Tuesday, December 31, 2019

An Argument Against Racial Profiling - 2126 Words

Racial profiling is when an officer of law targets an individual not on their behavior, but rather their personal characteristics, such as race, ethnicity, national origin and religion. Racial profiling has been an issue that dates back earlier than the 1700s. Then when the fourth and fourteenth amendments were created, some thought racial profiling would simmer down. The fourth amendment states that the government is prohibited from any unreasonable seizes or searches; while the fourteenth amendment states that all men are presented with equal protection of the law. Unfortunately, even with the bill of rights, racial profiling still remained an issue. Recently, Arizona passed a law known as the show me your papers law, allowing officers†¦show more content†¦It is necessary to essentially filtering out the criminals based on suspicion. Statistically, most criminals are Hispanic or black, while most terrorists are from the middle east. Based on said statistics, they feel it i s a criteria to be met, while patrolling. If a Muslim is traveling at an airport, they are suspicious solely based on their religion, and therefore require more security measures than the Caucasian man. If an African-American man presents himself with a baggy shirt, and his pants sagging below his buttocks, surely his intentions are not anything lawful. Also, the Mexican man driving in Arizona, just might be an illegal alien, because the border is so close, so surely he is suspicious. Law officers are taking racial stereotypes, and applying them in a professional setting towards individuals to separate the good and the bad of each religion, race, or ethnicity. They feel it is necessary, to do so because it will save future crimes from happening, or future terrorist attacks. On the opposing side, racial profiling shouldnt be allowed because there isnt enough proof, to show its benefiting our society in any way. It makes a mockery out of the Bill of Rights, since it is a blatant vio lation of the fourth and fourteenth amendment. Not only that, statistics show that it doesnt do what its supposed to. â€Å"An ACLU lawsuit uncovered police data indicating that while 73 percent of suspects pulled over on I-95Show MoreRelated An Argument Against Racial Profiling Essay1129 Words   |  5 PagesI dont want to talk about whether or not racial profiling is legal. Racial profiling is not an effective law enforcement tool. -- Eric Holder, 82nd Attorney General of the United States Before any argument can be made against racial profiling, it is important to understand what racial profiling is. The American Civil Liberties Union, defines racial profiling as the discriminatory practice by law enforcement officials of targeting individuals for suspicion of crime based on the individualsRead MoreEssay on An Argument Against Racial Profiling878 Words   |  4 PagesWhen people act on their stereotypical views, that is when stereotyping becomes a big concern and can affect others.Stereotyping is the main cause that leads to profiling. Anyone of any race can experience profiling, and racial profiling discriminates and victimizes people who may not necessarily be committing a crime. Innocent minorities may be portrayed to do be doing something bad. According to Sameera Hazif, Policy Director of Rights Working Group, an African American named Mahari Bailey wasRead MoreAn Argument Against Racial Profiling by Police1379 Words   |  6 PagesRacial profiling in the dictionary is â€Å"the assumption of criminality among ethnic groups: the alleged policy of some police to attribute criminal intentions to members of some ethnic groups and to stop and question them in disproportionate numbers without probable cause (â€Å"Racial Profiling†).† In other words racial profiling is making assumptions that certain individuals are more likely to be involved in misconduct or criminal activity based on that individual’s race or ethnicity. Racial profilingRead More An Argument Against Racial Profiling by Police Essay example834 Words   |  4 PagesThis essay will bring to light the problem of racial profiling in the police force and propose the eradicatio n of any discrimination. The Fourth Amendment states â€Å"the right of the people to be secure in their persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be violated, and no warrants shall issue, but upon probable cause, supported by oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized.† DespiteRead MoreArrested Development Essay1054 Words   |  5 PagesWilliams ------------------------------------------------- EN102 Outline for argument analysis: Arrested Development I. ------------------------------------------------- Introduction: * ------------------------------------------------- James Forman Jr. targets this article towards conservatives who oppose racial profiling * ------------------------------------------------- Claim: Forman claims that racial profiling is an ineffective way to enforce the law and should be stopped. ------------------------------------------------- Read MoreIs Racial Profiling Justified?642 Words   |  3 PagesAn argument if racial profiling is justified Would you put your brother, sister mother or any other family in jail if the fit the profile of a perpetrator who committed a crime and is profiled by race or ethnicity? This same question roams around the psyche of every person on who need to solve a crime. But the bigger question in regard for racial profiling if it is justified. Racial profiling cannot be justified as it attacks the very root of society on which they are built. Two key issues centralRead MoreThe Problem With Racial Profiling1561 Words   |  7 Pages we have a problem in our justice system with racial profiling. Racial profiling is defined as targeting or stopping an individual based on his or her race without suspicion of a crime. On one hand, we have people who are completely against racial profiling. On the other hand, some believe that there is no problem with racial profiling. I am very interested in finding out both sides of this argument. What are the rights and wrongs of racial profiling? I chose Jeffrey Toobin’s (2013) blog post RightsRead MoreRacial Profiling And The Right For Police Officers1526 Words   |  7 Pagesamongst American citizens and even top government officials. Racial profiling is a subject that has stirred up so much controversy in the past that it still hasn t been fully resolved to this day. To put into historical context, periods of American history as the Jim Crow era, segregated colored people by regarding them as second-class citizens and restricted them from access to specific public facilities. The justification of racial profiling is an important social issue that affects society as a wholeRead MoreRacial Profiling in Canada1166 Words   |  5 PagesRacial profiling is the act of selecting targets for criminal investigation not on behavioural merit, but exclusively on markers of personal identity such as race, ethnicity, and religious orientation (Perry, 2011, p.9). In other words, racial profiling is the by-product of subjecting individuals who are from a particular racial community to a higher degree of scrutiny and surveillance by criminal justice system agents when compared to other racial communities (Wortley and Owusu-Bempah, 2011, p.135)Read MoreShould The Color Of One’S Skin Subject Them To A Higher1684 Words   |  7 Pagescontroversial topic in today’s society and leaves many confused. There are many arguments from all sides, some saying that this practice has helped catch many criminals and that people would not have to worry if they are not doing anything wrong. Others deny it all together and say that racial profiling simply does not exist and police officers are just trying to do their job. These arguments are both wrong. Not only does racial profiling exist, but it is wrong and only serves to create fear where there should

Monday, December 23, 2019

The Atomic Bombs On Japan - 873 Words

The creation of the atomic bombs dropped on Japan were not originally intended as a War-Ending weapon, far from that. Regardless of the reason for its creation, it has left a profound mark on humanity as a whole. While in its infancy the fission weapons were able to destroy small cities, but only after a decade a tested fusion bomb was 750 times more powerful. These weapons of mass destruction ended the war, but not without consequences. The development of the Atomic bomb started in 1939 after the renowned physicist Albert Einstein wrote a letter to President Roosevelt stating that â€Å"recent work had made it possible to set up a nuclear chain reaction in a large mass of uranium by which vast amounts of power ... would be generated by which, my dear Mr. President, it might be possible to unleash an immense destructive force† . He was driven to write this letter because two European physicists, one in America, were exchanging information on what was going on in Europe. In 193 9 when Germany banned the export of Uranium ore from Czechoslovakia, which this caught the European scientists’ attention they collaborated to contact Albert about this possible issue, toying with the idea that the Germans might be doing research of their own. Though priority and funding to organize the project was not given until the US entered the war in 1941, where the operation was designated Project Manhattan. John Greenwell 2013 Richard Rhodes 1987 During 1939 it was not clear who would winShow MoreRelatedThe Atomic Bomb Of Japan1548 Words   |  7 Pagestrue to say that the Japanese deserved to have two atomic bombs dropped on two industrial cities in the span of just around three days? Is it also true to say that is was alright for thousands of innocent Japanese lives to be sacrificed for the sake of showing the power of the United States to the then Soviet Union? Is the use of the atomic bomb something that can be justified even after it have killed and has a lasting effect on certain lands in Japan? This cannot be justified because of the way AmericaRead MoreThe Atomic Bomb Of Japan Essay2030 Words   |  9 PagesBanks December 14th, 2016 The Atomic Bomb On the morning of August 6th, 1945 Japan was rocked by an unbelievably deadly weapon, a weapon no one had ever seen before. This weapon was none other than the atomic bomb, crafted by the United States of America. Ever since that day people have had two opinions about the usage of the atomic bomb in the Second World War. The U.S. either receives acclaim or a large amount of shame. While many historians agree that the atomic bomb was a horrendous piece ofRead MoreThe Atomic Bomb On Japan1625 Words   |  7 Pagesfor the United States to drop atomic bombs on the Japanese Empire. Now, almost seven decades later, that decision is still the topic of much debate. Why did Truman decide to use a weapon so destructive that it could kill hundreds of thousands of people at one time? Was the decision he made the right one? It is important to examine the factors that went into this difficult decision before taking sides. Critics argue that it was unnecessary and inhumane to use atomic bombs . It is no secret that the decisionRead MoreThe Atomic Bomb On Japan1851 Words   |  8 Pageshouse with the shadows of the people who had lived there burned into the wall from the intensity of the bomb. The people were gone, but their shadows remained.† The impact of the bomb wiped out an entirety of people, but it also created new visions on arms and the future for all people. The decision to drop the atomic bomb on Japan in 1945 was both beneficial and harmful to the United States and Japan which also left positive and negative impressions on other parts of the world. In order to gain aRead MoreThe Atomic Bombs in Japan1373 Words   |  6 PagesOn August 6th, 1945, the United States dropped an atomic bomb on the Japanese city of Hiroshima without any precedent. The explosion viciously destroyed four square miles of the city and killed 90,000 and injured 40,000. (Weber, â€Å"Was Hiroshima Necessary?†) Three days later, a second atomic bomb stroked the city of Nagasaki which killed approximately 37,000 people and injured 43,000 (Weber, â€Å"Was Hiroshima Necessary?†). These actions of the United States still remain controversial today and the UnitedRead MoreThe Atomic Bomb On Japan1334 Words   |  6 PagesAmerican masses. While the decision to develop The Manhattan Project and drop the Atomic bomb on Japan surely ended World War II, there was a huge debate about the overall process and the social implications of allowing such a disastrous event to take place. There was a race to defeat the growing power of Hitler’s Germany , but that is not where the bomb landed. Scientists that had devoted their time to create the bomb felt they should have a voice in how it was used, but they were ignored. PresidentRead MoreAtomic Bombs And Its Effects On Japan1369 Words   |  6 PagesCan you imagine how many atomic bombs that have killed many Japanese during, World War II in Japan? On August 6, 1945, a new weapon with a significant explosive power known as the atomic bombs just has been dropped on Japan. The dropping of this weapon on Hiroshima and Nagasaki there were 262,020 civilians were killed. The United States to chose the atomic bomb in order for Japan to surrender and end the war quickly. Likewise, President Truman as the duty as president and Commander in Chief to protectRead MoreThe Dropping Of The Atomic Bomb On Japan Essay2238 Words   |  9 Pagesrelation to the dropping of the atomic bomb on Japan? (Intro 1—Context/Cover) The dropping of the atomic bomb on Hiroshima on August 6th, 1945 and Nagasaki on August 9th, 1945 was the first and last time the weapon has been used to date; the atomic explosions exposed the true potential of nuclear warfare whilst also highlighting the global superiority that America possessed at the conclusion of World War II. On August 6th 1945 â€Å"Little Boy†, a uranium atomic bomb was dropped on Hiroshima in an effortRead MoreThe Atomic Bomb Of Hiroshima Japan1862 Words   |  8 Pages6th 1944. A lone bomber flies over the skies of Hiroshima Japan. Seconds later it releases what will later become of the worlds most feared and dangerous weapons of all time, the Atomic Bomb. The bomb turns the city of Hiroshima into a wasteland of death and destruction. A few days later another more powerful bomb is dropped on Nagasaki Japan. This one flattens the city and kills at least Ninety thousand people. A few days later Japan surrenders ending the costliest and bloodiest war in the historyRead MoreAtomic Bomb On Hiroshima Japan Essay2526 Words   |  11 Pagesthe world changed, as we know it. President Truman ordered American pilots to drop the atomic bomb on Hiroshima Japan. After years of secretly experimenting and creating the atomic bombs the day had come that the President of the United State thought it was necessary for bomb to be used. At last the Manhattan Project, which â€Å"was a government program that was originally formed to secretly build and test atomic bombs to counter Nazi Germany† (The Road to Hiroshima, 2005), was no longer a secret. Four

Sunday, December 15, 2019

Northampton Coursework †Delimiting the Central Business District Free Essays

My study is located in Northampton, it is a large town with total population of 197,000 (according to the 2001 census), third largest in England at 21st largest settlement in England. It is located in the East midlands region of England, roughly 67 miles North West of London and lies on the river Nene which forms the border between Cambridgeshire and Norfolk and also is the ninth longest river in England and the twelfth longest in the United Kingdom. Northampton has Junctions 15,15a and a6 of M1 London to North Yorkshire. We will write a custom essay sample on Northampton Coursework – Delimiting the Central Business District or any similar topic only for you Order Now The A45 and A43 which have primary destinations to Coventry, Rugby, Wellingborough, Kettering and Corby. Northampton has railway services to London and Birmingham provided by London Midland and Virgin Trains. Sywell aerodrome is the nearest airfield which only has a grass runway but for international links, East midlands and Luton airport are quickly accessible via M1/M6 and also by train. Bus services are operated by Stagecoach, First Northampton and MK metro form Greyfriars Bus station in the town. History Northampton is the fastest growing town in England and has applied for city status. Traditionally was a shoe making and leather making town which decreased in 1960 but although some remain. Northampton in the past has been a secondary industry area but now is mainly a tertiary industry containing lots of services such as shopping malls cinemas and restraunts scattered around the town. Northampton has its own university named Northampton University. The town centre also contains many leisure and entertainment spots such as the Derngate theatre which has a capacity of 1200-1400 people at once. The Grosvenor centre and peacock place offer a large indoor shopping facilities however the market square offers an exceptional outdoor shopping facility. Local pubs also provide a great night out while on the other hand the sporting clubs offer a great chance to get involved. Theory There are two types of land use models, Hoyt model and the Burgess model. The Central Business District of a town or a city is usually located in the centre of the city or town. The CBD can be divided into two distinct concentric areas called the core and the Frame. The frame of the CBD has land uses such as office areas, some derelict land, limited light manufacturing, small shop/low grade, specialist services e.g. medical, etc. The core of the CBD is different to the frame because it contains low residential population, some vertical zoning with use of first/second floor, high density of pedestrians, concentration of banks/ business, etc. The PLVI is in the centre of the CBD and means Peak Land Value Intersection, meaning the place with the highest land value. In this investigation we are aiming to delimit the Central Business District of Northampton. Hypotheses 1. Over 70%of land use in the Grosvenor centre will be for high order comparison goods. 2. The highest pedestrian flows will be recorded on Abington Street. 3. The lowest Environmental quality scores will be recorded in the Greyfriars Area. 4. Environmental Quality will be highest in the Grosvenor centre. 5. The age of the buildings will decrease as you travel further form the CBD. 6. Highest traffic will be in the frame as there are car parks and major ring roads in the frame. Methodology (Data Collection techniques) We will collect data in Northampton on Friday the June 19, 2009. We will leave Weavers school at 9 am sharp and return back to school at 3 pm approximately. We will spend roughly 45 minutes in each of our study areas. We have split the centre of Northampton into 6 study areas and they are Greyfriars, Upper Abingdon Street, St Giles Street, Market Square, The Grosvenor Centre and Gold Street/Bridge Street. In each area we will organise ourselves into of 3-5 people so that we can collect data on land use, height of the buildings which will help us delimit the CBD of Northampton. These types of data are primary data but we may also look for sources of secondary data such as leaflets and maps. The selection of Northampton as our study area We chose Northampton as our study area for a number for reasons such as; * Northampton is convenient as it is only 8 miles from Wellingborough. * Northampton is familiar to us and we can revisit it if necessary to collect further information. * We believe Northampton is a typical of a large English town. * Northampton town is a manageable size to survey in a school day. * We have a particular interest in Northampton as it is our county town. * Northampton would be an easy place to study as we have all been there before a number of times. Hypothesises explained 1. Over 70% of the land use in the Grosvenor centre will be for high order comparison as only companies with high profits can afford the high land costs. 2. The highest pedestrian flows will be recorded on Abingdon Street as there are more services and shops for people to shop. 3. The lowest environmental quality scores will be recorded in the Greyfriars area as there is a bus station which pollutes it with air pollution. 4. Environmental Quality will be highest in the Grosvenor centre as it the major shopping area in Northampton. 5. The age of the buildings will decrease as you travel further from the CBD because it costs too much to rebuild as the land prices are high and so are the health and safety risks. 6. Highest traffic will be in the frame as there are car parks and major ring roads in the frame. Conducting a Land Use survey The purpose of conducting a land use survey is to discover the pattern of land use in the study area and attempt to map the edge of the frame and core of the CBD as this is the aim of the whole project. The procedure to conduct a land use is as follows: during the 45mins which are allowed in each of the 6 areas we code each building according to its land use with letters. The land use code varies e.g. PB for public buildings, LO for low order shops, etc. The type of data collected is qualitative as it describes type of use of each building. The advantage of this sort of data is that actually describes the type of building and is quick and easy however it doesn’t tell an exact number of buildings in each category. The sampling technique is systematic as this ensures that the whole area is covered without gaps. Conducting a Traffic survey The Purpose of conducting of a traffic survey is to discover where the highest traffic counts are as theory suggests that they will be in the frame as there are lots of parking spaces. The procedure is as follows: Stand at a safe place by the side of the road and record the number of vehicles of different categories that pass you in each five minute period. The type of data is quantitative. The advantage of this sort of data is that it gives an exact number however it doesn’t tell what type of vehicle it is, this would matter as if it is a local bus or a lorry are for business purposes while a car is for personal purposes. The sampling technique is systematic point sampling as we don’t miss as vehicles which pass us. Conducting a Pedestrian count The purpose of conducting a pedestrian count is to discover where the highest pedestrian counts are as theory suggests they will be in the core of the CBD as there are lots of shops and services. The procedure is as follows: stand in a place where you can clearly see in both directions on the street and count the number of people that pass you in a five minute period using a tally chart. The type of data is collected is quantitative. The advantage of this sort of data is that is tells the exact number of people walking by however it doesn’t tell what purpose are the people coming in the town for as this would show what is the use made by people of a particular area. The sampling technique is systematic point sampling so we don’t miss any people which pass us. Conducting an Environmental quality survey The purpose of conducting an environmental quality survey is to assess the quality of the environment as in the theory the scores should be higher towards the centre of the CBD as there normally are regular cleaning schedules. The procedure is as follows: give each particular criteria a point on a 5 point rating scale which extends from +2 to -2, the criteria varies from visual impression to pollution etc. The type of data collected is quantitative. The advantage of this sort of data is that it tells exactly how polluted the area is however it doesn’t tell what part of the CBD is polluted the most as there are no words and this matters because there is no point getting numbers but don’t know where they come from. Data analysis and interpretation Land use- Area 1 The largest category of land use in area 1 is derelict with 21% of the total. This may be because of the current recession which affects the company’s profits, closing them down. Other types of land use that are well represented include public buildings. This may be because there is good transport near it, the Greyfriars bus station in the area so the public can access the buildings. Therefore it is likely to be in the frame as it has good transport services. Land use- Area 2 The largest category of land use in area 2 is other services with 20% of the total. This may be because it has high pedestrian count, so more people can access it. Other types of land use that are well represented in area 2 include public buildings, offices and food shops. This may be because it has high pedestrian count, as it has lots of varieties of shops and services. Therefore it could be in the core as there are lots of services. Land use- Area 3 The largest category of land use in area 3 is offices with 15% of the total. This may be because it is a easily accessible area so people working in the office can access it. Other types of land use that are well represented in area 3 include financial services. This may be the fact it is mainly offices. Therefore it could be in the core as it has lots of financial services. Land use- Area 4 The largest category of the land use in the area 4 is public buildings. This may be because it is has lots of roads and a market square that people access normally, so a good place of public buildings that can be accessed be the local public. Other types of land use that are well represented in the area 4 include other services and high order comparison. This may be because, as it is next to the Grosvenor centre which his very high pedestrian counts, it is a location. Therefore this could be in the core as there are lots of services in the area. Land use- Area 5 The largest category of the land use in the area 5 is High Order shops with 40% of the total. This may be because as this area has high pedestrian flow so more people are likely to enter the shop and by goods. Other types of land use that are well represented in area 5 include Low order shops. This may be because as there is high pedestrian flow. Therefore this could be the PLVI as it is a prime shopping area with the most high order comparison shops. Land use- Area 6 The largest category of land use in area 1 is Other Services with 27% of the total. This may be because it is in a high pedestrian area and near major roads. Other types of land use that are well represented in area 6 include low order. This may be because this area is near Market square and Grosvenor centre. Therefore this could be in the core as it has quite a few services. Comparing Traffic flow in different areas The average value of number of vehicles that pass a fixed point in a minute is 41. The range of data was 92. The highest value recorded was 118 vehicles per 2 minutes at the top of Abington Street (area 2) near the A5123, this is 92 more than the lowest value and 77 more than the average. The lowest value was 26 at Drapery (area 4), this is 1 higher that bridge street (area 6) and 16 less than sheep street (area 1). As Grosvenor centre is a shopping centre, traffic flow is not applicable and the average and range were calculated excluding Grosvenor centre. Generally, as the distance from the Grosvenor centre increases so does the traffic flow. We expected to find the highest traffic flow in area 1 as there is a major bus station Greyfriars but instead we found that area 2 has the highest traffic flow. Comparing the Environmental quality of different areas The average environmental quality score was -2 while the range was 25. The highest score was 11 for the Grosvenor centre (area 5), which is 25 points higher than the lowest -14 at bridge street (area 6) and 13 higher than the average. Drapery (area 4) had a score of zero. Castilian Street (area 3) was the second lowest with -9, this 11 less than Abington Street and 7 more than Sheep Street (area 1). Generally, the further away from the Grosvenor centre lower the scores are. Grosvenor also had the best building condition and appearance but no plants or trees, while Bridge Street had the lowest building condition and appearance score also very polluted. We were expecting to find the Grosvenor centre the cleanest as it is the centre of the town and indeed we found Grosvenor centre to be the cleanest. Comparing the Age of buildings of different areas Most buildings were Post War (1946-1969). There were also a few Victorian (1830-1900) and Pre Victorian buildings (before 1830) dotted round the town. There were also some Pre World War 2 (1901-1945).However, the Grosvenor centre, the Multi-story car park, Job centre and few others are modern buildings (1970 -2009). As, so far the Grosvenor centre has been suggested by our data that it is the PLVI, normally the centre of the CBD is quite old and as you go further away the building age decreases. This is an anomaly that we have discovered because the centre of the CBD has the youngest buildings. We were expecting to find the PLVI/Core to be the oldest. Comparing the Pedestrian count of different areas The highest recorded count was 209 on Abington street (area 2) while the lowest on Hazelwood road (area 3) at just 3. Generally Area 2 has the highest count and so does the Grosvenor centre. We expected to find the highest count on Abington Street and indeed we did find that. The range of the data was 206 this suggests that the counts vary a lot from place to place. Looking back at our hypothesis Our first hypothesis was that â€Å"Over 70% of the land use in the Grosvenor centre will be for high order shops†. However, only 39% of the shops were high order which doesn’t support the hypothesis but as Grosvenor has the highest percentage of high order comparison shops, it is the Peak Land Value Intersection at the centre of the central business district. Our second hypothesis was that â€Å"The highest pedestrian flows will be recorded on Abington Street†. Our data supports the hypothesis as the highest, 209 people, were recorded. This suggests that Abington Street is in the core of the CBD, also as it is a pedestrianised street it should definitely be in core. Our third hypothesis was that â€Å"The lowest environmental quality scores will be recorded in the Greyfriars area†. Our data challenges the hypothesis as the lowest score was recorded on Bridge Street. This suggests that Bridge Street is not in the core as it is not clean, generally the core of the CBD normally clean. Our fourth hypothesis was that â€Å"Environmental Quality will be highest in the Grosvenor centre†. Our data supports the hypothesis as Grosvenor centre scored 11 points, 25 more than the lowest. This suggests that Grosvenor centre is in the Core as it is the cleanest. Our fifth hypothesis was that â€Å"The age of the buildings will decrease as you travel further from the CBD†. Our data challenges this hypothesis, as the apparent PLVI is the Grosvenor centre, Grosvenor centre is a modern building (1970- 2009) while the building around it are mainly Post war (1946-1969). This suggests that Grosvenor centre is in the not in the CBD. Our sixth hypothesis was that â€Å"Highest traffic will be in the frame†. Our data shows that A5123 near Abington street has the highest traffic flow. This suggests that A5123 is in the frame as it has high traffic flow because frame has major ring roads and transport services. Reaching conclusions about the location of the core and the frame of the CBD Abington Street is definitely in the core because it has the highest pedestrian count also there are lots of high order shops. Grosvenor centre is also definitely in the core, in fact it is the Peak Land Value Intersection because it has the highest percentage of high order shops, and also it is the cleanest of all. A5123 road is definitely in the frame because it has the highest traffic flow. While, Greyfriars is also in the frame because it a major bus station, frame normally has lots transport services. Bridge street is also in the frame because has the poorest environmental quality. The boundary between the core and the frame is between Market Square and the Grosvenor centre, because market square is low order while Grosvenor centre is high order. The other boundary appears to be where Fish street meets St Giles street because there are much lower pedestrian counts and number of high order shops on St Giles street than on Fish street and Abington Street. Furthermore, The Junction near Abington street, A5123 is another boundary between the core and the frame because A5123 has the highest traffic flow while Abington street pedestriansed. There also another boundary, which is between the multistory car park (behind Grosvenor center) and the Grosvenor centre, as frame usually contains car parks while the Grosvenor is high order so it must be in the core. Evaluation of the investigation The investigation has been a success as we have rightfully discovered the extent of the core and the frame in the CBD also boundaries of the core and the frame. The collection of all the data and reaching the conclusion worked well as a part of the investigation because useful and understandable conclusions were reached also the data was effectively collected. The time period was quite short but long enough to get basic data, however for more accurate and precise data more places within the town should have been surveyed and for that longer time period would be needed. So at least 2 day trip should be organised the next time. Also we found the CBD being an anomaly as the youngest buildings were in the core, to improve this an another study place should be selected such as Milton Keynes. The results could also be compared with a similar case study in an LEDC as this would provide a greater comparison. The data might not be reliable as this data was collected during one of the worst recession, this increases the number of the derelict buildings and the total number of shops, offices, etc in the area. For example, a particular area in Northampton before the recession area could be full of high order shops but now because of recession it may be all derelict, so this affects the reliability. This is supported as we did find derelict shops even in the Grosvenor centre. The validity is also affected, the data is still valid because there wasn’t an areas that was fully or mostly derelict, the impact of the recession was spread out not targeted in a particular area. We can trust our findings as these are all factual figures collected by ourselves. How to cite Northampton Coursework – Delimiting the Central Business District, Papers

Saturday, December 7, 2019

The Process of Canonization free essay sample

The canonization process has existed in Catholic religion for centuries. This process is steeped with history, as well as tradition, and rewards people for their unwavering commitment and faith to Catholicism. The process is long, arduous, expensive, and eventually requires authorization from the highest of Catholic officials. This paper will review the history, requirements, and financial expenses involved in the process of canonization into sainthood. History Saints are human, like us, but they personify divine power and have privileged contact with the supernatural. Saints perform miracles, receive visions, and are in love with the spirit. They truly are â€Å"the chosen few† (Dunn-Mascetti, 1994). As Catholics we refer to saints as people who are extremely holy; living their lives as perfect Christians, thus allowing them the right to serve God, on a personal level, in heaven (Schreck, 2004). Canonization is the process in which the pope declares a deceased constituent of the faithful is projected as a model and intercessor to the Christian principles and recognized as a saint due to living their life in a heroic manner or becoming a martyr because of their continued faith to God (Molinari O’Donnell, 2000). This persons name is then inducted into the canon of saints, citing those who are to be given veneration universally into the church. Canonization is an earthly decision, meaning it honors them as a saint on earth, not their entry into heaven (Bunson, M. , Bunson S. Bunson, M. , 1998). According to Molinari O’Donnell (2000), canonization originated during the early formulation of the Christian doctrines of worship, invocation, and intercession. The faithful believed that martyrs were true Christians and saints because they made the supreme sacrifice, by giving their lives, for God, the Gospel, and the good of the church. Their suffering earned them eternal life. Toward the end of the great Roman persecutions, the veneration of martyrs was extended to confessors, those who defended and suffered for their faith, but did not die doing so. Those confessors who had been excellent Christians, in austerity and penance, were now eligible to be rewarded with sainthood (Molinari O’Donnell, 2000). â€Å"The first formal canonization came in year 993, when Pope John XV raised Ulric of Augsburg to the altars during a synod at the Lateran Basilica†. As you will see, the qualifications for canonization in the later years became more stringent after previous inductees were found to be of imperfect sanctity (Bunson et al, 1998, p. 17). Requirements The process for canonization is divided into two phases; diocesan and Roman, or apostolic. When a person dies, and it is determined they lived a perfect and holy Christian life, a formal process for canonization is initiated. In the diocesan phase, the investigation is guided by the procedural law of the 1983 Code of Canon Law, by the diocesan bishop who formally conducts the process where the candidate died. A cause defined as â€Å"recent† is one where the person’s eligibility for sainthood can be corroborated through the disposition of eye-witnesses, and can only begin after a five years following the death of the candidate. A cause defined as â€Å"ancient† is where the evidence of virtues or martyrdom can be gathered only from written sources, subsequently, there is no time limit for this cause (Molinari O’Donnell, 2000). The postulator, a person approved by the bishop and responsible for the presentation of evidence for authenticity, also agrees to bear the moral and financial expense of the cause. Their primary job is to supervise the investigation and to determine the candidate’s fitness for canonization, by researching their life, work, and holiness. After the diocesan phase is complete, the postulator will reside in Rome where he will develop the formal argument for canonization with the Congregation for the Causes of Saints, which is comprised of cardinals and bishops. During this time, the postulator will create a Positio, a book containing an account of the candidate’s life and virtue (Molinari O’Donnell, 2000). In the diocesan phase, information, both positive and negative, on the candidate’s life, work, and holiness are collected and documented to establish the validity for the petition to canonize. In order for the nominee to advance to the next step, their published writings will be submitted for approval to two theological censors, selected by the bishop, and will be graded on doctrine and moral teachings. Other writings from the candidate will then presented to a historical commission, also selected by the bishop, which will conclude this particular phase. Evidence must clearly show that the candidate lived a life of faith, hope and charity beyond that of a common Christian (Molinari O’Donnell, 2000). The Roman, or postolic, phase commences when the acts of the diocesan process have been turned over to the Congregation for the causes of Saints, and they have declared the cause as â€Å"valid†. At this point a â€Å"relator†, an official of the Congregation, will be appointed and will assist in the creation of the Positio. Another official of the Congregation, known as the â€Å"promoter of faith†, will be accountable for the assessment of the cau se by historical and theological consultants to whom the Positio may be submitted for their endorsement. At last, all of this information is submitted to the Congregation for the causes of Saints, who will then forward it to the pope upon their endorsement. If the pope determines the candidate as suitable for canonization, a Bull of Canonization is issued, infallibly affirming the candidate’s perfection of the saint’s life and distinguishing their role as a divine intercessor; thus becoming a saint (Molinari O’Donnell, 2000). Even through the long, demanding process involving in-depth research, historical study, and theological manifestation, the decision to canonize lies solely with the pope, and requires a confirmation from God in the way of two miracles, which is scrutinized heavily by the Congregation. Miracles are a product of divine intervention and reinforce the candidate’s holiness as a servant of God. Martyrs are exempt from this miracle requirement because the act of sacrificing one’s life is viewed as the perfection of charity; they need not prove their worthiness in miracles (Molinari O’Donnell, 2000). Financial Expense The tremendously long hours of interviews, research, travel, and other intangibles make the canonization process an exhaustive event. The thoroughness of the process comes at a steep price. After sainthood is declared, the expenses include paintings representing the new saint which is given to the pope, cardinals, and other officials of the Congregation for the causes of Saints. Other expenses include decorations of the Basilica, Pontifical Mass, Sacred Vestments, and incidental expenses that make for a sizeable bill to the postulator of the cause. For example the final expenses for the canonization by Saint Leo XIII of Saint Anthony Maria Zaccaria and Saint Peter Fourier came to the total of 221,849. 10 Italian lira. When we convert that to the U. S. dollar, the total becomes $42,816. 87 (Beccari, 1907). Conclusion Canonization has long been a tradition in Catholicism that goes all the way back to year 993. The process is a thorough procedure that involves intensive investigation of a nominee and standard they maintained in their Christian and personal life. The requirements are tightly scrutinized, and for good reason, due to the nature of the appointment to saint. A saint is in personal contact with God in heaven; we worship and pray to them. We rely, trust, and place our faith in the pope and Congregation to make the right decision, to allow only the most deserving and most holy to be rewarded with the highest honor the church can bestow upon a human being. The cost is great, but the return on the investment is heavenly.

Friday, November 29, 2019

Membrane Essays - Membrane Biology, Transport Phenomena, Diffusion

Membrane The membrane has a double lipid layer through which fat- soluble substances will move, by passive transport or diffusion. The molecules will only move through if they are small enough. There are globular protein regions, which are hydrophilic. These regions allow water and water soluble substances through, but only if they are small enough, for example starch grains are too big. These substances move through by passive transport or diffusion. Diffusion is the passive movement of substances from a high concentration to a low concentration ( N.B., you don't need a membrane present, e.g. diffusion occurs in the air). In CONTRAST, diffusion of water across a semi- permeable membrane is called OSMOSIS. Active Transport Active transport requires energy from ATP, and involves carrier molecules studding the membranes. The carrier combines with the molecule on the outside, which requires ATP. It then moves across, (which also requires ATP), and returns. An example is glucose being transported by active transport by insulin. Why is it called the Fluid Mosaic Model? Fluid- it is called a fluid because proteins are said to wander through the membrane (hence fluid) Mosaic- it is a mosaic because it is a collection (or mosaic) of structures Model- because no matter how real the diagram looks, it is not real. Therefore, it is a model. SO you put all three bits together and you get.

Monday, November 25, 2019

Booker T. Washington Essays - Booker T. Washington, Free Essays

Booker T. Washington Essays - Booker T. Washington, Free Essays Booker T. Washington Booker Taliaferro Washington was born on April 5, 1856 in Franklin County, Virginia near a cross-roads post-office called Hale?s Ford. He was an American educator and a black leader. When Booker was a child he worked in coal mines for nine months a year and spent the other three attending school. In 1875 he graduated after working his way through Hampton Institute. In 1881 he became the first president of Tuskegee Institute, a trade school for blacks that live in Alabama. When the Tuskegee Institute first opened it had only one teacher, about fifty students and 2,000 dollars a year from the state of Alabama. By it?s 25th anniversary under Washington?s leadership, the school had more than 1,500 students, training in 37 industries. In 1882 Booker got married to Miss Fannie N. Smith of Malden, West Virginia. Fannie died in May of 1884. One child, Portia M. Washington, was born during their two year marriage. In 1885 Booker married Miss Olivia Davidson. Later on after four happy years of marriage Miss Olivia Davidson died in 1889. Two children had been born while they were married Booker Taliaferro Jr. and Ernest Washington. In 1893 he was married to Miss Margaret James Murray, a native of Mississippi, and a graduate of Fisk University located in Nashville, Tennessee. Although Washington lived during a time in which his race was widely discriminated against, he recommended training black people for trades to build up their economic position before fighting for their integration and equality. He believed that black people advance only if they were educated. In 1895 Booker presented his views in a speech at the Atlanta Exposition, he rapidly gained the attention of white leaders. He became powerful in channeling contributions to black causes and in getting blacks appointed to federal jobs. He advised presidents Theodore Roosevelt and William Howard taft on racial matters. Booker?s greatest surprise was the letter he received from Harvard University on May 28, 1896 inviting him to the approaching Commencement, an honorary degree on June 24. In the summer of 1900 with the assistance of Mr. T. Thomas Fortune he organized the National Negro Business League which brought together lots of colored men engaged in many lines of business from different parts of the United States. Booker died on November 14, 1915 six years after Booker died Miss Margaret died in 1925.

Thursday, November 21, 2019

Impact of Quality Preschool Programs on Closing the Racial Achievement Research Paper

Impact of Quality Preschool Programs on Closing the Racial Achievement Gap - Research Paper Example This essay stresses that the impact of racial discrimination was significant on the society in the past but fortunately, today such acts are almost eliminated from the society. Meanwhile, another major problem faced by many nations is the situation of racial achievement gap where there exists social and academic gap between the children’s performance based on the color and their origin. In many circumstances, it has been seen that performances of color children lack behind in terms of academic and other subject matters when compared to white children. Such situation has resulted in racial inequality and stagnant growth of the nation. Thus, in order to overcome or narrow the prevailing racial achievement gap, quality preschool programs have been introduced with an aim of closing the racial achievement gap. This paper makes a conclusion that racial achievement gap is the phenomenon whereby there exists a major inequality of educational success between the color, low-income and minority groups of children when compared to white, high-income and non-minority children. Minimizing the persistent racial achievement gap among the white and the color students can be regarded as one of the toughest challenges to the governmental and parental efforts towards imparting quality education to their children. Usually, African American students’ score lower when compared to European American students in matters relating to writing, reading, mathematical tests and other intelligence test. Notably, this gap rises before the children are enrolled in school which continues to have its impact even in their adulthood. Contextually, in recent years, closing the racial achievement gap between the white and the color students has attracted considerable concentration of the federal and state government. As a result, a number of federal and state policies have been formulated to reduce the racial achievement gap persisting within the nation. Schools in America have been struggling for years to close the racial achievement gap among the white and Hispanic students (Wisconsin Council on Children and Families, 2004). However, the gap has been lessened since 1970, still the American color children fail to score the competitive percent almost in the entire standardized test. Conceptually, the statement does not intent to imply that all color students’ performances are below than the white pupils. However, there exists a lot of gap between these two groups (Wisconsin Council on Children and Families, 2004). Nonetheless, closing the racial achievement gap between color and white students in the USA would probably require more efforts to narrow racial disparity and further to promote racial equality among the people of the USA. Eliminating the racial achievement gap would require eff orts from both color and white people or the families that may probably consume in excess of one generation to achieve the desired outcomes. Components of Quality Preschool Programs The disparities in academic performances are highly correlated to socioeconomic, racial

Wednesday, November 20, 2019

Water wars the Middle East Essay Example | Topics and Well Written Essays - 3500 words

Water wars the Middle East - Essay Example Fresh water is a very important resource that is in short supply and continuously diminishing in numerous regions across the globe. In barren, semi-arid, and desert regions, like the Middle East, water shortages are a serious problem. Regions lacking access to adequate supply of water resources had witnessed vicious competitions for fresh water supplies since ancient times.   The likelihood of conflict is aggravated by the fact that numerous major rivers extend to the territories of various nations, and political boundaries partition underground water tables. Proponents of the water wars hypothesis cite numerous subjective proofs to substantiate their assumption that conflicts over access to water resources will lead to wars, like the statement of former Egyptian President Anwar Sadat that Egypt will soon fight over water resources, or the warnings of Turkey to discontinue water supply from Euphrates to the detriment of Iraq.   However, these predictions are not actually backed u p by evidence, and are filled with methodological weaknesses. Declaring a trend, like what Peter Gleick, a well-known environmental security scholar, did is unjustifiable because Gleick and others do not take into consideration the earlier prevalence of conflicts over water, which requires a comparison between the prevalence of actual instances of conflict and the number of such instances across the globe.   The examination of present and future situations is also subjective and unreliable, and the affirmation of a trend is not supported.

Monday, November 18, 2019

How Technology in the Workplace has shaped Outsourcing and Essay - 1

How Technology in the Workplace has shaped Outsourcing and Globalization - Essay Example ivilization or Christianity, but the real objective, according to Thurow & Lessard (2002), was to exploit the untapped resources of poorer countries so the richer countries can enhance their wealth. Probably because of this striking resemblance between colonization and latter-day globalization, analysts saw globalization coming as early as the mid-19th century. One of them was Karl Marx, who perforce warned of dire consequences: â€Å"It will make the poor poorer because it will bring down wages, increase class and country inequality, create monopolistic companies with global dimension and create economic collapse in places characterized by social, economic and political instability (Mahdavi, 2004).† Marx in his Das Kapital even expressed fear of â€Å"religious terrorism† as a possible reaction to the concept of globalization. These are exactly the same social concerns that many are raising to intersperse with the chorus of praise for the otherwise welcome benefits of technology as represented in today’s world by computers and the Internet. The questions that this paper seeks to satisfy are: Has any of Marx’s predictions come true? While technology is generally viewed as a good thing, are there any downsides to the resulting globalization that fostered business outsourcing? The information revolution as we know it traces its roots to the family computer that made video games possible. Then in mid-1970s, the electronic principle that made the family computer work was successfully expanded through a gadget that came to be known as personal computer. The personal computer with its subsequently developed Internet capability was soon hailed as a device that revolutionized information dissemination in a much bigger way than the telephone. Whereas the telephone established connection between only 2 or 3 nodes, the Internet allows simultaneous exchange of information in digital form among a limitless number of nodes. The economic impact of the

Saturday, November 16, 2019

A Systematic Model Of Training Management Essay

A Systematic Model Of Training Management Essay Introduction The primary reason for evaluation being adopted in any sector is to determine the effectiveness of processes and the ways to improve them. A single meaning for the term evaluation is not easy to find. Weiss (1972; p.1) saw evaluation as an elastic word that stretches to cover judgements of many kinds. We can thus suggest that one meaning of evaluation in LD is concerned with judgements relating to the value of particular processes. Taken in this way, we can see that evaluating is closely connected with peoples view of LD and the criteria use to make judgements. If one accepts that evaluation is an attempt to judge the value that LD adds to an organisation then Bramley (1991) and other as per (Appendix 1) argues that purpose of evaluation is not only to add value but to discover to what extent the learning is useful for the job and has the learning transferred to workplace. Development activities intended to increase the effectiveness of managers can be evaluated at number of levels. The proposed framework for evaluation by Kirkpatrick (1959) is as follows: Reaction: The reaction of learners following an activity. Learning: The skills, knowledge gained as a result of the activity Behaviour: The effect on the performance of the learner within the workplace Results: The effect of changes in performance on measurable results at work This view has become conventional wisdom with regard to evaluation where different levels can be linked in a chain of consequences (Hamblin, 1974). Another level was added by Phillips (1996) to enable a return on investment (ROI) which could provide direct link between LD and an organisations results. Most organisations carry out evaluation at the reaction level, some measure learning in technical skills, but few attempts to assess changes in behaviour or criteria of organisational effectiveness (Ralphs and Stephan, 1986). Representation of Kirkpatricks and Phillips model of learning analytics showing level-wise measurement objectives Fig 1: Representation of Kirkpatricks and Phillips model of learning analytics showing level-wise measurement objectives (http://leanlearning.wikispaces.com/learning_analytics). Methodology will partly depend on the beliefs held about what happens in LD. The two board approaches of methodology can be identified as positivist methodologies which are based on observations and measurements, whereas phenomenological methodologies are based on action and implementation (Mumford and Gold, 2004). The differing perspectives offered by positivism and phenomenology provide evaluators of LD with different thoughts to inform the choice of evaluation models and methods. In UK, for many years a systematic model of training and evaluation has been regarded as the orthodoxy. A typical presentation of this model is shown below. IDENTIFY TRAINING NEEDS AND SPECIFY OBJECTIVES DESIGN ACTIVITIES IMPLEMENT ACTIVITIES EVALUATE ACTIVITIES Fig 2: A systematic model of training (Mumford and Gold, 2004) The four stages model emphasises the need to evaluate at the conclusion of activities. Data collected can then be analysed and decisions made on the value of the activities and the extent to which the objectives set were valid. The data gathered may be subject to bias and distortion, dependent on the feelings of the group at the time of completion (Smith, 1990). The various meaning of evaluation has tended to focus on the outcomes of LD activities. It also suggests that value can change throughout participation and that objectives at the start of process are not the same during the process and on completion of it. Here we could make use of a distinction that is frequently made between (Appendix 2) summative evaluation, which occurs on completion of an activity and formative evaluation, which occurs while the activity is happening. These variations and presence of different interests make evaluation a complex process for it needs to take into account and respond to different interests and their judgements (Easterby-Smith, 1994). Leadership Development It is hard to overstate the importance of leadership in todays corporate environment, especially in the light of business failures. Leadership can play a critical role in almost every aspect of corporate and communal life (Ashkanasy, 2004: 165). There are many models of leadership; a traditional approach is the trait-based model (Bird, 1940; Mann, 1959; Stogdill, 1948; Zaccaro, Kemp Bader, 2004). This approach seeks to find those attributes of persons that are associated with leadership success. There are few problems associated with this approach as it tends to be modest to moderate and hence can account for only a part of what makes a leader successful, also it undervalues the importance of modification and the approach is static, whereas leadership is dynamic (Antonkasi et al, 2004). Stenbergs WICs Model The theory proposed here views leadership as in large part of how one formulates, makes and acts upon decisions (Sternberg Vroom, 2002). According to this model, the three key components of leadership are wisdom, intelligence and creativity (WICS). The basic idea is that one needs these three components working together in order to be a highly effective leader. Intelligence: academic intelligence (memory and analytical abilities) and practical intelligence (ability to solve everyday problems and manage oneself, others and tasks). Wisdom: using intelligence, creativity and experience moderated by values to reach a common good, balance between own, others and organisational interest, over the short and long term to adapt, shape and select environments. Creativity: skill in generating ideas and products that are novel, high quality, appropriate for the task in hand. generation of ideas that others will follow. Leadership Fig 3: Sternbergs WICs model of leadership (Sadler-Smith, 2006) The WICs model is related to many other models which incorporates elements of transformational as well as transactional leadership (Bass, 1998; Bass Avolio, 1994; Bass, Avolio Atwater, 1996), emotionally intelligent leadership (Goleman, 1998), visionary leadership (Sashkin, 1988, 2004), and charismatic leadership (Conger Kanugo, 1998; Weber, 1968). WICS provides a framework that not only integrates many of the models that have come earlier, but also that have individually included only some of these interlocking skills, attitudes, and situational variables. Leadership development is expected to improve these attributes further and also to maintain balance in negotiating situational demands and tensions. All of these theories propose explanations for developing leaders but they have not been scientifically proven and some might require an in depth analysis to prove their effectiveness. Most of these strategies tend to concentrate on the individual leader but they tend to ignore the effects of dynamic or individuals environment on the leaders performance. Day et al. (2003) mentions that due to constantly changing environment with a variety of stakeholders requests and expectations, the possibility of using one best approach to leadership development is unlikely. In todays dynamic environment organisations might need to take a global approach to follow a mixture of some models of leadership development (Ivancevich Matteson 1996). The importance of effective leadership could be emphasised by looking at the LBG leadership model. Lloyds Banking Group (LBG) Leadership Model Creating a high performance culture, identifying future leaders and building the talent pipeline to expand organisational capability are critical areas of focus for all leaders in the group. In challenging economic times, the groups ability to build distinctive leadership capability will differentiate it from its competitors. JDIE (Judgement; Drive; Influence and Execution Appendix 3) is the leadership model that LBG widely uses across all its divisions. Fig 4: Lloyds Leadership Model (https://www.learningatlloydsbankinggroup.com/exec/exec.asp) The model has 4 capabilities that determine outstanding leadership performance and potential. At the centre of the Leadership Diamond are the Values which underpin all the behavioural capability statements. Individual performance rating is based on their total contribution equally assessing what they have achieved against their objectives in the Balanced Scorecard and how they have achieved it using the LBG values and the JDIE leadership model. The JDIE leadership model describes outstanding leadership in the Group and is based around the organisational values, which drives culture, engagement and performance/potential. Benefits of JDIE model: Enables individual to take ownership and accountability for accelerating personal and team development, achieving higher performance and delivering quality. Builds deep and strong relationship among members of the team. Enlightened individual and collective awareness. Improving coaching and feedback skills among team members. Role of Evaluation in Leadership Development: Evaluations have replaced assumptions with evidence. It has used new knowledge to stimulate discussion or debate, have solved practical problems and have proved the feasibility of innovative programs. The following examples demonstrate the kinds of benefits organisations have obtained from evaluation: Evaluations improve performance and promote accountability through monitoring. Evaluations provide important and action-oriented lessons about implementation. Evaluations provide powerful evidence about impacts. Evaluations provide practical information about who participates and who benefits, thereby improving the targeting of services. Evaluations provide crucial information on costs. Evaluations assess the logic and the knowledge underlying the design of new programs. The following examples demonstrate the kinds of issues organisations might face from evaluations: There could be insufficient knowledge of the value of an appropriate pre-course for assessment of individual and organisational needs. Limited support appears to be provided to aid the transfer of individuals learning benefits to organisation. The organisations need to focus on leadership as a social process for developing leadership beyond individual leaders and thus maintaining equilibrium among human and social capital. It is not yet clear of the potential measurement criteria to assess impact on return on investment. Such criteria need to be re-designed to develop a suitable framework. Currently available leadership development models and theories lay a lot of emphasis on the importance of change, but they may not operate scientifically to validate the change framework. Effectiveness of most of these existing leadership models tends to lay prominence on the initial stages of the change cycle, which assumes that individuals would be able to change themselves at the wrap-up phase of the programme (Bernal, E. 2009). As there is no perfect model for leadership and organisations may tend to use views of different models to achieve their strategic goals, so further we will look at the strategic human resources development models in an organisation. Strategic Human Resources Development Strategic human resource development (SHRD) focuses on integrating HRD activities with organisational goals and values to develop core capabilities that enhance firm competitive advantage (Garavan, 1991). Competitive advantage is secured when organisations have skills and capabilities that are unique, difficult to replicate and imitate by competitors (Rainbird, 1995). It promotes practices that enhance the strategic performance of employees and organisations. It also emphasizes proactive change in management which enables organisations to survive in an increasingly complex, unstable, competitive, and global environment (Grieves, 2003). Garavan (1991) proposed a prescriptive model of SHRD outlining three characteristics: focus, orientation, and strategies. Furthermore, the model acknowledges the importance of multiple stakeholders that have emerged in the design, development, and implementation of SHRD, both internal and external to the organization. The model emphasizes horizontal and vertical linkages throughout and suggests various stakeholder-focused outcomes. Fig 5: Conceptual Framework of SHRD (Garavan, 2007) In the period since the original definition, several notable contributions have been made by Horwitz (1999),Walton (1999), McCracken and Wallace (2000), Harrison (2004), Maxwell,Watson, and Quail (2004) and Sadler-Smith (2006). A number of themes emerge from these models: SHRD facilitates the development of core capabilities that are critical in developing and maintaining sustained competitive advantage. SHRD enables the firm to make the best use of existing firm-specific capabilities and through the development of new capabilities and skills enables it to cope with change. SHRD must be sensitive to both emergent and planned strategies. Any of these three SHRD strategies can be adopted to facilitate the focus on organizational learning, organizational change, and organizational performance. LBG has preferred to use organisational performance SHRD strategy along with a small percentage of organisational learning change strategy. Lloyds Banking Group SHRD Model Organizational performance-focused SHRD strategies emphasize skills training, job and competency analysis, and management and leadership development. A key role for organizational SHRD is to identify performance needs and thereby developing core competencies to meet the demands of organizations. Fig 6: Lloyds SHRD Model (https://www.learningatlloydsbankinggroup.com/exec/exec.asp) Leading in the Human Resources function Leading by example within the HR function, role modelling LBG values and one HR approach to work thereby build the capability and structure of the HR function. Strategy, Insights and Solutions Uses deep understanding of the business and the HR function to deliver strategy and sustainable solutions that meet the needs of the business, colleagues customers. Learning and Talent Development Ensures that people at all levels possess the skills, knowledge and experience to fulfil the short and long term ambitions of the organisation and that they are motivated to develop and perform well. Evaluation of LBG SHRD model: Uses and analyses a full range of information and knowledge, using judgement to identify options and make robust decisions. Evaluates information from multiple sources, applying judgement to weigh their value and relevance to the decision at hand. Makes effective decisions in the absence of complete information, ensuring things can move forward while further analysis is conducted. Identifies how best to distil a mass of complex data into distinct, clear and concise concepts others can understand. Maintains a helicopter view of the situation, identifying the key elements while keeping an overview of the detail. Gives concepts meaning, often using powerful illustrations and comparisons. Creates an environment where others can make decisions by clarifying roles and responsibilities and providing appropriate support. Knows the different key questions to ask in complex situations to extract information, view points, risks and potential solutions. The above model emphasises on assumptions in absence of complete information thus the strategy might not be completely effective under the phase of these assumptions. Evaluating the strategy requires a complex skill set which is difficult to acquire. Different organizational stakeholders, such as owners, investors, employees, suppliers, and customers, are likely to evaluate the contribution of SHRD differently. Conclusion: No matter which of the evaluation approaches or models is followed, there are at least two features that need to be considered, namely the credibility and trust, as well as externalization and replication of the validation carried out. SHRD can contribute to the development of both operational capability and enhanced capacity to learn. Appendix 1 The Purpose of Evaluation Source Purposes Bramley (1991) Feedback, research, intervention, power, control Easterby-Smith (1994) Proving, improving, learning, controlling Gibb (2002) Pragmatic, ethical, intellectual, social, business, personal Newby (1992) Quality control, efficient LD design, professional self-esteem, track record, identification of assessment criteria, intervention Reid and Barrington (1999) Investment appraisal, feedback, improvement, learning, achievement of objectives Stewart (199) Promoting (in addition to proving, improving and learning) Source: Sadler-Smith, E (2006, p.382) Appendix 2 Appendix 3 Source: Lloyds Intranet (Internal Database)

Wednesday, November 13, 2019

Baldwins Notes to a Native Son Essay -- James Baldwin

â€Å"If the relationship of father to son could really be reduced to biology, the whole earth would blaze with the glory of fathers and sons.† This quotation by James Arthur Baldwin helps to bring about one of the main points of his essay, â€Å"Notes of a Native Son.† Baldwin’s composition was published in 1955, and based mostly around the World War II era. This essay was written about a decade after his father’s death, and it reflected back on his relationship with his father. At points in the essay, Baldwin expressed hatred, love, contempt, and pride for his father, and Baldwin broke down this truly complex relationship in his analysis. In order to do this, he wrote the essay as if he were in the past, still with his father, but reflecting on the events of the era, both private and public, from his point of view. He partially accomplished this since he experienced events of the era first hand, showing that only an African American cou ld have written the essay as he did. James Baldwin throughout the essay hovered from his own personal life to the world around him and his father. Baldwin weaves between narration and analysis in order to show that his own experiences dealing with the public world and his private world were similar to many other Americans at that time. Evidence of Baldwin’s ability to connect public events to his personal life appeared right away in the very first paragraph of the essay. Baldwin changed from story of his father’s death, a private event, to the Detroit and Harlem riots of the civil rights movement, a public event. He linked the two together through the death of his father and, â€Å"One of the bloodiest race riots of the century† (63). Baldwin immediately started to analy... ... what occurred privately and in the rest of the United States. Baldwin put his own personal thoughts and reflections into what happened in his life and the lives of everyone else like him. Baldwin himself, being African American, was another one of the reasons he was able to pull off these transitions. He related his own personal stories of what took place in his life during the troubled times of the civil rights movement to the rest of the general public. The stories Baldwin had of his father correlated to the events African Americans faced in the same time period. All these things combined allowed Baldwin to transition between narrative and analysis keeping the reader on edge and attentive. Works Cited Baldwin, James. â€Å"Notes of a Native Son.† 1955. James Baldwin: Collected Essays. Ed. Toni Morrison. New York: Library of America, 1998. 63-84.

Monday, November 11, 2019

The Marketing of the PlayStation

The PlayStation consoles produced by SCEI built a good reputation among the community of gamers: 3% of PS3 users experienced technical problems, while 42% did with the Xbox. Only 9% say they want to change their PS3 for an Xbox 360. 90% of the PS3 users voted having a satisfactory experience compared to 66% for the Xbox 360 users. % of the PS3 users have problems with the reliability of the console compared to 20% of the Xbox 360 users. These surveys have been made by vgchartz, gamespot and psu. All these strengths allowed SCEI to be placed in the stars in the BCG matrix.Weaknesses But SCEI has also few weaknesses from its internal environment: They don't market a lot to children and prefer to aim a mature public. They lose many potential customers who would turn to the Nintendo company that always targeted an immature public: the parents choose a Wii console for their children because they are afraid that the PS3's violent games will have bad effects on their ids according to Halocr ossing. Products from SCEI are also considered as expensive due to the high technology involved in their consoles: The PS3 was sold $599 at its launch compared to $399 for the Xbox 360 and $299 for the Wii.This high price made the buyers hesitate according to vgsales. SCEI has opportunities from its external environment: The culture in the U. S. for the violence increases every years: gun crime goes up by 89% in a decade according to the Dailymail. The violent american movies motivate the population to act in the same way. The video games allow these people to fulfill heir wish for destruction and violence by giving them a virtual control. The PlayStations always targeted that population and have the reputation to welcome violent games.The population's trend to seek for a highest display definition for their home cinema contributes to the success of the Blu Ray technology from SCEI: The PS3 is the only console equipped with a Blu Ray player so consumer may want to choose the PS3 ove r the other consoles so that they can play games and watch high quality videos from the same device. The HD dvd technology competed with the Blu ray one but failed because it was inferior according to the Inquirer. But SCEI has also threats from its external environment: The threats come essentially from the hard competition with the Nintendo and Microsoft companies.Nintendo seduces the children that SCEI doesn't. Microsoft targets the same segment than SCEI. Microsoft is the main competitor of SCEI. Anti-violence movements in U. S. criticize the violent video games and force the government to impose restrictions like age ratings from the Motion Picture Association of America. The violent video games have been accused to be the cause of the increasing violence in U. S. according to the Christian Science Monitor. 3. Market segment and positioning a. Segment SCEI targets gamers who like violence and complexity.

Saturday, November 9, 2019

The Characteristics of the UK Market

The Characteristics of the UK Market Geo-demographics It is possible to distinguish several geo-demographic characteristics of the UK market. First of all, one should mention that the longevity and fertility rates have increased throughout the country. Therefore, various businesses can expect to find a larger number of potential clients. This tendency will manifest itself within the next two decades (Kearney 314).Advertising We will write a custom report sample on The Characteristics of the UK Market specifically for you for only $16.05 $11/page Learn More Furthermore, researchers note that the population of metropolitan areas will increase dramatically due to the growing immigration. In particular, much attention should be paid to people who come from India, Bangladesh, and Pakistan (Kearney 315). They are most likely to settle in London, Manchester, Birmingham and other metropolitan areas. It is expected that in 2015 the population of the country will be approximately 64 million (Kearney 316) . Additionally, researchers note that the average age of the population in the urban areas decrease because a great number of young immigrants will come to the country. These are the main trends that managers and entrepreneurs should consider. Socio-economic characteristics The UK consumers can differ in terms of social class and purchasing power. As it has been said before, immigrants can constitute a significant segment of the possible target audience. In most cases, the purchasing power of these people is not very strong. Furthermore, the economic recession has increased the inequalities in the United Kingdom. It should also be noted that consumers in the United Kingdom began to pay more attention to the price of a product. In contrast, before 2007 they focused primarily on such aspects as quality or design (Burton 205). This is one of the details that should be taken into account. However, the situation can change, provided that the economy of the country recovers more swiftly. Psycho-behavioral characteristics of customers It is possible to say that the customers in the United Kingdom are willing to accept innovative products and services. Yet, companies have to demonstrate that they can create value for clients. This is one of the main aspects that can be identified. Yet, it is important to remember that UK consumers differ immensely in terms of values, attitudes, and lifestyles (Burton 205). One should keep in mind that they can represent various cultures, ethnic groups, and religions. These factors can affect their purchasing decisions and attitudes toward different brands or products.Advertising Looking for report on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Consumption patterns The studies of consumer behavior in the United Kingdom indicate that currently clients are more concerned about the prices of products and services (Burton 205). This trend should not be disregarded by companies that develop their marketing campaigns. This tendency is typical of various industries (Burton 205). Nevertheless, a more detailed analysis can be provided only if one looks at a particular product or service. Therefore, it is not reasonable to make generalizations when speaking about these issues since this generalization can lead to inaccurate analysis or estimation. Major trends At present, the market in the United Kingdom passes through a period of economic recovery. Currently, many businesses struggle to find and retain customers in order to remain sustainable. In their turn, clients want to buy products that can be regarded as the best ratio of price and quality. This is one of the main trends that can be observed. By considering these issues, entrepreneurs can better promote their products. Burton, Dawn. Cross-Cultural Marketing: Theory, practice and relevance, London:  Routledge, 2008. Print. Kearney, Hugh. The British Isles: A History of Four Nations, Cambri dge: Cambridge  University Press, 2012. Print.

Wednesday, November 6, 2019

The Compromise of 1877 essays

The Compromise of 1877 essays The episode in history known as "The Compromise of 1877" is one of the more interesting stories in the history of the United States. Not only did this compromise bring an end to a disagreement that was keeping us from selecting a president, but it also brought about sweeping changes in the social, political, and economic climates of the South. This paper will look at the historical significance of "The Compromise of 1877." By 1876, the reconstruction in the South was winding down. The efforts to rebuild the states who had seceded during the Civil War had brought about mixed results. Some improvements had come, and the plight of blacks in the South had gotten better for the most part. But as the "Radical Republicans" of the North began to be replaced with more business-minded conservative members, personal interests overtook "reconstructing" the South. All but three of the Southern states had been granted "home rule" meaning power had been restored to Southern Democrats by the Reconstruction Republicans. Reconstruction would officially come to an end the next year after the most contentious, bitter, and protracted presidential election in American history. Those three states would play a big part in deciding that election. Both the Democrats and Republicans chose candidates in 1876 that was proven reformers. Democrats selected popular New York Governor Samuel J. Tilden while Republicans chose Ohio Governor Rutherford B. Hayes. Both candidates promised to restore home rule to Louisiana, South Carolina, and Florida implying that Southern whites could now take care of problems of rights for blacks. No one expected such a close race, but when the votes were counted, Tilden had won the popular vote by nearly two hundred fifty thousand votes but was one electoral vote short of the majority needed. Tilden had 184 electoral votes, and Hayes had 165. But twenty electoral votes were in dispute and nineteen of those were in Louisiana, South ...

Monday, November 4, 2019

Research proposal ( Role of M.R.I spectroscopy in differentiation Essay

Research proposal ( Role of M.R.I spectroscopy in differentiation between the Malignant and the benign tumours ) - Essay Example In MRI Spectroscopy, water protons are utilized in creating images, and for producing images of the brain that are detailed and sophisticated. This is because various brain tissues contain varying amounts of water. Non-aqueous protons, which consist of the hydrogen nuclei protons which are not in water are scattered throughout the biologically significant brain molecules. The significant signals from these molecules are invisible when attempted to be viewed otherwise, due to the fact that they are overshadowed by the greater signals of the aqueous protons. Each non-aqueous molecule possesses a unique radio-frequency that is specific to that particular chemical, and which is different from the water proton frequency. The strength or amplitude attained by these radio-frequencies depends on the concentration of the molecules inside the volume in question, and each of them has its own discrete position of frequency. Thus, a graph can be displayed showing the relative amplitude peaks for various biological molecules, and these peaks of amplitude can be detected and displayed more easily if the signals generated by the aqueous protons are suppressed. MRI Spectroscopy uses an imaging technology that is non-invasive, and which records information as regards the chemical makeup of human tissue without any need for biopsy or surgery. The aim of this research is to ascertain the role of MRI Spectroscopy in the diagnosis of cancerous (malignant) tumors in contrast to benign and healthy growths that are non-cancerous, based on chemical information. â€Å"Although the spectral features of prostate tissue markedly change after radiotherapy, MRI Spectroscopy combined with multivariate methods of analysis can accurately identify histologically malignant biopsies. MRI Spectroscopy shows promise as a modality that could integrate three-dimensional measures of tumor response.† (Michael D. Kuo, 2006) This research on The Role of M.R.I spectroscopy in

Saturday, November 2, 2019

Anatomy of a Olympic Team Research Paper Example | Topics and Well Written Essays - 2500 words

Anatomy of a Olympic Team - Research Paper Example Unfortunately, the British Swimming Team turned up with only three medals, rather than the expected target of five to seven medals. This paper is all about researching and analyzing the various factors related to how the British Olympic Association’s systems and culture, the external influences on the team, individual athletes’ characteristics and the overall elements influencing the team, had an impact on the performance of the British Swimming team. From this analysis, one can discover how successful the British Swimming Team has been in achieving its targets, satisfying its swimmers’ needs, and preserving its team’s survival on an international level (Parliament UK 2010; Pullbuoy 2012; Swimpsych 2012). One of the first things related to this analysis that should be considered is the goal that the British Olympic Swimming Team was aiming to achieve; a target of five to seven medals for the 2012 Olympics. This goal was not an unrealistic one, as it was ba sed on various statistics. For instance, the number of finalists that had qualified for the Games was almost four times the number of finalists that had qualified back in the 2000 Olympics. Also, if the average number of medals won by the British Swimming Team in global swimming events in the last nine years is considered, the number comes up to approximately five. Furthermore, the number of swims was greater than it had been since 1992 and it is noted that 40% of the swimming team had swum faster in 2012 than in 2011. These statistics, along with the record of the highest number of swimmers in Britain’s Olympic history to qualify for the finals, prove that, in theory, a target of five to seven medals was certainly a realistic one. However, even though there were promising signs about the team completing the target, issues have been raised concerning the level of performance achieved. True, the statistics stated above are not the only factors that can control the team’ s performance. Nevertheless, the performance of individual swimmers can certainly be controlled; estimates were made using the best swimming times of individuals in relays from 2006, 2007 and 2012-2012. If, hypothetically, it is assumed that a swimmer can produce their best time in the heats, semis and finals, it was found that only 4 out of 49 swims produced personal best performances, while 8 out of 49 swims produced textile best times. This low quota of best times rightfully proves that the British Swimming Team was not sufficiently prepared, resulting in it facing a high level of difficulty. Had it been so, the results of the 2012 Olympics would have been greatly improved, as their targeted goal was an easily achievable one (Pullbuoy 2012). Another aspect that should be considered is the characteristics of key swimmers in the Great Britain Swimming Team. The team has a record breaker in their midst, in the form of Michael Jamieson, a first class Scottish swimmer. He won a silver medal at the 2012 Olympics after competing in the 200 meter breaststroke and has broken the British record at least 3 times. His skill set comprises mainly of the breast stroke technique and the butterfly technique. Jamieson’s coach, David McNully, speaks highly of him and is always on his toes to help Jamieson improve his technique. Jamieson has always been taking swimming seriously, always improving and very self-motivating. They might not have done so well in the 2012 Olympics, but with Michael Jamieson in

Thursday, October 31, 2019

Managing Across Organizational & Cultural Boundaries Essay

Managing Across Organizational & Cultural Boundaries - Essay Example One of the perspectives of power that Wal-Mart will use in dealing with the suppliers is the use of zero tolerance where all undesirable practices like subcontracting will be imposed to severe penalties without the company knowledge (Fishman, 2006). The penalties will start to be effective on March again all the companies that are not allowed to manufacture and supply clothes to Wal-Mart will be published on the website explaining that the company is not genuine. The second perspective is accountability and ownership of the supplier who must be certified to make sure that they are going to be accountable of what they are going to supply to Wal-Mart (Stern, 1969). The reason why Wal-Mart need accountability and ownership to a specific country is to ensure that compliance will be achieved making sure that third party agents are eliminated in the supply chain. Wal-Mart is open to any supplier who can supply clothing without subcontracting or use of third party agents who normally supply brands at expensive price as compared to those companies that are ordered to supply brands to Wal-Mart. Another perspective of power that Wal-Mart will consider is improved safety in the factories, for example, the suppliers from United States and Canada will have to meet so that the new policy change of improved safety can be deliberated upon (Buzzell, 1987). The local governments and suppliers will have to carry the safety precaution and measures need to boost factory safety. The reason is because employees in the factories are experiencing death that emanate from poor conditions from the factories and thus the reason as to why Wal-Mart is restricting the suppliers from subcontracting their orders. The expectation of Wal-Mart is that the known factory that have been given the orders will be the only one who will supply brands without involving third party agents who do not provide high quality clothing and within the stipulated time. One of the sources of power in Wal-Mart

Tuesday, October 29, 2019

What Are Gmos Essay Example for Free

What Are Gmos Essay A GMO is a genetically modified organism that has been altered by man through the process of engineering. It is a technology set out to alter the genetic structure of a life form such as plants and animals, in effort to produce a more desired end product of the organism altered. As an example, a tomato was altered with a new gene so that it would look ripe for a longer period of time. It was called the â€Å"Flavr Savr Tomato† (Sereana Howard Dresbach) The purpose was so that tomatoes could be shipped from almost anywhere in the country, and still have that fresh ripe look to the consumers; once placed on the shelves in stores. GMO’s are also used to alter the nutrients of a living organism, meaning you could take a fruit tree or vegetable plant and alter it to have additional nutrients that the organism would not originally contain. A test was conducted with a product termed â€Å"Golden Rice,† which was altered to contain a greater density of beta carotene, a source of vitamin A and iron. (Sereana Howard Dresbach) The effort was to create this food for third world counties who lack this nutrient; thus help to reduce the many disease that are linked to the lack of vitamin A and iron; such as anemia and blindness. Though the effort and research of genetically modified organisms seem to have a positive outlook, there are many people and organizations that are skeptical, concerned, and in total disagreement with this technology; due to the unknown heath risks and attempt to alter Mother Nature. Because this is fairly new, and the research conducted so far has not completely proved out the safety and soundness of GMO’s to its entirety, there are many questions that need answers; and facts needed to prove this technology as fully credible in my view. It s safety and use for all ages is a question we must ask ourselves as a society, and we must openly challenge the government to make sure that there is a sane and moral infrastructure that will protect our the general public against the unknown risks and dangers this technology could create. In my opinion, I see this effort as a method of cloning and have great concerns against the practice of modifying nature and its authenticity. I strongly believe that the earth was created with everything we need to live and survive, and that there are natural and organic means of getting the ame results that creating genetically modified organisms would. Although the FDA approves this technology, I feel that we as humans are being used as test rats; since the FDA does not have to list whether ingredients in foods are genetically modified. This technology in my opinion exposes too many risks and unknowns to our world, and draws a thin line with me when it comes to our standards of morality. In conclusion, I see this as unsafe too all.

Sunday, October 27, 2019

Theories of International Microeconomics

Theories of International Microeconomics 1. Introduction Economic theory can be considered as a system of ideas that contains a set of models designed to explain economic outcomes and make predictions for future events. The choice of the model will depend principally on the explanatory value and the certainty of the model in explaining current situations and predicting future outcomes. International trade is the difference between production and consumption. The theory of international trade has heavily been influenced by the works of classical economists. According to David Ricardo, trade occurs between countries because of differences in technology. For Eli Heckscher and Bertil Ohlin, trade arises mainly due to differences in factor endowments and factor intensities of respective countries. 2. Ricardian Model The Ricardian Model was developed in 1817 by David Ricardo (1817) with two goods, two countries and a single input as components of the model. This model assumes differences in technology between countries as basis of trade. Ricardo stated that both countries could benefit from trade on the condition that labor input of countries should be different, irrespective of the fact that one country might has an absolute advantage in the production of both goods. Being a one factor model, the Ricardian Model is not the appropriate model to study the effects of technology on trade patterns because of its simplicity. 3. The Heckscher Ohlin Model The Heckscher Ohlin (HO) theory holds two assumptions; countries have different factor endowments and factor intensities as sources of differences in opportunity costs of production. Trade is restricted between 2 countries, 2 factors of production and 2 goods traded. This model generates 4 predictions: (a) The Heckscher – Ohlin theorem, whereby the capital abundant country will export the capital intensive good, (b) The Factor Price Equalization Theorem, with production of different goods, international trade will equalize factor prices, (c) The Stopler-Samuelson Theorem, with production of different goods, an increase in the price of a labor intensive good will reduce the real and relative return to capital and will increase the real and relative return of the labor intensive good, (d) The Rybczynski Theorem, with production of different goods, a rise in the endowment of labor, will lead to a more than proportionate increase in the output of the labor intensive good and a fa ll in the capital intensive good. 3. 1 The Heckscher – Ohlin Theorem The Heckscher – Ohlin theorem implies that a country will export those goods that are produced through intensive use of factors of production found locally in an abundant amount. In a 2 2 2 model, countries produce the same pair of commodities, engage in free trade in a competitive environment with countries benefitting from constant returns to scale in accordance with technology. The supply of factors of production is perfectly inelastic in both countries. These conditions are present when there is relative factor abundance. A second situation can arise where autarkic factor prices are present in both countries. Demand and supply conditions dictate autarkic factor prices. Despite a country being relatively abundant in labor, it may nonetheless impose autarkic wage rate if domestic preferences pattern strongly favors the labor intensive produced good relative to the foreign produced good. The trade pattern will reflect the factor price comparison between countries. 3.2 The Factor Price Equalization Theorem This theorem assumes a situation where there are 2 countries in free trade; they have different factor endowments but have the same level of technologies. If both countries are diversified and Factor Intensity Reversal (FIR) does not occur, factor price equalization will happen in these countries. For Heckscher, identical production techniques were prerequisite for the equalization of factor prices. Different factor prices can be a sufficient cause for international trade to happen. However, Heckscher did not account for the number of factors and international markets. The initial model was a 3 2 classical model with 3 factors such as land, labor and capital, and two goods: textile and machinery. 3.3 The Stopler-Samuelson Theorem The Stopler-Samuelson Theorem was developed as a 2 2 model, with two traded goods and two non – traded factors. It sets forth that an increase in the relative price of a good will lead to an increase of real return of that factor used intensively in producing that good and will reduce real return to the second factor. Four possible interpretations arise from this theorem: (a) winners and losers corollary; If a relative price change occurs, there will be a minimum of one loser ans one winner (b) Factor – industry detachment corollary; external price changes will have an impact on the return to a factor irrespective of which industry the factor is employed (c) scarce factor corollary 1; trade barriers will help a scarce factor; an abundant factor is hurt (d) scarce factor corollary 2; depending on the scarcity of the factors, trade barriers will help. 3.4 The Rybczynski Theorem The two – factor two good Rybczynski Theorem posits that if there is an increase in factor endowment of an industry that uses that factor fully, an increase in output is likely to occur compared to a decrease in output in the other industry. There are 4 levels of interpretation that can be observed from the Rybczynski Theorem: (a) a minimum of one Rybczynski derivative will be negative, (b) a homothetic relationship exists between output and factor supplies, (c) the relationship will be a linear one, (d) the total amount of current factor supplies is important. 4. International Trade: The Evidence International microeconomics seems little affected by empirical evidence. Despite trade flows being measured with the greatest accuracy, the data obtained has not been really reliable and to certain extent inaccessible. Empirical studies based on this data can hardly be reviewed or taken seriously as a proper revaluation of the theories proposed by classical economists. Attempts to bridge the gap between the trade patterns and the theoretical assumptions made by the various classical and neo classical models have been made and several problems arose. The first problem that rises is that international trade is arbitrage. This is principally due to price discrepancies governing the international markets. Autarkic prices differences have not been observed and these discrepancies are hypothetical in nature. There is no solid evidence as international trade gets rid of these discrepancies. Another difficulty linked to this is causality. Whatever the consequence, the human mind has always hoped that a single cause must be behind its initial inception. The Ricardian Model and the Heckscher Ohlin model are unicausal. Everything has a single root. For arbitrage in international trade, autarkic prices discrepancies cannot be the only explanation as to why there is arbitrage in the first place. Changes in factor endowments, tastes and preferences or difference s in technologies can form part of the supplementary explanations. In the last 4 decades, there have been 3 types of empirical studies on international trade. These are tests of the Ricardian and HO models, studies trying to find a link between bilateral trade, national incomes and geographical distances between trading countries, and finally, a number of informal accounts yet to be tested and accounted for. MacDougall (1951, 1952) carried out a study using 1939’s data for a UK-US comparison to find whether exports of good of different countries were correlated in pairs with third markets as the Ricardian model presumed. Results were positively and significant. Later empirical studies provided additional support to these results (MacDougall et al., 1962, Stern, 1962; Balassa, 1963) The assumption that consumers have homothetic preferences has been empirically refuted. Following studies carried out by Prebisch (1950) and Singer (1950), results have showed that the terms of trade for poor countries has been deteriorating continuously. As world economy experiences economic growth, the relative demand shifts from the South to the industrialized North, a region that specializes in goods with higher income elasticity. The South benefits little from improvement in production in exports sectors, principally because the extra purchasing power generated by lower southern commodities will be spent on purchase of northern commodities. Studies carried out by scholars affected significantly the reliability of the HO theorem. Patterns of trade were examined between US, West Germany, Japan and Canada with the rest of the world. Results obtained were not in consensus with the HO theorem whereas results of East Germany and India showed support (Bharadwaj, 1962; Leontief, 1953, 1956; Roskamp, 1961; Stolper and Roskamp, 1961; Tatemoto and Ichimura, 1959; and Wahl, 1961). Another study carried out by Clifton, Jr and Marxsen (1984) obtained relatively the same results. They used a multi-commodity, two-country, and two factor model to test for trade based on profit and wages instead of using capital and labor as factors of production. Results obtained show trade patterns for the year 1968 of Australia, Ireland, Japan, Korea, New Zealand, and the United States support the theorem while results of UK, Kenya and Israel do not. In his study to discover the sources of the success of the American industry for the years 1879, 1899, 1909, 1914, 1928, and 1940, Wright (1990) concluded that the capital to labor ratio was an important source of comparative advantage in the early years but it soon became a comparative disadvantage by 1940. Natural resources did not contribute to exports success in the 19th century but in the 20th century it impacted exports significantly. The reasons provided by the HO theorem that difference in capital and labor endowments are the primary reasons for trade is wrong and thus a need for further study in this area. The most important study of trade patterns through use of HO models was carried out by Leontief (1953). The results showed that in 1947, U.S imports were more capital intensive compared to labor than the ratio in U.S exports. This paradox exists if U.S is well endowed in capital. This paradox can be solved through 2 ways: (a) by creating demand or factor intensity reversals (FIRs), (b) the introduction of international technological differences. By introducing these solutions, the American labor intensive industries benefited from significant advantage in terms of costs arising due to factor endowments. Linnemann (1966) using data from more than 40 countries carried out a study to find a link between bilateral trade, national incomes and geographical distances between trading countries. He wanted to find answers relating to the bilateral trade volumes and trade size with different trading partners. Results illustrated that the volume of trade depends much on the geographical proximity of trading partners inclusive of transport costs. The importing country’s national income and the exporting country’s national income also had an impact on the size of tradable commodities. Minhas (1963) carried out a study to question the applicability of the FPE theorem due to the presence of Factor Intensity Reversals (FIRs). Minhas came to the conclusion that when elasticity of substitution differs between countries, FIRs are likely to occur. Through trade, equality of commodity prices will not guarantee a price equalization of factor prices in respective countries. Conclusion Trade occurs simply because of the price discrepancies that exist in the markets. Technological differences and factor endowments are the main reasons for these discrepancies. The numerous and complex literature on the Ricardian Model and Heckscher Ohlin Model have outlines various faults of these models but they nonetheless remain healthy. However, additional modifications need to be done. The models need to account for technological differences, multiple cones of diversification and home bias. References: Ronald Winthrop Jones. A, 1979, ‘International Trade: Essays in Theory’, Oxford North Holland Publishing Co, Amsterdam, New York Ronald Winthrop Jones. A and Kenen Peter B. (Eds.), 1984, Handbook of International Economics 3, North Holland Balassa, B. 1963, ‘An Empirical Demonstration of Classical Comparative Cost Theory’, The Review of Economics and Statistics, Aug, Vol. 45, No. 3, pp. 231-238 Mac Dougall, G. D. A, 1951, ‘British and American Exports: A Study Suggested by the Theory of Comparative Costs. Part I’, The Economic Journal, Dec, Vol. 61, No. 244, pp. 697-724 Mac Dougall, G. D. A, 1952, ‘British and American Exports: A Study Suggested by the Theory of Comparative Costs. Part II’, The Economic Journal, Aug, Vol. 62, No. 247, pp. 487-521 Feenstra Robert, C. 2002, ‘Advanced International Trade: Theory and Evidence’, University of California, Davis, and National Bureau of Economic Research, Aug. Prebisch, R. 1950, ‘The Economic Development of Latin America and Its Principal Problems’, New York: United Nations, Econ. Comm. Latin America Clifton, D. S, Jr and William B. Marxsen, 1984, ‘An Empirical Investigation of the Heckscher-Ohlin Theorem’, The Canadian Journal of Economics / Revue canadienne dEconomique, Feb, Vol. 17, No. 1,pp. 32-38 Matsuyama, K., 2000, ‘A Ricardian Model with a Continuum of Goods under Nonhomothetic Preferences: Demand Complementarities, Income Distribution, and Northà ¢Ã¢â€š ¬Ã‚ South Trade’, Journal of Political Economy, Dec, Vol. 108, No. 6, pp. 1093-1120 Redding Stephen J., 2006, ‘Empirical Approaches to International Trade’, Oct, London School of Economics and CEPR