Wednesday, July 31, 2019

Expressions in Horror: Dr Caligari and Nosferatu Essay

Two of the earliest examples of German Expressionism in film, The Cabinet of Dr. Caligari and Nosferatu are classics remembered as some of the best horror films of all time. These two films, directed by Robert Wiene and F. W. Murnau respectively, share several key aspects in common, while still retaining their own uniqueness that has left people debating which film is paramount, even nearly a century after their releases. This paper will examine these similarities and differences, and will seek address them in light of the German Expressionist movement they each resonate. The Cabinet of Dr. Caligari and Nosferatu both tell the story of a young German man’s subjection to the madness of a dark overlord with seemingly supernatural powers. In Caligari, a young man named Cesare, who is a somnambulist (or sleep walker) is controlled by the powers of a crazy doctor, who orders him to kill innocent victims. In Nosferatu, a young man named Thomas Harker is sent to sell property to Count Dracula, a vampire who comes to haunt his life and town after becoming obsessed with Hutter’s wife, Nina. Though while these films share some key components in common, no one could ever call the two films the same. Robert Wiene’s The Cabinet of Dr. Caligari is defined by the films stage-like quality, due mostly to the unique set it is shot on. An example of German Expressionism, the director creates a world of stark lines, sharp angles, darkness, and shadows bringing the viewer into a surreal world. Unnaturally angled houses line crooked cobblestone roads. Misshapen rooms contain demented furniture. Rooftops are acutely angled to the sides. It is radically warped scenery, and helps create a genuine expressionist set. F. W Murnau’s Nosferatu, however, is shot in real world environments, but employs shadows to make small rooms appear larger then life, adding suspense and a feel of supernaturalism to the movie. The Count’s castle perhaps best conveys the expressionistic form, with its gothic architecture and abundance of shadow. Or, better still, the Count himself embodies the expressionist form, with his exaggerated features. His ears, chin and teeth are all pointed, and his stature is unique, hunched and very thin of frame. His eyes, much like Wiene’s Cesare, are darkly shaded, and his nails are long giving him a distinctly monster like quality. Both films successfully impress a dark mood by exaggerating the film’s dark aesthetic, drawing viewers into the mindscape of German Expressionism. The films also share in common a sleepwalking theme, and perhaps it was just Murnau paying homage to Wiene’s Caligari. Partway through Nosferatu, Harker’s wife Nina is described as being in a sleepwalking trance, specifically calling it â€Å"somnambulistic†. In fact, the character Nina looks surprisingly similar to how the character Jane looks in The Cabinet of Dr. Caligari. I don’t believe it is too extreme to suggest that perhaps Marnau played off certain motifs created by Wiene in wanting to create a horror film. However, Marnau’s depiction of Count Dracula is unsettling to this day, and many still believe that it remains the most terrifying portrayal of the character ever on film, perhaps only second to the iconic Dracula played by Bela Lugosi. Murnau certainly created his own sort of horror, so it could not be suggested Nosferatu is unoriginal. The use of shadows, especially when it comes to scenes involving the Count, create a horrifying imagine on the screen. While having never seen Nosferatu before deciding to write this paper, I immediately recognized a scene towards the end of the film, when the Count ascended a staircase to Nina’s room. Perhaps one of the most iconic scenes of early horror films, you see the shadow of the Count as he makes his climb up the staircase, hunched form, long fingernails, offsetting movement and all. It is his shadow you see climbing the steps, never his actual form, which may possibly hint at a metaphor. The German Expressionist movement was born out of the anguish following the Great War and before the birth of Hilter’s Germany. Perhaps, as suggested by James Franklin in â€Å"The Shadow in Early German Cinema†, shadows acted as a sort of â€Å"visual metaphor for evil or for the dark and threatening forces that allegedly lurked in the pre-Hitler German psyche or soul† . Both films use music to add suspense to the plot, however each film approaches it’s use in separate ways. Caligari is distinctively jazzy in nature, where as Nosferatu is more classical. Both films, however, create music that mirrors and changes with the action on the screen. In Nosferatu, music creates a terrifying feel to the movie, shaping the most horrific scenes remembered from the film. There are several instances throughout the film where silence is broken by a quite sound, almost like a heartbeat in the background, yet more off putting. While I am in no position to argue which film is the better, both have come to be the best examples of horror films to come out of this time period. Classic examples of German Expressionism at work, The Cabinet of Dr. Caligari and Nosferatu play with the presence of shadow, the distortion of nature, and the imaginations of audiences, even today.

Tuesday, July 30, 2019

Confidence in third world countries

BLOSTERING INVESTOR CONFIDENCE IN THIRD WORLD COUNTRIESThe history of world has been interposed by a cryptic series of roars and slacks. Historians have singled out the experience of the early 1930 ‘s as the ‘Great desperation. ‘ This undeniably amazing event damaged the so promising economic stableness in Europe and badly broken consumer and investor assurance around the World. Similarly the universe debt crisis of the 1970 ‘s and 1980 ‘s besides brought with it its ain storm effects that overcame both developing and developed states. The debt place of developing states became peculiarly upseting when as Stambuli ( 1998 ) comments it became clear that there was a lifting disparity of external liability and the capableness of states to serve their debt. This terrible disagreement was in the terminal described by several debt agreements and more notably states saying non-payment. ( Stambuli, 1998 ) In retrospection there have been many givens that have wanted to explicate the causes of this crisis, nevertheless this paper will research in peculiar whether developed or developing states should be held responsible for doing and by extension relieving this crisis and how investor assurance can surely be boosted in 3rd universe states. In order to wholly understand the thought of answerability we must foremost understand the common fortunes under which 3rd universe debt became disputing. Many development economic experts view the considerable addition in oil monetary values in 1974, which saw the cost of oil rise from $ 2.70 in 1973 to an intimidating $ 10.00 per container, as a chief footing. This rise immediately elevated the excess on the current histories of oil bring forthing states from $ 7 billion in 1973 to $ 68 billion in 1974. These big excesss twisted the status soundly documented by Stambuli ( 1998 ) that encouraged oil-exporting states who had more foreign exchange than they required invest in western Bankss. In a command to depute the consequent liquidness these Bankss so sought to recycle the excess of ‘petro-dollars ‘ with developing states that had experienced neglecting current histories. The most important charge confronting developed states was their overzealous and careless lending process after the first oil monetary values hurt that occasion small due procedure in set uping the recognition virtue of the recipient state. As the crisis became more evident in early 1980 ‘s international Commercial Bankss began to see some of the negative impacts of their actions. Due to the alteration in financial policy of developed states Bankss began imparting at bit by bit high and variable involvement rates. Bernal ( 1997 ) , reports that involvement rates moved from 12.1 % in 1978 to 17.4 % in 1981 and so to 12.9 % in 1985, therefore Bankss had begun to reexamine what Stambuli ( 1998 ) documented as the ‘Sovereign Risk Hypothesis ‘ , which assumed that states were protected by their built-in character from default Risk. The image farther deteriorated as developed states besides reduced direct assistance and investing to developing states and increased protectionist policies that strictly exploited Less Developed Countries chances for obtaining foreign exchange to go on serving their debt. ( Bernal, 1997 ) Consequently Less Developed Countries Governments have surely contributed in altering the job of debt into a catastrophe. Brown ( 1986 ) carries this competition farther since he comments that in Jamaica for illustration, the Government ‘s finding of fact between 1976 and 1980 to protect an overrated exchange rate and to promote communist policies influenced investor assurance and sudden capital flight. The authorities so found itself holding to borrow non merely to finance the current history shortage but besides increasing degrees of net capital escapes. Brown, 1986 It should hence be clear that both Most Developed Countries and Less Developed Countries should bear the incrimination of doing the Debt Crisis. Less Developed Countries nevertheless unsteadily could hold reduced these effects if they had managed their debt more professionally during the short period. Investing in Third universe Countries makes good concern sense while there are pools of planetary fiscal resources in hunt of chances for variegation and higher returns. Besides, investing chances in such states are reported to offer some of the highest rates of return on investing, even on a risk-adjusted footing. Most Third universe Countries authoritiess have over the last 15 old ages taken important stairss to make an encouraging concern atmosphere. These steps include far success macro economic betterment that have condensed budget shortages and rising prices degrees to individual figure degrees and fueled economic development. A figure of authoritiess have besides taken actions to reenforce the legal and judiciary system and regulative establishments such as those for venture support. While sufficient investing controls and fiscal tools are important to capital flows, most Third universe states have underdeveloped trade good and capital markets. Similarly, basic imitative and warrant instruments that enable investors manage hazard are partial. In add-on, undertaking supports rely chiefly on bank funding, given the inadequacy of Third universe states capital markets, where market capitalisation of most of the states ‘ equity capital markets is less than a 3rd of Gross Domestic Product ( GDP ) . Despite the growing made by many states to undertake the defect highlighted above and the anticipation for higher returns in Third universe states than in other parts of the universe, most investors have non taken the clip to reexamine the investing opportunities available in Third universe states. In acknowledgment of the significance of reliable economic information, the Bank Group is taking a programme to better informations quality, aggregation, and direction in all Third universe states. The Group is lending more than half of the entire undertaking cost of USD 40 million and expects that the undertaking will help coordination and regional integrating, and fuel capital flows by back uping investor assurance. The Group ‘s attempts to back up good control should besides beef up investor assurance. In add-on to financing institutional support undertakings that improve the capacity of legal and regulative bureaus, the Bank provides resources to bureaus such as the Organization for the Harmonization of Business Law in Africa ( OHADA ) , whose authorization is to make conditions that assure legal security for concerns. Similarly, the first theoretical account investing jurisprudence of the African Law Institute ( an institute sponsored by the Group ) , has been certified by cardinal regional establishments. This will further regional integrating and farther fuel investings and capital flows to Third universe states. To reason, I believe that each one of us has a critical function to play, every bit good every bit much to derive in increasing capital flows to Third universe states. It makes good concern sense, it makes good unselfish sense. Through due diligence and partnerships, you will be rejecting the doomsday scenarios of Afro pessimists, which leads to a vision of fatalism and hopelessness for Third universe states. You will alternatively be back uping a vision of Third universe states that are genuinely affluent offering moneymaking chances for investings.MentionsAyittey, George B.N. ( 1993 ) , Africa Betrayed.Stambuli, ( 1998 ) Sovereign Risk Hypothesis, New York.Bernal, ( 1997 ) , peripheral Debt, ChicagoBrown, ( 1986 ) , within the trigon of deflation & A ; InflationWorld Bank databases and UNCTAD World Investment Report, 2003

Why Marjane Satrapi Graphic Form

Why Marjane Satrapi chose to tell her story Persepolis in the graphic form The graphic novel Persepolis by Marjane Satrapi was written in the graphic medium to appeal to a wider audience. Literary critic, Manuela Constantino, proposes that â€Å"the combination of a visual representation and a child’s point of view makes the story easily accessible and therefore attracts a wide range of readers. † (Constantino, 2008: 2) Another plausible reason for Satrapi's choice to do the novel in this medium is the apparent popularity graphic novels enjoyed at the point of the memoir’s publication.Writing the novel graphically, brings the Middle Eastern novel closer to its Western readers. As Constantino wrote; Satrapi emphasizes â€Å"the universal qualities of her child narrator and the details of her experiences that would be familiar to her Western readers. † (Constantino, 2008: 2) Persepolis by Marjane Satrapi in the graphic form deems effective because it is writ ten in a form that is recognizable to her target readers, written in somewhat a ‘universal’ language. Satrapi chose to tell her story in the graphic form to better connect with her readers. It is apparent that Satrapi’s targeted audience are mainly Western Christians.Over forty percent of the world’s population who practice a religion are Christians. The religious stature of the main characters made the novel accessible to its non Muslim readers. Being able to observe Christians in a predominantly Islamic country, opens a window to a life Satrapi's readers could only dare to imagine. A world where u are told what to believe and what to think. It is therefore logical to target the sensitive majority of the population to educate about the Iranian political struggle and to get her story across. The novel in itself is about driving away the West from the conservative Iranian nation.Driving away the things her targeted readers consider their norm. Westerners an d others around the world try to â€Å"seek insight into a country and a nation that have been deemed â€Å"evil† and an imminent threat to Western society. † (Malek, 2006: 10) To aid the West in its quest to â€Å"seek insight† into the nation of Iran, Satrapi wrote the novel in a medium that is very closely related to and very familiar in the Western culture. As demonstrated in: â€Å"†¦ They found records and videocassettes at their place, a deck of cards, a chess set. In other words, everything that’s banned. The scene leads the reader to feel unwanted and driven off alongside Marji, an Iranian who embraces the reader’s culture as demonstrated in page one hundred and twenty six , from her Iranian world. The reader and Marji form a special bond – they become a unit. This common ground builds a stronger connection between Marji and the reader leading the audience to feel a stronger form of empathy towards the child, as they are now p art of the cultural issue.Satrapi also chose to relate socio-political issues, conflict and loss to Arabic writing; as demonstrated in page eighty seven, in the panel where in two women are arguing. Satrapi, 2003) Their banter is written in a language unfamiliar to her targeted readers leading the reader to classify fighting and arguments as foreign and that the very presence of these women and their conflict is alienating. Another instance is when Pardisse reads her letter to her dead father, a letter written in the same foreign writing – grief is then related to this alien language. (Satrapi, 2003: 86) And on page one hundred and thirty two, in the panel where The Guardians of the Revolution (women’s branch) were introduced, one will observe the same unreadable writing resembling Arabic on their vehicle. Satrapi, 2003) Her use of all these subtle details in the graphic aspect of the novel adds to the effectiveness of the medium in that it forces the reader to lose al l sense of familiarity with the antagonistic characters. The visual aspect of this novel aided in Satrapi’s depiction of Marji as someone who embraces the western culture, the reader's culture, with the familiar images of Nike sneakers, jeans, jean jackets, and chocolates, as well as Kim Wilde and Iron Maiden songs. (Satrapi, 2003: 126) This brings another dimension to the relationship between Marji and her readers.Writing the novel in graphic form brings the Middle Eastern graphic novel closer to its Western neighbours because it is in a medium that is recognizable in the West. In addition, Satrapi’s depiction of Muslim leaders as â€Å"uneducated, primitive, and narrow-minded brutes† strengthens her connection with her Western readers whose perception of Muslim extremists might indeed be quite similar to the one crafted in the autobiography. (Constantino, 2008: 4) The novel Persepolis is effective because it was written to please a specific type of community.I t uses language and cultural barriers in the illustrations and text to further separate the reader from the antagonists. â€Å"Satrapi’s Persepolis appeared, significantly, at a time when memoirs have been experiencing a great surge of popularity. † (Malek, 2006: 8) The time of the publication of the memoir deemed critical to its success. It was published around the time where graphic novels were coined â€Å"the most important narrative mode of our contemporary culture. † (Miller, 2000: 421) It shared the lime light with other graphic novels, the likes of Craig Thompson’s â€Å"Blankets† and Joe Sacco’s â€Å"The Fixer†. Time, 2003) Satrapi chose the perfect time to debut her graphic memoir as she was able to ride ‘the literary high’ comics were experiencing at that point in time. A probable reason why Satrapi chose to tell her story in the graphic medium is the effectiveness and popularity of graphic novels at the point of the novel’s publication. Writing the novel in graphic form and through the eyes of a child allows the issue to be digested with fewer objections by the reader. The novel written through the eyes of a child makes it easier for the reader to comprehend the situation.It gives the story a comedic approach to a devastating period in Iranian history. â€Å"Readers of all ages can identify with the child, feel for her, and learn with her about the complexities of national and international politics. †(Constantino, 2003: 4) The connection shared between Marji and the reader strengthens their bond and heightens the effectiveness of the story. It is a medium closely related to fun. Writing the novel in graphic form ‘dumbs down’ the brutality of the whole situation. A frame on page fifty two illustrates Ahmadi’s gruesome fate in prison: chopped into several pieces. Satrapi, 2003) Another panel depicting the same kind of ‘turned down' brutality is a s cene on page seventy six where a woman is being stabbed on the leg. These otherwise gruesome scenes can be better understood because the reader can look at it, take it as it is, and envy the child’s innocence and simplistic thought process. Constantino adds: â€Å"The text is easily accessible and seemingly transparent. It makes many people feel that they are educating themselves while they are being entertained.† Although the text might seem, in a way due to its graphic medium, juvenile, its purpose is to educate and tell an ‘untold story. Some might argue that depicting critical situations such as the Islamic Revolution in a form of graphic medium takes away the severity of the circumstances however; it can definitely be counter argued by the undeniable phrase ‘it’s so simple it works. ’ The visual element allows her to include the offstage action as part of the main narrative flow. Instead of having to impart information as separate inciden ts, where its impact is reduced by removing it from the context of the story, we see things as they happen, increasing the emotional mpact of the moment. The directness of her work allows her to do two things excellently: to distinguish between individuals easily with just small strokes of the pen and make her depiction of horrors, death, torture, and anguish, emotionally realistic without being graphic or gruesome. Persepolis was written in the graphic form to create a stronger connection with the material and its readers. Persepolis is a powerful story about a person’s struggle for self identity.The different occurrences in Marji’s life that define her for who she is was written in the graphic medium to make it easier for her audience to connect with her as people in search of who they are. Writing the novel in graphic form offers a sense of familiarity with Satrapi’s targeted Western audience. It brings the unfamiliar Iranian world, issues and their tradition s closer to the West’s classification of ‘normal’. It uses religion (specifically Christianity) in illustration and text to even deepen the connection between Marji and her audience. It forms a common ground, a sense of belonging to the same movement.It is also plausible that one of the reasons why the novel was written in the graphic form was to ride the growing popularity of comics at that particular point in time. Publishing the graphic novel to a community who openly accept comics as a form of sophisticated literature presented an opportunity for the novel to succeed. And lastly, it was written in graphic text to make it easier for the reader to comprehend the situation as these instances don’t usually happen to her targeted Western audience. It makes watching people die a little bit more bearable as it is depicted in a way that a child might perceive death.Satrapi choosing to tell her story in the form of a graphic novel not only shows us how far that medium has come as a means of expression, but allows us a glimpse into a world that few of us know anything about.Word Count: 1707 Citation Arnold, Andrew. â€Å"The Best and Worst: 2003. † Time. November 13 2010. Website. ;lt; http://www. time. com/time/bestandworst/2003/comics. html;gt; Malek, Amy. â€Å"Memoir as Iranian Exile Cultural Production: A Case Study of Marjane Satrapi's Persepolis Series. † Iranian Studies: Journal of the International Society for Iranian Studies 39. 3 (2006): 353-380. MLA International Bibliography. EBSCO. Web. 15 Nov. 2010. Print. Manuela Costantino. â€Å"Marji: Popular Commix Heroine Breathing Life into the Writing of History. † Canadian Review of American Studies 38. 3 (2008): 429-447. Project MUSE. Cameron Library, Edmonton, AB. 17 Aug. 2010. Website. ;lt;http://muse. jhu. edu/;gt; Nancy Miller, â€Å"But Enough About Me, What Do You Think of My Memoir? † Yale Journal of Criticism 13, no. 2 (2000): 421. Print. Satrapi , Marjane. Persepolis. New York: Pantheon Books. 2003. Print â€Å"World Religions. † The World Almanac and Book of Facts  ©2010. 2010. Print.

Monday, July 29, 2019

Tourism and Economy of UK Essay Example | Topics and Well Written Essays - 4250 words

Tourism and Economy of UK - Essay Example By now, the benefits that tourism brings to any country are plainly incontrovertible. But tourism has its own downsides or drawbacks. It is a volatile and mercurial national undertaking. It is subject to so many factors and influences that may slow down its growth or even send it to the doldrums. Effects of global warming, such as floods, frequent typhoons, hailstorms, tsunamis and other calamities discourage vacationers and affect the tourism industry. So do absence of peace and order, civil wars, religious fanaticism, epidemic outbreaks, â€Å"political instability, currency fluctuations, changes in fashion and changes in the economy† (Nagle 1999,p.5). Speaking of the economy, economic factors can drastically reverse the growth of the tourism industry or advance it further. Financial crisis or the slowing down of the economy or recession definitely gives the tourism industry a big blow that may decelerate it. However, currency devaluation, which increases the spending power of tourists has an opposite effect. In the late 1990’s when Asian currencies, such as the Thai baht and the Philippine peso were devalued, streams of tourists from Europe and North America took advantage of the weakened currencies and enlivened the tourism industry in those parts of the world. But a strong exchange rate will always dissuade tourists from coming. Instead, they will tend to flock to weakened economies where they will get more value for their money. Bad governance especially governance of the economy in any nation always contributes to tourism decline. Mishandling of the economy that always entails graft and corruption gives bad image to the country and travelers shun countries marred by claims of misgovernance and corruption. In tourism promotion, good image counts a lot. Besides misgovernance spawns a destitute citizenry who finds it difficult to travel domestically and domestic tourism provides a sizable chunk of the tourism earnings of any nation. Enacted le gislations inimical to tourism also affects its tourism industry as well as the budgeting of a measly outlay for tourism infrastructures. A hostile foreign relations policy may scuttle the tourism vessel of the nation and cause it to sink to oblivion. An example for this was the near-destruction of Cuba's tourism industry when USA imposed an economic embargo against Cuba in the 60's and 70's (Jafari 2000,p.122).

Sunday, July 28, 2019

MPH502-Introduction to Public Health (Module 2 CBT) Essay

MPH502-Introduction to Public Health (Module 2 CBT) - Essay Example This site presents a very professional approach to tackle emergencies as H1N1 flu outbreak and has an excellent video posted on the site on H1N1 prevention by Dr Mark Horton, Director of California Department of Public Health. This site has separate and easily detectable and dedicated links for immunization for children and adults. The information provided in these links is also easily intelligible to all cross sections of the society. In conformity with The Government Modernization, Efficiency, Accountability, and Transparency Act of 2005, this site also posts information about all proposed regulations, administrative proceedings, meetings, hearings and clearly explains how the public can participate and comment on all such issues. The mission of this department is to work in partnership with the community to ensure that optimal health and well being of all people is achieved. The department also recognizes that residents are more than mere consumers of public health services and is thus committed to collaborating with medical service providers, County departments, City agencies, community-based organizations, schools, civic groups, foundations, religious organizations, families to address myriad health and safety issues impacting individuals and populations in our county. Such an inclusive approach most surely echoes the IOM definition of public health. Vaccination and immunization schedules are easily available in several languages in this website. Such a multilingual dissemination of crucial and relevant information is most surely a welcome departure from routine procedure of government departments. This website has a separate page dedicated to data, reports and Public Health statistics useful for residents, clinicians, community-based organizations, grant writers, school districts, policy makers and academia. Though the mission statement echoes sentiments

Saturday, July 27, 2019

Unit 3 ip Introduction to American Court System Essay

Unit 3 ip Introduction to American Court System - Essay Example (Justice, 2009) First is the right to the indictment by Grand Jury granted in Fifth Amendment under which no person is held to answer for a capital or infamous crimes until they are indicted by the Grand Jury? This protection to the people with criminal offences has been given under Fifth Amendment along with other protections given. It is however, important to note that this has not been incorporated for the States and as such offenders at the State level may not be able to enjoy this protection under the Bill of Rights. It is however, critical to note that this right has been held but not fully incorporated for States as per various decisions of Supreme Court. The right to select jury from the residents of the state and district where the actual crime took place has also not been incorporated for States. Under the Vicinage Clause, it was held that this right has not been incorporated under the 14th amendment and that the criminal offenders may not be getting this protection. Protection from excessive bail/fines has also not been incorporated for States therefore criminal offenders enjoying this under the Bill of Rights may not be able to claim privileges under this protection granted in Bill of Rights. Essentially, due process can be divided into two important categories i.e. procedural as well as substantive. Substantive due process actually refers to the rights available to a citizen against the laws which may be biased or discriminatory in nature. These laws can be unfair generally or may favor one group over another group and thus may not allow correct dispensation of justice to all. It is critical to note that courts in the past have terms laws unconstitutional which were discriminating people from one another. Supreme Court, in various cases, have termed the laws which differentiate between people based upon their sexual orientation as illegal as such laws preferred one group over another. Laws on

Friday, July 26, 2019

Case Study WA 6 Essay Example | Topics and Well Written Essays - 250 words

Case Study WA 6 - Essay Example Potter can avoid potential liability from the customers and Aker by issuing a written notice to all customers in regard to the termination of Potter-Aker agency relationship. Certified customer mails could be used in this pursuit. Failure to do so could leave Potter liable for any unauthorized acts that Aker may undertake even though he has already been terminated. A principal-agent relationship exists between Pete and Al. This relationship is characterized by employer-employee aspects, where Al is the employee. The principal requires that the agent pursues the goals and objectives of the principal prior to the terms and conditions of employment (Goldman &Sigismond 410). Pete instructs Al to repossess some of Ted Turner’s property, but this activity is illegal. However, Al performs the duty as instructed. Al performs this task as part of his duties and responsibilities as an employee. Following the directives of the principal, the illegal repossession is conducted within employment scope. In this regard, the principal, Pete, is therefore fully liable for the illegal repossession of some of Ted Turner’s property. The principal confers authority upon the agent, but within the scope of

Thursday, July 25, 2019

Marketing Analysis on Vivienne Westwood Assignment

Marketing Analysis on Vivienne Westwood - Assignment Example Ansoff matrix serves as a tool to identify external and internal factors and this supports strategy formulation for future. The current strategy that has been adopted by Vivienne Westwood would be compared with proposed strategic options. A SFA framework is used to judge suitability, acceptability and feasibility of suggested strategies. Lastly it would highlight some recommendations for future growth and success of the brand. Vivienne Westwood was founded in the year 1971. The brand started its journey with a punk style fashion. Westwood launch products are considered to be premium in the market place. Customer profile for this brand is high end customers who are more aligned towards fashionable items. Vivienne Westwood is the owner of company and even is the firm’s head designer. Brand’s image is based on her personality and ideas (Temporal, 2011).The product category ranges from shoes, clothing, bags, to accessories and perfumes. This can be further categorized under four distinct labels such as Gold Label, Man, Red Label and Anglo Mania (Kapferer, 2009). Gold Label targets those women who desire to be in upper mainline in terms of fashion. Man represents a classic design and is marketed for men who want to be fashionable. Red Label highlights segment of ready to wear which is majorly for women demanding to appear elegant but has less time. Anglo Mania classifies diffusion segment that ta rgets women and men belonging to younger generation (Batey, 2012). The brand has overall six wholly owned stores and wide array of franchisees in New York, Manchester, Liverpool, Cardiff, Glasgow and Newcastle along with showrooms in Honolulu, Paris, Milan and Los Angeles. The major strength of Vivienne Westwood is its brand recognition and iconic status. It is a global fashion brand known for its product’s reliability and quality. Vivienne Westwood enhances its strength through online stores

Wednesday, July 24, 2019

Evaluation Questions Assignment Example | Topics and Well Written Essays - 750 words

Evaluation Questions - Assignment Example This is because needs assessment is based on the discrepancy between present and desired tastes. In process evaluation, an issue that could be addressed is the program theory since programs create the need for evaluation. In outcome evaluation, an issue that could be addressed is the monitoring systems. This is because processes need to be monitored since they determine the outcome (Patton, 2001). Question 3 The aim of evaluation is to determine a subject’s merit, worth as well as its significances. Evaluation does this by a set of principles. Evaluation is for helping a company to ascertain the degree of value in regards to the objective of a project (Posavac, 2010). Question 4 UMUC could also evaluate its courses by evaluating the schools physical space that encourage multiple and diverse learning and teaching programmes. It should also evaluate the institution’s technological field. It should demonstrate optimal and cost-effective building. These factors apart from t he students’ evaluation will also evaluate the importance of the centre’s courses since they also contribute to the performance of the institution (Patton, 2001). Question 5 Evaluators face tough ethical challenges. They, however, have to articulate ethics and values of public service to direct and sustain in all their professional procedures. Evaluators have to maintain and improve public confidence in the truthfulness of the public service. Evaluators are also to respect and appreciate the role played by public servants. Question 6 The strongest force that impacts the evaluation profession is the evaluator’s duty to uphold public trust. Evaluators and public servants are expected to perform their duties plus organize their private dealings so that public confidence as well as trust in the integrity, impartiality and objectivity of the government is conserved. If a disagreement arises between the private welfares and the official duties of evaluators, the confl ict will be settled in favor of the public (Posavac, 2010). Question 7 Evaluation principles that professional evaluators might address are theory based evaluation utilization focused, as well as participatory. Theory based principle is vital in tracking elements of a program plus it ensure the results are identified firmly. It also focuses on the vital aspects of the program to ensure that an agreement is reach (Patton, 2001). Question 8 Evaluation approaches are many since they all make unique and helpful contributions to solving vital problems. The actions that are also involved in evaluation are multifaceted and not well structured. Evaluation actions in training circumstances take in multiple goals connected to multiple levels. The makes the different approaches to evaluation liable since they all work together for the same purpose (Patton, 2001). Question 9 Qualitative evaluation method could be applied over quantitative method when an evaluator wants to assess the process tha t answer how well the situation being evaluated has done. Qualitative method is also applied when, and an evaluator wants to evaluate the content, relevance, as well as the quality of a program, (Patton, 2001). Question 10 Question that people could be asked in self-confidence seminar is whether they believe in themselves whether they believe in their abilities, whether they can handle criticism rejection and rejection and whether negative comments shatter their self views. These questions, judging

Adaptive Optics for Vision Science Term Paper Example | Topics and Well Written Essays - 750 words

Adaptive Optics for Vision Science - Term Paper Example Astronomers have come up with a system that improves on the optic systems; used to study space that can counter this distortion brought about by the front waves, a system known as â€Å"Adaptive Optics†. Adaptive optics refers to an astronomy technology that improves the performance of optical systems through reduction turbulence of the earth’s atmosphere distortions. Adaptive optic system purposes to correct deformations Caused by the turbulence of the earth’s atmosphere. This correction happens by using deformed mirrors that are controlled by a computer so as to compensate for the distortion by the incoming wavefront. The image obtained through this system is usually as sharp as the ones taken in space. The system allows observation of dimmer (faint) astronomical details of the corrected optical system that would possibly be observed from the ground. For the system to work effectively, it requires a bright reference star located close to the object being studie d. Astronomers do create artificial stars by shining a very strong laser beam into the upper atmosphere of the earth, in cases where an appropriate natural star is not available around the object of study (Hardy, 2010). Normally, light gets distorted as it passes through the wavefront thus preventing the formation of sharp images by a telescope placed on earth’s surface. The adaptive optic system eliminates this blurring effect of the atmosphere. The adaptive optics works by measuring atmospheric distortion in the light coming from the star or the other artificial source of light. Electronic signals are then sent to a deformable mirror that rapidly changes its shape to correct this distortion. This system has the ability to see hundreds of separate beams of light while looking at a single beam of light from a star even those that have been deviated due to atmospheric turbulence.

Tuesday, July 23, 2019

A comparative study of the use of replacement pile foundations versus Assignment

A comparative study of the use of replacement pile foundations versus displacement pile foundations - Assignment Example The intention of this study are pile foundations as the structural parts that are involved with carrying and transferring the structural loads to the ground at a depth that is below the surface of the ground. The pile foundation mainly consists of the piles and the pile caps. Piles are long members that are also slender and carry out the function of transferring the loads to deep soils which have high load bearing capacities. Piles are mainly constructed using concrete, wood and steel. They are classified according to various standards which are dependent on the type of soil, material used to construct the pile and the characteristics of the piles to transmit loads. Piles are fixed to the ground through such processes as drilling, jacking, or driving them to connect to the pile caps. In basic point of view terms, piles can be broadly classified into two groups; displacement piles or driven piles and replacement or bored piles. Displacement piles are formed prior to being fixed to the ground through whatever mechanism, be it driving, jacking, screwing or hammering to the ground. Replacement piles are formed after a hole is dug into the ground in which the pile is formed. There are various other modes of classifying piles such as the mode of the load bearing material capacity. This paper will however focus on the replacement vs. the displacement piles. A comparative study of the use of these two types of piles will be given... They are classified according to various standards which are dependent on the type of soil, material used to construct the pile and the characteristics of the piles to transmit loads. Piles are fixed to the ground through such processes as drilling, jacking, or driving them to connect to the pile caps. In basic point of view terms, piles can be broadly classified into two groups; displacement piles or driven piles and replacement or bored piles. Displacement piles are formed prior to being fixed to the ground through whatever mechanism, be it driving, jacking, screwing or hammering to the ground. Replacement piles are formed after a hole is dug into the ground in which the pile is formed. There are various other modes of classifying piles such as the mode of the load bearing material capacity. This paper will however focus on the replacement vs. the displacement piles. A comparative study of the use of these two types of piles will be given (Berezantsev, 1961). Classification of pile s Piles are classified according to various means. This part of the paper will look at the various classification methods. Piles can be classified according to the method used for load transmission and the resulting functional behavior (Whitaker, 1970). Pile classification according to load transmission method In this group of piles, there are three subdivisions; end or point bearing piles, friction or cohesion piles and a combination of both friction and cohesion piles. End bearing piles These types of piles perform load transfer to the firm stratum that is located way deep into the structural base. Most of their carrying capacity results from the resistance to penetration of the soil below them. The figure below shows a

Monday, July 22, 2019

Villagers remain upbeat despite tight cutbacks Essay Example for Free

Villagers remain upbeat despite tight cutbacks Essay Orange County – There was absolutely nothing left to do, 39 year-old Mr. Berger, an office clerk, decided to sell his latest model of LED television he just purchased the other year to a well-off friend, the economic crisis steeply increasing his weekly budget deficit. â€Å"I believe its the high spending we do everyday amid threats from financial meltdown thats taking its toll on us lately,† Mr. Berger said. It is no small irony that while unemployment rate has blown only 9. 5% of the population today against the 10% in the first quarter this year, the figure could not justify how some of the residents continue to lose their jobs. What may add insult to injury is the sharp decrease in prices of U. S. Imports from 0. 5 last month to 1. 3 today, outweighing the July 2009 1. 3% decline (Bureau of Labor Statistics). Mr. Berger is just part of the growing fraction of the figure promising to outnumber those working in a cozy office. Poking his way through a small, rough tenement just a few blocks from his house, he was looking for a viable job that could stand the present economic turmoil. The number of jobless persons for over 27 weeks remained at 6. 8 million, which covers 45. % of the total unemployed citizens all over the country while those who are working part-time involuntarily either because they could not find full-time employment or their working hours were reduced compose another 8. 6 million (Bureau of Labor Statistics). Taking advantage â€Å"I speculate some self-centered politicians are now using the economic crisis as their political tack to keep hold on power. The idea is simply that no single grou p is better equipped to release the plagues from Pandoras box and choke the very things it spawned than the most desperate gang in town. This time making itself the champion of economic crisis,† lamented Mr. Anderson. Mr. Anderson, 40, was forced to move his family to Mississippi and currently lives here on yet another mortgaged property, something he might lose again should the cutbacks realign sharply upward. It has a leaky roof, a clear sign the family is going through tough times. â€Å"I have no choice but to relocate again,† he said. History repeats itself The economy of the United States of America holds the highest rank in the world, its GDP being estimated to rich a nominal value of $14. 2 trillion last year. The US labor market has been attracting immigrants abroad and holds the largest number of migration rates streaming in. It has nested the biggest stock exchanges, thereby becoming one of the worlds most influential financial markets. But these facts did not prevent the history of the 1930s, the Great Depression, from repeating itself, this time with an equally forceful blow to different sectors. Fearing to see another Great Depression whipping the country, when the fangs of recession appeared to be a serious threat, the government sought many answers to solve economic problems. It took on a course of allowing consumers to spend more by exerting heavily itself or cutting taxes. It fostered rapid growth in the money supply, which also encouraged more spending. It can be recalled that economic woes brought on by the costs of the Vietnam conflict, major price increases, particularly for energy, created a strong fear of inflation. As a result, government put more concentration on controlling inflation than on combating recession by limiting spending and tightening credit. Economic crisis quickly creeps through different places, wherever financial stability gives its way, affecting a not so small portion of the population. The recession in the last two years might have been the worst since the Great Depression but there are no labor forecasts that have to do with the same fate employment suffered during those times. â€Å"Its a pain that we had to cut on our weekly budget and sacrifice our luxuries to prioritize our foremost needs. And were not alone on this, almost everyone in the neighborhood is feeling the effects of the crisis striking them,† Mrs. Cowell said. Mother to four, Mrs. Cowell, 41, had to stop sending Makky, her eldest, to school to give way to the others still studying in high school, an alarming scenario which led to an entirely different behavior acted by his eldest. This is just one of the fall-outs experienced by the family. Economists say the economy might start to flourish by third quarter of the year. However, quick make up of the employment rate may take place later by end of year, the setbacks having been too rough of late. Brian Fabbri, chief North American economist for BNP Paribas, said the efforts of the Obama administration to flood the economy with $800 billion and the buying up of credits along with shoring up of banks by the Federal Reserve may put an end to this. I believe the government can â€Å"I suspect Obama and some allies in Congress can prove themselves to be the powerhouse of stability in one of Americas most trying times, thus, preventing the country from sinking into the utter pits of despair. I hope he will do, having the public behind him,† Mr.  Gardner, 42, said optimistically. â€Å"I would love to see nothing else but a government eager to pluck us out of the groveling depths of global financial meltdown,† he added. Mr. Gardner recalled how he has constantly been a victim of economic failure. He and his soft-spoken wife, Kelly, lived in Ireland for more than a decade only to witness the dwindling economy which forced everybody to go out and look for a greener pasture. â€Å"We felt like nothing awaits us in there, no other choice but to leave Ireland,† he exclaimed. If only the government would take radical reforms and slash in its superfluous spending, perhaps in less than a year the economy would begin to grow again steadily. But if this would remain unmitigated for the next months, it probably may not just end up in burying this country to the pits of despair, it may also lead to bitter strife between the government and the labor force ,† Mr. Gardner foretold. Still upbeat â€Å"With the rate of pace our government is taking on, I guess we can all do pitching in behind someone fired up by the passion of saving his country by restoring economic stability,† Mrs.  Dolloy sh owed optimism. Though affected by the uneasiness associated with realigning home budgets and luxuries, Mrs. Dolloy continues to hold to what she has been hoping as a savior snail that would come someday in the form of stable economy, massive opening of full time jobs, and fairly low commodity prices. Today President Obama boasts that his country shows signs of getting back to its feet in just one year time after a major setback in the last two years.

Sunday, July 21, 2019

Trait Paradigm of Psychology for Intelligence

Trait Paradigm of Psychology for Intelligence Trait Paradigm of Psychology and How It Applies To the Measurement of Intelligence and Personality: An Explanation It has long been observed that individuals differ one from another on many psychological dimensions. This is why Cervone and Lawrence (2007) say that traits, the primary unit of personality description, are relatively enduring ways in which individuals differ. Assessment at the level of traits is variable centered and nomothetic, focusing on differences among individuals, as opposed to the person-centered and idio-graphic approach that focuses on individuals, and that typically characterises assessment at deeper and more abstract levels of personality. An area of intense interest among psychologists is the measurement of individual differences in personality. Lubinski (2004) mentions personality is commonly defined as the constellation of traits, or typical and relatively stable patterns of responding to the environment, which are unique to various individuals. An important focus of educational psychology is the assessment of these traits and other related psychological attributes su ch as interests, preferences, and attitudes (Lubinski, 2004). Personality traits describe individual differences in human beings typical ways of perceiving, thinking, feeling, and behaving that are generally consistent over time and across situations. Three major research areas are central to trait psychology. First, trait psychologists have attempted to identify sets of basic traits that adequately describe between-person variation in human personality. Second, social scientists across disciplines use personality traits to predict behavior and life outcomes. Third, trait psychologists attempt to understand the nature of behavioral consistency and the coherence of the person in relation to situational influences. Cervone and Lawrence (2007) mention that there are two prominent approaches to identifying the basic personality traits and their organizational structure (McCrae and John 1992). The lexical approach emphasizes the evaluation of personality trait adjectives in the natural language lexicon and assumes that those personality descriptors encoded in everyday language reflect important individual differences, particularly if they are found across languages. The questionnaire approach attempts to assess important traits derived from psychologically based and biologically based personality theories. Self- and peerratings on sets of lexically derived or theoretically derived traits have typically been subjected to factor analysis to develop hierarchical organizations of traits reflecting a small number of broad superordinate dimensions overarching a large number of narrow-band traits. At the superordinate level, contemporary trait structural models vary in the number of dimensions necessary to organize lower-order traits, ranging from two to sixteen. Each of these models can be assessed via self- and peer-report using reliable and well-validated questionnaires and rating forms (Cervone and Lawrence, 2007). In the most influential and widely used structural model, thirty traits are hierarchically organized into five broad bipolar dimensions, reflecting a convergence of the Big Five lexical traits and the questionnaire-based five-factor model. The Big Five/FFM dimensions are neuroticism, extraversion, openness, agreeableness, and conscientiousness. Adherents of the Big Five/FFM model assert that these dimensions can be found across languages and personality measures, providing a comprehensive and parsimonious account of individual differences in personality (Cervone and Lawrence, 2007). Contemporary research on the heritability of traits has focused on the Big Five/FFM dimensions. Behavioral genetic studies have found substantial heritability ranging from 41 percent to 61 percent for the broad dimensions, with little evidence of shared environmental effects (Cervone and Lawrence, 2007). Heritability of the narrowband traits of the FFM is more modest, ranging from 30 percent to 50 percent. It is widely believed that traits are influenced by multiple genes; molecular genetic studies, however, have not replicated results linking specific genes to personality traits. In addition to the genetic correlates of traits, promising new efforts by neuropsychologists using functional brain imaging and electroencephalogram (EEG) recordings have begun to reveal the neural basis for traits. Trait theory has been applied to industrial/organizational psychology where it has been used to predict employee satisfaction and job performance. Personality traits have also been of interest to forensic psychologists in predicting psychopathic and deviant behavior. Other areas in which traits have been successfully employed include: predicting mate selection as well as marital satisfaction, social psychology, counseling, studies of human development across the lifespan, cross-cultural studies, learning and educational outcomes, and health-related behaviors and outcomes (Cervone and Lawrence, 2007). Individuals differ from one another behaviorally in myriad ways. Differential psychology, the scientific study of these individual differences, provides an organizational structure for this vast array of psychological attributes (Lubinski, 2004). In words of Cervone and Lawrence (2007) by examining broad behavioral patterns and using systematic assessments of relatively stable personal attributes, differential psychology allows longitudinal forecasting of a variety of important life outcomes. Because much of the research in this area focuses particular attention on predicting long-term life outcomes, and because work is such a large and important feature of adult life, the relationships between many commonly investigated individual difference constructs and various aspects of work behavior. For example educational-vocational choice, acquisition of job-related knowledge, job performance, job satisfaction and tenure are well understood. Traditionally, the measurement of individual differences has relied on psychometric scales based on the aggregation of many items. Because any single item on a scale represents only a sliver of information about a personal attribute, aggregation is used to create a composite of several lightly correlated items. This approach distills the communality running through the items and constitutes highly reliable and useful information about the human characteristic under analysis (Gottfredson, 2003). Although individuals are commonly described in the more popular press in terms of types, implying that people are members of distinct categories (e.g., extraverts or introverts), individual difference variables are rarely observed as discrete classes. Rather, the majority of individuals are found near the center of a continuous distribution, with few observations at either extreme. The distributional pattern of most individual difference variables is well represented by the normal (bell-shaped) curve (Cervone and Lawrence, 2007). The major dimensions of individual differences can be classified into three overlapping clusters: cognitive abilities, preferences (interests and values), and personality (Gottfredson, 2003). The predominant scientific conceptualization of cognitive abilities involves a hierarchical organization. Various models of additional specific abilities have been proposed, but the hierarchical nature of human abilities is salient in each (Lubinski, 2000). For example, John Carroll factor analyzed more than 460 data sets collected throughout the 20th century and found a general factor (g) at the apex that explained approximately half of the common variance among a heterogeneous collection of tests, revealing a communality running through many different types of more specialized abilities and the tests designed to measure them. This general intelligence factor exhibits an extensive range of external correlates, implicating it as arguably the most scientifically significant dimension of human psychological diversity uncovered by differential psychology to date. It has repeatedly demonstrated its utility in the prediction of educationally and vocationally relevant outcomes, including the acquisition of job-related knowledge and job performance (Lubinski, 2000). For example, in a meta-analysis of 85 years of research on personnel selection methods, Frank Schmidt and John Hunter reported that g is the best single predictor of performance in job-training programs, exhibiting an average validity coefficient of .56. Schmidt and Hunter further reported that the validity of g in predicting job performance is second only to that of work sample measures. However, because the use of work samples is limited to use with incumbents and is much costlier to implement, g is usually considered more efficient. The predictive validity of g in forecasting job performance varies as a function of job complexity, with stronger relationships among more complex positions. Hunter reports validity coefficients of .58 for professional and managerial positions, .56 for highly technical jobs, .40 for semiskilled labor, and .23 for unskilled labor. For the majority of jobs (62%), those classified as medium-complexity, a validity coefficient of .51 was observed. The general factor of intelligence is supplemented by several more circumscribed, specific abilities that have demonstrated psychological importance. David Lubinski and his colleagues have shown that at least three add incremental validity to the variance-explained by g: verbal, mathematical, and spatial abilities. The importance of specific abilities may be even more apparent at higher levels of functioning (Cervone and Lawrence, 2007). In examinations of numerous job analysis data sets, for example, Linda Gottfredson found that, although the functional duties of jobs were characterized primarily by their cognitive complexity (i.e., demands on general intelligence), jobs requiring above-average intelligence were more dependent on profiles of specific abilities than were those jobs requiring average or below average general intelligence (Lillienfeld, Wood and Garb, 2000). Dpecific abilities are relevant in the prediction of job performance, but they are also important in predicting the educational and vocational niches into which individuals self-select. This self-selection occurs even at extraordinary levels of general intellectual development. In a recent 10-year longitudinal study, for example, Lubinski compared the educational-vocational tracks chosen by three groups of profoundly gifted individuals (top 1 in 10,000 for their age): a high verbal group (individuals with advanced verbal reasoning ability, relative to their mathematical ability), a high math group (individuals with advanced mathematical reasoning ability, relative to their verbal ability), and a high flat profile group (individuals with comparably high verbal and mathematical abilities). Despite having similar levels of general cognitive ability, the three groups diverged in their professional developmental choices (Lillienfeld, Wood and Garb, 2000). High math participants were frequ ently pursuing training in scientific and technological professions, whereas high verbal participants were doing so in the humanities and arts. High flat participants were intermediate. Hollands model of interests organizes six general occupational themes in a hexagon with one theme at each vertex in the hexagon. The themes are ordered according to their pattern of inter-correlations: Adjacent themes in the hexagon are more highly correlated to one another, whereas opposite themes are least correlated. This model is known as the RIASEC model, an acronym for the six themes represented in the hexagon: realistic, investigative, artistic, social, enterprising, and conventional (Cervone and Lawrence, 2007). Individuals with high realistic interests exhibit preferences for working with things and tools; those with high investigative interests enjoy scientific pursuits; high artistic interests reflect desires for aesthetic pursuits and self-expression; social interests involve preferences for contact with people and opportunities to help people; individuals high in enterprising interests enjoy buying, marketing, and selling; and those with conventional interests are comfor table with office practices and well-structured tasks. Individuals relative normative strengths on each of the RIASECs general occupational themes are commonly assessed using the Strong Interest Inventory (Carroll, 1993). Although the generalizability of the RIASEC model has emerged repeatedly in large samples, Dale Prediger has suggested that the model can be reduced to two relatively independent bipolar dimensions: people versus things, and data versus ideas. People versus things may be superimposed on the social and realistic themes, respectively (Carroll, 1993). Running to the first dimension, the second dimension, data versus ideas, locates data between the enterprising and conventional themes and ideas between the artistic and investigative themes. The people versus things dimension represents one of the largest sex differences on a trait uncovered in psychology (a full standard deviation, with women scoring higher on the desire to work with people, and men, with things), revealing important implications for the occupations that men and women choose. Values constitute another category of personal preferences germane to learning and work, which have demonstrated their utility in the prediction of both educational and occupational criteria. Values are validly assessed by the Study of Values, which reports the intra-individual prominence of six personal values: theoretical, economic, political, social, aesthetic, and religious. These dimensions provided an additional 13% of explained variance above the 10% offered by math and verbal abilities in the prediction of undergraduate majors in gifted youth assessed over a 10-year interval; moreover, this finding has recently been generalized to occupational criteria, measured in commensurate terms, over a 20-year interval. However, although preferences do seem to play an important role in predicting occupational group membership and tenure, once individuals self-select into occupational fields, the utility of preferences for predicting job performance in those fields is limited (Carroll, 1 993). Empirical examinations of personality use trait models to understand a persons typical interpersonal style and behavioral characteristics. These models have historically relied on a lexical approach that assumes that important dimensions of human personality are encoded in human language. This method has been fruitful: Lewis Goldberg, among others (Ackerman, 1996), has factor analyzed the lexicons of many languages and found a five-factor model of personality with remarkable similarities across cultures (see also investigations by Robert McCrae and Paul Costa). Although the labels for each of the factors have varied, similar underlying constructs consistently emerge: extraversion, agreeableness, conscientiousness, neuroticism, and openness to experience. Extraversion is characterized by terms such as talkative, sociable, or not reserved; agreeableness by good-natured, cooperative, or not cold; conscientiousness by responsible, thorough, or not disorganized; neuroticism (sometimes referred to as emotional stability, reversed) by anxious, emotional, or not calm; and openness to experience (sometimes referred to as culture or intellect) by imaginative, reflective, or not narrow. The normative standing of individuals on each of the dimensions of the five-factor model of personality is commonly assessed using the NEO Personality Inventory, although an analogous instrument, the IPIP-NEO (IPIP is International Personality Item Pool), is available in the public domain at http:/ / ipip.ori.org/ Collectively (and sometimes individually), these broad dimensions of personality are valid predictors of occupational training and subsequent performance. For example, across multiple occupational categories, conscientiousness alone exhibits validity coefficients in the low .20s for predicting training and job proficiency. This particular combination of personality factors, conscientiousness and emotional stability, is found in tests of integrity commonly used in personnel selection (Spies Plake, 2005). From an individuals perspective, an appreciation of ones cognitive abilities, preferences, and personality provide invaluable insight for directing ones career development in personally rewarding ways. From an organizational perspective, one may use this information—available through measures of individual differences—to estimate the likelihood of desirable work behavior (e.g., citizenship, job performance, satisfaction, and tenure). References Ackerman, P. L., 1996, A Theory Of Adult Intellectual Development: Process, Personality, Interests, And Knowledge. Intelligence vol. 22 pp. 227-257 (1996). Aiken, L. R. (2000), Psychological Testing And Assessment (10th ed.). Boston: Allyn Bacon. Carroll, J. B. (1993), Human Cognitive Abilities: A Survey Of Factor-Analytic Studies. Cambridge, UK: Cambridge University Press. Cervone, Lawrence A. Pervin, 2007, Personality: Theory and Research, Wiley; 10th edition (February 26, 2007), pp. 45-67. Gottfredson, L. S., 2003, The Challenge And Promise Of Cognitive Career Assessment. Journal of Career Assessment vol. 11 pp. 115-135 (2003). Lubinski, D., 2000, Scientific And Social Significance Of Assessing Individual Differences: â€Å"Sinking Shafts At A Few Critical Points.† Annual Review of Psychology vol. 51 pp. 405-444 (2000). Lubinski, D., 2004, Introduction To The Special Section On Cognitive Abilities: 100 Years After Spearmans (1904) â€Å"‘General intelligence, objectively determined and measured.† Journal of Personality and Social Psychology vol. 86 pp. 96-111 (2004). Lillienfeld, S. O., Wood, J. M. , and Garb, H. N., 2000, The Scientific Status Of Projective Techniques. Psychological Science in the Public Interest vol. 1 (2000). pp. 27-66 Spies, R. A. , ed. , Plake, B. S. (Eds.). (2005), The Sixteenth Mental Measurements Yearbook. Lincoln, NE: Buros Institute of Mental Measurements. Candidate Number 33156762 Rapid (complex) decision making based on facial appearance Making first impressions, evaluating a person from the moment we first see them, happens spontaneously and seemingly without any cognitive effort. We do it naturally when we see and meet new people, in order to have an idea of who they are beforehand instead of unknowingly acting in a way they might find inappropriate. It appears that humans are excellent in judging personality traits and such things as complex social characteristics like dominance, hierarchy, warmth, and especially threat. For instance, think about this example. Youre walking down a dark street, late at night trying to get home, and you see someone coming towards you. As you pass the person, you see a tall and bulky figure wearing a black hood that puts a shadow on a roughed up looking man. Before you can make a conscious thought, your legs have already moved as far away from him as possible, purely out of instinct, even thought a second later you realize its your neighbor and you shakily smile at them and keep walking. The first impression that had subconsciously and immediately formed in the mind had already controlled the bodys reaction to what it perceived to be a threat (a scary looking man). Yet, it also shows how incorrect first impressions can be, and that can have a huge effect on peoples lives. Since its such a big part of everyday life, psychologists have looked deeply into the workings of first impressions. Social perception is the field of study which looks into how we form impressions and make inferences about other people. It is a very complex process, especially forming impressions of objects, animals and most importantly people. We form first impressions of others very quickly and usually based on little information. We give special attention to salient features, focusing first on the face, then physical features while moving on to appearance and clothes. Then the process continues to categorizing the first impression of a person into a member of a group, starting broadly, from age and gender, and narrowing down to explicit features. It is followed by our own previous knowledge that comes into effect of our impression as well as previous behavior that has been gathered about that impression, as then our own needs and goals influence how we perceive others. And that information is needed, as people can be unpredictable. In the past the information was needed in order to distinguish trustworthy people from those who mean us harm, when now its socially needed to interact suitably with people. In order to understand first impressions, the biology behind it must be understood. From an evolutionary point of view, first impressions have adaptive advantages, such as picking the appropriate mate. The first impression we perceive of someone is essential for us to understand how physically attractive, reliable, and strong they are, as we make that decision based on physical appearance rather than the personality of the person, as we would like the offspring to be good looking, healthy, meaning characteristics that are advantageous to the perceivers reproductive needs, and we must act fast before the window of opportunity closes. Also if someone means us harm, or is ill, there is the possibility of us being harmed or falling ill ourselves, again we must act fast to avoid this. Usually the first impressions are most accurate, but there is always human error, as sometimes what we perceive to be trustworthy, isnt. What the evolutionary point of view argues is that its possible that o ur ability to form first impressions isnt due to practice, but instinct. We seem to effortlessly form first impressions and even better with practice and experience. There are reasons to suggest that people may have an adaptive predisposition to form rapid first impressions when meeting someone. When people look at other peoples features its important to act fast, because for an instance, if someone is untrustworthy then they may look like they may harm, cheat or insult us and we should register the fact as quick as possible in order to act appropriately. If not, then the consequences may be being killed, hurt or cheated. Its better to be prepared to fight off harm rather than mull over the intent of the other person. There have been several studies that have looked at trustworthiness and first impression. These are not just the source of benefits, but there are also the sources of threats, for instance when forming the first impression, it must be fast as there is competition, and sometimes the competition could mean us harm. Even good meaning individual s may pose a threat to our health or reproductive fitness. Schiller et al 2009, investigated the brain mechanisms that rise when first impressions are rapidly formed when meeting a stranger (Schiller et al 2009). There were nineteen right-handed participants, who were told that they would see information about different people and were asked to give their impressions of them. In their neuro-imaging analysis, where they examined which regions showed the difference in evaluation effect out of regions that were broadly engaged in the impression-formation task, the only regions showing significantly greater bold responses to evaluation-relevant sentences were the amygdala the PCC and the thalamus. There were no regions showing the opposite effect. The first study suggesting that the amygdala, a part of the brain that research has shown to perform a role in the processing and memory of emotional reactions has an important role in trustworthiness judgments, was conducted by Adolphs, Tranel, Damasio, 1998. They showed that patients with bilateral amygdala damage perceived untrustworthy-looking faces as trustworthy, and couldnt discriminate between trustworthy and untrustworthy faces (Adolphs, Tranel, and Damasio, 1998). Several years later, Engell, Haxby Todorov, 2007, looked into the fact of whether a stranger is trustworthy, as one of the most important decisions in social environments and relations, something we consider when acquainting with new people (Engell, Haxby Todorov, 2007). There is considerable data about the significance of trait impressions from faces, yet there is little research about the neural mechanisms causing these impressions. There were one hundred and twenty-nine undergraduate students participating i n the study, where functional magnetic resonance imaging was used to show that the amygdala is involved in hidden evaluations of trustworthiness of faces, consistent with previous findings. They reported that the amygdala response increased as perceived trustworthiness decreased in a task that did not demand person evaluation. Engell, Haxby Todorov also tested whether the increased amygdala response was due to an individuals own personal perception or to face characteristics that are perceived as untrustworthy throughout individuals. The amygdala response was better predicted by agreed ratings of trustworthiness than by an individuals own judgments. Individual judgments accounted for little outstanding variance in the amygdala after controlling for the shared variance with agreed ratings. The findings of this study suggested that the amygdala categorizes faces automatically according to face characteristics that are seen to show trustworthiness. More recently, Todorov Duchaine, 2008, looked at developmental prosopagnosics who had severe impairments in their memory for faces and perception of facial identity who showed they could make normal trustworthiness judgments of novel faces (Todorov Duchaine, 2008). Their control group consisted of forty-eight undergraduate students, mostly male with the mean age of twenty, which were younger compared to the four developmental prosopagnosics used in the experiment, where they were presented with face sets with the question â€Å"How trustworthy is this person?† and asked to respond on the scale below the photograph. What they found was that there were no significant differences between male and female control participants on both their agreement in the ratings of the faces and their mean trustworthiness judgments. They also tested the four prosopagnosics on three different face sets: set one consisted of faces that contrasted on multiple proportions and which were also used t o demonstrate injuries in trustworthiness judgments of patients with bilateral amygdala damage. The other two sets consisted of normal faces with a direct look, with neutral expression and similar age. Todorov Duchaine found that on all the tests, two of the prosopagnosics made judgments that agreed with the controls judgments while the other two showed weak. The implications of this experiment suggest that there is a correlation that the tests mapped the same underlying judgment irrespective of the specific face stimuli. The normal performance of two of the prosopagnosics suggested that forming person impressions from faces involves mechanisms functionally independent of mechanisms for encoding the identity of faces. A later study by Oosterhof Todorov, 2009, proposed that changes in trustworthiness match to the subtle changes in expressions, which show whether the person displaying the emotion should be avoided or approached (Oosterhof Todorov, 2009). Oosterhof and Todorov used a dynamic paradigm where faces expressed either happiness or anger. There were sixty undergraduate students participating in the experiment, with twenty-one participating in the selection of trustworthy and untrustworthy faces, and thirty-nine participated in the dynamic stimuli study. They manipulated changes in face trustworthiness at the same time as with the change in the face expression, for instance changes from high to low trustworthiness increased the intensity of participants perceived anger but decreased the intensity of participants perceived happiness. What they found was that trustworthy faces who expressed happiness were seen as happier than untrustworthy faces, and untrustworthy faces who expressed anger w ere seen as angrier than trustworthy faces, which makes sense as the more angry and unapproachable someone looks, the more likely we are to avoid them for our own safety as they would look intimidating to us. When we first make an interaction with someone, our facial recognition of them is essential for the social interaction. Its not a conscious thought per se, when the decision of how trustworthy someone is, but it happens, and we decide whether the person weve just met is someone we can relate to, then maybe consider a friend, and later depend on them with everything that we care about. Its not a light matter, our lives are who and what we are, and unfortunately as it is we cannot rely sorely on ourselves, and we need other people, may it be for help, comfort or just a chat. And of course, the people we look for are those who wont turn their backs on us when we need them and will be there to support us. Its a simple survival skill, trust those who wont hurt us and we can live normally. When people are emotionally animated it is much easier to perceive the expressions they convey, particularly threatening and fearful ones very swiftly, which helps us respond to danger quickly. But how fast are first impressions exactly? Several researches have looked into how fast first impressions are made. In 2006, Bar et al looked into the fact that first impressions of peoples personalities are often formed by using the visual appearance of their faces (Bar, Neta, Linz, 2006). They reported four experiments; with the first measuring the speed of how first impressions of intelligence and threatening personality are made. They used sixty adults, mostly women, where the participants in the experiment were shown one face at a time and were asked to rate, on a scale ranging from 1 to 5, the level that they perceived each face to belong first to threatening person, and later followed with an intelligent person at the second part of the experiment. What Bat et al did was present the faces for different time lengths to different groups of participants, the first group was presented the faces for a short time and the other group was presented with faces for a longer time and then the correlation between the judgments of each group was measured, they identified how quickly participants judged a face as having a certain personality. The results demonstrate that consistent first impressions can be formed very quickly, based on whatever information is available within the first 39 ms. First impressions were less consistent under these conditions when the judgments were about intelligence, suggesting that survival-related traits are judged more quickly. The study showed that when faces are particularly emotionally expressive, people can detect these expressions that are being conveyed, such as threatening and fearful expressions, very quickly and mostly subconsciously. While Bar, Neta, Linz, 2006, looked at neutral expressions in their study, Blair, Morris, Frith, Perrett, Dolan, 1999, looked at emotions portrayed by the face. Blair et al, 1999, used functional neuroimaging to test two hypotheses: one, whether the amygdala has a neural response to sad and angry facial expressions and two, whether the orbito-frontal cortex has a specific neural response to angry facial expressions (Blair, Morris, Frith, Perrett, Dolan, 1999). There were thirteen male participants, all with the mean age of 25 who were PET scanned, while performing a sex discrimination task that consisted of grey-scale images of faces that expressed different degrees of sadness and anger. They found that increasing force of sad facial expressions was associated with enhanced activity in the left amygdala and right temporal pole. The results also indicated

Saturday, July 20, 2019

Real Estate Bubble and Financial Crisis

Real Estate Bubble and Financial Crisis Introduction The most significant economic event in 1990s was the Financial Crisis in East Asian, which also affected the world economy in the next few decades. People probably question the specificity of the East Asian Crisis. Radelet and Sachs (1998.p.1) gave a response to this question: The East Asian financial crisis is remarkable in several ways. The crisis has hit the most rapidly growing economies in the world. It has prompted the largest financial bailouts in history. It is the sharpest financial crisis to hit the developing world since the 1982 debt crisis. It is the least anticipated financial crisis in years. In my view, Asian financial crisis is triggered by real estate bubbles. This paper is organized around the topic the collapse of real estate bubble causes Financial Crisis as below. Section 1 introduces what is real estate bubble; what are the factors inducing the occurrence of a real estate bubble; and by what measurements to identify this phenomenon. Then, Section 2 discusses the effects of real estate bubble in Financial Crisis reflect in different approaches: theoretical economic approach statistical data and historical facts. In conclusion, besides summarize the main idea of the overall contents, the exposure of the limitation of the theoretical economic approach will be mentioned. Real estate bubble The real estate bubble, also known as property or housing bubble is considered as an economic bubble, which is also a cyclical phenomenon occurs in the local or worldwide real estate market. Its prime feature is that the valuation of housing is growing swiftly, however, once the peoples financial situation and economic indicators unable to sustain such upward trend of price that follows the collapse of housing pricing. That implies a negative equity in investment for the proprietors. (Investor Dictionary. Com) There are several factors that induce the burst of the real estate bubble in Asia from 1997 to 1998. The following focuses on several main reasons: An excessive support of bank lending The developers are unable to cope with the investment of the real estate based on their own capital due to the function of this industry-capital-intensive. Thus, bank lending becomes a major source of funds. Before the mid-90s, the Asian real estate is fairly booming. However, because of the lack of a formal system of banking supervision, banks competed for developers by lowering interest rate. (Koh, Mariano, Pavlov, Phang, Tan and Wachter, 2004) Governments improper macro-guidance and control Government intervention influences the real estate bubble in two perspectives: On the one hand, the land market and economic system is not mature or perfect enough. On the other hand, it is the limitation of the land resources and the market mechanism. Therefore, inappropriate regulation contributes to the growing of the real estate bubble. (An International Comparison of the Real Estate Bubble, 2009) Some other reasons For example, the relaxed financial environment; excess international capital flows (An International Comparison of the Real Estate Bubble, 2009); excessive amount of house ownership; speculate in purchasing; and bad lending practice ( Merriam, 2009) When economists acknowledge the reasons of bubble burst, they strive to distinguish the breading real estate bubble by the measurements of financial ratios and economic indicators. That aims to prevent the bubble burst. Housing affordability index Monthly housing affordability index (HAI) is a method to identify whether housing is becoming more or less affordable for the typical household. The HAI incorporated changes in key variables affecting affordability: housing prices, interest rates, and income. The formula is: HAI= (Median Family Income/Qualifying Income)*100% HAI ratio denotes the level of affordability. When HAI ratio is high, more people are able to buy a house. (Dr. Econ, 2003) This index facilitates banks to adjust fiscal policy. Assumed that the HAI is high, banks probably adopt liberal policies to extend loans, such as decrease the lending rates. Price to earnings ratio The real estate price to earnings ratio (P/E ratio) is the basic measurement to evaluate the comparatively assessment of the equities. This ratio is determined by three factors: The price of purchasing a house; the price of renting a house; and the spending on renting a house. The formula is: Real Estate P/E Ratio: House price/ (RentExpenses) This ratio provides an intuitive analysis that how purchasing houses restricts other family expenses. (The Real Estate Bubble in the 2000s-Housing Market Indicators, n.d.) Give an example of Washington DC House P/E ratio, which provides an integrated thinking about how purchase interacts with rent. The graph below states a rapidly grow in the ratios, which implies that the speed of raising purchasing price is extremely faster than that of renting price. It seems that such increasing trend will lead to real estate bubble, if none approaches is using to control it. (Eric, 2006) Some other financial ratios or economic indicators: Such as real estate price to rent ratio; gross rental yield; ownership ratio; housing debt to income ratio; housing debt to equity ratio; or deposit to income ratio. (The Real Estate Bubble in the 2000s-Housing Market Indicators, n.d.) Real estate bubble cause Asian Financial Crisis The growing booming economy of Southeast Asia is known as the the tiger economies between the late 90s and early 20s. Counties in Southeast Asia such as Thailand, Malaysia, Singapore, Indonesia, South Korea and Hong Kong (China) were regarded as the states with the most remarkable economic growth worldwide. According to the Gross Domestic Product, it seems that economies of these states increased by 6% to 9% annually. However, good times do not last long, from June 1997 to January 1998, the burst of financial crisis this Asian miracle was dashed to the ground. In the end of 1997, collapses of the stock and currency markets in these state occurred frequently, then, at the beginning of 1998, the stock market lost more than 70% of their profits. (Hill, n.d.) In the economy system, real estate, compare with other sectors, it is the most highly leverage sector that cause a financial crisis of the utmost probability. The increasingly compound of issues or difficulties lead to the real estate deviates from the normal development. That not only generates a breeding ground of the real estate bubble, but also potential risks for financial crisis. Because of the rapidly decrease of real estate price, there was a disastrous loss of bank lending in some Asian countries, which also affects the current monetary assets. (Lanka Rating Agency Limited, n.d.) There is a theoretical economic approach (Koh, Mariano, Pavlov, Phang, Tan, and Wachter, 2006) that analysis the correlation between the return of real estate and the fluctuation in the spreading of bank loans. If the numerical value of the correlation is below zero, which indicates a phenomenon of under pricing, which prick up the exacerbation of financial crisis. This assumption could be explained though a formula, that calculates the housing price for trade: P=V () M (, s ()) +B Here are the meanings that each symbol denotes: V denotes the basic valuation of a house; M denotes the valuation of bank lending for having a mortgage on a house and the par valuation of bank lending for having a mortgage on a house with certain deposit rate; denotes the intending fluctuating level of a house; s denotes spreading of the bank loan according to certain deposit rate. Assumed that set an accurate price for mortgage, a houses marketable valuation is equivalent to par valuation, in addition, price for trade is equivalent to the basic valuation of a house. Suppose that is an independent variable, while s is a dependent variable, thus: 0 = 0 is equivalent to zero, as the spreading of the bank loan modulates according to recoup the bank for the transformations in the value as a result of the put option is included in the mortgage lending. When is equivalent to zero, it means the transformations in the growing fluctuating level of a house ( is completely spread round. However, when is below zero, it means the intending fluctuating level of a house ( has an impact on the covariance of the house return with the market. When the house price changes in response to the spreading: = 0 ; = 0 ; 0 Thus, if the growing fluctuating level of a house ( is completely spread round, then the correlation between the house price for trade and the spreading of bank loan is equivalent to zero. Furthermore, if this correlation influences the covariance between the house and the whole market is influences, it on the verge of zero. From another point of view, assumed that the spreading of the bank loan transforms according to under price rather than the intending fluctuating level of a house (, the house price changes in response to the spreading is completely distinctive: = 0; = 0; and 0 Therefore, correlation between the house price for trade and the spreading of bank loan is below zero, as following equations: = ) ) 0 These two distinctive house prices which are influenced by default spreading generate an appropriate effect of under price: Under pricing of the default risk in non-recourse lending produces a negative correlation between asset returns and changes in the default spread. Correctly pricing the default risk in non-recourse lending produces no correlation between asset returns and changes in the default spread. Countries that experience under pricing, experience larger market crashes following negative demand shocks. On the base of this theoretical economic approach, we could analyze the practical cases, in 1997 Asian Financial crisis, to support the idea that the collapse of real estate bubble causes Financial Crisis The financial crisis was began from Thailand and then extended over the whole Asian even the whole world. During that period, the characteristic of its economy is overheating with a deficit of 8% in 1997. The valuation of housing increased swiftly and collapsed swiftly. The main element that generated difficulties for financial institutions was the loans to real estate. (Hunter, Kaufman, and Krueger, 1999) According to the data from the Investment Property Databank , (Koh, Mariano, Pavlov, Phang, Tan, and Wachter, 2006) the figure below is obtained. Based on the theoretical economic approach, the numerical value of correlation below zero will lead to a result of under pricing. Such under price may cause a great amount loss of funds, which will finally deteriorate into a financial crisis. From the above figure, Thailand is the typical example that explains the real estate bubble causes financial crisis. At the beginning of the 1990s, a massive amount of foreign funds continued to flow in the Asia market until the 1997 Asian Financial Crisis started. During that period, the lower deposit interest rate in the country encouraged people to seek investment channels with higher return. Meanwhile, foreign funds benefited the growing of the real estate industry. Additionally, because bank expanded the total amount of lending though decreasing the lending rate, under pricing became uncontrollable. (Koh, Mariano, Pavlov, Phang, Tan, and Wachter, 2006) In the In 1996, Thailand loaned to the real estate sector US $160 billion, which accounted for 30% to 40% of the total lending. (Mera and Renaud, 2000) The figure below illustrates the amount of funds finance companies lend to industries related to the real estate and manufacturing from 1987 to 1996 in Thailand. It is obviously that the loans to real estate sector rapidly grew between 1989 and 1990, after that the percentage of real estate loan to the total loan maintained at a relative high level, which was between 20% and 30%. (Source: Bank of Thailand) Another support case is Malaysia. Between 1992 and 1996, over 70% of the bank lending was invested in real estate sector and stock market. (Mera and Renaud, 2000) The massive amount of funds injected into the real estate industries lead to a rapidly increase in GDP in that period. It is the fact that GDP increased by 40%, 62% 115% and 70% in Malaysia, Indonesia, Philippines and Thailand respectively, that was much greater than that in Germany (19%), United Kingdom(16%) and United States (21.5%). However, this accelerated the formation of the Asian real estate bubble. (Koh, Mariano, Pavlov, Phang, Tan, and Wachter, 2006) It shown in the below figure that Malaysia, Philippine, and Singapore also generated an negative correlation before the occurrence of financial crisis Conclusion To summarize this paper, at the beginning a briefly introduction of the real state bubble is given. In this part it includes the definition, the reasons for breeding real state bubble, for example banks compete by lower lending interest rates to excessive support the real estate industry, and governments improper macro-guidance and control. Follow that are the measurements of financial ratios and economic indicators, such as housing affordability index and price to earnings ratio, which benefit to identify the signal of bubble burst. The most important part in the paper is to analyze the relationship between the real estate bubble and the financial crisis to produce a result that the real estate bubble is a factor that triggers the start of the Asian financial crisis. A theoretical economic approach is given with some statistical data, figure and real facts of Asian financial crisis. However, there some limitations in this theoretical economic approach, that do not agree with the reality. In the above figure, Hongkong and Japan generate positive correlation, according to theory this do not according with under pricing lead to financial crisis. The fact is that Japan is a typical example to illustrate that governmental action has negative impacts on the real estate industries. The Nikkei 225 index increased rapidly from 10000 to 38916 (peak value) between 1985 and 1989. Facing this, the manager of the Bank of Japan focused on dealing with the inflation rather than shrinking monetary policy, which reflected a decrease trend in housing price. The real estate bubble burst. (Frankel and Tschoegl, 1993) This is one of the limitations of the economic approach, which need further improve.

Reference to a Proposed Production of a play All My Sons :: All My Sons Plays Drama Theatre Essays

Reference to a Proposed Production of a play All My Sons Dear Mr Smith, I am writing to you with reference to your proposed production of my play 'All My Sons'. I, like most authors, have standards and expectations for productions of my writing, which is why I have decided to write to you and inform you of some criteria that might help you in the production of 'All My Sons'. In the 1920's after the First World War, many countries were bankrupt because of the amount of money they had invested into the war. The USA came to their rescue by loaning them vast amounts of money to pay off debts. In 1929, share prices fell and so the USA called back for the loans that they had lent but the countries were still in debt. Many Americans tried to take their money out of the banks but the banks hadn't any money to give to customers. This contributed to the Great Depression, which made a massive increase in unemployment. One of the people who became unemployed was my father, a coat manufacturer. This was the initial inspiration of writing 'All My Sons'. Another reason that inspired me to write 'All My Sons', was the way that events during the Second World War were making Americans live and treat each other differently. I experienced the wave of patriotism and I also saw how fellow Americans were exploiting the war and making profit from other's suffering. By writing this play, I felt that citizens of the world would finally be able to see an image of the real American Middle Class character, reflecting their self-interest. In 'All My Sons', Keller talks about "little men" when describing Steve Deever. This is ironic because Keller himself is a little man. "Little men" are people that always compete with each other so that they would be better than the next person, they don't really think about what they are doing as long as they are successful. When something bad happens, the "little men" don't have the courage to own up to the big men. "Little men" are a problem in today's society, as they don't care to have responsibility over their actions even when the problems could be sorted out simply (Keller could have told Steve not to give the parts to the army and then death wouldn't be the result. The audience can now see Keller in two different ways. To some people Keller may seem selfish and irresponsible and too others Keller may be loving and hard working. Keller's two sides are all at the expense of other people and cause their suffering such as Steve and the airman.

Friday, July 19, 2019

Young Goodman Brown: Immature Innocence vs. Mature Guilt :: essays research papers fc

Young Goodman Brown: Immature Innocence vs. Mature Guilt   Ã‚  Ã‚  Ã‚  Ã‚  In Nathaniel Hawthorne’s short story â€Å"Young Goodman Brown,† Hawthorne expresses his true feelings about the negative beliefs of the puritan religion through usage of expressive styles and themes, various characters, and objects within the story. Because the puritan religion was in affect during a very complicated and chaotic time known as the Salem Witch Trials many people, including Young Goodman Brown, would be shocked to discover that the pure puritan society they knew was in fact contaminated with evil.   Ã‚  Ã‚  Ã‚  Ã‚  Hawthorne uses the main character, Young Goodman Brown, to lucidly convey the story’s main theme of corrupted innocence. When one carefully analyzes Young Goodman Brown’s character the main concept that comes to mind is that the character appears to be an implied part of his religion-pure. The reader should keep in mind that purity is often associated with innocence. The sense of purity within the character of Young Goodman Brown will later appear to be awkward. In the beginning of the story when he meets the Devil in the forest the narrator states that the Devil â€Å"was about fifty years old, apparently in the same rank of life as Goodman Brown, and bearing a considerable resemblance to him, (Hawthorne, 337).† Through this statement the reader now knows that Young Goodman Brown is not young as his name implies, he is actually a very old man who is just now reaching the stage in life where one realizes that the world is not surfeited with just purity alone, it also contains evil. When the reader first begins the story it is automatically assumed that his title Young Goodman Brown means that he is literally young, which further implies innocence, immaturity, and naive ness. During the Puritan times the title Goodman was equivalent to the present day title of mister. Hawthorne presents a character that has the assumed name of a child, Young Goodman Brown, and the demeanor and thought process of a child; however, the reader is to discover later that he is an adult with the mindset of a child. When the reader discovers that the character is not a child, the fact that Brown was taking a journey into what he believed was initiation to manhood during the beginning of the story now makes the situation very awkward. Young Goodman Brown maintains the mindset of a child; he is naà ¯ve to the fact that the world and people are not pure in and innocent even though they take part in the pure puritan religion.