Monday, December 30, 2019

My View Of Philosophy Has Changed My Life - 1531 Words

It has been a great eight-week course and my view of Philosophy has changed a lot. I never took a class like this and learned a lot not only about various Philosopher’s but also about myself. This class allowed me to look inward at myself and reflect on my decisions throughout my life. Learning about Thoreau, Socrates, Frankl and Pieper and their view and experiences were fun and made me think about what Philosophy is and why we need it in our lives. The reading and discussion that had the most impact on my thinking this term was Thoreau’s Walden in which we discussed the meaning of â€Å"explore thyself† (Thoreau) and â€Å"enslave oneself† (Thoreau) and the meaning of fulfillment. Thoreau felt that each person’s definition of fulfillment was individual. That one person can feel they lives a fulfilled life by running marathon’s and doing iron men competitions and another would feel the same way by painting or accomplishing a long-term goal. Thoreau was great at expressing himself through words and could pull you into his world and assist you in understanding his view and feelings. To explore thyself is a process in which you view yourself, looking inwardly to find out who you want to be in life. There are many safe roads in the world, you can follow the pack and be standard or you can make decisions and choices that define you and only you. By understanding yourself you will find what makes you feel fulfilled not by anyone else standards but by your own. Once one is happy withShow MoreRelatedThe Contemporary Views On Metaphysics1269 Words   |  6 Pagescenturies views on metaphysics have been laid as foundations, altered for society or simply changed for the better. As this world continues to grow and modernize, so have our views. The contemporary views on metaphysics are extended upon the more traditional views laid in the ancient or medieval times. Martin Heidegger is a contemporary existentialist, who studied the reason of being. He was an important figure of philosophy in the 20th century. His views are very different from the ancient views of metaphysicsRead MoreMyself As A Philosopher Essay1344 Words   |  6 Pagesstudying and producing results in philosophy. Before this class I had a rough grasp of what philosophy is. Some believe that it philosophy is wisdom and questions about life. Which some of it is those things, I believe that philosophy like other litera ture is a form of art, but the art in asking and providing theories for questions that show and evaluate the questions of life. Since I’ve started this course and have become a young student in philosophy, philosophy itself will be the teacher in theRead MoreFatalism and Determinism1104 Words   |  5 PagesThe way in which life is viewed can change the way in which one reacts to scenarios and interacts with other beings. Although I do not think simply learning philosophy can change the way I live, I know that learning and exploring deeper into specific philosophies can completely alter my outlook on life. Life is a particular type or aspect of people’s existence and all beings are living this life as far as we know. The question I often find myself asking is whether or not we are the ones making ourRead MoreMy Personal Philosophy of Education958 Words   |  4 PagesMy Personal Philosophy of Education It is customary that on New Year’s Eve, we make New Year resolution. The fact is that we are making a set of guideline that we want to live by. These are motives that we seek to achieve. In a similar way, teachers live by philosophy. This essay focuses on my personal philosophy of education. It unfolds the function of philosophy in a teacher’s life, my view on the purpose of education, the student teacher- relationship and the philosophy which influences myRead MoreHow Philosophy Effects Who And Why I Think And Behave As I Do1374 Words   |  6 PagesIn this, my final paper for this class I want to explain how philosophy effects who and why I think and behave as I do. I will examine the overall perspective how different types of philosophies are blended together to become my core beliefs. How these beliefs affect the meaning of my life and further more why life has meaning at all to me. In ending I will explain my personal theories of reality, ethics, social and ra cial contracts come together to contribute to my acceptance of religion andRead MoreI Am Gained Through Philosophy, Even For The Computer Science Student1712 Words   |  7 Pagesto be gained through philosophy, even for the computer science student. When I first learned that this was a required course for my degree curriculum, I did not believe I would find value in taking the course. Now I am going to present my evaluation of why I have changed my mind. What is the definition of philosophy? The dictionary would define it as â€Å"the study of the basic ideas about knowledge, truth, right and wrong, religion, and the nature and meaning of life†. My first response was â€Å"truthRead MoreMy Philosophy Of Nursing1355 Words   |  6 Pagesnursing field, there are different philosophies in how a nurse cares for their patients. Throughout the years since nursing inception, there have been many different philosophies that have contributed to the nursing practice today. For instance, Florence Nightingale was one of the first persons to address the philosophy, â€Å"What is Nursing?† She explained the difference between nursing and medicine (Black, 2007, p.331). As a nurse, the development of your own philosophy can model those previous in theRead MoreThe Philosophies Of Science And Nursing Science1644 Words   |  7 PagesWorldviews Discuss the worldviews of science (perceived, received, etc.) that influence nursing theory development and nursing science. The worldviews of science include two different pieces: Perceived view and received view. Empiricism and positivism are two major characteristics of received view. McEwen and Wills (2007) state that â€Å"empiricism is founded on the belief that what is experienced is what exists† (p. 515). In other words, one’s experiences determine what we know. This knowledge fromRead MoreThe Philosophy Of Servant Leadership1730 Words   |  7 PagesThe Philosophy of Servant Leadership Servant leadership is a theory based on the notion that one should be a servant to others first, and a leader second. A person should have the desire to serve others, in order to be a servant-leader. The following paper will address several key components of the servant leadership philosophy related to the book: The Servant: A Simple Story About the True Essence of Leadership, written by James C. Hunter. First, I will examine the theory of servant leadershipRead MoreEthics in Society Essay678 Words   |  3 PagesEthics in Society Life is a complicated journey. It is a mosaic of our experiences and adventures, coupled with information weve acquired through friends, family, books and teachers. As we mature, we begin to develop a distinct view of the world around us, as well as where we belong within that world. Our decisions start to follow the path laid out by the philosophy formed from this conglomeration o knowledge. These actions and beliefs, together with our genetic predispositions, help define

Sunday, December 22, 2019

Physical Activity And Nutrition Of People Who Were...

Tatiana Lewis April 20, 2017 Applied Nutrition Article Critique This purpose of this research is to improve understanding of physical activity and nutrition of people who were previously diagnosed with prostate or breast cancer. This study was created because â€Å"Many people who are diagnosed with either breast or prostate cancer are interested in optimizing their health via lifestyle behaviors.† (Steinnagel, Morris, Laasko) It is said that healthy diets and frequently exercising may reduce the risk of developing prostate or breast cancer. The authors stated, â€Å"There is a lack of definitive evidence regarding recommended diets for cancer survivors to optimize physical health and prevent recurrence and mortality, but there is a general†¦show more content†¦In the present study, potential predictors of health behaviors from Commonsense Self-Regulating Model and Trastheoretical Model were tested for connections between nutrition and physical activity and behaviors after being diagnosed with breast cancer and prostate cancer. Hypothesis One, predicted that better guidelines for physical activity and nutrition would be associated with Commonsense Self-Regulation Model, this includes higher personal control, higher treatment control, and lower emotional representations. Hypothesis Two, predicted that more physical activity and better nutritional adherence would be associated with Transtheoretical Model. People who participated in this study, were previously diagnosed with breast or prostate cancer. They were either receiving treatment or just finished. This was because the research had to be measured within the last seven days via the International Physical Activity Questionnaire, and this was in concordance with national dietary guidelines. After being approved by the university, the Human Research Ethics Committee of breast cancer and prostate cancer supported groups in South-East Queensland, Northern New South Wales, and Australia. The people were then contacted via email and phone to follow up on parti cipation. Survivors could then either choose an in-person visit, surveys, online participation, or a combination of these methods.Show MoreRelatedMy Life At The High School1257 Words   |  6 Pagesto experience, hundreds of her kids’ sports games to attend, and thousands of days left to educate the next generation, yet those opportunities were taken away in the blink of an eye. In the wake of her passing, I witnessed the up and down emotions of a broken family, the shock of a hurting community, and the realization of a new reality by the ones who were minus a friend on that stormy, summer day. Almost everyone has seen or experienced the same emotions I saw after her death, because the diseaseRead MoreHesi Practice31088 Words   |  125 Pagescomplete Part One. 1. Which of the following describes a preterm neonate? A. A neonate weighing less than 2,500 g (5 lb, 8 oz). B. A low-birth-weight neonate. C. A neonate born at less than 37 weeks gestation regardless of weight. D. A neonate diagnosed with intrauterine growth retardation. 2. A client with type 1 (insulin-dependent) diabetes mellitus has just learned she s pregnant. The nurse is teaching her about insulin requirements during pregnancy. Which guideline should the nurse provideRead MoreEssay on The Government Denial of Agent Orange Claims5840 Words   |  24 PagesVietnam has been surrounded by controversy since the 1960s. Many felt that controversy would end with the withdrawal of US troops in the 1970s. The troops came home and were not welcomed with the fanfare that surrounded veterans of previous wars. Was the controversy surrounding Vietnam a â€Å"dead† issue now that the troops were home? The answer is no. The controversy continues to this very day. The issue of whether or not the US should have gotten involved with Vietnam is still undecided. TheRead MoreSexually Transmitted Diseases35655 Words   |  143 Pages 49-54 Water 55-68 Food 69-71 Other biomolecules of life 72-76 Unit 4 Energy in the Community Electricity 77-78 Heat 78-81 Light 82-91 Sound 92 Simple Machines 93-99 Unit 5 The Physical Environment Weather and Climate 100-113 Soils 114-128 Unit 6 Living things in the Environment Plant and animal cells 129 Eukaryotes vs prokaryotes 130 Structures and functions 133-137 Microbes 148-150 OnionRead More_x000C_Introduction to Statistics and Data Analysis355457 Words   |  1422 PagesMacintosh are registered trademarks of Apple Computer, Inc. Used herein under license. Library of Congress Control Number: 2006933904 Student Edition: ISBN-13: 978-0-495-11873-2 ISBN-10: 0-495-11873-7 ââ€"   To my nephews, Jesse and Luke Smidt, who bet I wouldn’t put their names in this book. R. P. ââ€"   To my wife, Sally, and my daughter, Anna C. O. ââ€"   To Carol, Allie, and Teri. J. D. ââ€"   About the Authors puter Teacher of the Year award in 1988 and received the Siemens Award forRead MoreHbr When Your Core Business Is Dying74686 Words   |  299 Pageslegal risk. 33 124 BEST PRACTICE Human Due Diligence David Harding and Ted Rouse Most companies do a thorough job of ï ¬ nancial due diligence when they acquire other ï ¬ rms. But the success of most deals hinges on people, not dollars. Here’s how to diagnose potential people problems before a deal is completed. 45 33 HBR CASE STUDY Why Didn’t We Know? Ralph Hasson A whistle-blower sues Galvatrens for wrongful termination. The lawsuit triggers a much larger discussion about the company’sRead MoreMedicare Policy Analysis447966 Words   |  1792 PagesELIGIBLE INDIVIDUAL.—The term ‘‘Medicaid eligible individual’’ means an indi- †¢HR 3962 IH VerDate Nov 24 2008 12:56 Oct 30, 2009 Jkt 089200 PO 00000 Frm 00012 Fmt 6652 Sfmt 6201 E:\BILLS\H3962.IH H3962 13 1 vidual who is eligible for medical assistance under 2 Medicaid. 3 (20) MEDICARE.—The term ‘‘Medicare’’ means 4 the health insurance programs under title XVIII of 5 the Social Security Act. 6 (21) PLAN SPONSOR.—The term ‘‘plan

Saturday, December 14, 2019

Describe The Requirement For Treating A Client With That Has Anorexia Free Essays

Treatment of eating disorders can be challenging. Effective treatment must address the underlying emotional and mental health issues, which often date back to childhood and a person’s self perception and self image. Building strong therapeutic alliances with clients is imperative. We will write a custom essay sample on Describe The Requirement For Treating A Client With That Has Anorexia or any similar topic only for you Order Now When working with a client who presents with an eating disorder it is fundamental that, as a counsellor, you do this in conjunction with a medical doctor and a nutritionist. The first step when someone presents with an eating disorder is to insist on them receiving a medical from their GP. There are various reasons as to why this is important. Firstly, if the client has a Body Mass Index (BMI) of 17 or less, you cannot work with them. This is due to the effects that a very low weight can have on one’s brain. Furthermore, the need for a medical is important as someone who has engaged in the behaviour may have encountered serious health consequences and may need to be admitted to hospital, or in extreme circumstances, to a psychiatric ward. It is important to work with both a doctor and a nutritionist so as you can focus on why the client may have an eating disorder and what maintains it. The other professionals then, focus on issues of weight and increasing this weight, if necessary. All treatment should be tailored to the individual and will vary according to both the severity of the disorder and the patients’ individual problems, needs and strengths. Due to the psychological causes and effects of some eating disorders, talking therapy can play an important role in treatment. Cognitive Behavioural Therapy (CBT) is considered the treatment of choice for people presenting with eating disorders. CBT is a focused approach that enables a person with an eating disorder to understand how their thinking and negative self-talk  and self-image can directly impact their eating and negative behaviours. CBT focuses on identifying and altering dysfunctional thought patterns, attitudes and beliefs which may trigger and perpetuate the clients’ eating disorder. Nutritional counselling and advice can help your client to identify their fears about food and the physical consequences of not eating well. The initial aim of treatment is to re establish a healthy attitude toward food and a consistent pattern of eating. It is a necessary stage of treatment and should incorporate education about nutritional needs and planning for, and monitoring, rational choices of the individual patient. There are a number of treatment approaches used for those with eating disorders, in which a combination may be offered. As a counsellor you must work in conjunction with a medical doctor and nutritionist, so as the most effective treatment approach can be put in place for your client. How to cite Describe The Requirement For Treating A Client With That Has Anorexia, Papers

Friday, December 6, 2019

Blue remembered Hills Essay Example For Students

Blue remembered Hills Essay Discuss, in detail, how you would play either Willie or John in the selected scene. You will need to refer to voice, movement, gesture and facial expression, as well as to show how your chosen character responds to others on stage.  In scene 6 of Blue remembered hills by Dennis Potter, Samuel French LTD edition, from the start of scene 6 to They all laugh, the role of Willie is a key one. The start of this scene shows all the boys attacking, and then brutally killing a squirrel, you can witness the feeling of guilt and horror at their actions, which generously surrounds the young boys, the violence they have caused wasnt initially registered in their young minds until its too late. This feeling and behaviour can be achieved by the use of shifty expressions and glancing at other characters in the scene, this would create the effect of an anxious group of children, who are waiting for someone to break the awkwardness with a sentence, or an action. Stiff bodies would create nervousness within the characters. Eye contact would also be shifty and I can see the boys looking at their feet in shame whist this scene is taking place. As the realisation of what they have just done takes over, I feel they would relax slightly as they know the situation and future occurrences are out of their hands now, and nothing they can do or say will make it better. This can be achieved for Willie, is he takes a deep breath and loosens up his limbs and perhaps lifts his head high, however, I also think that because he is quite the tense and nervy character that it would take longer for him, than the others to fully relax, and even then, any small oddity would cause him to relapse back into his edgy and nervous self, creating a nervous tension between him and his friends. I feel that Willie should try to put on a brave act to seem tougher than he is, as if in an attempt to be higher in the childrens social hierarchy, in which John and Angela are highest. When Willie says Lets have a look, Ray. Come on. It shows he is trying to show an interest in Raymond, which is a friendly gesture, which I think he does to try and gain a close friend. Subsequent to this, Willie again shows his susceptible side and says No -I wish we hadnt -you know in which the stage directions say he is upset. I would accentuate this feeling by having my character be shaky and snivelling. These shows the way a young boy would get upset, the juvenile upset could be even more emphasized by actually crying, or causing tears to fall. Silence at this point would not be a dramatic option as children have not mastered this act yet. At their age, if you are upset you cry, the full works are portrayed with tears, sobs and sniffs. A terribly important part of this scene is where all the characters stop thinking about the squirrel and start to talk about Donald, and how they believe he is a cry baby and a little weed. They attention has gone from one traumatic event to a feeling of comedic value and laughter. It shows how the attention span of a young child can be taken and how another activity can over shadow the previous and capture a childs mind. The actor could possibly show excitement which would come as surprise to the audience, this would cause a stir causing the audience to be glued to the play, wondering, what will happen next? What will the character do next? The way I picture it, is a group of overexcited boys. Willie, as the nervous character, would be pleased to be able to change the subject, however, he would not know this was happening as his attention would be taken, much like other young children.  All in all, a nervous reaction to events would portray Willie as the character he is written as. He was never meant to be overly confident or secure, which would be shown in his rigid movements and nervously outlandish behaviourisms. .u2108859997e313fc2e27e9642c81739a , .u2108859997e313fc2e27e9642c81739a .postImageUrl , .u2108859997e313fc2e27e9642c81739a .centered-text-area { min-height: 80px; position: relative; } .u2108859997e313fc2e27e9642c81739a , .u2108859997e313fc2e27e9642c81739a:hover , .u2108859997e313fc2e27e9642c81739a:visited , .u2108859997e313fc2e27e9642c81739a:active { border:0!important; } .u2108859997e313fc2e27e9642c81739a .clearfix:after { content: ""; display: table; clear: both; } .u2108859997e313fc2e27e9642c81739a { display: block; transition: background-color 250ms; webkit-transition: background-color 250ms; width: 100%; opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #95A5A6; } .u2108859997e313fc2e27e9642c81739a:active , .u2108859997e313fc2e27e9642c81739a:hover { opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #2C3E50; } .u2108859997e313fc2e27e9642c81739a .centered-text-area { width: 100%; position: relative ; } .u2108859997e313fc2e27e9642c81739a .ctaText { border-bottom: 0 solid #fff; color: #2980B9; font-size: 16px; font-weight: bold; margin: 0; padding: 0; text-decoration: underline; } .u2108859997e313fc2e27e9642c81739a .postTitle { color: #FFFFFF; font-size: 16px; font-weight: 600; margin: 0; padding: 0; width: 100%; } .u2108859997e313fc2e27e9642c81739a .ctaButton { background-color: #7F8C8D!important; color: #2980B9; border: none; border-radius: 3px; box-shadow: none; font-size: 14px; font-weight: bold; line-height: 26px; moz-border-radius: 3px; text-align: center; text-decoration: none; text-shadow: none; width: 80px; min-height: 80px; background: url(https://artscolumbia.org/wp-content/plugins/intelly-related-posts/assets/images/simple-arrow.png)no-repeat; position: absolute; right: 0; top: 0; } .u2108859997e313fc2e27e9642c81739a:hover .ctaButton { background-color: #34495E!important; } .u2108859997e313fc2e27e9642c81739a .centered-text { display: table; height: 80px; padding-left : 18px; top: 0; } .u2108859997e313fc2e27e9642c81739a .u2108859997e313fc2e27e9642c81739a-content { display: table-cell; margin: 0; padding: 0; padding-right: 108px; position: relative; vertical-align: middle; width: 100%; } .u2108859997e313fc2e27e9642c81739a:after { content: ""; display: block; clear: both; } READ: The novel Anthem by Ayn Rand tells the story of Equality 7-2521 EssayI would like the scrutiny of the characters childhood behaviour totally absorbing. When my character is playing Willie I want the foreshortened views, the rapid swings from laughter to fear and tears and back again, and the constant lapses into play to be well captured, I want the audience, never, even for a second, to doubt they are watching young children, even though they would possibly be played by adults.

Friday, November 29, 2019

Swot Analyss Essay Example

Swot Analyss Essay Strengths Comar chemicals is regarded as a leader in the tyre and paint industry. This phenomenon is ascribed to the following strengths: †¢Contracts in place with Goodyear, Continental, Plascon, Bridgestone, Dunlop, and Michelin. †¢Product quality of the highest standard. Automated plant control systems in place, constant in-production quality control tests controlled by chemical director, Vernon Redding. Compliant raw materials with specifications are being utilised. †¢Succession planning in place since the appointment of Stefan as operational manager. This person is ear marked to substitute Vernon Redding, in the event of his departure. Buy and sell agreement entered into by directors, Udo Eric Eichrodt and Dieter Roland. †¢Management team is experienced and highly qualified. †¢Udo Eric Eichrodt: 30 years BComm Marketing Management †¢Dieter Roland: 29 years Bcomm Investment Management †¢Vernon Redding: 45 years PhD Chemistry †¢Stefan: 12 years BScHons Chemistry †¢May Rossouw: 24 years BCommHons (Management Accounting) †¢Nicki de Villiers: 15 years MComm (Transport Economics) †¢Low staff turnover. The company invests in staff morale as it understands it to be its biggest asset. †¢BEE Status 20% black owned, Vernon Redding, Indian. Promotes business in South Africa and abroad. †¢ISO 9001:2008 Certified (International Organization for Standardization. ) Little trouble has been encountered in the past to comply with minimum standards required by this certification. †¢Unqualified annual audited financial statements. This is testament to good governance practiced. Low gearing, although non-current assets are shown at R4m. Market value of plant and property exceeds R20m. Company is liquid, considering current assets to current liabilities ratio of 4:1. †¢Comar chemicals operates from totally owned premises. European Safety Reliability Association (ESRA) certified. Toxic waste is dealt with in a responsible and reliable manner. Contamination of ground is highly unlikely as the company places a high premium on â€Å"going green. † †¢Flexibility and research development ensures ongoing sustainability. †¢Product reliability. Order tracking procedure and commitment of staff ensures a good reputation of the company. †¢Absolute advantage, ability to produce specific product more efficiently than any other nation. Factors of production are relatively cheaper than any other country. †¢Zero tolerance for human error. We will write a custom essay sample on Swot Analyss specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Swot Analyss specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Swot Analyss specifically for you FOR ONLY $16.38 $13.9/page Hire Writer The company has strict rules and procedures that need to be followed to ensure the mainstay of the business. Disciplinary actions are taken against culprits, which could lead to dismissal. Weaknesses The following weaknesses have been identified: †¢Comar Chemicals is faced with multiple taxes due to the fact that it is a multinational enterprise that runs in various different contries. Operating in various different countries leads to multiple tax jurisdictions. Multiple tax jurisdictions may lead to the overlapping of taxes and the company may end up with a double taxation. (1) †¢The economic model introduces some weaknesses to the company. There are various factors that affect the economic activity of Comar Chemicals. These include the resource limitations placed on the company’s ability to obtain certain chemicals or the availability of chemicals needed in the factors of production. Environmental or geographical constraints can increase their expenses due to extra transportation costs for raw materials and finished goods. The factory could be situated in an area which is prone to seasonal bad weather (Cape Town). This could slow down the process of moving materials and Comar Chemicals will bear the economic impact of a loss of potential revenue and increased costs. Theirs will also be certain institutional and legal requirements that Comar Chemicals will have to follow and they will vary in the three different countries that they operate in, South Africa, Switzerland and Germany. Comar Chemicals may have to adhere to different legal levels of Co2 production that they create during their production process and will have to regulate these levels in compliance with the legal levels set by the government. †¢Comar Chemicals has no buy and sell agreement supported by life insurance. A buy and sell agreement is a binding legal document that governs the conditions if a co-owner dies or is otherwise forced to leave the business. The fact that there is no buy and sell agreement supported by life cover means that if owner of the company passes way or is forced to leave the business then all the debt or liabilities incurred by the business will be left to the closest relative of the owner. This could lead to a liquidation of the business if there is no insurance cover. Therefore the business is not completely safe in the case of a personal crisis within the business. 2) †¢Promotion for staff is limited due the low staff turnover that Comar Chemicals has. Comar Chemicals has a total of 38 employees that includes two scientists, one accountant and one logistics manager. This can also be seen as a strength however the fact that there are so few employees, there are few promotions to employees. This can cause employees to become less motivated towards their job and c ompany and in turn this could decrease the total production and the total efficiency of production. †¢Employee empowerment is the act of giving more responsibility to workers in the work place. 3) The empowerment of staff can lead to a weakness within Comar Chemicals due to the fact that firstly, the business has a relatively small number of employees. This can lead to an increase in conflict between the employees as to why one employee has been empowered more than another. This can cause bad interpersonal relationships between employees. Empowerment can also be a weakness if the wrong employee has been empowered to take on a certain task or manage a project that he or she has not been specifically trained for. This could create problems within the managerial and operational sectors of Comar Chemicals. If empowerment of employees is going to be an on-going activity at Comar Chemicals then it has to be carried out in a way that makes sure that the right employees are being empowered for the right reasons. †¢Comar Chemicals has no key man insurance. This is very similar to the absence of a buy and sells agreement, supported by life cover that was previously mentioned. Key man insurance is an insurance policy that is takes out by the business to compensate for financial losses that would arise from the death or extended incapacity of an important member of the business. Key man insurance can cover many insurable losses that include, losses related to the period when the key person was unable to work and insurance to protect profits, insurance to protect shareholders and partnership agreements. Without key man insurance, Comar Chemicals is vulnerable to the chance that something happens to the owner and there is no protection or financial security for the business in the future. (4) Opportunities There are many opportunities for Comar Chemicals to utilise to maximise their business productivity and profitability. There are two types of opportunities, external and internal. External opportunities affect the organisation due to independent factors. Internal opportunities exist within the firm. Opportunities, when realised, can have enormous rewards for the business if the opportunities are exploited correctly. An opportunity is indication of positive potential that can help a business increase its success. Possible sources of business opportunities in most industries and markets include: Potential Business Opportunities Technological innovation New demand Market growth Demographic change Social or lifestyle change Government spending programmesHigher economic growth Trade liberalisation EU enlargement Diversification opportunity Deregulation of the market The opportunities that Comar can use to their advantage are: import quotas, developing markets, revising job descriptions/digressions, improving competitive levels, forward exchange cover, Solar power, life policies, association with universities and joint development with customers. An Import Quota is like a form of protection. It fixes the amount of products a foreign producing firm is allowed to bring into a country over a specific time period, which is usually a year. The objective of an import quota is to limit imports into a country therefore encouraging the use of domestic products and services, as the amount of the good being imported is limited the price of the specific good increases therefore domestic firms benefit. Comar, being situated in South Africa, Switzerland and Germany, can use this as an opportunity by increasing domestic employment. There will be a larger demand for Comar Chemicals because import quotas will make it more expensive to import these goods from international competitors. This will encourage Comar to employ more citizens that are qualified for the job because of the expanding demand of their product and the need for increased labour and skills in the organisation. Comar is a small business, with 38 employees including two scientists, an accountant and a logistics specialist. Comar is 14 years old, which is relatively young compared to it competitors therefore it can be considered an â€Å"infant industry† which is still developing and is not big enough to compete fairly. Import quotas allow Comar to mature onto a same competitive level as international organisations. South Africa is a developing country and the market for metal carboxylates is expanding with the increase of paint and coatings, printing inks and chemical industry, polyester industry, grease and gear oils industry and PolyButadiene, Isoperene Butadine and Copolymers industry. With the increase of construction and manufacturing in South Africa, these industries are in higher demand than ever before. Comar can improve their competing levels through product quality. Quality relates to appropriate use: how well a product does what it is intended to do. This can include a compliance of raw materials with specifications, detailed manufacturing and quality control test procedures, in-production tests of final products, introduction of automated plant control systems. These quality control methods leave little room for error, positioning the product on a high level of quality which will lead to a smart modern working environment and a reflection of the quality of the business as a whole. Comar’s leading product is COMCAT, which inclueds a rare earth catalyst which is used in the synthetic rubber industry to manufacture advanced rubber tyres making tyres softer but more durable which in turn lowers the level of CO2 emissions from vehicles. This gives Comar a competitive advantage as their products are also helping the environment and decreasing the level of harm through innovative products, which will draw the attraction of buyers. There can often be discrepancies about the actual responsibilities, tasks and duties of a certain position within the organization; this can be managed by revising job descriptions. There must be an accurate reflection of the true functions and responsibilities for a job description to be effective. A comprehensive job description can be used in management to measure employee performance and employees can use the job description as a guideline to comprehend the expectations of the position. This can lead to improved productivity and ohesiveness within the organization to help realize the organizations objectives and goals. Comar can use the opportunity to become involved with universities to further their research and provide university departments with their expertise of the product to evolve students into potential employees of their firm or for that specific industry. For example, Comar could give bursaries to deserved students to pay for their studies in a BSC, specializing in CO MCAT (PolyButadiene, Isoperene Butadine and Copolymers industry). They could provide all the necessary tools (research, expertise, information) in order to establish awareness of this specific product and market the need for this specific scientist in this field. Joint development with customers involves a good relationship between the manufacturer and the customer. The manufacturer must be enthusiastic and prepared to open up its daily practices and activities to its customers, this will give the customer the opportunity to carefully scrutinize and evaluate the ways in which the manufacturer operates, during the production process, and the quality of the finished products. An important issue when dealing with joint development with customers is communication. When there is a healthy line of communication between the manufacturer and the customer, there can be am exchange of ideas between parties leading to effective production and customer satisfaction. Threats Threats are conditions in the business environment that are uncontrollable and have the potential to harm business profitability. One of the most common threats is competitors. There are a number of threats that Comar may face, including: future trends in the specific field, social issues, the economy, funding, demographics and the physical environment. When observing the potential threats that Comar may face, the following needs to be determined: the obstacles Comar may face, competitor’s activity, quality standards and changing technology. Threats can be divided into two categories namely, industry threats, an increase in competition or a decrease in the market size, and macro threats, threats that affect all industries in Comar’s area. Possible sources of business threats include Potential Business Threats New market entrants Change in customer tastes or needs Demographic change Consolidation among buyers New regulationsEconomic downturn Rise of low cost production abroad Higher input prices New substitute products Competitive price pressure A potential threat Comar may face is the diversity. Diversity is often defined as a positive term for a business, but it also comes with threats that have the potential to ruin productivity. Comar has a diverse workforce, co-workers each have different experiences and perceptions as they have all come from different backgrounds. This could cause cultural clashes which can decrease productivity and cohesiveness of the business as a whole. Comar could also experience divisions in staff members due to the formation of cliques and other groups, this can create competition between employees rather than teamwork, a lack of respect amongst one another and this could lead to costly diversity training to resolve diversity issues within the organisation. Comar has a diverse client base as their company is also situated in Switzerland and Germany. It is therefore crucial for Comar have a bi-lingual customer service, if they do not they will lose a massive amount of clientele as there needs to be effective communication between the two parties in order for the business to be successful. Social issues in the business environment may be a threat to Comar. A social system is a pooling of ideas, attitudes and behaviour which are involved in human relations and interactions. Comar is influenced by its customers attitudes and behaviour, if they are negative relationships within the organisation this could dampen productivity and decrease business profitability and if there are social issues external to the organisation, such as political unrest, could affect consumer behaviour negatively and affect the success of the business. The political; and legal system can also pose as a threat to Comar, as business have to follow the specific regulations as set out for them by the government, it creates a set of rules and guidelines that business are expected to adhere by, if a business does not there could be serious consequences that could lead to decreased profitability and even as far as a business being banned. The monetary system facilitates business exchange. Monetary activity has distinct basic functions, namely saving, borrowing, spending and earning, which are all linked to business profitability. Comar has to pay careful attention to all these activities because each of these factors can easily turn into a threat for the business. There are many different parties involved when dealing with money, they are financial institutions, debtors, creditors, customers and suppliers. The interest rate is very important when Comar is dealing with its monetary activities, when an interest rate is high, it increases Comar’s costs and will limit the amount of spending that Comar can participate in. Exchange rates are the value of one nation’s currency in comparison to another. It is very important when determining a business’s effectiveness and whether it will serve as an opportunity or a threat. Comar is a company that does business in South Africa and globally, therefore exchange rates will have an enormous effect on the profitability. When Comar exchanges its products over national borders causing another currency to become involve, fluctuations in exchange rates can lead to profits or losses for Comar. Comar is at an advantage when the rand is relatively strong compared to the currency that the organisation is trading with. When the rand is weak compared to the business it is doing the exchange with, Comar is at a disadvantage as it will be more costly to exchange products across borders. A massive threat that Comar faces is import duty, which is a tax on goods imported into a country. This causes prices to be higher because of the tax cost involved. This cost is passed onto consumers at higher prices, which in turn can lead to consumer dissatisfaction and a loss in clients. Trade restrictions were introduced to restrict importing for many reasons, mainly to protect domestic industries. There are two types of restrictions, tariffs and non-tariffs. Non-tariffs include, methods such as embargo, import quota – which is a limitation on the amount of goods a business is allowed to import, foreign exchange control and currency devaluation. These trade restrictions pose a massive threat to Comar because the organisation is continuously trading over borders and having to deal with trade restrictions, which will inevitably hinder profitability.

Monday, November 25, 2019

Battle of Cannae in the Second Punic War

Battle of Cannae in the Second Punic War The Battle of Cannae took place during the Second Punic War (218-210 BC) between Rome and Carthage.  The battle occurred on August 2, 216 BC at Cannae in southeast Italy. Commanders and Armies Carthage Hannibal45,000-54,000 men Rome Gaius Terentius VarroLucius Aemilius Paullus54,000-87,000 men Background After the start of the Second Punic War, the Carthaginian general Hannibal boldly crossed the Alps and invaded Italy. Winning battles at Trebia (218 BC) and Lake Trasimene (217 BC), Hannibal defeated armies led by  Tiberius Sempronius Longus and  Gaius Flaminius Nepos. In the wake of these victories, he moved south plundering the countryside and working to make Romes allies defect to Carthages side. Reeling from these defeats, Rome appointed Fabius Maximus to deal with the Carthaginian threat.  Avoiding direct contact with Hannibals army, Fabius struck at the enemys supply lines and practiced the form of attritional warfare that later bore his name. Unhappy with this indirect approach, the Senate did not renew Fabius dictatorial powers when his term ended and command passed to the consuls  Gnaeus Servilius Geminus and Marcus Atilius Regulus.   In the spring of 216 BC, Hannibal seized the Roman supply depot at Cannae in southeast Italy. Situated on the Apulian Plain, this position allowed Hannibal to keep his men well fed. With Hannibal sitting astride Romes supply lines, the Roman Senate called for action. Raising an army of eight legions, the command was given to the Consuls Gaius Terentius Varro and Lucius Aemilius Paullus. The largest army ever assembled by Rome, this force advanced to face the Carthaginians. Marching south, the consuls found the enemy encamped on the left bank of the Aufidus River. As the situation developed, the Romans were hampered by an unwieldy command structure which required the two consuls to alternate command on a daily basis. Battle Preparations Approaching the Carthaginian camp on July 31, the Romans, with the aggressive Varro in command, defeated a small ambush set by Hannibals men. Though Varro was emboldened by the minor victory, command passed to the more conservative Paullus the next day. Unwilling to fight the Carthaginians on the open ground due to his armys smaller cavalry force, he elected to encamp two-thirds of the army east of the river while establishing a smaller camp on the opposite bank. The next day, aware that it would be Varros turn, Hannibal advanced his army and offered battle hoping the lure the reckless Roman forward.  Assessing the situation, Paullus successfully prevented his compatriot from engaging. Seeing that the Romans were unwilling to fight, Hannibal had his cavalry harass the Roman water-bearers and raid in the vicinity of Varro and Paullus camps.   Seeking battle on August 2, Varro and Paullus formed up their army for battle with their infantry densely packed in the center and the cavalry on the wings. The Consuls planned to use the infantry to quickly break the Carthaginian lines. Opposite, Hannibal placed his cavalry and most veteran infantry on the wings and his lighter infantry in the center. As the two sides advanced, Hannibals center moved forward, causing their line to bow in a crescent shape. On Hannibals left, his cavalry charged forward and routed the Roman horse. Rome Crushed To the right, Hannibals cavalry was engaged with that of Romes allies. Having destroyed their opposite number on the left, the Carthaginian cavalry rode behind the Roman army and assaulted the allied cavalry from the rear. Under attack from two directions, the allied cavalry fled the field. As the infantry began to engage, Hannibal had his center slowly retreat, while ordering the infantry on the wings to hold their position. The tightly packed Roman infantry continued to advance after the retreating Carthaginians, unaware of the trap that was about to be sprung. As the Romans were drawn in, Hannibal ordered the infantry on his wings to turn and attack the Roman flanks. This was coupled with a massive assault on the Roman rear by the Carthaginian cavalry, which completely surrounded the Consuls army. Trapped, the Romans became so compressed that many did not have space to raise their weapons. To speed the victory, Hannibal ordered his men to cut the hamstrings of each Roman and then move on to the next, commenting that the lamed could be slaughtered later at the Carthaginians leisure. The fighting continued until evening with approximately 600 Romans dying per minute. Casualties and Impact Various accounts of the Battle of Cannae show that 50,000-70,000 of the Romans, with 3,500-4,500 taken prisoner. It is known that approximately 14,000 were able to cut their way out and reach the town of Canusium. Hannibals army suffered around 6,000 killed and 10,000 wounded. Though encouraged by his officers to march on Rome, Hannibal resisted as he lacked the equipment and supplies for a major siege. While victorious at Cannae, Hannibal would ultimately be defeated at the Battle of Zama (202 BC), and Carthage would lose the Second Punic War.

Thursday, November 21, 2019

Food Waste Biomass Essay Example | Topics and Well Written Essays - 500 words

Food Waste Biomass - Essay Example Food wastes are generated from hotels, restaurants, and other retail shops with one of the major causes being foods that are all not being sold. If the quality and freshness of the food products get compromised or lost, then customers tend to reject such food products. Moreover, since customers do not like waiting for their favorite food products, retail shops order for more of the products, often which is do not get sold entirely, thus leaving unsold foods that eventually becomes wastes. Since right amounts of food are often not ordered at the right time, this leads to the most losses of foods. Foods also turn into wastes if they are not treated or managed properly. For instance different food products might be required to be kept in particular temperatures which if neglected leads to wastes. Incorrect mechanical handling of foods also leads to wastes (Stenmarck et al 10-11). The environment gets affected by food waste since natural resources are lost as a result of food waste, alon g with release of greenhouse gases in the air. Also, since there are many people in the world who are in need of food while on the other food gets wasted can be associated with social impacts as well. Thus if hotels and restaurants report for food wastes, they also prove to be socially not responsible and hence might not gain their position in the world of business. With wastage of the food, the other energy sources that were involved in the production of the food also get wasted (Environmental and social impacts of food waste).

Wednesday, November 20, 2019

Steve Jobs Essay Example | Topics and Well Written Essays - 3750 words

Steve Jobs - Essay Example He was named as Steven Paul Jobs. In the year 1960, the Jobs family moved to Santa Clara which is popularly known as Silicon Valley. By the age of thirteen, he managed to get a summer job at HP. He was extremely good at computers and his instructors in schools wanted to skip him several classes ahead, which his parents declined. His interest in computers developed at an early age and he was inspired by the machinist work performed by his father. b) Professional career sketch of Steve Jobs Jobs dropped out of college in the very first semester and went to India in quest of spirituality. At the young age of 21, Steve cofounded Apple Computers with Steve Wozniac and Ron Wayne. Jobs was responsible for marketing Apple Computers and Wozniac headed the technical department of Apple and they started selling affordable computer solutions to Americans. The Apple Computers were smaller in size and could be purchased by the middle class American people. The organization further developed Apple II which became more popular and this resulted in augmented sales by around seventy percent. By the year, 1980, Apple Computers became a publicly traded firm and registered a market value of USD 1.2 billion on the initial day of trading (BusinessNewsDaily, 2013). Individual 2 Moving out of Apple The next few years witnessed a downfall in Apple due to serious flaws in designs and disappointment by consumers. Along with this, Apple faced stiff competition from IBM which had registered augmented growth in sales as compared with Apple. The Macintosh was released by Apple in the year 1984 and it was effectively marketed as a machine which was youthful, romantic and creative. Despite registering favourable growth in sales with Macintosh, Apple was still not able to effectively compete with IBM. This was because the computers designed by IBM were far more superior as compared with Macintosh. Following this, the then President of Apple, Scully believed that Steve Jobs was not able to steer the organization to a path of growth and subsequently Jobs had to resign from Apple in the year 1985. He commenced a new hardware and software firm known as NeXT, Inc. The very next year, an animation firm was purchased by Jobs which later came to be known as Pixar Animation Studios. The animation film studio produced successful and popular animated movies like The Incredibles, Finding Nemo and Toy Story. In the year 2006, Pixar merged with Walt Disney Studios and Steve Jobs became one of the largest shareholders of Walt Disney. Back to Apple Pixar Animation Studio resulted as an extremely successful business venture. However, NeXT Inc., failed to achieve success and was eventually acquired by Apple in the year 1997. In the year 1997, Steve Jobs again became the CEO of Apple. The success of Apple in the 1990s is credited to the business acumen of Steve Jobs. He formed a new management team, imposed himself to a salary of $1 per annum and modified the stock options, thereby leading t he organization into a path of success (The Wall Street Journal, 2011). The consumers became awed by innovative design solutions like iMac, iPad, iPod and the like, stylish designs and excellent branding and marketing campaigns and sale of Apple products soared ahead. c)

Monday, November 18, 2019

Case Essay Example | Topics and Well Written Essays - 500 words - 4

Case - Essay Example 5. The management of the company used the scientific management in their strategy. They looked at how the result of reducing the production would affect the growth of the company. In so doing they chose a method that could work and enable them make profits. 6. The quality control that the company used is that they satisfy their employees and motivate them enough. This ensured that they work well and produced quality goods. I believe that this is a good strategy as it ensured that they created quality goods for a long time. 7. The forces that are very important in the management of the company are the socio cultural forces and the technological forces. This is because they will keep the company in the upfront of the competition if they are looked at keenly. 10. The competitive strategy that the company has used is observing the competitors and coming up with a method that is a weakness for their competitions. The weakness of the competitors was also the strength of the company. 11. The key elements that the company observed was working with a target duration, having a measurable and attainable goals and having specific and results oriented objectives. These elements go a long way in ensuring that the company achieves all its goals and objectives. 12. One of the cultural variation issues that was once a problem for the company is the need of the manager to reward the workers in any instancing they do a good job. This is because it did not motivate them to work as hard. This is because they knew they could get a reward for putting just enough effort in the work that they did. 13. The company was wise to choose the acquisition strategy over the Greenfield. This is because with the acquisition strategy they have assurance that they will use their own strength to grow their company. 14. The company did not embrace the technology world and they thus cannot be able to have wider coverage. The company will also experience the problem of the wrong

Saturday, November 16, 2019

Case Study On Federalism The Murray Darling Basin Politics Essay

Case Study On Federalism The Murray Darling Basin Politics Essay The long-term issues surrounding the Murray Darling Basin provide an excellent case study with which to review federalism in Australia. This paper will explore the history of the Murray Darling Basin management, the relationships it has fostered and examine why success has been achieved where other national issues have failed. Federalism in Australia To provide context for this case study it is useful to define and summarise federalism and how it has shaped modern Australia. Generally, federalism is the name given to a type of government that unites different political bodies or regions within a single national system whilst providing each its independence. In 1901 Australia created the Federal Parliament giving six states independence but also providing the Federal Government key national powers. Australian federalism can be broken down in a number of ways: The structure of the Senate. The chamber comprises of an equal number of senators from each State. Hence, Tasmania and New South Wales have the same number of Senators even though the populations vary enormously. The role of the senate is to approve legislation sought from the House of Representatives. The division of powers. The Australian Constitution of 1901 established the Commonwealth of Australia which vested legislative power in a Federal Parliament. The Constitution provides for a wide range of responsibilities for the Federal Government which are detailed in Section 51. Those powers not detailed in Section 51 are known as residual powers as they are the responsibility of the States. The term division of powers lies at the heart of federalism and describes the division of responsibilities and power between state and the Commonwealth. In reality there are huge crossovers between the two layers of Government. Competition between these two layers of Government is a formative element to the history of Australia and the federation. Individual State Constitutions. Every State has a defined local constitution and maintains its own Government managed by a Parliament. The Parliament may take any form afforded by the states constitution. Fiscal arrangements. From the very outset the Australian federation was characterised by fiscal imbalance which has worsened overtime (Griffiths and Saunders 2002). Vertical fiscal imbalance (VFI) describes when central governments collect more revenue than regional governments, with Australia having among the highest VFI of any federal nation in the world (Warren 2006 pxxi). The introduction of Special Purpose Payments (SPPs) in 1923 along with the Uniform Tax Case (1942) moved the Commonwealth to a strong centralist position, way beyond that described in the Constitution. VFI has generally brought about detrimental changes to the federation. Overtime VFI has led to a decrease in accountability and increased layers of administration. Further it has led to a dependency by smaller states for core funding creating irresponsibility and inefficiencies (Walsh 2005). The original framers of the Constitution would be pleased to see that federalism has allowed for: competition; regionalisation of policies; innovation; experimentation; choice and diversity (Twomey and Withers 2007). Federalism is at the heart of Australias resilience and vigour. However, in the years since the inception of the Australian Constitution in 1901, small but fundamental policy and legislative changes have altered the style of the federation. Overtime a federal system has developed that does not reflect current world realities or the changing dynamics of a modern society. It is often argued that the model has never adequately defined roles or responsibilities, that duplication and inefficiencies are inherent and that historic fiscal arrangements are damaging (Wilkins 2004). The Murray Darling Basin Management of the Murray Darling Basin (MDB) highlights how federalism can work over extended timescales and provides the first example of cooperative federalism in Australia. Discussions surrounding the MDB are far from new with the birth of federalism in Australia emerging in part due to disputes associated with the water catchment area. A 1902 Royal Commission notes: The Murray and its tributaries must be looked at as one. An administrative and technical response is needed for jurisdictional disputations, environmental challenges and economic opportunities within a maturing Federal system Corowa Water Conference and Interstate Royal Commission 1902 The large scale of the MDB is surprising in terms of geography, financial contribution to the economy and importance to water resource development. The MDB catchment area covers over one million square kilometres and accounts for 14% of the Australian landmass, an area larger than France and Spain combined: Source ABS 2008 The basin is of crucial importance not only to the region but to the entire nation as it accounts for around $4.8 billion or 39% of Australias total agricultural output. The importance of food production encompassed by the MDB is broken down at the highest level as follows: Agricultural Crop / Livestock Percentage of Total Australian Production Cereals 53% Oranges 95% Apples 54% Cattle 24% Sheep 45% Pigs 62% Source ABS 2008 Further the MDB is the major source of water for Adelaide and northern Spencer Gulf cities in addition to settlements along the rivers and in the watersheds that feed them (Hawke Research Unit 2008). Water irrigated from the MDB accounts for approximately 75% of all the water irrigated in Australia. As water has long played a crucial role in the formation of white Australia, there are many dates and events  through which inter-governmental management of the MDB evolved: Date Event 1855 NSW passed their Constitution Act 1855 which gave the state possession of River Murray waters from the Rivers headwater to the SA border. 1855 -1898 Political wrangles leading to conferences of the Colonies (1857 and 1863). Three separate Royal Commissions in VIC, NSW and SA. Corowa Conference on Trade beginnings of Federation and agreements on river management. Water management entwined with Federation. 1902 Corowa Community Conference sees local groups take over the debate. 1915 Establishment of the River Murray Waters Agreement. NSW and Vic agreed to limit their Constitutional powers to manage the waters of the River Murray as they saw fit, and to provide SA with a share of those resources.   The Commonwealth Government played a strong facilitation role in reaching this agreement. 1916 -1980 Collaboration between NSW, Vic, SA and the Commonwealth sees the construction of three major water storages and 16 weirs. The current value of these assets is around $2 billion. 1982 The first Murray-Darling Basin Agreement reached between four governments. 1986 Appointment of Murray-Darling Basin Ministerial Council 1988 Establishment of the Murray Darling Basin Commission 1993 Enactment of the Murray Darling Basin Act 1993 1995 Cap on water restrictions ratified by all members of Murray-Darling Basin Agreement 2003 Council of Australian Governments (COAG) noted a $500 million fund over five years to restore the health of the River Murray. 2006 Additional $500 million announced to support MDB regeneration. The Commonwealth flagged its intention to take a lead role in management of the MDB. 2007 Enactment of the Water Act 2007 and establishment of the Murray Darling Basin Authority. A further $10 billion investment promised by Commonwealth 2008 Agreement on Murray-Darling Basin Reform signed by all Basin States and the Commonwealth Government Changes to the Water Act 2007 transferred power to the Murray Darling Basin Authority 2010 Release of the Guide to the Proposed Murray-Darling Basin Plan. Concerns from farmers and communities lead to a 12 month delay of the final release. Within the last 20 years the basin has been under enormous stress as a result of over-allocation, prolonged drought, natural climate variability and climate change. A lack of water has played havoc with rivers, wetlands, forests and floodplains with blame resting with State governments for allowing too much water to be taken out of the system. The Long Road to Cooperative Federalism The success of the MDB management is surprising given the resource joins four States, a territory government, a federal government and hundreds of water catchment boards and local governments. The majority of serious issues in managing the system have always reached resolution and as a showcase for water resource management the MDB is highly regarded internationally. So how has the MDB become a showcase for cooperative federalism and avoided stagnation with other national issues? One important reason for the success in the MDB lies in the types of relationships fostered through communities, local governments, states and the Commonwealth. The prevailing characteristics of Australian federalism are of rivalry and coercion leading to undesirable behaviour by governments (Walsh 2005). However management of the MDB has produced major reform across all levels of government resulting in a greater good approach by stakeholders. There are few examples since 1901 where a unified approach to a national issue, not enforceable by a Commonwealth government, has been so resolutely enacted with such cross-border respect. The strong identity invested by individuals, bureaucrats and politicians alike meant the evolution of a sense of bioregionalism and identification with the Murray-Darling Basin could develop over time (Powell 1993). Further, from 1916-1980 Vic, NSW, SA and the Commonwealth worked together in a fair and equitable way on the construction of major water infrastructure.    Facing considerable challenges and significant disputes  the 1982 River Murray Waters Agreement became the forerunner of the Murray Darling Basin Initiative and is sighted as the very first example of cooperative federalism (Freebairn 2005). The success of the River Murray Waters Agreement was due to the clarity of roles and responsibilities across three levels of government. As Australia still wrestles with its model of federalism and searches for a new and meaningful style of government (Twoomey and Withers 2007) the MDB is an excellent example of where cross border activities and regional priorities have been unified through a common approach. Facilitating the move towards cooperative federalism have been the fiscal arrangements surrounding the MDB. The Commonwealth, without having Constitutional control but plenty of cash, has incentivised reform via payments on performance. For example the introduction of the National Competition Policy in 1995 allowed a series of tranche payments to motivate States in achieving key water reform goals. In 2004, the National Water Initiative was introduced to overcome property rights issues, resulting in an agreed public-private cost-sharing arrangement if environmental flows were to be increased (Freebairn 2005). Investment by the Commonwealth has been substantial and, as Freebairn notes, is considered the glue holding together MDB reforms. Where national reforms to housing, education and health languish due to arguments on horizontal fiscal equalisation the MDB has neatly sidestepped such issues. It is reasonable to suggest that the fiscal arrangements have been the keystone in all refo rms to the MDB and that the cooperative nature of arrangements have been underpinned by the direct and indirect cash injections by the Commonwealth. The substantial public investment made from 1990-1996 also incurred criticism. Throughout this period there was limited empirical evidence of real improvements to the MDB system. The feel good perception of the general public may well have been misplaced in relation to tangible on the ground achievements (Ancev and Vervoort 2007). However data does not sell newspapers or create political careers. The high level political messages issued at the time brushed over realities and allowed for continued poor policy setting. It is interesting to note that during this period all parties remained committed to flawed policies which later exacerbated problems within the MDB. The success of MDB management is also attributed to the centralist strategy encapsulated in the Murray-Darling Basin Agreement. The Agreement of 1988 can be understood in light of the effective management of what is an enormously complex and pressing issue. The Commonwealth in this context acted as the broker between State interests, operating outside of particular jurisdictional claims and difficulties. It was a clever, pragmatic and subtle role, one which the original writers of the Constitution would have imagined the Commonwealth playing more frequently. Combined with the financial contributions previously described, the Commonwealth have been able to lead from behind and manoeuvre local and regional issues within a national context. A Trickle Becomes a River The role of the Council of Australian Governments (COAG) in assisting reform is not to be underestimated. Whilst COAG has been underutilised by some Governments, its ability to decide on matters of national importance has been crucial in advancing management of the MDB. For example the COAG endorsed reforms for water allocations and cross boarder trading provided clear direction and set deadlines for action that no single state could command. In addition the Water Management Partnerships agreed by COAG in 2008 provided national agreement at a crucial time in the basins history, with long-term drought reducing flows to their lowest levels on record. It was a critical time for leadership and decision making and one in which COAG was able to fully exercise its role and responsibility. The swearing in of the Labour Government of 2007 bought with it a wave of cooperative federalism supported by a political alignment of all States and Commonwealth for the first time since 1969. Almost immediately progress was made on revolutionising MDB management with a cash injection of $10bn and the creation of Murray Darling Basin Authority. The Authority replaced the previous Murray Darling Commission and provided the Commonwealth with a closer link to water reform for the region. In the history of the cooperative federalism in Australia this was another milestone. By creating an independent statutory authority the basin states were clear on the roles and responsibilities of water management for the region. The suggestions at the time that the Commonwealth should take total control over the Murray-Darling Basin were constitutionally impossible and environmentally short-sighted. Federalism cant make it rain. If the Commonwealth had been running the Murray-Darling before the drought the basin would still be in dire straits (Wanna 2009). However although the Murray Darling Basin Authority operates as a statutory authority it reports directly to the Commonwealth through the Minister for Sustainability, Environment, Water, Population and Communities. The relationship is another step toward Commonwealth control without Constitutional reform. From Now to Where? We have seen that through cooperative federalism MDB management has enabled significant long-term investment on a national scale. The MDB case study emphasises how cross boarder agreements can succeed in supporting the needs of three levels of government and local communities. We have also seen how the financial arrangements for MDB reform have sidestepped major federation fiscal issues that engulf national issues within education and health. Finally the case study has highlighted the importance of COAG and how, when performing at its best COAG can provide leadership, facilitate long-term national change and supporting varying regional priorities. Whilst the Australian federation has moved forward and in part failed to develop (Twoomey and Withers 2007) the MDB has remained a central focus for basin states, local governments and communities alike. Ongoing wrangling over water allocations will continue and serious droughts may well occur again, however, clearly defined roles and responsibilities provide a solid foundation upon which the Murray Darling Basin Authority now operates. Through cooperative federalism, pragmatic leadership and simplified investment the future of the Murray Darling Basin is more assured than at any time in its history.

Wednesday, November 13, 2019

All Quiet On The Western Front :: essays research papers

Erich Maria Remarque’s All Quiet on the Western Front is a novel that takes you through the life of a soldier in World War I. Remarque is accurately able to portray the episodes soldiers go through. All Quiet on the Western Front shows the change in attitudes of the men before and during the war. This novel is able to show the great change war has evolved to be. From lining your men up and charging in the eighteenth century, to digging and â€Å"living† in the trenches with rapid-fire machine guns, bombs, and flame-throwers being exposed in your trench a short five meters away. Remarque makes one actually feel the fun and then the tragedy of warfare. At the beginning of the novel Remarque gives you nationalist feelings through pride of Paul and the rest of the boys. However at the end of the war Remarque shows how pointless war really is. This is felt when everyone starts to die as the war progresses. Remarque accurately portrays all aspects of the war. However Remarque is best able to portray the effects the war has on the soldiers and the rest of the people and the scene of the battlefield compared to home. The war scarred the soldiers permanently, if not physically then mentally. After the war the soldiers usually never recovered from the war. Two of the most common side affects of the war were shell shock and stir crazy. When suffering from shell shock a soldier’s brain doesn’t function properly and the man is a â€Å"vegetable†. This means the man is alive but he can’t do anything because he is in a state of shock because of the war. Stir crazy is a mental illness caused by the firing of so many bullets that when no bullets are heard by the victim he goes insane. Everyone was scared to go to war when it started. Young recruits were first sent because the veterans knew they were going to come back dead. "When we run out again, although I am very excited, I suddenly think: â€Å"where’s Himmelstoss?† Quickly I jump back into the dug-out and find him with a small scratch lying in a corner pretending to be wounded.† (P 131) Even t he big men like Himmelstoss are scared to go fight. They too go through the mental illnesses like stir crazy and shell shock. â€Å"He is in a panic; he is new to it too.

Monday, November 11, 2019

Extended School Day Essay

Imagine you are a seven-year-old whose’s parents work until five each night. When you come home after school there is no one home with you. What could you get into? You might know right from wrong but you still might get yourself into some trouble. Just out of plain curiosity you might get into something or an accident could happen without you even being involved in it. But I say there is a way to stop this from ever happening. I think we should either keep schools open longer or introduce more after school programs. Many advantages would come from either of these ideas. For one the parents would not have to be in a state of worry about whether their child is safe at home or in trouble. Plus you always have that added guilt about not being able to help your kids with their homework. Now with either longer days or more after school programs a lot of stress could be taken away from your family. No more having to pay for sitters which could stress out a families finances. Also th e dangers of the kids being home and getting into trouble would be cut down severely. And also with the longer days or more after school programs parents would be able to get home, at least one parent would be home, to pick their kids off the bus. I wanted to suggest some programs I feel would help out with the problem at hand. These programs would be a reading and math after school program. One program I would suggest is a reading after school program. It is said that today, too many children fail to read at a level we would expect for the grade they are in. In a study done in 1998, the National Assessment of Educational Progress found that, thirty eight percent of our nation’s fourth graders failed to read at the basic level. That fact alone says we must enforce more after school programs. Now they also found that sixty-four percent of African American and sixty percent of Hispanic American fourth graders read below the basic level. This shows we need to not only put these programs in suburban schools but also city schools. Research has shown that students who are behind in reading can catch up to grade level with additional reading instruction and tutoring after school and in the summer. And that is what I am trying to put in effect. We all know that to succeed in school all students need good reading skills, and that’s just a fact. Another program that I think is good is a mathematics after school Program. I has been found that students who take rigorous mathematics courses are much more likely to go on to college and into promising careers than those who do not. And with technology becoming more prevalent in the workplace, the need for employees with mathematics backgrounds has greatly increased. In my research I have found that far too many students finish middle and junior high school without developing a solid foundation in algebra and geometry. Research done by the international comparative assessments said that U.S. student achievement in mathematics falls below the average in the middle grades. We need to help improve this. I think some other important facts help support my case for the longer school day and the after school programs in this little cha rt. Some reasons why the public supports after school programs: *Over 28 million school-age children have both parents or their only parent in the workforce. *At least 5 million children — and possibly as many as 15 million — are left alone at home each week. *Many children, especially low-income children, lose ground in reading if they are not engaged in organized learning over the summer. *Experts agree that school-age children who are unsupervised during the hours after school are more likely to receive poor grades and drop out of school than those who are involved in supervised, constructive activities. *Statistics show that most juvenile crime takes place between the hours of 2:00 and 8:00 pm, and that children are also at much greater risk of being the victims of crime during the hours after school. Here is another chart showing that after school programs enhance a child’s academic achievement. *Participants in after-school programs:* *Show increased interest and ability in reading *Develop new skills and interests *Show improved school attendance, increased engagement in school, and reduced dropout rate *Turn in more and better quality homework and can spend more time on task *Are held back or placed in special education classes less frequently *Show higher aspirations for the future, including intention to complete high school and go to college. These facts are real. This is why I picked trying to make a longer day and more after school programs. And with these two programs the numbers will go up. I plan on adding more programs to what I have wrote in here. But I think implementing a longer school day and these after school programs should help not only the parents of these children but the children themselves.

Friday, November 8, 2019

AT THE OPTICIANS Essays - Optician, Free Essays, Term Papers

AT THE OPTICIANS Essays - Optician, Free Essays, Term Papers AT THE OPTICIANS Physical appearance: The main character in this sketch is in his 40s. He has a professional dressing and clean aspect. A robust posture with a sarcastic smile in his face. Dark hair and dark eyes. He is an average height. He wears a nice watch with black shoes and a black sport coat with a polo shirt inside. He is a little overweight but he believes he is in good shape. Personality: He is stubborn and likes to show off. He is somewhat sarcastic in times. He can be hard to follow in a conversation since he has some attention deficiency. He has a deep, medium-slow voice with some accelerations. He can change his moods in seconds and likes to talk more than necessary. Environment influence: This character is the manager of a very well-known restaurant. He is married with three children. Due to the influence of money, his family is more worried about all the material aspects and they do not show no respect for him so he feels lonely inside. He worries about his looks due to the influences of all the high society that he encounters at his job and due to his wife who keeps embarrassing him in front of all his costumers.

Wednesday, November 6, 2019

The importance of human activities in maintaining the biodiversity of semi-natural ecosystems Essays

The importance of human activities in maintaining the biodiversity of semi-natural ecosystems Essays The importance of human activities in maintaining the biodiversity of semi-natural ecosystems Essay The importance of human activities in maintaining the biodiversity of semi-natural ecosystems Essay Essay Topic: Ecosystems Humans play an important role in maintaining the biodiversity of semi-natural habitats. Such areas are managed to prevent succession, conserve rare species and try to improve species richness. This conservation is putting to good use the country resources for amenity and recreation. Semi-natural ecosystems have many important values, including economic, environmental, wildlife, archival and heritage. Without human activities the biodiversity of semi-natural ecosystems would more than likely decrease in response to succession, agricultural processes, including nutrient enrichment, and to atmospheric pollution. Human activities aim to maintain natural ecosystems, traditional landscapes, high biodiversity and target species and community types. Many man-made habitats have improved species richness and had positive inputs to the environment. These include chalk and limestone quarries, gravel pits and inland waters, and the building of canals. In the UK many different semi-natural habitats are targeted and maintained by human activity. These include, the management of fens, moorland conservation, woodland conservation and grassland mangement. Fens are rare habitats in the UK, with many containing a variety of habitats including woodland and wet and dry habitats. Rare Schoeno-Junctum is supported by the habitat. Fen habitat hosts many rare bird species, including the Reed bunting. Many fen habitats are fragmented, making them unstable, and they are easily damaged by drainage, nutrient enrichment and cessation of traditional habitat regimes, and are completely lost with reclamation. However, conservation management of fen is relatively inexpensive and simple. It is the low fertility of fen soils that keeps their biodiversity high. It is essential, therefore that nutrient enrichment does not occur, or biodiversity will decrease, as dominant species will out compete the rarer sepcies. An example of the negative effects of nutrient enrichment on fens can be seen at Crymlyn bog Fen. Oil leaked from a near by power station and all the species near by were killed. The further away from the spillage, the greater the biodiversity of the area gets, correlating to decreased nutrient inputs from the oil. Agricultural practices nearby to fen and land reclamation for farming also threaten fens (Boyer and Wheeler, 1989). A relationship between species richness and vegetation production also exists for fens. Productive vegetation is invariably species poor. It is for all the above reasons that human mangement of fens is essential for their survival. Wheeler and Shaw (1994) examined the relationship between species richness and soil fertility across a large number of fens, split into subsets of summer-managed and unmanaged vegetation, using linear regressions. The results suggest that; in unmanaged vegetation, species richness is negatively related to fertility. When vegetation is managed, the species-richness can be just as great in nutrient-rich sites as in nutrient-poor sites and that the number of rare fen species tends to be smaller in more fertile conditions, even when the vegetation is managed. For these reasons, management of nutrient rich systems can support high biodiversity, but few rare species and in low fertility systems, little or no management is needed to preserve high biodiversity. However, some management is required and these human activities maintain the biodiversity of the fen. Species-richness of fen vegetation is related to above ground crop mass, which can be strongly influenced by management regimes. Summer managed fens in the UK have a greater number of rare species and overall species, than do unmanaged fens. Fens are also managed to prevent seral development into fen woodland, which hosts fewer species than fen. Once fen develops into fen woodland it cannot be converted back and therefore its succession needs to be prevented. Fen management by human activity generally involves grazing. Thomas et al (1981) showed that in the Ouse Washes, Cambridge, increased grazing was associated with an increase in botanical diversity. There is also evidence that grazed fens can be richer in birds than ungrazed fens. Two Loch Lomondside fens in Scotland demonstrate this. Crom Mhin, consists of more plant species and hosts more bird species then Aber bogs, with less plant and bird species. The Norfolk Broadland forms the largest area of lowland fen in Britain, containing a large variety of plant species. Parts of the broadland fens are maintained by human cropping activities in the area, for the two main crops, reed and sedge, that are both used for thatching. Reed is mown in winter, usually every year, or every second year. Reed is deciduous so harvesting removes dead material. Sedge is mown every summer, usually on a 3-5 year rotation. Harvesting removes biomass during the growing season and has a big impact on the character of vegetation. Wheeler and Giller (1982) examined the relationship between vegetation mangement and species richness and crop mass in broadland.

Monday, November 4, 2019

Rights associated with land Essay Example | Topics and Well Written Essays - 2250 words

Rights associated with land - Essay Example Fishing rights in England and Scotland are private as opposed to public rights in USA, while water rights follow a riparian system in the UK and USA, except the western states where an appropriation system is used. Mineral Rights are provided to property owners who may have the right to allocate subsurface rights to other parties, but in England and Scotland the rights to precious and energy minerals rests with the Crown, while rights of ownership to other minerals may also rest with community bodies. Mineral Rights: In Scotland, land ownership is based on a feudal system whereby the owner or feuar was subjected to title conditions with reservations of mineral rights. Under the feudal system, previous owners of property known as feudal superiors, retained rights over the land even after it was sold, together with the right to enforce title conditions. (www.hmitchell.co.uk). This system was recently abolished under the Abolition of Feudal Tenure (Scotland) Act 2000, however despite the abolition of the system, a reservation of mineral rights in the feudal title still remains valid. As a result, it may restrict the mineral rights of owners of property. The Land Reform (Scotland) Act 2003 provides communities and crofts with the pre-emptive rights to acquire mineral rights, with the exception of oil, gas, coal, gold or silver.(www.lindsays.co.uk) The ownership of the rights to precious and energy minerals is vested in the Government. Throughout the U.K, mineral rights to gold and silver are owned by the Crown and the mines of these metals are known as mines royal.

Saturday, November 2, 2019

Detecting Cry1Ab gene in Mon0810 Transgenic Maize by PCR Lab Report

Detecting Cry1Ab gene in Mon0810 Transgenic Maize by PCR - Lab Report Example The idea is to check for the gene size of Cry1Ab in order to distinguish it from the rest of the other gene strands. Cry1Ab is a gene from an incorporated plant pesticide thus its genetic sequence is known. A comparison of the known and the established one from the photograph helps to determine its presence in the transgenic maize. If its size is seen to match with the known then it is present, if there is no matching band of close size then Cry1Ab is not present in the maize. Basically, PCR is an easier method for detection of genes as their amplification and comparison with the known size of the DNA strand becomes captured. GAMARRA,LUIS FERNANDO RIMACHI, DELGADO,JORGE ALCAÃŒ NTARA, VILLASANTE,YENY AQUINO, & ORTIZ,RODOMIRO. (2011). Detecting adventitious transgenic events in a maize center of diversity. Electronic Journal of Biotechnology. Electronic Journal of Biotechnology. http://www.scielo.cl/scielo.php?script=sci_arttext&pid=S0717-34582011000400009. WALSH, MARIA C., BUZOIANU, STEFAN G., GARDINER, GILLIAN E., REA, MARY C., GELENCSÉR, EVA, Jà NOSI, ANNA, EPSTEIN, MICHELLE M., ROSS, R. PAUL, & LAWLOR, PEADAR G. (n.d.). Fate of Transgenic DNA from Orally Administered Bt MON810 Maize and Effects on Immune Response and Growth in Pigs. Public Library of Science.

Thursday, October 31, 2019

Marketing Communications - marketing strategies of C&C's Bulmers & Essay

Marketing Communications - marketing strategies of C&C's Bulmers & Magners Brand Cider - Essay Example Figure 1 below illustrates the Blumer/Magner market in relation to the larger business domain of beverages. Having identified the operating space for the product, some companies choose to target and serve a single segment out of the market by practicing niche marketing strategies while others choose several segments out of the market and offer differentiated offers. Some companies on the other hand do not segment the market but target the whole market with a single offering. Figure 2 below illustrates the different targeting strategies available for a company. Segmentation, which is the first step of targeting, divides the market in to distinct groups of buyers with different needs, characteristics or behavior. Next step of targeting involves evaluation of each market segment’s attractiveness and selecting one or more of the market segments to enter (Wisner 1996). In the case of Magners & Bulmers a niche marketing strategy is being adopted. Although segmenting can be based on factors such as demographics or geographic segregation or on economic classifications, the more sophisticated segmenting tools combine above factors with â€Å"Key Benefits Sought† (KBS) Analysis. These KBS are dependent on the alcohol content, taste and texture of the cider as well as the image factors. Table 1 below provides the segmentation of the cider market, which can be targeted by Magners/Blumer, based on â€Å"Key Benefits Sought† and further qualified by demographic, and Psychographics factors. From the above three target markets, the Magner is focusing on the Social Drink segment. In this category the product can effectively compete with mild and mid strength beers as well as wines provided the product image is developed to high standards. The Magner image has to change further to appeal to the sophisticated UK premium drinker category. The packaging still falls behind

Monday, October 28, 2019

Paul’s Missionary Journey Essay Example for Free

Paul’s Missionary Journey Essay The Apostle Paul was the great leader in the momentous transition which characterized the apostolic age, the transition from a prevailingly Jewish to a prevailingly gentile Christianity. Under his guidance Christianity was saved from atrophy and death, which threatened it if it remained confined in Palestine. At the same time, by reason of his insight into the truth of the Gospel and fidelity to it, as well as by his devotion to the Old Testament and loyalty to the highest Jewish ideals in which he had been reared, he saved Christianity from the moral and religious degeneracy to which it would surely have been brought if it had broken with its past, and had tried to stand alone and helpless amid the whirl of Greek religious movements of the first and second Christian centuries. In Paul a great force of onward movement and a profound and conscious radicalism were combined with fundamentally conservative principles. Paul appears to have been born at not far from the same time as Jesus Christ. According to Acts, Paul was born in Tarsus (Acts 9:11; etc. ), received the double name Saul/Paul (13:9), and through his family possessed Tarsian and Roman citizenship (22:25-29 (Murphy-OConnor 32-33). Overall, Paul can be described as an able and thoroughly trained Jew, who had gained from his residence in a Greek city that degree of Greek education which complete familiarity with the Greek language and the habitual use of the Greek translation of the Scriptures could bring. At bottom he ever remained the Jew, in his feelings, his background of ideas, and his mode of thought, but he knew how to make tolerably intelligible to Greek readers the truths in which, as lie came to believe, lay the satisfaction of their deepest needs. At Jerusalem Paul entered ardently into the pursuit of the Pharisaic ideal of complete conformity in every particular to the Law. He was, he tells us, found blameless (to every eye but that of his own conscience), and, he says, I advanced in the Jews religion beyond many of mine own age among my countrymen, being more exceedingly zealous for the traditions of my fathers. With fiery passion he entered into the persecution of the Christian sect, was present and took a kind of part at the murder of Stephen, and undertook to carry on the work of suppression outside of Palestine at Damascus, whither he journeyed for this purpose with letters of introduction from the authorities at Jerusalem (Murphy-OConnor 52-57). At this time took place his conversion. That he was converted, and at or near Damascus, his own words leave no doubt. I persecuted, he says in writing to the Galatians, the Church of God. . . But when it was the good pleasure of God, who separated me, even from my mothers womb, and called me through his grace, to reveal his Son in me, that I might preach him among the gentiles; straightway I conferred not with flesh and blood: neither went I up to Jerusalem to them which were apostles before me: but I went away into Arabia; and again I returned unto Damascus (Gal i. 13-17). The change evidently presented itself to Pauls mind as a direct divine interposition in his life. It came to him in a revelation of Jesus Christ, whereby (and through no human intermediary) he received the Gospel which he preached, and the commission to be an apostle. He refers to it as to a single event and an absolute change of direction, not a gradual process and development; the two parts of his life stood sharply contrasted, he did not conceive that he had slid by imperceptible stages from one to the other. What things [i. e. his advantages of birth and Jewish attainment] were gain to me, these have I counted loss for Christ . . . or whom I suffered — as if in a single moment —the loss of all things (Phil. iii. 7. 8). From Pauls own words, then, we know that he was converted from a persecutor to a Christian, at a definite time and at or near Damascus, by what he considered to be the direct interposition of God; and it seems to be this experience of which he thought as a vision of the risen Christ (Hubbard 176-77). After Pauls conversion, which took place in the latter part of the reign of Tiberius (14-37 a. d. ), about fifteen years passed before the missionary career began of which we have knowledge from Acts and from Pauls own epistles. During this time Paul was first in Arabia, that is in some part of the empire of which Damascus was the most famous city, then in Damascus, and later, after a brief visit to Jerusalem, in Cilicia, doubtless at his old home Tarsus. In this period we may suppose that he was adjusting his whole system of thought to the new centre which had established itself in his mind, the Messiahship of Jesus. With the new basis in mind every part of his intellectual world must have been thought through. Especially, we may believe, will he have studied the relation of Christian faith to the old dispensation and to the ideas of the prophets. The fruit of these years we have in the matured thought of the epistles. They show a steadiness of view and a readiness of resource in the use of the Old Testament, which testify to through work in the time of preparation. Epistles written years apart, like Galatians, Romans and Philippians, surprise us by their uniformity of thought and unstrained similarity of language, in spite of the richness and vivacity of Pauls thought and style. So, for the most part, the characteristic ideas even of Epliesians and Colossians are found suggested in germ in Corinthians and the earlier epistles. Pauls epistles represent the literary flowering of a mind prepared by years of study and reflection (Murphy-OConnor 90-95). At Pauls missionary journey and the beginning then made of churches in Asia Minor we have already looked in a previous chapter. After his return to Antioch followed that great and pivotal occasion of early Christian history, the so-called Council, or Conference, at Jerusalem, described in the fifteenth chapter of Acts and by Paul in the second chapter of Galatians. At that time Paul established his right to carry on the work of Christian missions in accordance with his own principles and his own understanding of the Christian religion. His relation with the Twelve Apostles seems then and at all times to have been cordial. His difficulties came from others in the Jewish Church. To this we know of only one exception, apparently somewhat later than the Conference, the occasion at Antioch when Peter under pressure from Jerusalem withdrew from fellowship with the gentile brethren, and called out from Paul the severe rebuke of which we read in Galatians. There is reason to believe that the rebuke accomplished its purpose. At any rate, at a later time there is no evidence of a continued breach. The idea of missionary travel had evidently taken possession of Paul, for after returning from Jerusalem to Antioch he soon started out again, and was incessantly occupied with missionary work from now until the moment of his arrest at Jerusalem. Leaving Antioch on his second journey he and his companions hurried across Asia Minor, stopping only, it would appear, to revisit and inspect churches previously established. They were led by the Holy Spirit, as the writer of Acts believed, to direct their course westward as rapidly as possible to Greece, which was to be the next stage in the path to the capital of the world. In Macedonia and Achaia Paul and his companions worked with varying success at Philippi, Thessalonica, Ber? a, Athens, Corinth. At Corinth, the chief commercial city of Greece, the Christians arrived in the late autumn. The work opened well, and Paul remained at that important centre until a year from the following spring. The date of his arrival cannot be exactly determined, but is probably one of the five years between 49 and 53 a. d. While at Corinth he wrote the First and (if it is genuine) the Second Epistle to the Thessalonians. Somewhere about this time, perhaps before leaving Antioch for this journey, the Epistle to the Galatians was written. The churches of Galatia, to which it is addressed, were probably the churches known to us in Acts as Pisithan Antioch, Iconium, Lystra, and Derbe. After a flying trip to Syria and perhaps to Jerusalem Paul returned to Ephesus in Asia Minor, where he settled down for a stay of three years. A few incidents of this period have been recorded in the Book of Acts, and are among the most striking and realistic that we have. They include a remarkable number of points of contact with facts known to us from archeological discoveries, and in no chapters of Acts is our confidence more fully reassured in the contemporary knowledge and the trustworthiness of the writer of the book. While at Ephesus Paul had much communication with Corinth, and wrote I Corinthians, which had clearly been preceded by another letter. There are indications in II Corinthians that after this he found the difficulties in the church at Corinth such that he wrote them at least one letter which has been lost, and made a short, and in its outcome exceedingly painful, trip to Corinth and back to Ephesus. Finally he was impelled by danger to his life to leave Ephesus, and went through Macedonia to Corinth. On the way he wrote, to prepare for his own presence, the epistle we call II Corinthians. Arriving at Corinth in the early winter he stayed until spring. His literary impulse continued active, and to this winter we owe the Epistle to the Romans. Earlier letters had been called out by special need in one or another church; in Romans Paul comes nearer to a systematic exposition of his theology than in any of his earlier writings. He knew the importance that would surely belong to the Christian Church of Rome. He had made up his mind to go there. But first he must go to Jerusalem, and there were dangers both from the risks of travel and from hostile men. Of each hind his life had had many examples. Accordingly he provided for the Roman Christians a clear statement of his main position, together with a reply to several of the chief objections brought against it, notably the allegations that his presentation of Christianity involves the abrogation of Gods promises to his chosen people, and that it opened the way to moral laxity. This letter Paul sent as an earnest of his own visit to Rome. He had been for a year or more supervising the collection by the churches of Asia Minor and Europe of a contribution for the poor Christians at Jerusalem; the gentile churches should thus make a repayment in carnal things to those who had made them to be partakers of their spiritual things. This contribution was now ready, and Paul himself with a group of representatives of the chief churches took ship at Philippi and Troas for Jerusalem. The voyage is narrated in detail in Acts, evidently by one who was a member of the company. At last Paul reached Jerusalem, and was well received by the church; but, followed as he was by the hatred of Jews from the Dispersion who had recognized the menace to the Jewish religion proceeding from the new sect, he was set upon by a mob, rescued only by being taken in custody by the Roman authorities, and after a series of exciting adventures which will be found admirably told in the Book of Acts, was brought to C`sarea. There he stayed a prisoner for two years and more until on the occasion of a change of Roman Governor his case was brought up for trial, when he exercised the right of a Roman citizen to appeal from the jurisdiction of the Governor to that of the imperial court at Rome. It was late autumn, but he was dispatched with a companion whom we may well believe to be Luke the beloved physician, and from whom our account certainly comes. The narrative of Pauls voyage and shipwreck, of the winter on the island of Malta, and the final arrival at Rome early in one of the years between 58 and 62 a. d. is familiar. It is the most important document that antiquity has left us for an understanding of the mode of working an ancient ship, while the picture which it gives of Paul as a practical man is a delightful supplement to our other knowledge of him(Murphy-OConnor 324). In Rome, while under guard awaiting trial, Paul probably wrote Philippians, Colossians, Philemon, and the circular letter, seemingly intended for churches in Asia Minor, known to us as Ephesians. They show some new development of ideas long present with him, and some new thoughts to which his other writings give no parallel, and the style of some of them has changed a bit from the freshness of Galatians and Romans; but these are not sufficient reasons for denying that Paul wrote the letters. They are, indeed, as it seems to me, beyond reasonable doubt genuine. The Book of Acts ends with the words, And he [Paul] abode two whole years in his own hired dwelling, and received all that went in unto him, preaching the Kingdom of God, and teaching the things concerning the Lord Jesus Christ with all boldness, none forbidding him. This period of two years is sufficient to include the composition of the four epistles to which reference has just been made, Philippians, Colossians, Philemon, and Epliesians, the so-called Epistles of the Captivity. What happened at the expiration of the period? Apparently Pauls case, long postponed, then came to trial. Did it result in his release or his execution? The evidence is meager and conflicting, and opinions differ. It is perhaps a little more likely that he was released, and entered on further missionary work, probably carrying out his original purpose of pushing on with the proclamation of his Gospel to the west, and establishing it in Spain; but of this period there is no narrative. If after two years Pauls imprisonment at Rome ended with his release, as the absence of well-founded charges against him would lead us to expect, he must have been later again apprehended, probably in connection with the persecution artfully turned against the Christians at the time of Neros fire in July of the year 64. It is probable that he was beheaded, to which privilege his Roman citizenship entitled him, and that he was ultimately buried on the Ostian Way at the spot where now stands the splendid basilica of St. Paul Outside the Walls.