Tuesday, December 31, 2019

The Significance of Chapter 5 in Frankenstein by Mary Shelley

The Significance of Chapter 5 in Frankenstein by Mary Shelley Works Cited Not Included This essay will consider the significance of Chapter five to the rest of the novel, and look at how Mary Shelleys life has influenced her writing. I am going to focus mainly on Chapter five, but first I am going to consider some important aspects of the preceding chapters. In Chapter one Victor describes how his mother and father met and how he and Elizabeth where brought together. When he first describes her, it contrasts greatly with his primary depiction of the creature Her brow was clear and ample, her blue eyes cloudless, and her Lips and the moulding of her face so expressive of sensibility and†¦show more content†¦Though he had a happy childhood, Frankenstein never had many friends, and Elizabeth and Henry Clerval where his closest. When Victor was seven, his mother had another baby, and the arrival of that child made them decide to stay in Geneva. The rest of the chapter however, is devoted to recounting his love of science Curiosity, earnest research to learn the hidden laws of nature, Gladness akin to rapture, as they were unfolded to me, are among The earliest sensations I can remember(Chapter 2, pg 40). Victor soon starts reading the writings of alchemists such as Cornelius Agrippa, a medieval scientist whose teachings were exploded by Frankensteins time. These readings were what would ultimately lead to his downfall. Eventually, after discovering the science of electricity, he stops studying Agrippa, and begins to study mathematics instead, but fate as he puts it, brought him back to the field of science. Frankenstein, in the first two chapters, keeps referring to his imminent doom, and his fate, which begins with the bringing to life of his creation in chapter 5. At the age of seventeen Victor leaves his family in Geneva to finish his studies at Ingolstadt University. Just before he departs, his mother catches scarlet fever from Elizabeth, who she had been nursing back to health. ThisShow MoreRelatedThe Significance of Chapter 5 in Frankenstein by Mary Shelley1008 Words   |  5 PagesThe Significance of Chapter 5 in Frankenstein by Mary Shelley Frankenstein was written by Mary Shelly in 1816 and has become perhaps one of the most famous novels in the gothic, horror genre. Shelley was brought up in the 19th century where there were a lot of medical and scientific breakthroughs. These have influenced the novel because during the 19th century people had just discovered new information about the body and that electrical impulses were send via the body to Read More Significance of Chapter 5 in Mary Shelley’s Frankenstein Essay1212 Words   |  5 PagesComment on Chapter 5’s significance in Mary Shelley’s Frankenstein. Famous writer, Mary Shelley was born in London in 1797. She was the daughter of writer William Godwin and Mary Wollstonecraft. Shelley’s mother sadly died while giving birth to her. This was an influence included in the later successful novel ‘Frankenstein’. At 19, she married poet Percy Shelley, who she married in 1816. Together, Mary and Percy had five children, but only one survived past childhood. This tragedy, alongRead MoreEssay about Mary Shelleys Frankenstein1317 Words   |  6 PagesMary Shelleys Frankenstein Frankenstein was written in the 18th century by the romantic writer called Mary Shelley. The key events in this novel symbolize Mary Shelleys problems in real life, in one way or another. The novel starts with a man called Walton, who is venturing to the North Pole. On his way, he is shipwrecked and he comes across Victor Frankenstein, who is the protagonist in the book. Victor relives his story to Walton about what he did, which emphasizesRead MoreFrankenstein Major Works Data Sheet Essay1125 Words   |  5 Pagesï » ¿Title of Work: Frankenstein Author: Mary Shelley Date of Publication: January 1, 1818 Genre: Gothic Biographical information about the author: Born as Mary Wollstonecraft Godwin to William Godwin and Mary Wollstonecraft on August 30, 1789, Mary was the only child of her father and mother. Hardly more than a week after having Mary, Wollstonecraft died, leaving William to raise Mary and her half-sister, Fanny, whom William chose to adopt. When Mary was four, her father remarried but resentmentRead More Chapter five is a very important part of Frankenstein because it best946 Words   |  4 PagesChapter five is a very important part of Frankenstein because it best describes the monsters appearance and how he was created. Look at the significance of chapter five to the novel as a whole. Focus on the relevance and effect of the writer’s use of language to describe setting, character and what it shows about social and historical influences The novel â€Å"Frankenstein† is about a scientist name Victor Frankenstein who decides to create life using body parts and electricity, but the Read MoreMary Shelley s Frankenstein - Original Writing1177 Words   |  5 Pages Title:Frankenstein Author:Mary Shelley Date of Publication:March 11, 1818 Provide information about the period (literary, historical, philosophical, etc.). Many people argue that the gothic genre is a reaction to the Age of Reason. This movement stressed the power of the human mind. Frankenstein is categorized as this. Identify the genre and specify how this work fits its characteristics. The genre is gothic science fiction. It combines fiction, horror, and romanticism. It display horrorRead More Chapter 5 of Mary Shelleys Frankenstein Essay2016 Words   |  9 PagesChapter 5 of Mary Shelleys Frankenstein Within this essay I intend to discuss how Frankenstein and his creature change and how subconsciously they love each other. Chapter 5 will be used to show different themes as well as seeing how Frankenstein acts around his creation. Also the way Frankenstein has played God will be seen in this chapter. I will start this essay by looking at chapter 5. Shelley shows, in chapter 5, Frankenstein and the creature’s reaction to the ‘creation’. ShelleyRead MoreEssay about The Myth of Prometheus in Mary Shelleys Frankenstein2907 Words   |  12 Pagesconflicting aspects of knowledge and its consequences were first discussed thousands of years ago by the ancient Greeks. The Titan Prometheus bestowed upon mankind the gift of knowledge, but that gift came with a price. In Frankenstein: or, A Modern Prometheus, Mary Shelley brings the ideas of Prometheus into the early 19th century by co-opting three of the central themes of the Prometheus myth—the themes of knowledge with consequence, the underlying sexism within the story of Pandora, andRead MoreSummer Reading Assignment: Shelleys Frankenstein934 Words   |  4 Pagesform first by Robert Walton and then switches to Victor Frankenstein. If the book was only told from one character’s point of view I think it would be less confusing. 2. The creatures view on society, justice and injustice is that he feels just will never be served. 3. The main themes in the novel are revenge and justice. 4. The role weather has in maintaining the mood of Frankenstein is it induced a mood appropriate setting. 5. Shelley includes Dr. Darwin’s name in the preface because of theRead MoreOutline on Frankenstein3283 Words   |  14 PagesFrankenstein by Mary Shelley In the Gothic novel Frankenstein, Mary Shelley integrates the rhetorical devices figurative language, imagery, and tone to impart the concept that the desire to acquire knowledge and emulate God will ultimately result in chaos and havoc that exceeds the boundaries of human restraint. I. Life of Mary Shelley / Characteristics of Gothic Literature A. Life of Mary Shelley 1. Eleven days after Mary Shelleys birth, her mother, the famed author of A Vindication

Sunday, December 22, 2019

Mental Health Issues And Levels Of Participation - 1725 Words

Living in a state of positive, stable mental health benefits individuals in all areas of life. Attaining a positive state of mental health seems simple enough, but can be difficult when juggling many different responsibilities and leading a busy life. As the modern world becomes more and more reliant on technology, and an increasing number of occupations require employees to sit at a desk for long hours, there is a need to remedy the stress that is associated with these â€Å"desk jobs.† This report addresses the connection between mental health issues and levels of participation in outdoor recreation, and after presenting relevant data, gives options for dealing with the aforementioned problems. After multiple surveys were administered at†¦show more content†¦Research has shown that, when communities with â€Å"low recreation supply and demand, and high proportions of overweight and obese people† are provided with new outdoor recreation venues close to home, t he amount in which those citizens recreate outdoors increases. If local governments can identify these areas and build parks or trails and designate open space near them, it should increase the demand for outdoor recreation venues as a result of increasing the supply (Rosenberger, Bergerson, and Kline, 2009). This in turn creates a free mental health treatment options for members of these low-income communities. The purpose of this empirical report is to evaluate the relationship between individuals’ frequency of participation in outdoor recreation and the amount in which people struggle with negative mental health issues. The information provided will be used for improvements to public park and open space designation policy by parks, mountain, and open space departments at the local, state and federal levels, as well as academic institutions. This will be accomplished by presenting evidence of the mental health benefits obtained by students and members of the general population as a result of participation in outdoor recreation. This report is determines whether or not people who regularly participate in outdoor recreation

Saturday, December 14, 2019

Argumentation Paragraph Free Essays

All schools should have several armed and trained staff members to ensure student safety in case of a shooting. Some schools already have some type of security; however, these people are not armed to handle a shooting. The first reason schools should have armed personnel is to protect our students and faculty from these critical situations. We will write a custom essay sample on Argumentation Paragraph or any similar topic only for you Order Now Since 2010, there have been 34 school shootings in the U. S. The most recent massacre took place on December 14, 2012 at Sandy Hook Elementary School in Newtown, Connecticut. Twenty-eight people were murdered. Amongst them were 20 first grade students. Innocent people are killed and no one can do anything until police arrive. Another reason is it will also give students and faculty members a sense of security while on campus. The only thing that stops a bad guy with a gun is a good guy with a gun. If the criminals know that the schools have these armed members, they might think twice before committing a serious act of violence. One objection might be that there are limited funds as it is for schools and their budgets would not support it. However, if they would use staff members already employed by the schools, the cost would be minimal. Another objection might be that firearms should not be allowed on school property for security reasons. I think the benefits of this would heavily outweigh the risks associated. These tragedies can be avoided or at least controlled to eliminate most deaths and injuries. We need to start protecting our children and our schools. How to cite Argumentation Paragraph, Papers

Friday, December 6, 2019

Satisfaction Journal Of Business Research â€Myassignmenthelp.Com

Question: Discuss About The Satisfaction Journal Of Business Research? Answer: Introduction Corporate Social Responsibility (CSR) defines the business approaches, which contribute in the sustainable business development through delivering economic, social and environmental benefits to all types of stakeholders (Korschun, Bhattacharya and Swain 2014). CSR programs actually enhance the corporate image of organization to the stakeholders. However, CSR programs can enhance the overall cost of production of the organizations. Moreover, CSR programs have both advantage and disadvantage, which can have huge impact on the organizations. This essay will present arguments for and against Corporate Social Responsibility, using research from the academic literature and highlighting real company examples. Discussion Corporate Social Responsibility (CSR) is defined as the form of corporate self-regulation integrated into the business model. Moreover, in the concept of CSR, organizations integrate social, economical and environmental concern in their business operation and positively interact with the stakeholders. CSR practices encourage the organizations to be much more aware of the impact of their business on the society, stakeholders and community. As per Saeidi et al. (2015), CSR goes beyond charity and requires the organizations to act beyond legal obligations and integrated social, economic and environmental concern. Moreover, CSR activities of organizations care for the benefits of customers, employees, community and environment. According to Walker and Dyck (2014), CSR enhances the responsible business reputation and corporate image of an organization to their stakeholders. In CSR policies, organizations are more likely to maintain warm relationship with the customers and other stakeholders by fulfilling their interests. Therefore, they can gain trust of the stakeholders and make them well established in the market. While looking at the evidence of Coca Cola Amatil, it has been found that the organization constantly maintains the standards in all their product categories. Furthermore, the organization highly values their customers and other stakeholders through meeting all their standards. In this way, Coca Cola Amatil has well established its corporate image in the market (Ccamatil.com 2017). On the other hand, Chernev and Blair (2015) opined that CRS activities can face the issues of customer or community conviction. In such issue, customers and community like to see the organizations that they trust are highly engaged in social welfare programs. They highly believe that CSR programs are for good causes and like to see instant results from those programs. It is very difficult for the organizations towards convincing the customers and community about the good intension of CSR, if it does not show any instant result. While taking the example of Tom Shoes, it has been found that the organization gives one pair of shoes to a poor child for every one pair of shoes it sells to its customers. However, the customer and community claimed that Tom Shoes should try to develop the life of poor children rather than merely giving one pair of shoes. Moreover, the customers and community are less likely to believe on the charity Tom Shoes, which is making customer and community convicti on issues (Anderson 2017). Servaes and Tamayo (2013) pointed out that CSR activities facilitate in maximizing the overall organizational profit of an organization. Organizations having CSR activities always provide adequate return on investment to the shareholders and investors. In this way, such organizations can gain high level of trust of the shareholders and attract more capital inflow from various sources including shareholders and investors. Therefore, increased investment can strengthen the financial capability of an organization. Furthermore, effective CSR activities facilitate in gaining high level of customer loyalty. Therefore, the customers are more likely to repeat their purchase, which can actually enhance the sales and profit volume of an organization. While looking at the CSR activities of Coles Group, it has been found that the organization ethically deals with its shareholders and provides them adequate return on investment. Therefore, the shareholders and investors are highly interested to i nvest in this organization by enhancing its overall profit level (Theage.com.au 2017). As per Kim, Li and Li (2014), CSR programs actually increase the overall expenditure of an organization and its cost of production. Moreover, the organizations involved in CSR programs need to provide charity for communal development. It need huge among of monetary as well as non-monetary organizational resources, which add to the overall production of the organizations. Furthermore, organizations often have to compromise with some direct profit making activities for protecting the environment and stakeholders from the harmful effects of those activities. Apart from that, the organization also has to allow employee volunteering time to the employees, which can hamper the production capability of those employees and overall organizational production. In this way, CSR activities actually increase the cost of production of an organization. While looking at the example of Dominos Australia, it has been found that the charity programs of the organization towards treating the life of cance r affected young people have actually increased its expenditure. Though the organization is gaining high level of corporate image through their charity programs, still the organization has to compromise with its profit making capability (Dhaliwal et al. 2014). Most of the organizations utilize CSR initiatives for bolstering their public image. However, CSR initiatives necessitate an organization towards releasing certain genuine information, which could have some opposite impact on the organization than the expected outcome. Moreover, Hoi, Wu and Zhang (2013) opined that CSR programs require an organization to disclose all organizational information. As per CSR programs, the organizations need to be clear and transparent in communicating all their important information to their important stakeholders. In such situation, any organizational information, which is breaching the values of CSR programs, it can destroy the reputation of the organization to its stakeholders. While taking the evidence from Coca Cola, the organization released a report including the information regarding the chemical found in its products. This report has actually lowered the reputation of the organization (Mail Online 2017). The organization has actually suffered h uge revenue loss from such information discloser. According to Saeidi et al. (2015), CSR programs facilitate an organization towards saving overall organizational cost. The principle of good business is that any publicity is good publicity. Moreover, the product should be well known to the customers for increased sales volume. Effective CSR programs enhance the corporate image of a particular brand in the market. In this way, the CSR activities enhance the customer loyalty of an organization, which in turn enhance the word of mouth of any particular product. In this way, such CSR initiatives enhance advertisement effectiveness of the organization through increased word of mouth. Therefore, it actually reduces the advertising cost of the organizations. While looking at the evidence of community development programs of Cotton On Organizations, it has been found that the organization has highly popular for its favor towards community development. It has been found that high level of popularity of the organization has increased the word of mouth for the brands of the organization. Moreover, the customers are more likely to refer the brands of this organization to their relatives. In this way, CSR programs are actually enhancing the advertising effectiveness of the organization, which has minimized the advertising cost as well as overall organizational cost of the organization (Acrath.org.au 2017). Most of the critics of CSR have identified that CSR programs can shift the focus of an organization from its core business objectives. Hoi, Wu and Zhang (2013) opined that the organizations often forget their obligations towards the shareholder in which they have to make adequate profit for provide accurate return on investment to the shareholders. Moreover, the organizations can engage in CSR programs and use up their funds for community welfare. In this way, instead of making an income, CSR programs often make outflow of cash and not fulfill the actual business objectives of the organizations. While taking the example of Woolworth Group, it has been found that the organization spend huge amount of money for charitable purpose and community development. In this way, such huge amount of spending on CSR programs affects the financial stability of the organization (Wecu 2017). Conclusion While concluding the study, it has been found that corporate social responsibility enhances corporate image of organizations in the market. It actually helps in fulfilling the interest level of all kinds of organizational stakeholders. On the other hand, CSR programs can create customer and community conviction, where customers and community have less trust on the CSR programs, if it does not have any instant positive effects. However, CSR program maximizes the profit level of the organizations. Moreover, CSR initiatives encourage the organization towards provide adequate return on investment to the shareholders. It actually gain the trust level of the shareholders, which encourages the shareholders towards huge investment. It actually enhances the financial stability of the organizations. On the other hand, CSR initiatives enhance the overall cost of production of the organizations through increased charitable investment. Furthermore, CSR programs reduce the advertising cost of the organizations through increased word of mouth. Reference List Anderson, E. 2017.How Toms made hundreds of millions of dollars by giving shoes away. [online] Telegraph.co.uk. Available at: https://www.telegraph.co.uk/finance/enterprise/11580387/How-Toms-made-hundreds-of-millions-of-dollars-by-giving-shoes-away.html [Accessed 16 Sep. 2017]. Ccamatil.com. 2017.Coca-Cola Amatil Australia, New Zealand South Pacific. [online] Available at: https://www.ccamatil.com/ [Accessed 16 Sep. 2017]. Chernev, A. and Blair, S., 2015. Doing well by doing good: The benevolent halo of corporate social responsibility.Journal of Consumer Research,41(6), pp.1412-1425. Dhaliwal, D., Li, O.Z., Tsang, A. and Yang, Y.G., 2014. Corporate social responsibility disclosure and the cost of equity capital: The roles of stakeholder orientation and financial transparency.Journal of Accounting and Public Policy,33(4), pp.328-355. Hoi, C.K., Wu, Q. and Zhang, H., 2013. Is corporate social responsibility (CSR) associated with tax avoidance? Evidence from irresponsible CSR activities.The Accounting Review,88(6), pp.2025-2059. Kim, Y., Li, H. and Li, S., 2014. Corporate social responsibility and stock price crash risk.Journal of Banking Finance,43, pp.1-13. Korschun, D., Bhattacharya, C.B. and Swain, S.D., 2014. Corporate social responsibility, customer orientation, and the job performance of frontline employees.Journal of Marketing,78(3), pp.20-37. Mail Online. 2017.As a cancer scare erupts over a chemical in the fizzy drink ... just how safe is a can of Coke?. [online] Available at: https://www.dailymail.co.uk/health/article-2166193/Coca-Cola-cancer-chemical-scare-How-safe-Coke.html [Accessed 16 Sep. 2017]. Saeidi, S.P., Sofian, S., Saeidi, P., Saeidi, S.P. and Saaeidi, S.A., 2015. How does corporate social responsibility contribute to firm financial performance? The mediating role of competitive advantage, reputation, and customer satisfaction.Journal of Business Research,68(2), pp.341-350. Servaes, H. and Tamayo, A., 2013. The impact of corporate social responsibility on firm value: The role of customer awareness.Management Science,59(5), pp.1045-1061. Theage.com.au. 2017.A touchy, feely Coles takes on responsibility - Business - Business. [online] Available at: https://www.theage.com.au/news/business/a-touchy-feely-coles-takes-on-responsibility/2005/07/06/1120329501370.html [Accessed 16 Sep. 2017]. Walker, K. and Dyck, B., 2014. The primary importance of corporate social responsibility and ethicality in corporate reputation: an empirical study.Business and Society Review,119(1), pp.147-174. Wecu. 2017.Corporate Social Responsibility Strategy | Woolworths Employees Credit Union. [online] Available at: https://www.wecu.com.au/about-us/csr-strategy/ [Accessed 16 Sep. 2017].

Friday, November 29, 2019

Teenagers and Mobile Phones free essay sample

Most travelers and holiday makers take a camera with them and take pictures of everything that interests them beautiful views of waterfalls, forests, unusual plants and animals. These photos will remind them of the happy time of holiday. These are many ways of traveling by train, by plain, by ship, on foot. Everyone chooses his favourite one. My favourite way is traveling by plain. And not because it is very comfortable. It is exciting. I also like traveling by train. Ive traveled this way a lot. When you are in the train you can see the beauty of nature. I envy the tourists because I think that they study geography traveling and visiting different parts of the world. They can tell you many things which you didnt know before. They are interesting people from whom you can learn much new for yourself. Any kind of travel helps you to understand many things that you can never see or learn at home. We will write a custom essay sample on Teenagers and Mobile Phones or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Though you may read about them in books and newspapers. As for me Id like to have a coach tour to some foreign country. Coach tours are planned and Ill have a chance to do a lot of sightseeings and have a good rest at the same time.

Monday, November 25, 2019

Global Pharmaceutical Industry

Global Pharmaceutical Industry Introduction The global spending on drugs has increased over the years and in the year 2006 it reached an all-time high of over $ 643 billion (Schoonveld 8). These revenues are mostly concentrated in the US, Europe and Japan with the US accounting for almost half of the pharmaceutical revenues in the world.Advertising We will write a custom research paper sample on Global Pharmaceutical Industry specifically for you for only $16.05 $11/page Learn More However, emerging markets have also been identified to grow rapidly in the last few years with countries such as Russia, Mexico, Brazil, China and South Korea growing their consumption of prescription drugs by up to 81 percent. It has been identified that in the US stock exchange, the performance of pharmaceutical companies is ranked higher than the other fortune five hundred companies with returns of over 17 percent on revenues (Ajami 158). Largest pharmaceutical companies according to prescription sales Co mpany Prescription sales in millions Pfizer Inc. $58.5 Novartis 42.0 Sanofi-Aventis 40.3 Merck 39.8 Roche 39.1 GlaxoSmithKline 36.2 AstraZeneca PLC 33.3 Johnson Johnson Co. 22.4 Eli Lilly Co. 21.1 Abbott Laboratories 19.9 Pfizer Pfizer has been identified as one of the largest pharmaceutical companies in the world and is ranked first in terms of revenues (Lepore 1). It was initially established in 1849 and over the years it has grown to be listed in a couple of stock exchanges in the world. Over the years, the company has also acquired a huge market share through mergers with companies such as Warner–Lambert, Parke–Davis, Agouron, Pharmacia, Sugen, Wyeth and King Pharma. It has its headquarters in Midtown Manhattan in New York while its research headquarters are in Groton Connecticut. The company has divided its products into two different business segments. These are the bio-pharmaceutical and the diversified business segments.Advertising Looking for research paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More The bio-pharmaceutical business segment includes products which prevent as well as treat cardiovascular and metabolic diseases, arthritis and pain, eye disease, infectious and respiratory diseases, cancer, central nervous system disorders, endocrine disorders and urogenital conditions (Lepore 2). The diversified business segment has Animal as well as Consumer products (Lepore 5). Their research and development departments are dedicated to identifying, and developing products that will alleviate the medical deficiencies that are inherent in the world. The company actively spent $9.4 billion in the 2010 financial year, $7.8 billion in the 2009 financial year and $7.9 billion in the 2008 financial year on their research and development programs (Lepore 6). The company’s revenues from their business outside the US accounted for about 57 percent of their total revenues in the year 2010 with Japan being their second largest market which contributed 7.5 percent of their total revenues (Lepore 7). Their international operations have not been without challenges as the company struggles with capital and exchange control regulations, expropriation, other restrictive government actions such as laws and regulations on pricing and currency fluctuations. Novartis Novartis was founded in 2003 and is based in Basel, Switzerland. It has been ranked the second largest pharmaceutical company in the world in terms of revenues. Over the years it has grown through the setting up of subsidiaries as well as acquisitions and mergers with other companies. It has also sold some of its subsidiaries in the past, such as Gerber Products Company to Nestlà ©, which used to produce their infant and baby products. The company has a range of products which include cost-saving generic pharmaceuticals, preventive vaccines and diagnostic tools, ey e care, over-the-counter medications, innovative medicines and animal health products, which are categorized into five business segments namely Pharmaceuticals, Alcon, Vaccines and Diagnostics, Sandoz and finally Consumer Health (Ehrat 20).Advertising We will write a custom research paper sample on Global Pharmaceutical Industry specifically for you for only $16.05 $11/page Learn More The company spends a lot on their research and development programs, which are spread across each of their divisions with over 9.6 billion US dollars being spent on the same in 2011 alone. This ensures that the company has a concrete footing on the medical needs of the world through a constant supply of new products that are market specific. Their research and development programs also complement the efforts of their drug development activities by constantly testing for any new risks and uncertainties that may be posed by the drugs that they produce to both the company and the ir customers (Ehrat 164). Sanofi Sanofi is a French pharmaceutical company with its headquarters in Paris, France. It is currently ranked the world’s third largest pharmaceutical company in terms of revenues. Its revenues are mainly drawn from the research and development activities, as well as the manufacturing and marketing of prescription drugs (Linehan 158). In 2004 the company came to be known as Sanofi-Aventis after its acquisition of Aventis co. Some of its other subsidiaries include Zentiva, Sanofi Pasteur, Shantha Chattem, Biotechnics, Genzyme, Medley and Nichi-Iko. The company mainly focuses on the diabetes and oncology products as well as other flagship products in the anti-thrombotic and cardiovascular fields (Linehan 24). Merck co. Merck Co. is ranked as the fourth largest pharmaceutical company in the world and has its headquarters in Whitehouse Station, New Jersey. It was initially established as a subsidiary of a German company back in 1891, but the US confi scated it during World War I and later made it an independent American company in 1917. The company has been identified to base its operations on research and development as they seek to discover, design, develop and market innovative pharmaceutical products that improve the health of humans as well as animals all over the world (Frazier 3). They have managed to achieve this directly and through joint ventures with other pharmaceutical companies (Frazier 7). The company is also known for the Merck manuals, which are reference books for those in the medical and pharmacy fields.Advertising Looking for research paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Comparison One of the aspects of the world’s top pharmaceutical companies, that stands out is their concentration and investment on research and development programs. This is credited to the fact that most of the competition in the pharmaceutical business lies in the development of new products that are unique and serve to satisfy particular health needs. Revenues for the largest pharmaceutical companies according to 2009 annual reports Rank Company Country Total Revenues Net income/ (loss) Employees 1 Pfizer United States $50,009 $8,635 137,127 2 Johnson Johnson United States $63,747 $10,576 119,200 3 Hoffmann–La Roche Switzerland $43,970 $8,135 78,604 4 Novartis Switzerland $44,267 $8,454 98,200 5 GlaxoSmithKline United Kingdom $40,424 $10,432 103,483 6 Sanofi France â‚ ¬29,306 â‚ ¬8,471 84,000 7 AstraZeneca United Kingdom/Sweden $31,601 $5,959 67,400 8 Abbott Laboratories United States $29,527 $4,880 68,697 9 Merck Co. United States $27, 428 $13,024 74,372 10 Bristol-Myers Squibb United States $19,977 $2,165 42,000 11 Eli Lilly and Company United States $18,634 $2,953 40,600 12 Boehringer Ingelheim Germany $16,959 $2,163 43,000 For instance the development, manufacture and distribution of an erectile dysfunction drug called Viagra by Pfizer served to give them a great competitive edge in the market, as no other company had introduced such a drug in the market before (Schoonveld 265). The need to increase their business capacity as well as their market share is characterized by the numerous mergers and acquisitions in the pharmaceutical industry and this has served to increase the total value as well as productivity of the industry in general. This may be the reason behind the higher net income that Merck co. as compared to other pharmaceutical companies. Net incomes for the major pharmaceutical companies in the world The four major pharmaceutical companies, however, differ in their business models, with ot her major pharmaceutical companies as Pfizer and Novartis are identified to produce both prescription and over-the-counter drugs for both human and animal health. On the other hand, Sanofi chooses to concentrate their business model on the production of prescription drugs only while most major companies diversify their production so as to secure their revenue flows. Merck co. chooses to concentrate on research and development as well as the publication of medical and pharmacy manuals, which makes them unique in the whole industry (Frazier 4). Relationship between recessions and the increase in drug prices The suggestion that since 1960 to 2011, each time when pharmaceutical prices spiked, it was followed by a U.S. economic recession can only be explained through a review of consumer spending on prescription drugs. It has been identified that the cost of drugs increase by a substantial amount all over the world and this can be explained through the particular increase in spending. T he amount of money in billion dollars that the total cost of drugs increased by during recessions It has also been identified that American citizens spend over $289 billion a year on prescription drugs alone and this is a significant amount in the economy. Some people may argue that an increase in prices, even with a small margin will obviously have a significant impact on the economy and this directly translates to reduced savings and increased consumer spending (Schoonveld 127). This has been known over the years to be followed by a general increase in interest rates so as to reduce the consumption and increase savings (Ajami 267). With the inability of most citizens to meet their payments on credit advanced to them, defaults increase and the result is a negative ripple effect in the financial and credit markets as well as the entire economy in general. It may also be argued that during economic hardships people get sick often and, therefore, the demand for drugs goes up and subs equently their prices. Ajami, Riad. International business: Theory and practice. New York: M.E. Sharpe. 2006. Print. Ehrat, Felix. Annual report on Novartis Inc. Washington DC: United States Securities and Exchange Commission. 2011. Print. Frazier, Kenneth. Annual report on Merck co., inc. Washington DC: United States Securities and Exchange Commission. 2011. Print. Lepore, Matthew. Annual report on Pfizer inc. Washington DC: United States Securities and Exchange Commission. 2011. Print. Linehan, Karen. Annual report on Sanofi-Aventis. Washington DC: United States Securities and Exchange Commission. 2011. Print. Schoonveld, Ed. The Price of Global Health: Drug Pricing Strategies to Balance Patient Access and the Funding of Innovation. New York: Gower Publishing. 2011. Print.

Thursday, November 21, 2019

Balancing Executive Development Coursework Example | Topics and Well Written Essays - 3500 words

Balancing Executive Development - Coursework Example Boral Approach to Executive Development is a one of its kind program that has all the necessary elements that can make any program successful. Not only does it induce self-directed learning but also links performance to tangible results. It also allows for application of learning to real business cases and hence reinforces whatever learning is acquired during the course of the program. Some recommendations that can help Boral HRD practitioners make this program even more beneficial for their organization are listed below: 1. Currently this program is only for senior level executives who have achieved some recognition in the organization already through their hard work and capability. Boral can initiate such a program for middle and lower level managers and employees as well, so that they can develop technical, conceptual and social skills appropriate for their managerial level. 2. Boral can also take input from participants in order to make this program even more successful. Suggestions can be rated according to their impact on program and originality and the best one can then be incorporated into the executive development program. 3. Technology can be used to facilitate distance learning. Currently participants are expected to gather at a common place and take classes where it is convenient for all. If the scope of this program is extended then it will be beneficial to use video conferencing and other such tools to allow employees in remote locations to benefit from such a program. 4. In order to support ongoing learning in the workplace, Boral should seek assistance from higher institutions for vocational education and with universities. 5. Boral HRD practitioners should participate in professional associations and form networks with HRD practitioners of other organizations in order to keep themselves updated with respect to changing workforce development needs. 1 Introduction Learning has become, and will remain, an important issue for humans, as more and more nations now look towards evolving into "learning societies". Work organizations are becoming important

Wednesday, November 20, 2019

Homework Essay Example | Topics and Well Written Essays - 500 words - 31

Homework - Essay Example To start with, I have found incorporation of technology in my studies to be very useful because of the readily available information in the internet. According to Educause, technology provides access to vast amount of information trough use of tools such as internet and online data bases (n.d). This is true because personally I do not encounter unsolvable academic problems considering the fact that I have easy access to internet tools at home and at the school library. For instance, whenever I need clarification on certain topics during my personal revision, I look up in the internet where there is virtually an answer to every kind of question. Secondly, incorporation of technology in training by our lectures has helped to grasp the ideas put forward easily. This is because technological presentations enable the lecturers to point out the key information easily and at ease. According to Nacada, use of good presentations can impact the success of students in their studies (2011). Considering how technological presentations are made, students are attracted to the method of presentation hence making them to pay full attention to the tutors. This is arguably true because presentations made through incorporation of technology, for instance PowerPoint presentation, appeal greatly to learners. Lastly, incorporation of technology in education has helped me to improve my academic performance by enabling my lecturers to have individual based supervision. The use of computers by students facilitates flexible training by lecturers because every student can submit their own work at their convenient time. Further, use of computers enables the lecturers to identify students with weakness on particular topics and attend to them individually as opposed to training the whole class at once. This is the reason for my improved academic performance because I have received

Monday, November 18, 2019

Poes psychosomatic Turmoil Research Paper Example | Topics and Well Written Essays - 1500 words

Poes psychosomatic Turmoil - Research Paper Example Longings for the affection and love of the nearest and dearest ones were further deteriorated by the animosity of his step-father. In fact, the stepfather soon turns the inferiority-complex in Oedipal Complex. Along with these traumas, Allan Poe has experienced nightmares throughout his whole life. Instead of being afraid he soon learnt to apply the nightmarish effect in his writings, as in his book, Edgar Allan Poe, Vincent Buranelli says: He took to inspecting with meticulous exactitude his psychological states when he hovered between sleep and wakefulness, found his mind occupied with shadows of ideas â€Å"rather Psychical than intellectual,† and learned to some degree to control them. In a letter to Mr. Allan (April, 1833) Poe writes about loveless bleak world where he was suffering from isolation and destitution: â€Å"Without friends, without any means, consequently, of obtaining employment, I am perishing — absolutely perishing for want of aid†¦ For Godâ⠂¬â„¢s sake, pity me and save me from destruction (O’Neill 7). Obviously Poe’s longings for the camaraderie and compassion of the near relatives, together with his stepfather-induced Oedipal-complex greatly help Poe to perceive the revengefulness of the inferior and to conjure up the horrible revenge character like Montressor in â€Å"the Cask of Amontillado†. Though the â€Å"Cask of Amontillado† dominantly echoes the theme of revenge, the ruptured psychological evidences such as inferiority-complex and Oedipal complex, that Allan himself has been familiar with during his lifetime behind Montressor’s revenge. ... Though the â€Å"Cask of Amontillado† dominantly echoes the theme of revenge, the ruptured psychological evidences such as inferiority-complex and Oedipal complex, that Allan himself has been familiar with during his lifetime behind Montressor’s revenge. Indeed these ruptured psychological complexes are evident in almost all of Poe’s characters. If his real life inferiority complex and oedipal complex exhibit through the convulsive personality disorders like alcoholism and murderous intension in â€Å"the Cask of Amontillado†, â€Å"the Black Cat†, â€Å"The Premature Burial†, â€Å"The Tell-tale Heart† etc, the losses of his loved ones and the existential void induced by these losses are vividly emergent through the necrophilic fantasies in works such as â€Å"Ligeia† and â€Å"The Raven.† But the same existential cavity in Poe’s life has helped him to create a bleak world void of love and haunted by the fear of d eath, revenge, injustice and a world where people are affected with hyperesthesia, hypochondria, love-sickness, hypersensitivity to humiliation, abnormally revengefulness, etc. Such bleak world is evident in â€Å"the Fall of the House of Usher†. The loss of Poe’s mother when he was at three years old, the absence of a father, the death of his consumptive wife who soon died, the antagonistic relationship with Mr. John Allan, frustration in love and the subsequent indulgence into gambling and alcoholism etc have influenced his writings in a number of complicated ways. Though specific evidences in any specific piece of work can directed referenced to a traumatic event, experience or object, the traumatic events and experiences in Poe’s life have some effects on the themes

Saturday, November 16, 2019

Description And Examples Of Genetically Modified Organisms

Description And Examples Of Genetically Modified Organisms Genetically modified organism (GMO), organism whose genome has been engineered in the laboratory in order to favour the expression of desired physiological traits or the production of desired biological products. GMO has long been the practice to breed select individuals of a species to produce offspring of the desirable traits. It is used in conventional livestock production, crop farming and even pet breeding. In genetic modification, the mechanism used for creating a genetically modified organism is called the recombinant DNA technique. It involves combining strands of DNA from different sources to create a new DNA molecule that has a different combination of genes than that, which occurs naturally. There are some scientific methods included in producing GMOs, such as recombinant DNA technology and reproductive cloning. Recombinant DNA technology involves the insertion of one or more individual genes from an organism of one species into the DNA (deoxyribonucleic acid) of another. On the other hand, reproductive cloning technology generates offspring that are genetically identical to the parent by the transfer of an entire donor nucleus into the enucleated cytoplasm of a host egg. The first animal produced using this cloning technique was a sheep named Dolly, born in 1996. Since then a number of other animals, including pigs, horses, and dogs, have been generated using reproductive cloning technology. Cisgenic organisms and transgenic organisms are the two classes of genetically modified organisms. Cisgenic organisms are genetically modified organisms that result from the combination of different strands of DNA, which all originates from the same, or very similar, species. The entire DNA used in the process comes from organisms that are very closely related, usually defined as organisms that are able to breed together. Transgenic organisms are genetically modified organisms that include DNA from two different species. Transgenic microorganisms are the most commonly created transgenic organisms. The simple DNA of bacteria lends itself to relatively straightforward recombinant DNA methods. GMOs produced through genetic technologies are playing a very important role in agriculture, medicine, research, and environmental management. Although GMOs have benefited human society, some disadvantages exist. Therefore, the production of GMOs remains a highly controversial topic in some countries. 2. Examples of Genetically Modified Organisms (GMOs) Many of our common crops, such as corn, potatoes, tomatoes, squash, and soybeans, are genetically modified. The majority of these crops were herbicide-resistant as well as insect-resistant, while the others may contain increased nutrients such as vitamins, produce yield earlier, or are able to survive weather extremes. Genetically modified tomatoes were introduced to the market in 1994, becoming the first commercially grown transgenic crop. They have longer shelf-life than the average tomatoes as they produces less of the substance that causes tomatoes to rot, so remains firm and fresh for a long time. In addition, transgenic corn is resistant to commercial herbicides such as glyphosate or glufosinate. It is also insect resistance by producing a poison, which kills harmful insects. Vitamin-enriched corn contains increased amount of vitamin A, vitamin C and folate compared to the normal corn. Another example of GMO is squash. Squash belongs to the Cucurbitaceae family, which includes pumpkins, gourds, zucchini, cucumbers and melons. Genetically modified squash have resistance to the common squash viruses, namely watermelon mosaic virus, zucchini yellow mosaic virus and cucumber mosaic virus. Other than crops, farm animals are also genetically modified to mature in a shorter time period to minimize expenses and increase profits for farmers, as well as to be resistant to certain diseases. For example, genetically modified cow is resistant to bovine spongiform encephalopathy (mad cow disease). One of the examples of increased growth rate in genetically modified animals is fish including salmon and carp. One-year-old salmon fish with growth hormone chimeric gene are able to grow as large as 13 times that of the non-transgenic salmons. Other than that, chicken that can produce eggs containing human proteins has been created by British by transferring DNA into the yolk of a fertilized chicken embryo. The proteins can be harvested and purified for treatment of diseases such as multiple sclerosis or cancer. 3. Advantages of Genetically Modified Organisms (GMOs) In order to ensure an adequate food supply for this booming population is going to be a major challenge in the years to come. GMO can meet this demand due to its special characteristics. Firstly, GMOs are pest resistance. Pests can cause large financial loss to the farmer. Pesticides that generally used by farmers are health hazarding and causes pollution. Pest resistance can reduce the use of pesticides. Thus, GMOs is healthier to eat and bring less pollution to the environment. Second, GMOs are herbicide and disease resistance. The control of weeds actually is not cost-effective because farmers have to spray large amount of herbicides on the weeds and care has to be taken to avoid the herbicides from harming the crops. Hence, GMOs are more cost-effective and easier to control the weeds and less concern is needed to cope with the diseases caused by viruses, fungi and bacteria. Thirdly, GMOs are drought tolerance/salinity tolerance. As the world population grows and more land is utilized for housing instead of food production, farmers will need to grow crops in locations previously unsuited for plant cultivation. Creating plants that can withstand long periods of drought or high salt content in soil and groundwater will help people to grow crops in formerly less arable places. Next, GMOs have better nutritional value. GMOs are incorporated with other additional vitamins and minerals. For example, blindness due to vitamin A deficiency is a common problem in third world countries. Researchers at the Swiss Federal Institute of Technology Institute for Plant Sciences have created a strain of golden rice containing an unusually high content of beta-carotene (vitamin A). Lastly, GMOs are also useful in pharmaceutical field. Medicines and vaccines often are costly to produce and sometimes require special storage conditions not readily available in third world countries. Researchers are working to develop edible vaccines in tomatoes and potatoes. These vaccines will be much easier to ship, store and administer than traditional injectable vaccines. 4. Criticism Against Genetically Modified Organisms (GMOs) There are several concerns that arise despite the advantages of GMO. The three fields of concern include environmental hazards, human health risks, and economic concerns. One of the environmental hazards consists of gene transfer to non-targeted species. There is a possibility of genetically modified plants cross breeding with weeds to produce weeds to produce a new genetic strain of weeds known as Superweeds. Next concern is the reduced effectiveness of pesticides. The pesticides strains from GMO might be able to pass on to pest after consuming GMO; thus, causing pest to have the same resistant genes to pesticides. These pests are then termed Superpest. The human health risks also posed a major concern among people. The long-term side effects after consuming GMO are still unknown. There is still the question of whether the genetically modified strains are able to pass on to humans after consuming GMO. People are getting worried that the anti-bacterial strain in the GMO might be passed on to humans and cause a disruption in our immunity against certain types of bacteria. There is a possibility that introducing a new gene may create a new allergen or cause an allergic reaction in prone individuals. In addition, there are also economic concerns involved. The cost involved in research and developing of GMOs are high. Many of these GMOs have been patented. Farmers from the third world countries are worried that the price of the patented GMOs would be raised so high that they would not be able to afford it. Furthermore, patent violation has been a growing concern to agribusinesses. Some companies have introduced suicide gene into plants. Suicide gene only allows plants to be viable for one season and the seeds produced after are sterile. Therefore, farmers have to buy fresh seeds every season and this causes an issue to the farmers from the third world countries. 5. Genetically Modified Organisms (GMOs) in Malaysia Malaysia is among the 55 nations in favour of adopting international guidelines on labeling of all genetically modified food. Several genetically modified crops containing traits of value have been produced at the experimental stage. At the Malaysia Agricultural Research and Development institute, rice has been successfully modified to resist the Tungro virus and papayas manipulated to resist ring-spot virus infection and to have a prolonged shelf life. Other crop such as pineapples is manipulated to resist black heart, bananas and papayas for delayed ripening and chili for virus resistance. Malaysia is also developing genetically engineered oil palm with a focus on increasing value-added products from the palms such as high oleate and high stearate oil, nutraceuticals (vitamin A and vitamin E) biodiesel and bioplastics. Genetically modifying technology has been in introduced to assist the development of animal husbandry. Besides that, Malaysia has released 6,000 genetically modified mosquitoes designed to combat dengue fever at an uninhabited site in the central state of Pahang. The biotechnology sector faces a challenging future with increasing global competition. Malaysian government will, under the ninth Malaysia plan, implemented the strategic thrust of the national biotechnology policy, with the active participation of private sector. With the recognition as the worlds halal hub, and given importance attached to the biotechnology industry, Malaysia is poised to introduced biotechnology products with GM label and halal certification. 6. Conclusion In the future, there would be a wide range of crops that are resistant to pest, diseases, and herbicides. The crops would also be high in nutrition value to suit our body system and could be designed to accommodate whatever type of climate changes. The future of GMO is still yet far to go. GMO is a giant leap in the agricultural sector. It is now up to us to decide on how GMO should be used, whether for the good of mankind or the destruction of us all.

Wednesday, November 13, 2019

Manager Interview Essay -- Effective Management Styles

I chose to interview Regina Geis, who holds the administrative role as acting supervisor for the County Mental Health adult day program, which provides services for individuals with intellectual disabilities. Ms. Geis has held this position for 15 months. This is her first managerial position within a human service agency. Her style of management has changed over this short period of time. She feels that she is now more direct with her direction with staff. She stated, â€Å"Maybe now I come across as a little bit cold. But I have learned that I now have to use the least amount of words to get my point across.† Ms. Geis feels that to be an effective leader one must demonstrate with a high level of confidence, â€Å"even if I’m unsure of myself, I have to be ready to stand by my decision and carry it out.† Although, she also stated a competent supervisor must also be able to accept when they are wrong. Ms. Geis provides supervision for 15 direct care workers in the programs and finds â€Å"That’s a lot of different viewpoints and perspectives to sort through.† Therefore, she finds difficult people are not easy to work with. From an administrate role, she states, â€Å"You can not let it consumes you and affect you negatively.† Ms. Geis feels that to be an effective manager when working with complex individuals one must learn how to use their strengths and adapt the work environment. â€Å"You find what they are really good at and place them in the best role that uses their strong points.† In the beginning, Ms. Geis would quietly sit quietly during entire managerial team meetings, but now she is more confident in her abilities, position, and will speak up. â€Å"Now I give my opinion or raise questions to ask. Sometimes, I may raise a concern that gives ... ... me to strengthen these weaknesses, I will seek training online, at the local community college, and at workshops. Works Cited Edmondson, J. (2009). Let's be clear: How to manage communication styles. American Society for Training & Development, Inc., 63(9), 30-31. Retrieved from http"//go.galegroup.com/ps/i.do?id=GALE|A212767598&v=2.1&=novaseu_main&it=r&p=ITOF&sw=w&asid=0abb8dfff77dba5f747cb1b4c13a9d9f Grant, A., & Taylor, A. (2014). Communication essentials for female executives to develop leadership presence: getting beyond the barriers of understating accomplishment. Business Horizons, 7, 73-83. doi: 10.1016/j.busher.2013.09.003 Groves, K., & Vance, C. (2009). Examining managerial thinking style, eq, and organizational commitment. Journal of Managerial Issues, XXI(7), 344-366. Geis, R. (2015, march 30). Interview by Student Name [Personal Interview].

Monday, November 11, 2019

Facilitated Communication Essay

PsycINFO Article: This article is about a study that was conducted to determine if there is any positive correlation between behavioral deficits and facilitated communication (FC). In the study 12 students with Autism where tested before and after FC therapy, to examine if there was any benefit from the therapy. The results showed no positive correlation between FC and social interactions. The intended audience of the article would be anyone who wants to know more information about FC. Both of the main authors are from the Department of Special Education at The University of Kansas. The motive of the article is to show that is no direct benefit of FC when treating children with autism. ABC News Article: This article provides information about what FC is and how is works. In the article the author explains that there is no evidence for FC’s reliability or validity. It also points out the problem of the facilitator being the only person, who is communicating, not the children. I think the intended audiences of the article are parents who have autistic children. The author is Dr. Lori Warner from HOPE Center for Autism. Her motive is to provide information to parents who have concerns about FC. APA Web Article: This article explains what FC is and how it was thought to be a new breakthrough treatment method for people with autism and other mental handicaps. The article explains the faultiness of FC through evidence that facilitators were sometimes answering questions for the patients when they were not looking. It also mentions that after many studies there has been no evidence that supports any positive correlation between FC and autism. This article’s intended audience is anyone who is truthful information about FC. This is an extremely credible article because the APA wrote it. Its motive is to provide facts about FC and its fallacies. Client Brief: In the articles that I read, I found no evidence supporting positive benefits of FC. In my opinion, I do not believe that FC will benefit a child with serve mental handicaps or autism. However, I do not see any problem with  using keyboards and other forms of FC to communicate better with your autistic child. If you were making some progress in communication skills, then I would continue exploring ways to better communicate with your child. I would also recommend looking into some other options that might have better results and validity. Works Cited American Psychological Association. (2003, November 20). Facilitated communication: Sifting the psychological wheat from the chaff . Retrieved from http://www.apa.org/research/action/facilitated.aspx Myles, B. S., Simpson, R. L., & Smith, S. M. (1996). Collateral behavioral and social effects of using facilitated communication with individuals with autism. Focus on Autism and Other Developmental Disabilities, 11(3), 163-169, 190. Retrieved from http://search.proquest.com/docview/618883072?accountid=14556 Warner, L., (2008, October 23). What is facilitated communication, and will it help my child with autism?. ABC News. Retrieved from http://abcnews.go.com/Health/AutismTreatment/story?id=5387585

Friday, November 8, 2019

Discover Family History With Probate Records and Wills

Discover Family History With Probate Records and Wills Some of the most genealogically-rich documents on an individual are actually created following their death. While many of us actively search for an ancestors obituary or tombstone, however, we often overlook probate records - a big mistake! Generally well-documented, accurate, and packed with numerous details, probate records can often provide answers to many stubborn genealogical problems. Probate documents, in general terms, are records created by a court after an individuals death that relate to the distribution of his or her estate. If the individual left a will (known as testate), then the purpose of the probate process was to document its validity and see that it was carried out by the executor named in the will. In cases where an individual did not leave a will (known as intestate), then probate was used to appoint an administrator or administratrix to determine the distribution of assets according to formulas set by the laws of the jurisdiction. What You May Find in a Probate File Probate packets or files may include any of the following, depending upon the jurisdiction and time period: willsestate inventories, or lists of assetsappointments of executors or administratorsadministrations, or documentation of the distribution of assetspetitions for guardianship of minor childrenlists of heirslists of creditors or accounts of debts ...and other records considered to be important to the settlement of an estate. Understanding the Probate Process While laws governing the probate of a deceaseds estate have varied according to time period and jurisdiction, the probate process usually follows a basic process: An heir, creditor, or other interested party initiated the probate process by presenting a will for the deceased (if applicable) and petitioning the court for the right to settle an estate. This petition was usually filed with the court that served the area where the deceased owned property or last resided.If the individual left a will, it was presented to the court along with testimony of witnesses as to its authenticity. If accepted by the probate court, a copy of the will was then recorded in a will book maintained by the clerk of court. The original will was often retained by the court and added to other documents pertaining to the settlement of the estate to create a probate packet.If a will designated a particular individual, then the court formally appointed that person to serve as executor or executrix  of the estate and authorized him or her to proceed by issuing letters testamentary. If there was no will, then the court appointed an administrator or administratrix - usual ly a relative, heir, or close friend - to oversee the estates settlement by issuing letters administration. In many cases, the court required the administrator (and sometimes the executor) to post a bond to ensure that he would properly complete his duties. One or more people, often family members, were required to co-sign the bond as sureties.An inventory of the estate was conducted, usually by people with no claim to the property, culminating in a list of property - from land and buildings down to teaspoons and chamber pots!Potential beneficiaries named in the will were identified and contacted. Notices were published in area newspapers to reach anyone who might have claims on or obligations to the deceaseds estate.Once bills and other outstanding obligations on the estate were met, the estate was formally divided and distributed among the heirs. Receipts are signed by anyone receiving a portion of the estate.A final statement of account was presented to the probate court, which then ruled the estate as closed. The probate packet was then filed in the records of the court. What You Can Learn From Probate Records Probate records provide a rich resource of genealogical and even personal information about an ancestor which can often lead to still other records, such as  land records.Probate records almost always include: Full nameDate and place of  death Probate records may also include: Marital StatusName of spouseNames of children (and possibly birth order)Names of childrens spouses of married daughtersNames of grandchildrenRelationships between family membersClues to the  trade or occupation  of your ancestorCitizenshipResidences of your ancestor and living descendantsLocations (and descriptions) where your ancestor owned propertyFeelings of your ancestor toward family membersClues to the deaths of other family membersClues to adoptions or guardianshipsInventory of items owned by the deceasedClues to your ancestors economic standing (e.g. debts, property)Your ancestors signature How to Find Probate Records Probate records can usually be found in the  local courthouse  (county, district, etc.) that presided over the area where your ancestor died. Older probate records may have been moved from the local courthouse to a larger regional facility, such as a state or provincial archives. Contact the clerks office of the court where the person resided at the time of death for information on the location of probate records for the time period in which you are interested.

Wednesday, November 6, 2019

Workplace by Freud Essays

Workplace by Freud Essays Workplace by Freud Essay Workplace by Freud Essay Many of us take for granted the theories of Sigmund Freud as applied in working place since his theories are known for its intricacy and ambiguity. However, it is important to know that after several experiments, it was found that Freuds theory might be applied in working place.Psychodynamic theory concerns the cognitive faculty and emotional processes of an individual. One aspect of this theory that is significant is the use of unconscious symbols. In this concept, each individual is said to have its own prototype or representation. These representations are said to affect all inter relationship of a person. Thus, as applied in a working place, if a Manager ascribe to an individual that he is hardworking, the Manager would know what responsibilities he would assign and what to expect in his work performance.Another assertion of Freud that may be applied in the work place is his statement that a childhood has an important role in the composition of an individuals psyche. Thus, applyi ng this principle in the work place, cultivating a good working attitude in each and every employee in the working place would develop them to a more efficient and effective employee.Going further, the theory of neurotic compulsivity and obsessive behavior also finds its place in the working environment. This concept is best manifested in people who are workaholic. A person who is workaholic tends to think all of the time about their work. Accordingly, with more motivation and correct guidance extended to people who are suffering this kind of behavior would be transformed from a troublesome employee to a possible productive one.In sum, though these theories may not be best suited if applied in working environment, it is important to remember that in the hierarchy of each business organization, observation of the inter actions and relationship is important in creating a happy  Ã‚   environment. Ultimately, psychic awareness is the beginning of healthy working place.

Monday, November 4, 2019

Case X Essay Example | Topics and Well Written Essays - 1750 words

Case X - Essay Example Udon has none of these. Porter then goes back to her patrol car to call in the license plate. It turns out that the car, while registered to Udon, does not have current tags. Since Udons license plate displayed the current registration tag, Porter surmises, correctly, that Udon has stolen the tag. Porter also finds out that Udon does not have a drivers license, had never possessed a drivers license, and does not have insurance. Porter goes back to the car to talk to Udon, and then, upon coming back to the car, the policewoman notices the smell of alcohol on Udons breath. Therefore, Porter asks Udon to get out of the car so that she can give Udon the field sobriety test. However, Udon refuses, stating that she is pregnant and bleeding and needs to go to the hospital. Porter, having heard similar excuses 100 times a day from people who are trying to get out of a ticket or having to do a field sobriety test, refuses the request and continues to ask Udon to step out of the car so that Udon can take a field sobriety test. Udon continues to refuse, then finally relents. Since Udon was heavily intoxicated, she fails the field sobriety test in spectacular fashion, so Porter handcuffs her and takes her to the station. While in the car, Udon continually states that she is bleeding and needs to go to the hospital. Porter immediately assumes that, even if Udon is bleeding, it is probably because she is on her menstrual cycle and Udon was not to be trusted. After all, Udon gave Porter a false name, was driving in a car that was not registered, was driving intoxicated, and had neither a drivers license nor insurance. There was no reason for Porter to believe Udons story about having a miscarriage and needing to go to the hospital. And, as stated before, people, when pulled over, offer all kinds of excuses as to why they are speeding or why they cannot perform a field sobriety test.

Saturday, November 2, 2019

Contract Law Case Study Example | Topics and Well Written Essays - 4000 words

Contract Law - Case Study Example The Director General of Fair Trading v. First National Bank [2001] 1 AC 481, was a test case, which has garnered a considerable amount of attention and controversy on the issues of fairness (equality) and reasonableness. Albeit the case is a local one, before the test is completed it will have far reaching implications and impact throughout the entire European Union. The issue of fairness is one which we are all compelled to deal with on a daily basis. Consequently, we are all familiar with its challenges, even for the most reasonable of men, we are perplexed by the paradigm of how does one be fair to one, and without being unfair to the other. The issues in this case gives it a special flavor, as it is spiced with social dimensions, economic ramifications as well as psychological overtones. It is not to be taken lightly, that there are elements present in this legal montage, which will take quite sometime (if ever) to untangle. Because it involves reasonableness, it is my contention that the initial remedy which will be presented by the court on these legal principles will be remedial, and the absolute relief will evolve over time. Given the fact that large financial institutions and the human element are at the forefront of these issues, the battle will be waged on the economic necessity battlefield of persuasion and influence. Nonetheless, I am convinced that the judiciary is prepared to serve the public good and preserve the human element.... similar substantive facts or circumstances and align them with the existing statutes which are applicable to the surrounding facts of the case. These facts are aligned with the pertinent statutes in an attempt to determine whether the defendant has committed a breach or to determine the level or severity of the alleged breach. In that the determination of a breach is referenced against the existing statute and aligned with the cases which are similar within this continuum, it is not often that a standing opinion is overturned. This is particularly true in a judicial climate where the bench is dominated by a number of strict constructionist judges; these persons interpret the constitution and statutes exactly as they are written and allow little or no room for expanding interpretations. Nonetheless, the expansion of interpretations or a broad reading of the statute can and does result, albeit rarely; there has to be at least two critical variables present to bring about the change of existing law; (1) The plaintiff must be able to show convincing and corrabarated proof to the court, documented history of a particular breach or number of breaches by a particular or specific group of defendants against a specific person or class of persons, and (2) reasonableness; the most intangible and transitional3 variable attached to the court or judges decisions. There is no question that this variable. Is intangible and the transitional state of reasonableness on an issue can be one thing today, yet another tomorrow; there are any number of situations or reasons which could

Thursday, October 31, 2019

Legislative and Executive Branches Assignment Example | Topics and Well Written Essays - 250 words

Legislative and Executive Branches - Assignment Example â€Å"the executive action that would offer real legal status to the immediate family of US citizens and permanent residents.†2 The senator has argued that the Senate Republicans should focus on revoking the 2014 order and allow the 2012 plan to remain intact. On the other hand, the Presidency has drawn a red line on the two executive actions by warning that the President will veto any legislation sent to him that seeks to topple the orders. The tussle over the executive order is taking place on a legislation to finance the Department of Homeland Security whose funding ends on February 27.3 I think President Obama needs to consult the Republicans on the issue of the executive actions. The issue of immigrants affects every American and it is a matter of national importance. Both the Republicans and the Democrats need to sit on a negotiation table and make a way forward on how to tackle the issue of immigrants. There are very many illegal immigrants in America who found themselves in the country because of their parents’ choice and circumstances. The negotiators must balance the rights of the migrants and the interest of the

Tuesday, October 29, 2019

The Road To German Unification - 1856-1871 Essay Example for Free

The Road To German Unification 1856-1871 Essay During the period 1856 1871 the unification of the German states was achieved due to a number of interconnected factors, which accumulated together, realised this aspiration. These factors included both internal and external factors; internally Prussias growth into an economic super power within Europe, military advances and the invoking of latent nationalist sentiment by Bismarck through the use of his shrewd diplomacy and political aptitude all contributed. Externally the shifting international setting into a propitious climate twinned with the roles of France and Austria compelled the unification process. Following the ravages of the Crimean war the international setting fluctuated from being favourable and unfavourable towards the aspiration of German unification. The roles of the major powers; Britain and Russia together with France and Austria played a pivotal part in the eventual unification of Germany. The withdrawal from European affairs and disputes by arguably the two strongest superpowers Britain and Russia had previously been unseen in Europe and so left the door wide open for smaller, upcoming powers such as Prussia to become more active and more influential. While Britain were concerned with maintaining a stronghold over their imperial colonies in Africa and the Indian subcontinent and with Russia occupied in attempts to reverse the black sea clauses France emerged as the predominant European superpower. Frances role in the German unification process were initially favourable as Napolean III wanted to champion a nationalist cause and search for a stroke of European prestig e which would make him more viable to the growing number of European nationalists. An example of France aiding the German unification process was the signing of the informal Biarritz agreement between Bismarck and Napolean III stating that France would remain neutral in any Austro Prussian war in exchange for Venetia, which Napolean would subsequently hand over to Italy. Napolean also had another reason for signing neutrality as he hoped a protracted war between two of Europes strongest central powers would leave them both battle worn and weak and therefore Frances dominant position would be yet more intensified and entrenched. What is clear about Frances role is that however France attempted to aid Germany or any form of European nationalism they did it for the sole purpose in which to further their own gains and power. Austrias role within the international setting was more apparent. The reactionary henchman set up to prevent the spread of European nationalism and nationalist sentiment was now the sole defender of the Vienna settlement and so aimed to suppress any forms of European nationalism especially on or within its borders as this would have meant the complete break up of the already crumbling Austrian polyglot empire. Although Austrias intentions were to crush nationalism their feasibility within Europe had deteriorated as a direct result of poor politics, poor diplomacy and the Crimean war. Austria was left ally less (the Austrian glove had even lost the iron fist of Russia). The climate within the Austrian borders was also bleak, as Austria had swamped to a level where they were politically stagnant, economically bankrupt and militarily overstretched in trying to keep a stranglehold over its fragile empire. In essence the international setting looked more favourable towards the goal of German unification as there was little or no intervention from Britain or Russia, France were supporting the cause to an extent but only to further their own gains and Austrias decline in power influence and pride left a gaping hole for a viable struggle to begin. Alongside the international setting the biggest role played in the German unification process was that of Prussia and her growth into a major European superpower. Prussia during the 1850 and 1860s flourished into an economic superpower within Europe. Her advance far outshone that of either France or Austria. One of the major developments of the 1850s was Prussias new and modern railway system, which arguably gave the whole nation a foundation onto which they could build and communicate. Some historians state that the railways were Prussias backbone and stemmed the military advances. In just one year alone an additional 3280 km of track was laid and by this Prussia had as fleet of 15000 steam engines with a combined horsepower of 800000. this new railway system came to goods use in the military efforts of Prussia against both France and Austria as it allowed the quick and efficient mobilisation of troops and supplies. An example of this was in the Austro- German states war against Prussia where Prussia moved all of its army to the battlefield in five days opposed to the five weeks it would normally have taken. Alongside the railways the production of other vital resources such as coal iron and steel increased and continued well into the 1860s where coal production rose from 9.7 to 14.7 million tonnes. Prussia at this stage was now producing more coal and iron than any of its European rivals and this echoed in the rise in stock companies from 58 to 172 and the boost in wealth and industry. The growth in Prussias economic level also increased Prussias role as a major European exporter by 1858 Prussia had a surplus of over 17 million marks which they used to fight the war of 1864. Due to this and other factors historians believe that economic advances underpinned military advances JM kaynes quotes that, the German empire was not found on coal and iron but on blood and iron. In prà ¯Ã‚ ¿Ã‚ ½cis it is clear from the evidence that Prussias growth into an economic superpower enabled them to fight the unification struggle. In contrast to the beliefs of JM Kaynes some historians argue that it was not coal and iron but rather blood and iron that led to the eventual unification of Germany. The military advancements were made on two levels initially through re-modelling and having a better-organised army and secondly through the use of new technology such as the needle gun. Bismarck through appointing two key figures in von Roon and Von moltke modernised the army a central command structure was initially introduced which enabled better and improved communications, logistics and enabled supplies and troops to be mobilised efficiently through the use of the railways. As well as this manpower was increased through the implementation of conscription the numbers went from 40000 to 63000 alongside this the service time of a soldier was increased from 1-3 years this resulted in an army which was bonded together, better organised and more professional. The organisation and efficiency of the new army was shown ion the Franco- Prussian war where France managed to mobilise only 200000 troops onto the battlefield in comparison to the 380000 of Prussia. Alongside all these factors the formation of new barracks and regiments gave a greater strength of unity and this unity was illustrated on the battlefield through the execution of new war tactics such as Von Moltkes empty battlefield strategy where his forces would divide into 3 regiments and then would surround the enemy from all sides leaving them in an uncompromising position. Together with structural advances technological advances such as the needle gun, which could be loaded and fired far more swiftly, and effectively than the previous muzzle loaded rifles allowed the Prussians to grasp victory on various occasions. Some historians have the view that it was Prussian soldiers on horseback with rifle and cannon which unified the German states between 1856-71. Concisely the military advances alongside economic growth brought about the unification of Germany. The military and economic advances were propelled through the nature and character of German nationalism and the latent nationalist sentiment which existed in Germany and was simply waiting for someone to ignite it into a flame of nationalist glory. In this case the spark was Bismarck who invoked nationalist sentiment by creating the illusion of a united Germany where in all honesty he was only interested in expanding Prussian interests. Firstly the growth in nationalist press and propaganda enticed and inspired German nationalists and liberals into thinking they had a new leader. Alongside this a sense of unity was arising within Germany itself through the growing number of German societies which were run and completely under the control of Germans. An example of one of these societies was UFL Bochum which was a sporting club established in 1840 by Germans and for Germans. The clubs success is evident as it later became a professional football club playing in the German Bundesliga. These clubs and societies gave the nation a sense of unity and boosted morale. In conjunction with the societies and clubs nationalist themed operas and fables such as The Flying Dutchman and The Brothers Grim again inspired nationalists and liberals and gave the whole a sense of pride and belonging. Bismarck was so influential in raising nationalist sentiment that even the German parliament turned a blind eye to him collecting illegal taxes in the hope that he would unite Germany and then they would push for their liberal and democratic ideals in the formation of Germany. In the final analysis Bismarck exposed latent nationalist sentiment through injecting a sense of unity and through the use of propaganda which together gave the whole nation a point to aspire to and made himself the figurehead who would part the waves and lead the nation there. In conjunction with German nationalism and the aforementioned factors the role of Bismarck was key and arguably the most important role in linking all the factors to bring about German unification. Bismarck never had the intention of uniting the German states he simply wanted to expand Prussian interest within Europe. AJP Taylor summed up Bismarcks role effectively in saying that, he was a Prussian patriot rather than a German nationalist. There are two defined views that historians have on the role of Bismarck some believe that he was an opportunist in that he learnt to take advantages of opportunities which arose on the European frontier and gain the best out of unpredictable circumstances in contrast to this view some historians argue that Bismarck was a master planner in that he engineered events to suit his needs and that he had a clear blueprint of his future aims which may have been influenced by his Junker upbringing and his conservative, autocratic view. What is clear about Bismarck is that he used shrewd diplomacy and his political skill through which he exploited industrial strength in conjunction with other factors such as the favourable international climate in which he played of power against power to good effect. Bismarck on various occasions between 1856 1871 used his political genius to increase Prussian interests whether he had a master plan or not. An example of this was in 1863 when he crushed the polish revolts on his borders in order to ensure that nationalist sentiment did not spill over onto his borders as this would have resulted in his personal conservative and autocratic views would have been challenged. In crushing the revolts Bismarck also gained the friendship of Russia. Later when the issue of the Danish duchies was raised Bismarck went to war with Denmark however enlisted Austrian support this was to show Austria as the major partner if anything went wrong, as well as this the union of two of Europes major superpowers would have prevented any foreign intervention from any other European powers. In 1866 and 1870 Bismarck provoked both Austria and France into going to war with Prussia in Austrias case through mobilising his troops on the Austrian border and forcing an ultimatum from them and engineering the situation so Austria looked the aggressor and therefore preventing French involvement. After winning this war he again provoked France this time by utilizing the issue of the Hollzolleren Candidature to his advantage and through doctoring the EMS telegram he enticed the French into setting an ultimatum which was to back out of the running for the Spanish throne and apologise or go to war. Bismarck refused to apologise and France declared war making themselves look the aggressor in a war which they lost because of a better, more organised Prussian army. Succinctly through Bismarcks success all of Germany looked to him for leadership in the German unification struggle. However Bismarck could not have known how France and Austria would have reacted to his politics nevertheless through his cunning tactics and from knowing that Prussia had a modern and better organised army than its aggressors he united Germany in conservative and imperialistic manner whether he intended to or not and therefore I deem that Bismarck was an opportunist who learnt to gain the best out of circumstances rather than a master planer. In conclusion Germany was united because of a number of interconnected factors such as the growth of Prussia into an economic superpower, which in turn provided the resources needed for the Prussian army to be strengthened to the extent that it could math if not succeed that of any other European power. As well as this the fluctuating international setting which Bismarck used to great effect alongside invoking latent nationalist sentiment to bring about a viable unification struggle and eventually achieve the endeavour of German unification.

Saturday, October 26, 2019

The Grand Inquisitor Poem Theology Religion Essay

The Grand Inquisitor Poem Theology Religion Essay The Grand Inquisitor is part of the stories found in the book by Fyodor Dostoevsky entitled Brothers Karamozov. Dostoevsky concerns himself in analyzing the psychological consequences of engaging in crime, and the moral consequences of engaging in such kind of vices. In the grand Inquisitor, the characters question the validity of religion, free will and morality. The main dilemma that these characters ask, is it prudent for man, to observe the laws of religion? The other questions that linger on the minds of these people is whether they should take the role of God, and ignore the various religious believes or traditions. The poet identifies the various degrees of freedom, and this includes positive and negative freedom, rational egoism, Christian idealism, and nihism. He does this through the various characters in his poem the Grand Inquisitor (Dostoyevsky,, Richard and Larrisa, 27). The Grand Inquisitor is based on the idea of freedom and human nature. In the poem, Alysha is a monk, and Ivan questions the benevolence of God. According to the Grand Inquisitor, the notion of freedom does not exist. The Grand Inquisitor observes that people need to be selfish, and by doing that the whole society will benefit. This is because the needs of individuals are the same and complement each other. On this basis, the freedom the Jesus Christ brings to the world is not freedom but slavery. This aspect is denoted in the poem when the Grand Inquisitor tells Jesus that by coming again, he is destroying the church. He further tells Jesus that the devil tempted him with three items, food, power, and divine authority (Dostoyevsky and Constance, 33). For instance, the devil told Jesus to turn stone into bread. According to the Grand Inquisitor, Jesus should have done that. According to him, men will only follow people who feed their bellies. By turning stone into bread, Jesus will demonstrate his ability to feed the multitudes. The Grand Inquisitor further tells Jesus that he should have cast himself down from the temple and caught by angels. This would have demonstrated his godhead abilities, therefore acquiring worship and trust from the people. Finally, the Grand Inquisitor believes that had Jesus accepted to rule over the world, then the world would have seen salvation (Leatherbarrow, 24). On this basis, the Grand Inquisitor accuses Jesus of giving humanity freedom to choose. According to him, the masses do not have the capability of choosing what is right or wrong. This freedom has led to the destruction of mankind. The Grand Inquisitor therefore believes that the freedom that Jesus gave to mankind, by refusing to oblige to the temptations of the devil, was too much for the people. On this basis therefore, the Grand Inquisitor advocates for selfishness of an individual. However, this freedom that comes with selfishness is an illusion, and does not exist in Christianity. The Christian teachings advocate for love, and humanity. For instance, the Inquisitor believes in giving people bread, in exchange of their souls. According to this teaching, the freedom of people will only come through coercion. On this basis, the Grand Inquisitor takes the role of God, instead of man. In my own opinion, the kind of freedom that the Grand Inquisitor advocates for is the negative freedom. The Inquisitor tries to justify his believes by identifying the roles of Satan in providing real freedom. He does this by denoting that the catholic church long left the teachings of Jesus, and followed the teachings of Satan. In his own opinion, freedom that comes from the devil is sufficient in taking care of the needs of humanity. This is because the devil gives authority to the few, who have the capability of handling their freedom. By doing, the devil manages to end the suffering of humanity, and uniting the world, through the church, i.e. the Catholic Church (Crane and Faynia, 19). No matter what justification the Grand Inquisitor gives, this is negative freedom. This is because it is against humanity to act in a selfish manner. For people to stay together, they must satisfy the various needs of others. There is no way leadership by a few people and through coercion can result to the promotion of humanity, and hence positive freedom. This is because people will always be dissatisfied by the selfishness of individuals, resulting to rebellions. Dostoevsky presents the freedom denoted as Christian idealism through the actions of Jesus Christ. For instance, the Grand Inquisitor accuses Jesus of allowing people to choose on what they want and what they donà ¢Ã¢â€š ¬Ã¢â€ž ¢t want (Davis, Gary, David, John, 28). For instance, the Grand Inquisitor argues that by refusing to accept the temptations that the devil offered to Jesus Christ, he gave mankind the freedom to choose. This is what Christian idealism is all about. To Christians, they have a role to play in their lives, in regard to worshiping God. They can choose either choose to worship God, and achieve eternal life, or to go against God, and be lead to eternal death (Dostoyevsky, 33). The Grand Inquisitor acknowledges these teachings, and he tell Jesus that even though the devil is leading them to death and destruction, the freedom that he gives is for the benefit of humanity. This kind of freedom is the elimination of the free will of individuals, in exchange of providing for their needs, and happiness. In conclusion, Dostoevsky manages to highlight religious bondage in the manner in which the Grand Inquisitor argues about the freedom. The Grand Inquisitor is under religious bondage because of his assumptions that freedom to choose is limited to a few individual. In reality, this is not freedom but bondage. This is because an individual will not have the capability of acting by himself. The person will always live in fear of need, because the authority will fail to provide for her due to disobedience. On this basis, the notion of harmony does not exist; instead individuals are under spiritual bondage, in the name of self-gratification, and self-love.

Friday, October 25, 2019

Middle Eastern Religious Perspectives on Software Piracy :: Computers

Middle Eastern Religious Perspectives on Software Piracy Introduction Illegal software (pirated, illegally copied, etc) in the Middle East is a rampant problem. It is estimated that 74% of software in Lebanon is illegal, while 37% of software in Israel is illegal1. The lack of intellectual property laws has been sited for the problem; even with these laws being introduced it might not resolve the issue. Though joining the World Trade Organization (as many Middle Eastern countries have recently done) forces the countries to officially recognize copyright law will this affect the citizen’s view of copyright? Religion is a fundamental part of the Middle East with some countries laws derived from religious text. I believe by analysis of religious texts and law I can hope to gain perspective into the views on software piracy. I will focus on Jewish law and Islamic Fatwas. Once the religious perspective on copyright is derived I will analysis if the religious perspective holds up to general ethical analysis. My goal is not to judge (e.g. say co pying of software is wrong therefore those who copy software are bad), but rather gain insight into the religious perspectives towards software piracy. Jewish Law (Torah) 'Torah' has the following meanings2: 1. A scroll made from kosher animal parchment, with the entire text of the Five Books of Moses written in it by a sofer [ritual scribe]. This is the most limited definition. 2. More often, this term means the text of the Five Books of Moses, written in any format, whether Torah scroll, paper back book, CD-ROM, sky-writing or any other media. Any printed version of the Torah (with or without commentary) can be called a Chumash or Pentateuch. However, one never refers to a Torah Scroll as a Chumash! 3. The term 'Torah' can mean the entire corpus of Jewish law! This includes the Written and the Oral Law, which includes the Mishna, the Midrash, the Talmud,

Wednesday, October 23, 2019

To What Extent Was Whig/Liberal Dominance 1846-68 a Result of Their Free Trade Agenda

To what extent was Whig/Liberal dominance in the period 1846-68 a result of their free trade agenda? Between the years 1846 and 1868, the Conservative party was only in power for a total of just under four years – 1852, 1858-97 and 1866-68. Throughout these short-lived periods, they were never able to achieve a majority and this illustrates and defines the extent of Whig/Liberal dominance in this period. Their dominance was without doubt partially as a result of their free-trade agenda, but other factors, such as other policies the grouping made in this period, the gravitation of the Peelites towards the Whigs, the growth of popular Liberalism, the work of specific individuals and the weakness of the Conservatives also caused their dominance in this period. Whig/Liberal dominance in the period 1846-68 was, without doubt, caused to some extent as a result of their free trade agenda. In 1849 the Navigation Acts, which restricted the nationality of ships carrying British trade, were abolished, thereby causing a huge increase in the number of ships carrying British trade and thus, an increase in British exports. The Companies Acts of 1858 and 1862 played vital roles in bringing more investment into Britain as they limited the liability of the ordinary shareholder and laid out precise rules for companies about their registration and accounts. In the period 1859-65, whilst Gladstone was Chancellor of the Exchequer, income tax was reduced from 9d in the pound to 6d in the pound, and only payable by those earning over ? 00 per annum. This meant that ordinary people had more money in their pocket to spend and put back into the British economy. Gladstone also managed to abolish paper duties in 1861, meaning that the cost of newspapers and magazines fell and ordinary people were able to buy them. He also worked consistently to remove almost all duties on imported goods in to Britain. Finally, the Cobden-Chevalier treaty, signed in 1860, was an integral part of the Whig/Liberals’ free trade agenda in this period. Anglo-French relations had been strained in the years leading up to 1860 with French expansion into Italy, and Gladstone agreed with free trader Richard Cobden that signing a free-trade treaty with France would ease the political tension. He was right, and the treaty helped to double British exports to France in the next 10 years as it reduced the duties British manufacturers and coal owners had to pay when importing to France. As Philip Magnus writes in his biography of Gladstone, ‘the repeal of so many duties helped to reduce the cost of living. People had more money in their pocket as a result of the Whig/Liberals’ policy, so naturally supported them. The free-trade agenda helped the emerging Whig/Liberal party to win the support of what had become the largest single grouping within the electorate, the middle classes. This was as a result of the period of prosperity Britain went through, illustrated by the fact that ‘exports rose by 350% between 1842 and 1873. à ¢â‚¬â„¢ The Whig/Liberal grouping was in power for a large amount of this period of prosperity, and so got the credit for it with the electorate. The free-trade agenda was also an important factor in causing Whig/Liberal dominance because it united the grouping. Within the grouping, there were Whigs, Liberals, Peelites and Radicals, representing all shades of the political spectrum from centre-right (Whigs) to left (Radicals) . They were seen as a ‘curious amalgam’ as a result of their different political standpoints, and the unity which the issue of free trade gave the group was vital in keeping it strong and together. The dominance of the Whig/Liberal grouping from 1846-68 was also caused by the other policies the grouping made in this period. They pursued a sensible social policy which affected many areas of life. They made vaccination compulsory to try and eradicate smallpox, and introduced a Factory Act in 1853 which limited working hours for women and children. The Smoke Abatement Act of 1853 played a major part in cutting down on coal and other fumes which were dirtying the air and affecting the environment. The 1857 Divorce and Matrimonial Causes Act allowed divorce through regular courts. This made divorce accessible to all, because previously divorces could only be granted in the House of Lords, which was hugely expensive. The Offences against the Person Act of 1861 helped to clarify criminal law and made many parts of it more humane. Finally, the state grant to education increased radically to ? 1. 3 million by 1862, helping to improve the education that children received. The other main area of policy which helped the dominance of the Whig/Liberal grouping was their attitude towards the non-conformists. As I have mentioned above, the middle class had become the largest single grouping within the electorate and many of them were non-conformist. The Anglican Church had a monopoly over religion in Britain, despite the fact that the Religious Census of 1851 showed that almost half the church-goers in England were non-conformists. Therefore, the Whig/Liberals decided to tackle the issue. Their pressure during the 1850s forced universities to open their doors to everyone, not just Anglicans. As John Vincent writes in ‘The Formation of the British Liberal Party’: ‘The non-conformist community†¦had of course traditionally looked to the old Whig party†¦that allegiance was now potentially available to the Liberal Party. The Whig/Liberals, with their positive attitude towards non-conformist grievances, helped win their support, adding to their dominance in this period. However, as Duncan Watts argues, ‘(Palmerston’s) ministry had no obvious domestic policy at all. ’ The Government in this period actually made few significant policy changes, and this leads on to my next point. The Conse rvative Party, as shown often throughout history, thrive when they are able to persuade the electorate that the opposition party have radical tendencies. In this case, nothing of note occurs so the Conservatives were unable to portray the Whig/Liberals being at all radical. This contributed to their weakness in this period. The sustained weakness of the Conservatives in this period also helped to cause Whig/Liberal dominance. As well as the fact that they were unable to portray the Whig/Liberal grouping as radical, they were also weak for a number of other reasons. Firstly, they held limited electoral appeal. This was primarily because they followed a very unpopular policy in the form of protectionism – defending the interests of the landed classes. This was highlighted in Disraeli’s Budget of 1852 which, while pleasing the Conservative backbenchers with its tax breaks on malt, was not popular with anyone else. Also, as Robert Stewart writes, ‘The Conservative Party was, and suffered electorally for being, firmly tied to the agricultural community. ’ The middle classes, in the main, lived in urban areas and the Conservative focus on the countryside did not serve them well. They had poor party unity, and had a big problem in broadening their appeal without losing their traditional support. If they had been able to shed their protectionist reputation and improve their image, then they may have gained some non-conformist middle-class support, but they were not able to and so the Whig/Liberals dominated the period 1846-68. For a generation after the repeal of the Corn Laws, the Conservatives ceased to be a governing party. ’ In 1846, the majority of the ‘talent’ in the Conservative Party – the Peelites – defected to the Whigs in protest at the party’s refusal to commit to freer trade. This meant that the Conservatives were left with ‘n o obvious leader ’ – making them even less of an electoral threat to the Whig/Liberals, but more importantly giving numbers and talent to the Whigs as the Peelites gravitated towards them. The gravitation of the Peelites towards the Whigs is clearly another important cause of Whig/Liberal dominance in the years 1846-68. At any moment any or all of them (the Peelites) would have been welcomed back into the Conservative ranks or assimilated into the Liberal ranks. ’ (Philip Magnus). However, the Conservatives, with their protectionist leanings (as illustrated in the 1852 Budget with tax breaks for the rich) were unattractive to the Peelites, who saw free trade as a key issue. In contrast, the Whigs were far more receptive to free trade, and the Peelites found ‘cohabitation not entirely distasteful’ (Eric Evans) when they decided to from a coalition with the Whigs in 1846 after the collapse of the Conservative government. The two groups shared a progressive nature and a common focus (free trade) so the Peelites decided to join the Whigs. This gave them an edge over the Conservatives both in terms of numbers and talent. Finally, the Peelites wanted to be in power, and realised that the Conservatives were unpopular amongst the electorate, so gravitated towards the Whigs and aided their dominance in the period 1846-68. A fifth key aspect which helps to explain Whig/Liberal dominance in 1846-68 s the role of key individuals, particularly Palmerston, Gladstone and Bright. Firstly, Lord Palmerston was instrumental in setting up the Willis Rooms meeting at which the Liberal Party was officially formed out of the Whigs, Peelites, Liberals and Radicals. Secondly, his ‘immense appeal†¦and powerful presence’ (Stephen Lee) helped to keep the coalition together in its infancy between 1859 and 1865, as well as the fact that he managed to keep all the factions happy because they were all represente d in the Cabinet. The fact that ‘to the man in the street, he personified British patriotism ’ (i. e. Palmerston’s popularity with the electorate), gave the coalition time to fuse. Palmerston’s conservative approach to domestic policy made him difficult for the Conservatives to oppose because they could not portray him as dangerously radical. H However, also very important was Palmerston’s death, which allowed for a truly ‘Liberal’ party to grow under Gladstone, as Palmerston’s policies were not especially liberal. Gladstone himself is another key individual. He ‘breathes life into the dry bones of the Liberal Party’ (Paul Adelman) and this was as a result a number of reasons, mainly during his time as Chancellor (1852-55 and 1859-65). He gained support for the Whig/Liberal grouping with his successful and very popular Budgets. This support came both from the middle classes with his promise to end income tax and general position of aiding free trade, and from the working class with his removal of tariffs on things like paper, which made newspapers accessible to them. His rhetoric spoke well of the working classes, and his noises about parliamentary reform also helped him gain their support. His reputation for sound finance helped him to win the respect of many independent backbench MPs. His sophisticated knowledge, oratorical skill and hard work impressed Parliament and the electorate, whilst he ‘gave to popular Liberalism an identifiable public face with which the Liberal electorate could easily associate’ (Winstanley), thus helping their dominance in this period. The final key individual who aided the Whig/Liberal grouping’s dominance is John Bright, leader of the Radicals. He persuaded all the members of the diverse grouping which were the Radicals to come to the Willis Rooms Meeting in 1859 and eventually to become a part of the Liberal party. He also gave Gladstone his full support as Bright believed that Gladstone would the most progressive leader when Palmerston died, which would be advantageous to the Radicals. To this end, he persuaded Gladstone to cultivate non-conformist links, as well as links with the newly emerging Labour elite, in order to popularise himself outside of the House of Commons. Bright also persuaded various other groups, such as the non-conformists, trade unionists and other Radicals to support Gladstone. This was also because he wanted to ensure Gladstone became leader after Palmerston, and all this explains why Donald Read writes ‘Bright, as much as Gladstone, created the Gladstonian Liberal Party. ’ As shown from the evidence above, key individuals played a major part in the dominance by the Whig/Liberals between 1846 and 1868. A final key factor which caused Whig/Liberal dominance in the period 1846-68 was the growth of popular Liberalism and grass-roots support for it. John Vincent believed that ‘the tail was leading the head’ – that is to say the Whig/Liberal dominance in government was as a result of grassroots support, not the other way round. He thought that this growth was as a result of three main factors: ‘the creation of a cheap daily provincial press, the growth of militant non-conformism, and the rise of organised labour’ (John Vincent). The growth of a cheap press, mainly dominated by Liberal politicians (e. g. the Baines family with the ‘Leeds Mercury’) meant that the Liberals’ message could be spread across the country, and thus helped to build up an ‘articulate, self-conscious, provincial Liberalism’ which helped the dominance of the Whig/Liberals no end. ‘The non-conformists were prepared to place their wealth, their votes – a bloc of 87 non-conformists MPs were returned in 1865 – together with their influence, their zeal and their organising ability at the disposal of the Liberal Party’ (John Vincent). This meant that the Whig/Liberals gained all the helpful features mentioned above as a result of the growth of militant non-conformity, and this helped their position of dominance. The rise of organised labour also helped the Whig/Liberal because, as Vincent suggests, ‘to vote Liberal was closely tied to the growing ability of whole new classes to stand on their own feet’ – the people of organised labour saw the Whig/Liberals as the party to represent them, and thus the Whig/Liberals gained support and votes from this section of the electorate. Thus we can see that the growth of popular Liberalism was a key factor in the Whig/Liberals’ dominance in 1846-68. To conclude, it is obvious that all the factors mentioned above had an important role to play in causing the dominance of the Whig/Liberal grouping. The gravitation of the Peelites towards the Whigs is a key factor because it kept the Conservatives weak in this period. The role of key individuals was also vital because this meant the grouping followed an agenda of free trade, thus winning middle class support. Middle class support was also won with other policies the grouping followed, such as their addressing of non-conformist grievances. The role of key individuals also helped the growth of popular Liberalism because it meant that the electorate had familiar, popular faces to associate the party with. It can also be argued that what the Whig/Liberals didn’t do was crucial to their dominance because they followed a moderate policy, meaning that the Conservatives were unable to portray them as radical. Thus, dominance is both as a result of factors inside Parliament and outside Parliament, but it is clear that the moderate policies and free trade agenda is the most important factor in the Whig/Liberal dominance because the moderate policies and free-trade agenda won the support of the middle classes, made the party popular at grassroots level, meant that the Tories could not portray the grouping as dangerously radical and meant that the Peelites felt that the Whigs were more suitable for them to join than the Conservatives. Thus, free trade and moderate policies is the most important cause of Whig/Liberal dominance between the years 1846 and 1868.