Scherf. Melbourne, Australia: The University of Melbourne, 1999. 364 pp Wollstonecraft, Mary. â€Å"Vindication of the Rights of Woman† pp 138-139. sa

Tuesday, October 22, 2019

responsibility for the knower Essays

Does making a knowledge claim carry any particular obligation/responsibility for the knower Essays Does making a knowledge claim carry any particular obligation/responsibility for the knower Paper Does making a knowledge claim carry any particular obligation/responsibility for the knower Paper Essay Topic: Claim Of Value Education Anybody who makes a knowledge claim must take responsibility for their claim, particularly if they are parents, teachers or a respected individual in society. Parents are largely responsible for early childhood learning, teachers are responsible for late childhood and adolescent learning, and leaders affect adult attitudes. In growing up, children are greatly influenced by their parents or guardian because they are the first people from what they gain knowledge from. Konrad Lorenzs study with young ducklings suggested a critical learning period in which knowledge is most readily obtained. Many types of knowledge are acquired during childhood, notably ethics and values, which will undoubtedly affect the childs perception and development in the future. Limited knowledge from other types of areas is also acquired during early childhood, and forms the roots of subsequent learning. If a teacher claims that subtraction is the same as addition, then all the students will undoubtedly experience difficulty in future studies. Therefore, any knowledge claim made to a child necessarily has a profound impact on their understanding of the world and those who make the claims must take responsibility. The majority of our learning takes place in educational institutions and our knowledge is acquired from teachers. Teachers are also highly respected and their knowledge claims are therefore highly influential. Though in certain subject areas, knowledge can be attained through logic and reason (such as mathematics), other subject areas can not. In history and biology, for example, the student depends on the teachers accountability. Students lack the incentive to verify every knowledge claim and will not question the teachers stance on the polarity of water or the Austrian heir to the throne. A teachers false claim will have serious consequences and teachers should therefore take responsibility for their claims. Education systems today rely heavily on language, as opposed to hands-on or visual demonstrations. Whorf and Sapirs theory of Linguistic Determinism states that knowledge is determined by language. For example, Navajos have precise words for different shape and consequently, they have a stronger sense of shape. Similarly, the diction of a teachers knowledge claim will have serious implications on the students learning. Austen uses their conversation to criticize Mariannes impulsiveness would have a very different impression on students as opposed to Austen hated impulsive people. Therefore, teachers must take responsibility for the diction of their knowledge claims. Learning is generally thought of as limited to educational institutions, but much learning takes place in adulthood as well. Esteemed individuals in society often have the power to influence the general public and any knowledge claims they make will be influential. In Europe, Hitlers numerous claims concerning Germanys superiority aroused millions to support him. The destruction and causality that his knowledge claims directly or indirectly caused in World War II are horrendous and indisputable. In China, Chairman Maos knowledge claims brainwashed millions of young Chinese to join the Red Army. Consequences of Maos knowledge claims during the Cultural Revolution are also apparent. Both Hitler and Mao were highly influential leaders who are responsible for their knowledge claims. Hence, leaders should take precaution in their knowledge claims and statements for they are responsible for their claims. Naturally, knowledge claims of leaders can be beneficial to vast populations, and leaders can treat their responsibility as an opportunity positively influence people rather than a burden. The consequences and implications of knowledge claims are indisputable, and therefore the people whom make knowledge claims should take responsibility for them. Since learning takes place throughout our lives, the people who teach us in all stages should take responsibility for their knowledge claims. Though parents, teachers, and respected individuals are heavily liable for their claims, they are not the only ones who must take the burden. Every person we interact with will influence us, and therefore, all knowledge claims must be taken responsibility for by the knower.

Monday, October 21, 2019

Free Essays on Libra

Libra â€Å"He was just riding to ride.†(3) In Don DeLillo’s Libra a story is told. A story of chance. A story of one-man whose life is like the train that’s he is on. He rides just to ride. Lee Harvey Oswald, the man who shoot and killed John F. Kennedy. DeLillo has created a fictitious story out of the events related to the assignation of John F. Kennedy. DeLillo creates an elaborate charter out of Lee Harvey Oswald in order to show a â€Å"truer† Oswald, not just a picture of a killer. Oswald’s life was one of uncertainty and indecision. He had no direction from within himself; he believed that a higher force was controlling his life. Was it an outside force that directed the story of his life, or just pure chance? Chance is a powerful thing and I believe that it played a huge part in Oswald’s life. Chance was the train and he was just riding to ride. Throughout the novel DeLillo tries to put us into the mind of Oswald. In the passage that starts on page 333 we see clearly through Oswald’s perspective, and what some would consider schizophrenia. DiLillo uses decontextualization to show how Oswald’s reality is based on chance. In one scene we see Oswald sitting on the floor of the Pain house with his Russian wife Marina watching Television. Oswald reminisces on all the major events that happened to him in the past and discovers that they all happened in October and November. His birthday, his enrolment in the Marines, his arrival in Russia, his attempted assignation on General Walker, among other things are all related through these two months. To Oswald this just couldn’t be chance. It has to have a deeper meaning. Another example is how Oswald ties his reality into John f. Kennedy’s life. â€Å"Brothers named Robert.†(371) This really meant something to Oswald; their brothers had the same name. He had a relation to the presiden! t. They had something in common, even though it is something so small and trivial, it ... Free Essays on Libra Free Essays on Libra Libra â€Å"He was just riding to ride.†(3) In Don DeLillo’s Libra a story is told. A story of chance. A story of one-man whose life is like the train that’s he is on. He rides just to ride. Lee Harvey Oswald, the man who shoot and killed John F. Kennedy. DeLillo has created a fictitious story out of the events related to the assignation of John F. Kennedy. DeLillo creates an elaborate charter out of Lee Harvey Oswald in order to show a â€Å"truer† Oswald, not just a picture of a killer. Oswald’s life was one of uncertainty and indecision. He had no direction from within himself; he believed that a higher force was controlling his life. Was it an outside force that directed the story of his life, or just pure chance? Chance is a powerful thing and I believe that it played a huge part in Oswald’s life. Chance was the train and he was just riding to ride. Throughout the novel DeLillo tries to put us into the mind of Oswald. In the passage that starts on page 333 we see clearly through Oswald’s perspective, and what some would consider schizophrenia. DiLillo uses decontextualization to show how Oswald’s reality is based on chance. In one scene we see Oswald sitting on the floor of the Pain house with his Russian wife Marina watching Television. Oswald reminisces on all the major events that happened to him in the past and discovers that they all happened in October and November. His birthday, his enrolment in the Marines, his arrival in Russia, his attempted assignation on General Walker, among other things are all related through these two months. To Oswald this just couldn’t be chance. It has to have a deeper meaning. Another example is how Oswald ties his reality into John f. Kennedy’s life. â€Å"Brothers named Robert.†(371) This really meant something to Oswald; their brothers had the same name. He had a relation to the presiden! t. They had something in common, even though it is something so small and trivial, it ...

Saturday, October 19, 2019

A Comparison of Happiness and Power in Paradise Lost by John Milton and A Dolls House by Henrik Ibsen

A Comparison of Happiness and Power in Paradise Lost by John Milton and A Doll's House by Henrik Ibsen Happiness is a luxury only the powerful can afford. In light of this view compare representations of happiness and power in Paradise Lost and A Doll’s House. (30 marks) In both Paradise Lost and A Doll’s House, to say only those in power truly experience the luxury of happiness would be a somewhat reductive statement. Arguably, there are grounds to argue that Eve, as an embodiment of the weak woman in a patriarchal society, never receives the empowerment she desires, despite all efforts to strive for independence, knowledge and subsequently, happiness. Adam does, however, forgive her towards the end of the poem and their love becomes stronger, perhaps signifying a version of a happy ending. The title of the poem in the first place, however, ‘Paradise Lost’ suggests a loss of complete happiness and fulfilment and due to their own actions, Adam and Eve’s Utopia and Paradise is altered and corrupted. Like Eve, in A Doll’s House, Ibsen’s Nora symbolises the patriarchal stereotype of a supressed woman. Nora openly proclaims that she was never truly happy under the restrictions of her role as a housewife and a moth er, but as she leaves her family in search of herself she arguably becomes empowered. Despite the lack of resolution at the end we, the reader are given the impression that Nora will find, at least a happier life than the one by Torvald’s side. On the other hand, to say Nora’s abandonment of her family makes her powerful could be disputed considering the patriarchal context the play was written in. Nora perhaps does find happiness by leaving her family, but from a patriarchal point of view, for a woman to leave her ‘duties’ as a wife and a mother is a woman abandoning her purpose which, arguably, renders her weak and disempowered. Patriarchal and masculine power is a central theme to both texts which arguably leads to misery, not happiness as the repression of women causes their wives to ‘stray’ in seek of independence. Both men at some point lose the women that they love even if temporarily, thanks to their pride and desperation to hold onto patriarchal power. Arguably, Torvald plays up to this stereotype as the strong heroic protector wishing that ‘sometimes [†¦] some terrible danger might threaten [Nora] so [he] could offer [his] life [his] blood, everything for [her] sake.’ Nick Worrall argued that ‘his security depends on feeling superior,’; and as Torvald indulges in this patriarchal concept of a male hero, this statement rings true, portraying the idea that for a man to feel powerful, they must lure thus power and ‘superior[ity]’ over their wives. It appears, however, that Torvald’s words are false and empty as when faced with the opportuni ty to save his wife by providing the ‘miracle of miracles,’ it seems, he is unable to trade in his pride for the happiness of his marriage. Instead, he declares, ‘no man can be expected to sacrifice his honour, even for the person he loves.’ Arguably, Ibsen intended to use Torvald to represent the gender inequality in the time he was writing, and the importance of patriarchal male pride placed even above the importance of family and marital love. Perhaps by having Nora leave, Ibsen was trying to say that placing too much importance on being the stereotypical masculine figure and neglecting female rights would only lead to unhappiness. Arguably, this is seen where Torvald’s male pride leads to Nora’s realisation that he is not able to provide for her (haven’t you been happy here? / No; never. I used to think I was. But I haven’t ever been happy’) and consequently his misery as she abandons him in search of her freedom. Likewise, following Eve’s transgression (‘she plucked, she ate, earth felt the wound’) Adam is initially unable to put aside his masculine pride for the happiness of their relationship, and so despite maintaining power he does not seem to be presented as happy. This is made apparent when Adam’s address of Eve changes from ‘sole Eve’ to ‘ingrateful Eve’ as he blames and reprimands her: ‘bad woman.’ Like Torvald, Adam is unable to look past Eve’s transgression, which causes him to be bitter rather than happy as arguably, he is driven by his sexism and desire for power, and not his love. Weathers was of the opinion ‘that bitter antifeminism [†¦] accompanies young masculinity,’ a statement which seems to describe not only Adam’s behaviour, reflected by his twisted pet names but Torvald’s too as he also mocks Nora’s femininity with insulting remarks: ‘thoughtless woman.â⠂¬â„¢ In both texts, the male characters use the noun ‘woman’ to reprimand and mock their wife’s gender, arguably, to make themselves feel powerful and therefore happy. This attitude of male superiority was common in both contexts, but particularly in the 1600’s evidenced in Milton’s divorce tracts: ‘who can be ignorant that woman was created for man and not man for woman.’ Arguably, Milton’s views are expressed clearly through Paradise Lost as Eve is supressed and put back in her place, ‘safe and seemliest by her husband’s side’ and we are given the impression that had she listened to her husband, the fall would never have taken place: â€Å"Would thou hadst heartened to my words (Adam).† We see however, that this power, like with Torvald, does not bring happiness but anger and resentment and it is not until Adam is able to forgive his wife, and let go of his pride that he is able to pass the ‘tr ial of exceeding love’ and better their relationship. We see then that for both male characters in these texts, their desire for patriarchal power does not provide them with the luxury of happiness but pushes their wives away and makes them bitter and resentful. For Torvald, he is unable to rectify his relationship and is left at the end of the play miserable, and disempowered, but for Adam, despite the fall and his subsequent disempowerment, his relationship with Eve is reconstructed and we, the reader, is left with the impression that they are happy. On the other hand, the patriarchal stereotype categorises women as weak, yet in both texts, the female characters empower themselves by striving for independence, knowledge and happiness. Towards the end of A Doll’s house especially, we are given the impression that Nora will find happiness as she realises that she has ‘another duty which is equally sacred, a duty towards [herself].’ Jakovlievic argued that ‘Ibsen presents the image of a happy household infested with unhappy performatives’ but arguably, as the play draws to a close this image is shattered and the patriarchal pretences are revealed as Nora states: ‘you were never in love with me, you just thought it was fun to be in love with me.’ Nora’s realisation that her marriage is a faà §ade arguably leads to her decision to step away from her husband in search of independence, knowledge and the happiness those entail. It could be argued that Nora’s search for independ ence indicates Ibsen’s view as a humanist and as some have argued, a ‘proto feminist,’ who believed that it was not a ‘question of women’s rights’ but of ‘human rights.’It seems, however, that though Ibsen’s desire was for gender equality, Nora’s freedom would not have been genuinely possible in Ibsen’s contemporary society. Ibsen’s inspiration for Nora was a friend, Laura Keeler who when stepping out of the confining, patriarchal parameters, was punished by her husband and placed into a mental asylum. It seems then, that though we are given the impression of empowerment and happiness Nora’s journey is not a true representation of what was accessible for women in the 1800’s. Equally, Eve is repressed by the male figures in her society and expected to ‘study household good’ under the role of the 17th century ideal housewife. Like Ibsen’s, Milton’s ideology seems t o run through his text through the presentation of Eve as she is prohibited from gaining knowledge such power that comes with it. This seems to mirror Milton’s attitude towards women, who in his own life had forbidden his daughters from a full education. As a result, it seems that unlike Nora, Eve does not triumph in her search for independence but instead is laid with the consequences of the fall: pain in child birth, mortality and the gift to future generations of hereditary sin, ‘who might have lived and joyed immortal bliss.’ Despite these consequences, however, as book 9 commences one of Eve’s main arguments for ‘divid [ing their] labours’ is to escape the threat of the tempter, Satan (‘how are we happy, still in fear of harm.’) As Satan is the most penalised, admonished to hell, subject to the constant temptation of fruit that turns to ash, despite Eve’s inability to achieve independence, the removal and punishment of Satan does dissipate the perpetual fear of ‘the evil one’ and allow herself and Adam to live together in peace, harmony and happiness. Overall, we are given the impression that through a journey towards independence, Nora will find a sense of freedom and happiness in the future. Eve’s search for independence is not a source of empowerment as she is ladled with the consequences of the fall and forcibly placed back at her husband’s side, we do, however, get the impression that without power Eve is still able to find some peace and happiness, as the threat of Satan is no longer a genuine one and her relationship with Adam is reconciled. In conclusion, the men in these texts would have been expected by their contemporary audiences to wield masculine power as patriarchal figures. It seems however, that their desire to hold onto thus power restricts them from a happy life, as it drives their wives away in search of independence. Adam is able to reconcile with his wife and ultimately be happy again but arguably, Ibsen uses Torvald to suggest that those who are not willing to share their power will never be able to put aside their pride for the sake of love and happiness. The women in these texts demonstrate that independence and knowledge is a source of power and happiness, but where Nora is able to receive what appears to be a happy ending, Eve is put back in her place and ladled with the consequences of the fall. Eve, though completely disempowered does seem to find some sense of happiness, as she and Adam are able to reconcile their differences, and without the threat of Satan can live their lives in harmony.

Friday, October 18, 2019

Addiction in Pregnancy to Prescription Drugs Essay

Addiction in Pregnancy to Prescription Drugs - Essay Example Another form of abuse is taking the medicine while still using alcohol and other narcotic drugs. Moreover, abuse of the drugs can be in the form of taking medicine without consent of a medical profession in order to relieve pain. Availability of the drugs makes it easy for most people to access them. This paper illustrates some of the common issues related to addiction of prescription drugs among pregnant women. Introduction Most pregnant women expose themselves into the dangers of abusing of prescription drugs. This abuse tends to cause many health risks to both the mother and the infant. After taking the prescription drugs for sometime without following the regulations ordered by the provider, most of the pregnant women find themselves becoming addicts. Through biological research work, there is enough evidence that everything a pregnant woman eats or drinks have the potential of reaching to the infant. Moreover, the substance ingested may have various effects, either positive or n egative on the infant. Any drug that a pregnant woman may take eventually crosses and reaches the infant. This gives a clear indication that addiction to prescription drugs harms the unborn baby. Provide a brief overview regarding the substance. Prescription drugs are of many kinds depending on their nature of use. Some of the commonly types include Opiods. Most of the drugs under Opiods are prescribed to treat various discomforts that come up because of pain (Schmid et al., 2010). Another common abused one includes the CNS depressants. These types of drugs are commonly prescribed to a patient with aim of reducing anxiety. Moreover, patients with sleeping disorders may take these drugs to improve their sleeping patterns. Examples of these drugs include mephobarbital and pentobarbital (Hanson, Venturelli & Fleckenstein, 2011). The use of all of the above prescription drugs and many more others not mentioned tends to be risky to the unborn child when taken against the instructions. Wh at is the nursing care considerations associated with the use of the substance during pregnancy? If a pregnant woman is taking prescription drugs, she should inform her health care provider. This helps the medical professional to offer necessary medication at the right time. A woman ought to provide her history on the drugs abuse and state the type of drugs she has been using while in pregnancy or before. This will assist the nurse in providing the best advice about how to stop the addiction and live healthily for her benefit and that of the unborn child. Moreover, nursing care considers universal screening of the drugs as the option to determine how they may have affected the woman and the infant in order to provide the recommended medication (Cazacu, et al., 2011). Another consideration that nurses tend to make is checking the level at which the prescribed drugs may have affected the infant. In some cases, it is not advisable for an addicted woman to stop taking the drugs immediat ely. Stopping the drugs at once may lead to a higher chance of causing death to the infant. Therefore, it is advisable for the women to seek medical advice from medical professionals in order for the situation to be addressed carefully. Another nursing care consideration entails that the woman should be ready to undergo various laboratory check-ups in order to determine the level of the effects on both the woman and the infant. What are the nursing care considerations specifically during the second trimester related to this substance? Exposure to prescription drugs

Child observation paper Case Study Example | Topics and Well Written Essays - 1500 words

Child observation paper - Case Study Example The room has a big glass window wherein, children can easily view the farm. That Laboratory School has a small farm behind for children to roam around and exploration of nature. During the day, there are enhancement activities and training given to children to facilitate their learning and help them grow smart and healthy. Children use to play with each other, solve physical problems using interactive games and materials, and do creative works and taking appropriate responsibilities to develop personal discipline and responsible behavior. Here, children learn to mingle with one another; and "my child" is one of them. My child is a 4 year-old boy. He attends day in a day care at our community college. He seems to be healthy physically and emotionally and is quite well adjusted showing no sign of any developmental concerns. He is pretty doing well in a day care; he interacts normally with other children and seems rather smart as he knows his way around a computer screen already. He is curious on anything new to him and is always willing to try or investigate objects that catch his attention. He always finds things very interesting although the toys he plays on are already old. He is active, likes to play and look tireless all day. As I observe, my child seems to manifest both the physical and emotional healthy condition as he has no problem in interacting with others and is showing quite remarkable positive attitudes towards everything which a normal healthy kid would likely to have. Over-all Impression of His Development My child is quite following a normal developmental stage. He seems to be excited on new things and his mind full of wonderful imaginations of things that are not there. This manifests in his works of arts like drawing, painting, and building blocks. He is a bit intelligent, he likes doing things on his own with out asking the help of the teacher. He is excited to find out what will happen after trying to fix one object to another, he is very independent. While other kids are roaming around their teachers to explain to them what to do, my child easily get the instruction from the teacher and start doing it all by himself with no fear of mistakes. His positive interaction with others as I observed him, show no sign of developmental concerns or problems. He interacts casually and participates well in the group. He is confident in himself and is rather smart in doing the right thing. He even suggests something to his playmates what to do to make the game really much interesting. This positive social attitude of my child may not simply part of the developmental process but I guess, a manifestation of advance intelligence for a four year old kid, maybe a normal reaction of a growing child being curious about many things. Socialization Inside the room, the children have all the opportunity to interact with other children and adults. In this case, I saw my child intermingle with other kids of his age and with his teachers. My child seems to have developed a good self-esteem; he did not have difficulty adjusting with the new environment as well as with his interpersonal relationship. He is well-adjusted despite new faces and authority. My child, in my observation, feels a sense of belongingness and quite confident about his accomplishments for the day. Other kids would show

John Cooper and Human Resources Case Study Example | Topics and Well Written Essays - 500 words

John Cooper and Human Resources - Case Study Example The study presents John Cooper as a person who has over the past five years and looking at Standard Holdings, the early phases of business improvement and own value arm of Standard Group. This was a bit challenging because the work was one he took quickly after Business College and became the Business Analyst, which was further challenging. In fact, the idea of having met or being offered the opportunity to work with Alan Kirkpatrick was one of the best experiences to Cooper. Kirkpatrick was experienced and regarded business person and founder of the standard. According to the research Cooper increased certainty to use their potential ultimately, and after that, he was welcomed to partake in numerous experiences and created a good relationship with every principal partner at Standard. Cooper really wanted to feel that he was prepared for the senior administration much sooner than anticipated. In the wake of accepting an intriguing telephone call, Cooper thought about how to accomplish one’s vocation objectives, and he began thinking about different choices accessible to him within the standard. He was able to cooperate with those who he found there was able to learn numerous things, which later made him succeed.  This is an inspirational story of a person determined to succeed; however, he is faced with numerous challenges. One of the recommendations is that, when one is confronted with various challenges in a new working environment, it is usually significant to have focus.  Ã‚  

Thursday, October 17, 2019

Compare the LandAllotment Strategy used with the Choctaws with the Essay

Compare the LandAllotment Strategy used with the Choctaws with the Treaty Strategy that was applied to the Cherokee. What are the key differences between both - Essay Example While none of tribes were happy about this removal policy, simple demographics placed different tribes on different footing. Georgia, for instance, was the only one of the original American states in which Indians controlled the majority of the land on American independence (Anderson, 1991). Land allotments, therefore, would have defeated the purpose of removal. The status quo, in terms of land ownership, would have been preserved in large part. This, in addition to the discovery of gold in 1829 and the United States Supreme Court's refusal to treat the Cherokee as an independent nation, compelled a tougher stance. This tougher stance resulted in the Treaty of New Echota of 1835. This treaty strategy was based on a simple land swap philosophy. The Cherokee would cede their lands in Georgia and receive new lands in Oklahoma. There was no provision made for land allotments and the treaty became a heated topic among the Cherokee. More particularly, the majority opposed the treaty and rejected removal while a minority supported the treaty. The treaty party left voluntarily in 1836 and resettled in Oklahoma; the majority, however, refused to leave Georgia (Wallace, 1993). As a result, military troops were called in and these Cherokee were forced at gunpoint to leave Georgia and to walk to their new lands in Oklahoma. The consequences were extraordinarily severe. This forced march, known as the Trail of Tears, took place in the winter and the Cherokee had inadequate food supplies and inadequate clothing and shelter. Many Cherokee died of hunger and disease. There was nothing flexible about the Treaty of New Echota, it was signed by an unrepresentative minority, an d the consequences were devastating to many Cherokee. Choctaw and the Land Allotment Strategy The Choctaw also signed a treaty; significantly, however, this treaty provided a type of opt-out clause. This opt-out clause has come to be known as the land allotment strategy and it provided that under certain conditions the Choctaw, individually, could opt to receive certain land allotments in lieu of removal. Thus, some Choctaw could remain in the state of Mississippi as provided in Article Fourteen of the Treaty of Dancing Rabbit Creek: Each Choctaw head of a family being desirous to remain and become a citizen of the States, shall be permitted to do so, by signifying his intention to the Agent within six months from the ratification of this Treaty, and he or she shall thereupon be entitled to a reservation of one section of six hundred and forty acres of land, to be bounded by sectional lines of survey; in like manner shall be entitled to one half that quantity for each unmarried child which is living with him over ten years of age; and a quarter section to such child as may be under 10 years of age, to adjoin the location of the parent. If they reside upon said lands intending to become citizens of the States for five years after the ratification of this Treaty, in that case a grant in fee simple shall issue; said reservation shall include the present improvement of the head of the family, or a portion of it. Persons who

Protein Diet in Athletes Essay Example | Topics and Well Written Essays - 500 words

Protein Diet in Athletes - Essay Example The muscle growth depends on the balance between protein synthesis (anabolism) and protein breakdown (catabolism). Exercise affects this balance and for activities that cause muscle hypertrophy, the anabolic process must exceed the catabolic process. In highly physically active individuals, proteins enhance nitrogen retention and prevent protein catabolism during prolonged exercise. Besides, they prevent sports anemia and resynthesize muscle glycogen after exercise. The balance between anabolic and catabolic processes in the body can be determined by the essential amino acid, leucine. A positive leucine balance indicates the presence of the acid in the cells that favor protein anabolism. Decrease in amino acid availability due to low protein intake increases muscle protein catabolism while increased amino acid availability stimulates muscle protein synthesis and greater muscle anabolism. Hormones such as insulin and testosterone also play a role in muscle protein synthesis and hypert rophy. After exercise, insulin inhibits further muscle protein breakdown, and when small amounts of amino acids are ingested with carbohydrates, transient muscle protein anabolism occurs since carbohydrates restore supply. Amino acid supplementation and impact the athlete’s performance No consensus has been reached on the role of amino acid supplementation on athlete’s performance. Williams (2005) noted that when branched-chain amino acids (BCAA) supplementation is used before and after exercise.

Wednesday, October 16, 2019

John Cooper and Human Resources Case Study Example | Topics and Well Written Essays - 500 words

John Cooper and Human Resources - Case Study Example The study presents John Cooper as a person who has over the past five years and looking at Standard Holdings, the early phases of business improvement and own value arm of Standard Group. This was a bit challenging because the work was one he took quickly after Business College and became the Business Analyst, which was further challenging. In fact, the idea of having met or being offered the opportunity to work with Alan Kirkpatrick was one of the best experiences to Cooper. Kirkpatrick was experienced and regarded business person and founder of the standard. According to the research Cooper increased certainty to use their potential ultimately, and after that, he was welcomed to partake in numerous experiences and created a good relationship with every principal partner at Standard. Cooper really wanted to feel that he was prepared for the senior administration much sooner than anticipated. In the wake of accepting an intriguing telephone call, Cooper thought about how to accomplish one’s vocation objectives, and he began thinking about different choices accessible to him within the standard. He was able to cooperate with those who he found there was able to learn numerous things, which later made him succeed.  This is an inspirational story of a person determined to succeed; however, he is faced with numerous challenges. One of the recommendations is that, when one is confronted with various challenges in a new working environment, it is usually significant to have focus.  Ã‚  

Protein Diet in Athletes Essay Example | Topics and Well Written Essays - 500 words

Protein Diet in Athletes - Essay Example The muscle growth depends on the balance between protein synthesis (anabolism) and protein breakdown (catabolism). Exercise affects this balance and for activities that cause muscle hypertrophy, the anabolic process must exceed the catabolic process. In highly physically active individuals, proteins enhance nitrogen retention and prevent protein catabolism during prolonged exercise. Besides, they prevent sports anemia and resynthesize muscle glycogen after exercise. The balance between anabolic and catabolic processes in the body can be determined by the essential amino acid, leucine. A positive leucine balance indicates the presence of the acid in the cells that favor protein anabolism. Decrease in amino acid availability due to low protein intake increases muscle protein catabolism while increased amino acid availability stimulates muscle protein synthesis and greater muscle anabolism. Hormones such as insulin and testosterone also play a role in muscle protein synthesis and hypert rophy. After exercise, insulin inhibits further muscle protein breakdown, and when small amounts of amino acids are ingested with carbohydrates, transient muscle protein anabolism occurs since carbohydrates restore supply. Amino acid supplementation and impact the athlete’s performance No consensus has been reached on the role of amino acid supplementation on athlete’s performance. Williams (2005) noted that when branched-chain amino acids (BCAA) supplementation is used before and after exercise.

Tuesday, October 15, 2019

Pilinut Essay Example for Free

Pilinut Essay Our company engages into pilinut business. Pili tart is a very profitable product, it has the so called 3C’s of Bicol pili nut: Competitive (market); Capability (financial); and Capacity (production) (Melchor A Aguilar). Because the Philippines is the only country where the fruit has market. No other country process pili in commercial quantity, meaning, we have the monopoly of processed pili in the foreign market, this kind of business has a very high potential of being successful especially if it will engage in exporting. There are many producers and processors of pili tart in the Bicol region, but this will be very few compared to the world market. Only few of these processors are into exporting business. Pili are very nutritious even as confection. Nutritionally, the kernel is high in calcium, phosphorous, and potassium, and rich in fats and protein. (DOST), so there is no issue to health concious. Our products will be of superior quality associated with the right price so that almost every body can afford it. We will produce product using ingredients of high quality so that it is guaranteed to be tasty and delicious. We will provide products that are not health and environmental hazard but instead a pilinut product that everyone can enjoy and environmental friendly that undergo in the right procedure. We will produce different pilinut products that are best for export, which does not easily spoil, and remain fresh even on long period of time. Pilinut for ordinary people may not be so important, but for a business person like us, pilinut has a long way to go and has a very large market to serve. Profit from this business may be abundant due to the monopoly of the products. We can start at a small capital but the comeback will be great. In not more than three years, we will regain our investment from this business and still continue to grow.

Monday, October 14, 2019

Comparing Different Versions Of Batman Film Studies Essay

Comparing Different Versions Of Batman Film Studies Essay My aim for this essay is to analyse and compare different versions of the Batman film. Ive decided to compare the 1966 Batman to the 1989 Batman and The Dark Knight, which was released in 2008. I wish to look at how these films have been made, how Batmans reputation has changed over the years and how they compare to the original comic books. Batman made his first appearance in Detective Comics in 1939; he was the caped crusader who went against the criminals of the underworld who killed his parents. In the early comics, the drawings showed a grim tone and nourish use of bold blocks of black ink (Sabin, 1996, p.61). However, later on the comics were progressively lightened in order to draw a younger relationship; a trend which culminated in the 1960s where the comics became camp comedies to reflect the amazingly successful television series (Sabin, 1996, pp. 61-62). Wikipedia (2008) Man Who Laughs [Online] Available at: http://en.wikipedia.org/wiki/File:Manwholaughs.jpg (Accessed: 3rd December 2010) BD Comics (1999) Batman- No Mans Land [Online] Available at: http://bdcomics.bdgamers.net/2007/06/13/batman-no-mans-land/ (Accessed: 3rd December 2010) The 1966 Batman was a film adaptation of the 60s TV series; it had budget of $1,377,800. In the film, there are no shots of skyscrapers or any buildings that resemble the scenery in the comic books. The costumes in this film are basic; the villains are all dressed in suits and Batman and Robins costumes look cheaply made, compared to the most recent film; this shows the difference in budget. The make-up is very basic; the Joker has a ghostly white face and red drawn on smile; no prosthetics are used on him. The Penguin has a prosthetic nose to make it freakishly long and pointy, however the rest of the characters have normal day to day make-up on. The fight scenes in the film are unrealistic, fake punches are thrown between characters, with words such as URKK and OUCH entering the shot is big letters: The TV show was definitely dopey, comedy and slapstick substituting for anything remotely violent or suspenseful. It even offered the surreal bonk/zap title cards to amplify the fun. (Gibron, 2008) This makes the fighting look comical and amusing. However it does match the comic book style of fighting and was what was acceptable to be shown in the film and TV series at the time. Still from TV 1960s series Batman (1966) Batman Generation : Batman 1960s TV Series [Online] Available at: http://movie-collections-on-dvd.blogspot.com/ (Accessed: 10th November 2010) The sidekick Robin appears in this film. I think his presence makes Batman look less macho, it implies that he needs back up, this may have been the reason he wasnt written into the series of films that followed decades later. In comparison to films today; it is very naive, in one scene a very toy looking shark is used as a prop and in the Bat cave every machine or piece of equipment is labelled. Heath, R (2008) The Dark Knight 2010 [Online] Available at: http://www.ferdyonfilms.com/?m=200807 (Accessed: 3rd December 2010) Clara, H (2010) Entertainment [Online] Available at: http://www.mylifetime.com/lifestyle/entertainment/lewis-wilson-michael-keaton-and-val-kilmer-batman (Accessed: 3rd December 2010) In 1989 Batman was released, it was the first of a series of feature films starring Batman which were produced by the Warner Bros; it had a budget of $35,000,000. This film strayed away from the 1966 camp version, Beyond Hollywood emphasises this point by saying: Before 1989, unless you were an avid comic book reader, you probably viewed Batman as a clownish superhero, trading punches and quips with bad guys with his youthful assistant Robin faithfully at his side. He was campy, a bit dull, and never dangerous. That is, until the summer of 1989, when Tim Burton arrived to changed all that. (Beyond Hollywood, 2004) Gotham City is dark and gothic looking; the buildings are dingy and old. The shapes of the buildings resemble the comic book images; they dont look like any usual American city. Lots of smoke is used in the setting, it reminds me of backdrops in a theatre production. The joker also matches very well with the comic book illustrations; the make-up cleverly allows the actor to have a fixed smile. He puts on a show and prides himself on being theatrical, using joke shop type gags, i.e. a flower that squirts poisonous gas and a buzzer which he attaches to his hand to electrocute his victim. The music, which is often played as a backing to the joker, is almost the same as you might hear in the circus, everything about it is comical. Neumaier, J. (2008) Jack Nicholson warned Health Ledger on Joker role[Online].Available at: http://www.nydailynews.com/news/2008/01/24/2008-01-24_jack_nicholson_warned_heath_ledger_on_jo.html (Accessed: 31 October 2010) Newsrecord. (2008)Heath Ledger Was Changed by playing The Joker'[Online]. Available at: http://www.inoutstar.com/news/Heath-Ledger-Was-Changed-by-Playing-The-Joker-6583.html#nimg_16437 (Accessed: 31 October 2010) The Dark Knight (2008) was directed by Christopher Nolan and had a budget of $185,000,000. When writing the film, screenwriter David S. Goyer took influences from a few comic books rather than just one. In an interview he said: I think that there are elements from The Dark Knight, elements from The Long Halloween, elements from The Killing Joke. But its not like we were specifically adapting one specific comic book or comic book arc. (Goyer, 2008) In this film the joker has apprentices who are masked like clowns. These masks are very eerie; they allow the characters to be emotionless and cold; only showing the single expression that is drawn on their mask. Batmans fight scenes are bold and highly choreographed; this is a big contrast to the jokers style of fighting, which is very rash. This film is dominated by the Joker character; his scarred face is messily covered with make-up giving him a clown-like persona. This persona is confirmed by his greasy, green tinged hair, black eyes, smudged roughly outwards and his red creepy smile. His drawn on smile is covering thick badly raised scars. The white make-up which covers his face is uneven and always looks worn. His costumes are odd, purple velvet suits with a green shirt; this allows him to stand out against others, who mainly wear classic suits. Costume Designer, Lindy Hemming, wanted to create a younger trendier look, in order to represent Ledgers generation(Hemming, 2008). This costume also matches the comic books. His character is fearless and chillingly calm; I think this creates a great atmosphere and carries the film. Sound has a huge impact on this version of the film; dramatic music is played in the background, ticking noises are also frequently used, symbolising the rapid passing of time. However there are a few shots in the film which have no backing music or noise for that matter; this is a big contrast to the rest of the film and cleverly creates a maximum impact. One particular shot is of the Joker hanging himself out of a stolen police car that he is driving, I find this scene very chilling. After watching a documentary about the composers thoughts behind some of the music, I learnt that the sounds are based on the Joker character: Shots and clips were used to produce music that matched the jokers movements and personality. Punk influences were used and tones and noises were produced using two clashing notes of the cello, to give the feel of razorblades. (Zimmer, 2008) The sounds are unsettling and the composer wanted to create a sound which demonstrated rising tension. Uhlich, K (2008) Trickster Heaven, Two Face Hell: The Dark Knight [Online] Available at: http://www.slantmagazine.com/house/2008/07/trickster-heaven-two-faced-hell-the-dark-knight/ (Accessed: 3rd December 2010) Another hugely important character is Harvey Dent. He is Gothams golden boy who, by the end of the film, thanks to the Jokers words; I took Gothams white knight and brought him down, has been turned into a villain, Two Face. The effects for Two Face were created using digital make-up, in other words high use of CGI. A lot of shots in the setting are of buildings, the camera pans high above lots of skyscrapers as a link between scenes. The villains seem to always be lit darkly, where the lighting has a blue tinge. In conclusion, as the decades pass, technology improves and the budget for the films increase, which I think is due to the increase in film popularity. Each film stays true to the comics in different ways; the 1966 Batman is most like the comics in the fight scenes where they are quite graphical, with sounds entering the screen in text. However the make-up and costume doesnt match up and doesnt give enough of an impact. The 1989 Batman does match very well to the comic book images, make-up and costume-wise. It also has a great set which matches the buildings of Gotham city and really gives a feel that they are living in the comics. The Dark Knights special effects are by far the best and in my opinion I think the acting is best in this film. The joker is a crucial character in all three versions, particularly 1989 Batman and The Dark Knight. It is a matter of personal opinion which version is the best, however I agree with Slant magazine in preferring Health Ledgers chilling version: Eighteen years after Jack Nicholsons over-praised, distinctly Jack-ish personification of the dastardly purple-clad jester in Tim Burtons Batman, Ledger returns the character to his demented The Killing Joke graphic novel roots, conjuring up a transfixing, indelible portrait of our worst terrorist-extremist nightmares. (Schager, 2008) The Dark Knights acting and gothic feel matches well with the original comics, before they were made more camp to match the 1960s audience. The make-up takes a different direction to avoid copying Tim Burtons film, this however meant they needed to steer away slightly from the comic books. Overall, in order to achieve the perfect film version of the batman comics, you would need to combine, 1989s make-up, costume and set with The Dark Knights music, special effects and acting.

Sunday, October 13, 2019

Essay --

Everyone is born with sexual desire (Kalb). Therefore, sex is sometimes successful when used in advertising to sell products because consumers can easily relate to its tempting value (â€Å"Does Sex Really Sell?†). Sex in advertising is the use of explicit sexual content or suggestions in order to sell a service or product. It has been stated that sex is one of the primal urges found in humans, and â€Å"this underlying, pre-programmed disposition to respond to sexual imagery is so strong, it has been used for over 100 years in advertising† (Sugget). However, using sex in advertising to sell products is only successful if the right group of people are targeted, the product is sex-related, or the advertising company is popular and well-experienced enough to correctly use this marketing strategy. Personalization and relevancy are important components when trying to deliver advertising campaigns that are successful. The basic and essential goal of many advertisers is obtaining the attention of the audience that they are targeting (Cyprus). As the internet has improved over the last 20 years, it has become much easier for sexually graphic material to find its way into people’s homes. By targeting the right people, sexual ads can sometimes attract the viewers’ attention. For example, sex is sometimes more effective when young men are the target (â€Å"Does Sex Really Sell?†). Men are typically attracted to provocative imagery in ads. Studies by popular magazines such as FHM and Maxim have shown that semi-naked and sexy women on the magazine’s cover attract men more than a magazine with a famous male star on the cover would, even if the famous male is someone that the men would like to read about. Men genetically respond to sexually provoca... ...such as David and Victoria Beckham, Christiano Ronaldo, and Meagan Fox. Meanwhile, Nissan displays sexy women in bikinis in their ads. In 2011 viewers were disappointed to see a Nissan commercial featuring a comparison of a model wearing a bikini and a Nissan Juke side-by-side. Many people did not find the ad amusing, claiming that it was rather sexist, instead of sexy. These companies’ logic is to demonstrate how their products can help meet consumers’ needs of love, desire, intimacy, and romance (Rogers). â€Å"We are sexual beings,† and therefore, marketers use consumers’ sexual impulses to their advantage (Raszl). Sex has traditionally been a topic not talked about or openly discussed, but today it is rarely taken as a surprise (â€Å"Does Sex Really Sell?†). It can be concluded that although sex doesn’t always sell, it definitely draws some form of attention (Kalb).