Saturday, August 31, 2019

Becoming Influential Essay

The public view of nurses as subordinates to physicians, simply â€Å"trained† to follow doctors’ orders, an overall lack of understandingas to the level of education and the kind of work nurses actually do (Sullivan, 2004) has lent to this perception. Sullivan (2004) writes about telling nursing’s story as an avenue to turn opinions around; empower nurses at an individual level, and ultimately raise the bar to a degree where nursing as a whole takes a stance to being viewed and treated as experts in the health care arena alongside other disciplines. Nurses outnumber all other health care providers (Kelly & Crawford, 2008, p. ) in both acute care and community care settings; are the most diverse clinicians having knowledge and experience that intertwines with all other health professionals, the public and now the business world. Nurses collectively have a deeper understanding of the everyday goings-on within all areas of healthcare. The challenge is to convince t hose who do not recognize this attribute to tap into an invaluable resource. The message I have chosen to include in this paper will attempt to encourage and support the utilization of nurses in the area of clinical informatics, as this is an up-and-coming opportunity to recruit the experts. Deciding on My Message I have always had an interest in computers long before I went into nursing. As a new graduate nurse in the early 1990’s I went straight to San Antonio, Texas where at one of the hospitals I worked implemented a cutting-edge clinical documentation application in the intensive care units. I quickly became a champion user as I was quite comfortable with the whole concept. That, blended with my diverse clinical experience in nursing to include using many other applications in various areas set the stage for my area of expertise; clinical informatics. As a practitioner, I felt unfulfilled at the bedside, frustrated with the lack of positive recognition toward the profession, regardless of the root cause. Being able to move away from direct patient care to a role that required a strong clinical background, informatics became my passion. My concern has intensified over the lack of clinicians called upon to do what nurses do best: clinical workflow analysis, agents of clinical change management and clinical adoption, and most important ensuring the application is robust enough for that program, clinic or unit based on expertise in that area. The further I observe resistance to change and poor adoption by nursing the more incensed I become with the lack of expert utilization. The motives for the resistance are significant: the omission of the nursing process, the inability to enter orders (physician and nursing), track medication and document medication administration is to list a few. These gaps could have been identified and possibly avoided had nurses been involved in the initial requirements gathering. Nurses understand process and know what questions to ask, as opposed to non-clinical analysts, who could not know what they do not know; who better to understand specific practice methodology and process than those who live it? Furthermore, physicians are viewed as the key holders to patient care while nursing and other allied health groups are seen as simply assisting the physician, not as part of an integrated multidisciplinary team. Nurses understand and embrace this model far more than other disciplines and are the best choice in this domain. Deciding on How to Share My Message The conduit for my message is through networking with individuals I have met and worked with over the years with influence and power; those at the executive level in the health region, university and college leaders, business leaders and clients, in person, via letters, and public speaking. Another channel I will utilize is the Canadian Nursing Association Journal with a letter to the editor or submission of an article to be published within the magazine. The target audience at this time is business and other health care professionals as the need to have nurses recognized as assets to the fast moving execution of electronic systems in health care, soon to replace paper, is urgent. If more nurses are not involved in this process as expert consultants, there is a high risk of failure and inevitably patient safety. I will not directly target the public but indirectly as I believe once health care and business professionals view nurses as experts in our profession overall, then their perceptions and opinions will reach the public. The obstacle will be persuading those with little health care understanding just how nursing can be affective. Business leaders are all about deliverables, making sure they are provided. How the product is packaged is not of great concern; patient safety is not a term truly understood by non-clinical analysts and project managers. Within eHealth in general, the organizational structure from top down holds minimal if any clinical knowledge beyond the high level business of healthcare. The best way to convey the message in this arena is by example of competency and the successes when nurses are part of the team. Unfortunately, failed deliverables due to lack of clinical analysis and input is the other method of getting the message across in this instance. However, that would require a clear understanding of why the project failed, which has slowly been coming to light within the eHealth community. Therefore, the target for this message would be the CIO and the medical officer of eHealth, however, the argument must be well supported to ensure being heard. As Kelly & Crawford (2008) discuss, the lack of awareness noted by the reluctance of nurses to be identified as experts creates an obstacle. Opportunities to speak at various forums that involve nursing directly or indirectly is the best way to share the message with nurses. I was recently asked to speak to an audience from the informatics graduate program at a university in order to encourage and promote more nurses into the program. As one individual stated, â€Å"we recognize the unique expertise nurses bring to informatics and have identified the gap in this program. † My Message In preparation for this assignment I learned that there are others in the profession that have identified similar trepidations around the lack of positive recognition toward nursing, however, a solid foundation to build on has been laid. As discussed in Sullivan (2004) nurses rarely take the opportunity to promote the profession through the media, citing shortage of time, or fear of repercussions as a motive to decline. In order to be valued in positive locus those in the profession must promote their own successes without fear of appearing egocentric or as a braggart; taking pride in undertakings that might seem unremarkable but are more than that. While other professionals present their individual accomplishments regularly, gracefully accepting the prestige and standing that comes with their show,nurses must embrace this characteristic in order to continue paving the road to professional recognition. I am inspired to carry on promoting nursing as I have- by example, through networking.

Friday, August 30, 2019

Macbeth Appearance vs Reality

Appearance vs. Reality The role of deception and the motif of appearance and reality had a large role in Shakespeare’s play, Macbeth. The motif of appearance and reality is first introduced by Shakespeare early on in the play when Macbeth must cover up for the murder of Duncan. This motif of appearance versus reality, or deception, appears again when Macbeth fools the murderers that killed Banquo. Macbeth tricks the murderer’s into believing it was Banquo’s fault that they led such miserable lives when in reality Banquo had nothing to do with them.Finally, the reader sees this motif of appearance versus reality appear one last time towards the end of the play when Macbeth believes he is invincible and ends up ignoring one of the witches’ prophecies which ultimately leads to his demise. Throughout Shakespeare’s play, Macbeth has the knack to make others believe in him although he is ultimately lying to them. This can be first seen during the murder o f King Duncan and his two servants when Macbeth must disguise the fact that he had committed the crime.Macbeth initially feared committing a crime such as killing Duncan because he had no reason to do it and feared the consequences. Lady Macbeth, however, sensing the weakness in her husband’s heart gives Macbeth a piece of advice; â€Å"False face must hide what the false heart doth know. † (I. VII. 92). Lady Macbeth tells her husband to deceive everyone into believing that neither he nor his wife had anything to do with the murder of Duncan or his servants. After the crime has been committed, both Lennox and Macduff knock on Macbeth’s door.At this point Macbeth is feeling extremely guilty. However, Lady Macbeth diverts all attention away from Macbeth by fainting. â€Å"Help me hence, ho! † (II. III. 129) During this brief time span Macbeth manages to collect his thoughts and weasels his way out of a hole by lying about his knowledge involving Duncan†™s death. As the play progresses Macbeth uses his ability to deceive people to his advantage. He uses this ability to remove suspicion from himself when he kills his best friend, Banquo.The motif of appearance versus reality was shown to appear after a murder, but as the play wears on it is possible to see that it also occurs before a murder. An ideal example of this can be seen when Macbeth decides to kill Banquo. Macbeth decides to hire professional murderers to carry out the deed of killing Banquo so that he would not have to get his hands dirty. The murderers, stricken by poverty, lead difficult lives and Macbeth uses this fact to manipulate the murderers into believing his lies.Macbeth blamed the murderers’ hardships on Banquo even though Banquo had nothing to do with it. â€Å"Both of you Know Banquo was your enemy. † (III. I. 124-125). Using the ability to deceive others, Macbeth managed to trick the foolish murderers into believing Banquo was indeed their ene my. He later arranged for a feast to occur on the same day as the murder so that he could have his name cleared from any list of suspicions. Finally, one can also see the concept of appearance vs. reality when the Weird Sisters foretell their prophecies.One of the three apparitions that the weird sisters made appear before Macbeth was a child holding a tree. This apparition told Macbeth that he â€Å"shall never vanquished be until Great Birnam Wood to high Dunsinane Hill Shall come against him†(4. 1. 105-107) By saying this, the apparition caused Macbeth to gain great confidence, because if taken literally, it then sounds impossible for Macbeth to die. How can a forest move? Well it can’t. The witches used equivocation to deceive Macbeth into thinking that the whole forest needs to move, but reality only parts of the forest need to move.An example of this would be when each person in Siward’s army carries one piece of the forest to Dunsinane and unknowingly Siw ard has completed part of the prophecy. Soon after Macbeth receives word of this, â€Å"As I did stand my watch upon the hill, /I looked toward Birnam, and anon methought/ the wood began to move. † (5. 5. 37-39) Once Macbeth gets word of this, he realizes that what he thought was impossible, has just happened. The second apparition is a bloody child. This apparition tells Macbeth to â€Å"Be bloody, bold, and resolute. Laugh to scorn/ The power of man, for none of woman born/ Shall harm Macbeth. (4. 1. 90-92) Because of this apparition Macbeth gains copious confidence. Through his eyes, every man is of woman born, for everyone has a mother. The Weird Sisters, being very devious, do not count being born by a caesarian section as â€Å"of woman born† (4. 1. 91) This causes Macbeth to get a since of false security. So through Macbeth’s eyes he appears to be very safe. But in reality there is a dark future in store for him. The last of the three apparitions would b e the armed head. This apparition says â€Å"Macbeth! Macbeth! Macbeth! Beware Macduff! Beware the Thane of Fife! Dismiss me. Enough. † (4. 1. 81-82) This apparition essentially foretells who will kill Macbeth, sadly after hearing the preceding apparition, Macbeth ignores this warning and makes it seem irrelevant. These apparitions have, through Macbeth’s eyes, been nothing but good news. First he hears he will not die until a forest moves to his castle. Then he hears that he should beware Maduff, but then ignores the warning after he hears that anyone born from a woman cannot kill him. Anyone would have gained confidence after having heard this news.However, the Weird Sisters never speak literally, â€Å"the witches' prophesies are intentionally ambiguous† (Lizhi, Ye). So this since of invincibility that Macbeth gets, will later lead to his inevitable yet heroic demise. In conclusion, the concept of appearance vs. reality is found throughout the whole play. Thi s concept of deception is used, but not limited, to Macbeth. Macbeth takes the idea of deception and enhances it to the point of manipulating other people. This not only causes Macbeth to rise to power, but also once he has gained too much confidence, it causes his heroic and inevitable downfall.

Thursday, August 29, 2019

Effective Communication Essay

Effective communication is essential for any Nursery settings too succeed. Its important to maintain effective communication within the nursery as this enables an open and honest approach between parents, children and staff. By using a simple tool called the 4Cs Model, which stands for Comprehension, Connection, Credibility, and Contagiousness are simple but effective way off communicating. It’s easy to understand and simple to apply to every piece of communication you produce at work whether it’s an email, newsletter PowerPoint. (Isabelle Albanese About.com Human Recourses). The 4Cs model is a useful tool for objectively evaluating the effectiveness of many forms of communication: what’s working, what isn’t working, and why.Effective communication is very important to every day work in a nursery we should implement skills that continuously develop to be able to use them effectively i.e.: newsletters, emails coffee morning with parents as this allows the staff to look beyond their self-interests and focus on what is best for the nursery. With the following here is a brief about how we can understand and implement the 4cs in the nursery setting, Comprehension making sure the message is clear and sharp, keeping it simple don’t go too deep. Connection amongst the staff is a vital aspect, it allows them to understand their reactions, wants, and needs through communication. When there is growth in the nursery there is constant change, it’s a great idea to get connected and stay connected amongst them selves and also with the parents and children. Credibility? the audience needs to believe who is saying it what is being said, and how it is being said. Otherwise, any connection begins to break down – immediately. Contagiousness ?In communications, contagiousness is a good thing. You want your audience to â€Å"catch the message,† run with it, and spread it around. To be contagious, a message has to be energetic, new, different, and memorable. It should also evoke a vivid emotional response. (Susan M. Heathfield).In the nursery setting staff collaboration is very  important for establishing positive relationships to respect and accept each other’s differences and work towards the common interest of the nursery. Also to promote direct and honest communication and engage in active listening with each other so the staff can reduce miscommunication, it will encourage them to share their needs with each other together as a team and will enable the company’s vision and explain that the key to realizing that vision is to work together as a unit. Here is a list of why staff should communicate in the work setting. * To maintain and promote good working relationships * To encourage the children to communicate effectively * To share knowledge and information * To ensure that everybody knows where they stand * To get their point across and ensure safety in the work environment * To help each other to understand how you are feeling and act accordingly * To work together * To prevent errors * Express your wants and needs * To help build and maintain trust * To negotiate and liaise with others (Claire Sherwood- Sunday, 25th September 2011) In nursery settings there will be huge numbers of messages every day. But effective communication is about more than just exchanging information; it’s also about understanding the emotion behind the information. Effective communication can improve relationships in the nursery settings work, and in social situations by deepening your connections to others and improving teamwork, decision-making, and problem solving. It enables you to communicate even negative or difficult messages without creating conflict or destroying trust.

Wednesday, August 28, 2019

Do The Right Thing Essay Example | Topics and Well Written Essays - 1000 words

Do The Right Thing - Essay Example However, the younger son of the Pizzeria owner, Vito, is different, because he is friend with Mookie (Lee, 1989). Everybody in the neighborhood is going about their business, on a hot and sunny day. The conflict in the movie revolves around the Sal’s Pizzeria, where he refuses to include any pictures of a black man in his list of the wall of fame. Buggin' Out is the character who sparks off the conflict about the wall of fame, by demanding that Sal should include some blacks, since he sells Pizza in a black neighborhood to the black people (Lee, 1989). However, Sal refuses and asserts that he is proud to be an Italian-American, and thus his wall of fame should only consist of the Italians. This argument degenerates into a confrontation, with Sal threatening to bash Buggin' Out, who has no support, except that of Raheem and Smiley. The whole activities of the day degenerates into chaos with the involvement of the police, with Buggin' Out starting a fight with a white man, while Mookie and Pino stages an argument regarding which race is better between the blacks and the Italians, which involves a lot of racist insults. However, the greatest of the fight occurs between Radio Raheem and Sal, who fights physically, and their fight spills into the street, which attracts all in the neighborhood, the police inclusive (Lee, 1989). The police appear and apprehend Radio Raheem, with one officer killing him, while Buggin' Out is arrested. Even after Radio Raheem is dead, the police continue to beat him up, demanding that he stop pretending. When the crowd of onlookers realizes that the police had killed Radio Raheem, they turn against them, and the police run away. Their anger is then turned against Sal’s property, which is then destroyed by the black community. The riot breaks in the whole neighborhood with the residents fighting against the police and the firefighters. Eventually, Smiley, who had set Sal’s Pizzeria on fire then creeps into the remain s of the burning building and hangs a picture of Malcolm X and Martin Luther King, Jr., on the remains of the wall of fame. Nevertheless, in the first scene, both Mookie and Sal, who are the major representatives of Races end-up reconciling (Lee, 1989). Discussion Racism rears its ugly head through the expression of the discontent regarding the wall of fame. Despite the fact that there were other racist sentiments amongst the characters such as Pino in the previous scenes, the actual reality of the racisms breakout with the demand by Buggin' Out, that Sal should include pictures of blacks who were considered as heroes in his wall of fame, considering that he was running a Pizzeria in a black neighborhood, and selling the Pizzas to the blacks (Lee, 1989). This demand activates the racism in Sal, who responds by saying he is an Italian and is proud of that, and thus should only include the pictures of the Italians in the wall of fame. Sal threatens to bash Buggin' Out with a baseball bat, which then attracts both Radio Raheem and Smiley to support Buggin' Out (Lee, 1989). The whole issue degenerates into a major confrontation, which spills over the streets, and becomes the subject of the property destructions in the neighborhood. Mookie is another character who is a racist, and he

The Curia Regis in 13th century Essay Example | Topics and Well Written Essays - 1250 words

The Curia Regis in 13th century - Essay Example These two major sections are the Bench, which was later known as the Court of Common Pleas. The first section comprised of most of the civil cases, and this was said to be the most-busy medieval court. (Public Records: Common Law Records) The second section was the King's Bench, where pleas were put to the ears of the king. This was called the 'Coram Rege'. This influenced the criminal cases, i.e. the crown side, or pleas of the crown, and also looked into few civil cases mostly those which involved the violation of the king's peace (Public Records: Common Law Records) The common law is a group of legal discretion of each and every legal system that has in recent times reached a level of involvedness. Because of its special characteristic features, the common law is stated to be a body of rule which at no cost can be matched with another similar body of rule belonging to the same legal system. The common law comprises of a precise body of contents which is applied generally outside any particular category. Thus the contents of the common law are not constant and it varies accordingly. (Common Law). During the Renaissance and Reformation period of the European history it was found to be an age of profound revolutionary change. There cannot be any revolution which is understood without analyzing the destruction and modification that preceded them. Only in possession of the knowledge of the middle Ages, the concept of Renaissance and the Reformation could be understood and welcomed. The western European society during the middle ages contributed to a large segment of population which comprised of the tillers of the soil, and the main basis of wealth and political power was the land. The Industry and commerce were not given a significant importance. This was due to the pursuits that prevailed during the Roman times or were to be prevalent in the modern era. Thus there was a term which took its origin in the recent times to describe the type of government that existed in the medieval Europe. This term was called 'feudalism'. (Medieval Civilization and Institutions) The origin of feudalism was put to great debate whether it originated from the Romans or the Germans The response to this question or debate was that feudalism originated from the Germans and later was also put into practice by the Romans. The medieval feudalism was accustomed to a state of society where the land was the source of wealth and the military force which was the basis of power consequently blocking the agrarian society. Further after the breakdown of Rome, and when Western Europe was subject to attacks by Moslems, Norsemen, and Hungarians, the concept of feudalism took shape. This concept could be said successful in maintaining order, until when the thirteenth century came to an end. It was followed throughout in the West and in some areas, particularly Italy where it did not ever take deep roots. Thus only with the help of the oldest inhabitants of a given area, the law applicable to it need not be made, but had to be found. This information could be given by the earlies t uses of the jury, which means a sworn body of men. (Medieval Civilization and Institutions) During the thirteenth-century, the appeal by the king's courts, were of first importance for legal historians and all researchers who were in the

Tuesday, August 27, 2019

The Guilford Four Term Paper Example | Topics and Well Written Essays - 2000 words

The Guilford Four - Term Paper Example The intensity of the ensuing aggression culminated into the deployment of the British Army in Ireland. The IRA (Irish Republican Army) was one of the most violent military parties that fought for Ireland’s independence. In the early 1970s, the group started challenging British troops in Ireland. With time, the group’s violence developed into massive bombing campaigns aimed at public utility, civilian, as well as military targets. When the British, in the effort to control the increasing aggression, introduced incarceration without trial in the year 1971 August, corroboration for the IRA increased. There arose many cases of injustices in the British legal system when dealing with Irish-related cases – wrong imprisonment of innocent Irish victims by the British government increased significantly (Fitzduff and O’Hagan, 2000). This paper delves into the Guilford episode, an incident that had to do with drug-induced and coerced confessions, fabricated and suppr essed evidence, and a society under siege dashing into judgment. The Guilford episode saw the arrest and false conviction of four innocent people following the bombing of the Guildford and Woolwich English pubs, which English soldiers liked frequenting while off duty. The suspects were henceforth referred to as the Guilford Four. The bombing led to the death of seven people and forty-two others were sustained injuries (Howard, 1992). The paper also explores the political and cultural climate that was present in both England and Ireland at the time of the bombing, and talks about English attitudes towards the Irish. Introduction The case of the Guilford Four presents a good example of an injustice in an Irish-related case that took place on 22 October 1975, when Paddy Armstrong, Paul Hill, Carole Richardson, and Gerry Conlon, four young people from Northern Ireland were convicted for the 5 October 1974 bombings of Guilford and Woolwich on behalf of the Irish Republican Army. The bomb s went off in pubs in Guilford and Woolwich that British soldiers liked to visit while off duty, killing seven people and injuring forty-two others. This was the reason as to why they were selected as targets by the IRA. In other words, this terrorist attack was part of a bombing campaign and a wave of violent attacks that the Irish Republican Army committed against Great Britain in the 1970s (Bihler, 2009). The political and cultural climate that was present in both England and Ireland at the time of the bombing The Guilford and Woolwich bombings occurred at a time when IRA had taken a horrible toll on Britain – in the first ten months of the year 1974; Britain had experienced ninety-nine bombings with injuries amounting to approximately one hundred and forty five people and fatalities/deaths amounting to nineteen people. Spaced out as the bombings were, the deaths and injuries might have been at a tolerable level, but on 21 November 1974, all this changed with the Guilford and Woolwich bombings. In retaliation to the two bombings, Britain convulsed with anger – angry mobs assailed innocent Irish residents in Birmingham streets and in London, they firebombed Irish businesses. Innocent Irish people became scapegoats for the atrocities of the IRA and the attempts of public officials to appeal for calm and stop the bombings in the streets were futile (Howard, 1992). A sampling of headlines as well as sub-headlines from October through

Monday, August 26, 2019

Fast Paced Financial Term Paper Example | Topics and Well Written Essays - 2000 words

Fast Paced Financial - Term Paper Example Designed to work with existing address-book standards and improve compatibility between widely differing systems, the ldap standard was adopted by the ietf in 1997 and now forms the basis of many white-page directories on the web. It has also been incorporated directly into some software programs and operating systems, making it possible to find e-mail addresses without visiting a directory site† (Ldap. 2003). LDAP was established after X.500 protocol, which was also a directory service standard protocol. However, X.500 incorporated high overhead and consequent dawdling response due to heavy X.500 clients. Consequently, keeping in mind the overheads of X.500 slow response, Light Weight Directory Access Protocol (LDAP) was created. LDAP is implemented for both Microsoft Windows and Linux / UNIX clients. In order to make LDAP operational for Linux / UNIX, windows active directory configuration is required. LDAP is proficient in terms of accessing directory information due to inte gration of a designed database. The architecture integrates the security protocols including Kerberos that is defined as â€Å"An access control system that was developed at MIT in the 1980s. Turned over to the IETF for standardization in 2003, it was designed to operate in both small companies and large enterprises with multiple domains and authentication servers. The Kerberos concept uses a "master ticket" obtained at logon, which is used to obtain additional "service tickets" when a particular resource is required† (Gallaher, Link, & Brent R. Rowe,). Kerberos provides authentication and authorization. Moreover, LDAP services provide, automated imitation of information to multiple workstations, providing towering performance, redundancy and elevated availability. In order to provide elasticity wile storing data, extensible schemas are incorporated. The protocols including Kerberos and LDAP are compatible to various system platforms due to standardization (Likewise storage s ervices). However, LDAP implementations with vendor-defined directories are not efficient with the Windows environments, resulting in management of several directories and store identifications. Active directory is â€Å"an implementation of LDAP directory services by Microsoft for use in Windows environments. Active Directory allows administrators to assign enterprise-wide policies, deploy programs to many computers, and apply critical updates to an entire organization. An Active Directory stores information and settings relating to an organization in a central, organized, accessible database. Active Directory networks can vary from a small installation with a few hundred objects, to a large installation with millions of objects† (Active Directory. 2007). Few checklists are applicable including the network connectivity testing and raising the Active directory domain functional level to Windows 2003. The business benefit focusing on business continuity is also managed efficie ntly, as the user profiles along with sensitive data is stored in centralized Active directory servers. In case of a system failure, or crash, data can be recovered from user profiles to a new system. Moreover, total cost of ownership is also decreased, as it can be configured and managed by a centralized location. Furthermore, effective IT resource management is carried out via the entire network that will provide a

Sunday, August 25, 2019

Anti Death Penalty Research Paper Example | Topics and Well Written Essays - 2000 words

Anti Death Penalty - Research Paper Example All states in United States of America have been granted freedom to choose whether to apply death penalty or not. In 1999, ninety-eight people were executed and about three thousand five hundred and sixty-five prisoners were on the death row in 2000. Death penalty is perceived differently by different members of the society. To some, capital punishment provides ultimate solution to reduce or eradicate the vice while to others, it is brutal and a disgrace to a civilized society. To understand the magnitude of death penalty, it is important to know the views of both the opponents and proponents of death penalty as a punishment to capital offenders. First, supporters of death penalty argue that capital punishment is a sure way of eliminating worst criminals and making the society safe. This is because when capital offenders are removed from the face of the earth through a judicial process, they are stopped from committing further worst crimes. Worst criminals must be executed because they may commit the same worst crimes if released back to the society or escape from prisons walls. Furthermore, they may commit worst crimes in the prisons that host them. Therefore, terminating their existence through the judicial process is considered appropriate. Secondly, death penalty is considered retribution. The families and friends of victims of murder or rape may feel that justice has been delivered by executing the perpetrators that caused death or anguish to their loved ones. The perpetrators deserve death because it is a punishment proportional to committed offenses. Thirdly, death penalty acts as a strong deterrent to potentially wor st criminals. This is true especially where execution is carried regularly and immediately. In Britain and United States of America, the rate of worst crimes such as murders reduced significantly when the death penalty was in force and regularly

Saturday, August 24, 2019

Funding Sources for Terrorist Organizations Essay

Funding Sources for Terrorist Organizations - Essay Example According to Ehrenfeld (2002), terrorist operations such as selling illegal drugs, prostitution, and donation, in most cases, takes place in countries far away from their area of operation. Therefore, funds made must be channeled to them without being detected. Funds from drugs are obtained either by directly distributing the drugs or extorting drug traffickers. Drug money can be channeled either by carriers that ship money notes together with other goods or distributing funds to various wire transfers and registering them as processing expenses incurred in the transfers. The second method of extorting funds from businesses, farms, schools, as well as, other drug traffickers, is said to be taxation fee or payment for protection and security provided to hide its true purpose. These funds are given to individuals that relay the amount collected to the organization. The third method, on donations or charity, involves making multiple deposits to a single account consistent with donations made to a private charity firm (FATF, 2015). Forth methods on money laundering, funds are channeled using mechanisms such as fabricated invoices and loans, purchase of luxurious items, company shares, estates, or investing in casinos and hotels. Finally, funds obtained through prostitution are channeled through an individual that collects from them. Some prostitutes could be victims of human trafficking. Fatf. (2015). Financing Of the Terrorist Organization Islamic State in Iraq and Levant (ISIL) FATE.  

Friday, August 23, 2019

Kodak & Fujifilm Research Paper Example | Topics and Well Written Essays - 1500 words

Kodak & Fujifilm - Research Paper Example In order to gain sustainable competitive advantage, the company builds its innovation platform on its technological heritage. The company has a unique design strategy which is always looking for opportunities across every product’s entire life cycle. As a result, the company is able to offer unique solutions at every stage of the product life cycle. For instance, customers are offered to choose among various applications such as offset plates, printing solutions, packaging solution and workflow systems in order to enhance the efficiency of their services and products. The company’s capabilities in material science and deposition have also resulted in innovative and alternative products such as fuel cells, batteries, solar panels and biotech products such as films for tissue regeneration, disposable sensors, and antimicrobials. The innovation expertise of the company has also forayed into fields such as biochemistry and bio-fuels. Â  In order to gain sustainable competi tive advantage, the company builds its innovation platform on its technological heritage. The company has a unique design strategy which is always looking for opportunities across every product’s entire life cycle. As a result, the company is able to offer unique solutions at every stage of the product life cycle. For instance, customers are offered to choose among various applications such as offset plates, printing solutions, packaging solution and workflow systems in order to enhance the efficiency of their services and products.

Thursday, August 22, 2019

Hunting and wolves Essay Example for Free

Hunting and wolves Essay Wolves have unique features; they are smart, sly, and curious, but for many hunters they kill them for their fur. Hunters take wolves and kill them for their fur. For example, the residents of Alaska have the idea that killing wolves are okay. Well, this horrendous and vile act that they are committing should be illegal. This act that they are doing is putting the fate of wolves in a dangerous place and they will be promoting their extinction if they continue doing this. â€Å"Killing Wolves†, by Sherry Simpson will give some examples of the acts these people do in order to kill many of these wolves that are defenseless, and yet get killed; almost to extinction. Wolves are an incredible animal that resides in mountain, forest areas; they mostly resemble the average dog. Wolves are very necessary to balance the ecosystem by naturally controlling the population of animals that eat vegetation. Wolves also help evolution in other species. These creatures are needed by the natural community to maintain the delicate balance of life. Without them, caribou, deer, elk and rabbits and many more animals would clear the land of plants, and the ecosystem would be unable to maintain itself. The wolf population is not even the same size as it was in the historic time, back when they lived in most regions of the United States. State government’s needs to let go of this unnecessary and merciless desire to control the population of animals who are just trying to simply survive. Hunters view this animal as a killing machine and â€Å"it considers them vermin† (Matsuoka). To make the situation worse the government is allowing the states to encourage these hunters to kill these wolves. For example, â€Å"Wisconsin will issue 1,160 permits for 116 animals. Minnesota will issue 6,000 permits for 400 animals† (Peralta). They think by allowing these hunters to kill these wolves is going to be a great benefit for them; when in reality they are driving them closer to extinction. Another example for instance, Simpson states that â€Å"between 6,000 and 7,000 exist in Alaska and hunters trap, shoot or poison wolves† (Simpson 137). This means that by the vile act that these hunters are doing by killing these wolves today’s human society will see the number of wolves in that area will decrease, because of the great impact Congress has made. Congress took them off Endangered Species Act protections from our nation’s wolves, the state government is encouraging people to kill them (Matsuoka). Now hunters can kill up to 220 wolves during hunting season. Their justification for the large killing of wolves is that the wolf population is at a â€Å"healthy† number. This does not give them a valid reason for the unnecessary killing of this poor animal. Wolves have been gunned down by hunters and federal sharpshooters in many areas. Wolves had been hunted for sport to near extinction in the United States. The Endangered Species Act was their saving grace, providing them with protection from hunters under the law. Even though there are some people that have the opportunity to kill the wolves many do not even though the wolves have been taken out of the Act. Simpson had that opportunity, she has been brought up and taught how to kill a wolf, but she states â€Å"I know I will never kill a wolf† (134). She is one of the few people who have gone to schools like Wolf Trapping School and have maintained their mind intact to not kill this creature. She has witnessed how these hunters put â€Å"the trap cloaked beneath the snow† (137) and how wolves unfortunately fall into these traps. She also says that some of these hunters say that these wolves are like puppies but instead they meant that these were â€Å"full-grown but inexperienced wolves† (137). An example of how the hunters kill the wolves are by bringing along a gun and ammunition to hunt wolves. Also hunting rifles are the typical choice, but bow hunting is a popular alternative (Fuller). With this said we can see how these hunters try to make it seem to children that it is ok to kill these wolves; and how from a young age they start to brain-wash these children into committing this disgusting act yet the wolves are still getting killed by these hunters. In the article Petersen’s Hunting, Bob Robb gives six reasons why they should kill wolves. His first statement is that there are â€Å"too many wolves†. This is false since the hunters made sure to almost extinct the wolves. Next his second and third points are â€Å"wolves are decimating ungulate populations† and â€Å"deer and elk are hiding†. A wolfs diet consists of ungulates; which are large, hoofed animals, but hunters, for the sake of not dragging an entire dead deer or elk out into the wilderness, will usually bring cuts of meat from larger prey or meat from smaller prey, wolves will eat gladly (Fuller). These wolves are helping the hunter by not carrying such a heavy load. His fourth is â€Å"wolves love ‘muffy’†. This is right, but if these hunters left them alone and would not make them run to these certain situations these wolves would have the urge to have a meal whether it may be livestock or a domesticated animal. Robb’s last two statements are â€Å"wolves are poster-boy animals† and â€Å"continued litigation†. He says that organizations just tell the government what the hunters are doing to the wolves and they gain money from them. This is false since not only do the organizations provide valid facts and proof to the government to protect the wolves. These hunters just want the opportunity to kill these wolves and almost drive them to extinction. Also, hunters can kill wolves to protect people, property or livestock (Landers). The decision to kill wolves has been very difficult for people because they do provide the warm that is needed when it is cold. After they have stripped the poor wolf’s fur what is done to the rest of the wolf? The carcass of the wolf will be thrown away and they will get more wolves and kill them for the same reason; even if they do not need them anymore for the wolf’s fur. The lifting of the ban has made hunters giddy and excited, because killing a wolf is a once-in-lifetime opportunity (Peralta). The main reason they are like this is partly because of the long-standing ban. These hunters know that wolves are incredibly intelligent animals with a keen sense of smell, so shooting them is very hard and trapping them is also difficult. This makes it seem in their point of view as a game to see if they can handle this challenge they are in. as well as they are spending a lot of money just so they can go and shoot wolves. Now that money will come from permits and licenses; the sale of the permits brought in $202,720 for the government. The sale of license is expected to bring in about $120,000 more (Peralta). Since the government needs more money they are allowing for the evil hunters to kill wolves so that they can get money. There valid and good reasons to kill wolves, yes they do provide warm, and also they can injure a person, but does that mean that we can also kill them for fun? As if was a game to see who can kill the most wolves? They try to give a good reason why they do this. They just want money so they can get out of having money troubles. Since the government knows that these hunters will do anything in order to start shooting at this creature they have set up this plan for the hunters; knowing that they will receive large amount of money. There are organizations that put a halt on their large amount of money they gain, by protecting and giving the wolves a voice. These organizations are the ones give these wolves a voice including ASPCA (The American Society for the Prevention of Cruelty to Animals) and PETA (People for the Ethical Treatment of Animals). These organizations show many people the cruelty that some people are doing to these animals. They speak the true about how these animals are killed and how the government is allowing these hunters to kill them. Many people may not know what kind of torture this poor animal is going through, but also there are many people that encourage this appalling act just so they can get the latest wolf coat. Now for the grand help these organizations are doing to aid the wolves has made it possible for the wolves to go into some sort of protection until recently. In conclusion, people can see how the killing of wolves is the worst thing they can possibly do. These wolves are very beneficial to have in our ecosystem because they help us and themselves to have and live a better lifestyle. The selfishness from the Congress to remove them from the Endangered Species Act was the most shocking thing they did, because they are giving these states the opportunity to drive these wolves back to extinction. Along with that they are gaining sufficient amount of money from these hunters to hunt which gives the government the money that they need. Killing this creature gives the government a â€Å"justified† reason to start gaining profit from the despicable acts these hunters make. Also thanks to these organizations the wolves have a voice and have a chance to survive and live long enough for the future children to be able to see this majestic creature. There are many people that do live and grow up in this circumstance and some do have a valid reason to kill wolves for their fur, but that does not mean they can promote their extinction. Lastly, this is why these wolves should not be hunted and should be able to go back into their natural habitat without having to worry that a hunter or hunter’s trap will kill them. Works Cited Fuller, John. How Wolf Hunting Works. HowStuffWorks. HowStuffWorks, 30 June 2011. Web. 25 Oct. 2012. Landers, Rich. Groups Write Governor to Protest Killing wolves. Spokesman. com. The Spokesman Review, 25 Aug. 2012. Web. 15 Oct. 2012. Matsuoka, Rachel. The Environment Wildlife Cause. Western States Killing Wolves By the Hundreds. Care 2, 21 Dec. 2011. Web. 15 Oct. 2012. Peralta, Eyder. Fair Game: Wolf Hunting Begins In Wisconsin, Minnesota. NPR. NPR, 15 Oct. 2012. Web. 15 Oct. 2012. Robb, Bob. 6 Reasons We Should Kill Wolves. Petersens Hunting. Petersens Hunting, 02 Nov. 2011. Web. 25 Oct. 2012. Simpson, Sherry. Killing Wolves. In Fact: The Best of Creative Nonfiction. Ed. Lee Gutkind. New York: W. W. Norton , 2005. 133-62. Print.

Wednesday, August 21, 2019

Airframe Structure Failure and Survivability Essay Example for Free

Airframe Structure Failure and Survivability Essay There are many different variables that come into play during an aircraft accident. It is an investigators job to find out what caused the failure. Failure of an aircraft primary structure is ranked high on the list of risks aircrews would rather not face. Mechanical component failure which can lead to loss of control of the aircraft is not far behind. Another issue which must be addressed in any aircraft accident is the question and of crash survivability. Even if no one was injured the investigator must find out what worked and what didnt. If there were injuries, several questions should be asked. The chapters I will be covering will give the investigator a look into what causes structural failure, and how to determine crash survivability. An aircraft accident investigators job is to determine what caused the crash. Structural failure is a vital part of the investigation. The term structure failure means where the material fails to carry below it was intended to carry. A structure can fail in one of two general ways. One way is it can be fractured, which means broken into two or more pieces. Another way is when the structure shape is changed so that it can no longer carry its load. With this kind of failure, the structure is still in one piece. It could be bent, stretched, corroded, or so worn that it can no longer do its intended job. Over the next few pages, I will be going into detail about the different ways structures can fail. There are many reasons why an airplane structure can fail. As I have just gone over a few in the last paragraph, there are many different ways this can happen. In chapter 35, the book talks about overload. This is, when an in-flight load exceeds the weight the part was designed for. All structures to include bridges, buildings or airplanes are created to withstand only specific loads. It is unrealistic to assume that airplanes can be designed and built to withstand any conceivable load it can experience. If a structure is exposed to a load greater than which it was designed for, it will structurally fail. Be it deforming, or fracturing into two or more pieces. These are two general reasons why aircraft structures fail. Aircraft structures are designed to withstand loads generated by air at some maximum airspeed and the loads generated while maneuvering at some G load. Most aircraft can be flown at speeds and G loads which can place excessive loads on the aircraft structure. Aircraft that is directly exposed to onrushing air could be damaged as the dynamic pressure of the air stream is converted to static pressure pressing inward on the structure. Excessive speed can reduce the airplanes stability. The bottom line is that a lot of bad things can happen when an aircraft exceeds it’s redline airspeed. One of the clearest reasons for failure of a structural component is that the component lacked the proper strength to withstand the loads created while the aircraft is flown at its normal operating limits. There are numerous reasons why a structural component could be understrength. It is possible that the engineering of the structure was inadequate. The designer could have possibly made an error which was not caught during the testing phase. Another reason could be that wear and tear caused a weakening to the structure. Service life issues are normally divided into four sub areas; fatigue cracking, corrosion, wear and creep. The four of these progressive failures which cannot be undone as the aircraft accumulates flight hours ground-air-ground cycles. An aircraft structure can be weakened in a somewhat short period of time. Exposure to heat can greatly reduce a metals strength. For example, some aluminum alloys that are exposed to temperatures of 400Â ° for 5 minutes can reduce the alloys strength by 80%. Jet engine hot sections and compressor bleed airlines are made of materials such as stainless steel or titanium alloys which maintain most of their strength in relatively high temperatures. This problem happens when structure which is not been designed for high temperature is exposed to high temperatures. Some aircraft which can reach high supersonic speeds require the leading edge structures to be able to withstand the extremely high temperatures generated at these speeds. There are two general areas when it comes to aircraft structures. You have a primary structure, and a secondary structure. The primary structure is parts of the aircraft that are necessary to safely fly its mission. The following components are normally considered to be part of the primary structure: wing structure, fuselage structure carrying flight, ground and cabin pressurization loads, empennage, landing gear structure, engine mounts and supporting structure. The primary structures can be further sub categorized as either critical structure or principal structure elements. Critical elements are those whose failure would result in catastrophic failure of the aircraft. Principal elements are those that contribute significantly to carrying flight, ground and pressurization loads whose failure could or could not result in catastrophic failure. The following components are considered to be the secondary structure: aerodynamic fairings, tail cones, and landing gear doors. There are other mechanical components which carry flight critical loads. Even though these components have failure modes that are closely related to those exhibited by the primary and secondary structures, they do not fall into either of those categories. Components like hydraulic pressure lines, drive shafts, electric alternators, and gear teeth in transmissions all have modes of failure which can give clues concerning the nature of the loads which caused them to fail. In aircraft accident investigator will have a firm understanding of the loads that airplane structured caries and the physical evidence that these loads leaves behind when they fail. The many types of loads are vectors and have both magnitude and direction. You can change the load by either changing its magnitude, for example increasing or decreasing the pounds of force being applied, or by changing its direction by applying force upward instead of down. Loads can take a finite length of time to be imposed. Even though loads can be applied in a very short period of time they can be applied or changed instantaneously. The fact that loads take time to apply and or change is important for the accident investigator understand. The book separates loads into three general areas; static loads, dynamic loads, and repeated loads. Knowing the difference between the three types is important because the nature of the load has a lot to do with the failure of the structure and the evidence left behind. If a load were applied so slowly that the structure to which the load was being applied to stayed equal at all times the load would be considered a static load. A static load can be either for short or long period of time. A dynamic load happens when the loads are applied fast enough to prevent the structure from carrying the load while remaining in equilibrium as the load is being applied. Dynamic loads can be divided into two subcategories, sudden, and impact. A sudden load will impose stronger internal stresses in the structure. Components such as landing gear are tested with dynamic loads. Impact loads are applied at faster rates than sudden, causing the structure to fracture almost every time. Impact loads are usually limited to high-speed bird impacts and crash tests. Repeated loads are just like they sound, loads that are repeated over and over again. Due to the behavior of dynamic impacts and longtime static loads, it makes them unlikely candidates for repeated loads. Short time static and sudden dynamic loads can be repeated over and over again. If a component goes through lots of repeated load cycles before it fails due to fatigue cracking it is said to have experienced high cycle fatigue. By lots of cycles the book means hundreds of thousands or millions or tens of millions of cycles. One of the ways investigators look at structure failure is to consider the time it took for the failure to occur. If the failure happened at the instance of a single load, it is called an instantaneous failure. If the failure took a period of time to occur, that is called a progressive failure. If a structural component contained a load that caused significant distortion, but did not exceed the materials yield stress, and the structure springs back to its original shape after the load is removed is called an elastic deformation/distortion failure. Now if the same events occur and the structure does not spring back to its original shape after the load is removed, that is called plastic deformation/distortion. This is a permanent shape change, unlike the elastic which is a temporary shape change. Now if the load reaches the point where internal stresses not only cause significant plastic deformation, they exceed the materials ultimate stress, the structure will then fracture and separate into two or more pieces. This is called a fracture failure. An experienced investigator can tell the difference between the five different types of structural failure. Another form that causes structural failures is corrosion. Corrosion is the natural disintegration of material as it is attacked by one or more substances in its environment. During the refining process, energy is added to metal ores and other raw materials in order to produce the mechanical properties necessary in structural components. Mother Nature the great equalizer, doesnt like variances in energy levels and sets to work trying to bring the material back to the low energy levels existing in the products of corrosion. When it comes to aircraft structural components, mother natures attack will reduce the strength and ductility of components turning strong metals into meek metallic oxides, hydroxides or sulfates. If these compounds are not removed from the structure they can worsen the problem by providing an environment which is ever more favorable to continued corrosion. There are many different forms of corrosion. Some can be the result of a direct chemical attack by reactive substances in the environment. Pitting is a common form of corrosion. Small holes that are randomly located across the metal surface are called pits and sometimes may be accompanied with a powdery residue. Even though pits may appear to have damaged only a small percentage of the surface, they penetrate deeply in a branching matter causing loss of strength and ductility which is way out of proportion to metals surface appearance. Chemical corrosion involves the reaction between a metal structure and some chemical agent. If you introduce corrosive acid on a metal wing, the acid and the metal will react to form new and undesirable compounds. A selective attack is when corrosive actions seem to favor one part of the components or assembly above another. The primary type of selective attack is intergranular corrosion. This type of attack centers on the grain boundaries with in a metal component before consuming the grains themselves. Similar to pitting the damage from this kind of attack causes a loss of strength and ductility which is out of portion the amount of metal that is corroded. Another form intergranular corrosion is exfoliation, whose progress and go undetected until all structural integrity is lost. Grain boundaries attacked by this type of corrosion are normally flattened and or elongated grains of extruded or rolled metals. This type of corrosion can move undetected along the grain boundaries. Slow removal of material from the surface of the component by a mechanical action is referred to as wear. In most cases wear is undesirable, wear during break in on new or overhauled equipment is often a necessary ingredient in establishing proper operation and long service life. The type of wear the book talks about is the kind that leads to premature failure and breakdown. Abrasive wear happens when small abrasive particles cut into and remove material from surfaces of two components which are held together while moving. When this type of wear happens one question an investigator must ask is, where did the particles come from? Adhesive wear occurs when microscopic projections of the surfaces of the two components which are sliding across each other may contact, weld together and break off. A question that an investigator can ask is was the surface lubricated? Erosive wear is similar to abrasive wear in that foreign particles are cutting tiny chunks out of the surface. Its a little different from abrasive wear in that the abrasive particles gain their penetrating energy by a fluid that is carrying them along. How did the particles enter into the fluids is a question an investigator could pose. To prevent structure failure, the components go through an inspection called non-destructive inspection (NDI). NDI are inspection techniques which will not do significant harm to the object being inspected. Other names for this type of inspection is called non-destructive evaluation (NDE) or non-destructive testing (NDT). There are six specific techniques for these inspections. First, visual inspection is the simplest form and most common of the NDI process and uses your God-given gift of sight. To assist this type of inspection, illumination, magnification, and remote viewing are used to help. Another type is dye penetrant. This inspection is used to detect small surface cracks and discontinuities which may not be visible during strictly visual inspections. This technique is simple, but time-consuming. The component being inspected is covered with a colored liquid which is absorbed into surface cracks. The liquid includes a phosphorescent material which when exposed to ultraviolet light glows in the dark so small surface cracks are visible to the naked eye. Magnetic particle inspection provides another way to assist the eye by increasing the conspicuity of a surface crack. This process requires more specialized equipment then the dye penetrant process, it makes the crack even more obvious if properly used. This inspection makes use of the fact that when a magnetic field is induced in a component made of Ferro-magnetic material, surface cracks will alter the components magnetic field. When magnetic particles are placed on a magnetized surface it will align themselves along the magnetic field showing any variations caused by the cracks. If the magnetic particles are phosphorescent and viewed in a dark room under an ultraviolet light pattern around the cracks will be more visible. Eddy current is the first technique that is discussed that does not require direct viewing of the crack. This process involves the use of a probe to generate both an electromagnetic field and sense and evaluate the Eddy current generated in the material being inspected. When either or surface or near surface cracks are in the material it will alter the shape of the Eddy current and magnetic field it generates. This can be as simple as a twitch on a meters needle. The equipment needed for this type of inspection must be calibrated for the specific design being inspected and the size of the crack being search. Ultrasonic inspections make use of high-frequency sound to find surface and subsurface defects. The high-frequency sound waves are generated by a transducer and then beamed through the part being inspected. The reflective waves or the remnants of waves which penetrate the part are being measured with a receiver and electronically evaluated. There are two different ways the sound waves can be applied to and retrieved from the part being inspected; immersion of the part into a fluid which carries the sound waves to and from the part and direct contact inspection where the transducer and receiver are in direct contact with the part. The direct contact technique is much more mobile allowing use in the field of the aircraft or major fabrications. Radiographic inspection in its simplest form is not much different than that of an x-ray. Very short wave electromagnetic radiation are generated and directed through the part being inspected and towards unexposed radiographic film. Rays passing through cracks, flaws, voids and corroded areas will not be attenuated as much as raise passing through sound material. To the untrained eye, cracks, flaws, voids and corrosion may appear to be just another shadow on the film. Orientation of the x-rays so as to illuminate the discontinuities and proper interpretation of the film are therefore important aspects in ensuring the thoroughness of the inspection. One of the issues which must be addressed in any aircraft accident is a question of crash survivability. Even if no one was injured, the question of what worked and what didnt work should always be asked. Did the restraint systems operate as designed? Whether or not escape hatches were needed, could they have been opened if needed? Did the emergency lighting system work? How crash survival equipment is designed is based on experience, history, and sound engineering judgment. To know if these components work correctly design requires an accident for verification. The accident is a chance to validate our judgment and we cannot afford to pass it up. To make investigation of aircraft crashes a little easier requires a systematic approach by breaking down a complicated series of events into smaller, more digestible bites. The approach chapter 36 goes over is the CREEP method. CREEP stands for: Container, Restraint, Energy absorption, Environment, and Post-crash factors. The first four of the five CREEP elements relate to the dynamic portion of the crash itself. These four factors are concerned with the initial and any subsequent impacts with the terrain, the associated deceleration forces acting on the aircraft and its current occupants, and the deformation and dislocation of aircraft structure and its contents. The fifth factor relates to the occupants attempts to egress the aircraft before suffering additional injuries not directly resulting from the dynamic portion of the crash. In order to survive a crash it is first necessary to provide a living space for the occupants during the dynamic portion of the crash. If the space is crushed or punctured, the chances of survival fall drastically. This factor is container. Now if the occupants have been provided with adequate living space, the next series of questions should deal with the restraint of the crew and its passengers and equipment and components around them. Occupants of any moving vehicle must be protected from injuring collisions with in the vehicle, for example being thrown against the sides of the living space or having objects such as cargo or equipment thrown at them. The strength of all restraints should be sufficient to prevent injury at the force levels which can be expected during the most severe but survivable crash. The investigator should examine all restraints system failures to determine if there failure contributed to injuries experienced by the crew or passengers. The deceleration forces created during a crash may be high enough to cause fatal or serious injuries, even if a safe living space, adequate crew and passenger restraints, and a delethalized flailing envelope are provided. Since crew and passenger bodies are not strongly attached to the airframe, the design of the aircraft structure and seeds may cause the acceleration forces experienced by the crew and passengers to be either amplified or attenuated. A soft deep seat cushion can greatly amplified the vertical Gs experienced by someone sitting in the seat. The deep seat cushion deforms at high loads absorbing energy as it gives can greatly reduce the vertical crash loads to which a seat occupant is subjected. Hopefully, the designers will build a secure box around the crew and passengers and secure them to it. Although we may be able to restrain the torso, it is normally impractical to secure the head and limbs of the crew and passengers. The volume through which the unrestrained extremities can be expected to move shouldve been the legalized to the maximum degree possible. Obstructions which could cause injury should either remove from within the flailing envelope or padded to reduce the severity or probability of injury. This is the environment that the creep method covers. All too commonly, crew or passengers survived the dynamic portion of the crash, only to suffer additional injuries or death when they are unable to safely exit the aircraft in a timely manner. The two primary factors in the causation of fatalities during otherwise survivable crashes is, post-crash fire and inability to quickly exit the damaged aircraft. Fire is the most significant post-crash hazard by a long shot. Not only can the fire kill and injure directly through heat, the toxic fumes and smoke produced when material and the aircraft interior burn are more often the direct cause of death. This post-crash condition is a top priority in controlling to prevent death. Design of airplane exits is predicated on the normal parked attitude and configuration. Obviously, this is not always the case. Sometimes occupants will have to exit from an airplane that is an abnormal attitude and perhaps in a very unusual configuration. Part 125 airplanes have specific emergency exit acquirements levied on them, many general aviation airplanes have only one exit which can be easily jammed in the airplane ends up inverted. In conclusion, nobody is expert on all types of structural failures. With so many different variables, it takes a highly detailed investigator to pinpoint what kind of failure causes a crash. And without a systematic approach of investigation of a crash, the investigators are left with an accident that is difficult to determine whether or not the occupants should have survived the impact.

Laser And Intense Pulsed Light Therapy

Laser And Intense Pulsed Light Therapy The focus of this assignment is to examine the current legislations applicable to an establishment of a laser or Intense Pulsed Light (IPL) practice within England. The aim is to demonstrate an understanding of the current market and undertake a critical review and evaluation of the range of equipment for the removal of hair and skin enhancement. The equipment is to include treatment of photo rejuvenation, acne and vascular abnormalities. The discussion points will outline the key requirements of the Care Quality Commission (CQC) in registering the use of IPL or laser treatments in a beauty clinic. It is vital to undertake a critical review of the latest advances in laser or IPL equipment on the market, including the types of conditions they can treat, and to ensure the equipment covers skin types 1 to 6 on the Fitzpatrick scale. When consider purchasing IPL or laser equipment for a new clinic discuss what factors need to be consider when selecting appropriate systems. Methodology The methods used to gain information regarding this assignment were secondary from books and websites. By using the search engine Google and taking information from books data was gathered to put this assignment together. Also primary research was carried out when discussing, with other managers, the registration process and equipment used within their establishment. Findings Outline the key requirements of the Care Quality Commission (CQC) in registering premises for the use of IPL or laser equipment. In April 2009 the CQC took over the Healthcare Commission and is established under the Health and Social Care Act (2008). The CQC outline specific standards that are adhered to by each type of independent healthcare provider such as non surgical cosmetic procedures including IPL. By law, certain establishments and agencies providing healthcare in the independent sector must be regulated by the Care Quality Commission (Care Quality Commission, 2009) it is the duty of the CQC to ensure the equipment is properly maintained and all staff involved in the use of the machinery are fully trained to operate it. This is to maintain standards of health and safety towards members of staff and clients. This includes annual checks on the establishments and paper work that includes training certificates and records of clients undergoing treatment. Before beginning the registration process there are requirements that a manager undergoes to ensure the process is dealt with efficiently. These include the set up of the treatment room, customer complaints policy, a statement of purpose, and a medical report, all of which should be written and documented to show proof to the CQC. When setting up a treatment room for the purpose of laser or IPL the area must be suitable for the procedure which includes no reflective surfaces, a cool cabinet or fridge, a treatment bed, room for the machine to manoeuvre, equipment for performing the treatment, razors and a sharps box. The lighting must be to a high standard and a lock on the door means no one could potentially walk in during the treatment. This is to ensure all health and safety measures have been taken to provide a safe working environment. Risk assessment of the laser controlled area is vital and needs to be updated yearly or when any new equipment is acquired. The risk assessment includes PAT testing, treatment room standards, COSHH on the products used and the appropriate health and safety guidelines. When applying to register for the first time the manager must first read the guidance on applying for registration. It is compulsory to complete application forms R1 and R1SOP, along with a self-assessment form available from the CQC website. If it is required to have a registered manager, the form R1A needs to also be completed. When apply for registration, there is a non-refundable application fee. A series of other information is required to fill out the forms mentioned above, which includes a copy of the applicants birth certificate, any certificates of a change of name, a recent passport photograph, a copy of certificates relating to any relevant professional qualification obtained, a copy of each applicants up-to-date curriculum vitae (CV), a medical report, two personal references and a pre-interview self-assessment questionnaire should be filled out sent to the CQC. A statement of purpose consists of information on the intention of the equipment; this should be outlined and u p dated when necessary and a copy should be sent to the CQC. The registration process cannot start until the appropriate fee has been submitted for laser and IPL from then on annual fees are applied. The registration process can then take eight to twelve weeks to complete. Key staff involved in the process of laser and IPL include the manager and owners of the business and the staff who will be operating the machinery. Staff training can be provided by appointed Colleges that have the facilities, alternatively when buying the machinery specific companies provide training. For staff to be eligible for training the minimum qualification is NVQ level 3 or equivalent in the Beauty sector. This is to ensure the therapists using the equipment have a high standard of anatomy and physiology. It is imperative that the employees are trained to a high standard as the equipment can be dangerous. It is the managers responsibility to ensure all therapists are competent and trained in the equipment before providing treatments. The policies needed to ensure the correct standards are maintained include consultation forms, records clinical controls and client protocols. It is the responsibility of the manager and all employees to maintain current accurate records of clients medical history, skin conditions and personal information and to ensure they are signed by both the client and the member of staff performing the treatment. Undertake a critical review of the latest advances in laser and IPL equipment on the market and the types of conditions they can treat. Ensure work covers equipment for skin types 1 to 6 Laser and IPL machines are ever advancing with technology. This provides companies with up to date knowledge and expertise which can enhance the treatments given and adapt to new ones. It is important to discover clients needs and expectations to find a treatment that can help with the majority of concerns. Research is obtained to ensure the products produced will have an impact and be successful. It is vital that the equipment chose by a business appeals to the majority of clients. As there are many different skin types the machinery has a Fitzpatrick Scale (see fig 1) the equipment should cater for all 6 skin types on the chart. The equipment neodymium-doped yttrium aluminium garnet; Nd:Y3Al5O12 (ND:Yag) and IPL are the only pieces of equipment that work on all 6 skin types of the Fitzpatrick Scale. See Appendix 5 for a table on a wide range of products that use laser and IPL. This table shows the ND:Yag and IPL equipment is versatile and adaptable to accommodate all skin types. Appendix 1 shows a comparison of the equipment which demonstrates the qualities and uses. It is shown that the IPL works on the upper layers of the skin to aid with skin rejuvenation and hair removal amongst other treatments. IPL treatments are well established and have had many studies and independent surveys performed on them. ND:Yag is the new technology so it does not have all information on long term affects and results. This equipment works on the lower layers of the skin and hair follicle to enhance the treatment. The ND:Yag provides treatments for acne treatment and works more effectively on darker skin types. Lynton are a leading recognised company in the UK providing equipment for the use of hair removal and skin rejuvenation using IPL Laser and ND:Yag technology. Lumina is a piece of equipment that is versatile and works on many skin conditions (see appendix 3) and has options to select from Intense Pulsed Light only or Intense Pulsed Light with laser. This piece of equipment is high powered for fast results and has the flexibility and adaptability to perform well in most businesses. The Lightseries is a piece of equipment that has the latest multifunctional Alexandrite technology (see appendix 4) to perform treatments similar to the Lumina. Both machines have benefits to the business and it would be down to the manager to decide which would be most suitable to the individual clientele. Consider purchasing IPL or laser equipment for a new clinic, include what factors need to consider when selecting appropriate systems When a manager decides to invest in a new piece of machinery there are many factors that need to be considered to ensure the purchase it suitable for the business. There are many points to a new piece of machinery including, latest technology, design, cost and function which need to be researched. Demonstrations from the different companys to provide presentations on the information gathered on the product can be invaluable to making a decision on where to invest. This provides an opportunity for the manager to see the machinery, packages, ask all questions and see a presentation on the results. It is important to gather all information and have written proof of offers; this provides some security with facts and figures, to refer to at a later stage. The company providing the machinery needs to be reputable and information on the companys back ground can be fundamental to evaluate whether an investment is worthy. The longer the company and product have been established can make impact on a managers decision. The company need to provide a good basis of knowledge and results of the equipment to prove its functionality. Independent studies are effective in sourcing information on a product and confirming results produced. Questions such as how likely the machine is to break down, and if it does how easily is it to call out an engineer and have the parts available for replacement should be clearly outlined by the company. It is vital to know how many engineers are close by, how often does it need servicing and how much time will this take away from clients receiving treatments. What is the contingency plan of the company, what happens when it does not go according to plan and how efficient and proactive are the company at providing r esults. What organisations are the company affiliated with and what customer support is provided will prove to a manager that the company are committed to the success of a business. The machine needs to suit a certain criteria including size, design, mobility, presentation and function. The function of the machine needs to appeal to the majority of clients skin types and conditions. From an accounts point of view cost is an important issue. How much are the start up costs, replacement parts, how much are servicing costs and how often are they performed. Profit needs to be considered as to how much could the machinery make for the business, how long before a return will be seen and how much will the marketing and advertising cost. The manager will asses staff training, what is required, how often and where the training will be carried out. The company should explain if the training is an additional cost or included in the cost of the equipment or package. With all of this information a manager can make an informed decision on the investment. Conclusion To summarise, the first task was to research the process of obtaining the permission of the CQC to provide laser and IPL treatments. The legislation process involves a lot of paperwork, time and effort. This venture takes planning and determination from a manager and thorough meticulous, attention to detail. The outcome of the assignment is to show understanding of the different companies that provide equipment and the types of equipment available. With good understanding of what is involved in the decision process a manager can make an informed choice of what is suitable for the business needs. From a managers point of view the information gathered can be the deciding factor on whether or not to invest in such a venture. From this assignment I found it interesting to look at the tasks from a managers point of view and reflect on what I may consider doing in the future to encourage expanding the treatment range available to clients. Bibliography ABC lasers (2010) Home (online) available from www.abclaser.co.uk accessed 1st April 2010 Aesthetic lasers (2010) IPL and Laser (online) available from http://www.laseroffers.com/category/risk-and-safety-issues-in-aesthetics/ipl-and-lasers/ accessed 1st April 2010 Alma Lasers (2009) Alma Lasers (online) available from www.almalasers.com accessed http://www.almalasers.com/products.jsp accessed 28th October 2009 Bickmore, R.H( 2004) Miladys Hair Removal techniques British Medical Laser Association (2010) Medical Laser Resource (online) available from http://www.bmla.co.uk/index.php/medical-laser-resources accessed 1st April 2010 Care Quality Commission (2010) Laser Lights (online) available from http://www.cqc.org.uk/_db/_documents/Lasers_Lights.pdf accessed 1st April 2010 Eden Aesthetics (2010) Products (online) available from http://www.edenaesthetics.com/products.php accessed 29 the November 2009 Ellipse (2010) Ellipse Micro light (online) available from http://www.ellipseipl.co.uk/pdfs/Ellipse-MicroLite-Brochure.pdf accessed 13th February 2010 Goldberg, D. (2000), Laser Hair Removal. Martin Dunitz, London Godfrey, S. (2002), Principles and Practice of Electrical Epilation. Butterworth Heineman Lanigan, W.S. (2000) Lasers in Dermatology. London Springer Verlag Ltd. Lucid Training (2010) Core Knowledge (online) available from http://www.lucidtraining.co.uk/coreofknowledgecourses.htm accessed 13th February 2010 Reference Aesthetic lasers (2010) IPL and Laser (online) available from http://www.laseroffers.com/category/risk-and-safety-issues-in-aesthetics/ipl-and-lasers/ accessed 1st April 2010 Care Quality Commission (2010) Laser Lights (online) available from http://www.cqc.org.uk/_db/_documents/Lasers_Lights.pdf accessed 13th February 2010 Care Quality Commission (2010) Guidance on applying for Registration (online) available from http://www.cqc.org.uk/_db/_documents/Guidance_on_applying_for_registration_Independent_private_and_voluntary_healthcare.pdf accessed 13th February 2010 Care Quality Commission (2009) Guidance for Professionals (online) available from http://www.cqc.org.uk/guidanceforprofessionals/registration/independenthealthcareservices/howtoregister.cfm accessed 28th October 2009 Laser hair removal review(2009) Fitzpatrick Scale (online) available from http://www.laserhairremovalreview.com/comparison.html accessed 29 the November 2009 Lynton (2010) Lumina (online) available from http://www.lynton.co.uk/product_details.php?id=45 accessed 1st April 2010 Appendix Appendix 1 YAG 1064 nm Lasers Intense Pulsed Light (IPL) Devices Applications Hair Removal, Photo rejuvenation, Skin Tightening, Active Acne treatment, Telangiectasias (spider veins), Rosacea, Sun Age Spots, Pseudofolliculitis Barbae. Hair Removal, Photo rejuvenation, Sun Age Spots, Rosacea. Efficacy High power to dermis: more energy to follicles, vessels, collagen, sebaceous glands. High power absorption in epidermis: less energy to deep dermal structures. Comfort Less painful due to shorter pulse durations. Painful due to tendency to super heat epidermal melanin. Skin cooling gels or equipment needed. Risk of Side Effects Safe on all Skin Types. all Skin Types. Consumables Few or none. Frequent head replacements (on average after 30,000 pulses), filters and gels annual cost $5,000-$10,000. Aesthetic lasers (2010) IPL and Laser (online) available from http://www.laseroffers.com/category/risk-and-safety-issues-in-aesthetics/ipl-and-lasers/ accessed 1st April 2010 Appendix 2 Lynton New Product information company equipment description use Lynton LP YAG HANDPIECE long pulsed Nd:YAG to add to a LUMINA base system hair removal for darker skin, skin rejuvenation, and leg veins for darker skin Lynton OMNILUX ideal for small treatment rooms, or those just starting out non invasive light therapy. Multiple treatment heads for use on acne, skin rejuvenation, wrinkles, non-melanoma skin cancer and psoriasis. Lynton Q-PLUS SERIES active q-switched Nd:Yag Laser with out puts at 1064nm and 532nm for use on epidermal and dermal pigmentation lesions and multicoloured tattoo fading and removal Lynton Q-PLUS C a single system combining actively Q-Switched YAG and Ruby Lasers providing outputs of 1064nm. 532nm and 694nm. For use on fading and removing tattoos of all colours and treatment of epidermal and dermal pigmented lesions. Lynton (2010) Lumina (online) avalabie from http://www.lynton.co.uk/product_details.php?id=45 accessed 1st April 2010 Appendix 3 Lynton Lumina LUMINA The flexible dermatological tool-box with Intense Pulsed Light, Laser and Q-Switched Laser technology. This clinically proven medical system leads the aesthetic sector in application versatility and revenue capability, with combined Intense Pulsed Light and Laser treatments. LUMINA is unrivalled in its system lifetime and flexibility, treating deep and superficial vascular lesions, unwanted hair, superficial and dermal pigmentation, photo-rejuvenation, active acne and multi-coloured tattoos. LUMINA has many unique features, including integral printer for treatment record keeping, patient database for instant and accurate records and digital imaging, as well as Interchangeable Light Guide (ILG) technology, all in a platform designed to accept application upgrades. Uniquely, LUMINA can be taken as an Intense Pulsed Light only specification at first and upgraded to add further Intense Pulsed Light handpieces and Laser accessories as required onto its compact single platform, givi ng a truly lifetime service. Please note LUMINA Intense Pulsed Light and Laser options require registration with the Care QualityCommission. KEY FACTS à ¢Ã¢â€š ¬Ã‚ ¢ Select from Intense Pulsed Light only orIntense Pulsed Lightwith laser options à ¢Ã¢â€š ¬Ã‚ ¢ High power for fastresults à ¢Ã¢â€š ¬Ã‚ ¢ Lifetime flexibilityand adaptability à ¢Ã¢â€š ¬Ã‚ ¢ The leading UKaesthetic system Lynton (2010) Lumina (online) avalabie from http://www.lynton.co.uk/product_details.php?id=45 accessed 1st April 2010 Appendix 4 LIGHT SERIES The latest multifunctional Alexandrite, KTP and Nd:YAG Laser Platforms LIGHT Series systems are characterized by the best long pulsed laser technology available today, and the ability to combine multiple wavelengths into a single unit results in an extremely cost-effective system that allows a wide range of treatment possibilities and a rapid return on investment. The LIGHT A is an alexandrite laser at 755nm, the Gold Standard in permanent laser hair reduction for skin types I-IV and pigmented lesions. The LIGHT A* combines long pulsed Nd:YAG and alexandrite, resulting in the most comprehensive hair removal system on the market. It can also operate in short pulsed Nd:YAG mode, which is specifically designed for collagen remodelling and skin rejuvenation. The LIGHT C Long/Short Pulsed Nd:YAG (1064nm) Long Pulsed KTP (532nm) is ideal for practitioners who want to offer a wide range of treatments such as port wine stains, vascular treatments, post-sclerotherapy matting, rosacea, pigmented lesions, hair removal for all skin types, skin rejuvenation and tightening, and leg veins all in one system. Lynton (2010) Lumina (online) available from http://www.lynton.co.uk/product_details.php?id=45 accessed 1st April 2010

Tuesday, August 20, 2019

The Religion of Money in F. Scott Fitzgerald’s The Great Gatsby - Essay

The Religion of Money in The Great Gatsby      Ã‚  Ã‚   Near the beginning of George Bernard Shaw's Major Barbara, Mr. Undershaft exclaims in retort of another's question, "well, I am a millionaire, and that is my religion" (Shaw 103). Many people look toward the heavens in search of the power to enable them to live in the world. Others, like Shaw's Mr. Undershaft, look toward more earthly subjects to obtain their power and symbolize their status. Often these subjects, such as money, wealth, or physical beauty and ability, give their owners an overbearing sense of power and ability in all of that they do. Some people become so obsessed with their materialistic power that it becomes their religion and leads them in everything that they do. In F. Scott Fitzgerald's The Great Gatsby, the character of Tom Buchanan is introduced and portrayed as someone who has allowed his physical abilities, money, and wealth, become his religion and lead him in his actions, perceived thoughts and beliefs, and speech.    Nick, the first person narrator of The Great Gatsby, introduces Tom as a "national figure in a way, one of those men who reach such an acute limited excellence at twenty-one that everything afterwards savours of anti-climax" (Fitzgerald 10). In college at New Haven, Tom relied on his physical abilities, as "one of the most powerful ends that ever played football" (Fitzgerald 10), as well as inherited wealth to give him the power and prestige to be perceived as better than the best. In the beginning of his college career, as Nick seems to suggest, it was this supreme physical ability on the football field that allowed Tom to have supreme reign over all off the field. But, after college, the football legacy ended, and with it, Tom'... ...lected to "make a short deft movement [that] broke her nose with his open hand" (Fitzgerald 41) rather than admit that the other party could do something without his explicit permission.    From his first introduction early in the first chapter of The Great Gatsby to the end of the second, Tom strives to constantly remind everyone around him of his power through his actions, thoughts, and speech. Like royal subjects loyal to their king, he believes that everyone is under him and should respect and obey his every wish. Through the mastery of Fitzgerald's poetic hand, a character has been created to which wealth has become a religion and god has become a personification of himself.    Works Cited Fitzgerald, F. Scott. The Great Gatsby. New York: Scribner-Simon, 1992. Shaw, George Bernard. Pygmalion and Major Barbara. New York: Bantom Books, 1992.

Monday, August 19, 2019

Compare And Contrast Two Alternative Systems Of Resource Allocation In

Compare And Contrast Two Alternative Systems Of Resource Allocation In The Economy Economics can be said to be the science which studies the relationship between scarce resources, with alternative uses, and consumers’ unlimited wants. Therefore the ‘problem’ of resource allocation can be seen to be central to the basic economic problem. In this way , how resources are allocated throughout an economy is of great importance and different types of economies employ different methods to achieve this allocation. All economies have this same basic economic problem of ‘what’ to produce, ‘how’ to produce it, and ‘for whom’ to produce it. Deciding what to produce involves choosing a certain allocation of resources, in order to produce a particular combination of goods. The method of choosing the resource allocation varies, according to the economy in question. There is also the question of how to produce the goods which you require. ‘Any particular output can usually be produced by several different techniques, ranging from ones using a large quantity of labour and only a few simple machines, to ones using a large quantity of automated machines and only a few workers.’ (R.G.Lipsey; 1989) Different economies also vary in the way that national product is distributed throughout the individuals and groups within the society. The methods which a society uses in order to tackle these questions determines the type of economy it is. There are various methods of resource allocation and the two most extreme cases are the contrasting methods of the ‘free-market’ and the ‘command’ economies. ‘In a market economy, the allocation of resources is the outcome of millions of independent decisions made by consumers and producers, all acting through the medium of the market’ (Lipsey; 1989) The free-market economy depends upon the interaction of consumers and producers, all acting in their own self interest. The allocation of resources throughout the economy occurs via the ‘price system’ a system which sets the free-market economy aside from the command economy. This system works in conjunction with the theory of demand and supply, that is, price is a function of the demand and supply of goods and services. An example of this could be illustrated using the markets for beef and pork. Let us say that, due to the recent British Beef crisis, the market demand for beef has ... ...ice of a good, are those for whom the goods and services are produced. In a command economy the central authority decides what, how, and for whom to produce in order to create the best economic situation. In practice, however, there are no purely command or free market economies, all economies are mixed with a tendency towards either extreme. The U.K may be said to be free-market, yet the government intervenes in order to combat the inequitable free-market attitude by monitoring resource allocation through benefits, taxation, subsidies and other policies. There are arguments or and against both free-market and command economies, however the modern trend of former planned economies moving towards the free-market attitude, despite problems during transition, seems to indicate that perhaps the advantages of the free-market outweigh the disadvantages and that the ‘free-market based’ modern mixed economy is more attractive than command based economies. BIBLIOGRAPHY Beggs, Fischer, Dornbusch (1997) : Economics 5th Edition. R.G.Lipsey (1989) : An Introduction to Positive Economics. C.Weststrate (1963) :Types of Economy. A.Eckstein (1973) : Comparison of Economic Systems.

Sunday, August 18, 2019

Nonverbal Communication and Cultural Differences Essay -- Cultural Dif

Nonverbal communication has always played an important role in the entire communication process. It may include gestures, kinesics, haptics and other means, which a person incorporates into the communication process. These acts make the communication process more effective and meaningful. However, nonverbal communication is highly influenced by cultural differences as the context of the culture defines how the message is interpreted. This essay will analyse several types of nonverbal communication such as proxemics, haptics, kinesics, semiotics and paralinguistic. It will also analyse the messages conveyed by these nonverbal communication types in different cultures and their impact on the non-verbal communication process in relative cultural contexts. Culture has always been a driving force in understanding nonverbal communication as nonverbal communication is highly influenced by the cultural differences as the context of the culture defines how the communication/message is interpreted in certain cultures. â€Å"Communication occurs within a context but the context is particularly important in relation to non-verbal communication† (Tyler, Kossen & Ryan, 2005, p.185). Culture defines the messages perceived by the non-verbal communication. For instance, proxemics. â€Å"Proxemics refers to the spatial relationship or how we use space.† (Tyler, Kossen & Ryan, 2005, p.190) Culture plays an important role in defining the use of one’s personal space in the nonverbal communication process. For example, in North America people usually remain at a distance from one another when talking while Latin American people stay very close when talking. (Wood, 2009). This defines the use of the privacy or personal space in t wo different cultures. H... ... Body Politics, power, sex, and nonverbal communication, Prentice Hall, New Jersey. Julia T. Wood. (2009). Interpersonal Communication: Everyday Encounters, 6th Edition, Wadsworth Publishing. Knapp, M.L. & Hall, J.A. (2001). Nonverbal communication in human action, Belmont, CA: Wadsworth. Marshall, C, Rossman, Gretchen B, (2006). Designing qualitative research, 4th edition, Thousand Oaks, California: Sage Publications. Morris, Desmond. 1994. Bodytalk: The Meaning of Human Gestures. New York: Crown Trade Paperbacks. Patterson. M.L. (1983). Nonverbal behaviour: A functional prospective, 1st Edition, Springer Peter Hartley, (1993). Interpersonal Communication, 2nd Edition, Routledge. "Cultural  Differences  in  Non ­verbal  Communication" Web. http://healthvermont.gov/family/toolkit/tools%5CF-6%20Cultural%20Differences%20in%20Nonverbal%20Communic.pdf

Saturday, August 17, 2019

Kant’s Views on Space and Time Essay

In his Critique of Pure Reason, Immanuel Kant wrote about the science of the transcendental aesthetic in which he argues that space and time exist as a priori intuitions in the human mind. Space and time, for Kant, are the pure forms of intuition that order our empirical intuitions or sensations and allow us to have them. Thus, the essence of his view in this regard is that space and time are subjective human conventions that our mind brings to the realm of experience. There is one argument of Kant’s for space being a pure intuition in particular that I find compelling. Essentially, Kant says that empiricists advocate that the concepts of space and time are derived from our sense experience. Kant argues however, that it would be impossible for space and time to be concepts derived from sense experience because of the fact that all of our sensory experience is already ordered spatially. Kant poses that there exists, a noumena other than phenomena. Reality can either be the empirical/phenomenal world, or the non-empirical noumenal world, or they could be both. The noumena may somehow house or emanate the manythat is in our minds in order to perceive empirical space and time. Kant points out that we can simultaneously view both the empirical reality of space as well as the transcendental ideality. As far as a whole or one whole, Kant posits that we cannot successfully conceive of the whole or entire entity of time, or space because it is supposed to be infinite as, in never-ending and formless. I can show you the finite shape or form of an object, whether felt, heard, felt, tasted, or shown, but I cannot successfully show you the shape or form of either space or time itself, only the objects and events that reside within them. Kant points out that we dream, yet dreams are not empirically spatial. We can only say, I had a dream at such and such a time, yet we cannot go there, as in going to an actual physical place, so dreams are only temporal. Yet, dreams are still part of reality. The same applies for time and space.