Wednesday, October 30, 2019

Sales Management Essay Example | Topics and Well Written Essays - 1500 words - 5

Sales Management - Essay Example There is a growing body of evidences that argue about the nature of sales ethics and claims in to be oxymoron; however, another school of thought believe that sales ethics are practically followed within the business world and opposes the impression that these are only formal expressions of the company values to built its better image3. The following essay aims to discuss the general conception about the sales ethics that deem them as oxymoron. In this regard, the essay also explores different situations where the sales personnel have to decide whether to practically follow the described ethical values and principles of their company or prefer the interest of company in terms of increasing sales volume. The essay basically opposes the notion that sales ethics are oxymoron and provides the arguments to support this standpoint. The essay strives to explain how sales ethics can act beyond the formal descriptions to support the products and companies’ image. At present there are large inspections about the companies’ business that puts pressure upon them to fulfil the ethical requirements and follow the basic ethical principles. These principles ought to be straight forward, reasonable and clear so that the companies could deliver the same values to the customers. The companies are expected to respect these values because it is generally accepted notion that the societies giving due attention and value to these principles can prosper and develop significantly. Hence, the issue of the fulfilment of the ethical values becomes very important in this scenario and the companies have to draw a clear line between the theory and practice of the ethical values4. The customers of today’s technology driven world have more choices in front of them as compared with the consumers of the past. The international availability of products options have made them more demanding and

Monday, October 28, 2019

Scool Uniforms Essay Example for Free

Scool Uniforms Essay School uniforms help improve students behavior in class because they are more focused and feel like they belong. For example students who wear uniforms will have better self-esteem. As stated â€Å"uniforms do eliminate competition, pressure and assaults perpetrated by older kids on younger students for their sneakers and possessions. They also help some students focus better In class† (Daniels 1). If lesser students are being picked on because of their clothes more students will have a lot of confidence with their classes. With uniforms students will feel like they belong in class. Also it is proven that less students drop out of school. To illustrate â€Å" a study was released by the Harvard school of education research found that the Long Beach school district ,among six districts in the nations, 34 largest cities dramatically reduced their dropout rate†(Thompson 16). Given this fact lesser students will drop out of school. Thus proving that uniforms help students feel welcome in school. Lastly uniforms prepare students to learn. As stated â€Å"poise and students are more well behave when they are being dressed for the occasion of learning â€Å" (Pros vs. Cons) . Students are dressed for success. Even though some students don’t like the policy of uniforms they still are ready to be successful. Therefore not only do uniforms help improve students behavior in class but also reduce school violence. School uniforms reduce school violence because everybody wears the same clothes. For example uniforms make school a safer environment. Specifically â€Å"can play a significant role in reducing security threats and improving school safety†(Jeffery 42). Uniforms reduce security threats because fewer students are wearing gang affiliated clothes. With no gangs in schools there will be less violence. Also school uniforms go far beyond keeping students safe. As stated â€Å"schools with uniforms say that their students have better self-esteem because without the name clothing on display the students are placed on an equal level†(Terry 9). Not only do uniforms keep students safe but bring students together. When students are together as one they make the school a better place. Lastly most students are judged on their clothes and competition. As stated â€Å"uniforms do eliminate competition, pressure† (tom 43) this allows students to focus better. The school would be a better place because the students wouldn’t have to compete to see who has better clothes. Not only do school uniforms make the school a safer environment but they also help families the cost and time of buying clothes. School uniforms help students achieve success by not having families pay for clothes and save time looking for the latest brands. For example school uniforms would benefit parents cost wise. As stated â€Å"school uniforms would save parents money, the upfront cost of a uniform would be much less than a new wardrobe of the new coolest styles. (Teen Problems). Parents who are not doing well with money wouldn’t have to pay that much for the cost of uniforms. If parents were to buy uniforms they would save money and wouldn’t have to buy clothes all year long. In addition Students that are usually late to school because they have to get ready don’t have to be late anymore. To illustrate â€Å"school uniforms would save ti me for both parents and their children. Children would not have to think about what to wear in the morning and parents could not afford for their children to be late. †(Pros vs. Cons). This would benefit parents because they don’t have worry about their kids being late and eventually have to be kicked out of school. This help students achieve success because they don’t need to worry about being late. Lastly school uniforms would benefit the students because if the student was poor nobody would know. As stated â€Å"children who come from a less fortunate economic background would not appear to be â€Å"looking† or made fun of because their parents could not afford to buy them the newest trendy garments ,as children are very often harassed or embarrassed because of their clothe†(Marshall 24). If a student was being bullied on his clothes this would stop because everybody is wearing the same thing. This would help students with their self-esteem in school. School uniforms may help families but some students may disagree that it’s a way to take away ones individuality. School uniforms will restrict the outward expression of a student’s individuality. For example schools are taking away the students’ rights to express themselves. As stated â€Å"by instituting a uniform policy, schools are taking away kids individuality†(Ann 2). Some students thrive on individuality with uniforms they can’t. Although some students don’t think uniforms are right the schools main priority is to educate and in order to do this the school must have a safe learning environment. Second some students think that uniforms make them blend in. to illustrate â€Å"schools primary function is to educate, but secondary is a platform for socialization where clothing can play a role and with uniforms this makes it difficult for students to stand out† (Thomson 1). Students’ self-esteem may go down because they can’t wear their own clothes. However for other students it creates a sense of belonging. Even though students may think that uniforms take away their freedom of expression it is the schools responsibility to educate with a safe and welcoming environment. Research shows that students can achieve success by wearing uniforms therefore it is a great idea to enforce a policy on school uniforms. If schools everywhere were to introduce a school uniform policy there would be a dramatic change in students would feel motivated to go to school because they feel like they’re welcome. Perhaps schools everywhere should have a policy on school uniforms.

Saturday, October 26, 2019

Chernobyl Nuclear Disaster Essay -- Chernobyl History Nuclear Essays P

Chernobyl Nuclear Disaster The Chernobyl disaster was the worst industrial disaster in the history of the world. On April 26, at 1:24am reactor number 4 at the Chernobyl plant blew up. The explosion was the result of an experiment that, due to human error, went awry. The operator at the time made the first mistake that lead to the disaster by disabling automatic shutdown mechanisms. When the operator then went to shut down the reactor from its unstable condition the poor design of the reactor and its systems caused a dramatic power surge within the reactor. Following the explosion radioactivity with an intensity equivalent to 500 of the bombs that destroyed Hiroshima at the end of World War II was measured in the atmosphere.2 Radioactive dust was carried as far away as Sweden where the disaster was first detected and reported.1 Directly after the accident, an area of 30 kilometers was declared restricted. Within this area about 116,000 people were evacuated. The numbers of people that have been affected (inclu ding but not limited to the amount of people that have died) from this disaster are not known due to poor documentation. Estimates have the number dead at about 15,000 people that have died as a direct result of the explosion. The people in the surrounding towns were exposed to radiation but the number that is questioned is how many rescue workers actually responded and were affected. Some statistics that have been studied are the affects that this disaster has had on local agriculture. Many different attempts have been made to control and clean up the contamination in local agriculture areas. Even though these attempts have been made many large areas of agriculture land are still excluded from use. The local forests con... ...ll never know. Twenty plus years has passed since the Chernobyl disaster and the United Nations recognizes three to four million children that are suffering from that disastrous day in April of 1986.8 The worldwide change that has come about since the disaster is the only positive thing we can take from it. The updated nuclear technologies and safety measures that can be attributed to Chernobyl came with one huge price, human life. Sources Cited: http://home.swipnet.se/~w~33296/EFFECTS.HTM. (#1) http://www.power-technology.com/projects/chernobyl/ (#2) http://www.nea.fr/html/rp/chernobyl/c06.html (#3) http://www.nrc.gov/reading-rm/doc-collections/fact-sheets/fschernobyl.html (#4) http://www.greenfacts.org/chernobyl/l-2/5-social-economic-impacts.htm#3 (#5) http://www.uic.com.au/nip22.htm (#7) http://www.chernobyl-international.org/ (#8)

Thursday, October 24, 2019

Exploring Strategy

Abstract This essay examines the state of the Hi-Fi sector utilizing the PESTEL and Porter’s Five Forces. This assessment illustrated that with factors depending heavily on technology there is a real opportunity in the Hi-Fi sector. Any researcher exploring this question will find value in this report. 1 Introduction This essay examines the Hi-Fi sector utilizing the PESTEL and Porters’ Five Forces models in order to assess the current market environment. Identifying the primary opportunities and threats that are present in the field will create a capacity for anticipation and adaptation that can add significant value to any business strategy. Beginning with a PESTEL analysis followed by distinct opportunities, threats and key drivers for change, this essay illustrates the state of the Hi-Fi industry. Following this segment with a relevant Porter’s Five Forces evaluation including overall industry attractiveness will further enhance the illustration of economic viability in the industry. 2 PESTEL Analysis This section utilizes the PESTEL model to evaluate market conditions.2.1 PESTELYuksel (2012) defines the PESTEL as an integrated analysis including the elements of political, economic, socio-cultural, technological, environment and legal in order to determine a sectors capacity.2.1.1 PoliticalPolitically, the Hi-Fi sector is supported in their effort to produce a superior product for a diverse international market (Jansson and Waxel, 2011). Politics influence the modern Hi Fi market to continually innovate and build, reflecting the Hi-Fi industry need for continuous technological input. Regulations and taxation play a direct role in how well the Hi Fi industry international trade statutes have the potential to promote positive development (Jansson et al, 2011). Companies including the advanced manufacturing firm Linn contribute a substantial amount in taxes and international revenue to their nations coffers, enhancing the political need to protect them (The Economist, 2014). Companys including Richer Sounds maintain 100 per cent UK operations, using this support as a means of positive branding (Sounds, 2014). The Telegraph (2010) article lays out the attractive tax cuts that the Chinese government utilizes to entice the emerging Hi Fi companies to set up operation there. With each tax rate adjustment companies including Acramm Quad and NAD among others will seek out tax havens that allow them to retain revenue (Telegraph, 2010). Decisions by the UK regulatory body, including the decision to take the nation digital has a great deal of influence on the continued development of the UK Hi Fi industry (Kessler, 2014). With figures illustrating that only one in 20 have receivers capable of this new transmission as well as only 40 per cent of new vehicles are equipped with the technology, there is a considerable gap to be addressed before implementation (Kessler, 2014).2.1.2. EconomicEconomic factors in for Hi-Fi firms have the potential to substantially assist nation s in their economic recovery efforts (The Economist, 2014). This factor impacts the Hi Fi industry with through direct acknowledgement and support of technological advances (Macintosh, 2010). Lacking this opportunity for growth stagnates the market directly influencing production and development.. International statistics demonstrate a slow 1% growth rate in the industry over the past year (Euromonitor.com. 2014). Yet, long term country reports indicate a steady pattern of growth (Euromonitor.com, 2014). The Hi Fi industry has begun to focus on the high end products including Acram’s newest cinema receiver citing the argument that features are more important than fidelity (End, 2014). The economy can create issues for the industry by failing to provide consumers with the funding to buy products. Linn, another UK Hi Fi brand has used this same philosophy to become a leader in the audiophile streaming music hardware area, a very rapidly developing area (End, 2014). Yet, there i s a real potential for a lack of innovation that fails to produce useful products. Further establishing this trend is Naim’s offering of hi resolution music products that appeal to the very high end market including the Nait 5si and the SuperNait 2 (End, 2014). However, the economic conditions can hinder the opportunity for these offerings to take hold.2.1.3. Socio-cultureThe very nature of the spread of technology is a benefit for the Hi-Fi industry (Andy, 1997; Macintosh, 2010; The Economist, 2014). Yet, if there is a perception of negativity surrounding any company or product, there is the opportunity for a diminished reach. With each new auditory advance, the Hi-Fi sector has an opportunity to utilize their technology to enhance that offering (May, Mason and Pinch, 2001). Yet, conversely, any misstep in the innovation process can set the entire effort back. The continuous advance in technology aids in producing new employment opportunities which enhances the entire system (Pratt, 1997). There is a strong desire on the part of the consumer and manufacturers to create the very best auditory offering (The Economist, 2014). This element of complementary competition enhances the potential in the Hi-Fi industry, yet increases the price consumers feel at the retailer. As company’s including Acram, Linn and Naim compete to produce high end offerings, the entire range of development opportunities benefits (End, 2014). This adoption of hi tech equipment has an associated ripple impact on stores that sell these products, increasing their technology capacity (End, 2014). As new products emerge, the stores upgrade in order to implement the product, thereby changing the entire culture surrounding the offering.2.1.4 TechnologicalThere has been a historical shift from a Hi Fi industry based on individual components to a modern real market based on emerging technology (Sounds, 2014). This factor directly impacts the Hi Fi industries capacity to produce useable products. With the advances technology has created including the inclusion of LCD television, audiophile and multi room Hi Fi progress there is a perception of increasing value in the industry. The increase in complexity alongside reduction in size and integrateable capacity make Hi-Fi products critical components for many new technologies (The Economist, 2014; Macintosh, 2010). This is a clear indication of the support that each of these areas offers the Hi-Fi sector. Online advances including internet offerings have the potential to increase the utilization of the Hi-Fi product, thereby increasing the markets intrinsic value (Macintosh, 2010). Today’s leaders in the industry including Rob Follis cite the fact that modern Hi Fi offerings are better than ever before (End, 2014). This fact includes the recognition that as technology continues to turn from individual components to integrated technology, the Hi Fi sector will continue innovate in order to remain relevant.2.1.5 EnvironmentalMod ern production concerns can have an impact on the manufacturing of any Hi-Fi product (The Economist, 2014). These concerns can significantly slow development and production of any product line. With aspects including pollution during production there is the potential for this aspect to create detrimental operating conditions. This contention supports the argument that a strategy that incorporates these elements benefits the entire effort (Jansson et al, 2011).2.1.6 LegalMultinational and international legalities have an opportunity to impact the Hi-Fi development and production capacity (Jannsson et al, 2011). As laws change as nations jockey for position and revenue causing a collateral impact for the companies involved. Competition between industry rivals can be fierce, requiring a strong a consistent legal awareness (The Economist, 2014).2.2 Opportunities and ThreatsThere is a real opportunity to capitalize on emerging technologies in order to expand the Hi-Fi industry capacity ( The Economist, 2014). Yet, there is a threat of poorly designed products that diminish trade. Real time examples including continued development of the IPod and Ipad based technology, tablets and personal computers integration lead the way for considerable opportunities in the industry (Macintosh, 2010). The economic factors support the argument of growing opportunities in the field of home audio and visual serve to drive the consideration of potential revenue gain in the market (The Economist, 2014). Companies such as Linn and Acram have a unique opportunity to harness emerging technology in order to reach the high end clientele (End, 2014). Conversely, the PESTLE confirms the threat that any overextension in an effort to remain competitive can diminish production and development potential (Jannsson et al, 2011). Advances in the field of medicine provide ample opportunity for the Hi Fi industry to benefit from auditory related sales as well as building real brand awareness (The Economist, 2014). Elements of the Hi-Fi industry touch on the developing technology surrounding Wi-Fi and the internet, providing further opportunity for the industry to gain market share (Jannsson et al, 2011). Yet, the need for technology can slow a development process, diminishing a company’s revenue potential. An opportunity in the Hi-Fi industry rests in the field of cell phone and portable communication (The Economist, 2014). The PESTLE demonstrates that national and international variances in regulations can become a substantial detriment for the Hi Fi industry (Moodysson and Jonsson, 2007). There is a real threat for established companies including Acram, Quad and Warfeldale among others to move to China in order to take advantage of the lower tax brackets (Telegraph.co.uk, 2010). Yet, each emerging market and technological advance is an opportunity for the Hi-Fi industry to further integrate (Macintosh, 2010). A balanced consideration must take place in order to successfully implement strategy.2.3 Key drivers for changeLeading the key drivers for the Hi-Fi industry is the need for advances in production, marketing and development (Macintosh, 2010; The Economist, 2014; Jannsson et al, 2011). Every new change at each level will have a direct impact on the consumer and the industry. The second driver remains the political environment on where these companies choose to develop their products (Telegraph.co. uk, 2010). Lacking a positive environment, the capacity for the Hi Fi industry to operate will be further driven by the rate of revenue available in the market (End, 2014). These drivers will determine marketing efforts and production levels for every company in the market. 3 Porter’s Five Forces Analysis3.1 Porters Five ForcesHuggins and Izushi (2011) define the Porter’s Five Forces model as efficient manner of market assessment including the element s of new entrants, substitution, bargaining power and competitive rivalry.3.1.1 Threat of new entrantsThe growth potential of the Hi-Fi industry makes the threat of new entrants substantial (The Economist, 2014). There is a clear opportunity for increased brand awareness accompanied by the potential to add a substantial revenue stream to any company’s income. With companies including Linn and Acram focussing on the high end market, there is recognition of value that will be emulated by others (End, 2014). These elements are consistent with the needs of many competitors in other areas of the technology market such as computers, tablets and personal electronics (The Economist, 2014). The Hi-Fi industry is highly attractive to evolving and developing entities as well as established compan ies (Jannsson et al, 2011). Established companies can easily expand and advertise, while new entrants can progressively build and promote themselves. This area is of high concern due to the rate of new entrants.3.1.2 Threat of Substitute productsThe Hi-Fi sector is dependent on technology, the availability of copies, or similarities in products is high (Jannsson et al, 2011). With emerging nations, such as China, offering substantial potential for competition this is a significant concern for any Hi-Fi strategy. Expanding on this same threat of substitution is the fact that some nations allow for copies of a successful product based on their own design (Jannsson et al, 2011). Regulation s and their enforcement have the potential to play a key role in reducing or increasing the substitutions for any Hi-Fi product on the market. With companies recognizing that products including the Xbox and Playstation among others, can take on the role of other instruments, the threat rises (End, 2014). Developing and competing products make this a category of high impact.3.1.2 Bargaining power of customersThe consumer centred nature of the Hi-Fi industry makes it highly dependent on the perception and application of their products (Jannsson et al, 2011). Any faulty offering or substandard item will directly impact the company’s bottom line (The Economist, 2014). Modern consumers demand an integrateable produce that has the latest technology at the lowest prices, making their overall bargaining power substantial. There is a need to remain on the edge in the mind of the consumer in order to continually expand brand loyalty (Macintosh, 2010). Acram and Linn’s current move into the upper end market has been favourably received by the consumers, driving their position in the market higher helping to advance their market share considerably (End, 2014). Yet, any failure would provide amply incentive for these same consumers to seek another brand (The Economist, 2014). Restin g on the correct anticipation of needs this is an area of moderate to high priority.3.1.3 Bargaining power of suppliersThe high number of competitors alongside the proliferation of technology diminishes the bargaining power of suppliers (The Economist, 2014). If one company is not willing or able to make a product, there are several others that will (Moodysson et al, 2007). However, the more advanced technology that the company possesses, the more likely that that effort will be successful in the market (Jannsson et al, 2011). Yet, in the case of specific technology there is the real opportunity to have a strong bargaining strategy based on the knowledge the company has (Jannsson et al, 2011). If one company does not possess a certain technology, their associated bargaining position will suffer. Linn, noting the potential available in the market, spent liberally to develop the audiophile music download label that propels their current sales strategy (End, 2014). This example has bee n emulated by companies such as Naim, which hope to become a prominent member of the market (End, 2014). With many suppliers available, there is a low to moderate priority in this segment.3.1.4 Intensity of competitive rivalryThe potential for revenue and sustainability make the Hi-Fi sector highly competitive (Jannsson et al, 2011; The Economist, 2014). This rivalry consists of companies including Linn, Acram and Niam, often accounting for the majority of the market share, provides a dynamic illustration of the desire of each company to provide the very best Hi Fi product (End, 2014). There is competition at every level of production, development and marketing in order to make the most of the emerging product (Macintosh, 2010). However, this intensity of competition allows for a consistent series of technological advances which is a clear benefit to consumers and manufacturers (The Economist, 2014). With each advance the opportunity to become a market leader will lead to an intense effort to be the first producer. The competitive environment makes this element very high concern for the Hi Fi industry.3.2 Industry AttractivenessThere is a real opportunity to gain both brand awareness and consumer loyalty with a quality Hi-Fi offering, making the market attractive (The Economist, 2014). The long term consumer trend of sustainable spending is a further indication of positive long term market potential (Euromonitor, 2014). Yet, the fact that this is a well-known fact encourages other manufacturers to maintain a position in the market, making competition fierce (Moodysson et al, 2007)). Each of these factors supports an illustration of a growing market that offers both a ripe opportunity for success and an equally dismal chance for failure. Naim and Linn both demonstrate a high degree of value in the area of Hi Fi industry innovation which in turn increases the overall attractiveness of the market (End, 2014). This is a moderate factor in overall industry making the circumstances acceptable for continued expansion. 4 Conclusion Both the PESTEL and the Porter’s Five Forces evaluations have illustrated the potential for both sustained revenue gain as well as increased brand awareness. This is a supporting argument for a strategy including the Hi-Fi sector. However, the very competitive nature alongside the nuances of technological innovation provides ample potential for loss. With factors depending heavily on technology there is a genuine opportunity for gain to be considered in the Hi-Fi sector. 5 References David, F. R. 1999. Strategic management: Concepts and cases. Prentice Hall. Euromonitor.com. 2014. Home audio and cinema market research, industry trends. [online] Available at: http://www.euromonitor.com/home-audio-and-cinema [Accessed: 2 Mar 2014]. End, B. 2014. British hi-fi companies seek sanctuary at audio’s new high end. [online] Available at: http://www.techradar.com/us/news/audio/hi-fi-radio/british-hi-fi-companies-seek-sanctuary-at-audio-s-new-high-end-1166158 [Accessed: 6 Mar 2014]. Huggins, R. and Izushi, H. 2011. Competition, competitive advantage, and clusters. Oxford: Oxford University Press. Jansson, J. and Waxell, A. 2011. Quality and regional competitiveness. Environment and Planning-Part A, 43 (9), p. 2237. Kessler, K. 2014. SoundStage! Hi-Fi | SoundStageHiFi.com | The British Tree Huggers Get it Right For Once. [online] Available at: http://www.soundstagehifi.com/index.php/international/soundstage-uk/674-the-british-tree-huggers-get-it-right-for-once [Accessed: 6 Mar 2014]. Macintosh, R. 2010. Evolution and Revolution in the Hi-fi sector. University of Glasgow, 1 (1), pp. 1-5. May, W., Mason, C. and Pinch, S. 2001. Explaining industrial agglomeration: the case of the British high-fidelity industry. Geoforum, 32 (3), pp. 363–376. Moodysson, J. and Jonsson, O. 2007. Knowledge collaboration and proximity the spatial organization of biotech innovation projects. European urban and regional studies, 14 (2), pp. 115–131. Pratt, A. C. 1997. The cultural industries production system: a case study of employment change in Britain, 1984-91. Environment and Planning A, 29 (11), pp. 1953–1974. Sounds, R. 2014. Richer Sounds – The UK’s Hi-Fi, Home Cinema & Flat Panel TV Specialists!. [online] Available at: https://www.richersounds.com/information/aboutus_culture [Accessed: 6 Mar 2014]. Telegraph.co.uk. 2010. UK hi-fi specialist Audio Partnership piggybacks China tech revolution – Telegraph. [online] Available at: http://www.telegraph.co.uk/finance/china-business/7956963/UK-hi-fi-specialist-Audio-Partnership-piggybacks-China-tech-revolution.html [Accessed: 6 Mar 2014]. The Economist. 2014. Streaming toddler. [online] Available at: http://www.economist.com/news/britain/21568425-prospects-upscale-hi-fi-maker-depend-music-industry-streaming-toddler [Accessed: 28 Feb 2014]. Waxell, A. and Jansson, J. 2013. Sound Affects: Competing with Quality in the Swedish hi-fi Industry. Industry and Innovation, 20 (4), pp. 316–335. Wu, K., Tseng, M. and Chiu, A. S. 2012. Using the Analytical Network Process in Porter’s Five Forces Analysis–Case Study in Philippines. Procedia-Social and Behavioral Sciences, 57 pp. 1–9. Uksel, I. 2012. Developing a Multi-Criteria Decision Making Model for PESTEL Analysis.International Journal of Business & Management, 7 (24).

Wednesday, October 23, 2019

A Separate Peace Themes

A Separate Peace by John Knowles concerns itself about a young adult named Gene who decides to visit his old school Devon years after the war and recollects his memories of his friend, Phonies. Most of the story is a flashback about the hardships Gene and Phonies had to face growing up in high school during a war. During this flashback, Gene grows through the phase where he must let go of his childhood and mature to adulthood. Throughout the book, Phonies symbolizes childhood and innocence, revealing the main theme of the book: innocence versus maturity.Gene's Journey through his years at Devon shows how he matures and gains a bigger understanding of the world around him. At the beginning of the book, both Gene and Phonies were childish at the beginning of the book. For example, Phonies would wear pink clothing and a school tie as a belt to a headmaster's gathering. â€Å"In his haste that morning Finny had not unexpected used a tie for a belt. But this morning the tie at hand had b een the Devon School tie† (20). This shows a level of disrespect of self-image and school-image that usually rash, young children have.Phonies even believes that the war is Just a scam made up by adults to get a profit. There's the bad, there's the good; Just pure black and white. He was even able to rationalize this illogical belief to Gene, and Gene easily gives in. Just like how a child sticks to her favorite blanket or comforting teddy bear to protect her from the nasty in life, Phonies is Gene's way of clinging on to a more immature view to explain life simply. As Gene begins to mature through his years at Devon, he loses Phonies for a while as Phonies recovers from his leg injury.This opens the door to Gene as he sees a new view point on life. He has a sense of guilt that he was the one who trounced Phonies out of the tree, but cannot explain his actions. This new sense of guilt make question if he is truly evil or still innocent. It raises the question that there may be something more than Just cruelly evil or purely good that Phonies seemed to believe earlier. However, Phonies, symbolizing Gene's childhood, tries to pull Gene back to a world of innocence with winter carnivals and games – games where there are no losers and everyone wins.Affected by Phonies' tempting simple ideals, Gene finds himself hard to let go of the innocent outlook on life. Still, this prodding question further develops when Gene meets Leper after the effects of the war. â€Å"The army has the perfect word for everything, did you ever think of that? †¦ And the perfect word for me†¦ Psycho. I guess I am. I must be. Am I though, or is the army? Because they turned everything inside out† (141 , 149). This quote summarizes the scene when Gene learns about harsh cruelties of war, and begins to realize that the world is bitterer than he had originally thought.Human beings can be evil. This completely transforms his original innocent view on the world. At t he end of the novel, when Gene is of age to be recruited into the war, Gene has learned much about the harsh truth of reality. He begins to move into an acceptance state. When Phonies realizes that it was Gene who had originally trounced the branch, Gene is able to explain that there are certain evils, certain impulses that earlier in the novel. â€Å"No, I don't know how to show you, how can I show you, Finny? Tell me how to show you.It was Just some ignorance inside me, some crazy thing inside me, something blind, that's all it was† (191). Gene accepts that humans are neither fully good nor evil, but normal beings with natural impulses. Knowles shows throughout the book that as one ages and matures, one must lose that innocent childish mentality. Gene slowly pulls apart from Phonies' ideals and moves onto a more complex understanding of human behavior. However, as Gene reaches young adulthood, Knowles cleverly has Phonies pass away, as only to show that in order for Gene to fully mature and reach adulthood, the innocent childhood must completely disappear. Did not cry then or ever about Finny†¦. ‘ could not escape a felling that this was my own funeral, and you do not cry in that case† (186) The quote even shows that Gene feels that Phonies was part of himself. This is referring to the naive childhood part of Gene. Knowles consistently expresses the theme of innocence versus maturity. He tells us that in order to achieve maturity and achieve the fuller, complex view on life, one has to lose the innocent outlook that usually the young has. Gene moved from a young naive child to a developed young adult.

Tuesday, October 22, 2019

Become an Architect! What You Need to Know

Become an Architect! What You Need to Know Would you like to become an architect? What classes should you take in school? How do you get started in your career? And (we have to ask) how much money are you likely to earn? All in one place, here are the most frequently asked questions about careers in architecture with links to common sense answers. The advice comes from architects who have participated in our online discussions, with additional comments from Dr. Lee W Waldrep, an Architectural Education Consultant and author of Becoming an Architect. 13 Things Aspiring Architects Should Know Aspiration, inspiration, and respiration- all of these words come from the same root, the Latin word spirare, to breathe. People who aspire to join the world of architecture live and breathe what is called the built environment. Could that describe you? Here are some questions to consider: What is an architect? What types of work does an architect do? How do architects spend their time? Is architecture a licensed profession?How much do architects earn? What is the average starting salary for an architect? Do architects earn as much as doctors and lawyers? What is the average income for an architect? Is a degree in architecture worth the cost? Should students consider choosing a more lucrative profession? What are the future prospects for architects?What can I do with a major in architecture? What jobs can I get if I study architecture in college? What careers use architecture skills? If I dont become a licensed architect, will my degree in architecture go to waste?To be an architect, what subjects should I take in high school? Can I begin preparing for a career in architecture while Im still in my teens? What courses will help me get ready for college? What classes will look impressive on my college application?Where are the best colleges to study architecture? Where c an I find college rankings and how important are they? Which schools are ranked high for architecture and does it matter? What features should I look for when I choose a college? What is accreditation? How can I find out whether a college or university is accredited? If I study architecture, what is the college curriculum like? What classes are required to earn a degree in architecture?  Will I have to study a lot of math? Will I have to take science classes?What books do you recommend for architecture students? What are some of the most important reference books for architecture? What books do professors and architecture students often recommend?Can I study architecture online? Can I educate myself about architecture by taking online courses and watching videos? Can I get college credit by taking online courses?  Can I earn an architecture degree by taking classes on the Internet? Where can I find free college courses?After college how do I start a career in architecture? Will I become an architect as soon as I earn a degree? What tests will I need to take to become licensed? What are the other requirements?What is a Building Designer? Are building designers always architects? Can I become a building designer without earning a degree in arch itecture? What are the licensing requirements to become a Professional Home Designer? Will I need a degree in architecture? What courses should I take? How did architecture become a licensed profession? Did Frank Lloyd Wright have a degree in architecture? Why do architects today have to pass so many requirements? When did the examination process for architects begin?What do the letters after an architects name mean? Why do some architects put AIA or FAIA after their names? What does the acronym CPBD mean? What other  acronymns are important in the building and design professions?Are you interested in architecture? If you are in high school, would you be excited about Six Weeks of Lessons? Or would you just tolerate it? Youve got to love it. Breathe it. Do you have what it takes? French architect Jean Nouvel acknowledged his parents when he accepted the Pritzker Architecture Prize in 2008. They taught me to look, to read, to think and to express what I think, Nouvel said. So, begin with the basics. What qualities make a great architect? Here are a few more comments from some seasoned professionals with ideas to share: A good architect should think more by his heart than brain. He should consider each clients dream as if it is his own....An architect must have interest in the surroundings. When others see land, you, as an architect, should see a plan, ideas, and design.Architecture takes passion and dedication together with creativity.What qualities make a great architect? The one who possesses a great understanding of other fields other than arts and architecture.Imagination, creativity, and passion. Having these three qualities is very important in an architect. Architecture is art.An architect must be a planner every time, every day, everywhere, every movement, to achieve the great wishes.To feel emotion and question it. To see the need and do it. To ask the question when all is complete: Was all done that needed to be done?A good architect must be optimistic. A great architect is not made by way of a brain nearly so much as he is made by way of a cultivated, enriched heart.An architect should b e organized, creative, and resourceful. An architect is a person who should be able to handle many co-related jobs simultaneously. Who should have knowledge of geography, history, sociology, and psychology. And capabilities of learning about new building materials in the market, learning about everything, in addition to thinking and designing. Source Jean Nouvel 2008 Laureate Acceptance Speech at pritzkerprize.com/sites/default/files/file_fields/field_files_inline/2008_Acceptance_Speech_0.pdf

Monday, October 21, 2019

25 Coups de Plume

25 Coups de Plume 25 Coups de Plume 25 Coups de Plume By Mark Nichol What, exactly, is a coup, and how many kinds of coups are there? This post describes a variety of phrases using the word, plus an array of related terms. Coup, a word for a sudden bold and/or brilliant act it also serves as a truncation of â€Å"coup d’à ©tat† comes from the French word coup, meaning â€Å"stroke† or â€Å"blow†; ultimately, it’s from the Greek term kolaphos by way of the Latin borrowing colaphos. Few of the following expressions have been widely adopted into English, but they’re all available for literal and/or idiomatic use: 1. Coup la porte (â€Å"knock on the door†): a signal or summoning 2. Coup bas (â€Å"low blow†): a cheap shot 3. Coup d’archet (â€Å"stroke of the bow†): contact of the bow with one or more strings on a violin or a similar instrument 4. Coup d’chance (â€Å"stroke of luck†): a fortunate event 5. Coup d’eclat (â€Å"stroke of glory†): a glorious feat 6. Coup d’à ©tat (â€Å"stroke of state†): the overthrow of a national government by a government faction usually, elements of the nation’s military 7. Coup d’oeil (â€Å"stroke of the eye†): a survey taken at a glance 8. Coup de coeur (â€Å"blow to the heart†): an intense but short-lived passion 9. Coup de crayon (â€Å"stroke of the pencil†): an expression of artistic creativity 10. Coup de destin (â€Å"blow of fate†): a tragic event 11. Coup de foudre (â€Å"stroke of lightning†): an unexpected sudden event; also, love at first sight 12. Coup de glotte (â€Å"stroke of the glottis†): a method in singing and speaking technique in which the glottis, the space between the vocal folds, is suddenly manipulated by muscular contraction 13. Coup de grà ¢ce (â€Å"stroke of mercy†): a blow or shot to end the suffering of a mortally wounded person or animal; a figuratively similar act; or a decisive act, event, or stroke 14. Coup de l’amitià © (â€Å"stroke of friendship†): one (drink) for the road 15. Coup de main (â€Å"stroke of the hand†): a sudden, full-scale attack, or assistance 16. Coup de plume (â€Å"stroke of the pen†): a witty or masterful turn of phrase 17. Coup de poing (â€Å"stroke of the fist†): a punch, or a shock 18. Coup de pouce (â€Å"stroke of the thumb†): a helping hand, or a nudge 19. Coup de repos (â€Å"stroke of rest†): a chess move in which a player prepares for a blow against the player’s opponent 20. Coup de sang (â€Å"stroke of blood†): extreme anger 21. Coup de thà ©Ãƒ ¢tre (â€Å"stroke of theater)†: a sudden twist in a stage play’s script, or, in general, a sudden turn of events or a sudden effect; also, a successful stage production 22. Coup du ciel (â€Å"stroke from heaven†): sudden good fortune 23. Coup dur (â€Å"stroke of difficulty): a tough blow, or something difficult to accept 24. Coup en traà ®tre (â€Å"stroke of treachery†): a stab in the back 25. Coup montà © (â€Å"stroke of fitting†): a frame-up or con Many other phrases and expressions include the word coup; those listed above are just most of them that begin with it. Among the others are coup pour coup (â€Å"blow for blow,† or â€Å"tit for tat†) and coup sur coup (â€Å"in quick succession,† or â€Å"time after time†). Coup appears in other usages, and related terms abound. A coup injury is one in which the head strikes an object, causing injury to the brain; the accompanying countercoup injury to the brain occurs when the head strikes a fixed object, causing the brain to impact against the skull as well. Counting coup is the act of dominating or defeating an opponent in single combat without causing injury; in some Native American cultures, a warrior won such prestige by striking a foe or an enemy position with a hand, a weapon, or a coup stick, or by stealing an opponent’s weapon or his horse. Success in counting coup, which required the honoree to withdraw without injury, was acknowledged by notches cut in the coup stick or eagle feathers worn in the honoree’s hair. Coupage has four distinct meanings: blending two types of wine to alter flavor, mixing drugs with other substances, removing hair from a hide, and tapping on the thorax to help dislodge secretions, such as in treatment for tuberculosis. Decoupage, unrelated to any of these senses, describes decoration of an object with paper cutouts and other materials. Other terms with the root word coup include recoup, which originally meant â€Å"to deduct,† though now the general sense is of compensation for a loss, and beaucoup, a French term meaning â€Å"many, a great number.† The latter entered general usage in American English by way of military personnel who had served in Vietnam, which had until recently been part of French Indochina. Coupà ©, the word for a type of carriage and, later, a style of car, is related; the sense is of something cut (with a stroke) down to a smaller size. So, too, is coupon, from the French word for â€Å"piece.† They are cognate with the verb cope, frequently seen in the phrase â€Å"cope with† and meaning â€Å"deal with challenges† and, less often, â€Å"prevail in combat or competition.† A coping saw, meanwhile, is a tool with a small, thin, saw blade set in a U-shaped frame, and a coppice (also rendered copse) is a thicket of trees cultivated for cutting. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Vocabulary category, check our popular posts, or choose a related post below:4 Types of Gerunds and Gerund PhrasesDifference between "Pressing" and "Ironing"Honorary vs. Honourary

Sunday, October 20, 2019

7 Flawed Sentences Redeemed by Commas

7 Flawed Sentences Redeemed by Commas 7 Flawed Sentences Redeemed by Commas 7 Flawed Sentences Redeemed by Commas By Mark Nichol The simple insertion, deletion, or relocation of a comma (or two) can alter a sentences meaning, so when writing or editing a sentence, carefully analyze it to determine whether the punctuation (or lack thereof) serves its intended meaning or whether it creates grammatical confusion. The following examples illustrate the significant difference punctuation can make; discussion after each sentence explains the problem and provides a solution. 1. Relaxed capital and leverage requirements are favorable to depository institutions as they allow institutions to put more of their capital to work and may even provide consumers with more access to credit. Punctuation helps readers recognize the meaning of a word that, in identical syntactical arrangements, can have distinct meanings. In this sentence, as appears to function as a synonym for while in the sense of referencing a simultaneous occurrence. However, the clause that follows as is an explanation- here, as is a synonym for because- and is therefore a dependent clause, which means that it must be preceded by punctuation: â€Å"Relaxed capital and leverage requirements are favorable to depository institutions, as they allow institutions to put more of their capital to work and may even provide consumers with more access to credit.† 2. It is a never-ending campaign to stay in step with adversaries, and wherever possible, anticipate their next move. In this sentence, the intended function of the commas is to set off a parenthetical phrase, but the placement of the first comma erroneously suggests that its purpose is to separate two independent clauses. The parenthetical phrase is â€Å"wherever possible,† not â€Å"and wherever possible†- test this fact by temporarily omitting each alternative from the sentence and seeing which statement is still grammatically valid- so the first comma must follow, not precede, and: â€Å"It is a never-ending campaign to stay in step with adversaries and, wherever possible, anticipate their next move.† (Because the phrase that follows and is not an independent clause- there is no subject- no additional comma is required before the conjunction.) 3. I consider movies, such as Get Out, examples of artwork that provoke discussion about our society. The commas bracketing â€Å"such as Get Out† imply that that phrase is expendable- that the sentence is valid without it. But the writer is referring to a category of movies that the film Get Out exemplifies in some quality, so that phrase is essential to the sentence and therefore cannot be treated as a parenthetical phrase: â€Å"I consider movies such as Get Out examples of artwork that provokes discussion about our society.† (If movies were qualified with an adjective, as in the phrase â€Å"movie that allegorically pertain to racism,† then â€Å"such as Get Out† would be valid as a parenthetical phrase because it suggests an example of a specified category of film, rather than just one film in the all-encompassing category of â€Å"movies.†) 4. Getting the right information, to the right people, at the right time, is intrinsically valuable to any organization. The segmentation of the first three phrases in this sentence is unnecessary and obtrusive. The writer of this sentence assumes that punctuation is required to distinguish the three factors referenced sequentially in this sentence, but the prepositions to and at serve this function: â€Å"Getting the right information to the right people at the right time is intrinsically valuable to any organization.† 5. Directors can’t get the information they need to make critical decisions because the company’s ability to effectively measure and report on key risks is limited. If this sentence continued after limited, with an alternative explanation for why directors can’t get the information they need (following a semicolon), then the phrase â€Å"because . . . is limited† would be essential to the sentence. But in the sentence as written, â€Å"because . . . is limited† is a subordinate (and therefore nonessential) clause, and it should be set off from the main clause (â€Å"directors . . . critical decisions†): â€Å"Directors can’t get the information they need to make critical decisions, because the company’s ability to effectively measure and report on key risks is limited.† 6. It’s kind of scary actually. When an adverb appearing at the end of a sentence is intrinsic to the sentence, do not include intervening punctuation, as in â€Å"We visit them annually.† (Without annually, the sentence â€Å"We visit them† would not convey the intended information- the frequency with which they visit- so annually is essential to the statement.) But in this case, actually merely serves as an informal form of emphasis- it merely strengthens the admission but does not add meaning- so it is set off from the main clause: â€Å"It’s kind of scary, actually.† (Also, actually should be set off if it precedes the main clause- â€Å"Actually, it’s kind of scary†- but no punctuation is necessary if the adverb is inserted within the clause: â€Å"It’s actually kind of scary.†) 7. What’s different is they came of age at a difficult time. The subject of this sentence is they, and what comes before is a dependent introductory clause, which must be set off from the main clause by a comma: â€Å"What’s different is, they came of age at a difficult time.† Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Grammar category, check our popular posts, or choose a related post below:Possessive of Proper Names Ending in SThe Difference Between "will" and "shall"10 Terms for the Common People

Saturday, October 19, 2019

PROPOSAL ON CLOUD STORAGE SERVICE Research Example | Topics and Well Written Essays - 3250 words

ON CLOUD STORAGE SERVICE - Research Proposal Example Moreover, the proposal further includes indication of the main idea of the Cloud Storage Service that will allow the individuals, professionals, and organizations to understand different technicalities and processes associated with the proposed service. Lastly, the research proposal includes identification and discussion of anticipated benefits for organizations along with brief conclusion of the proposal. It is anticipation of the researcher that the proposed idea will be very beneficial for organizations and will facilitate them in improving and enhancing their different processes and procedures by managing huge volumes of data effectively. INTRODUCTION Due to economics of scale, cloud storage is services that are inexpensive and more consistent than services directly controlled by the ‘end user’. Nonetheless, they as well raise several security and confidentiality issues, as big suppliers become entrusted with mass of potentially ‘sensitive’ records.... ier's resources to execute custom applications; and SaaS (Software as a Service), where clients utilize software that functions on the suppliers infrastructure† (Sandrs, p. 10). Cloud storage services generally come under classification as either private or public. Within a private cloud, the infrastructure is controlled and held by the client and positioned on-premise - to be precise, within the clients region of control. Especially, this indicates that access to customer records is within its control and is simply in the hands of trusted parties. Within a public cloud, the infrastructure is held and supervised by a cloud supplier and is positioned within the supplier's area of control. This indicates that client records are outside its control and un-trusted parties could potentially use it. Storage services founded on public clouds offer clients with scalable, as well as dynamic storage. Because of shifting their records to the cloud, clientele can avoid the expenditure of b uilding and keeping a private storage infrastructure, choosing instead to pay a supplier as a function of its requirements. For the majority of clients, this offers quite a lot of advantages together with accessibility - being capable to access records from everywhere - and trustworthiness - not having to be afraid of backups - at a comparatively lesser cost. Although the advantages of utilizing a public cloud infrastructure are obvious, it initiates considerable safety and confidentiality threats. Actually, it appears that the major obstacle to the implementation of cloud storage is concerned about the privacy and reliability of records. Whereas, until now, clients have been ready to trade privacy for the ease of software services, this is not the case for businesses and governments

Friday, October 18, 2019

Communicative Disorders Essay Example | Topics and Well Written Essays - 250 words

Communicative Disorders - Essay Example 14). Students with a mild hearing loss might either have a hearing aid, or the teacher might be able to speak louder to him or her than to other students. For a child with moderate hearing loss, one might use a louder voice in addition to flash cards or other manipulatables and visuals to assist in the lesson. According to Gargiulo (2010), â€Å"Pupils with a hearing loss need visual information to learn. Acting out experience-based language lessons or stories is helpful. Using environmental labels around the classroom can start such children on the road to learning language†¦Ã¢â‚¬  (pp. 426). Additionally, teachers teaching students with severe hearing loss should be well-versed in American Sign Language (ASL). If they are not familiar with sign language, they should start learning it so they can communicate with their students whose hearing is nonexistent or very poor. It’s the teacher’s job to make sure that these interventions wouldn’t interfere with n ormal classroom routines by making these interventions part of the routine. Parents cannot be left out of the equation, either. According to Otto (2010), parents are a key component in ensuring that a child has all the support he or she needs to succeed (pp. 3). Parents’ concerns must be addressed. Teachers should share any relevant information with the parents and support them in the education of their

Ladders and stairways safety Essay Example | Topics and Well Written Essays - 1750 words

Ladders and stairways safety - Essay Example Stairway or ladder is considered as essential to provide to the employees when nineteen inches or more elevation has to be made without any ramp, embankment, runway or personal hoist. It should be kept in mind that it is mandatory for the employers to provide its employees a ladder or a stairway in every such point of transition. If the two levels are joined by only one point of transition employers should keep that point clear of any obstacles so that the employees are ensured of a free passage of movement. However even after taking adequate precaution if that transit point gets clumsy so that the movement of the employees gets severely restricted, the employer should prepare a second point of transition between the same two levels and provide its access to their employees. Furthermore if on from the very beginning or in the course of work a certain working place gets more than once access point between two levels the employers have to ensure that one of the transit point must be open for all the time and it should be cleared of any obstacle as well. A culmination of cautiousness, precaution and technology has to be used to ensure ladder safety at work place. To avoid slipping hazards ladder should be kept free of any slippery materials such as oil, grease and other form of oily element. Even to maintain a ladder use of all these products are strictly prohibited. Even after taking all the precautionary measures, if somehow the surface of the steps catches oil immediate wipe is strictly recommended. Each type of ladder is constructed with a certain objective and using them for their particularly purpose would not only ensure their longevity but it will also keep away several unwanted incidents. While putting a ladder into use the surface quality must be carefully watched. If the surface is uneven or slippery it may easily

Thursday, October 17, 2019

Multinational Advertising Agency Research Paper

Multinational Advertising Agency - Research Paper Example Ad agencies are present in a variety of sizes from small shops managed by one or at maximum two persons to large multinational, multi agency conglomerates for instance Omnicom group, Interpublic Group of companies, WPP group, and also Havas. A national advertising agency generally have only one or two major clients and their accounts are maintained by them. The multinational advertising agency is one which generally have an enormous client base spread across the country or the world (enotes, â€Å"Selecting a particular advertising agency†). Role of multinational ad agencies is to accelarate growth of the economy along with the creation of public awareness.The service obtained from these type of agencies are very much personalized in its nature and provides professional and experienced services for its international clients.This agencies are the important means of communication between global business entities and its customers (Scribd, â€Å"Functions of Advertising Gencies†). The basic role of a multinational ad agency is to manage accounts of its clients across the world, provide creative services, and get media access for them. Since the World War II the well documented developments in the field of communication has been noticed with the growth of multinational corporations as the global enterprises. As compared to the computers and satellites, the new form of the communication system i.e. the multinational ad agencies have been able to establish its importance in the horizon of the corporations (Wiley, â€Å"The Growth of Multinational Advertise Agencies in Latin America†). The benefits that are obtained using the advertising agencies add significance to it. The benefits are like-the agencies contribute added expertise in solving the purpose of its business. They provide media knowledge as well as unbiased recommendation and suggestions. Communication and strong marketing decisions are the two most important

Drug Debate Essay Example | Topics and Well Written Essays - 1250 words

Drug Debate - Essay Example The divide came into sharpest focus in 1997 when Australian Federal Government decided to withdraw government support to methadone treatment in Australia as an antidote to heroin addiction (Bush and Neutze 2000). Prevailing moral attitudes towards drug use Moral positions vary widely from individual to individual. Those who have had no direct interactions with drug users and have no clear idea about the menace have developed some sort fear and abhorrence about it and hence consider drug abuse as something which is grossly immoral. As a corollary of this attitude, all drug addicts in their eyes are people devoid of either ethics or morality and all those who help these drug addicts in having their daily dose are equally immoral and corrupt. But those who have been in close contact with drug addicts have a much more sympathetic attitude about the issue of heroin maintenance (Dingelstad, et al. 1996). There are basically four different moral viewpoints about this issue: The first group believes that it should be permitted as long it does not inflict any harm on others. The second group believes that this is the only possible means to keep drug addicts alive and gradually improve their health and would in some distant future also help them to get rid of this habit completely. o The third group believes that this method would not help the drug addicts at all and therefore disapprove heroin maintenance claiming that there definitely should be some other option for improving the health of drug addicts and helping to get rid of the habit. o The fourth group believes that this is nothing but an excuse to continue with drug addiction and is therefore strongly opposed to it (Alcorn and Brady 1999). Thus, it seems the possibility of a rapprochement between these widely differing positions is rather remote. But all hope need not be lost as groups holding different attitudes can be questioned regarding the basis of their stands and we can reach a broad area of compromise. The first group, we may term them libertarians, might be questioned that though each individual should have freedom of choice but prolonged use of amphetamine might lead to sudden acts of intense aggression which could surely harm others. Thus, there should not be any blanket freedom in use of drugs. The fourth group consists of those that are strictly against use of any drugs. They are probably confused between use and abuse, since all drugs are used by medical practitioners in restricted doses to cure one ailment or the other. This brings us to the question how much use can be construed as abuse and this genuinely opens up the entire issue. The second and the third groups occupy a middle position as both these groups accept administration of drugs at permissible levels can be allowed provided it helps the drug users to finally overcome the habit and if that is the only way out. It is extremely necessary to bring the two extreme opinions closer to each other as public policy towards drug use must have the support of the majority for it to be a success. The middle ground should ideally be that drug use par se cannot be construed as immoral but if such use harms an individual or adversely affects community welfare, then such is to be restricted, if necessary by terming it as a criminal act (Martin 1999 ). This debate is further marked by what may be termed as

Wednesday, October 16, 2019

Multinational Advertising Agency Research Paper

Multinational Advertising Agency - Research Paper Example Ad agencies are present in a variety of sizes from small shops managed by one or at maximum two persons to large multinational, multi agency conglomerates for instance Omnicom group, Interpublic Group of companies, WPP group, and also Havas. A national advertising agency generally have only one or two major clients and their accounts are maintained by them. The multinational advertising agency is one which generally have an enormous client base spread across the country or the world (enotes, â€Å"Selecting a particular advertising agency†). Role of multinational ad agencies is to accelarate growth of the economy along with the creation of public awareness.The service obtained from these type of agencies are very much personalized in its nature and provides professional and experienced services for its international clients.This agencies are the important means of communication between global business entities and its customers (Scribd, â€Å"Functions of Advertising Gencies†). The basic role of a multinational ad agency is to manage accounts of its clients across the world, provide creative services, and get media access for them. Since the World War II the well documented developments in the field of communication has been noticed with the growth of multinational corporations as the global enterprises. As compared to the computers and satellites, the new form of the communication system i.e. the multinational ad agencies have been able to establish its importance in the horizon of the corporations (Wiley, â€Å"The Growth of Multinational Advertise Agencies in Latin America†). The benefits that are obtained using the advertising agencies add significance to it. The benefits are like-the agencies contribute added expertise in solving the purpose of its business. They provide media knowledge as well as unbiased recommendation and suggestions. Communication and strong marketing decisions are the two most important

Tuesday, October 15, 2019

Multi Sector Collaborative Project Research Proposal

Multi Sector Collaborative Project - Research Proposal Example This portion of the project introduces the topic. The topic a very brief explanation regarding it should be given in this portion. The topic chosen for study is "to study the effects of the usage of Methamphetamines in Spokane." Excessive usage of Meth by the people is one of the major issues that Spokane has been facing in the recent years. Therefore, it is necessary to study the effects that are created by this drug on the social setup of Spokane and the methods to curb the further spreading of this deadly habit among the people. This portion is the introduction of the project. The project and its purpose are to be explained in detail in this portion. An introduction regarding what Methamphetamine is and what influence it had on Spokane is to be enumerated in this portion. Meth is a drug that speeds up the activities of the brain. This drug is normally in the form of powder. It is also available in pills and crystal forms. This drug is mostly used by the youth. This drug affects the central nervous system very badly. Excessive usage of this drug is harmful for human being as it causes many diseases including diseases that are related to the cardiac system. It will also result in higher body temperature. People use this drug through many ways. Smoking, swallowing, inhaling and injecting are some of the methods through which people take in this drug. This drug is used by some others to reduce weight or to boost up their performance. That is usage of this drug will accelerate the working of heart and brain. As a result of which blood flow increases in the body. It is found that excessive usage of this drug has even resulted in death. Hypothesis A hypothesis is any argument made by the researcher that he intends to prove by the results of his study. The hypothesis of this project can be any statement that shows that usage of Meth is harmful. The hypothesis here is "excessive usage of Meth will harm the social setup of Spokane and will also harm the future generations of the society" Objectives of the study This is one of the important components of any project. The objective of the study is the intention of the researcher behind doing a project. The research or project should be carried on by adopting the objectives as the base. The objectives of this project are as follows: To study the impact of excessive usage of meth on the social setup of Spokane. To analyze the impact of court order on the mindset of Meth addicts. Main body Main body of the work is where all the information regarding then topic and all the literature required for conducting the study is listed. In this portion the researcher should gather detailed information regarding the components of the topic of study. The main objective of this project is to analyze the impact of the usage of Meth. The project is being studied on the basis of prevention program that is conducted for many meth addicts of the region. The people who are considered here for prevention program are persons who are charged with drug related offences. The results of the project are based on the prevention program and the additional information gathered from various secondary sources. Spokane is a city located near to Washington. This city is located along the Spokane River. This city is also called Lilac City. Spokane is the second largest populated city in Washington. The

Monday, October 14, 2019

The hydration step Essay Example for Free

The hydration step Essay Oxidation is the major pathway for the catabolism of saturated fatty acids. It involves the successive removal of two-carbon fragments from the carboxyl end of the fatty acyl CoA (Champe, Harvey, Ferrier, 2005). The first three steps of this ? -oxidation spiral are the following (Murray, Granner, Mayes, Rodwell, 2000): Dehydrogenation or oxidation – the removal of two hydrogen atoms from the 2(? )- and 3(? )-carbon atoms, catalyzed by acyl-CoA dehydrogenase, yielding 1 FADH2; Hydration – the addition of water to saturate the double bond, forming 3-hydroxyacyl-CoA, catalyzed by ? 2-enoyl-CoA hydrase (also known as enoyl-CoA hydratase); and Dehydrogenation or oxidation – a further dehydrogenation on the 3-carbon, catalyzed by the enzyme L(+)-3-hydroxyacyl-CoA dehydrogenase, producing 1 NADH. The end-products of this pathway, after a few more steps and successive reentry of acyl-CoA into the cycle, are acetyl CoA, NADH and FADH2. The citric acid cycle is the energy-producing pathway â€Å"where the oxidative metabolism of carbohydrates, amino acids, and fatty acids converge, their carbon skeletons being converted to CO2 and H2O† (Champe, Harvey, Ferrier, 2005). Although it is technically a cycle, the â€Å"last† three steps are identified as follows (Murray, Granner, Mayes, Rodwell, 2000): Dehydrogenation or oxidation – succinate, in the presence of FAD, is converted by the enzyme succinate dehydrogenase into fumarate and FADH2; Hydration – the addition of water to fumarate to produce L-malate, catalyzed by fumarate hydratase (also known as fumarase); and Dehydrogenation or oxidation – the conversion of malate and NAD+ by the enzyme malate dehydrogenase to oxaloacetate, NADH and H+. The chemical conversions involved in the citric acid cycle that eventually produce carbon dioxide and water generate a form of energy that is usable by aerobic organisms (http://en. wikipedia. org/wiki/Citric_acid_cycle). Obviously, the first three steps of the ? -oxidation pathway and the last three steps of the citric acid cycle involve the same reactions. Both occur in the mitochondria of the cell. In both cycles, the first dehydrogenation (also called oxidation, depending on the source) involves a flavoprotein coenzyme with a FAD prosthetic group, and FADH2 is thus yielded. The hydration step in ? -oxidation and the citric acid cycle involve hydratase enzymes. The second dehydrogenation step in both cycles require the NAD+ coenzyme and produce NADH + H+. That having been said, the main difference between these otherwise similar reactions is that they have different substrates and yield different products. The last step in the ? -oxidation pathway is the splitting of ? -ketoacyl-CoA by the enzyme ? -ketothiolase (http://themedicalbiochemistrypage. org/fatty-acid-oxidation. html). This reaction produces an acyl-CoA derivative that contains two carbons less than the original acyl-CoA molecule that that underwent oxidation, as well as acetyl-CoA. The acyl-CoA thus formed reenters the ? -oxidation spiral, while the acetyl-CoA is oxidized to carbon dioxide and water through the citric acid cycle. The first step of the citric acid cycle is the initial condensation of acetyl-CoA with oxaloacetate to form citrate, in a reaction catalyzed by citrate synthase (Murray, Granner, Mayes, Rodwell, 2000). A carbon-to-carbon bond is created between the methyl group of acetyl-CoA and the carbonyl carbon of oxaloacetate. Acetyl-CoA transfers its two-carbon acetyl group to oxaloacetate, which initially contains four carbons, and a six-carbon molecule is then formed as citrate (http://en. wikipedia. org/wiki/Citric_acid_cycle). Both reactions involve acetyl-CoA. However, acetyl-CoA is the product in ? -oxidation, whereas it is one of the substrates in the citric acid cycle. Coenzyme A is required in the last step of ? -oxidation, whereas it is one of the by-products in the first step of the citric acid cycle. Finally, in ? -oxidation, two carbons are removed per cycle, whereas the citric acid cycle involves the addition of two carbons. References Champe, P. C. , Harvey, R. A. , Ferrier, D. R. (2005). Lippincott’s Illustrated Reviews: Biochemistry. Philadelphia: Lippincott Wiliams Wilkins. Citric Acid Cycle. (2008). In Wikipedia, the free encyclopedia. Retrieved October 7, 2008, from Wikipedia: http://en. wikipedia. org/wiki/Citric_acid_cycle Fatty Acid Oxidation. (2008). In The Medical Biochemistry Page. Retrieved October 7, 2008, from: http://themedicalbiochemistrypage. org/fatty-acid-oxidation. html Murray, R. K. , Granner, D. K. , Mayes, P. A. , Rodwell, V. W. (2000). Harper’s Biochemistry (25th ed. ). New York: McGraw-Hill.

Sunday, October 13, 2019

Round-trip time (rtt)

Round-trip time (rtt) RTT: Round-Trip Time (RTT) can also be called as round-trip delay. It is to calculate how much time required for sending a packet or signal pulse from one source to a specific destination and comes back to the same specific source. RTT is one of the several factors that affecting latency and the time between the request for data and also the complete return or display of that data. RTT can range between a few milliseconds under some ideal conditions to several seconds between points under adverse conditions. Estimated RTT plus can be defined as safety margin. It is the estimated value of RTT that is based on the combination of current RTT and the past RTT. EstimatedRTT = (1- a)*EstimatedRTTlast + a*SampleRTT Large variation in Estimated RTT means larger safety margin. To calculate the DevRTT we need to estimate how much Sample RTT deviates from Estimated RTT i.e., DevRTT = (1-b)*DevRTTlast +b*|SampleRTT-EstimatedRTT| (typically, b = 0.25) Segment Sample RTT Estimated RTT DevRTT Time Out Interval 1 130 130.00 130.00 650.00 2 138 131.00 99.25 528.00 3 122 129.88 76.41 435.50 4 124 129.14 58.59 363.50 5 131 129.37 44.35 306.77 6 139 130.58 35.37 272.05 7 139 131.63 28.37 245.10 8 121 130.30 23.60 224.71 9 134 130.76 18.51 204.80 10 127 130.29 14.71 189.12 11 267 147.38 40.93 311.12 12 139 146.33 32.53 276.47 13 126 143.79 28.85 259.19 14 134 142.57 23.78 237.68 15 141 142.37 18.18 215.08 16 137 141.70 14.81 200.93 17 291 160.36 43.76 335.42 18 123 155.69 41.00 319.68 19 134 152.98 35.49 294.95 20 139 151.23 29.68 269.95 21 141 149.95 24.50 247.94 22 142 148.96 20.11 229.41 23 139 147.71 17.26 216.77 24 122 144.50 18.57 218.79 25 123 141.81 18.63 216.34 26 143 141.96 14.23 198.90 27 215 151.09 26.65 257.70 28 134 148.95 23.73 243.87 29 122 145.59 23.69 240.36 30 134 144.14 20.30 225.35 Table 1 A premature retransmission timeout occurs if there is no packet or signal loss or if the lost packet or signal can be captured by fast retransmission mechanism. With contrast, over estimation of RTT will lead to late retransmission timeout, in that case, if there is a loss and which cannot be captured by the fast retransmission mechanism. Therefore, it is crucial to have a Retransmission Timeout (RTO) value for TCP performance which is an equilibrium point in balancing between both the above cases. Note: RTO must be smaller than RTT. Following are the few algorithms which help in setting the retransmission timeout Ludwig and Katz propose the Eifel algorithm to eliminate the unnecessary retransmissions that can result from a spurious retransmission timeout. Gurtov and Ludwig present an enhanced version of the Eifel algorithm and show its performance benefits on paths with a high bandwidth-delay product. Ekstrand Ludwig proposes a new algorithm for calculating the RTO, named the Peak-Hopper-RTO (PH-RTO), which improves upon the performance of TCP in high loss environments. RFC 3649 proposes modification of TCP congestion control that adapts the increase strategy and makes it more aggressive for high bandwidth links (i.e. for large window sizes) Even if there is no packet loss in the network, windowing can limit throughput. Because TCP transmits data up to the window size before waiting for the packets, the full bandwidth of the network may not always get used. The limitation caused by window size can be calculated as follows: where RWIN is the maximum receive windows size and RTT is the round-trip time for the path. At any given time, the window advertised by the receive side of TCP corresponds to the amount of free receive memory it has allocated for this connection. Otherwise it would take the risk to have to drop received packets by lack of space. Unrelated to the TCP receive window, the sending side should also allocate the same amount of memory as the receive side for good performance. That is because, even after data has been sent on the network, the sending side must hold it in memory until its has been acknowledged as successfully received, just in case it would have to be retransmitted. If the receiver is far away, acknowledgments will take a long time to arrive. If the send memory is small, it can saturate and block emission. A simple computation gives the same optimal send memory size as for the receive memory size given above. Packet loss When packet loss occurs in the network, an additional limit is imposed on the connection. The limit can be calculated according to the formula (Mathis et al.): where MSS is the maximum segment size and Ploss is the probability of packet loss Below table shows the theoretical maximum sustained TCP throughput 135 kbits/sec at 1 second RTT 225 kbits/sec at 600 millisec RTT (typical satellite RTT) 449 kbits/sec at 300 millisec RTT 1200 kbits/sec at 100 millisec RTT (typical domestic Internet RTT) 1780 kbits/sec at 60 millisec RTT 2800 kbits/sec at 30 millisec RTT 4510 kbits/sec at 10 millisec RTT (typical within a city) In order to set the ACK timer we need to know how large the ACK timeout value should be. It can be too short or too long. Too short > premature timeout > extra retransmission Too long > slow reaction to loos > poor performance For this we need to have the timer longer than RTT, for this we need to estimate RTT by measuring the time from a segment transmission until the receipt of ACK which is nothing but Sample RTT. For this we need to ignore retransmissions and measure only one segments RTT at a time. By doing so, the sample RTT will vary and we can compute an average RTT based on the several recent RTT samples. Timeout = Estimated RTT + 4*DevRTT The probability of premature retransmission timeout is P1 = P[RTO < RTT] ((1-p) W + (1-(1-p) W) (1-3/W) ) ≈ P[RTO < RTT] (1-3/W 2) ≈ P[RTO < RTT] The throughput degradation due to this event is: L1 = WlogW. During the slow start ph.ase we can observe, TCP sends at most W packets. We obtain that the expected output degradation result to premature retransmission timeout is: P1.L1 = P[RTO

Saturday, October 12, 2019

Historical Perspective in the Essays of Susan Griffin, Richard Rodrigue

Historical Perspective in the Essays of Susan Griffin, Richard Rodriguez, and Ralph Ellison (Our Secret, Extravagance of Laughter, The Achievement of Desire) Susan Griffin’s â€Å"Our Secret† is an essay in which she carefully constructs and describes history, particularly World War II, through the lives of several different people. Taken from her book A Chorus of Stones, her concepts may at first be difficult to grasp; however David Bartholomae and Anthony Petrosky say that, â€Å"Griffin writes about the past - how we can know it, what its relation to the present, why we should care. In the way she writes, she is also making an argument about how we can know and understand the past†¦Ã¢â‚¬  Griffin strikes all of these aspects in her essay. What is most compelling about the essay, however, is the way Griffin incorporated personal, family, and world history into a chilling story of narrative and autobiography, without ever losing the factual evidence the story provided. The chapter reads like an entire novel, which helps the audience to understand the concepts with a clear and complete view of her history, not needing to read any other part of the book. Two other authors, Richard Rodriguez, and Ralph Ellison, who write about their experiences in life can possibly be better understood as historical texts when viewed through the eyes of Griffin. Rodriguez explores his own educational history in his essay â€Å"The Achievement of Desire† and Ralph Ellison depicts his own journeys and personal growth in his essay, â€Å"An Extravagance of Laughter†. Both essays, which when seen through Susan Griffin’s perspective, can be reopened and examined from a different historical view, perhaps allowing them to be understood with a more lucid view of history and what it is really about. What is history? Many believe that history is what is read in textbooks, or what is seen on the news. If Susan Griffin were asked that question, she would probably argue that history is much more than that. It is about the minds and souls of the people who went through the historical event, not simply what happened. In her essay, Griffin incorporates stories of people from totally different backgrounds, and upbringings, including herself, all to describe their account of one time period. Each person’s history is somehow connected with the next person’s, and each story contr... ...a play and Griffin after learning about her family.. All three authors of these essays are in a sense, historians. They wrote about events that are in history, which makes the essays about history. However, these are all great works, and are being used to help explore the ways of writing history. Thus, in the context of which they are being used, they are all history. Themes about finding the truth within the self are current throughout works, and different types of histories are explored; making these text much more than just about history; they have become history. Ralph Ellison once said, â€Å"The way [one] expresses both the agony of life and the possibility of conquering it through is the sheer toughness of the spirit. They fall short of tragedy only in that they provide no solution, offer no scapegoat but the self†¦Ã¢â‚¬  Each author demonstrates the toughness of the spirit, and provide no solution, as history never does. It is up to the individual to decide whether history will repeat itself, or whether or not a scapegoat will be found. However, Griffin, Rodriguez, and Ellison all did their part in providing possible solutions.†¦for history.

Friday, October 11, 2019

Perspectives on the 1939 White Paper During World War II

In 1939, the British government published a White Paper severely restricting Jewish immigration and planning for an independent Palestinian state within ten years. On the part of the British, this was an effort to secure crucial Arab cooperation in case of war. But neither the Jews nor the Arabs were pleased with the White Paper. The Jews took direct action against it, arguing that it violated earlier promises that had been made to them. The Arabs, on the other hand, argued that the restrictions were too weak.Still, the Arabs recognized the White Paper as a move in the right direction and although they went on record as opposed to it, they did not openly fight it. While the Jews forcefully rejected the White Paper, most of the Zionist leadership postponed the fight against the British in order to support them in the war. Some Jewish terrorist organizations, however, did spring up to target Britain. Throughout World War II, the White Paper allowed the British the support they had been seeking from the Arabs, while drawing opposition from the Jews.In the period leading up to the issue of the White Paper, Britain’s attempts to resolve the crisis in Palestine â€Å"occurred against a backdrop of developing tensions in Europe and the Mediterranean that ultimately had a major impact on Britain’s Palestine policy† (Smith 139). To the British, the Arab Revolt that had taken place from 1936 to 1939 â€Å"signified a rebellion that had to be crushed, not simply to preserve Britain’s own position in Palestine as the mandatory power, but to consolidate that position by appealing for Arab support both within and outside Palestine once the revolt had ended† (Smith 139).This position was adopted as the threat of war began to loom closer. German and Italian propaganda was aimed toward the Arabs, encouraging them to revolt against the British. The British knew that they could not afford to send large numbers of troops to quash a rebellion when their forces would be necessary in Europe. They also recognized the strategic importance of Palestine, and British military planners â€Å"now began to view Palestine in light of envisaged wartime needs† (Smith 139).Any troops currently in Palestine would have to be transferred to Egypt and the Suez Canal at the outbreak of war, and eventually reinforcements from India would have to travel through Palestine. Peace in Palestine was now considered â€Å"essential to British military security† (Smith 139). But more was necessary to guarantee British security in the region. In addition to control over Palestine, the British needed â€Å"assurance of the tacit, if not open, support of the neighboring Arab countries† (Smith 140).The Palestine situation was crucial to gaining this support, as Arab leaders had become increasingly involved in the conflict during the revolt. Creating a solution that was favorable to the Arabs would promise Britain the support of the Arab world during the war. In January 1939, British strategists advised that â€Å"‘immediately on the outbreak of war, the necessary measures would be taken†¦in order to bring about a complete appeasement of Arab opinion in Palestine and in neighboring countries’† (Smith 140) The British also recognized that maintaining their mandatory power in Palestine was necessary if they hoped to use it as a strategic base.But the Partition Plan had already been proposed by the Peel Commission in 1937. This â€Å"raised questions in the Foreign Office: if the Jews were recognized as having national status in part of Palestine, what further justification would there be for Britain’s staying there as mandatory authority? † (Smith 140). Nevertheless, the Cabinet approved the Partition Plan. Expecting the Zionists to do the same, they were â€Å"startled by the force of Zionist opposition to the plan† (Smith 140). As a result, the Woodhead Commission was f ormed to investigate the possibilities for partition.The Foreign Office, which strongly opposed partition, used this opportunity to have the committee â€Å"reopen the question of the practicability of partition, not just its scope† (Smith 140). Fearing a hostile Arab reaction to British policy, the Foreign Office argued that â€Å"‘the European implications of a hostile Middle East aligned with Britain’s enemies must override the arguments in favour of partition’† (Smith 140). The Woodhead commission submitted its report in November 1938, after a period of severe Arab revolt had â€Å"temporarily paralyzed much of Palestine† (Smith 141).The Commission concluded that â€Å"there were no feasible boundaries for ‘self-supporting Arab and Jewish states’† (Smith 141). Still, the commissioners recommended three different partition plans. One plan reduced the Jewish portion to approximately 400 square miles along the coast, whil e the other two made the state even smaller. The Zionists rejected all of the proposals, which paved the way for the British government to issue a White Paper on November 9, 1938, which â€Å"discarded the entire notion of partition as ‘impracticable’† (Smith 141).This abandonment of partition allowed the British to take control of all of Palestine, securing their mandatory power and their strategic bases. Although they had succeeded in maintaining control, the British still needed to resolve the conflict between the Arabs and the Jews. The White Paper therefore called for a conference in which the two group would discuss â€Å"‘future policy, including the question of immigration into Palestine’† (Smith 141). It also warned that if the two parties could not agree, the British would â€Å"‘take their own decision in the light of their examination of the problem’† (Smith 141).The St. James Conference, held in London in Febru ary 1939, swiftly reached an impasse. Jamal al-Husayni, the cousin of the mufti, â€Å"demanded the creation of an independent Arab state and the dismantling of the Jewish National Home,† while Chaim Weizmann argued for â€Å"a continuation of the mandate and British sponsorship of unlimited immigration† (Smith 141). With the threat of war looming ever closer, â€Å"Arab opinion in the Middle East now seemed more important to British interests than was Jewish opinion in Palestine or Jewish political influence in London† (Smith 143).The British government decided to act. They â€Å"finally agreed to the Arab state overtures† (Smith 142) and published the White Paper on May 17, 1939. The 1939 White Paper illustrated a â€Å"stunning reversal of policy† (Smith 139) and was â€Å"interpreted by contemporaries as marking the end of the alliance between the Jews and Great Britain† (Shapira 276). It restricted Jewish immigration into Palestine to 1 0,000 per year for five years with an additional 25,000 refugees permitted.After five years, no further Jewish immigration would be allowed â€Å"‘unless the Arabs of Palestine are prepared to acquiesce in it’† (Shapira 469). Land transfers to Jews were also restricted to certain areas. The White Paper declared that â€Å"‘His Majesty’s Government believe that the framers of the Mandate in which the Balfour Declaration was embodied could not have intended that Palestine should be converted into a Jewish state against the will of the Arab population of the country’† (Smith 142). The new policy planned for Palestine to be an independent Arab state within ten ears, when Jews would make up no more than one-third of the population. Zionist reaction to the 1939 White Paper was abrupt. Declaring that the Jews would resist its implementation, the Jewish Agency argued that the plan was â€Å"contrary to international law and a violation of the promises made to the Jews in and since the Balfour Declaration† (Smith 142). On the day after its publication, the Grand Rabbi tore up a copy of the White Paper before the assembled congregation in the principal synagogue of Jerusalem.Street demonstrations in the same city resulted in the death of a British constable from a Jewish revolver shot. Mass meetings of Jews throughout the country took an oath to observe a proclamation which contained the following passages: ‘Whereas the British Government has announced a new policy in Palestine†¦Now therefore the Jewish population proclaims before the world that this treacherous policy will not be tolerated. The Jewish population will fight it to the uttermost, and will spare no sacrifice to frustrate and defeat it’ (Khalidi 473).Jews in Palestine also announced policies of civil disobedience and non-cooperation with the British, but these plans soon ceased as â€Å"Jewish leaders knew that if the Government were t o cease its active support of the National Home the latter’s entire structure would be imperiled† (Khalidi 473). In general, â€Å"the Zionist leadership abandoned the fight against Britain and dedicated itself to promoting maximum participation of the Jewish community in the war effort† (Shapira 280). The Jewish community argued over whether they should fight the White Paper or support the British in the hope that their post-war policy would change.Moderates felt that the White Paper had been issued only because the war required Arab support. Arthur Ruppin wrote in his diary in May 1939 that â€Å"‘This White Paper emanates from a certain political constellation (Arab united front, Britain’s fear of the Arabs) and will be equally short-lived’† (Shapira 290). Moderates â€Å"demanded that tension with the British be reduced; Jews should be unconditionally loyal until the end of the war, assuming that the British government would ultima tely change its policy† (Shapira 290).Even Vladimir Jabotinsky, â€Å"despite all this criticism of the mandate government and all his attempts to exert pressure on it by threatening to replace it with another power, was not prepared to give Britain a bill of divorce. Until his dying day, he supported a pro-British orientation† (Shapira 246). Immigration, though, remained a strong point of contention. Before the publication of the White Paper, Zionist leaders had decided to increase illegal immigration of Jews into Palestine. Of the 27,561 Jews who arrived in Palestine in 1939, 11,156 were unauthorized (Smith 165).With the beginning of war, these plans intensified as thousands of refugees attempted to flee Europe. David Ben-Gurion warned that while Jews would â€Å"‘help the British in their struggle as if there were no White Paper’† they would also â€Å"‘resist the White Paper as if there were no war’† (Shapira 279). This situat ion â€Å"brought Zionists and British officials into immediate conflict† (Smith 165). When the British decided to hold illegal immigrants in internment camps in Palestine, the Zionists reacted by flooding the country with immigrants in order to make the policy impossible.The British then decided that refugees who reached Palestine would be transferred to the island of Mauritius. They simultaneously struggled to stop the flow of refugees from Europe by urging countries like Turkey to deny them transit. After the outbreak of war, the impossible refugee situation â€Å"created ‘almost†¦a war within a war’† as â€Å"Jews became increasingly bitter at what they saw as British inhumanity† (Smith 165). This situation led to disaster. In November 1940, British naval patrols intercepted two ships and transferred over 1,700 refugees to the SS Patria to be deported to Mauritius.While the ship was ported in Haifa, the Jewish defense force Hagana â€Å"ar ranged for a bomb to be placed near the hull to disable the ship, thereby forcing British authorities to permit the Jews to stay. The plan miscarried, and the ship sank with over 200 casualties† (Smith 165). The Zionists were outraged. Faced with propaganda that accused them of responsibility for the deaths, the British cabinet allowed the survivors of the Patria to remain in Palestine.Another disaster occurred in February 1942 when the British convinced the Turks to forbid the SS Struma passage into the Mediterranean. The ship full of Romanian Jews was turned back and sank with only one survivor. To the Zionists, â€Å"this was proof of British perfidy† (Smith 165). While most Jewish leaders recognized that they could not declare war on Britain, Jewish terrorist groups did grow and aim their attacks at the British. The Jewish broadcasting station, Kol Israel, stated that â€Å"The paralysing of the railways all over the country through utting the lines in 242 places s erves as a warning to the Government of the White Paper† (Khalidi 606). Such activists saw the White Paper â€Å"as the result of a British assessment that the Jews had no choice but to resign themselves to an anti-Zionist policy, because they needed British protection against the Arabs† (Shapira 290). They set out to prove the British wrong. They argued that â€Å"the only way to bring about a change in British policy was by ample demonstration of Jewish power and willingness to fight and suffer losses† (Shapira 290).They also hoped to show the British government that enforcing the new restrictions â€Å"would make it necessary for them to carry out acts of suppression on a large scale, and it was doubtful whether the British government would approve† (Shapira 290). Their actions were designed to send the British â€Å"a clear message about what the absolute limits were, limits beyond which they were prepared to die and even to kill† (Shapira 290). The publication of the 1939 White Paper also led the Irgun, a Revisionist terrorist group, to shift its focus from the Arabs to the British.Irgun began attacking British administrative buildings, assaulting British police personnel, and bombing gathering places. But once the war began, Jabotinsky urged his followers in the Revisionist party â€Å"to support the British effort against the Nazis† (Smith 170). Most of the Irgun followed Jabotinsky’s orders. Those who did not were led by Abraham Stern. The Stern Gang, formed in 1940, was â€Å"willing to rob Jewish concerns, such as a Histadrut bank, with Jewish loss of life as well as assault British officials† (Smith 170).Stern simultaneously established relationships with German and Italian representatives, offering them â€Å"his service to their cause for the duration of the war† (Smith 170). Ignoring the Nazis’ anti-Semitic platform, Stern allied himself with the Germans simply because they were fighting Britain. The Hagana and the Irgun both condemned the Stern Gang, offering the British police information that led to Stern’s murder in a February 1942 raid. For the next two years, there was little Zionist underground activity.The leaders of the Stern Gang were either dead or in prison, and the Irgun had lost its leadership with Jabotinsky’s death. But Menachem Begin, who arrived in Palestine in 1942, â€Å"saw himself as the heir to Jabotinsky’s Revisionist ideals† (Smith 170). At the end of 1943, both Irgun and the Stern Gang â€Å"were again preparing for anti-British action, inspired by both the receding German threat in the Middle East and the ongoing tensions in Zionist-British relations, exacerbated particularly by the legacy of the refugee ships and the growing awareness of the Holocaust† (Smith 170).This situation led to cooperation between Begin and the remaining members of the Stern Gang. Under the name LEHI, they resumed their actions against Britain. The actions of LEHI resulted in the opposite of their intended effects. In July 1943, Winston Churchill instigated the creation of a cabinet committee on Palestine that would examine alternatives to the 1939 White Paper. The committee recommended partition, but the plan was never officially approved because on November 6, members of LEHI assassinated Lord Moyne, the deputy minister of state for Middle East Affairs in Cairo.Since Moyne had been a close friend of Churchill, the Prime Minister â€Å"reacted by shelving the partition scheme he had seen through, against stiff opposition from his ministers† (Smith 170). He announced to the House of Commons that â€Å"‘if our dreams for Zionism are to end in the smoke of assassins’ pistols and our labours for its future to produce only a new set of gangsters worthy of Nazi Germany, many like myself will have to reconsider the position we have maintained so consistently in the past’† (Smith 170).Partition was not discussed again during Churchill’s term. For the duration of the war, Churchill’s warning to the Jews worked: â€Å"they stopped underground activities that seemed to threaten the likelihood of any cooperation with a British government after the war† (Smith 170). Arab views on the White Paper also varied, as â€Å"The Arab community in Palestine was essentially leaderless, riven with more factions than ever before† (Smith 144). Although they recognized this as a step in the right direction, â€Å"The Arab reaction was only partially favourable† (Khalidi 470).They were pleased with the â€Å"definite statement that there was no intention of setting up a Jewish state and the apparent determination to make Palestine an independent country in which the Jews formed not more than a third of the total population† (Khalidi 470). But they still viewed the restrictions concerning land sales as â€Å"quite inadequateâ €  because â€Å"they ignored the fact that the rights and position of the Arab population were also being prejudiced by land purchases made by Jews avowedly for ‘political and strategical reasons’ – i. . , with a view to dominating the whole country† (Khalidi 470). Arabs also had trouble believing that the British would enforce these new immigration plans. From their point of view, â€Å"similar statements at intervals during the last twenty years had never yet been followed by a cessation of the illegal immigration, and the Arab delegates saw no reason to suppose that they would be on this occasion either† (Khalidi 470).Precautionary statements in the White Paper such as â€Å"‘should public opinion in Palestine hereafter show itself in favour of such a development’ and ‘provided that local conditions permit,’ taken together with ‘adequate provision for the special position in Palestine of the Jewish National Ho me’† suggested to the Arabs that â€Å"Jewish opposition would still be allowed to block constitutional development indefinitely† (Khalidi 471). Moderate Arabs and the leaders of the Arab governments saw the White Paper as hopeful.Those who encouraged defiance optimistically â€Å"used the example of the Arab Revolt and its presumed success in forcing Britain to deal with the Arabs, whatever its military failure† (Smith 144). The Arab Higher Committee, on the other hand, â€Å"repudiated the White Paper because it did not promise them immediate independence with a halt to Jewish immigration† (Smith 142), maintaining its â€Å"consistent refusal to admit that any part of Palestine should be given to the Zionists† (Smith 144). As a result of their rejection of the White Paper, â€Å"A certain limited recrudescence of Arab violence even manifested itself in Palestine† (Khalidi 471).The mufti, who had been officially banned from Palestine after his escape in October 1937, had a similar reaction. After the outbreak of war, British officials in Palestine sought the mufti’s support for the White Paper and his help in implementing it. They did so â€Å"out of fear of his ability to arouse general Arab hostility toward the British position in the Middle East at that time† (Smith 171). The mufti â€Å"rejected these requests and the White Paper itself† and instead â€Å"aligned himself with the Iraqi rebellion against Great Britain in April 1941, and once it failed†¦he spent the rest of the war supporting the German war effort† (Smith 171).In general, though, Arab reaction to the 1939 White Paper was not hostile. Agreeing not to engage in overt political activity, â€Å"members of the Higher Committee accepted British offers of safe return to Palestine† (Smith 172). Other leaders including â€Å"a number of leading members of the Istaqlal and the Palestine Arab party that represente d the Husaynis, along with Husayn al-Khalidi of the Reform party, reestablished themselves in the country. In general they indicated their reserved acceptance of the 1939 White Paper and istanced themselves from the mufti† (Smith 172). Although fierce Axis propaganda (including the mufti urging rebellion) was focused on Palestine in 1941 and 1942, the Arabs in Palestine remained calm. Another revolt was recognized as â€Å"out of the question, both for political and military reasons. It appeared that the British were coming closer to the Arab point of view. Although they were still quite far from meeting the Arab demands, the process was proceeding in a positive direction from the Arab perspective† (Shapira 282).In addition, the Arabs realized that any uprising would have been immediately put down by British forces stationed in Palestine. In general, â€Å"the Arab community in Palestine remained a passive element in the occurrences both during the war and afterward. T he years 1939-1947 were apparently the longest continuous period of quiet and relative tranquility in Arab-Jewish relations in Palestine since the 1920s† (Shapira 282). The reaction of Palestinian Arabs was one of â€Å"general political quiescence† (Kimmerling 134). To many, the White Paper indicated that the British intended to grant Arab independence in Palestine.Arabs saw the Zionist struggle against the policy as â€Å"a sign of anxiety and weakness† (Kimmerling 134). They were certain that â€Å"All they needed to do was bide their time† (Kimmerling 134). The British government’s strategic decision to publish the 1939 White Paper therefore proved fruitful. Although the Arabs were not entirely pleased with the decision and argued for stronger restrictions, they did offer the British their support during the war. The Jews, on the other hand, were divided in their reaction to the White Paper.Some violently fought the restrictions while others rec ognized the importance of siding with Britain. The British recognized that the consequences of Jewish terrorism were far outweighed by the support they needed from the Arab world, and throughout World War II the 1939 White Paper succeeded in that respect. Both Arabs and Jews rejected the White Paper, although to differing degrees. The Arabs argued that the restrictions were too weak, but they still offered Britain their support. The Jews struggled to fight the policy while still backing the British war effort.The British entered World War II â€Å"aware that their Palestine policy reversal in the 1939 White Paper had outraged the Zionists without satisfying the Arabs. They accepted this as the price for temporarily stabilizing their military and strategic positions in Palestine and the Arab world at large†¦It was a short-term strategy of expediency and calculated appeasement designed to serve Britain’s immediate wartime and possibly long-range imperial designs that assu med a British presence in Palestine for the foreseeable future† (Smith 145).Summary of each†¦ Info about reexamination of Husayn-McMahon Correspondence? See also Khalidi p. 468 for this. The Zionist (Biltmore) Program held in in May 1942 declared that â€Å"The Conference calls for the fulfillment of the original purpose of the Balfour Declaration which†¦was to afford them [Jews] the opportunity, as stated by President Wilson, to found there a Jewish Commonwealth.The Conference affirms its unalterable rejection of the White Paper of May 1939 and denies its moral or legal validity†¦The policy of the White Paper is cruel and indefensible in its denial of sanctuary to Jews fleeing from Nazi persecution; and at a time when Palestine has become a focal point in the war front of the United Nations, and Palestine Jewry must provide all available manpower for farm and factory and camp, it is in direct conflict with the interests of the allied war effort† (Khalid i 497).They wanted Palestine to be an Arab state and they felt that the McMahon-Hussein correspondence had promised them that. They hoped to limit the number of Jews in Palestine to only those who were already there. The Jews argued that the White Paper violated promises made to them in the Balfour Declaration. Multiple standpoints existed within the Jewish community, from more moderate views to Jabotinsky and the Revisionist Party’s radical opinions.