Tuesday, December 31, 2019

The Freudian Theory Of Personality Development - 1329 Words

Film analyst Laura Mulvey made a captivating feminist argument stating the issues with commercial cinema. Commercial cinema is centered around male egotism and their sexual fantasies. Mulvey provided examples by explaining her political use of Sigmund Freud’s Freudian psychoanalytic theory. She argued that in mainstream Hollywood film women were merely objects. Post war avant-garde film makers were able to stay away from the trend of commercial cinema at the time. Although, it depends on avant-garde film directors and writer’s point of view but most of the time they did not share the same styles as commercial cinema. Mulvey studied the Freudian and Lacanian philosophies on personality development. She went in depth with the Freudian†¦show more content†¦Laura Mulvey’s entire argument was centered around describing the psychology behind why the male ego is active and women are passive in Hollywood film. Usually, the male protagonist is the main focus in commercial cinema. In this case, we are saying the spectators are male. Women are typically troubled and over sexualized and therefore treated like objects in commercial film. Even today you can see this male dominated films were the female plays passive and erotic roles only to boost the male ego. Many a times, beautiful women are just objects for men in movies to fetishize. The femme fatale or female vixens are just there to make the males look better. In the feminist perspective it is terrible to see such incredible women playing the stereotypical roles of housewives, maids, cooks, or a sexual object. Usually, in commercial cinema of the time, women either had a powerless role or she played a sexual vixen. As a female neither of these roles are extraordinary. Commercial cinema of the time could had used it huge platform as a way to make headlines. They could of had women as the focus and in higher positions such as doctors, teachers, heroes, etc. That would have made more money if we are taking about ‘commercial’ cinema. Although Mulvey makes a convincing point I do not necessary believe it is all so drastic as she describes. She completely left out the female spectators. The Freudian personality theory says that personalities are developed in threeShow MoreRelatedFreudian Psychoanalytic Theory Of Personality Development Essay1109 Words   |  5 PagesFreudian psychoanalytic theory of personality development suggests that human behavior is because of the interactions among three main components of the human mind. The components include id, ego, and superego. The theory has great emphasis on the role of unconscious psychological conflicts that help shape human behavior and personality. The development of personality depends on the conflicting interaction of the main components of the human mind. The conflicts arising and the desire to resolve theRead MoreCase Solutions For Personality Theories Workbook 6th Edition By Ashcraft1460 Words   |  6 Pagesï » ¿ Section 1 Learning and Applying the Theories Sigmund Freud Case Study 1 Application Questions Use Freud’s states of consciousness and stages of psychosexual development to help explain Hank’s behavior by answering the following questions. 1. What personality (or character) type does Hank display according to Freudian theory? Provide evidence for your answer. At what stage is Hank fixated, according to the Freudian perspective? Find evidence of fixation in the case study. What wouldRead MoreSample Undergraduate Psychology Essay1591 Words   |  7 Pagesmissing! Drawing on Freudian and Attachment Theories assess the Relationship between early years experiences and criminality. Psychological theories have attempted to explain the reasons for and how criminality occurs. The psychoanalytic perspective involves two major theories - Freuds theory of the Sexual Stages of Development and the Theory of Attachment purposed by Bowlby (1947). These theories conclude that there is an association between the formation of personality in childhood and thatRead MoreSynthesis: Neo-Freudianism . One Of The Most Influential1737 Words   |  7 Pages Synthesis: Neo-Freudianism One of the most influential historians when it comes to psychoanalysis is Freud; after all, he developed the theory entirely from his own research. That said, Freud was most certainly not the last to discover new methods of analysis or theory regarding the human psyche. Neo-Freudians are individuals that challenged the theory and sought further understanding and progression in the field of psychology. On various occasions, many theorists seek further opinion from FreudRead MoreReaction Paper of Sigmund Freud1227 Words   |  5 Pageshis birth in 1856 to his death in 1939, Freud’s contribution to psychology and a host of other areas of human endeavor has been so outstanding and far reaching that it may be very difficult to envision several aspects of popular culture without a Freudian perspective. Moreover, while it has been said that if God did not exist it would have been necessary to invent him, the world in a similar manner would have had to invent Freud had he not existe d. Sigmund Freud played an extraordinary role inRead MorePsychological ( Freudian ) Theory Research Paper1442 Words   |  6 Pages Tabitha Notgrass Notgrass 1 Mrs. Almack AP English 1 October 2014 Psychological (Freudian) Theory Research Paper Sigmund Freud was a neurologist who became known as the father of psychoanalysis. Freud is known for his numerous theories, such as Freud’s Psychoanalytic Theory of Personality (Freudian Theory). In Freudian theory, the mind is structured into two parts: the unconscious and the conscious. The unconscious mind consists of all things that are outside of our awareness such asRead MoreThe Surface Represents The Consciousness Essay1029 Words   |  5 Pagesmind, and an essential presumption of Freudian hypothesis which is the unconscious mind represents conduct to a more prominent degree than people had suspected. Certainly, the objective of psychoanalysis is to make the unconscious conscious. His psychoanalytic theory of personality challenges that human conduct is the after effect of the associations among three segment parts of the brain which are the Id, ego and superego. This â€Å"structural theory† of personality has a large significance on how disagreementsRead More Freudian Psychoanalysis As The Forerunner Of All Psychotherapeutic Methods979 Words   |  4 PagesReading response 3 Jones and Butman (2012) view psychoanalysis as the forerunner of all psychotherapeutic methods. Freudian psychoanalysis theorizes that all human behavior is influenced by early childhood experiences. Freud argues that human behavior is mostly unconscious and driven by conflicting desires, feelings, fears, and motives. The goal of psychoanalysis is to resolve intrapsychic conflict by bringing into conscious awareness the unconscious desires and motives of an individual. ThroughRead MoreAssess the Strengths and Weaknesses of the Psychodynamic Approach to Understanding Personality1681 Words   |  7 Pagesthe Psychodynamic approach to understanding personality The psychodynamic approach was proposed by Freud. This approach towards personality is based on the notion of underlying forces such as the id, ego and superego which are either present from birth or develop during childhood shape our behaviour and personality as such. Experiences in childhood are proposed to be the basis of human personality, according to Freud and as such Psychodynamic theory proposes that some undesirable unbalances betweenRead MoreEssay about Explanations of Personality Development701 Words   |  3 PagesExplanations of Personality Development According to Sigmund Freud, what we do and why we do it, who we are and how we became this way are all related to our sexual drive. Differences in personalities originate in differences in childhood sexual experiences. In the Freudian psychoanalytical model, child personality development is discussed in terms of psychosexual stages. In his Three Essays on Sexuality (1915), Freud outlined five stages of manifestations of the

Monday, December 23, 2019

Case Citation Maryland V. Pringle 540 U.s. Essay

Case Citation: Maryland v. Pringle 540 U.S. 366 (2003) Parties: The State of Maryland, Appellant / Appellee, Joseph Jermaine Pringle / Plaintiff / Appellants Facts: August 7, 1999, a car occupied by three men, Donte Partlow (driver and owner of vehicle) accused Pringle (front seat passenger), and Otis Smith riding in the back seat, were ultimately pulled over by a police officer for driving over the speed limit. Upon the officer approaching the vehicle, he asked to see Partlow’s license and registration, and as the defendant opened his glovebox, a fairly large sum of money was exposed in the amount of $763. The officer then returned to his patrol car to check Parlow’s license to ensure he had no warrants of anything outstanding, Partlow came out clear, so he issued Partlow a verbal warning. Upon arrival of the second officer he asked if they minded he search the vehicle, Partlow had no issues and agreed to the search. The police not only found the $763 in the glove compartment but also five glassine Baggies of cocaine stashed behind the backseat armrest. The officers questioned the men as to who the cash and drugs belong too , none of them took ownership, the officers advised them that if no one claim the drugs and cash as theirs, they all would be arrested and charged. So, all three were arrested and taken to jail. Later on, in the morning Pringle decided he would waived his Miranda rights, then made a full verbal and written admission that the cash and drugs were hisShow MoreRelatedMaryland versus Pringle, 540 U.S. 366 (2003)704 Words   |  3 PagesMaryland v. Pringle, 540 U.S. 366 (2003) Citation: Maryland v. Pringle, 540 U.S. 366; 124 S. Ct. 795; 157 L. Ed. 2d 769; 2003 U.S. LEXIS 9198 Facts Maryland police officers pulled a vehicle over for speeding at approximately 3am on 7 August 1999. The police officers found three men in the vehicle. The driver was Donte Partlow, the front seat passenger and defendant Joseph Pringle, and the backseat passenger Otis Smith. One of the police officers asked the owner and driver of the vehicle forRead MoreStephen P. Robbins Timothy A. Judge (2011) Organizational Behaviour 15th Edition New Jersey: Prentice Hall393164 Words   |  1573 PagesCommunication 335 Leadership 367 Power and Politics 411 Conflict and Negotiation 445 Foundations of Organization Structure 479 v vi BRIEF CONTENTS 4 The Organization System 16 Organizational Culture 511 17 Human Resource Policies and Practices 543 18 Organizational Change and Stress Management 577 Appendix A Research in Organizational Behavior Comprehensive Cases Indexes Glindex 637 663 616 623 Contents Preface xxii 1 1 Introduction What Is Organizational Behavior

Sunday, December 15, 2019

Unicef’s Efficiency in the World’s Global Struggles Free Essays

UNICEF is a world-renowned organization that strives to give a voice to those who go unheard: the children of the world. UNICEF or the United Nations International Emergency Fund was originally created in 1946, following World War II, in an effort to provide assistance to the European children who faced starvation and disease. It was through these efforts that UNICEF began to present itself as one of the nations leading advocacy groups for children’s rights. We will write a custom essay sample on Unicef’s Efficiency in the World’s Global Struggles or any similar topic only for you Order Now Then, in 1953, UNICEF was given permanent status by the General Assembly. UNICEF made its mark by assisting the U. N. Commission on Human Rights in the creation of the Convention on the Rights of the Child in 1959, which ensured a child’s right to shelter, education, healthcare, and protection. In 1965, UNICEF added to their ever-growing list of accolades with the Nobel Peace Prize in 1965 for â€Å"the promotion of brotherhood among nations. † Following this, the organization began to devote its time to promoting proper medication and sanitation for children worldwide. These efforts included encouraging women to breastfeed their children, promoting a breast milk substitute, and helping children obtain proper vaccinations. Throughout their years of service, UNICEF has grown to serve over 190 countries and has developed focus areas to ensure child survival and development, basic education and gender equality, child protection, and HIV/AIDS prevention in children. Each country’s UNICEF office carries out the organizations missions and objectives with help from its government, with its regional offices offering assistance whenever it is needed. The head management of UNICEF and its overall administration reside in the organizations main office in New York. UNICEF has 36 National Committees, which promote the rights of children throughout the world and raises national awareness of issues related to the protection of human rights for children. The Committees also collects funds and develops partnerships and affiliations of UNICEF with other organizations and institutions around the world. All the work and programs of UNICEF are monitored by a 36 member Executive Board. The Executive Board ultimately controls the financial basis of the organization, and reviews its policies and procedures. The Board is elected by members of the United Nations Economic and Social Council (ECOSOC) and primarily serve three terms. UNICEF focuses on making sure children survive their adolescent years and develop into young adults. This is an extremely difficult task due to all the diseases that effect children in less developed countries. While diseases such as malaria and pneumonia will kill millions and millions of young children, these diseases are preventable. Over half of the millions of children that die from these diseases are preventable. UNICEF is using its research and funding to develop low cost innovative technologies to produce vaccines and antibiotics to these developing countries to ensure children can live a full and healthy life. In addition, UNICEF tries to ensure that children have access to basic education so that children can learn about these preventable diseases, along with the HIV/AIDS epidemic. Just implementing organizations which channel basic information to these children can be a successful tool in ensuring that these young children live a healthier and safer life. Education is a human right which every child should be given the right to, and UNICEF is making strides toward achieving this goal. Not only does UNICEF work to facilitate children’s knowledge and learning, but it also works to develop a protective environment for children as well. Hundreds of children in the world face exploitation and are subject to violence. Whether it be exploitation from the labor force or institutions, to brutality and abuse from conflict within communities, children need some form of protection in society. Children have the right to survival and development, and UNICEF advocates for protective measures in governments to provide a safe environment for children. Responses taken by UNICEF towards the fight against child protection include the Convention on the Rights of the Child, the Millennium Declaration. These responses taken by UNICEF use legal systems and a given set of standards that governments must respect with regards to the human rights of its children and citizens. The governments and individuals of states cannot take away or violate the rights of its people. The Convention on the Rights of the Child is an important measure towards UNICEF’s fight against child protection. The principles of the Convention on the Rights of the Child are legally binding, making it unlawful if a state does not adhere to its protocols. â€Å"The Convention on the Rights of the Child is the first legally binding international instrument to incorporate the full range of human rights. † Governments of states have now taken responsibility to guarantee and protect children’s rights. National governments are obligated to implement all the policies and standards of the convention, and must be accountable for their actions if there are cases of children’s rights being disregarded. The convention covers all the basic human rights from the right to survival and protection from violence to the right of a child to grow and develop. UNICEF makes sure that there are standards being met with regards to education, health care and other legal and social services, and that governments are committing to these efforts. UNICEF makes it clear that violence against children is not justifiable, and states must implement and uphold policies and programs to insure the safety and nonviolence among children. This reassures the binding principles of the Convention on the Rights of the Child, which acknowledges that states have the obligation to ensure accountability in all cases of violence. The UNICEF’s worldwide efforts and initiative to elevate the status of children and give them a voice is a detrimental part of improving the world as a whole. Children are the key to the future. The children of today are going to be tomorrow’s leaders and important figures. Also, in order to fight and reduce the conditions of poverty in the world, children should be looked upon as the first step. Poverty is the root cause of children being denied their rights as a human. Poverty leads to a less protective childhood environment, and less resources for education and health concerns. It hinders the ability of a child to grow and develop. In the end, â€Å"poverty is transmitted from one generation to the next. If there are any intentions of breaking the increasing sequence of poverty, then investments by governments and other private sectors must spent towards children’s health, education and overall development. Investing in the health and safety of the worlds youth can lead to great returns in the future. In the end, the decline of world poverty starts by implementing standards and institutions for the well being of the nations youth. The tasks and goals of UNICEF cover an enormous focus ranging from child education and equality, to child protection and development. These issues entail many programs and much funding, which is why UNICEF is closely connected to many other organizations. Other organizations such as the World Health Organization, the Food and Agricultural Organization, The United Nations Educational, Scientific and Cultural Organization, and the International Labour Organization are some of the many organizations which are closely connected to UNICEF. These organizations all come together to tackle numerous issues such as disease control, better education and nutritional practices, implementing children welfare services, providing food and health to areas in the developing world and many other functions. UNICEF teams up with numerous other organizations to offer humanitarian aid and development to assist children in impoverished countries. UNICEF also works with the International Red Cross on emergency relief assignments in places like Cambodia which has experienced a domestic upheaval , as well as working to make child rights constitutional in Brazil. UNICEF partners with United Nation agencies and governments to provide support and assistance to children during emergency conditions. During the first weeks of crisis, UNICEF works to assess the situation that children and women are experiencing, provide necessary immunizations and nutrition, support mother-child feeding and monitoring, provide sanitary and safe drinking water, prevent sexual abuse and exploitation, and resume education. In order to facilitate proper assistance, UNICEF has set up an Office of Emergency Programmes (EMPOS), which coordinates UNICEF’s partnership with other agencies, and provides staff support. Within the EMPOS resides UNICEF’s Operations Centre which serves as a 24-7 information gathering center in order supervise staff, monitor world events, and insure safety of all UNICEF members. UNICEF has successfully provided humanitarian aid and helped improve the welfare of children all around the world. For instance, UNICEF has helped keep peace in Sri Lanka while educating the youth. While Sri Lanka suffered civil war and violence for over a decade, the UNICEF helped to educate children non-violent ways to resolve conflicts and disputes by launching the Education for Conflict Resolution. UNICEF trained principles, teachers and pupils to use innovative techniques to emphasize passivity and nonviolence. In addition, UNICEF aided in achieving community-based health care in Indonesia. In 1973, Indonesia suffered from more than 10 million of its children under five years-old being undernourished. UNICEF countered this epidemic by supplying Indonesia with nutritional first aid packages for the villages, which provided scales to weigh babies as well as rehydration salts and iron supplements. A network of village health posts were formed, here mother could bring their infants for nourishment or go to meetings and receive important information regarding the health of their children. This is much like Mother Centres, which were created under UNICEF in Central and Eastern Europe. This provides woman with a social network to communicate and deal with issues such as poverty. It also provided education to girls and mothers regarding health concerns and gender discrimination. Howev er, UNICEF has also encountered efforts that proved to be unsuccessful. For example, while providing humanitarian aid to the people of Sudan during the civil war, the agency poorly managed the aid operation. UNICEF offered aid to the Sudan people, but failed to make sure the aid was distributed to the Sudan population. As a result, corrupt officials were taking most of the aid, leaving the people and children with little to no resources. Weak management of this massive relief operation led to an unsuccessful distribution of aid for the citizens of Sudan. With all the focus and aid the UNICEF provided among its universal operations, sufficient funding was a key component to its success. The budget of UNICEF was provided primarily through government contributions and donations, along with private donations from numerous interest groups. However, without U. S. involvement and funding, UNICEF would not be as successful as it is today. The United States generous contributions to UNICEF portrays the United State’s worldwide investment in children. Within the last fiscal year (2009), the United States Congress voluntarily contributed 130 million to UNICEF, which is critical to UNICEF’s budget. The U. S. fund for UNICEF consisted of just about a million individual donors along with other organizations and well-know businesses providing contributions to the fund. With the United State’s advocacy and large funding of UNICEF, it allows the organization improve its measures of child survival and development internationally throughout the world. Since its conception in 1946 UNICEF has consistently ranked among the world’s strongest charitable organizations. Over these past decades UNICEF has established one of the top charitable business models. In 2008 UNICEF reported total revenues at $453,900,000 yet its administrative and fundraising expenses were less than $42,000,000 thus allowing UNICEF to spend over $400,000,000 on its various international relief efforts. Unlike other charities that face administrative and technical walls, UNICEF is able to use $. 90 of every dollar raised on the world’s most desperate children. In addition to its preeminent business model UNICEF has also perfected its fundraising techniques spending only six cents per every dollar raised. As a result of its successful fundraising and financial planning UNICEF received top ratings for its efficiency and organization. While UNICEF maintains itself as a top charity its greatest strength lies within its ability to change. Unfortunately the disasters of the world rarely come with a warning thus requiring organizations to create effective and rapid response programs for such things as natural disasters and wars. Emergency response has become one of UNICEF’s greatest strengths and it has become a world leader in the development of newer, more effective response strategies. UNICEF has also been able to successfully change with the tide of power throughout the world’s hotspots; which tend to be the most desperate. UNICEF, because of its connection with the United Nations, has been able to maintain regional offices and treatment centers throughout Africa, the Middle East, and Southeastern Asia. Since 1946 UNICEF has been a constant light for the children of the world. It has established itself as on the top international charities. As a result of its concrete business model, efficient fundraising, and ability to change UNICEF will undoubtedly continue to provide relief for all children in need. UNICEF’s success has also created some drawbacks that should be expected with an ever-growing organization. UNICEF’s success has led it towards a results-based management style. Results-based management can be inefficient for it only cares about the bottom line and not necessarily about the means to get the bottom line. This can lead to such inefficiencies as over-spending and a lack of precision in order to get things done quicker. In addition, due to UNICEF’s size, it has become a victim of the bureaucracy and the complexities of a large corporation. Time and money is frequently wasted on simple internal processes that become complex due to a drawn out power structure. UNICEF’s weaknesses lie within its ability to grow. Like any private or government institution UNICEF must continue to adapt and evolve to the constant changes occurring in the 21st century. While conditions are improving for children, there are still millions of children dying each day, especially in areas of the world where there is insufficient leaderships. The HIV/AIDS epidemic is one of the worlds worst catastrophe, and some feel that UNICEF has done enough work to help the countries in Africa that are greatly effect by it. Wendy McElroy, who believes UNICEF’s focus is all wrong, contributes some of its failures to the fact that UNICEF leaders always tend to be American. This, she states, tends to result in the organization to convey and lean towards American interest. However, UNICEF’s strong organization and track record will undoubtedly aid itself in correcting its flaws in the coming years. UNICEF has agencies in more than 150 developing countries with the goal of helping children survive and reach their adolescent years. It looks to implement programs and policies to overcome the everyday obstacles that children is the world struggle to overcome, ranging from discrimination, violence, inequality, poverty and disease. UNICEF has made fundamental strides in child survival and development with the use of low cost health programs, resulting in child deaths being reduced by 20 percent in the last three years. Also, UNICEF is â€Å"the world leader in vaccine supply and immunization,† helping to protect the world’s youth from preventable diseases. This alone has helped to prevent the deaths of more than 2 million children in the world each year. The promotion of basic education is also a detrimental aspect of UNICEF. UNICEF has helped Afghanistan build more than three thousand schools to educate more than 140,000 children. These are just a few examples of UNICEF’s policies that have helped save millions of children’s lives. However, even with UNICEF’s aid and successes, more than an estimated 9. 2 million children will die this year, many due to preventable diseases. UNICEF has taken significant measures to shed light upon the issues that effect not only children, but many others throughout the world. This alone has brought about change to millions who suffer in the world today. Protecting the world’s youth who do not have the ability to help themselves is a key step in maintaining a bright and prosperous future, since today’s youth are tomorrow’s leaders. The vision and goals of UNICEF have stayed consistent since its formation in 1946, always striving towards helping reduce hunger, increase vaccinations and treatments, and ultimately protect the rights of children. UNICEF is in no way a perfect organization, but its policies and programs have constructed a world in which children can further develop into the leaders of tomorrow. How to cite Unicef’s Efficiency in the World’s Global Struggles, Papers

Saturday, December 7, 2019

Evidence-Based HRM Samples for Students †MyAssignmenthelp.com

Question: Discuss about the Evidence-Based HRM in CERA. Answer: Evidence-Based HRM According to Kramar, (2014) evidence based Human resource management refers to the various organizational approaches that assist the decision-making processes that require the presence of the various kinds of evidence. The diverse amount of information, facts and figures that are retrieved from the evidences help the concerned human resource personnel to decide on the decisions that are feasible and might help in the attaining the various objectives that are set by the concerned organizations. The judgements and the experiences of the various human resource personnel also form a part of the various important information sources that are required to from the various important decisions for the betterment of the concerned organizations. The evidence based human resource management techniques help the concerned organizational management to provide for the justification of the decisions that are taken by them in favor of the concerned organization. Thus, it might be said that the evidenc e based human resource management helps in making a judgement on the human resources of the concerned organizations. In the opinion of Alfes et al. (2013), the evidence based human resource management is useful in the consideration of the terms and the conditions that are necessary in cases of promotion of the empirical scholarship among the various employees in the organization. This technique helps the concerned management to ensure the better performance of the various employees who have been working in the concerned organization. The major aim of the evidence based human resource management is to identify the various types of the intangible human resources that are present within the given organization. The evidence based human resource management help the concerned management to keep track of the performance of the concerned employees and in turn keep a watch on the overall organizational performance. Strategic HRM in CERA The human resource management generally refer to the people who serve the concerned organization. The human resource might also refer to the concerned department of an organization that deals with the management of the various kinds of the workforce that is related to the concerned organization (Akong'o Dimba, 2018). The workforce of the concerned company is considered to be an asset for the concerned company (Delery Roumpi, 2018). In the given scenario, Israel Tobin should be assisting Mark French in the development of the understanding of the various strategic goals of the human resource management. The given scenario suggests that Israel Tobin needed to help Mark French with the various strategic policies and the concerned appropriate structure for the human resource management that might be helpful for the activities related to the planning and the development of the concerned organization, CERA, in this case. Israel Tobin has been serving CERA as the HR manager of the organization while Mark French is the CEO of the company. The observation about the various matters within the company had revealed the ineffectiveness of the strategies that were used by the concerned HR team of the company. Thus, in order to form an understanding of the various appropriately applicable human resource management strategies, Israel Tobin took resort of the multitude of the websites that provide information on this issue. On going through the various websites, Tobin had arrived at the conclusion that the human resource management strategies should be related to the personalized guidelines that might seem to be the best for the concerned business organization. Tobin further realized the fact that the application of the correct human resource strategies might help the concerned business effectively. The HR manager of the company had also come across a huge gap in the performance of the organization. Thus, he had attempted an analysis of the performance gap in the company. The results of the analysis had helped in bringing about a change in the structure and the design of the job in accordance to the skills and the competencies that were depicted by the employees of the organization. CRAP Test The CRAP test is one of the major critical tools that is used for the analysis of the credibility and the validity of the internet sources that were used for collecting the necessary data on the given topic. This tool was developed by Molly Beestrum. The key objective of the CRAP test is to perform an analysis based on the major areas that are used to determine the authenticity of a certain given website. The four major areas of the distinction are: Currency, Reliability, Authority, and Purpose. The implementation of the CRAP test should be done only after ensuring the fact that the information collected from the various websites are credible and reliable for the concerned scenario that is being presented in CERA. The collection of the data must abide by the checks for the authenticity of the same. This might help the concerned analyst to take a closer look at the authority, purpose, point of view and the reliability of the concerned sources for the collected information. The primary factor that needs to be considered for the determination of the credibility of the source is the currency of the information. The currency of the information refers to the date of the publication of the information and the updation of the same. The other factor that should be considered for determining the credibility of the sources is the factor related to the reliability of the sources. The reliability of the concerned information refers to the relevancy of the collected information to the areas that need to be addressed. The various conditions that should be taken into consideration for the evaluation of the two sources are as enlisted below. The relevancy of the information plays a huge role in the consideration of the website from which the information is being collected. There should be the presence of the relevant data on the concerned website that has been updated in the recent times. The data collected should be in accordance to the needs of the person who has been seeking the information. The collected data should bear the marks of updation and must bear close similarities to the situation that the concern organization has been facing. The concerned source should depict clarity on the nature of the opinion that it presents to the concerned researchers. The source should depict the use of the relevant data and the proper references of the data that is presented in the sources. According to the Burgoyne and Chuppa-Cornell (2015), the researcher should always take into consideration the various legal and the authoritative aspects of the concerned article. The researcher should also take into consideration the matter that pertains to the intention of the author of the given material. The researcher should clearly intend to find a connection between the concerned case study and the concepts of the human resource e management that need to be applied in order to solve the same. CRAP Test for https://www.emeraldinsight.com/doi/pdfplus/10.1108/20400701011073455 Component Meaning Currency The articles have been penned down in 2010 and has been updated in the recent times as well. Reliability The materials that are presented in the concerned articles tend to be relevant to the current scenario in CERA and might help the concerned management to adopt a suitable approach. Authority The article that has been considered is composed by B. A. o Dimba and has been published through authentic sources. Purpose The purpose of the publication of the articles is to help the other future researchers and the students with the relevant materials regarding the strategic human resource management. CRAP Test for https://onlinelibrary.wiley.com/doi/10.1111/1748-8583.12137/abstract Component Meaning Currency The articles have been penned down in 2017 and has been updated in the recent times as well. Reliability The materials that are presented in the concerned articles tend to be relevant to the current scenario in CERA and might help the concerned management to adopt a suitable approach. Authority The article that has been considered is composed by J.E. Delery and D. Roumpi and has been published through authentic sources. Purpose The purpose of the publication of the articles is to help the other future researchers and the students with the relevant materials regarding the strategic human resource management. The articles that were chosen were tested and checked on the basis of the above-mentioned criteria. The articles that were taken into consideration were composed by eminent authors and were published by the Emerald Group Publishing Limited and the Wiley Online Library respectively. The topic of the papers bear relevancy to the topic in discussion and are related to the problem that is being discussed. Thus, it might be safely said that the articles do pass the CRAP Test. Conclusion Thus, from the above discussion it might be concluded that the human resource management is one of the key areas of strategic management in the organizations and might help in the improvement of the various organizations in consideration. The given scenario suggested the presence of a number of issues in the concerned organization that were created due to the inappropriate planning of the human resources of the concerned company. Mark French along with Israel Tobin attempted an analysis of the conditions that the company had been facing. They had solved the concerned issues by developing the needed job designing. The had also analyzed the performance gap that existed within the organization that helped them to effectively motivate the workforce of the company through devising an effective workforce plan. The articles that were chosen attempted to figure out a relationship between the human resource planning and the corporate planning. The articles had to be checked and verified using the CRAP Test, a tool that verifies the credibility of the sources based on their currency, reliability, authority and purpose. The articles had passed the CRAP Test and thus might be said to have been from the reliable sources. Therefore, these articles were used to solve the various management problems that arose in CERA. References Akong'o Dimba, B. (2018).Strategic human resource management practices: effect on performance.EmeraldInsight.com. Retrieved 16 March 2018, from https://www.emeraldinsight.com/doi/abs/10.1108/20400701011073455?journalCode=ajems Alfes, K., Truss, C., Soane, E. C., Rees, C., Gatenby, M. (2013). The relationship between line manager behavior, perceived HRM practices, and individual performance: Examining the mediating role of engagement.Human resource management,52(6), 839-859. Burgoyne, M. B., Chuppa-Cornell, K. (2015). Beyond embedded: Creating an online-learning community integrating information literacy and composition courses.The Journal of Academic Librarianship,41(4), 416-421. (Burgoyne Chuppa-Cornell, 2015) Delery, J., Roumpi, D. (2018).Strategic human resource management, human capital and competitive advantage: is the field going in circles?.OnlineLibrary.wiley.com. Retrieved 16 March 2018, from https://onlinelibrary.wiley.com/doi/10.1111/1748-8583.12137/abstract Kramar, R. (2014). Beyond strategic human resource management: is sustainable human resource management the next approach?.The International Journal of Human Resource Management,25(8), 1069-1089.

Friday, November 29, 2019

How successful were Italian leaders at dealing with Italy’s problems 1896-1914 Essay Example

How successful were Italian leaders at dealing with Italy’s problems 1896-1914 Paper As a country nearing the end of its unification process, Italy was in the midst of several key issues, including problems within the politics of the country, the social issues that arose as a result of unification, the economic stability of Italy as well as the Papacy’s role in the Italy. The prime ministers of the time, Crispi and Giolitti remained partially successful at tackling these issues, building Italy from the financial rubble into what became known as the ‘economic miracle’ of Italy, although with numerous social costs. A key issue that remained for much of the unification process was the problems caused by the establishment of a centralised Italian government. Despite the liberal aims of this new government that controlled the majority of Italian states, it could not be considered a full democracy due to the fact that there was extremely limited suffrage, with only around 2 percent of the total population being able to take part in voting, a so called liberal state whose government did not represent the actual majority of the Italian population. From this, the concept of ‘Transformismo’ was created, in response to the limited numbers that were actually able to vote. Due to lack of voter turnouts, political leaders relied upon a system of bribery and pressure in order to secure support from several other smaller groups, and in turn arguably the Italian leaders, particularly Giolitti who relied on this massively were unsuccessful to a small extent to dealing with problem of lack of suffrage. We will write a custom essay sample on How successful were Italian leaders at dealing with Italy’s problems 1896-1914 specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on How successful were Italian leaders at dealing with Italy’s problems 1896-1914 specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on How successful were Italian leaders at dealing with Italy’s problems 1896-1914 specifically for you FOR ONLY $16.38 $13.9/page Hire Writer However, the success brought by Giolitti in increasing the electorate from 3 million to 8. 5 million people indicates that there were some small successes on the political front. The problem of political extremism also arose from the limited suffrage. Many felt that the Italian government did not fully represent the views and needs of the people, and indeed despite Giolitti managing to increase the electorate numbers it was still a massively small proportion of the whole of the Italian population. This shift towards political extremism reached two ends of the political spectrum; new factions were formed, usually to the far left or right wing in ideology, and would contribute to the eventual downfall of liberalism, particularly by the nationalist ideology which continued to spread with rapid pace. Along with nationalism came the rising urge for Italy to build its own empire, and the Italian prime minister Crispi spectacularly failed with this, not only having his claims to African states rejected by France, but also in failing to provoke a war with France which could possibly allow Italy to seize French territory. Giolitti was also left with little success, failing to promote any assertive foreign policies which would later spur the nationalist movement, and failing to build Italy’s empire despite the invasion of Libya, which while was technically a success, resulted in several Italian casualties and long term instability. Despite this minor success, Giolitti himself received little credit for this, with the nationalist movement claiming success, while the left wing socialist movement remained opposed to his foreign policy, and Giolitti’s small success would only fuel the political extremism. Socially, Italy was also an extremely divided state. From the beginning of the unification process, the issue of the north-south divide was already a major issue, and many Italians from the south refusing to recognise their ‘Italian’ identity, instead viewing unification as more of a colonisation process rather than spurring national unity. The rural south was considered a relatively backward area, especially when compared to the industrialised north which seemed to amount for much of the country’s identity; people from the south were particularly disillusioned by the fact that the Italian working class were the ones that often did not gain from any reforms made. While Crispi’s own domestic policies failed to gain wider support, and in fact brought the Liberal Italian state to the lowest since its creation, Giolitti was extremely successful at tackling the social issues, increasing living standards and affordability of food, with the average calorie intake increasing, leading for an overall healthier nation with better living standards, achievable by balancing the government budget effectively. Social reforms made by Giolitti also led to the abolishment of child labour, with a pensions scheme for the old age and sick extended as well as the establishment of better working conditions by a compulsory weekly rest day. Similarly, under his new legislation female workers were also granted a maternity fund, in an attempt to pacify and improve working as well as living conditions for the working class majority in the south. Overall, it is clear that the Italian leaders of the time generally succeeded in improving Italy’s general society, especially Giolitti’s reforms, although hampered by Crispi’s unpopular domestic policy. Prior to the unification process, as a set of separate sovereign states success economically was hardly viable, and the unification process of the states did little to actually implant the idea of a single Italian nation within the majority of the Italian mind-set, and with a combination of economically crumbling states. To ease this issue, industrialisation was thoroughly encouraged as a way of building the ‘economic miracle’, and this would be a major success as Italy began to catch up to other European countries economically. In this way the Italian leaders can be seen as extremely successful at tackling the issues of the Italian economy, with the rapid industrialisation process leading to production of commodities such as cars and typewriters in Italy. Much of this was made possible by government reforms to gain self-sufficiency; instead of relying on expensive coal imports there was a push towards development of hydroelectric power, which in turn provided the power to fuel Italy’s other industrial activities- at a lower cost to themselves, as well as placing themselves in the forefront of the newest electrical technology available. The government reforms included numerous tariffs in order to protect Italian production and encourage the sale of Italian goods, while the Italian government decided to invest in infrastructure such as shipping facilities and railways, which helped boost Italy’s industrial production further. The success of the Italian leaders at this time can be proven by Italy’s own import records; compared to the 1880s, by the early 1900s nearly all locomotives were produced within Italy, using Italy’s own resources such as steel. The industrialisation process also reached some of the more traditional industries, including silk, cotton and wool, which under government reforms and protection were able to switch to modern production methods. However, there was some economic failure in the form of the backward south, which failed to gain any advantage from the numerous policies and push towards industrialism; records suggest that the maize yields in the northern states were nearly five times as much as the production in the south, and while one part of Italy spurred in its economic advances, the other states underneath Rome were left disadvantaged. Despite this, the Italian leaders were still very successful in improving Italy’s economy, being able to lift Italy from a mainly agricultural, backwards state to one that was industrialised, relatively self-sufficient and the country paving the way for the new technology of the century – hydroelectric power. A key stumbling block in the process of unification was the Papacy, and even after the unification the Papacy still did not regard the unified Italy as a legitimate state. In response to the national elections, the declaration of the Pope to prevent Catholics which made up virtually all of the Italian population would become a threat to Italy’s democratic system, especially the issue of poor vote turnout. Previous attempts to allow some freedom for the Catholic powers had failed, and crackdowns on the ‘Opera dei Congressi’ led to church authorities becoming more complicit with the Liberal government. Despite limited cooperation, ultimately the leaders of the era could not bring about any significant stability; the Catholic influence surrounding politics was still significant with the large majority of the population being under Catholic influence, and the Pope as often demonstrated could command followers to ignore the government, such as refusing to participate in voting. Overall it becomes clear that the policy of crackdown initiated did nothing to solve the problem of Papal influence in the state- arguably it increased it even further as despite the Church initially being complicit, the tensions that built up would trigger an even bigger outburst, and therefore the Italian leaders of 1896-1914 generally failed at maintaining a stable relationship with the Papacy, as despite Catholics being involved in the political system, generally there was still tension emanating from both sides. The Italian leaders of 1896-1914 Crispi and Giolitti attempted numerous reforms to repair the problems of the newly unified state; the newly united Italy was economically backwards, living conditions relatively poor compared to other European countries and the democratic system a failure, failing to grant the majority of the population the vote. The leaders were only successful to a limited extent as despite the suffrage being enlarged, politically the idea Transformismo was still very much engrained and the failure to keep a stable relationship with the Church influenced voting. A success of the two leaders was in industrialising the country, increasing the standard of living and boosting the Italian economy, although this can only be considered a minor achievement due to the fact that not all of Italy benefitted; the rural southern states remained relatively poor and backwards, failing to keep up with the growing northern states. Overall, the leaders were successful to a limited extent to dealing with the problems of Italy, their successes often with shortcomings that would later strike Italy again.

Monday, November 25, 2019

American Civil War and Union Army Essay

American Civil War and Union Army Essay American Civil War and Union Army Essay The Battle of Gettysburg First things first, the Battle of Gettysburg was the SECOND invasion of the North. And it only happened because General Lee forced General Hooker to retreat at the battle of Chancellorsville, and it made him think he could divide Pennsylvania and split the Union in two. In a way, he didn’t get his way. The battle began on July 1, 1862. Confederate troops were on the search for shoes and were met by Union troops in Gettysburg, Pennsylvania. By the end of the first day of battle, 45,000 troops were engaged in battle and the Union troops were able to create and maintain defensive lines along Cemetery Ridge and hills known as Little Round Top and Big Round Top. F.Y.I: GENERAL MEADE WAS IN CHARGE OF THE UNION ARMY AT THIS TIME. HE WAS ALSO A LITTLE BABY, MEANING HE NEVER â€Å"WENT ON THE OFFENSIVE.† Little Round Top: The Ticking Clock Maneuver July 2, 1862 Colonel Chamberlain was in charge of protecting a hill known as Little Round Top. He ordered his men to move the cannons onto the hillside. He then split up the troops he had into groups. A regiment behind him, battalion to the right, and a brigade to the left. (For those who don’t know how many soldiers are in a Regiment, there are 1,ooo. There are 2 Regiments in a Brigade. There are anywhere from 300 to 1,200 men in a Battalion.) The Rebels attacked repeatedly and left the Union soldiers tired and gravely injured if they didn’t end up dying on the battle field. Even though the Union forces were spread thin, Colonel Chamberlain managed to defend Little Round Top using a maneuver where his troops â€Å"went on the offensive.† (This was after a couple of days of watching his men die so he decided that they would run towards the Rebels and see what would happen†¦. Brilliant strategy isn’t it?) They shot the Rebels from the top of the hill day one and two of the battle and nearing the end, his troops ran screaming down the hill towards the Rebels and killed those who didn’t retreat in time. This was one of the few times the Union army â€Å"went on the offense.† Cemetery Ridge: Pickett's Charge Maneuver July 3, 1862 Lieutenant General Longstreet was in charge of breaking up General Meade’s forces. First things first, General Longstreet did not want to make this charge. Whenever General Longstreet was asked whether or not he wanted his men to charge, he answered with a nod because it was what General Lee told him to do. (And one does not go against the General’s orders!) When his men charged forward, there was no real plan. They were not as organized as the Union army, but they always won the battles because they were much better shots than those city boys (Union soldiers). So they marched forward into the Union’s cannon range and knew that they would die. They fought for a cause that they truly believed in. Even though the Union forces were much bigger than the Rebels’, the Rebels never stopped coming forward. The Outcome: Devastation and Death For BOTH Sides This was the bloodiest battle of the civil war. About 93,000 Union soldiers were alive and on their way or at Gettysburg on July 1, 1862. Around 3,000 were killed, 14,000 (at least) were wounded, and 5,000 were missing or captured. About 71,000 Rebel soldiers were alive on their search for shoes in Pennsylvania on July 1, 1862. Around 4,000 were killed, 19,000 (at least) were wounded, and 5,000 were missing or captured. One thing that everyone forgot, was the fact that the battle site, where everyone was burying the fallen soldiers, belonged to farmers. So the United States bought the land and turned it into an official cemetery. The Gettysburg Address On November 19, 1863 a â€Å"dedication ceremony† took place at Gettysburg (which hereafter none to be Gettysburg Cemetery). Edward Everett was the main speaker and he spoke for TWO HOURS. He was a well renowned speaker and politician. Because of this, it made him the obvious choice to speak at the ceremony. A couple days in advance, the people planning the ceremony

Thursday, November 21, 2019

Case Analysis Study Example | Topics and Well Written Essays - 750 words

Analysis - Case Study Example The company, through its resilient and effective marketing tactics, has able to capture market share of around 11.0% by value and 11.2% by volume. Another source from where the company earns a great deal of its revenue is through selling food items. Marks and Spencer is the leading provider when it comes to selling fine quality food. The company sells everything from fresh meals to canned food items, highly acclaimed and praised range of wines to other groceries products. The company has improved its shelf availability and has adopted the strategy of renewing its food range. The proactive approach has resulted in an increase of 1.8% in sales revenue from food business. The financial year 2011 proved to be another progressive year for Marks and Spencer. During the current year, Marks and Spencer’s revenue increased by 2% during the current year to an impressive ?9.7 billion. Although, due to increase in expenditure owing expansion plans of the company, the operating profit decr ease by 2%. The company, following its growth strategy, aspires transform its operation into multi channel business. The company has taken major steps in investing its direct sales business which enhanced the revenue during the current financial year. ... Income statement Revenue – continuing operations UK 8,733 8,568 8,164 8,309 7,978 International 1,007 969 898 713 611 Operating profit – continuing operations UK 679 701 755 1,096 957 International 158 151 116 115 89 Total operating profit 837 852 871 1,211 1,046 Net interest payable (94) (160) (200) (141) (130) Pension finance income 38 11 35 59 21 Profit on ordinary activities before taxation – continuing operations 781 703 706 1,129 937 Analyzed between: Underlying profit before tax 714 695 604 1,007 965 Adjustments to operating profit 66 8 102 122 (29) Income tax expense (182) (180) (199) (308) (278) Profit after taxation 599 523 507 821 659 As quite evident from the above comparison, the financial outlook of the company has improved. The increase in group revenue primarily pertains to the increase in like-for-like sales as well as the addition of new stores and outlets, both in and outside of England. Since Marks and Spencer do a significant number of its sa les overseas, the company’s revenue is majorly increased due to the fluctuation in exchange rate. Although the recent credit crisis and global economic meltdown proved to be a hurdle, but the impact was offset by prudent risk management and apt allocation of capital investment. The gross profit to sales ratio for the year ended December 31, 2011 was 8.93% which has decreased by 0.67% during the current year. Despite the decrease in gross profit to sales ratio, the net profit of the company has increased by ?16.2 million. The increase in net profit is due to the fact that during the current year the company did not spend any exceptional cost which it incurred during the prior year on strategic restructure. In addition, the company took strong measures to control its

Wednesday, November 20, 2019

A Plague Upon Us Assignment Example | Topics and Well Written Essays - 250 words

A Plague Upon Us - Assignment Example First of all, it is very important to identify the primary case and find out the where the disease started from. This can be done by studying the epidemiological statistics of the affected areas such the number of people affected and the mortality rate. Also, it very important here to understand the Ice Berg phenomenon which helps identify cases with no signs and symptoms. It is also important identify those at risk e.g. family, close relatives and those who have been in contact with the affected patients. It is important to identify the causative agent of the disease, find out its incubation period and quarantine those at risk atleast for the incubation period of the disease. Development of a vaccine just in case a patient comes to US carrying the disease and causes an epidemic. Blood, Urine, stool and sputum sample of the affected patients should be studied to find out the causative agent and develop proper medications against it. Also, finding the vector and eradicating it in the country is necessary to avoid an epidemic in the

Monday, November 18, 2019

Assignment Example | Topics and Well Written Essays - 250 words - 383

Assignment Example Most of the victims of drowning usually experience â€Å"near drowning.† This is seen as temporal survival after a victim aspirates fluids into the lungs. Thus, drowning should be critically taken care of as it poses fatal effects to the brain, plus other vital systems. Respiratory therapists are thus expected to first evacuate the patient if still in the water, keeping in mind the state of the breathing and looking out for associated injuries. They should also arrange for fast transport where indicated and avoid resuscitating if demised is obvious (Golden, Tipton and Scott, 216). Secondly, they should do a primary survey where the airway, breathing, circulation, and deformities (ABCD’s) are checked. Evacuation from waters, cardio pulmonary resuscitation stabilizing of the cervical-spine and its alignment ensured suctioning of water, secretions and foreign bodies, stabilizing and reducing movements of the body especially the head. All management of hypothermia has proven significance in assisting submersion victims. Thirdly, ensure that all near- drown victims are taken to a hospital as delayed pulmonary complication or mortality may occur. Concurrent injuries, scuba-diving associated problems also other disorders amenable to field treatment should be also considered. Elevate the backboard head 30 degrees if there is loss of consciousness, tilt it to the left side to facilitate drainage of secretions and water. Ensuring close monitoring of the comorbidities, emesis, convulsions, respiratory distress, respiratory/cardiac arrest and behavior changes have proven to improve prognosis (Golden, Tipton and Scott, 216). One distinctive response is the mammalian diving reflex, where the physiological response of the body to submersion in cold water includes shutting down the body parts selectively so that energy could be conserved for survival. It is believed that the facial contact

Saturday, November 16, 2019

Application of GIS Technology in Electrical Distribution

Application of GIS Technology in Electrical Distribution ABSTRACT Electric utilities have a need to keep a comprehensive and accurate inventory of their physical assets, both as a part of normal service provision (extending the network, undertaking maintenance, etc.) and as a part of their obligation to inform third parties about their facilities. Complexity of electrical distribution power system is a good reason for introducing new information technology GIS (Geographic Information System) that carries out complex power system analyses (e.g., fault analysis, optimization of networks, load forecasting) in acceptable amount of time. By using modern GIS, in conjunction with his own in-house developed software, in less time and more accurately, the utility engineer is able to design and to analyze electrical distribution network. This paper presents the idea of the project CADDiN © (Computer Aided Design of Distribution Network) currently under development at the Power Systems Department of the Faculty of Electrical Engineering, University of Zagr eb. INTRODUCTION Importance of Distribution Network in Energy Supply One of the primary contribution to the advancements and improvements in mans life-style over the years has been the ability to use and control energy. Mans use of energy can be seen in everyday operations such as mechanical motion and the production of heat and light. Large amounts of power are generated at power plants and sent to a network of high-voltage (400, 220 or 110 kV) transmission lines. These transmission lines supply power to medium voltage (e.g. 10 or 20 kV) distribution networks (distribution primary system), which supply power to still lower voltage (0.4 kV) distribution networks (distribution secondary system). Both distribution network lines supply power to customers directly. Thus, the total network is a complex grid of interconnected lines. This network has the function of transmitting power from the points of generation to the points of consumption. The distribution system is particularly important to an electrical utility for two reasons: its proximity to the ultimate customer and its high investment cost. The objective of distribution system planning is to ensure that the growing demand for electricity, with growing rates and high load densities, can be satisfied in an optimum way, mainly to achieve minimum of total cost of the distribution system expansion. Therefore, the distribution system planner partitions the total distribution system planning problem into a set of subproblems that can be handled by using available, usually heuristic methods and techniques [T.Gonen, 1986]. The design of electrical distribution networks is an everyday task for electric utility engineers, specially in RD department. Such design was carried out few years ago manually. This classical approach usually result in overdesign distribution system, which is now considered as a waste of capacity that can be used instead of investing in system expansion. Four years ago a PC program package (CADDiN ©) for optimal planning of distribution network was put in operation in Elektra Zagreb (Electric Utility of City of Zagreb). It is a result of joint RD of Power System Department of Faculty of Electrical Engineering and Elektra Zagreb. Based on the experience or PC-CADDiN ©, at the end or 1992. the prototype of new project CADDiN © was started conceptually organized as a part of the Geographic Information System. The role of GIS in Distribution Networks Database plays a central role in the operation of planning, where analysis programs form a part of the system supported by a database management system which stores, retrieves, and modifies various data on the distribution systems. The thing that distinguishes an electrical utility information system from an other information system such as those used in banking, stock control, or payroll systems is needed to record geographical information in the database. Electrical utility companies need two types of geographical information: details on the location of facilities, and information on the spatial interrelations between them. The integration of geographically referenced database, analytical tools and in-house developed software tools will allow the system to be designed more economically and to be operated much closer to its limits resulting in more efficient, low-cost power distribution systems. Additional benefits such as improved material management, inventory control, preventiv e maintenance and system performance can be accomplished in a systematic and cost-effective manner (Z.Sumic, et al, 1993). Before graphical workstations were developed, many electric utilities have built technical information systems based on relational database management systems (E.Jorum, et al, 1993.). Technical information system is designed to cover the requirements of power supply utilities considering network expansion and operation planning, maintenance management and system documentation. In advanced utilities all information systems are built around same RDBMS and constantly updated. Establishing links between these information systems and geographical information system is only in defining relationship between objects in the two systems. The problem that has risen is in a number of different information systems in the same utility (technical information system, customer information system, etc.) or even several overlapping technical information systems and some of these a re not updated. Objective The objective of the distribution network design process can be divided into three independent parts. These parts are: Load forecasting load growth of the geographical area served by substation; determination of load magnitude and its geographic location; customer load characteristics; Design of secondary system (low voltage distribution network) optimal substation allocation and transformer sizing; secondary circuitry routing and sizing; Design of primary system (medium voltage distribution network) optimal substation allocation; primary circuitry routing and sizing; To reduce a problem complexity each part of the design process is divided in functional subproblems. Each of these subproblems can be then much easier to manage. Although only independent some parts of design process interact, i.e. placement of substation will influence secondary routing which in turn will influence primary routing. The number of possible design solutions that might satisfy a given set of spatial, technical and economic constraints is quite numerous. Multiple, interdependent goals and constraints make conventional procedural optimization methods inappropriate for distribution network design. Due to the complexity of the design process, heuristic methods and AI techniques must be applied to find near optimal [S.Krajcar, 1988] or satisfying solutions [Z.Sumic, 1993]. The main reason for this simplification is regarding work-force and computer time for finding optimal solution that in high percentage could not be applicable in real situation. [End Page 1858] GENERAL DESCRIPTION OF GEOGRAPHIC INFORMATION SYSTEM OF PROJECT CADDIN Pilot-project CADDiN was started at the beginning of 1993 as a research project inside the main research project Research and Development of Electric Power System supported by the Ministry of Science and Technology of the Republic of Croatia. The development of optimization and design procedures of electric distribution network is a parallel process with building database by Cadastral Office of the City of Zagreb, and therefore some other available examples of basic map databases are used for research purposes (see Figure 1). The strategy employed emphasized only the data composed of basic map databases for technical applications (scales of 1:500 to 1:5000). There is no unique definition for Geographic Information System (GIS) but a commonly accepted one is that it is a system with computer hardware and software functions for the spatial data input, storage, analysis, and output [T. Bernhardsen 1992]. Many textbook definitions go further and identify analysis as the one activity which differentiates GIS from other computer-based systems for handling geographic data, such as automated cartography. Modern GIS, stores information on the geometry, attributes and topology of geographic features in one relational database management system. SYSTEM 9 used in the pilot-project CADDiN is a feature-oriented GIS which organizes geography-related information into a topology-structured, object-oriented, relational database system. A project is the highest level of data organization of GIS used in CADDiN [Computervision, 1992]. It represents the entire database that has been set up for a particular geographic area for example, a town, a municipality, or a service district. It comprises two components: a data store that contains all the geographic and attribute data relating to features; and a database definition that specifies the structure of the project through feature classes and themes. Theme definition determines which features and attributes are to be used and the ways in which are to be displayed. Independently stored geometry of a feature, and its graphic representation enables position and representational data to be changed without reference to each other. The link between the geometry and the representation is provided by the theme. It comprises a list of feature classes, feature class attributes, and a link to a separate list of graphic transforms. An important safety aspect of used GIS is that it does not allow users to make changes to the database at project level. A user may only query it. The database is created and updated by means of the next lower level of data structure: the partition. This is a copied, working subset, or portion of a project. It is at this level that a user interacts with the system to enter, edit, update and manipulate data. Partitions are extracted from a project based on the type of work to be done and the data that will be required to perform that work. When editing is completed, the partition is merged into the project database, effecting the update. Partitions are created by means of a partition definition that describes the spatial extent, the contents, and the representation. The system uses the partition definition to extract the required geometric and attribute data and then allocates them into the required partition. The merit of the partition structure is that it allows different department s within an organization to work safely on the data from the same project. All geometric features in the data model are built up from geometric primitives, referred to as nodes, lines, surfaces and spaghetti. A node is stored as a set of X, Y, and optionally Z coordinates in 3D database, and might be used to represent e.g. transformers, switchgears, MV LV buses, etc. A line primitive is a geometric element defined by two end-nodes (allowing intermediate points), and might be used to describe transmission lines, cables, etc. A surface consists of one or more line segments that together form a closed polygon. A forest, lakes, parks, a portion of network, or area covered by a lot of buildings could be described by this kind of polygon. Spaghetti enables to model features where no topological structure is required. Nodes are the only geometric primitives that have coordinate information directly associated with them. Lines are not defined in terms of geographic coordinates, but by pointers to their topological nodes. Surfaces are defined by pointers to the lin es surrounding the surface. All these pointers are created and maintained automatically. Geographic objects are stored as collections of nodes, lines, surfaces or spaghetti, but they can be referred to as geometric primitives as well as some group of objects which can be identified and named in the real world roads. cables, transformers, buildings, and so on. These categories are represented by `feature classes, and the individual instances of geographic objects as `features. Such features at last consist of one or more geometric primitives. All features within a particular feature class will have the same topological structure, and the same set of attributes. Feature classes could be also identified as objects in groupings of related objects that may be established on the basis of location, spatial relationships or common attributes. These logical groupings of features are called complex features. They are defined as features that contain other features. All complex features of particular type, comprise a complex feature class. A useful application of complex feature classification would be in forming logical groupings such as MV bus, transformer, LV bus, protection devices into substation. Complex features can also have attributes associated with them (for example name, number). It would eliminate duplicating of feature attributes which properly relate to the substation. Definition of complex feature is not restricted to include only simple features as constituent components. For example, distribution network could be defined as a complex feature containing a number of substations, cables, which are themselves complex features. A strength of this approach is that it can be used to minimize the level of data redundancy of both attribute and geometric information. Users interact with the database via an object handler, and they are assisted in that interaction by a structured query language that incorporates extended spatial and reference operators. Behind analytical tools available inside GIS environment, a set of standalone functions is available from UNIX shell. This set of functions is called Application Tool Box (ATB). ATB offers an environment in which data can be managed directly, without first having to extract meaning from map representations of those data. Under this approach a user can develop analytical models according to specific requirements by integration of ATB functions, in-house developed software (C and FORTRAN programs) and shell programming. To speed up complex analysis by Development Libraries of ATB new processing functions of ATB could be developed. Applications of project CADDiN are developing by ATB functions in conjunction with C and Corn shell programs. ATB data management and viewing comprise processing functions, dataflow management and graphics viewing system. Processing functions perform the actual analysis operations on sets of data called data flows, each of which corresponds to a relational table in the database. All manipulation of data flows takes place in a special temporary work area called a clipboard. Processing functions involve the following operations: information management (i.e. selecting information from database and placing it into a dataflow, communicating with external software packages), attribute processing (i.e. generating values for attributes based on classification rules or formula), geometry processing (spatial functions union, adjacent, etc.) and arithmetic processing (i.e. calculating the area of surface entities, or length of linear entities). Dataflow management is used to create, display and delete data flows and views. Graphic viewing system allows user to see the intermediate or final results and generate a plot of those results. Compatible to ATB functions are standalone functions of Network Trace Analysis module. By those functions network tracing can be carried out using the information on network connectivity and component characteristics that are already stored in database. Special function is used for network generation that is stored as dataflow on the clipboard. On this dataflow several networks tracing functions can be performed (path optimization, range finding, path finding) or can be used by external software. As a result of that analysis a dataflow is produced on the clipboard. Original and resultant networks can be queried simultaneously. The user can keep or delete resulting data flow on the clipboard or retrieved in database. OPTIMIZATION OF DISTRIBUTION NETWORKS IN GIS Optimal Location of TS x/0.4 kV in Secondary Distribution Network The procedure for finding optimal configuration of secondary system consists of two possible optimization steps: optimization of new area secondary system and optimal connection of the particular customer(s) to existing secondary system. Regarding urbanistic plans, ecological and esthetic constraints as well as previous load growth analyses possible locations of substations are known in advance. These assumptions make planning of secondary system more simple because only routing process must be applied for several locations of substations and fixed locations of customers. The first step of routing process begins by connecting customer to the nearest routing corridor. After that procedure, the secondary system network is generated by network module. On this network any path analysis is applied and as results of analysis there are all possible connections between substation and customers. These results are used as input for external, CADDiN module of optimization of radial structured networks. During this process of optimization the set of rules is used to satisfy standard practices employed by designers. The optimized network is then saved on clipboard in dataflow and can be graphically viewed. The cost for the secondary system is mainly the capital investment cost consisting of cable laying cost and cost of cables. For each location of substation optimization process must be repeated. Solution with minimal investment costs and satisfactory technical constraints is the best regarding secondary network. All solutions that are technically satisfied must be taken into account during the primary network optimization. It is necessary because the local optimum of secondary system does not imply the optimum of primary system, and global optimum of distribution network. The optimal connection of the particular customer to existing secondary system must fulfill next two technical as well as economical constraints: the shortest possible length of connection due to voltage drop that may be permitted; reserve in load capacity of substation due to customer load. The new customer must be connected to the nearest neighbor customer satisfying previously mentioned constraints. The few nearest customers are found in a buffer zone with new customer as a center of this zone. The shortest path between new customer and possible connection node is found in two steps: both nodes are connected to the nearest routing corridor, and after that by GIS network function find best path analysis shortest path between nodes is found. Optimal Structuring of Predefined Primary Distribution Network Configuration Due to the load characteristics, requested availability and quality of energy supply two main configurations of secondary system are used in optimal planning There is a ring structure (starting and ending node is the same HV/MV substation and routing nodes are MV/LV substations) and a link structure (starting node is one HV/MV substation routing nodes are MV/LV substations and ending node is other HV/MV substation). Regarding the usage of GIS technology the optimization procedure of these two network configurations is very similar. In optimization process three different problems are considered: optimization of the new primary system; reconfiguration of the existing primary system regarding predefined structure, and reinforcement of the existing primary system with defined structure by installing additional capacity in demand nodes or including the new MV/LV substation in the network. The first problem is similar to the problems in optimization of secondary system. There must be known all possible connections and distances between HV/LV substation (source node) and MV/LV substations (demand nodes) as well as themselves. Therefore, all network nodes must be connected to the nearest routing corridor. By any path analysis and heuristic algorithms (presently genetic algorithms are tested) initial solution or zero-iteration is generated. After that by the union of GIS network function find best path analysis and other heuristic methods optimal solution is found. The second problem is more complicated than the first one because existing connections in network must be considered in optimization procedure. Otherwise, same procedures are used as in the first problem. Example of this optimization procedure can be shown in the Figure 3. In the third problem, optimization procedure is similar to the procedure of adding the new customer to the second system. Slight differences are in a way of connecting new substation to the existing network. In the primary system, regarding the constraint of reliability of supply of energy to the customer, each MV/LV substation must have a possibility to be supplied from two sides. Therefore, the nearest existing cable between two substations must be found for the connection of the new station, or the nearest routing corridor by which the new station could be connected to the nearest substations that are found in a buffer zone around it. When a better type of connection is found, solution is tested on several technical constraints (voltage drop, cable and route load, investment costs, etc.). Load forecasting of TS x/0.4 kV Small area or spatial, forecasting is the prediction of both the amounts and locations of future electric load growth in a manner suitable for distribution planning which really means with geographic resolution adequate for planning a new distribution network or extensions to the existing one. The procedure is based on dividing a utility service area into a number of sufficiently small areas and projecting the future load in each one. This is usually accomplished by dividing a utility service area into either a grid of uniformly sized rectangular cells, or into equipment oriented areas corresponding to feeder or substation areas (H.L. Willis, 1983,1992). Methods for computerized small area load forecasting, regarding their data requirements and analysis methods, fall into three categories: trending multivariate (multivariable) simulation. Essentially these methods analyze past and present load growth to identify trends, patterns, or information about the process of load growth that is then used to project future load growth. Trending methods require minimal data (they work only with historical load data, usually annual peak load) and computer resources, and are relatively straightforward in use. Because of their simplicity and generally the lowest expenses, they were the most widely used techniques in the past. Multivariate methods require considerably more data (historical loads, geographic and demographic data on customers and usage) and much more extensive computer resources, but in return they generally provide more accurate forecasts. Simulation methods in addition to historical loads require extensive and comprehensive data that include land use type, geographic and demographic data on a small area basis, transportation and other diverse factors that may affect load growth. They also require considerable computer resources and work-force. On the other hand they offer advantages in accuracy and analysis of load growth under changing conditions. Because of their complexity and requirements simulation models have been beyond the scope of many electric utilities. So far one can see that the nature of small area forecasting requires heavy use of computerized analyses and manipulation of large quantity of data. With its possibilities GIS is an excellent mean for developing and applying simulation forecast models. Of course, there is no limitation to use GIS for trending methods, at least for some very fast qualitative review, or for short range (less than five years ahead) predictions. A service zone of a substation may be defined as a complex feature which comprises parcels, buildings on those parcels, electrical connections for every building or customer, existing interconnections between customers hookups and associated substation etc. Parcels, buildings and streets are modeled as polygons, and cadastral lot code is attached to them as one of the attributes. Statistical and census districts based on approximately equal number of inhabitants and cadastral districts are polygons, too. Second very important information is address, modeled as complex feature class comprising a street name and number. Polygonal analysis and polygon processing, which is possible in GIS, and address as a common link enables the planner to determine a substation service zone and calculate its area. Via features attributes all necessary customers data (annual electricity consumption, annual peak loads, type of customers, some special requests and interfering factors, etc.) are obtainable . In that way it is possible to track amounts and sort of energy used by individual customer, or substation service area or some other region. Upon these information load densities (kWh/m ²) or kWh sales per customer can be computed. Procedure with built-in clustering algorithm detects groups (classes, clusters) of customers with similar past energy consumption behavior. For distribution load forecasting K-means algorithm [Hartigan, 1986] is recommended, with a minimum of 6-year load history [H.L. Willis, 1983]. The K-means algorithm searches for a partition, that is, a set of clusters that minimizes the total difference between small areas and their assigned clusters (the error of the partition). It works by moving small areas from one cluster to another. The search ends when no such movements of small areas reduce the error value. CONCLUSION This paper presents the concept of the pilot project CADDiN for optimization of electric distribution networks based on GIS technology. The architecture of CADDiN consists of the heuristic methods implemented within GIS and procedural programs. In such a hybrid environment, the GIS principal task is to model real world, perform spatial analyses and ensure the high accuracy of optimization procedures. The first results obtained by the prototype database and developed procedures encourage that concepts and ideas established in this paper can be applied on the real problems that exist in the distribution system planning.

Wednesday, November 13, 2019

The Fool And Cordelia: Opposing Influences On King Lear :: essays research papers

Although the Fool and Cordelia are similarly candid towards their King, they never interact in Shakespeare’s King Lear, because the Fool is a chaotic influence while Cordelia is a stabilizing force. While the Fool and Cordelia both act in the Lear’s best interest, it is not always evident to Lear. The Fool’s actions often anger the King, and lead to an increase in his madness. On the other hand, Cordelia’s actions more often soothe Lear, and coax him back into sanity. Another commonality between the Fool and Cordelia is their honesty. Both the Fool and Cordelia are frank with Lear, though he may not always appreciate that they do so for his own good.   Ã‚  Ã‚  Ã‚  Ã‚  In Shakespeare’s King Lear, the Fool is a source of chaos and disruption in King Lear’s tumultuous life. The Fool causes the King distress by insulting him, making light of his problems, and telling him the truth. On the road to Regan’s, the Fool says â€Å"If thou wert my Fool, nuncle, I’d have thee / beaten for being old before thy time.† (1.5.40-41). He denies the king the respect due to him as an aged King, causing the King to wonder at his worthiness. The fool also makes light of Lear’s qualms making snide remarks in response to Lear’s ruminations. When Lear asks Edgar cryptically, â€Å"wouldst thou give ‘em all?† the Fool responds, â€Å"Nay, he reserved a blanket, else we had been all shamed† (3.4.69-72). The Fool’s snide remarks do little to maintain Lear’s fragile control of his faculties. However, the Fool speaks to the king candidly, a rare occasion in Lear’s life . Even Kent acknowledges the truth of the Fool’s statements, saying, â€Å"This is not altogether fool, my lord† (1.4.155).   Ã‚  Ã‚  Ã‚  Ã‚  While the Fool disrupts Lear’s mental state, Cordelia steadies him with compassion, understanding, and truth. When Cordelia has rescued the King, she says that â€Å"Mine enemy’s dog, / though he had bit me, should have stood that night / Against my fire† (4.7.42-44). Cordelia is amazed at her sisters’ treatment of Lear because she cannot comprehend the actions of such uncaring people. Cordelia’s considerate nature soothes the King’s overwrought mind. Because the King seems rash and even irrational at times, those who understand him are few. His youngest daughter knows what Lear goes through with her sisters, and wishes that she could â€Å"Repair those violent harms that my two sisters / Have in thy reverence made.

Monday, November 11, 2019

Social Group Inequalities in Canada

The search for a Utopian lifestyle on planet Earth has been the concern of most humans during the course of humanity itself. Immigration and emigration are both everlasting proof of some of the methods humans go through in order to establish newer and enhanced lifestyles, leaving behind misery and lack of opportunity. It is evident to the twenty first century inhabitant, that utopia or a Utopian society is practically impossible to reach. Rather than Utopian characteristics in our society, one can notice wars, illnesses, poverty, famine, disease and notably, inequalities. Inequalities are a major factor which unfortunately cause unhappiness and social separations as well as affect economic growth. Following the release of the Broadbent Institute report in October 2012, â€Å"Towards a More Equal Canada, A Report on Canada's Economic and Social Inequality â€Å", which covers the social and economic inequalities in present day Canada, one can easily be more aware of the problems that the Canadian people face due to unequal factors. In the report, several inequalities are covered including the shrinking of the middle class, the elites capturing growth, greater and increasing income gaps, inequality of wealth, and social group inequalities. Focusing on social group inequalities and using various philosophical principles, we are able to determine the validity and moral importance of this growing problem through the ideologies of Singer, Libertarianism, Utilitarianism, and sufficiency principles. According to the Broadbent Institute report, different social groups have been suffering inequalities in Canada since the nineteen sixties. Social groups such as aboriginal peoples, women, people with disabilities, immigrants, and people from deprived communities or provinces have been targets of unequal social and economical separation from the more fortunate Canadian population, notably the euro descendant man. These social groups earned and still generally earn far less than the average white Canadian citizen. Till this day, gender still defines economical differences, putting women below men with regards to financial earnings. Further more, women in Canada are still dependent on men for financial support as it is the men which earn more, and consequently occupy the majority of the top 1% earners of Canada. In addition to ongoing gender inequalities, newly admitted immigrants and aboriginal people earn far less than the white Canadian due to strict educational accreditation of foreign diplomas, racism, social profiling, and social preferences on behalf of employers. Racialized Canadians are ongoing victims of social and economical deprivation due to preferential systems in the work field, forcing these competent candidates to work in the labor field and live in low-income neighborhoods or secluded deprived areas with little financial opportunity. As an ongoing social and economical problem in Canada, these inequalities are evidently worth being improved or changed, however, whether these changes should be morally obligated is the question. To begin, we may examine Peter Singer's main ideology, â€Å"if we can prevent something bad from happening, without sacrificing anything of comparable moral importance, then we ought, morally, to do so. This principle can be linked with the social group inequalities of Canada examined in the Broadbent Institute report. Having already acknowledged that these inequalities are a problem in the nation, Singer's principle may be used as a guide for improvement. Social group inequalities are economically degrading for the country in general as well as degrading to a personal level to those who are affected, hence making it a bad thing to have in a country. However, one must keep in mind that mainly racialized and new immigrants run the labor work force to Canada, and by eliminating social group inequalities, we might sacrifice many labor working employments. By sacrificing these positions, we may encounter further problems in the economy with a vacancy gap in the labor work force, which is too great to fill. Morally, it is to everyone's preference to be equal in a coexisting society of many races and backgrounds. By basing ourselves solely on Singer's principle, the conclusion of the analysis would definitely not morally agree with his ideologies. Working around the argument, we are able to minimize the â€Å"bad† â€Å"(social group inequalities) using different methods such as more relaxed education laws, placement centers, immigration help and guidance, in order to improve the situation. Improving the situation does not mean eliminating social group inequalities; hence we are not sacrificing anything of the same moral importance such as the labor work force. Moving on to a libertarian aspect, where the principle implies that everyone should have maximum liberty, consistent with equal liberty for others, the issue can be analyzed differently. Social group inequalities are in some ways depriving the victims of their liberties of electing their path of career and enabling them to become what they truly want. The victims of social group inequalities, notably immigrants, aboriginals, women, the disabled, may want to follow a certain career path or have already completed education required for a certain employment however due to the inequalities in Canada towards them, they are forced into lower income employments, hence overpowering their liberties and free will. This issue is very unfortunate as the affected are left with no choices due to their circumstances and backgrounds. Staying on the libertarian path, we may conclude that the issue of social group inequalities, morally, should be fixed as it is depriving its victims of their liberty and free will. By fixing the problem, the liberty of the rest of the population will not be affected, yet enhanced for everyone, by enabling more people to make their own choices, possess liberty and free will. Therefore, social group inequalities should be eliminated and treated in Canada when analyzing with a libertarian approach. By analyzing different philosophical moral approaches to the problem, we are able to see the different conclusions that each one might lead to. We may further analyze the problem through a utilitarian approach. Utilitarianism suggests that an action is right when it maximizes utility (happiness) overall. Social group inequalities affect Canada's economical situation by bringing down the economy in certain areas where the problem is more prominent such as low-income neighborhoods and secluded or neglected areas where there are no opportunities for economical prosperity. Creating an improvement plan with regards to social group inequalities will create happiness and opportunity to the majority of the population that are affected by this problem. Encouraging women to obtain higher education and compete for high management employment positions, creating guidance centers for aboriginal peoples in order for them to receive an education and follow a career path, enable educated immigrants to work freely in their field without racial profiling or racism, enhance the economy and growth of area with few resources by moving factories and company headquarters, are all ways to control this problem by enhancing the happiness of all including the population which were not affected by social group inequalities. Victims of the problem will be relieved of their inequalities; as for the population, which did not suffer from this inequality, their happiness and utility will also be enhanced. Racial people will be more mixed with the upper class, creating new social groups and opportunities, the Canadian economy will be boosted due to the creation of new jobs and the improvements of rural or low-resource cities and towns, social acceptance will be promoted, professional fields will be enhanced to do the vast racial diversity, labor work force will attract new groups of people such as younger Canadians, as well as many more advantages to the society as a whole. Finally, one might conclude that it is almost a moral obligation, philosophically basing ourselves on the utilitarian approach, to improve and minimize social group inequalities in Canada as it would be promoting general happiness and economical prosperity for the entire nation. Lastly, the issue of social group inequalities may be analyzed through the philosophical principle of sufficiency. Sufficiency suggests that what matters is not equality, but whether people have enough. This principle is quite different than the others as it suggests a different outcome or conclusion to the problem itself. In the previous paragraphs, we analyzed social group inequalities though philosophical moral principles in order to treat the problem and improve the situation of Canada with regards to its inequalities and economical prosperity. However, priorities were never covered and deserve to be mentioned for the purpose of this paper. Women, immigrants, aboriginal peoples, people living in rural or economically deprived areas all suffer from inequalities as previously explained and proven in the Broadbent Institute report. These social groups may live a low-income life, yet they have all that they need to sufficiently live a healthy and full life. Their life may not be as prosperous or luxurious as the higher-income social class of Canada, however their needs are all met with the earnings that are allocated to them and their families. There are other social classes in Canada, which do not have sufficient financial means to support their families, moreover themselves for that matter. Hence the government should be focusing on eliminating poverty and suffering rather than minimizing social group inequalities. Morally, it would be the correct thing to do for the government of Canada when basing our philosophical ideologies on the principles of sufficiency. The priorities for aid go from the classes of people that have nothing or the least, up to the classes of people that have the most. When comparing the situation of the population that suffer from poverty, homelessness, famine, malnutrition, to the population which suffer from social group inequalities, it is easy to conclude that the aid should be prioritized to the more needy. In addition, by providing aid to the population which do not have sufficient financial means to live a full healthy life, equality is enhanced and promoted by raising the standards of living for all Canadians, hence somewhat aiding with the issue of social group inequalities by eliminating poverty. The Broadbent Institute report served as a very well organized and efficient study, raising social awareness about the inequalities that are present and faced every day in Canada. Using the aid of philosophical principles and ideologies such as Peter Singer's, Libertarianism, Utilitarianism, and the principles of sufficiency, we were able to more deeply analyze the moral importance of improving and eliminating the issue of social group inequalities which are very much present in our nation today. Each principle suggests a different moral approach; consequently providing various conclusions which Canadians can base their opinions with regards to this problem. By utilizing different moral aspects of philosophy, we were able to demonstrate clearly why the problem of social group inequalities should or should not be reduced in our society depending on the outcome and well-being of the general Canadian population.