Thursday, December 26, 2019

Nike Business Analysis Essay - 1378 Words

IV. Marketing strategy As a leading athletic brand in the world, much of Nike’s success can be attributed to its shrewd marketing strategy. As reported in its 2009-2010 Annual report, because NIKE is a consumer products company, â€Å"the relative popularity of various sports and fitness activities and changing design trends affect the demand for our products†. Therefore, Nike must â€Å"respond to trends and shifts in consumer preferences by adjusting the mix of existing product offerings, developing new products, styles and categories, and influencing sports and fitness preferences through aggressive marketing†. In fiscal year of 2009, Nike’s demand creation expense, which consists of advertising and promotion expenses, including costs of†¦show more content†¦Nike, as shown in FY 07-09 CR report, is well aware of its environmental responsibility. Highly committed itself to creating extraordinary performance products for athletes while managing our business within natu re’s limits, Nike developed its own North Star to define what sustainable products and a sustainable company would look like: * Healthy chemistry: Minimize the impact of product ingredients throughout the life cycle * Climate stability: Provide leadership toward climate stability * Water stewardship: Borrow water responsibly and return it clean to communities * Closing the Loop: Product creation to allow for material recovery or safe return to nature * Thriving communities: Enable all our stakeholders along our value chain to meet their needs and lead fulfilling lives * Game changers: Educate, challenge and empower athletes to join the sustainability journey To achieve its goal, Nike has broken it into a number of smaller attainable steps. For example: * Product design: Internally, Nike mobilizes its human resources to influence the development of short-, mid-, and long rang projects that make progress towards closed-loop product. Externally, Nike actively postsShow MoreRelatedNike : Business Analysis : Nike1484 Words   |  6 PagesNike Business Analysis Donny Otwell, Jasen Saavedra, Mohamed Takkouch Business 10 Mrs. Rochin December 5, 2016 Donny Otwell, Jasen Saavedra, Mohamed Takkouch Mrs. Rochin Bus 10 December 5, 2016 NIKE Although facing major competition throughout their history, Nike has been able to grow from a two-man team into a multibillion-dollar corporation in less than 40 years. Nike was started in 1971 after Phil Knight had done research with FormerRead MoreNike, Inc. Business Strategy Analysis3636 Words   |  15 PagesDUTA WACANA CHRISTIAN UNIVERSITY | NIKE, Inc. Business Strategy Analysis | Issues in Strategic Information Management | BIS301 | Elia Sagita Wijaya E1000235 | Table of Contents I. Executive Summary 2 II. Background and Assumptions 2 III. Mission Statement, Goals and Objectives 2 IV. Remote Environment 3 A. Economic Factors 3 B. Social Factors 3 C. Political and Legal Factors 4 V. Porter’s Five Forces 4 A. Bargaining Power of Suppliers 4 B. BargainingRead MoreBusiness Analysis : Ikea And Nike2067 Words   |  9 Pageslandmark. McDonald’s, IKEA and Nike are all examples of brands that have had their restaurants or stores become national landmarks and in turn have become globally successful. They have each done this in different ways. McDonalds have adapted their restaurant designs and menus to fit in with the local culture and environment to become successful. Whereas IKEA have remained the same but have built up a reputation for the unique way they sell their products, in large showrooms. Nike have created their ownRead MoreNike, Mission, Vision, Values, Principles Essay704 Words   |  3 PagesRunning head: NIKE, Inc. Mission, Vision, Principles 1 NIKE, Inc. Mission, Vision, Principles Ameirah Aldahmani MSM631 – Strategic Management and Financial Reports Analysis Regis University Saturday, September 04, 2010 Abstract This paper is a qualitative and quantitative analysis of NIKE, Inc., done as six separate sections. The six sections of the project are external environment analysis, S.W.O.T analysis, executive interview, strategic and tactical plans and controls, structure,Read MoreNikes Long Term Financial Goals938 Words   |  4 PagesHow important is it for the financial managers of Nike Inc. to use economic variables in identifying long term financial goals? For Nikes business model to continually flourish and stay profitable, the senior management team and strategic planners must continually monitor short, intermediate and long-term economic factors that will affect their operations. Nikes business model is heavily dependent on supply chains, as the majority of their products are manufactured in Asian nations, either inRead MoreEnvironmental Scan Paper1535 Words   |  7 Pagesaccurate assessment of the internal and external variables of a company, the business managers would have to use a SWOT analysis to develop awareness to different of the company. For example, the company could want to measure consumer behavorior, competitor behavior, and current trends in their marketplace. Environmental Scan and SWOT Analysis The information discovered from conducting an environmental scan and SWOT Analysis is vital to an organization’s success as it will help businesses gain an accurateRead MoreEnvironmental Scan Essays952 Words   |  4 Pagesopportunities, threats, and trends of the business.    Environmental scanning can be defined as the procedure of collecting, examining, and assigning data for strategic purposes. The finest way to achieve environmental scanning is by generating a SWOTT analysis. A SWOTT analysis is in what way a business can outline the company’s strengths, weaknesses, opportunities, threats, and trends that are significant to the business. The corporate environment of a business makes known much about competitivenessRead MoreNike Macro Environmental Analysis Essay699 Words   |  3 PagesPA1: Nike - Environmental Marketing Analysis Mahendranath Gunti BUS 510 - Marketing Management Westcliff University Instructor: Dr. Geraldine Goodstone Nike is a global brand headquartered in the United States, Europe, and the Asia Pacific region, specialized in the manufacturing of athletic apparel, footwear, accessories and equipment. Nike products can be found in over 20,000 retail stores. This paper focuses on the six macroeconomic factors (political, Economic, Social, Technology, LegalRead MoreNike, Clothing, Fashion Accessory, Foot Wear, Sports Equipment824 Words   |  4 PagesIntroduction Company Name: Nike, Inc. Industry: Clothing, Fashion Accessory, Foot Wear, Sports Equipment Internet address: www.nike.com Primary SIC code: 3021 - Rubber and Plastics Footwear Primary NAICS Code: 316210 - Footwear Manufacturing Major Products and Services: 1. Nikes major products are; athletic shoes and apparel for soccer, basketball, tennis, football, Running, golf, the Jordan brand, Men’s Training, Women’s Training, Action Sports. 2. Equipment: Nike produces sporting equipmentRead MoreCompetitive Analysis Of Nike Vs. Nike1497 Words   |  6 PagesCompetitive Analysis The chief competitors to Nike are Adidas, Reebok, Under Armor and Puma and the minor competitors are ASICS and VANS. In accordance with Porter’s 5 Forces, Nike has faced competition by using different and distinct capabilities in marketing. One attribute to such capability is its value or benefit offered to its customers. The intensity of competition from its competitors is high for each firm competes in various key areas of business. For example, Adidas has loyal customers who

Wednesday, December 18, 2019

Impact of Consumer Protection Agencie in Nigeria

IMPACT OF CONSUMER PROTECTION AGENCIES IN NIGERIA: A STUDY OF CPC, CAFON AND CEON BY AMZAT SHERIFFDEEN ADEWALE MATRIC NO: 06076963 A PROJECT SUBMITTED IN PARTIAL FUFILLMENT OF THE REQUIREMENT FOR THE AWARD OF BACHELOR OF ARTS IN THE DEPARTMENT OF MASS COMMUNICATION, FACULTY OF MANAGEMENT AND SOCIAL SCIENCES, OLABISI ONABANJO UNIVERSITY, AGO-IWOYE, OGUN STATE. MARCH, 2012 CHAPTER ONE 1.0 BACKGROUND TO THE STUDY Consumer protection is defined as the efforts of the government and private organizations to ensure that the consumers are not exploited by the producers. Through consumer protection, the government ensures that the consumers derive maximum satisfaction from the goods and services available in the market. All of us are†¦show more content†¦1.1 DEFINITION OF PROBLEMS As a result of heavy profiteering by commercial organizations at the expense of the uninformed consuming public, governmental and independent consumer protection agencies, organizations and forums are being formed to address the apparent negligence of consumer rights, protection and customer care in service delivery. The enforcement of consumer rights is a serious problem in Nigeria. Consumers are often reluctant to enforce their rights for a variety of reasons: ignorance of their rights, poverty, and the judiciarys rigid adherence to strict legal rules that make it very difficult for consumers to prevail. When a consumer alleges that the defects in a particular product are the result of negligence, for example, the consumer must prove the acts or omissions in the production process that constitute negligence. The issue is complicated by the defense of foolproof system of production, which has become rather popular with manufacturers. The practice adopted by manufacturers is to demonstrate an impeccable system of production with a view to convincing the court that such a system is incapable of admitting any defect as alleged by the consumer. Decided cases show judicial inclination to accept such foolproof system as a defense. (See, e.g. Boardman v Guinness (Nig.) Ltd. (1980)

Monday, December 9, 2019

Medical Law Children and Mental Healthâ€Free Samples for Students

Question: Discuss About The Medical Law Children And Mental Health? Answer: Introduction The Convention for the Protection of Human rights and Fundamental Freedoms has attained a new name and this is the European Convention of Human Rights, i.e., ECHR. This Convention is an international treaty which offers protection to the fundamental freedoms, as well as, human rights in Europe[1]. This Convention was drafted back in the year of 1950, by the Council of Europe, which was newly formed at that time, and the same came into force from the date of September 3rd, 1953. The member states of the Council of Europe are a part to this treaty, and eve the new members are required to ratify the same, as soon as possible[2]. ECtHR, or the European Court of Human Rights, had been formed under this convention for the purpose of providing a stage, whereby a claim can be made by a party, which feels that their rights, provided under this convention, have been contravened. However, only a state party can take such a case before the ECtHR. And the verdicts given by the ECtHR is binding upon the respective states and have to be necessarily executed by them. The execution of these judgments is ensured by the Committee of Ministers of the Council of Europe[3]. This convention consists of three different parts, as amended by Protocol 11. Section I, containing articles 2-18, contains the rights and freedoms; Section II, containing articles 19-51, set up the Court, along with the rules of operation; and Section III contains the different concluding provisions. One of the articles contained in Section I, provides the right of liberty and security to the individuals. The young individuals and the children also have the right to not be deprived of their liberty without a proper legal authorization and review[4]. In the following parts, this very protection given to the individuals below the age of 18 years, through Article 5, with a particular reference to the methods of authorization and review, has been critically analyzed. Article 5 of the ECHR contains the rights, which an individual has, with regards to the liberty and security[5]. As per this article, each and every individual has the right to have and enjoy their liberty and security. An individual cannot be deprived of their liberty, unless the same is for the specified cases and is as per the procedure which has been prescribed by the law[6]. The specified cases include: An individual being legally detained after being convicted by a competent court; An individual being detained or arrest in a lawful manner, due to the failure in complying with the legal order of a court of law, or with the reasons of securing the obligations which have been prescribed through the law; An individual being detained or arrest in a lawful manner, which has been effected for the reasons of bringing such an individual before the competent legal authority due to a reasonable suspicion of having being indulged in an offence, or in such cases where it becomes reasonably important to prevent such individual from fleeing after committing a crime, or from carrying out a crime; A minor being detained due to a legal order for the reasons of educational supervision or such minors legal detention with the objective of bringing him before a competent legal authority; A individual being lawfully detained so that the individual could be prevented from spreading an infectious disease, or a person who is of unsound mind, or is an alcoholic or drug addict, or is a vagrant; An individual being detained or arrested in a lawful manner so as to stop him from undertaking an unauthorized entry in a country or of such an individual against whom, some or the other action is being taken, with a view of extradition or deportation[7]. When any of such cases take place, the individual who has been arrested, has to be informed immediately regarding the reasons for the arrest which have been made, and the charges which have been laid down against him, and this has to be done in a language, which the arrested individual can understand[8]. In accordance with the provisions of Article 1(c), the detained or arrested individual has to be brought immediately before an officer who has been authorized by the law, or before a judge, to exercise their judicial power[9]. Moreover, such an individual is entitled to a fair trial, which has to be conducted within a reasonable period of time, or the individual has to be released pending the trial. This release, though, can be done with certain conditions, for instance, to guarantee that the individual would appear before the court for the trial[10]. Each and every individual, who has been deprived of their liberty, due to being detained or arrested, has to be entitled to take the proceedings through which the legality of his arrest and detention has to be decided by the court in a speedy manner. In case the detention or arrest is not held as lawful, the individual has to be released pursuant to release order given by the court of law. In addition to this, such an individual, who has been a victim of detention or arrest, which results in contravention of this Articles provisions, has the right of being compensated for such behavior[11]. Analysis Article 5 contains the word minor, which means an individual below the age of 18. In the case of Regina v Wigan Metropolitan Borough Council, Ex parte Tammadge[12], a noteworthy discussion was provided with regards to the scope of Article 5(1) (d), which relates to the detention of minors. In this particular case, the appellant was a 15 year old boy, who was not under the control of his parents, as per the claims. It was alleged that this boy was preoccupied with sex and could become aroused sexually whenever he was aggressive or angry. Another claim was made as per which he was a threat to the other children and even to himself. In the later parts of 1998, he was charged with assault on young residents and staff in his placement and of indecent assault. This kid was also involved in two separate incidents of arson. As per section 25 of the Children Act, 1989, a secure accommodation order was imposed on the child on June 30th, 2000. In order to authorize the continued detention of th is kid, the Council applied for this order, in a secure accommodation unit located in Staffordshire[13]. An appeal was made against this particular order. On behalf of this boy, an argument was made that section 25 of the Children Act, 1989[14] was not compatible with the Human Rights Act, 1998, by making reliance over the Article 5 of ECHR. The issue which was raised before the court was did the order which was made regarding the secure accommodation, could be treated as a deprivation of liberty. Further, if such was to be treated as deprivation than under which category of Article 5(1) it would fall[15]. The application was dismissed by the court and it held that the order made regarding the secure accommodation order was indeed a deprivation of the liberty of the kid. Moreover, this deprivation was as per Article 5 (1)(d) of ECHR. While giving this verdict, the decision given in the case of Koniarska v United Kingdom[16] was followed. It was held that Article 5 (1)(d) of ECHR was related to the detention of minors, and did not relate to the detention of individual who were below the official age of leaving school. Hence, just because the boy had cross the official age of leaving school, a detention as per the specific order could not be deemed as for the purpose of educational supervision[17]. The words educational supervisions, in the context of detention of minors, do not have to be equated with the classroom teaching notion, in a rigid manner. With a specific reference to the context of an adolescent in a local authority care, a number of aspects are embraced by the educational supervision regarding the exercise of parental rights by the local authority for the protection and benefit of the youth. The decision given in Regina v Wigan Metropolitan Borough Council, Ex parte Tammadge provides a clarity regarding this aspect. The age of minor being below 18, was further affirmed in the case of X v Switzerland[18]. In this case also, a child of less than 15 years of age was involved, who had a history of offences in his portfolio, including that of theft and traffic. Here also, the applicable article of ECHR was held to be Article 5 (1)(d) of ECHR. The juvenile in this case had been accused of a range of different offences and he was placed in a closed institution for observation and even a psycho-medical expert report was drawn up[19]. However, a decision different from that of Regina v Wigan Metropolitan Borough Council was given in this case. This is because of the slight change in circumstances, which changed the entire verdict. Unlike the case of Regina v Wigan Metropolitan Borough Council, in X v Switzerland, the detention was held to be legal in this case. This was because the procedure which has been prescribed by the law was properly followed in this case. A proper investigation was undertaken in this case by the office of public prosecutor for the juvenile cases. This affirms that due to the applicability of Article 5 of the ECHR, the rights of the children are protected. As was seen in this case, the juvenile was presented with a proper investigation, which provided legality to the actions undertaken by the court, in form of the order made. Article 5 (1)(d) of ECHR does not only provide the provisions enabling a minors detention, it also contains specific, though not exhaustive, examples of such situations where the minors can be detained for the purposes of brining them before a competent legal authority or for their educational supervision. In the case of Mubilanzila Mayeka and Kaniki Mitunga v Belgium[20], a number of articles of the ECHR were contravened, and amongst this were the articles 5(1) and 5(4)[21]. Article 5(1) of the ECHR was held to have been contravened as per the court as the child had been detained as per the law, where no provisions were present which were specific to the minors, for a centre which was meant for the adults, and so, it was extremely unsuitable for the vulnerable situation in which the child was. And the court was of the view that the liberty of the child has not been protected in an adequate manner. Article 5(4) of the ECHR was also violated in this case. This was because the child was deported, without given any consideration to the fact that an application had been lodged by her for release, and even more so, the same had already been granted. Due to these reasons, the application had been rendered ineffective[22]. Article 5(1)(d) of the ECHRs first limb gives authority of detaining a child based on an administrative or court order, so that the attendance of the child can be secured at an educational establishment. And as has already been mentioned and established through Regina v Wigan Metropolitan Borough Council, the wordings educational supervision, cannot be rigidly equated with the notion of classroom teaching. A range of aspects of parental rights, regarding the exercise of authority, for the protection and benefit of the individual involved, has to be supervised under this[23]. In Bouamar v Belguim[24], the plaintiff was a 17 year old kid, who was also a Moroccan citizen and was placed temporarily in borstal nine times, just because there had been a scarcity in finding an institution or a person, who would take him in. overall, the minor had been deprived of his freedom for a period of 119 days. The court held that the state was required to set up proper infrastructure for carrying out its function. This was due to the fact that the minor had opted for a system as per which the juvenile offenders had to be monitored. And the detention which the minor had to undergo was irregular in nature and thus breached both Article 5(1) and 5(4)[25]. In the matter P. and S. v. Poland[26], mother and daughter were the applicants in the case. At the age of 14, in 2008, the daughter became pregnant due to being raped. The absence of a comprehensive legal framework was complained by the applicant, which could guarantee the daughter with a timely, as well as, an unhindered access to abortion as per the conditions placed through the relevant laws, and regarding the information pertaining to the case being disclosed to the public. A complaint was also made pertaining to the daughter being removed from the custody of her mother, and being placed in a juvenile shelter, and later on in a hospital, as being illegal an unlawful. They claimed that the circumstances which took placed amounted to a degraded and inhumane treatment. It was held by the court that there had been a contravention of three articles, i.e., 3, 5 and 8. Article 5 was contravened as the detention of the child had been unlawful and was done only to prevent the abortion[27] . The case of Ichin and Others v. Ukraine[28] revolves around two boys, who were of the ages of 13 and 14, and were held for 30 days in a juvenile holding facility as they had robbed some kitchen appliances and food from the canteen of the school. This took place even when the boys had made a confession about the committed theft and also had returned the stolen goods partly, and were below the age of criminal responsibility. The court held that the detention of the boys failed to provide the needed educational supervision and so, the Article 5(1) of the ECHR was contravened in this case[29]. They further stated that the juvenile holding facility was not suitable for the boys and there was an absence of intent to present them before the competent legal authority[30]. A juvenile holding facility, in itself cannot be constituted as educational supervision in the view of court, when there is an absolute lack of educational activities. In case a system of education supervisions is opted by a State, which involves a deprivation of the liberty, it becomes obligatory in such state, to put in place, proper institutional facilities, which can meet both the educational and security demands of the system, so that the requirements placed under Article 5(1)(d) can be satisfied[31]. In the matter of Amie and Others v. Bulgaria[32], due to the lack of realistic prospect of the expulsion of Amie, the deportation could not be justified for the entire period of his detention. This was in addition to the failure on part of the domestic authorities in conducting the proceedings with proper and required diligence. The Court could not find that the domestic proceedings, which took place in Bulgaria, were compliant with the conditions stated in Article 5(4). This was due to the time which was taken by the national courts, in making a determination, regarding the legal challenges to the detention order, as these were not compliant with the requirements of the provisions of the decision being taken in a speedy manner. In addition to this, the failure of the courts in getting a release order directly was also in contravention to Article 5(4) as this provision presents the remedies, through which the decision making body has the ability of releasing the detainee[33]. In the legal matter of D.G. v. Ireland[34], a minor was detained in the St. Patricks Institution and he made an application that Articles of ECHR, i.e. Article 3, 5, 8 and 14 had been breached due to this detention[35]. It was held by the courts that the detention of the applicant, who was a minor, was not done for the educational supervisions, as has been described for the purposes of Article 5(1)(d). And hence, this article was held to have been breached. For this particular violation, as per Article 5(5) of the ECHR, the minor was awarded non-pecuniary damages to the amount of 5,000, along with 16,138.96, as being the cost and expenses incurred by him[36]. Article 5(1)(d) of the ECHRs second limb administers the legal detention of a minor so that he can be presented before the competent legal authority. The travaux prparatoires provided that this particular provision was brought with the intention of covering the detention of a minor before the administrative of civil proceedings are initiated, while Article 5 (1)(c) provided the provisions with regards to detention of an individual with regards to criminal proceedings. Though, the detention of a minor, who has been accused of a crime when the psychiatric report is prepared, which is required for taking a final decision regarding the mental condition of such a minor, is considered as a detention for the purpose of bringing the minor, as per sub-paragraph (d), before a competent authority[37]. An example of this could easily be seen in the case of X v Switzerland, mentioned earlier. Conclusion The conclusion is very clear in this study. European Convention on Human Rights and Fundamental Freedoms, or the newly named ECHR provides various protections to the individuals with regards to their rights. A specific article of ECHR, i.e., Article 5, protects the individuals from being deprived of their liberty without having a legal backing and proper review. This is with a particular reference to the children and young people, who have been protected through this Article, time and again, and this is evident from the number of case laws highlighted above. This article ensures that the minors, if detained, have been given the proper treatment and that the reasons for the detention are as prescribed under it. Any violation of this article, not only results in a negative order being passed against the party violating this article, but also provides the damages to the affected minor. Hence, it can be clearly and aptly concluded that Article 5 does protect the children below the age of 18 References Amie and Others v. Bulgaria 58149/08 Bouamar v Belguim 11 EHRR 1 1987 D.G. v. Ireland 39474/98 Ichin and Others v. Ukraine 28189/04 28192/04 Koniarska v United Kingdom (2000) (Unreported, 12/10/2000) Mubilanzila Mayeka and Kaniki Mitunga v Belgium 13178/03 and S. v. Poland 57375/08 Regina v Wigan Metropolitan Borough Council, Ex parte Tammadge (1998) 1 CCLR 581 X v Switzerland 8500/79 Statutes and statutory instruments Children Act, 1989 European Convention of Human Rights Human Rights Act, 1998 Secondary Sources Books Bates E, The Evolution of the European Convention on Human Rights: From Its Inception to the Creation of a Permanent Court of Human Rights (Oxford University Press 2010) Goldhaber MD, A People's History of the European Court of Human Rights (Rutgers University Press 2009) Harris D, O'Boyle, M, Bates E, and Buckley C, Harris, O'Boyle Warbrick: Law of the European Convention on Human Rights (3rd edn, Oxford University Press 2014) Schabas WA, The European Convention on Human Rights: A Commentary (Oxford University Press 2015) Verhellen E, Monitoring Children's Rights (Martinus Nijhoff Publishers 1996

Monday, December 2, 2019

Piaget and Ericksons Developmental Stages

Differences between Piaget and Erickson’s Personality Theories The developmental theory postulated by Jean Piaget and the psychosocial theory advanced by Erik Erickson revolve around biological characteristics as integral basis for the growth of knowledge (Leming Dickinson, 2011). However, the two theories differ regarding the role played by the environment during the process of learning.Advertising We will write a custom critical writing sample on Piaget and Erickson’s Developmental Stages specifically for you for only $16.05 $11/page Learn More According to Piaget, environmental and biological components play fundamental and complementary roles in a person’s development. It is biology that is used in adapting to the environment. Unlike Piaget, Erickson perceives growth as prompted by social and environmental elements. He argues that attitudes, cultures, beliefs, and values affect an individual’s perception and cognition. Ac cording to Piaget, cognitive growth goes through definite, biologically unaffected and universal chronological stages (Miazga, 2000). He believes that each stage offers structured techniques of interacting with the environment. Piaget formulates four stages, which he sees as fundamental in development. In his linear postulation, each stage builds upon the former while paving the way for the next. Erickson, conversely, proposes eight stages in individual cognitive development. He holds that due to the differences in individuals as they grow, the stages of progression are not essentially linear or as orderly as propagated by Piaget. According to Erickson there is a possibility of going back to a previous stage to correct a task that was not properly completed before the individual biologically advanced to the next stage (Miazga, 2000). In contrast, Piaget asserts that the stages are tiered and that each stage has to be completed before one can advance to the next stage. Piaget asserts that every single stage is unique and, therefore, discontinuous. On the contrary, the eight stages formulated by Erickson are all interconnected, and all participate in an individual’s personality development. Another point of divergence in the two theories lies in the individual stages themselves. According to Piaget’s model there are four distinct stages (Miazga, 2000). People get to the final stage of development when they are around the age of eleven. Unlike Piaget’s, Erickson’s model comprises eight interrelated stages. In Erickson’s theory, the final stage is reached at around the age of fifty-five.Advertising Looking for critical writing on psychology? Let's see if we can help you! Get your first paper with 15% OFF Learn More Similarities between Piaget and Erickson’s Personality Theories Before looking at the similarities in the personality theories of Erickson and Piaget, it is important to note that they are both dev elopmental psychologists who introduce new outlooks to their conceptualization of mental development. The effect of their professions on their theoretical conceptualization is evident in their introduction of biological aspects to their works. Piaget uses the concepts of assimilation and accommodation in his philosophy, which are ideologies found mostly in biology. Erickson and Piaget propose theories that are founded on fixed stages. In Piaget’s theory, he illustrates the cognitive development of children through stages based on internal growth. In Erickson’s model, he illustrates in eight stages how social factors impact individual development. In both theories, an individual has to pass through one stage in order to reach the next. Both theorists try to explain a person’s cognitive learning process. Piaget adopts a structuralist viewpoint that indicates that mental structures transform in stages as a person interacts with the environment. His view makes envir onmental factors integral in the mental development of individuals. Erickson also takes a similar structuralist approach. He believes in interconnected stages that have negative as well as positive elements, which enable a person to adapt to the environmental conditions. The next area where similarities are evident in the two theories is in the ages at which individuals approach a stage. In Piaget’s model, the initial developmental stage occurs during the first two years of childhood. In Erickson’s postulation, the first year of infancy is described as the first stage. Piaget asserts that individuals learn how to move their limbs and bodies in the sensorimotor stage. In a similar stage, Erickson illustrates how individuals discover how to trust their surrounding and the importance of this development in mental growth. During the initial years or growth, both theorists emphasize the value of reflexes and instincts in mental development.Advertising We will write a c ustom critical writing sample on Piaget and Erickson’s Developmental Stages specifically for you for only $16.05 $11/page Learn More References Leming, M., Dickinson, G. (2011). Understanding dying, death, and bereavement (7th ed.). Belmont, CA: Wadsworth Cengage Learning. Miazga, J. (2000). Developmental theories: It’s time to review. TCA Journal, 28(1), 4-10. This critical writing on Piaget and Erickson’s Developmental Stages was written and submitted by user Makenzie U. to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Wednesday, November 27, 2019

bio study guide questions Essays

bio study guide questions Essays bio study guide questions Essay bio study guide questions Essay Chapter: 20 Part: 1 of 1 Parts Major Topic(s) Covered: Unifying Concepts of Animal Structure and Function Read Additional Section(s): Individual Assignment(s): In class your group will be asked to answer the following question: The regulatory mechanisms that an organism uses result from an evolutionary process. Some organisms regulate their internal body temperature, and others do not. Make two suggestions as to what the evolutionary advantage might be for each of these two, quite different, lifestyles. Why this Material? Each of the living organisms on the planet Earth has evolved a istinctive body form (morphology) at a variety of levels: cellular, tissue. organ, whole animal. Yet we never should forget that it is the actual functioning of living matter at the these levels that that is at the heart of living processes. Thus, it is not possible to separate the analysis of an organisms structure from the functions that those structures carry out. And of course, evolutionary forces work on both structure and function. In this section we will look at common themes that we find in the structure- function relationships found in animals. Given the short evolutionary times (relative o the age of life on the planet) and the fact that all living things can be traced back to common ancestors, it will not be surprising that the arrangement and functioning of living systems is very similar in most animals. This section will also give us the opportunity to understand the control mechanisms necessary to maintain life and how organisms interact with their surroundings. While we will focus on animals, you might keep in mind how these principles and ideas will relate to the other large group of multicellular organisms the plants. We will have a chance to look at those ore closely in a few weeks. Learning Objectives: Upon completion of this learning guide, you should be able to: 1. Describe relationship between structure and function in an animal. Anatomy study of the form of an organisms structures Physiology study of the functions of those structures 2. Be able to define the terms: tissue, organ, and organ system and understand the hierarchy of animal structure. Tissue an integrated group of similar cells that perform a common function and structure Organ made up of two or more types of tissues that together perform a pecific task Organ system consists of multiple organs that together perform a vital body function 3. Know the major organ systems in the animal by being able to describe its function and the primary organs that make it up. ) circulatory delivers 02, nutrients to cells, transports C02 to lungs metabolic wastes to kidneys 2) respiratory exchanges gases w/ environment, supplies blood w/ 02 disposing of C02 3) integumentary protect body against physical injury, infection, excessive heat/cold, drying out 4) Skeletal supports body, protects organs, provides framework for muscles to produce movements 5) Urinary: digestive, respiratory, urinary and circulatory systems. 5. Explain what is meant by the term homeostasis and the mechanisms that organisms use to maintain this state. Homeostasis a steady state Homeostasis mechanisms regulate internal conditions, resulting in much smaller changes in the animals internal environment. Homeostasis depends on negative feedback: Control systems detect change and direct responses. Negative-feedback mechanisms keep internal variables fairly constant, with small fluctuations around set points. 6. Understand the meaning and use of the following terms or ideas: CT computed tomography (x-ray) PET Positron-emission tomography (glucose) MRI Magnetic Resonance Imaging (hydrogen atoms) Interstitial fluid solution that body cells are bathed with; exchange takes place through this fluid

Saturday, November 23, 2019

How to Tell If a Student Is Cheating on Exam

How to Tell If a Student Is Cheating on Exam There’s a 95% chance that the person reading this right now is a student wondering how professors detect cheating. Let’s talk frankly, most students cheat at one point or another in college. Anonymous studies and surveys from universities far and wide say as much. This post isn’t about morality and it’s not supposed to be an ethics lesson. We’re going to talk about the 10 little things to keep in mind if you find yourself up against a wall and need to take drastic measures to ensure you success (it happens to the best of us!). 1. Lightening Speed Completion Unless you set the precedent early, don’t try to be the first person done with a test. Now, if you studied your ass off and just know the content like a boss, okay fine get it done with asap. Otherwise, try to either hand it in once most other people in class do or take up the entire time. There’s a fair amount of benefits to being the last person to hand in a test once you think about it. 2. CopyScape These days professors that deal with writing can easily have a subscription to services like CopyScape which will allow them to copy/paste your writing into a plagiarism checker that searches the entire web†¦If you want to copy someone, fine. Just make sure that you personalize the data and write it in such a way that it would pass CopyScape with at least 90% original content. Spinning is one thing. Outright copying is another. 3. Surveillance Technology You might want to look around the class room. These days surveillance technology comes cheaply. Universities can get tons of the stuff at really low rates. Are there any little cameras in the classroom that you can’t see? 4. Individual Greetings/Desk Shakedowns Don’t try and write things on your hands, arms, the underside of your cap, etc. Professors that suspect something will typically greet students in person, or hand them out directly to students to give them a quick shakedown. And, they’ll have already check desks beforehand and washed away anything they find written on them. If they don’t, the janitorial services likely will. 5. Attendance In-Class Behavior You may not think so, but in the smaller to moderate-sized classes professors get an idea of your behavior. Make sure it matches up with your grades. Like, if you barely show up to class, are always day-dreaming instead of writing notes or never look like you have an idea what’s going on and then get 98% on the exam†¦they might be inclined to suspect something. 6. Whispering Wandering Eyes Dude, seriously? Don’t freaking whisper with people during class and if someone whispers to you shoosh them without turning and looking at them. Professors can pick up whispering at 100 yards downwind so this isn’t a wise option. Some might just give you a stern look or stare in your direction for a few minutes while others have zero tolerance and will yank your exam away immediately. 7. Pleading Desperation and then Excellence Right so when the surprise exam was announced you nearly have a panic attack and fled from class screaming. Then you get a high score. A good enough reason to suspect something. 8. Bathroom Break? Unless you’re a gifted actor and can pull off one of the most epic potty dances of all time for the entire class to gawk at, avoid this method. Most professors won’t allow it and if they do and you end up being gone too long and acing the exam it will throw you into the shadows of doubt. 9. Irregular Unwarranted Performance This is pretty straightforward. So you’ve been getting consistent C’s and then magically out of nowhere you get 100% while everyone else averaged 75%. Hmm, does that seem suspect to you? Make sure you know whether a test is being graded on a scale or not, and NEVER be afraid to put a professor on the spot and ask, â€Å"What have your students typically averaged on this test?† If it’s one of those crazy impossible tests then you getting high abnormal and irregular scores will come off as unwarranted. 10. Identical Scores Seating Locations Weird, you and your best class buddy who sits directly in front of you got the same exact score. While on the one hand this could simply mean you study together outside class, the professor will probably think something’s up. They tend to pay attention to these things because they take their jobs in society seriously. As should you. Did we miss anything? Obviously there’s a whole lot more when it comes to technology. Leave a comment and let us know what kinds of thing professors are doing these days to weed out any cheating.

Thursday, November 21, 2019

Feasibility Study (ABC fast food restaurant in Cambrige) Research Paper

Feasibility Study (ABC fast food restaurant in Cambrige) - Research Paper Example The paper dwells upon ABC Fast Food. It is a small domestic fast food outlet in Cambridge which is intended to transform itself into a fast food restaurant by means of innovative and resourceful strategies. The food point is registered with Department of Food and Live Stock. ABC Fast Food is furnishing a mixture of wonderful foodstuff and it has a future plan to offer unparallel food at rational rates with entertaining environment. ABC will address the general public for local recipes, Italian dishes, as well as Chinese and Indian food. The major aim is to offer the customers with highest quality services and products to keep them staying again and again. ABC believes that by getting crucial financial support through its sale within two years, it will be able to capture 10-20% of the fast food market in Cambridge. The restaurant has estimated that it will enjoy a 37.3% profit for its investment by the end of April, 2013. Cambridge Demography The UK whole population consists of 19% of age less than 16 years, 65% between 17 to 65 years and 16% of over 65%. Cambridge total population 105,162 is currently ranked as 64th in UK. The 16.4% of its population consists of under 18, 69.7% belong to age group between 19 to 60 years, while rest of 13.9% are over 60 (Statistical Profile, 2011). The population consists of 73.8% of White British, 1.3% of White Irish, 9.8% of White Other, 2.2% of Mixed Race, 5.5% of British Asian, 5.1% of Chinese and others and 2.3% of Black British. The strength of college and graduate students is 22,580. The per capita income in Cambridge is $67,297 (Statistical Profile, 2011). The University of Cambridge established in 1209, is the 2nd oldest university in UK and 4th oldest in the Europe. The university consists of 18396 students (undergraduate 12,018 and postgraduate 6,378) and 8614 employees. The student strength of Cambridge University is about 14.75% of the total population of the city. By 2016, the population of the

Tuesday, November 19, 2019

Competitor Analysis for Conserv-A-Store Essay Example | Topics and Well Written Essays - 1250 words

Competitor Analysis for Conserv-A-Store - Essay Example a. Unlike Conserv-A-Store which is web retailer of green products for business and home and also acts as information resource dept for those attempting to practice greener way of life, many of its direct competitors only focus on lifestyle items such as yoga mats, items directed at women for the home, organic bedding and are not heavily on hard goods. The competitors are also poor when it comes to energy saving items. In categories such as rubber mulch mats,company has few direct competitors such as Gemplers and Gardeners Supply. All competitors apart from Greendepot.com have a similar weakness of a relatively smaller market share hence reaping little benefits.a. Unlike Conserv-A-Store which is web retailer of green products for business and home and also acts as information resource dept for those attempting to practice greener way of life, many of its direct competitors only focus on lifestyle items such as yoga mats, items directed at women for the home, organic bedding and are no t heavily on hard goods. The competitors are also poor when it comes to energy saving items and have limited selection of alternative energy items. In categories such as rubber mulch mats, Conserv-A-Store has few direct competitors such as Gemplers and Gardeners Supply. All competitors apart from Greendepot.com have a similar weakness of a relatively smaller market share hence reaping little benefits.Letsgogreen.biz has a competitive advantage since it is a one-stop web superstore that sells eco-friendly green products.

Sunday, November 17, 2019

Natural Environment and Campbell Soup Essay Example for Free

Natural Environment and Campbell Soup Essay Why do some business firms pursue a triple-bottom-line outcome while others focus only on profit maximization? Please, use a real company example to illustrate your points. The triple bottom line outcome focuses on the concept where firms are environmentally conscious and socially responsible by achieving a balance between profits, avoiding damage to the environment, and achieving social benefits (Douglas, 2012). Traditionally, firms focused on profit maximization to achieve profits to pay out dividends and capital gains so shareholders can buy things. In a recent article, Nursing Homes are overbilling Medicare . 5 billion a year for treatments patients don’t need or never receive. When nursing homes where for-profit, 30% of claims sampled were considered improper while non-profit nursing homes estimated only 12% (Waldman, 2012). Jill Horwitz, a professor at the University of California stated that for-profit health care providers are more likely to pursue money in any way possible, even by pushing the legal envelope (Walkman, 2012). There are still for-profit companies who pursue a triple-bottom-line outcome. Campbell Soup Company has been environmentally conscious and socially responsible since 1953. The Campbell Soup Foundation has been supporting local communities where employees live and work financially. Campbell Soup’s headquarters is located in Camden, New Jersey where they donate approximately $1 million each year to impact the local residents in a positive manner (Campbell Soup Foundation). They focus on hunger relief, childhood obesity and youth-related programming. Not only does Campbell Soup invest in its local communities, they also partner is many non-profit organizations like the Boy Girls Club and the United Way. Customers can influence firms to pay more attention to the preservation of the natural environment by emphasizing how important the community and environment in which they live are. Many organizations are now trying to go green. They are making products that use fewer materials and are less harmful to the environment. If customers refuse to buy products from organization that do not value the environment, organizations will change to customer’s needs. Along with not buying products, customers should not invest with companies who do not value the environment and communities. â€Å"Economists incorporate the triple bottom line into their models of business decision making by assuming that many individuals will buy shares in companies that achieve the triple bottom line outcomes they want and will sell shares in companies that do not† (Douglas, 2012. Pg. 7). References Campbell soup foundation. (2012). Retrieved from http://www.campbellsoupcompany.com/Foundation.aspx Douglas, E. (2012). Managerial Economics (1st ed.). San Diego, CA: Bridgepoint Education. This text is a Constellationâ„ ¢ course digital materials (CDM) title. Waldman, P. (2012, December 31). For-Profit Nursing Homes Lead in Overcharging While Care Suffers. Bloomberg. Retreived from http://www.bloomberg.com/news/2012-12-31/for-profit-nursing-homes-lead-in-overcharging-while-care-suffers.html 1. Firm Objectives Why do some business firms pursue a triple-bottom-line outcome while others focus only on profit maximization? Please, use a real company example to illustrate your points. Guided Response: In 300 words or more, please, provide your response to the above discussion question. Comment on how customers can influence firms to pay more attention to the preservation of the natural environment. Respond substantively to at least two of your classmates’ postings. Substantive responses use theory, research, and experience or examples to support ideas and further the class knowledge on the discussion topic. 2. Decision Making Under Uncertainty To save on gasoline expenses, Edith and Mathew agreed to carpool together for traveling to and from work. Edith preferred to travel on I-20 highway as it was usually the fastest, taking 25 minutes in the absence of traffic delays. Mathew pointed out that traffic jams on the highway can lead to long delays making the trip 45 minutes. He preferred to travel along Shea Boulevard, which was longer (35 minutes), but rarely had traffic jams. Edith agreed that in case of traffic jams, Shea Boulevard was a reasonable alternative. Neither of them knows the state of the highway ahead of time. After driving to work on the I-20 highway for 1 month (20 workdays), they found the highway to be jammed 3 times. Uncertainty is when the potential outcomes are not predictable and/or the probabilities of these outcomes are not estimable ahead of time (Douglas, 2012). * I-20 = 25 minutes w/o delays (25 minutes * 365 days = 9,125 minutes) * I-20 = 45 minutes w/ delays * Shea Boulevard = 35 minutes w/o delays * 1st month of travel there where 3 traffic delays assuming 20 workdays each month 1. Assuming that this month is a good representation of all months ahead, should Edith and Mathew continue to use the highway for traveling to work? * 3 jams (workdays) * 45 minutes = 135 minutes * 17 workdays * 25 minutes = 425 minutes * Total = 560 minutes compared to * 20 workdays * 35 minutes = 700 minutes when taking Shea Boulevard. Edith and Mathew should continue to use the highway because they save 140 minutes each month. 2. How would you conclusion change for the winter months, if bad weather makes it likely for traffic jams on the highway to increase to 6 days per month? * 6 jams (workdays) * 45 minutes = 270 minutes * 14 workdays * 25 minutes = 350 minutes * Total = 620 minutes compared to * 20 workdays * 35 minutes = 700 minutes when taking Shea Boulevard. Edith and Mathew should still continue to take I-20 during winter months because they will continue to save time. They will save 80 minutes of time taking the highway during winter months. 3. How would your conclusion change if Mathew purchased a new smart-phone app that could show the status of the highway traffic prior to their drive each morning, thus reducing the probability of them getting into a jam down to only 1day per month (where on this day, the app showed no traffic jam, but a jam developed in the meantime as they were driving along the highway). The conclusion would change in that Edith and Mathew should take Shea Boulevard on days in which they know there is an accident ahead of time. Either way they should continue to take the highway unless they discover accidents ahead of time. Non-Winter * 1 jams (workdays) * 45 minutes = 45 minutes * 17 workdays (highway) * 25 minutes = 425 minutes * 2 workdays (Shea Boulevard) * 35 minutes = 70 * Total = 540 minutes compared to * 20 workdays * 35 minutes = 700 minutes when taking Shea Boulevard. Winter * 1 jams (workdays) * 45 minutes = 45 minutes * 14 workdays (highway) * 25 minutes = 350 minutes * 5 workdays (Shea Boulevard) * 35 minutes = 175 minutes * Total = 570 minutes compared to * 20 workdays * 35 minutes = 700 minutes when taking Shea Boulevard. 4. Further, comment on how the conclusions of this problem will change if there was no uncertainty and the highway always had traffic jams, whereas Shea Blvd was always traffic jam free? Is this scenario realistic and why? Respond substantively to at least two of your classmates’ postings * 20 workdays * 45 minutes (I-20 w/ jams) = 900 minutes. * 20 workdays * 35 minutes (Shea Boulevard) = 700 minutes. If this was the case, Edith and Mathew would take Shea Boulevard every day. The scenario can be realistic because construction could incur at some point throughout the year cause delays and an increase in accident rates. References Douglas, E. (2012). Managerial Economics (1st ed.). San Diego, CA: Bridgepoint Education. This text is a Constellationâ„ ¢ course digital materials (CDM) title.

Thursday, November 14, 2019

The Wind in the Willows: Kenneth Grahame and Neopaganism Essay

The Wind in the Willows: Kenneth Grahame and Neopaganism  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚        Ã‚  Ã‚   The beauty of the English countryside--cultivated or wild, pastoral or primeval, it was an endless source of inspiration for eighteenth-century Romantic poets. Such notables as Wordsworth, Keats, and Shelley envisioned ancient and exotic Hellenic gods in familiar, typically British settings. Douglas Bush says of Keats, "For him the common sights of Hampstead Heath could suggest how poets had first conceived of fauns and dryads, of Psyche and Pan and Narcissus and Endymion" ( Pagan Myth 46). Later writers, clearly influenced by the Romantic world view, would describe idealized pastoral scenes in terms of "the rich meadow-grass . . . of a freshness and a greenness unsurpassable . . . . the roses so vivid, the willow-herb so riotous . . ." (Grahame, Wind 911). This was the haunt of Nature personified: Then suddenly the Mole felt a great Awe fall upon him, an awe that turned his muscles to water, bowed his head, and rooted his feet to the ground. It was no panic terror-- indeed he felt wonderfully at peace and happy . . . he looked in the very eyes of the Friend and Helper; saw the backward sweep of the curved horns, gleaming in the growing daylight; saw the stern, hooked nose between the kindly eyes that were looking down on them humorously, while the bearded mouth broke into a half-smile at the corners; saw the rippling muscles on the arm that lay across the broad chest, the long supple hand still holding the pan-pipes only just fallen away from the parted lips; saw the splendid curves of the shaggy limbs disposed in majestic ease on the sward . . . . (912] Pan's appearance in "The Piper at the Gates of Dawn" constitutes my most vivid impressio... ...dence in the Victorian Fin de Siecle . Princeton: Princeton UP, 1986. Grahame, Kenneth. Pagan Papers . 5th ed. 1898. London: Lane, 1914. ---. The Wind in the Willows . 1908. Classics of Children's Literature . Ed. John W. Griffith and Charles H. Frey. 4th ed. Upper Saddle River: Prentice, 1996. 865-957. "Grahame, Kenneth." Yesterday's Authors of Books for Children . Ed. Anne Commire. Vol. 1. Detroit: Gale, 1977. 144-153. Green, Peter. Kenneth Grahame: A Biography . Cleveland: World, 1959. "Kenneth Grahame." Children's Literature Review . Ed. Gerard J. Senick. Vol. 5. Detroit: Gale, 1983. 109-136. Sale, Roger. "Kenneth Grahame." Fairy Tales and After . Cambridge: Harvard UP, 1978. 165-193. Wullschlager, Jackie. "Kenneth Grahame: Et in Arcadia Ego." Inventing Wonderland . New York: Free P, 1995. 143-174.   

Tuesday, November 12, 2019

But Nothing Day

Foil Stafford Argument Analysis Imagine, a day in the great United States of America where absolutely no goods are sold nor purchased, in order to increase the awareness of the people about overconsumption. This is supposed to be an innovative way to expose environmental as well as ethical consequences due to consumerism, however this stance would fail horribly and should not be considered. Could one fathom having all choices guided by the candid government. America does not have an all controlling government simply because there is no need for one.The United States should not implement an annual Buy Nothing Day because the government was not formed to control the citizens’ on their moral or selfish problems. Establishing an annual Buy Nothing Day does not leave room for exceptions. If someone is out of gas then they can not get to work. If someone is in desperate need of food they might steal. Americas strongest yet weakest asset is its economy, so with it in a constant fluct uation, why interfere with its natural processes.Ultimately, a Buy Nothing Day will solve nothing because majority of the participants will not know the cause. Not to mention, it would be virtually impossible for everyone to be on the same accord, so trying to advocate this idea could potentially lead to violence. Hypothetically speaking, say a Buy Nothing Day was attempted in the United States, it would more than likely be boycotted against. For example, during the Progressive Era, alcohol was banned by legislation so prohibition was boycotted. Instead of people not drinking, Americans drank more than when it was allowed.So, in correlation with prohibition, a Buy Nothing Day would increase spending either day before or after, resulting in a spike of consumerism than a normal day, contradicting the original purpose of Buy Nothing day. In retrospect, even if the country refrained from buying on the mandated day, eventually consumerism would occur without buying things on that specifi c date because consumers will buy on a need-based timeline. As citizens we are still capable of audaciously driving to work instead of taking public transportation, or pass up water for an ice cold soft drink.One cannot assume that a Buy Nothing Day will, in any significant way, affect Americas pattern of overconsumption. Individuals and organizations who are for the Buy Nothing Day believe that it would show the American people the value of a dollar. Well, while this may be true for those who have money, what about the people who on a daily basis undergo a â€Å"Buy Nothing† phase because they can not afford to purchase goods regardless? They say that it will promote consumerism as an excessive part of American lives so people will not buy.The process of informing consumers might work temporarily, but when it comes down to it people will do what they want to do. Finally, conservationists state that the plan would do nothing but make the United States more of a discipline nat ion, plus a plethora of European countries do it. Nevertheless, how many countries can say they are thriving like America? Not that many, plus a nation wants its people to spend money because that helps the economy flourish. If people stop spending money the economy plummets.Also, what if this one day thing, turned into a mass movement and people partook in it for multiple months. It spells nothing but catastrophic. In conclusion, economic stability strengthens nativism and spending hard earned riches makes them an even stronger nation. Consumerism may be an issue in today's society but a Buy Nothing Day would essentially skyrocket consumerism, making the point completely worthless. America is a strong united nation as is, and with the program put in place or not, it will remain that way.

Sunday, November 10, 2019

National Food Security Bill 2013 Essay

Only three percent of Indians pay income tax; our tax-GDP ratio is among the lowest in the world. This must change. Our elites must realise that India’s poverty has damaging consequences for them, and that they can help decrease it. The food security bill, with all its limitations, will hopefully contribute to generating such awareness, says Praful Bidwai. After vacillating for years over taking any pro-people measures, the United Progressive Alliance finally did something bold and worthy by having the National Food Security Bill passed in Parliament — a promise made in the UPA’s â€Å"first 100 days† agenda after its return to power in 2009. The Bill won a resounding victory in the Lok Sabha, with a margin exceeding 100, because non-UPA parties including the Janata Dal-United, the Dravida Munnetra Kazhagam and even the Shiv Sena felt they had no choice but to support it. It sailed through the Rajya Sabha too. The stage was set by a rare, spirited speech by Congress president Sonia Gandhi, in which she described the legislation as India’s chance to ‘make history’ by abolishing hunger and malnutrition, and emphasised that India cannot afford not to have the law: â€Å"The question is not whether we can [raise the resources] or not. We have to do it.† The NFSB has invested meaning, public purpose and a degree of legitimacy into the UPA’s otherwise corruption-ridden, shoddy and often appalling performance in government under an increasingly right-leaning leadership. This at once put the Bharatiya Janata Party on the defensive. Its leaders were reduced to opposing a measure that represents genuine social progress, and making thoughtless statements about the Bill being about ‘vote security’, not food security. The BJP now has nothing to offer to the nation but obscurantist programmes like building a temple at Ayodhya, and parochial, and predatory pro-corporate agendas under Narendra Modi’s rabidly communal leadership. The Bill is open to the criticism that it doesn’t go far enough. Instead of universalising subsidised food provision, it confines it to two-thirds of the population, and truncates it further by limiting the food quota to five kilos of grain per capita per month instead of the 35 kg per family demanded by right-to-food campaigners. The per capita quota puts small households, such as those headed by widows and single women, at a disadvantage. A universalised Public Distribution System, covering the entire population, has been proved to be more effective and less prone to leakage than one targeted at ‘below-poverty-line’ groups — in Kerala, Tamil Nadu and even poor, backward Chhattisgarh. The relatively well-off won’t stand in queues at ration shops; they select themselves out of a universal PDS. Besides, a large proportion even of those officially defined as poor don’t possess BPL ration cards. The ratio can be as high as 40 percent in some highly deprived states. The latest National Sample Survey reveals that 51 percent of rural people possessing less than one-hundredth of a hectare of land have no ration cards of any kind; less than 23 percent have BPL cards. The problem of identifying the poor remains unresolved. Nevertheless, the broader coverage proposed under the NFSB — and the simple, attractive formula of rice at Rs 3 per kg, wheat at Rs 2, and coarse grains at Re 1 — marks a definite improvement over the current situation. It creates a right or entitlement for the poor, which can go some way in reducing acute hunger. However, right-wing commentators, including neo-liberal economists, credit-rating agencies, multinational and Indian big business, and writers/anchors in the media, have vitriolically attacked the NFSB as an instance of reckless â€Å"populism†. Some claim it will do to little to relieve malnutrition among Indian children, almost one-half of whom suffer from it. Yet others contend that the poor don’t want or deserve subsidies; they aspire to work, earn more and eat better. And almost all of them say the NFSB will entail excessive wasteful expenditure of Rs 1.25 lakh crores. This will aggravate India’s growing fiscal crisis and further depress already faltering GDP growth, now down to four-five percent. Eventually, this will work against the poor. Besides, if investment and growth are to be revived, India can’t spend so much on food security.

Thursday, November 7, 2019

buy custom Soldiers Deployed in Iraq essay

buy custom Soldiers Deployed in Iraq essay The Posttraumatic Stress Disorders among the Soldiers Deployed to Iraq According to the studies conducted on the recently returned service members, it is estimated that the rate of the posttraumatic stress disorders among the United States Iraq War soldiers exceeds 12 percent. It is also estimated that 16 percent of these soldiers examined one year after their return from war face the posttraumatic stress disorders. Also, the recent study of the combined US service done on its members that were deployed to Iraq revealed an estimate of around 14 percent of the soldiers facing the PTSD, with fresh cases exceeding the 7 percent mark among the combat-exposed personnel, which is also consistent with the previously indicated outcomes from the past wars. The key attributes of the deployment factors that are associated with PTSD are combat duties, noncombat deployment stressors, and the war threat appraisals. This study was carried out due to the concerns of the increased cases of PTSD cases as a result of the combat activities. The understanding of the PTSD symptoms connected to the subsequent stressors caused by deployment is of much importance to the service members, particularly in the context of repeated wars. The occurrence of such PTSD symptoms, especially in the first-time war deployments, is of considerable concern. The careful study of these symptoms and the stressors may help in coming up with a more scientific way of curbing these cases. Thus, the primary aim of this research was: a) to establish whether PTSD symptom levels have changed due to the effect of deploying the soldiers to Iraq war, and b) to come up with well examined associations on the pre-existing PTSD symptoms and the deployment-related stressors following the pre and postdeployment of the soldiers into the war front. This research procedure is based on sample experiments done on the participants. The targeted population for this study was male and female US Army soldiers who served in the Iraq war from April 2003 up to September 2006. This study involved the deployed and the non-deployed to Iraq soldiers across the two sessions, namely Time 1 and Time 2. The participants were then categorized as either deploys or non-deploys for Time 2 due to their deployment status on Times 1 and 2. The units which were not deployed were assessed at close time intervals to their deploying units. At the Time 1 sample group, the participants, regardless of the future outcomes, were functioning under the increased demands that were secondary to the anticipated deployment, because of the looming intensive desert training that they were to go through and also because of the idea of temporary geographic relocation and the separation they were to get from their families and friends (Vasterling et al., 2010, p. 42). The measures used in the study were interviews and also the written surveys, which were verified by the service records. The stress exposures and PTSD symptoms were investigated through the use of questionnaires. The written surveys were only conducted among the small groups during the military installations as the principal study that indeed targeted the neuron-cognitive functioning. It was found out that Time 2 participants did not differ much from the Time 2 non-participants that were from the ethnic minority or had the marital status. Other measures used in tabulating the results were the use of PTSD screening casernes, the prior stressful life events, the use of some medications that are prescribed as psychoactive, and also the existence of psychiatric/alcohol disorders. The participants of Time 1 sample were kind of not well represented on the side of women and commissioned officers. The results showed that the deployed and the non-deployed participants of sample Time 1 did not differ much on the baseline variables, but the deploys served longer periods in the Army, and thus, were slightly older than the non-deploys. On the other hand, the results obtained from sample Time 2 on the deployed soldiers indicated higher levels of PTSD as compared to the non-deployed soldiers. The main reason of this disorder is continuous participation in the war-front, especially if the soldiers were receiving hostile fire and had concerns about homes and their families. In conclusion, the prospective study found out that military deployment to the Iraq War is associated with the pre- and post-deployment and is causing increased cases of post-traumatic Stress Disorders, even after the US government adjusted the baseline levels of PTSD symptoms. Non-deployed soldiers, however, failed to show any symptoms of PTSD increases, thus suggesting that the pre-deployment and the post-deployment increases could not be only attributed to some nonspecific factors that are inherent in the military life. The findings also provide the strong evidence that deployment of the soldiers to the contemporary war zones results in the adverse health issues, and these consequences cannot be explained well through looking at the preexisting symptoms. The Ethno-Racial Variations in Acute PTSD Symptoms Before the research was conducted, the prior investigations have reported cases of increased risks of the posttraumatic stress disorders (PTSD) in the ethno-racial minority populations that have been recently associated with exposure to trauma, lack of access, and also engagement in the mental health treatment procedures, the medical morbidities, among other factors. The various factors related to the ethno racial minority status are being explored to shed light on the differential effects it has on the Post trauma stress disorders. The main affected population here is the African American one, with higher occurrence of the depression disorders, with double likelihood of the violence exposure, and also the higher rates of assault cases being reported as compared to their white counterparts. The US Department of Justice, under the Bureau of Statistics, did some research on the most common cases of misdiagnosis and the under-diagnosis of the mental health disorders and did found out th at the African Americans were the ones that were most affected. The American Indians, on the other hand, had higher cases of trauma exposure as compared to the national samples, as they tend to experience and witness more accidents and violence cases. The substantial percentage of the survivors who are admitted to the United States hospitals due to the injuries is the ethno-racial diverse patients. Exposure to the traumas that are coupled with many physical injuries leads to the increased risks of the development of post-trauma stress disorders (PTSD). According to the Centre of Disease Control (CDC) report of 2009, 29.5 million cases of emergency visits were recorded with primary injury diagnosis, while 1.9 million cases had resulted into inpatient admissions. The greater levels of post-traumatic emotional distress, also including the PTSD symptoms, have been linked to increasing risk factors of a person developing the PTSD after the injuries. More hypothesized investigations show that the African American, the Asians, the American Indians, and the Latinos who are victims of injuries report the higher levels of the acute PTSD symptoms as compared to their white counterparts. So as to investigate this idea, some regression studies were conducted to assess the independent associations between the ethno-racial minority status and the acute PTSD symptoms through doing some adjustments on the relevant injury, clinical as well as demographic characteristics, which included the pre-injury trauma theory. The methodology used in this research procedure was choosing the participants who could speak English and also survivors of accidents or various violence-related injuries. The sample population was also above 18 years and lived within some 50 to 100 miles from the trauma centre. There were 9409 injured patients that were admitted to the Harborview Trauma Center at the time of research. 8454 people out of this figure were not approached in the survey, since they lived far than the stipulated distance or they were discharged from the centre before the approach, etc. The measures used in this research included the checking of posttraumatic symptoms using the Posttraumatic Stress Disorder Checklists. Another measure used was classifying the participants according to the ethno-racial groups, whereby the participants were asked to report their views according to their ethical identification. The last measure used in the study was the posttraumatic stress predictors, in which the participants were requested during the interview to designate their education years and household incomes on the various ranging scales provided. The results ended up showing that the African American and the American Indian patients were less educated than the whites, and also the African Americans had the higher percentage of the uninsured status. Asian patients were reported to have higher household incomes, while a bigger percentage of old patients was recorded among the white patients. It was also the African Americans and the American Indians who recorded higher levels of some previously established risk factors that cause PTSD. From these established results, it can be concluded that the investigation did explore the ethno-racial variations of the acute PTSD symptoms and more relational characteristics of large injury survivors analyzed in the single US trauma centre. These analyses were done through the use of SPSS 16.0 by comparing the clinical and the demographic characters of the patients who were sampled. The regression analyses were finally done to assess the independent association of ethno-racial heritage and the acute PTSD symptoms through adjusting other injury, clinical, and also demographic characteristics. In conclusion, the research has identified that racial variations indeed lead to the high levels of reported Posttrauma StressDisorder factors in the US. This is evident since the research found out that the African American survivors of trauma were the ones who showed the highest level of acute PTSD symptoms. After the accounting of various PTSD-related cases, it was also reported that the American Indians were the ones with highest burdens of the cumulative past trauma. The ethno-racial minority injury survivors also recorded more positive alcohol and drug toxic screens on their admissions to the hospitals as compared to the whites, hence coming to a conclusion that ethno-racial variations contribute to the PTSD. Trauma Exposure and PTSD Symptoms among Homeless Mothers: Predicting Coping and Mental Health Outcomes The study was done on seventy homeless mothers, who gave information about the traumas they had gone through and who were examined for the signs of posttraumatic stress. The study was undertaken 15 months after the events had taken place. High levels of PTSD were observed in this sample. PTSD is a key potential consequence of the exposure to trauma. Its symptoms may also lead to increase of comorbid mental fitness conditions. Since not all people who have faced trauma develop negative outcomes, there is increased interest in this area as researchers try to find out factors that can protect individuals who face trauma from this disorder. To some extent, exposure to trauma and PTSD depend on how the individual copes with stress that occurs later in life, as this relates to mental health in the future. Although previous study shows that facing life stress increases coping behavior, some types of coping generally lead to significant adjustments. On the other hand, avoidant methods of coping with trauma such as drug abuse and denial lead to individual being more depressed and to higher levels of PTSD symptoms. Researchers have proposed that previous trauma history and PTSD symptoms may affect the manner in which one copes with stressful experience later in life. Empirical evidence shows that individuals who faced previous trauma are less adaptive to highly stressful situations in future than those who did not have trauma experiences in the past. Research also shows that women who are homeless report more psychological distress than their low-income housed counterparts as[E1] a result of victimization from the society and other stressful issues in life. This study investigated the potential relationship between previous trauma and PTSD symptoms process of coping in response to other causes of stress later in life, and subsequent results in a group of seventy homeless mothers. The researchers hypothesized that homeless mothers who experienced life time traumas and showed a lot of PTSD symptomatology at baseline are likely to show worse adjustment at 15 months. Moreover, they hypothesized that previous trauma exposure relationship with PTSD symptomatology and the later adjustments can be mediated using avoidant and active coping. The data used was collected using Connecticut Homeless Families Program. The data used for this investigation was from 12 sites, which included programs giving shelters to the homeless. The participants in the program were recruited through street outreach, program that provided shelter to the homeless, and drop-in-centers. The program referred the study participants to the research team. The research staff then screened the study referrals. The participants were selected according to the following characteristics: (1) Currently without homes; (2) Had a child aged less than 16 years and parental rights of that child; (3) Had substance use disorder history in the past year. Structured research interviews were conducted by interviewers from Connecticut Department of Mental Health and Addiction Services Research Division, who had been trained to collect data. Initial interviews were face to face, and follow ups were conducted after every three months until 15 months, most of which were face to face and sometimes through telephone when there were geographical difficulties. Each participant was paid for each completed interview and for keeping their first schedule appointments. Each participant was required to complete a contract during the baseline interview to facilitate follow-up. These contracts were regularly checked. Data included demographics, current trauma symptoms, and trauma history. Measures taken during the study included: 1. Prior trauma and posttraumatic stress symptoms; 2. Most stressful event; 3. Psychological symptoms. Results confirmed that participants had experienced high levels of trauma in their lifetime. 93% reported having undergone at least one traumatic event in their lifetime, while 73% endorsed multiple traumatic events in their lives. From the results, an intercorrelation between the study variables and meditational analysis was drawn. The results confirmed that the homeless mothers faced high levels of trauma in their lifetime (93% reported). Most of them experienced multiple traumas. Being homeless was one of the stressing factors for over one third of them. This supports Goodman et al. (1991) view that being homeless can be traumatizing. Relationship between various variables showed that the number of previous traumas is related to PTSD symptom severity. The study supports the researchers hypothesis that prior trauma and PTSD symptomatology affect subsequent general adjustments to stressors. From the study, it appeared that some of the harmful impacts of trauma exposure and distress are mediated via avoidant coping and not diminished approach coping. No relationship was observed between trauma experienced previously and active coping. The results are consistent with others done on previous studies, such as those of sexual assault victims. Researchers faced limitations such as: 1. Limited sample size; 2. Potential method bias (mostly due to the fact that the sample was drawn from those women who were receiving services or who were connected with the shelter system); 3. Ability to determine the causal relationship was limited by the correlation nature of the study; 4. The nature of most of the stressors reported by the participants did not correspond with the criterion of traumatic events. The study supports the need to consider the effects of trauma when designing interventions to enhance the outcomes for this vulnerable group. This study encourages future studies on testing the mechanisms through which trauma history and previous PTSD symptoms may affect psychological adjustment in the future within the less privileged populations. This would be beneficial in comprehending the complex relationship between these factors. How Type of Treatment and Presence of PTSD affect Employment, Self-regulation, and Abstinence This study was conducted to investigate the effects of substance use, self-regulation, and unemployment on people with and those without PTSD who had moved to the community from substance use treatment centers. The participants who had been recruited from substance abuse treatment centers (150 and 32 of them) had been diagnosed with lifetime PTSD. In the second year of follow up, individuals with PTSD in the normal after care condition illustrated significant lower levels of self-regulation as compared to the ones in the Oxford House condition having or not having PTSD. These results emphasize the need of settings that support abstinence after substance use treatment, especially for those people with PTSD. According to Najavits (2009), Posttraumatic stress disorder is associated with the increased use of substances. Previous studies have shown that poor substance outcome leads to PTSD and high psychiatric distress related to comorbid disorders. Theorists claim that substance use by individuals is a coping technique for depressed people. Patients diagnosed with PTSD, according to the report, were more likely to be affected by depression levels as opposed to individuals without PTSD. PTSD is characterized by intense feelings of anxiety and fear, which may make victims to withdraw from the society and circumstances that may depress them. Impairments of self-regulation character are also a major symptom of PTSD. This results in a decline in persons capacity to logically control responses to priorities, aims, and environmental requirements. And this leads to severe emotional distress, phases of dissociation, lack of faith in relationships as well as loss of meaning of life. The cognitive structures of these exposed individuals become impaired over time, since their bodies have experienced a lot of stress; hence, they become too dependent on substances. These structures are responsible for running emotional responses. Reticence o f cognitive regulation processes may influence how individuals make decisions and their impulse control, which also results into substance abuse. On the other hand, individuals who have high self-control have less problems of impulse related character. High self-control is also related to improved psychological adjustment. Employment also positively affects individuals with PTSD and S.U.Ds. Work appeared to be a satisfying and meaninngful method to broad the economic and social networks for individuals suffering from psychological disorders. However, despite the economic and mental merits that are associated with being employed, it is difficult to find a job when one is having PTSD. Having PTSD status significantly reduces the chances of employment. Oxford House is one of the settings that increases abstinence levels and promotes employment. In Oxford House, residents learn behavior and skills that will let them get back to normal, independent settings after sustaining abstinence. Members of the Oxford House also attend programs that help them abstain. This house has shown both effectiveness and practicability of self sustaining recovery environments. When individuals in Oxford House condition were compared with the ones that underwent usual after care, the ones in Oxford House showed lower levels of substance use. This study used two treatment groups, i.e. usual aftercare versus Oxford House, to analyze participants based on their self-control scores, substance use, and levels of unemployment. The researcher hypothesized that those individuals with posttraumatic disorder who were members of usual aftercare programs would experience the worst outcomes of substance use coupled with higher unemployment levels as well as lower self-control scores compared to those individuals who were not diagnosed with this disorder in this kind of aftercare program and those who were enrolled in Oxford House. The researchers also suggested that the ones with PTSD in the Oxford House are likely to show similar outcomes of substance use, employment, and self control levels to the ones without the disorder in this institution. Data was collected in a span of four years (from 2002 till 2005). There were 150 participants who were recruited. These participants were selected from residential treatment centers of substance abuse located in the northern regions of Illinois. The participants of the study were approached at the treatment centers, where discussions with participants were held and the written consents were obtained after the discussion. Each participant was given incentives for baseline participation and an equal amount on each subsequent interview. Chi square and independent sample t-tests were used; they indicated no key differences between situations on socio-demographic variables. Measures undertaken in the study included: 1. Diagnostic Interview Schedule-IV (D.I.S-IV); 2. Self-Regulation; 3. Addiction Severity Index (ASI). To test the studys hypotheses, the researchers examined the variations in self-regulation, levels of unemployment and substance use effects among individuals with and without PTSD. These individuals were either assigned to the Oxford House or to the usual aftercare conditions. This study found that there was a key distinction in self control scores among the four groups. The PTSD group in the usual aftercare condition had the least self-regulation levels as compared to the two Oxford House groups. The findings of this study imply that settings that support abstinence are important for the individuals with PTSD. It is argued that stability and responsibilities associated with Oxford House help people control emotions and behavior. From this study, Oxford House is an appropriate environment for individuals in recovery from substance abuse as well as those with comorbid PTSD and SUD. The study had a limited sample; therefore, the researchers suggest that future study should include larger groups. Future studies should also try to assess other variables such as mental health treatment that is carried out after discharge from substance abuse treatment settings. Considering PTSD from the Perspective of Brain Processes: A Psychological Construction Approach Posttraumatic stress disorder (PTSD) refers to a complex psychiatric disorder where symptoms from various domains are experienced, and they appear to be a consequence of a combination of several mechanisms. Although legitimacy of PTSD as a key diagnosis has been confirmed and has led to a lot of critical insights into how this disorder works, there is a lot of controversy that remains. The key unresolved issue is the core features of this disorder. This disorder is currently classified as an anxiety disorder by DSM. In both human and animal PTSD neuroscience models, the common hypothesis is that the amygdale (a significant fear circuitry factor) is hyperactive to incoming stimulus, and this hyperactivity is said to lead to fearful responses coming from a constant interruption in homeostasis. Both Etkin and Wager noted that fear may be a feature of specific phobias and social anxiety disorder associated with a wider range of emotion regulation dysfunction. The aim in this study is to investigate if dysregulated fear is the most beneficial and productive approach to deducing the existing brain proof in psychological terms. The questions raised are whether PTSD is a Fear-Based Disorder and whether amygdala is specific to the emotion fear in PTSD. Amygdala is generally broadly accepted as a part of the brain that is extremely crucial in establishing fear. Fear, in animal research, is defined as the behavioral adaptation that makes animals and man sense threats and responds to them promptly (LeDoux, 2008). Behavioral adaptations can be inherited as well as actions performed by a creature in order to survive. Past studies have confirmed that amygdala has a vital role in various behavioral adaptations that organisms use to respond to a threat. Previous studies show that the amygdala is not constantly activated at the time of fearful experiences at a rate greater than the one expected by chance. Even though a rise in amygdale activation was constantly observed in other emotional experiences like sadness and anger, the studies of fear experience did not constantly report a rise in amygdala response. The opinion of fear was constantly associated with a rise in amygdala activation, although this is not proof that the amygdala is a requirement for the sensitivity of fear. Hyper responsiveness in the amygdala is a fundamental feature of PTSD, although this does not imply that PTSD has an anomaly in fear. Does the Prefrontal Cortex Inhibit a Subcortical Fear Circuit? One factor in the hyperreactive, under regulated fear hypothesis is that PTSD signs arise from lowered regulation capability associated with hyperesponsivity of paralimbic cortical regions, such as the ventromedial prefrontal cortex in the medial orbitofrontal cortex, and immediately posteriorly, the subgenual anterior cingulate cortex. The fact that the cortex restrains subcortical regions is frequently taken as a proof that more evolutionarily recent cognitive parts of the brain control the more ancient emotional parts, and any disruption of this control leads to psychopathology such as observed in PTSD. Mammalian nervous systems share the same basic architecture in which the cortex modulates subcortical target regions. This is achieved by a complex set of cascading projections. These projections either excite or subdue subcortical activity. These multiple descending pathways from cortical areas to subcortical autonomic regions in the hypothalamus, periaqueductal gray, and brainstem produce a complex pattern of autonomic regulation that results into the counterintuitive hypothesis that in PTSD, the cortex might be selectively enhancing automatic reactivity. This article aims to bring in the psychological construction approach as a method of understanding the brain basis of PTSD and at the same time give new interpretations and insights for research in the future. Even though this approach is not common in psychology, it is consistent with a lot of unified approaches that try to find out biological and psychological processes that are common to several forms of psychopathology. This approach also corresponds to the present neurotransmitter models of anxiety, which show that various neurotransmitters and receptors provide multiple and frequently contrasting functions in the modulation of nervous states, depending on the exact cerebral circuits they interact. When combined with trans-diagnostic approaches to mental illness, this approach perspective assists in recognizing the present psychiatric diagnostic areas, such as other complex psychological areas like e.g. emotions, which are heterogeneous, and also the results of more general causes that may lead to other mental disorders. In addition, psychological construction approach can help explain the rising realization that psychiatric groups, just like other complex psychological category, are not natural types. Psychological construction offers a different approach to description and causes of PTSD and also suggests significant results of neuroimaging studies of PTSD. Previous approaches to understanding the brain basis of psychopathology have been typically focused on finding out the neural basis of a particular process by use of a specific task to isolate that process. There has been an increased recognition over the past few years that ful understanding of the neural networks and interactions among these vital networks that produce a mental state also requires examining data across multiple tasks. The researchers suggest that comparing PTSD to other disorders will prevent researchers from making declarations about the specificity of regions in the brain or PTSD networks that are also visible in other disorders. Buy custom Soldiers Deployed in Iraq essay

Tuesday, November 5, 2019

Free College Admission Essays

Free College Admission Essays Free College Admission Essays Free College Admission Essays Writing a college admission essay is one of the most intimidating parts of the application process. A lot of questions arise in students minds as for the information to include into their essay papers. What should I write about? What life experience will be considered as significant? How do I know what will the admission committee appreciate in admission essays? If you are writing a college admission essay and need individual admission essay help, do not hesitate to place an order at this site. Get professionally written admission essay without any efforts! These questions seem to turn your head, but no exact and accurate answers come up to your mind. Probably, the best idea in this case is to look through free college admission essays? Still, do not hurry to surround yourself with mountains of free college admission essays found in any possible for your place. First, filter them: which free college admission essays editing online are or are not worth using? Let us discuss it. The vast majority of free college admission essays (especially the ones you can find on the websites with .edu domain) are written by usual students Actually, nobody knows whether those papers were successful or not, and whether their authors were accepted to the college of their dream. What is more, you cannot be sure that free college admission essays online correspond to at least the standard requirements for entrance essays. It means that using them may be rather harmful to you. So, be careful with free college admission essays online. Before you start writing your admission essay, visit the official website of the college you are going to enter. Very often during the application process, new articles appear at colleges official websites to help applicants pass their examinations. Some of them even provide them with examples of college admission essays. This is practically done in order for applicants to see what entrance essays worked and why they were successful. If you are eager to get a couple of such free college admission essays, visit the following link: Items to analyze in free college admission essays: How is the paper organized? What writing technique does the author use? Does the author address the reader directly? Is s/he honest and sincere to the reader? What specific experience does the author share? Does s/he talks about his/her weak points as well as about the strong ones? Does s/he exaggerate the strengths? Why is the introduction successful? Why is the conclusion effective? Finally, remember that you cannot plagiarize free college admission essays, as plagiarism is strictly forbidden within the academic study. If you are looking for free essays online and want to review good free term paper sample or free research paper example, surf our blog and you will find wealth of articles! Read more: Essays Comparing Poems Critical Success Factor Analysis Conflict Essay A Reflection Essay Writing English Coursework

Sunday, November 3, 2019

India as an Emerging Market Essay Example | Topics and Well Written Essays - 2750 words

India as an Emerging Market - Essay Example This essay provides a comprehensive economic analysis of economic position of Indian economy in the world, with evaluation of economic outlook for the economy, based on the results of the research. An emerging market economy can be defined as that market economy which is growing from a small economy towards the level of advanced world economies. All middle and low income countries were previously considered to be emerging on the basis of per capita income; where in low capita income levels indicated poor exports while high per capita income levels reflect strong exports. However, this notion has since changed with time, mainly because emerging markets are not as poor performers. This is because currently emerging markets are said to be the driving force of world economy; it is approximated that 80% of the world economic growth has been as a contribution of emerging markets Emerging markets have become the owners of the majority of the world’s natural resources (minerals, oil); they have also contributed greatly to the rising share of global trade and investment. Ultimately, the companies found in these markets have become leaders globally in almost all sectors (technology, food and beverages). India is so far one of the most compelling targets for investment; it was ranked eleventh in terms of GDP in 2010. GDP being the economic measure of a market reflects that India is doing well as an emerging market.. This growth has been actualized by rising income levels, infrastructure development and a business friendly government.