Saturday, August 31, 2019

Assess the impact of new technologies on the music industry – Discuss the significance and implications of these developments

Over the years, the development of new technology has caused significant changes in the music industry. The presence of radio and digital radio, digital television, mini discs and the Internet has created challenges and opportunities for the BPI (British Phonographic Industry) and RIAA (Record Industry Association of America) alike. Radio works in parallel with the record industry because airplay determines to some extent, the chart position of an artist or group. If chart success is dependent on radio, then radio is an important tool to the music industry. To show just how important, ‘pluggers' are employed to approach disc jockeys to play their bands music for promotion and chart placement. Furthermore, the introduction of digital radio has excluded some of the restrictions of area broadcasting so people have more access to music. This is significant because radio now has a larger audience than before and more people are being influenced. This changes the way music is purchased and determines the success of artists and the record companies. Digital television works in the same way as radio in that the music channels help promote singles through the playing of music videos. Specialized channels and radio stations target specific audiences – this is known as narrow casting – which let every genre of music be heard enabling audiences to make up their own minds about what they like. As homogenous music exists alongside specialist music produced mainly by A and R (Artist and Repertoire), record companies want to target the right audiences for maximum exposure and therefore corresponding sales. For example, the channels ‘MTV Hits', ‘The Box' and ‘Smash Hits† play mostly pop music, whereas channels like ‘Kerrang', ‘Q' and ‘MTV2†³ specialize in alternative and rock music. The Internet has proved to be both helpful and challenging to the music industry. For record companies, it advertises and sells their music and is an easy way for people to purchase singles and albums. The introduction of selling CD's on the Internet has not meant that high-street stores will go out of business as not everyone buys music from their computers. For example younger people do not have credit cards and are therefore not able to buy music on the Internet. Instead, it has provided record companies with another profitable venture, as now there is more access to buy music. The downside of the Internet for the music industry is the emergence of MP3. This compresses material without altering the end product so it can be downloaded onto PC. Many millions of people now download music for free and burn the songs onto a blank disk. This is illegal but available and at present because of the mass numbers of people doing it, the BPI and RIAA cannot stop it from happening There are many arguments in favour of downloading, but the music industry insists outright that it should be banned. Their arguments against file sharing are that it deprives artists (and record companies) of royalties. The money gained from selling music provides an incentive to actually make it – if there is no money then there is no incentive and it will discourage artists from recording music. However, some artists may not consider money to be the main incentive to make music and even record straight to MP3 format. For example, David Bowie, the ‘Beastie Boys' and ‘Muse' do this. Other implications of downloading music are that if profits continue to fall, record companies will take fewer risks and not introduce new bands with different styles of music. This means that music will become even more predictable and formulaic which in turn creates a limited choice for the consumer. They also claim that it could undermine the record industry. The industry does feel threatened as in 1999 two hundred free music websites were shut down. Record companies say that the industry will be weakened because of MP3, and eventually smaller, independent record companies would disappear and again, people's choice in music will be limited. However, it can be argued that through buying albums choice is already limited. File sharing actually allows audiences more freedom to obtain the music that they want to hear, rather than paying for an album and only liking two out of ten songs. Alongside the threat of Internet downloading is the existence of mini disks and mini disk players. This causes a problem for the record industry as people can hold an extensive collection of music from a variety of different genres on one small disk for the price of a blank mini disk rather that a compilation compact disk for about fifteen pounds. The new technologies discussed above have a mixture of positive and negative outcomes for the record industry. They benefit from some – for example radio and digital television, even the Internet, but suffer from other developments such as file sharing. In order to compete with the ever-growing demand for music that is cheap and readily available, then it is advised that the industry make a number of significant changes that will benefit themselves and the consumer.

Friday, August 30, 2019

Malaysian Financial Reporting Standard

Malayan Financial Reporting Standards 132 WTK Company Harmonizing to MFRS 132, the statements of fiscal place of WTK Company divide into fiscal plus, fiscal liability, and fiscal equity. In the statements of fiscal place of WTK Company besides divide into group and company. WTK Company’s fiscal assets have non-currents assets and current assets. In non-current assets, there are decently, works and equipment, prepaid land rental payments, investing belongingss, and others. For the group, in 1.1.2011, the sum of non-current assets is RM 1020829000 which increased to RM 1099123000 in twelvemonth terminal of 2011. In twelvemonth terminal of 2012, the non-current assets increased once more to RM 141151000. This show that WTK Company’s non-current assets grow from 2011 to 2012. Whereas in company portion, the sum of non-current assets in 1.1.2011 is RM 433458000 and travel up to RM 434816000 in twelvemonth terminal of 2011. In 2012, the non-current assets increase once more to RM 438215000. The current assets are stock lists, tr ade and other receivables, other current assets and others. The current assets of WTK Company, in group portion, in 1.1.2011, the sum is RM 558683000 so add up to RM 588906000. In 2012, the sum of current assets is RM 551048000. In the company portion, the current assets in 1.1.2011 are RM 45304000 grows up to RM 59270000. In 2012, the current assets sum is increase to RM 63501000. Hence, the group portion of entire sum of assets is RM 1692199000 whereas in the company portion of entire sum of assets is RM 501716000. WTK Company has fiscal liability and fiscal equity. In fiscal liability, there are non-current liabilities and current liabilities. In group portion, the sum of current liabilities in 1.1.2011 is RM 313731000 which increased to RM 310156000 in twelvemonth terminal 2011. In 2012, the sum of current liabilities additions once more to RM 242404000. In company portion, the sum of current liabilities in 1.1.2011 is RM 51892000 and lessening to RM 45407000 in twelvemonth terminal 2011. In 2012, the sum of current liabilities drops once more to RM 45070000. The sum of net current asserts/liabilities in group portion in 2012 are RM 30644000 whereas in company portion 2012, the sum of net current asserts/liabilities are RM 18431000. The non-current liabilities in group portion 1.1.2011 are RM 214236000 and increase to RM 1189560000. In 2012, the sum encouragement once more to RM 1220240000. In company portion, the non-current liabilities in 1.1.2011 are RM 4265832000 and hike up to RM 4486410 00. In 2012, the non-current liabilities are RM 456608000. After add with non-controlling involvement, RM 15319000, the entire equity is RM 1235559000 in 2012 group portion. In group portion 2012, the entire equity and liabilities are RM 1693199000 whereas in company portion 2012, the entire equity and liabilities are RM 501716000. The chief rule of MFRS 132 is a fiscal instrument that is non an plus should be confidential as either a fiscal liability or an equity instrument harmonizing to the substance of the contract, but non its official signifier. The determination to make should be at the clip instrument is chiefly known. Fiscal plus and fiscal liability should be do up for and the net sum reported when, and merely when, an entity has a officially enforceable right to countervail the sums and intends either to unclutter up on a net footing, or to acknowledge the plus and settle the liability at the same time. Equity instrument is contract that evidences a residuary involvement in the assets of an entity after subtracting all its liabilities. The statement of alterations in equity will uncover all constituents of equity demoing in item the gap balance, addition and diminution and the shutting balance. Equity comprises portion capital and militias. Additions and lessenings to retained net income non disclosed in the other comprehensive income. Statements of alterations in equity of WTK Company besides divide into group and company. In twelvemonth terminal of 2012, the group of statements of alterations in equity, the entire equity is RM 1235559000 whereas in twelvemonth terminal of 2011 is RM 1204973000. In twelvemonth terminal of 2012, entire equity attributable to the proprietors of the company is RM 1220240000 whereas in twelvemonth terminal of 2011, entire equity attributable to the proprietors of the company is RM 1189560000. The portions capital, portions premium, and exchequer portions are RM 219007000, RM 45708000, and negative RM 7570000 severally in twelvemonth terminal of 2011. In twelvemonth terminal of 2012, the portions capital and portions premium are the same as in 2011. The exchequer portions are negative RM 8062000. The maintained net incomes in 2011 are RM 931358000 whereas in 2012, the maintained net incomes are RM 962176000. In 2011, entire other militias, foreign currency interlingual rendition modest y, just value accommodation modesty, and non-controlling involvements are RM1057000, RM 685000, RM372000, and RM 15413000 severally. Entire other militias, foreign currency interlingual rendition modesty, just value accommodation, and non-controlling involvements are RM 1411000, RM 1299000, RM 112000, and RM 15319000 severally in 2012. In company portion, the entire equity in 2011 is RM 448641000 whereas the entire equity is RM 456608000 in 2012. The portions capital, portions premium, and exchequer portions in 2011 are RM 209007000, RM 45708000, and negative RM 7570000. In 2012, the portions capital and portions premium are the same as in 2011. The exchequer portions are negative RM8062000. The maintained net incomes in 2011 are RM 190579000 whereas in 2012 are RM 199445000. Entire other militias, capital modesty, and just value accommodation are RM 917000, RM 400000, and RM 517000 severally in 2011. In 2012, entire other militias, capital modesty, and just value accommodation modesty are RM 510000, RM 400000, and RM 110000 severally. Additions such as reappraisal excess and adjust in just value of fiscal assets available for sale are recognized in other comprehensive income and disclosed discretely as militias. Revaluation excess on depreciable non-current plus is known in other comprehensive income and accredited to the reappraisal modesty. The depreciation charge wining to the just value accommodation of the plus will be higher, and an sum equal to the extra depreciation is to be transferred from the reappraisal modesty to retained net incomes. If the plus were to be sold before it was to the full depreciated, the staying balance on the reappraisal for that punctilious plus is besides transferred to retained net incomes. Interest, dividends, additions and losingss associating to an instrument classified as liability should be reported in the income statement. This means that dividends payments on preferable portions classified as liabilities are treated as disbursals. On the other custodies, distributions such as dividends to owner of a fiscal instrument classified as equity should be charge straight aligned with equity. The outgo of an entity’s ain equity instrument that is has required cherished portions is deducted from equity. Derive or loss is non recognized on the purchase, sale, issue or revocation of exchequer portions.

Thursday, August 29, 2019

Evolution of health care information system Essay

In this paper, we will compare and contrast Skilled Nursing Facilities from 20 years ago to today. Skilled Nursing facilities of today are both similar and different from what they were like two decades ago. Similarities comprise of the organizational structure, including different departments, and the various roles within those departments. The roles of nurses, doctors, administrators, and therapists have not changed much in the last 20 years, and it is still the same hierarchical approach where a top down approach to administration and management is used . The differences outweigh the similarities as many changes have taken place over the years. Most of the changes have been as a result of the advances in information technology in health care. Some of the differences include utilization of information systems such as e-mail for communication, documentation using electronic medical records (EMR), and utilization of advanced medical equipment. Two significant advances in health care information system over the last two decades has been the use of EMR and the advances in medical devices. These two advances have changed how care is being delivered in health care in general and more specifically, in skilled nursing facilities. Two decades ago, majority of documentation was done by hand, often resulting in disjointed, redundant documentation without the ability to extrapolate meaningful data for analytical and benchmarking purposes. By contrast with the current EMR documentation, there is very little duplication of documentation, and internal and external benchmarking is available for quality improvement purposes. Today’s skilled nursing facility is dependent upon computer and information systems to run practically every aspect of the organization. Billing systems, pyxis systems for medication dispensing, minimum data set documentation and transmission to The Centers for Medicare and Medicare Systems are just some examples of the use of computer technology used in nursing facilities of today. Skilled Nursing Facilities using outdated technology, hand- written documentation, and outdated medical equipment will have to adapt to and invest in technology and equipment if they want to stay competitive with the market. Information System in Skilled Nursing Facility of Today The skilled nursing facility that I currently work at is a long-term care facility founded in 2001 and is affiliated with a local nonprofit hospital. This 150-bed state-of-the-art facility has 40 sub-acute beds, 30 dementia beds, and the remainder, are long-term beds. The sub-acute unit has all private rooms. All beds are Medicare and Medicaid certified. This modern facility has electronic medical records and uses internal and external benchmarking data to track and trend data. They use this data to improve clinical and financial outcomes and as a result of this, have been able to improve their financial viability and have a five-star rating on the CMS Nursing Home Compare website. The physicians and nurses can access lab results, and x-ray results online via a secure connection. The admissions department can cost out patients medications and the rehabilitation department, in collaboration with the MDS coordinators can determine reimbursement based on patient needs, prior to the patient being admitted. Data is stored in a data warehouse (server) where it can be mined by authorized personnel only. The advanced medical equipment use has resulted in high level of job satisfaction and resulted in staff retention. Analysis of Data Used: 20 Years Ago to Now Twenty years ago, skilled nursing facilities did not have the ability to collect and analyze data. The need to collect data was there, and some manual data collection was done, but it was impossible to collect significant clinical and financial data and use it for analytical purposes. Fast forward 20years to the present and we now have the ability to have access to significant data that can be used to improve systems and processes for better outcomes. Of significance has been the minimum data set in nursing homes. The Minimum Data Set (MDS) is part of the federally mandated process for clinical assessment of all residents in Medicare and Medicaid certified nursing homes. This process provides a comprehensive assessment of each resident’s functional capabilities and helps nursing home staff identify health problems. Care Area Assessments (CAAs) are part of this process, and provide the foundation upon which a resident’s individual care plan is formulated. MDS assessments are completed for all residents in certified nursing homes, regardless of source of payment for the individual resident. MDS assessments are required for residents on admission to the nursing facility, periodically, and on discharge. All assessments are completed within specific guidelines and time frames. MDS information is transmitted electronically by nursing homes to the national MDS database at CMS. National and regional benchmarking is available through reports and government rates nursing homes based on these benchmarks. Examples of available benchmarking are percentage of restraints used, facility-acquired wounds, infection rates, falls, and decline in activities of daily living. Two Major Technological Advances influencing Health Care Information System (HCIS) Health care information systems are a prerequisite for coordinated, integrated, and evidence-informed health care. Introduction and use of EMR has changed how health care is delivered across the spectrum and will continue to change. It has allowed us to collect clinical data and use it to use evidence-based best practices. It has given the ability to decrease redundancy in documentation and increase patient safety by flagging medications that may be contraindicated if given in combination with another medication. Another major technological advance has been in the area of medical devices and equipment. Advanced medical devices used for diagnosis has helped detect diseases more rapidly and as a result, saved lives. The use of telemedicine is for patients who wish to remain in their homes versus a nursing home have been significant. Nurses can check patients’ vital signs frequently and collaborate with the physician to monitor patients and change treatment as needed before patient becomes acutely ill. This has lessened the need for the patients to be re-hospitalized, hence, better outcome for the patient as well as lesser financial impact. Formally defined, telemedicine is the use of medical information exchanged from one site to another via electronic communications to improve a patient’s clinical health status. Telemedicine includes a growing variety of applications and services using two-way video, e-mail, smart phones, wireless tools, and other forms of telecommunications technology. Conclusion There are some similarities and vast differences between the operations of a long-term care facility of today versus one from 20 years ago, specifically as it relates to information systems and how data was used than in comparison with the way it is used today. Today, every process, and system in a long-term care facility is dependent upon information technology to function. Financial and clinical outcomes are measured and compared with other organizations, both, nationally, and regionally to gauge and improve processes. One major technological advance has been in the area of use of EMR and access to patient information, such as lab results being readily available, enabling providers with quick decision-making ability. Another major technological advance has been in advanced medical equipment and telemedicine, allowing exchange of information for improved patient health status. Future advancement in information technology will change the way health care is delivered and facilities that embrace this change and use it to their advantage will come out ahead. References www. americantelemed. org/learn www. cms. gov www. lse. ac. uk

Wednesday, August 28, 2019

Tasty Meals Ltd Essay Example | Topics and Well Written Essays - 750 words

Tasty Meals Ltd - Essay Example In these regards, investors worry that eventually severe regulations may be enacted against the company. In terms of ethical responsibility to labor rates, this is a complex issue, as one must consider that market forces in the Philippines have led to people in the region working for this rate; still, it ultimately seems that Tasty Meals Ltd. should take a more responsible approach to employee safety and broader human rights concerns. 2. To an extent Tasty Meals Ltd. should be held accountable for their high-calorie foods. When customers visit the restaurant, especially as these restaurants contain come-ons to children through toys, they expect a reasonable expectation of health and safety. While in a free market customers have unlimited options, this does not necessitate that organizations can completely neglect health. Ultimately it seems that at the least Tasty Meals Ltd. should provide healthy options on the menu for customers. 3. It is not reasonable to demand that Tasty Meals L td. give up disposable tableware and containers because it is unfriendly to the environment. It is the government’s responsibility to place regulations on the use of such materials. Still, the backlash the organization has received is a fair reflection from the public and constitutes a level of the invisible hand of the market regulating such unethical practices through a deterioration of image. 4. It is reasonable for Tasty Meals Ltd. to demand from their suppliers that they impose its code of conduct directives to the suppliers it works with. In terms of market considerations, it is possible that severe punitive fines be placed upon the organization for engaging in unsafe market considerations. In terms of ethical responsibilities, organizations have a utilitarian ethical responsibility to consider human rights concerns. Tasty Meals Ltd. has neglected this responsibility. 5. Overall Tasty Meals Ltd. has complied with corporate governance principles, as they have not broken any government laws. Still, this organization is by no means an ethical and socially responsible corporation. They have taken every opportunity provided to ignore human rights and health concerns as a means of achieving higher profits and market expansion. 6. I would believe that the proposed measures may be too stringent. Still, I recognize that a change must be made. While ethical and social concerns are important, the ultimate considerations are in terms of profits. It seems apparent that if the organization does not adopt a reasonable amount of these measures they will experience a public backlash that could cause a severe decline in profits. 7. I believe if Tasty Meals approved and implemented the proposals it could improve their profitability as it would improve their image in the public. It would also ensure that the organization does not face future fines from disregarding regulations. 8. I don’t think ethical and socially responsible business practices are always in conflict with profitability. To an extent I believe that ethical business practices are appreciated by the public and through aspects such as corporate image and branding pay dividends. One considers an organization such as Ben & Jerry’s that has made corporate responsibility a major aspect of their business. This organization has in-turn developed a strong and loyal customer base. While in some situations unethical practices increase profitability, this does not mean that social responsibility and profitability are always in conflict. 9. As a shareholder of Tasty Meals I would be greatly concerned about the company’s long-term sustainability. While they are currently operating within corporate governance, it’s clear that they are operating directly on the border. If government

The correlation and relationship between radical political ideology Thesis

The correlation and relationship between radical political ideology and religious devotion - Thesis Example For instance, a typical aspect of religious devotion would be â€Å"My religion consumes my entire livelihood† (Juergensmeyer 34). There are always strong claims from religion on people’s loyalty rather than the allegiance of the entire community. This is since those engaging in radical political ideology, often times, reflect on religious devotion through involvement and dedication. Therefore, it is always inevitable to separate religious commitments to conflicts that relates to political demands. In this case, it is notable that religious beliefs as well as practices have potential support for politics in several ways. The result has been the concern and attention that is given to particular needs of minority groups distinguished by their religious affiliation instead of ethnicity or gender. The accurate presentation on the massacre has attracted several debates. There have been several reports concerning the death toll. In this case, the reports reveals that the ATF agents four in total as well as eighty followers of David Koresh alongside his splinter group referred to as Branch Davidian Seventh Day Adventists were also involved. The event occurred in early 1993 when the ATF attacked and besieged, the fortified compound known to the Koreshians as Mount Carmel. The aftermath was that the area was rent into total destruction (Linedecker 70). The Branch Davidian Leaders have organized the survivors in the society into religious groups. For instance, the new churches referred to as ‘The Branch’ as well as ‘The Lord Our Righteousness’. From history, a number of these leaders have made efforts to change the massacre site into a tourist destination. The destination would comprise of an amphitheater, a biblical petting zoo, a museum including the gift shop. There would also be centers housing different issues such as organic farm and the Ten Commandments. The purposes for such centers are to lessen the impact of the massacre since those

Tuesday, August 27, 2019

The General characteristics of Angels in Supernatural Research Paper

The General characteristics of Angels in Supernatural - Research Paper Example The paper discusses the angels in the TV series appear to show commonalities with the Bible, but the divergences are profound. I have stated the proof and the verses to show the conclusion of what I found in the research. The research has been somewhat more expansive than what is provided here. What was really found was that post modern and humanistic thinking is behind the portrayal of the TV series? â€Å"Humanism is naturalistic and rejects the super naturalistic stance with its postulated Creator – God and cosmic Ruler†. The most recent trend is to make the super natural a fad but still reject the creator at the center and replace one’s own ideas there. The TV series supernatural has done that successfully. The Biblical angels too are extremely powerful. However unlike the beings in the TV Series there power is focused and driven by a purpose. As ministering spirits, angels carry out the commands of God pertaining to the heirs of salvation. This involves warning, guiding, protecting, comforting, providing, and delivering the children of God according to His perfect will. This is exemplified in the verse â€Å"The angel of the LORD encamped round about them that fear him, and delivered them†. The power of the Angles in the Bible is derived from them being the army of God. Again central is God and his purposes to all this. They are so under the command of God that the meaning Gabriel is man of God. A relevant question is ‘What Is the Army of God?’.

Monday, August 26, 2019

Financial Statements Essay Example | Topics and Well Written Essays - 1000 words - 1

Financial Statements - Essay Example However, the different groups use the various financial statements for different purposes. This essay focuses on the four types of financial statements identified above and their importance to internal users such as managers and employee as well to the external users such as investors and creditors. All the financial statements are useful since to individual as well as organizations whose decisions are affected by a company. The financial statement act as an indicator of how a company is performing. Moreover, the statements can be used to predict the future of a company. Balance sheet, which is also, referred as the statement of financial position acts as an indicator of the financial status at a given time. Balance sheet assesses the assets (economic possessions possessed by the entity) and the liabilities (sources of financing) as well as ownership equity. The assets possessed by a company are either classified as current or fixed assets. Current assets can be converted into usable cash easily and include cash, marketable securities, inventory, and prepaid assets. Fixed assets are not easily converted into cash and are awarded historical cost. Fixed assets include buildings, machinery, equipment, and land. Liabilities are those assets owed to creditors (Drake, Fabozzi, & CFA, 2012). Liabilities are categorized as current and non-current liabilities. Current liabilities include notes payable, interest payable, accounts payable, wages payable and taxes payable. On the other hand, non-current liabilities include bonds payable and mortgages payable. Equity is the proprietorship, partnership, shareholders, or stakeholder’s equity in a corporation. Equity owners are claimants of the residue equity after creditors have been paid. Therefore, balance sheet acts as a record of resources owned by an entity and acts as a crucial tool used to evaluate the capability of a firm to meet long-term obligations. Comparative balance sheet is an example of balance sheet (D rake, Fabozzi, & CFA, 2012). Creditors are involved in offering credit, which is a risky practice. Therefore, balance sheets are important to creditors since they use them to assess the wealth possessed by individuals or firms and determine their capability of paying for liabilities incurred. Creditors make use of other financial statements when providing loans to companies. In case companies file bankruptcy, the creditors make use of the information obtained from the various items to recover their money by liquidating the company’s assets (Drake, Fabozzi, & CFA, 2012). Income statement is another important form of financial statement that indicates the net income of a firm. The net income is calculated by subtracting the operating expenses from the revenue or fees earned. Therefore, income statement is reflective of the company revenue or income as well as expenditure. Revenue is the inflows that a company obtains from its operations while expenses are the outflows that a co mpany uses to create revenue. Net income of a company is obtained by adding the revenue to the gains less the losses and expenses. Income statement is thus indicative of the performance of a business (Drake, Fabozzi, & CFA, 2012). Statement of cash flows is a record of a company’s cash flow activities such as the investing, operating and financing undertakings. Statement of cas

Sunday, August 25, 2019

Principles of Econometrics Coursework Example | Topics and Well Written Essays - 2250 words

Principles of Econometrics - Coursework Example Random assignment does not guarantee that the groups are "matched" or equivalent, only that any differences are due to chance. Control group is a valid counterfactual since it is a proof that your experiment had a specific outcome. At the end of the experiment, you have the results for the control group (the group where no intervention/treatment was applied) and the results for the group(s) where an intervention/treatment was applied. We only get useful information only when we compare those two sets of results. The  Hawthorne effect  (also referred to as the  observer effect) refers to a  phenomenon  whereby individuals improve or modify an aspect of their behavior in response to their awareness of being observed Multicollinearity  (also  collinearity) is a statistical phenomenon in which two or more predictor  variables  in a  multiple regression  model are highly  correlated, meaning that one can be linearly predicted from the others with a non-trivial degree of accuracy. In this situation the  coefficient estimates  of the multiple regression may change erratically in response to small changes in the model or the data. (a) Explain what is meant by measurement error and how does it cause endogeneity bias? (4 marks) When the measurement error is in the dependent variable, the zero conditional mean assumption is not violated and thus no endogeneity. However, when the measure error is in the independent variable, the problem of endogeneity arises. Suppose that . Explain how an instrumental variables regression estimated using two stage least squares (TSLS) can be used to obtain consistent estimates of the regression coefficients. (7 marks) Instrumental variable (IVs) methods especially using

Saturday, August 24, 2019

Why has the Employee relationships changed from 1900' to today and Essay

Why has the Employee relationships changed from 1900' to today and what does this mean to contemporary organisations - Essay Example The concept today applies to a broader, extensively multidimensional and a major function of strategic managers in companies, rather than being confined to the Human Resource Department (HRD) functions. Industrial relationship, in its earlier days of the 1900s was concerned about the management of association existing amid the trade unions and the authoritative managerial bodies, which further offered organisations with a greater control on managing negotiations, industrial conflicts and consultations. Although the inherent meaning, basic tenets and rudimental values of this particular managerial doctrine remains the same over the past century, its dimensions have become much vibrant and multifaceted, embracing the external as well as internal elements of strategic management including social, political, economic and legal contexts of the national and international realms along with the working culture, organisational values, motivational needs of the workers, ranging upto financial and strategic goals of the company (Sing & Kumar, 2011). Based on this concern, this essay hereby intends to examine and obtain a critical understanding of the changes witnessed in the concept of employee relationship since the 1900s to the current century and its implications on contemporary organisations. Employee Relationship in 1900s In general terms, ‘employee relationship’ can be understood as a practice or a theory that is principally allied with the management and with the regulations of employee relationship. It operates more as an array of necessary abilities and attitudes of the employees rather than a specific management function. Employee relationship is concerned about preventing and controlling the conflicts within workplaces, either at individual levels or at the group levels that are often likely to arise due to the inefficiency of an organisation (Brown University, 2013). It is worth mentioning in this context that there are many factors, which have co ntributed to the changes in employee relationship since the past era to the recent times. Employee relationship during the 1900s was highly influenced by the then continuing industry trends, which rooted since the mid nineteenth century. In the twentieth century, the factory system became the dominant mode of production in most of the developed and Western countries (Sing & Kumar, 2011). In the plight of political turmoil and rapidly changing social constructs, employment relationship in the twentieth century was characterized by the emergence of labour unions. Since the colonial days labour unions had a well-earned reputation for being cruel, antisocial and some even criminal. Accordingly, with increased number of labours in the extremes of the spectrum and fewer in the middle, the labour market became much polarized by the mid 1900s (European Centre for the Development of Vocational Training, 2011). The labour market polarisation had a deep impact on the employment relationship in the twentieth century context, whereby the notion followed by governmental bodies (including trade unions) and employers was shifting from liberalism (that developed in the early 1900s) to neo-liberalism structures in the later-half of the twentieth century. Correspondingly, the twentieth century labour market was also facing significant turmoil in terms of protests against exploitation, which was further backed by political groups along with the then uprising social communities (Kalleberg, 2009; Clarke, 1995). With the increasing pace in the liberalism reforms of the early 1900s,

Friday, August 23, 2019

Consumption of the us Research Paper Example | Topics and Well Written Essays - 1750 words

Consumption of the us - Research Paper Example It is important to understand the impacts caused by United States top leadership in the country’s economy. This is of importance knowing the current economical position of US where fears of recession are evidently delayed often. The result will adopt an econometric approach. This entails description of all the estimation techniques used, the data set and the regression model. Later the results got will be used to reject or support the hypothesis that the political relationship of United States president tend to have on their country’s GDP. Finally, several independent tests will be conducted to determine the strength of the model, within which a conclusion of the regression success will be made. Gross Domestic Product is the measure and determinant of national income and output for a given country’s economy over a certain period. It is measure on the total market value of all final services and goods produced in a country over a given period of time (A financial year). The evaluation process of GDP includes the sum of value added at every intermediate stage of all goods and services produced within a country in a given period monetarily. First, it is important to specify that this study use time series data and ordinary least square regression method of data estimation. Through excel a set of parameters will be evaluated, from which a line of best fit will be obtained. The regression model is developed using figures from 2004 to 2013, which contains enough information of the number of president who have been in office and it has also been the time of global and United States years of Financial crisis. Both the democrats and republicans have shared a time in the presidential seat during this period. This offers an even basis of analysis. Y is the dependent variable, which for the intention of this paper is the going to the growth rate in US GDP over the chosen period (2004 to 2013). The data used was obtained from Economic report of the president,

Thursday, August 22, 2019

Determination of Dissolved Oxygen In a Water Essay Example for Free

Determination of Dissolved Oxygen In a Water Essay INTRODUCTION In an alkaline solution, dissolved oxygen will oxidize manganese(II) to the trivalent state. 8OH-(aq) + 4Mn2+(aq) + 2H2O(l) ï ¼ Ã¯ ¼ Ã¯ ¼Å¾ 4Mn(OH)3(s) The analysis is completed by titrating the iodine produced from potassium iodide by manganese(III) hydroxide. 2Mn(OH)3(s) + 2I-(aq) + 6 H+(aq) ï ¼ Ã¯ ¼ Ã¯ ¼Å¾ 2Mn2+(aq) + I2(aq) + 6H2O(l) Sodium thiosulphate is used as the titrant. Success of the method is critically dependent upon the manner in which the sample is manipulated. At all stages, every method must be made to assure that oxygen is neither introduced to nor lost from the sample. Furthermore, the sample must be free of any solutes that will oxidize iodide or reduce iodine. Chemicals: Manganese(II) sulphate solution – prepared by dissolving 48 g of MnSO4.4H2O in water to five 100 cm3 solution; alkaline potassium iodide solution—prepared by dissolving 15 g of KI in about 25 cm3 of water, adding 66 cm3 of 50% NaOH, and diluting to 100 cm3; concentrated sulphuriv(VI) acid; 0.0125 M sodium thiosulphate solution; starch solution (freshly prepared). Apparatus: 250 cm3 volumetric flask, 250 cm3 conical flask, measuring cylinders, titration apparatus, magnetic stirrer Procedure: 1.Use a 250 cm3 volumetric flask to collect water sample. Fill the flask completely with water without trapping any air bubbles. 2.Add 1 cm3 of manganese(II) sulphate solution to the sample using a pipette. Discharge the solution well below the surface (some overflow will occur). 3.Similarity introduce 1 cm3 of alkaline potassium iodide solution. Be sure that no air becomes entrapped. Invert the bottle to distribute the precipitate uniformly. [Hazard Warning: Care should be taken to avoid exposure to any overflow, as the solution is quite alkaline.] 4.When the precipitate has  settled at least 3 cm below the stopper, introduce 1 cm3 of concentrated sulphuric acid well below the surface. Replace the stopper and carefully mix until the precipitate disappears. A magnetic stirrer is helpful here. 5.Allow the mixture to stand for 5 minutes and then withdraw 100cm3 of the acidified sample into a 250 cm3 conical flask. 6.Titrate with 0.0125M sodium thiosulphate until the iodine colour bec omes faint. Then add 1 cm3 of starch solution and continue adding the thiosulphate solution until the blue colour disappears. 7.Record the volume of thiosulphate solution used and calculate the dissolved oxygen content in the sample in mg dm-3. Remarks 1.If the water sample has a low DO value, it is recommended to withdraw 200 cm3 of the acidified sample into a 500 cm3 flask for the titration describe in step 5. 2.This experiment can be further developed into a project to study the extent of water pollution. (a)The water sample under investigation is divided into two portions. One portion of the sample is immediately analysed for dissolving oxygen using the Winkler method. The other portion is stored in the dark for five days. (b)Repeat the analysis with the water sample that has been stored in the dark for five days. The difference between the two measurements is the five-day biochemical oxygen demand (BOD5), measured in mg dm-3.

Wednesday, August 21, 2019

Gibson Kente Essay Example for Free

Gibson Kente Essay Gibson Kente: Arguably the most popular playwright-director in South African Theatre history is â€Å"Bra Gib†, Gibson Kente. Born in 1932, Kente became the father of Black Theatre. He was a great patriot and founding father of Black Theatre in South ; an effective voice of the oppressed though the arts, he articulated the socio-economic imbalances created by the apartheid regime. Kente was not only an artist but also a vehicle for change. He conscientised the nation through music and theatre and gave a nation confidence in the midst of repression and brutality. Kente was largely unknown to the white theatre-going population of South Africa – however he produced 23 plays and many TV dramas from 1963-1992. Kente grew up in Duncan Village, a black village in the Eastern Cape. He was schooled at a Seventh-Day Adventist College in Butterworth. In 1956, he moved to Johannesburg and enrolled at the Jan Hofmeyer School of Social Work. He eventually abandoned his studies after he joined a black theatre group called the Union Artists. This is where he embarked on his career writing, producing and directing, where he created the unique genre referred to as the â€Å"township musical. Kente developed a style and pattern for his plays specifically to deal with the challenges and needs of his audiences. His plays were melodramas of township life, which were performed in an over-the-top, stylized manner using stock characters and a declamatory style of performance. His style of directing his actors to ‘overact’ was in order to compens ate for many of the townships venues which had poor acoustics. His use of music, movement, gesture, gimmicks, dance and acrobatics were directly related to his problem with township venues. These large halls were not complimentary to any type of method acting. The movements had to be unnaturalistic, the acting was vigorous and exaggerated well beyond reality, in order to have an impact on the eye and the ear. There was also a devaluing of dialogue – the dialogue is in English, however, most of it was inaudible because of audience noise and interaction, bad voice projection in the acoustically unsound halls, the musical band and unfamiliarity with words from the script. The audiences were not there to appreciate the subtlety of language through the use of puns or witticisms – they were there to be entertained through the stock characters antics – to recognize themselves on stage. Kente’s aim was to fill township venues and he did. The majority of his plays are stylistically similar: the acting style hardly varies, the story development is superficial, there is an absence of conflict other than the physical fights and the slanging matches between characters. The plots were simple – they were made up of occurrences which were happening in the townships and in daily township life. Ian Steadman writes in his article Alternative Politics, Alternative Performance: 1976 and Black South African Theatre that â€Å"while he [Kente] has been criticised by more radical Black Consciousness proponents for being a-political, Kentes theatre succeeds in creating social comment and criticism – sometimes by implication, at other times by direct proseltism† (1984: 219).

Neorealist Theory of US Politics

Neorealist Theory of US Politics Realists believe that power is the currency of international politics. Great powers, the main actors in the realists account, pay careful attention to how much economic and military power they have relative to each other. It is important not only to have an important amount of power, but also to make sure that no other state roughly shifts the balance of power in its favour. For realists, international politics is synonymous with power politics. They are, however, important differences among realists. The most basic divide is in the answer to the simple but important question: why do states want power? For classical realists  [1]  like Hans Morgenthau, the answer is human nature. Practically, everyone is born with a will to power, which effectively means that great powers are led by individuals who are determined to having their state dominate its rivals. Nothing can be done to change that force to be all-powerful  [2]  . For Neorealists or structural realists, human nature has little to do with why states want power. Instead, it is the structure or architecture of the international system that forces states to pursue power. In a system where there is no higher authority that sits above the great powers, and where there is no guarantee that one will not attack another, it makes good sense for each state to be powerful enough to protect itself in the event it is attacked. In essence, great powers are trapped because they have little choice but to compete with each other for power if they hope to survive  [3]  . Neorealist theories ignore cultural differences among states as well as differences in regime type, mainly because the international system creates the same basic incentives for all great powers. Whether a state is democratic or autocratic matters relatively little for how it acts towards other states. Nor does it matter much who is in charge of conducting a states foreign policy. Neorealists treat states as if they were black boxes: they are assumed to be alike, save for the fact that some states are more or less powerful than others.  [4]   There is a significant divide between structural realists, which is in the answer to a second question that concerns realists: how much power is enough? Defensive realists like Kenneth Waltz (1979) maintain that it is unwise for states to try to maximize their share of world power, because the system will punish them if they attempt to gain too much power. The pursuit of hegemony, they argue, is especially imprudent. Offensive realists like John Mearsheimer (2001) take the opposite view; they maintain that it makes good strategic sense for states to gain as much power as possible and, if the circumstances are right, to pursue hegemony. The argument is not that conquest or domination is good in itself, but instead that having overwhelming power is the best way to ensure ones own survival. For classical realists, power is an end in itself; for structural realists, power is a means to an end and the ultimate end is survival. In a widely discussed essay John Mearsheimer  [5]  (1993) use the neorealist argument of Waltz  [6]  (1979) and applies it to both the past and future. He says that neorealism has continued importance for explaining international relations: neorealism is a general theory that applies to other historical situations besides that of the Cold War. He also argues that neorealism can be employed to predict the course of international history beyond the Cold War. The question poses is: What would happen if the bipolar system were replaced by a multipolar system? This question can be justly discussed with the study of the last War in Iraq. Indeed, the Iraq case throws light on the determinants of war, exposing how far decisions are driven by systemic factors. Kenneth Waltzs defensive realist image of systemic constraints shaping a prudent defensive use of power does not appear to correspond to American behaviour. Offensive realism, predicated on the notion that great powers can never have enough power in an insecure world, might seem more relevant, but even this is doubtful: its main proponent, John J Mearsheimer (2001) views hegemony as merely regional and hegemons as acting as offshore balancers outside their own regions. Seeing the Iraq War as going well beyond that, he denied that it was necessary to US security (Mearsheimer and Walt 2003). So, ultimately, How the US invasion in Iraq can be interpreted from neorealists points of view? First, in order to answer, I will study the works of Waltz and Mearsheimer in identifying their similarities and their differences. Finally, I will apply their perspective to the US invasion of Iraq. Defensive Realism versus Offensive Realism: How much power is enough? The leading contemporary neorealist thinker is undoubtedly Kenneth Waltz (1979). Waltzs Theory of International Politics (1979) seeks to provide a scientific explanation of the international political system. In Waltzs view the International relations theory is a neorealist theory that focuses centrally on the structure of the system. Actors are less important because structures compel them to act in certain ways. Structures more or less determine actions. According to Waltss neorealist theory, a basic feature of international relations is the decentralized structure of anarchy between sates. States are alike in all basic functional respects in spite of their different cultures or ideologies or constitutions or personnel, they all perform the same basics tasks. But the structure of the system changes with changes in the distribution of capabilities across the system units  [7]  . In other words, international change occurs when great powers rise and fall and the balance of power shits accordingly. A balance of powers between states can be achieved, but war is always a possibility in an anarchical system. Waltz distinguishes between bipolar systems, such as existed during the Cold War between The United States and the Soviet Union, and multipolar system, such as existed both before and after the Cold War. Waltz believes that bipolar systems are more stable and thus provide a better guarantee of peace and security than multipolar sys tems. With only two great powers, both can be expected to act to maintain the system  [8]  . That is because in maintaining the system they are maintaining themselves. According to that view, the Cold War was a period of international stability and peace. Waltz assumes that the fundamental concern of states is security and survival. He also assumes that the major problem of great power conflict is war, and that the major task of international relations among the great powers is that of peace and security. Nevertheless St ate leaders are prisoners of the structure of the state system and its determinist logic which dictates what they must do in their conduct of foreign policy. There is no room in Waltzs theory for foreign policymaking that is independent is the structure of the system. Waltzs image of the role of state leaders in conducting foreign policy comes close to being a mechanical image in which their choices are shaped by the international structural constraints that they face. Thus, Waltzs neorealist approach does not provide explicit policy guidance to state leaders as they confront the practical problems of world politics. That is presumably because they have little or no choice, owing to the confining international structu re in which they must operate. Waltz does address the question of the management of international affairs  [9]  . Waltzs argument is at base a determinist theory in which structure dictates policy. However, just beneath the surface of Waltzs neorealist text, and occasionally on the surface, there is recognition of the ethical dimension of international politics. For example, he operates with a concept of state sovereignty:To say that a state is sovereign means that it decides for itself how it will cope with its internal and external problems  [10]  . For Waltz, all states are equal only in a formal-legal sense; they are unequal, often profoundly so, in a substantive or material sense. But that means that a norm of state exists which all states without exception are expected to observe in their relations with each other regardless of their substantive inequalities of power. Waltz also assumes that states are worth fighting for. That, too, indicates that neorealism is imbued with normative values: those of state security and survival. Waltz operates, as well, with a concept of the national interest: each states plots the course it thinks will best serve its interests  [11]  . For Waltz, however, the national interest seems to operate like an automatic signal commanding state leaders when and where to move. Waltz sees states as structures that respond to the impersonal constraints and dictates of the international system. Mearsheimer builds on Waltzs argument concerning the stability of bipolar systems as compared with multipolar systems  [12]  . These two configurations are considered to be the main structural arrangements of power that are possible among independent states. As indicated Waltz claims that bipolar systems are superior to multipolar systems because they provide greater international stability and thus greater peace and security. There are three basics reasons why bipolar systems are more stable and peaceful. First, the number of great-power conflicts is fewer, and that reduces the possibilities of great-power war. Second, it is easier to operate an effective system of deterrence because fewer great powers are involved. Finally because only two powers dominate the system the chances of miscalculation and misadventure are lower. They are fewer fingers on the trigger  [13]  . In short the two rivals superpowers can keep their eye steadily fixed on each other without the distractio n and confusion that would occur if there a larger number of great powers, as was the case prior to 1945 and arguably has been the case since 1990  [14]  . The question Mearsheimer  [15]  poses is: What would happen if the bipolar system were replaces by a multipolar system? Mearsheimer  [16]  that the demise of the bipolar War order and the emergence of a multipolar world will produce highly undesirable return to the bad old ways of anarchy and instability and even renewed danger of international conflict, crises, and possibly war. Mearsheimer differs from Waltz whom characterizes as a defensive realist: someone who recognizes that states must and seek power in order to be secure and to survive, but who believe that excessive power is counterproductive, because it provokes hostile alliances by other states. For Waltz, it does not make sense, therefore, to strive for excessive power beyond that is necessary for security and survival. Mearsheimer speaks of Waltzs theory as defensive realism. Mearsheimer agrees with Waltz that anarchy compels states to compete for power. However, he argues that states seek hegemony, that they are ultimately more aggressive that Waltz portrays them as being. The goal for a country, such as United States, is to dominate the entire system, because only in that way could it rest assured that no other state or combination of states would even think about going to war against the United States. In the Western Hemisphere, for example, the United States has long been by far the most powerful state. No other state, Canada, Mexico, Brazil, would even think about threatening or employing armed force against the United States. All major powers strive for that ideal situation. But the planet is too big for global hegemony.The oceans are huge barriers. No state would have the necessary power. Mearsheimer therefore argues that states only become the hegemon in their own region of the world  [17]  . Regional hegemons can see to it, however, that there are no other regional hegemons in any other part of the world. They can prevent the emergence and existence of a peer competitor. According to Mearsheimer, thatis what the United States is trying to ensure. That is because a peer competitor might try to interfere in a regional hegemons sphere on influence and control. According to Mearsheimer, all states want to become regional hegemons. That is why he refers to his theory as offensive realism which rests on the assumptions that great powers are always searching for opportunities to gain power over their rivals, wit hegemony as their final goal  [18]  . There has always been conflict, there is conflict, and there will be conflict over power. And there is nothing that anyone can do to prevent it. This is why the title of one of his books is The tragedy of Great Power Politics. In sum, there is disagreement among structural realists about how much power states should aim to control. Offensive realists argue that states should always be looking for opportunities to gain more power and should do so whenever it seems feasible. States should maximize power, and their ultimate goal should be hegemony, because that is the best way to guarantee survival. While defensive realists recognize that the international system creates strong incentives to gain additional increments of power, they maintain that it is strategically foolish to pursue hegemony. That would amount to overexpansion of the worst kind. States, by their account, should not maximize power, but should instead strive for what Kenneth Waltz calls an appropriate amount of power  [19]  ; The War in Iraq and the neorealists : a troublesome case States operate in a self-help world almost always according to their own self-interest and do not subordinate their interests to the interests of other states, or to the interests of the so-called international community. The reason is simple: it pays to be selfish in a self-help world.  [20]   The decision made by the Bush administration to invade Iraq in 2003 can both be fit into neorealist theory, while some things also complicate neorealist theory. Realists believe that power is the controlling force in politics, and especially international politics, and power is defined as the ability to control outcomes. This is a hard thing to prove but the US certainly have shown that it is able to control outcomes, when US forces invaded Iraq without the consent of the UN or most other nations. Other countries like France also tried hard to persuade the US not to invade Iraq, which is also a sign of wanting to control outcomes. However, the US turned out to be a lot more powerful in this case. Mearsheimers theory of offensive realism states that the unrelenting pursuit of power means that great powers are inclined to look for opportunities to alter the distribution of world power in their favour. This means that the US, which is by far the greatest power in the West, will always be looking for opportunities to gain even more power at the expense of other states. Neorealist theory can explain the Iraq war in 2003 by saying that the US saw invading Iraq as an opportunity to gain even more power at the expense of foremost Iraq  [21]  . The invasion of Iraq can also be seen as a way for the US to prove to the world how powerful it is by not letting the US be taunted by Saddam Hussein, and by defying the opinion of the UN and other states  [22]  . The invasion of Iraq can be analysed as a strategy for gaining power or as a strategy for checking aggressors. By using war as a way of increasing their power, the US can exploit Iraqs economy for their own benefit and gain power by confiscating natural resources such as oil and foodstuffs  [23]  . Also, the US can gain strategic important land by gaining an ally in the new Iraq, which the US has helped rebuild. War has been used as a way of checking aggressors, which is basically a way of preventing other states from gaining power at their own expense. In reality this is done by deterring the aggressor, who in this case is Iraq. When the US did not think that Iraq was deterrable they had no other choice than to invade Iraq, according to offensive realism. This is because the structure of international politics forces states to be aggressive in order to survive. Before and during the 2003 Iraq war the US gave the impression that they were threatened by Iraq, which means that they were trying to deter Iraq, which was an aggressor. However, looking at the image as being just and democratic that the US clearly wants the world to think of them, it is hard to imagine that they would say anything different from what they did, no matter what their motives were. The conditions of international politics today for countries in the West demands them to be just and democratic or at least to appear that way and no state leader would say anything that could not be explained as being just and democratic, because it is the rules of survival in international politics today. This does not mean that states today in the West are only just and democratic, because they can do whatever they want to within reason. It just means that whatever they do will have to be camouflaged as just and democratic. However, the invasion of Iraq is hard to explain with offensive realism in some ways. According to offensive realism, the central aim of American foreign policy is to be the Hegemon in the Western Hemisphere and have no rival hegemon in Europe or Northeast Asia. How can offensive realism then explain that the US is invading a country in the Middle East, because this region should not interest the US enough to want to invade a country in other regions than Europe and Northeast Asia?  [24]  Mearsheimer has trouble seeing why the US have troops in Europe and Northeast Asia, and argues that they should be sent back, and therefore it is even harder to explain why they should have troops in a region in which the US government does not aspire to be a hegemon. Some of the most prominent realist scholars Mearsheimer and Waltz actually argued against invading Iraq, because they believed that it was unnecessary. All state leaders are rational according to realist theory, which means that Saddam Hussein is also rational although the US government kept arguing that he was irrational and therefore you could not reason with him  [25]  . Because realist theory holds that Saddam Hussein, like all state leaders, are rational, he is also deterrable because economic sanctions and threats of massive retaliation will always work on him, and they have in the past, realists argue. Therefore, neorealist theory tells us, that Saddam Hussein is not as big a threat to the US as the US government claimed and there was no reason to invade Iraq. If Saddam Hussein is rational he would acknowledge that Iraq is a weak state, and would never be foolish enough to attack such a powerful state as the US, because it is not wise to attack a state that has nuclear wea pons regardless of whether you have WMD or not. Conclusion It is impossible to create a theory about international politics, that is bullet-proof, because there will always be an element of unpredictability, which is unavoidable when humans interact. Neorealist theory has been able to predict the US foreign policy because a structural argument: the unipolar system and its instability. However, when the system level ceases to be the major constraint on behaviour, as expected by neorealism, there is much more scope for domestic determinants to drive policy  [26]  . Moreover, the war demonstrates the dangers of unipolarity in which the once-benign hegemon becomes malign  [27]  . It is no accident that small powers have traditionally put the highest value on international law and the UN and that the world hegemon uniquely deprecates the latter as unwanted constraints on its freedom to do as it pleases; their failure in the Iraq case makes for a less secure world for those at the bottom of the power hierarchy.

Tuesday, August 20, 2019

The Journey of Lily in Sue Monk Kidds The Secret Life of Bees Essay

The Journey of Lily in Sue Monk Kidd's The Secret Life of Bees The devastating tragedy of losing a person's mother at an early age can drastically affect that person's life. It can impact the way someone thinks, corresponds with others, and the way someone handles themselves emotionally. In the novel The Secret Life of Bees Lily Owens loses her mother at the early age of four. During Lily's journey she finds comfort and support in the women that she meets. Throughout the novel Lily goes through many changes because of the impact of the motherly figures of the Black Mary, Rosaleen, and the Calendar Sisters. During Lily's journey the Black Mary helps change Lily's life by providing structure. The ritual of the Calendar Sisters, Rosaleen, and Lily praying before the Black Mary everyday provides Lily with time to focus on her emotions and thoughts. Structure gives Lily a routine with helps her stay organized. "'I reached out and traced Black Mary's heart with my finger'" (Monk Kidd 164). Lily is able to touch the Black Mary on her second attempt. This gives Lily as physical connection to the Black Mary, which she never had with her real mother. The Black Mary acts like a silent mother towards Lily because Lily can connect with the Black Mary physically, but not as much socially. Lily can relate to the Black Mary socially but only through prayer, which is not as strong of a connection as the physical aspect. After Lily learns about the stories that tell the Black Mary's past, she can relate to the Black Mary even more. "'You know, she's really just the figurehead off an old ship, b ut the people needed comfort and rescue, so when they looked at it, they saw Mary, and so the spirit of Mary took over'" (141). When L... ... (243). Lily received a lot of love that gave her hope and made her feel good about herself. Instead of having one mother, Lily had three. Which she felt was the best thing for her. "All these mothers. I have more mothers than eight girls off the street. They are the moons shining over me" (302). Through Lily's life journeys and lessons she learns to appreciate the small things in life and thank those who care. The impact of the Black Mary, Rosaleen and the Calendar Sisters help Lily go through positive changes. Even though Lily lost her mother at an early age, she still had the opportunity to have a great life. Lily was lucky to have the love and support of the many women that are in her life. Lily had a great life and fit into the African American culture perfectly. Works Cited: Kidd, Sue Monk. The Secret Life of Bees. New York: Penguin, 2002.

Monday, August 19, 2019

Their Eyes Were Wathiching God Essay -- essays research papers

Their Eyes Were Watching God   Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Their Eyes Were Watching God is a story about the life of Janie Crawford and the hardships and triumphs in her three marriages, though there were many more hardships. In this essay I will share with you the setting, some characters, incidents from the plot, the theme, and point of view.   Ã‚  Ã‚  Ã‚  Ã‚  This story begins in the 1930's when Janie returns to her home in Eatonville, Florida. She then begins to recount her life story to her closest friend, Phoeby. The story then shifts on to various cities in South Florida, primarily Eatonville and the Florida Everglades.   Ã‚  Ã‚  Ã‚  Ã‚  Janie Crawford, the main character, was a fair-skinned, black woman who was admired by many. She was married three times; her first marriage was at the age of sixteen which was arranged by her grandmother. Janie displayed a streak of her independence and identity when she left her first husband, and lived alone for months after her second died. Throughout her life Janie demonstrated a courageous personality as she traveled from marriage to marriage without thinking twice.   Ã‚  Ã‚  Ã‚  Ã‚  Tea Cake Woods, Janie's third husband, was a younger man in his thirties. He was a free-spirited, nomadic person, who's main source of income was derived from gambling. Tea Cake met his death when in a rabid rage, he was shot in self-defense by Janie.   Ã‚  Ã‚  Ã‚  Ã‚  ...

Sunday, August 18, 2019

Carnivore :: Research Papers

Carnivore No one can speak for all Americans in deciding the trade-offs between equal protection of the laws, privacy, and fearless exercise of democratic freedoms. - Rob Geis Envision a future where every action you make is recorded and reviewed by unknown means — A world where a government spies on its own citizens more frequently than other nations — A government that reads everyone’s email, in order to try to thwart unpreventable actions. Does this sound like a science fiction story? Well it is not; this is a reality according to civil libertarians. Ever since the U.S. Federal Bureau of Investigation's (FBI) program, named Carnivore, was introduced to the world in 1999, civil libertarians have been up in arms claiming that Carnivore violates civil human rights. This claim and others about Carnivore are shortsighted, because there are misconceptions about Carnivore itself. Carnivore is not a vicious wolf, eating its prey (email) at will; it is a harmless puppy, which can barely open its eyes; I will go into some detail on what Carnivore is, why it causes commotion, and why it is inadequate to do any good. It is the role of any gover nment to protect its interests and its citizens. Carnivore does not live up to its expectations, but if used effectively can capture some criminals. History of biting Carnivore is a third generation on-line protection program. In â€Å"How Carnivore Works† by Jeff Tyson, he states, "While information about the first version has never been disclosed, many believe that it was actually a readily available commercial program called Etherpeek" (Tyson, 2). The second generation, Omnivore, was deployed in 1997. Information about Omnivore has not been public until recently. The third generation, DragonWare Suite, was introduced in 1999 which contains three parts, â€Å"[1] Carnivore - A Windows NT/2000-based system that captures the information. [2] Packeteer - No official information released, but presumably an application for reassembling packet into cohesive messages or Web pages. [3] Coolminer - No official information released, but presumably an application for extrapolating and analyzing data found in the messages† (Tyson, 2). In short, Carnivore is a program within the DragonWare suite that captures email packets from Internet Service Providers (ISP's) in order to prevent criminal actions that are conducted through email. According to Tyson, â€Å"The FBI plans to use Carnivore for specific reasons. Particularly, the agency will request a court order to use Carnivore when a person is suspected of: Terrorism, child pornography/exploitation, espionage, information warfare, or fraud† (Tyson, 5).

Saturday, August 17, 2019

MS A.S.Thafeni Essay

1. How did I engage myself with the group? Deciding which group or organization to engage with was not easy for me. I had to play around with some ideas and think which one because we have plenty of them around here. In my community we have Trauma Center, FAMSA; we also have lay counselors who are making a difference in more informal way. However deciding how to approach one of them wasn’t easy at all. I felt anxious every time I had to make a choice. I reflected to one of my experiences I encountered long time ago when I relocated to another country (Angola) for three years. When I had to meet different people, different culture, language and so forth. It was totally new environment for me and I had to adjust very fast. The first step I took was to make an appointment with one nurse in charge in our local clinic to authorize me to do my observation in the clinic with the help of my nephew who was employed at the clinic. She agreed. I also went to FAMSA and try to negotiate my entry there as person who needs help, unfo rtunately, they were not in that day. Then I decided to engage with the group located in my clinic where I got permission. . I learned lay counselors are in attempt to bring change in our community. Targeted members are those patients who visit or come to clinic on a daily basis for various reasons. The group meets during the week (Monday to Friday) at 8am – 10pm. The establishment of the group was two years ago because the concern some few community members had. It seems it has been started by local community members who were concerned about certain issues that affect people. They felt that buy working together as community would bring a difference and enhance life of other people. They also thought that this group will bring some changes in their homes and to community as a whole. This awareness program is not static, new members are introduced daily, weekly and monthly as the group is informal. The program compels no one to stay, people do have right to choice and freedom and it’s being respected by everyone. The goal of this program is to make the people aware of some disease and illness that affect us and consciously and unconsciously. I understand since this program started two years ago, it has been successful. People show interests  and others report that there has been a radical change in their lives as now they know the importance of taking their treatment especially on time, completing the treatment, eating healthy, exercising, teenage pregnancy decreased as youth now know how to protect themselves against the diseases, abortions decreased and so forth. This kind of reports is what kept the program alive. I also understand this program reached so many people every month as they count approximately 300 to 400 monthly. Again they hope that in the long run the community will be better, HIV/AIDS, TB, Teenage pregnancy will be decreased by 50%. What made them certain is that in 2012 when this program commenced within six to seven months, TB and HIV/AIDS was combated seriously and clinic reported that 2% less/ reduced. I also learned that people wants to be taught with the language they understand so that they can participate fully about the things affect their lives on the daily basis. I came to know the group because I am also a community member who also uses the facilities available to my community such as the clinic. Most of the time when I visited my clinic I used to see people entering certain door and I asked a friend who was sitting next to me and also as I have mentioned above I have a nephew who is employed there about the group and she explained to me. Initially, I never give myself time to join or to be interested in whatever they are doing but studying this module made me to be interested in the group. My nephew who works at the clinic helped me to enter the space by introducing me to the nurse in charge. I made appointment with appointment with the nurse. I had to make an appointment because for me it indicated respect as I wouldn’t just enter as I please in the group without permission. I had five minutes with the nurse and explain who I am? What do I want to do? Why, How? When? And after that she gave me permission. What is important I  indicated that whatever I am going to observe here is strictly confidential; it’s only for my assignment purpose. The nurse introduced me to the facilitator who was facilitating the group and I was highly accepted as part of the family but as an observer. The main area of focus is to teach or  make the community members aware about various issues that affect them on the daily basis. Issues such as Teenage pregnancy, HIV/AIDS, TB, STI’s, etc. They also focused on teaching morality because they believe good morality will result in reduced mortality. 2. I had few assumptions before engaging in the context. Assumption 1- The Environment= the environment should be conducive so that members should be comfortable. Assumption 2-The group share common interest. Assumption 3- They group should share common problem. Assumption 4- They must have open communication. Assumption 5 – They should have solution to their problem. Assumption 6 – Decisions are made collectively. All these assumptions are only based on my observations that are not confirmed. I was also aware that even though they form a group but they are still unique individuals with their unique experiences (proposition 1 & 2). These unique experiences will bring change to their lives. I also believed that as a group they have collective knowledge, skills and potential. The only thing that is required is the facilitator to release that potential resource. Aspects pertaining to the social context as well as social issues that the group is grappling with or the challenges the group is facing are denial and distortions about the disease such as HIV/AIDS. Some member of the group came with the interesting aspect that HIV/Aids caused by super natural causes. It is caused by people casting a spell over you (bewitched) (boloi- South Sotho). Some will say the disease can be cured, they know the traditional healers who cured somebody. Some will say its indication  of ancestors calling. Some claims that they don’t have food in order for them to take treatment. Because of these challenges the program had to be adjusted a little bit to accommodate these challenges. The members will somewhere somehow include God and super naturals in their discussions, for an example, a woman was taught about the HIV/AIDS illness, how we contact it and so forth, and she also made her inputs that in the Bible all these illnesses where predicted, therefore its not a miracle. During my observation I realized that people are struggling to relate with the  environment also with one another. For an example, during the session the group members were afraid to talk their hearts out. I can assume that members know each other perhaps as a neighbor, friend. Therefore, their friendship or neighbor relationship deprived them freely participation in the group as one will think that what others will do or say or one doesn’t want others to know about his /her business or issues the one struggling with. According to part two of the study Guide – The ‘cracked’ landscape – Society in crisis. I have realized that people are not aware that they are not alone, they are not individuals. They failed to cherish the idea of ‘motho ke motho ka batho ba bang’ – ‘Humanity’. They still isolate themselves, still have negative thinking that no one can help them and yet they don’t realize that this behavior is abnormal as it makes us to live like animals – where we should be on a look out everyday – who says wh at, to whom? In what manner? This behavior also creates tension between the people, create hunger, poverty, violence, discrimination (Study Guide for PYC3705:24). Our society is broken into smaller pieces. However, As I was observing this group I realized positive things about the members. Even though disclosing in public is not their way of life but they do need help. I saw this after the first session ended. Some of them wanted private dialogue with the facilitator. Others shared their experiences with others in private. That private conversation gave them hope and less despair and that allowed development among the group itself. The second session – the following day I saw different group than  yesterday in terms of enthusiasm, energy. The dialogue was just open and free and that also helped other to open up. I heared other member of the group says â€Å"Ka ikutlwa ke fodile† – â€Å"She now feels better or healed†. That where I learned that talking or opening up indeed heals and assist the government cost on medicine. I think the are some similarities and differences I have observed with regard to what constitute a counseling setting. Why I am saying this is because firstly, as I have mentioned above about the well reception I received from the group and the counselors. This indicated positive regard for others  Unconditional positive regard is one of the climate that the counselor should create so that people should feel accepted, and that how I felt. As I observed the counselor/ facilitator’s. According to study guide for PYC3705:40, explains that unconditional positive regard is being present is the basis from which people can explore thoughts, feelings and experiences. This is what I saw from the lay counselor. That is reason why members of the group were able to express their feelings about the HIV/AIDS issues. Even though members introduced their knowledge about traditional healers who can treat various illnesses, she was non – judgmental, she showed warmth through body langu age – used posture, maintained eye contact and that indicated one of the values that she should have – Respect. Secondly, she created the safe environment (proposition 17). She allowed the group members to be themselves. She let them to deal with the issues they felt strong about e.g. (What do you guys want us to talk about today?). She let them to self determine (proposition 4). She never judged them. She respected every one’s ideas. She listens to each and every one of them. She was attending every member of the group. The lay counselors even though they conduct counseling informally as they have no formal training in psychology , like Mrs. Bengu in the study guide for PYC3705 they provide emotional support in the community in collaboration with others. What I also observed in this group is ‘Confidentiality’. We know that this is a dilemma. One member in the group requested that what they discussed in there it should end there. She herself she doesn’t want to hear her problems outside that group. If her request is not respected, then she will be very disappointed. All members including the facilitator agreed on that and made promise to one another that they will be confidential. This indicated the unity of the group (proposition 3). The differences I saw was lay counselor couldn’t recognize the discrepancies between what the member was saying and how was said or behaved. She was just accepting what ever the member said. Two, non-verbal communication, what the member was communicating through her body language e.g. member is communicating something but she puts hands on her mouth. She doesn’t use minimal encouragers, open question paraphrasing and so forth. The lack of attentiveness skill. According to (Grobler and  Schenck 2009:46), attentiveness is the way in which the facilitator orientates him or herself physically and psychologically towards the clients. However, the counselor will answer her phone during the session with the client without apologies. This is the evidence that I have conducted a proper research. As I have mentioned earlier the group is located in my local clinic and is informal, is not registered, the counselors are not qualified or trained. Therefore, they make use of the pamphlets available in the clinic such as Drug-resistant, TB and HIV and TB in the Workplace. REFERENCES Grobler, H. &Schenck, R. 2009. Person centred facilitation. 3rd edition. Oxford University Press Modutla, K. & Semenya, B. 2010. Only study Guide for Transformative counseling encounters. University of South Africa. Louw, H. 2008-2010. Only study guide for Participatory community development in social work and the social service professions. University of South Africa.

Friday, August 16, 2019

Hunter’s in The Snow Essay

The story Hunter’s in the Snow is a fiction published in the year 1982. The author Tobias Wolff tells the story of three men Tub, Frank and Kenny who decide to go on a trip to the woods for hunting. As I read on I find that as the story develops the character unveils. The presentation of the characters does not reveal much and I come to know about the characters only through their actions and I keep guessing about their real self. The three characters who appear to be good friends at the surface have hidden secrets which they conceal from each other and these truths later on lead to their destruction. As the story develops I am surprised to know that they have bitterness for each other which are emphasized in the apt setting of the cold, drab winter time. Their arrogant conversations expose the inhuman complexities of the human nature which is as freezing and unemotional as the winter snow. There are a lot of autobiographical elements in the story and Wolff‘s life is seen within the characters. The opening seems fascinating to me, Tub had been waiting for an hour in the falling snow (Wolff 1) and this draws my curious mind into the story and I am eager to know what follows. The story also makes me reminiscent of my days of hunting with my father during the winter. The dialogues between the hunters remind me how we used to enjoy Mukherjee 2 talking and making fun. I like everything until Kenny appears to be going crazy. He starts hating certain things and shoots at them. It’s pathetic to read when he tells Tub; I hate you (Wolff 78) and before Kenny could pull the trigger Tub shoots Kenny right in the stomach and knocks him over backwards. But the most scheming part to me seems the way in which Frank and Tub behave after the incident. They stop at a coffee shop; forget that they have lost their notes and map and that they are driving in an opposite direction to the hospital. It is strange that with the conservations between the two friends I also become oblivious of the fact that Kenny is bleeding in the car. The efficacy of writing by the writer in relating the conversations between Frank and Tub is so heartfelt and the things revealed so shocking and horrendous that I almost forget the dying Kenny and when at the end I come to know he’s dead it does not surprise me much. The weakness of the story is the narration which is very distant and the speaker just states fact. It’s the setting and dialogues that give insight into the characters. The story is no doubt interesting but inhuman. I read the story Bullett in the Brain and this one attracted me too . The author presents his characters normal and sensible this moment and mad people the next moment. But the story instead of giving me answers to different life situations feels my mind with a lot of questions. It may appear normal that the men who are instinctively primeval are befitting with the primordial settings of the woods but I really cannot come to terms that how Frank and Tub stay so cool and talk on divorce, lust and such things while stuffing themselves with coffee and pancakes while Kenny bleeds to death. I really feel hatred towards them. May be to get rid of persecution they had to let him die. Therefore the story really does not end but it continues to develop in the hearts of readers like me who are eager to find the answers.

Thursday, August 15, 2019

Circus the Circus

Blue Ocean Strategy Institute BOS007 The Evolution of the Circus Industry (A) xOverall winner of the 2009 European Case Clearing House Awards xWinnerofa2006EuropeanCaseClearingHouseAwardinthecategory â€Å"Strategy and General Management† 06/2009-4999 This case was prepared by Matt Williamson, INSEAD MBA 2000, under the supervision of Professors W. Chan Kim, Renee Mauborgne and Ben M. Bensaou, all at INSEAD. It is intended to be used as a basis for class discussion rather than to illustrate either effective or ineffective handling of an administrative situation.Copyright  © 2002, INSEAD-EAC, Fontainebleau, France. To order copies of INSEAD cases, see details on the back cover. Copies may not be made without permission. This document is authorized for use only by Janis Rozenbergs at Vidzeme University until August 2013. Copying or Blue Ocean Strategy Institute â€Å"If you ask a kid to draw a circus, they draw a tent. † Pam Miller, Big Apple Circus, New York. Indeed, t he circus tent is a unique and evocative icon that has featured prominently in circuses for centuries.Relying heavily on a flamboyant entry into town, the big top was their primary tool to attract audiences to the spectacle taking place inside. Nevertheless, while the symbolism of the tent is important in the contemporary interpretation of circus, most early shows, particularly the European precursors of what would be recognized today as circus, took place in theatres and dedicated buildings. The Origins of the Circus The circus was created in 1768 by Philip Astley, an Englishman who set up a ring format for equestrian events, still in use today.Classical circus is considered to consist of four elements, whether inside a tent or a large arena: equestrian acts, clowns, acrobats and jugglers. The word circus originally denoted a competitive arena for horses, with the Roman Circus Maximus the most imposing classical example. 1 The circular space is perfectly suited to a galloping act, and largely unnecessary for any other form. 2 The centrifugal force generated by a horse galloping around a small diameter ring enabled the equestrians in the show to stand on horseback and perform other similar tricks.Juggling, tumbling and trained animal events had been popular through the ages, but by adding a clown to the mix to parody the other events and add some humor, Astley transformed these separate acts into a real show. 3 Astley’s innovation spread quickly throughout Europe and showed up in America in substantially the same form in the summer of 1785. Building on the basic equestrian component, legends such as P. T. Barnum and lesser-known players like W. W. Cole and George Bailey sponsored elaborate acts from trained zebras to trapeze artists.Around the core circus, promoters grafted sideshows such as menageries, human and animal ‘curiosities’, and carnival games to enhance the spectacle of their shows. Barnum, perhaps the most celebrated huckster of modern times, was so successful that many of his efforts have entered the modern lexicon. He marched Jumbo the Elephant across the newly dedicated Brooklyn Bridge and proclaimed General Tom Thumb, a midget from Connecticut, the smallest human ever to have lived. The Development of the Traditional CircusThough an extremely popular form of entertainment during the 19th and 20th century, the circus conjures an image of drifters and dreamers with gaudy clothes, aggressive hawkers and a standard routine of acts. Whereas whole towns had once turned out to see historical revues and the latest mechanical marvels along with other events as the circus passed through town, 1 Personal communication from Fred Dahlinger Jr. , Director, Collections and Research, Circus World Museum, May 9, 2001. Author’s interview with Dominique Jando, Associate Artistic Director, Big Apple Circus, May 8, 2001. 3 John Culhane, The American Circus (New York, USA: Henry Holt and Company, 1990), p. 1. CopTyhr iisgdhot c ©um20e0nt2isINaSuEthAoDriz-eEdAfCor use only by Janis Rozenbe1rgs at Vidzeme University until August 2013. 0C6o/2p0yi0n9g-o4r999 ———————– [pic] [pic] [pic] [pic] ———————– posting is an infringement of copyright. [email  protected] harvard. edu or 617. 783. 7860.

Tearing Down the Wall

Ever since I can remember, I’ve always had a knack for discovery as long as it was somehow related to video games or technology. If I didn’t know something, I needed to find out and if I didn’t, it would kill me. If I stopped working on something during the day, I would think about troubleshooting the issue during my sleep or for days on end. There were also times when I would stay up all night just to circumvent a virus on my computer or lose hours of sleep when I hacked a Nintendo Wii for the first time. There is no doubt about it, I love technology.I’ve always been told that I am thinker and a tinkerer, which is why nearly 10 years after graduating high school; I made the biggest decision of my life. In 2011, I decided to go college. Many have asked me, â€Å"Why don’t you back to school? † The truth is that I would’ve loved to go right after graduating from high school but life threw me a curve ball. During my senior year, my mothe r and step-father split up. My mother, a housewife who hadn’t work for nearly six years after meeting my step-father, made me assume she became accustomed to it.My mother was able to somehow support my sisters and I because of a settlement she won, but alas nothing lasts forever. I finally graduated high school expecting all of us to move into a Eduardo B. Morillo-Perez 2 new place while my mother and I both worked, but unfortunately it didn’t work out that way. We moved alright but my things went to a room and the rest of the contents of our three bedroom apartment went into storage. I was so confused and hadn’t a clue of what was going on. Soon enough, she mentioned something that I never would’ve expected. â€Å"Everything is packed and ready to go. We are all going back to Ecuador† she said.I refused, thus leaving me here with my belongings, having to fend for myself. I now lost the luxury of slacking off. I had to work any job available just s o I could pay the rent and not starve. I didn’t have mom or dad to ask for money. I had to put up with nasty customers at a fast food restaurant and being taken advantage by other co-workers because I didn’t know how to stand up for myself. I have tried to go back to school and went thought the proper protocols of filling out forms, writing essays, going on interviews but I could never get in without having to pay for everything out of pocket.The biggest hurdle was financial-aid. Due to the fact that I was of certain age, I was still considered a dependent and I had to provide my mother’s tax information. The only way I could have that waived was if I was married. It was then when I grew cold, bitter and blamed my mother for all my setbacks. I felt lost and alone. I felt like I had no one to turn to. As years flew by, I started noticing that I was using my mother’s negligence and lack of absence as a crutch, hindering my progress the entire time. I am not a religious person, I never was, but somehow I always thought certain things happen for a reason.In 2009, I got reacquainted with an old flame from high school. We soon began to catch up on things from the past and soon enough she put the moves on me and the Eduardo B. Morillo-Perez 3 rest is history. I can honestly say that she is the sole reason I decided to back to school despite what anyone told me. When Olivia first met me again for the first time, I was living by myself in a room while working a mundane retail job at the airport. Fast forward nearly four years later and you now have a second-year computer science major with a 3. 5 GPA who has his own car and is well on his way to work on the next gadget or program.

Wednesday, August 14, 2019

Bureau of Correction Essay Example for Free

Bureau of Correction Essay Corrections in the Philippines started during pre-colonial times when the task was community-based. It was only during the Spanish regime that an organized corrective service was made operational. The main penitentiary was the Old Bilibid Prison at Oroquieta Street in Manila which was established in 1847. It was formally opened on April 10, 1986 by a Royal Decree. About four years later, on August 21, 1870, the San Ramon Prison and Penal Farm in Zamboanga City was established to confine Muslim rebels and recalcitrant political prisoners opposed to the Spanish rule. The facility which faced the Jolo Sea had Spanish-inspired dormitories and was originally set on a 1,414-hectare sprawling estate. When the Americans took over in the 1900s, the Bureau of Prisons was created under the Reorganization Act of 1905 (Act No. 1407 dated November 1, 1905) as an agency under the Department of Commerce and Police. It also paved the way for the re-establishment of San Ramon Prison in 1907, which was destroyed in 1898 during the Spanish-American War. It placed under the auspices of the Bureau of Prisons and started receiving prisoners from Mindanao. Before the reconstruction of San Ramon Prison and Penal Farm, the Americans established in 1904 the Luhit Penal settlement (now Iwahig Prison and Penal Farm) on a vast reservation of 28,072 hectares. It would reach a total land area of 40,000 hectares in the late 1950s. It was located on the western most part of the archipelago far from the main town to confine incorrigibles with the hope of rehabilitation. The area was expanded to 41,007 hectares by virtue of Executive Order No. 67 issued by Governor Newton Gilbert on October 15, 1912. Other penal colonies were established during the American regime. On November 27, 1929, the Correctional Institution for Women (CIW) in Mandaluyong City was created under Act No. 3579 while the Davao Penal colony in S outhern Mindanao was opened on January 21, 1932 under Act No. 3732. The CIW was founded to provide separate facilities for women offenders. To date, there are two Correctional Institutions for Women, the one mentioned in Mandaluyong and the other one is located in Davao Prison and Penal Farm in Dujali, Davao Del Norte. Owing to the increasing number of committals to the old Bilibid Prison in Manila, the New Bilibid Prison was established in 1935 in the southern suburb of Muntinlupa City. The old prison was transformed into a receiving center and a storage facility for farm produce from the colonies. It was later abandoned and is now under the jurisdiction of the Public Estates Authority. After the American regime, two more penal institutions were established. These were the Sablayan Prison and Penal Farm in Occidental Mindoro under proclamation No. 72 issued on September 26, 1954 and Leyte Regional Prison under proclamation No. 1101 issued on January 16, 1973. The Bureau of Prisons was renamed Bureau of Corrections under the New Administrative Code of 1987 and Presidential Proclamation No. 495 issued on November 22, 1987. It is one of the attached agencies of the Department of Justice. The Bureau of Corrections presently has seven satellite prisons, namely; the New Bilibid Prison in Muntinlupa City, the Correctional Institution for Women in Mandaluyong City, the Sablayan Prison and Penal Farm in Occidental Mindoro, the Leyte Regional Prison in Abuyog, Leyte, the Iwahig Prison and Penal Farm in Puerto Princesa City, Palawan, the San Ramon Prison and Penal Farm in Zamboanga City and the Davao Prison and Penal Farm in Dujali, Panabo, Davao Del Norte. Of these prison satellites, the New Bilibid Prison in Muntinlupa City as the Central Office serves as the main penitentiary as the Central office is also located in there. As of August 2012, the total population of prisoners confined in all satellites of the BuCor is 20,000. It is at this juncture, that handling, managing and taking care of the records of these inmates are of complex types of work which have to be performed by the competent personnel assigned at the â€Å"Inmate Document and Processing Division.† Bureau of Correction. (2016, Dec 16).