Tuesday, October 29, 2019

Preliminary Organizational Analysis Assignment Example | Topics and Well Written Essays - 2000 words

Preliminary Organizational Analysis - Assignment Example The reason for selecting TransAD’s case study is that I am working as a Communication Manager at TransAD since 2007, and I have a keen eye on the issues prevailing in the operational systems of the company. Introduction to the Organization TransAD came into existence in 2006 with the vision of setting benchmarks in taxi regulatory industry of Abu Dhabi according to global standards. TansAD was inaugurated by His Highness Sheikh Khalifa Bin Zayed Al Nahyan. TransAD believes on establishing corporate loyalty amongst its customers by providing them comfortable taxi services at their door step. At the same time, the objective of the company is to regulate the taxi traffic in Emriates of Abu Dhabi. Previously, the taxi services provided in Abu Dhabi were owned by private owners as well as taxi service providers. Now, these companies have merged into one and named as TransAD (The Center of Regulations by Hire Cars). The primary aim of establishing TransAD was to bring uniformity in the taxi operations, policies and regulations (TransAD, 2013). At the moment, the company is facing many issues from strategic and operational point of view. Majority of these problems are caused due to improper planning and execution of the essential projects or processes of organizational development. The senior management of the company thinks that these problems are there because the team co-ordinators are not effectively leading and managing their team. The reduced performance of TransAD’s leaders is also reflected in other aspects of the organization such as hiring of the work force, financial controlling, project management and handling etc. Then there are problems in performance evaluation, which is also the resultant of reduced reporting and monitoring by the TransAD’s team co-ordinators. Synopsis of the Problem Being in the travelling services business, TransAD faces a number of challenges such as recklessness of its taxi drivers or the high employee turnover . Especially challenges in hiring a loyal and consistent work force has remained a significant concern for TransAD. This is because the drivers handle the cash which they receive from the customers against the taxi fares. In this regard, there are a number of incidents reported. For example, a driver left the taxi at the stand and kept the cash for the whole day that he received as taxi fare. The high turnover or employees leaving without prior notice is the resultant of lower level of employee motivation due to organizational issues, boredom at the job and unattractive bonus/incentive packages offered to employees. But from the analysis of TransAD’s operations, it is revealed that the organization has undergone a number of significant strategic issues in its operating capacity. Such as, offering loyalty card benefits to customers or offering customers with inter-city travelling through its taxi services. This particular project has been delayed or not executed efficiently. I nadequate planning and execution of the projects is the biggest reason why organizations fail to achieve its desired aims and objectives. Other reasons being weak management of changed environment and policies, working in the absence of a work plan, poor use of mediums of communication and lack of management quality (Dinsmore & Cabanis-Brewin, 2010). At

Sunday, October 27, 2019

Impact of New Media Technologies on the News

Impact of New Media Technologies on the News This essay argues that new media technologies have impacted on the structure of international news. As development of new media technologies is not a linear progression (Logan, 2010), what constitutes ‘new media technology’ changes from time to time. The exact definition of new media is arbitrary as television back in the 1950s is considered the new media but at this present moment, it no longer is. Recognising the transitory of the term ‘new media technologies’, I agree with Logan (2010)’s definition of new media technologies as digital, two-way interactive media with ‘the ability to combine text, audio, digital video, the Web, email, chat and a cell phone’ (ibid, 2010: 5), which is different from electric mass media such as TV or Radio posit by McLuhan in 1964 (ibid, 2010). As Shapiro (1999) articulates, â€Å"the emergence of new, digital technologies signal a radical shift of who is in control of information, experience and resources † (cited in Croteau William, 2003: 322) reinforces my support on the statement that new media technologies have impacted the structure of international news. Therefore, in order to illustrate my stance, I will discuss how the functionality of new media technologies, specifically mobile devices and the social media platform- Twitter have impacted the structure of international news in terms of its news production and distribution. Furthermore, I will look at the wider discussion sphere as to how new media technologies have impacted the media environment with relations to the structure of international news. As media coverage on international news according to Moeller (1999) focuses mainly on war, famine, pestilence and human misery issues, I will be using the case studies of 7/7 London Bombing and the Israel-Gaza conflict as examples. First of all, this essay argues that the functionality of new media technologies like smartphones have impacted the structure of international news in terms of news production. With the increase to access and ownership of new media technologies, in this context culture production tools, â€Å"today everyone is a reporter† (Utley cited in Holms, 2001: 126). Smartphones are typically defined as mobile phones with advanced capabilities such as internet access, camera function, voice and video recording (Smith, 2011). These capabilities within a mobile device, I argue are potential mediated tools for news gathering, enabling ordinary citizens to generate their own news content especially in times of unfortunate event. For example, during the 7/7 London bombing incident where journalists were denied access to the sites of bombings, the public capture images and videos of the bombing attacks using smartphones (Allan, 2007). These photographs and videos captured by ‘people who are not professional journalists and are unrelated to news organisations’ are what Wardle Williams (2008) defined as user-generated contents (UGC). With relations to the 7/7, news agency and organisation like Reuters and Sky News initially have no confirmation of what was going on at London’s Liverpool Street station (Allan, 2007). Instead of obtaining news material from professional journalists, evidences of this breaking news came from UGC captured by eye-witnesses (Allan, 2007). This demonstrates that in times of emergency, producer of international news rested in the hands of whoever has the means of cultural production (Beckett, 2009). Realizing the difficulties entering the site of incident, BBC News site publicly solicit photos and statement of witness (Allan, 2007) and as a result, received over thousands of news materials. As such, this proves that the functionality of new media technologies like that of smartphones has enabled the production of UGC, thus aff ecting the production of international news which are formerly generated ‘exclusively’ by professional journalists (Beckett, 2009). Due to the functionality of smartphones that connects users to the Internet, this essay moves on to argue that social media, another form of new media technology has impacted the structure of international news in terms of news sourcing and distribution. Hahn (2013) asserts that BBC journalists’ referral to Twitter has increased by 500% between 2010 and 2012. As opposed to traditional international news sourcing which rely on the four global news agencies namely Agence France-Presse, Associated Press, Reuters and Agencia EFE (Belair-Gagnon, 2013), Twitter has become a valuable source of reportage for modern journalists (Hermida, 2010). BBC News editor agreed that social media help journalists to see what people were seeing and experiencing in real time (Belair-Gagnon, 2013). For example, updates of 7/7 bombing documented by citizens on Twitter allow news organisations to come up with a precise timeline of the attacks. Furthermore, amateur journalists who are on the ground in t imes of emergency sent texts on to Twitter and further spread it across other social media like Facebook, Instagram and MySpace through actions of ‘re-tweeting’, re-blogging’, ‘sharing,’, and ‘tagging’ (Belair-Gagnon, 2013). This decentralized distribution of international news to not only official news organisations but also other unofficial avenues like that of social media is a sign of how new media technologies have impacted on the previously vertically distributed international news (Goode, 2009) by changing it into the present day horizontally shared model. However, I acknowledge that there have been concerns over the quality of UGC and legitimacy of tweets used in international news reporting (Bowman Willis, 2003). For example, in the event of the 7/7 bombing, mainstream media misreported the number of explosions, causing many to thought there were six explosions but in actual there were only three (BBC News, 2005). Despite the uncertainty over the authenticity of the information extracted from social media, mainstream media still adopts the ‘publish then filter’ journalistic style (Kperogi, 2011). As messages on Twitter often consist of unsubstantiated rumours whenever there is a major breaking news event, such unverified news source may jeopardizes a media organisation’s corporate ideology such as that of BBC’s ‘being impartial and accurate’ (Hermida, 2010). Nevertheless, despite such risks, BBC still broadcasted a ‘shaky’ video clip taken with camera documenting the real-life sto ry event of commuters being trapped underground (Allan, 2007). This is probably due to public’s demand for minute-by-minute report (Belair-Gagnon, 2013), especially in times of emergency like that of 7/7 has changed the traditional structure of international news of presenting news as a whole. Owing to globalization, flow of information has speeded up and with global communications infrastructures that links distant communities across the globe, new media technologies supply us news feeds across the world (Terry, 2007). As such, this essay argues that despite the controversy over the inaccuracy and low quality of news sourced via new media technologies, UGC remain valuable to newsgathering in times of crisis (Belair-Gagnon, 2013). After looking at how new media technologies have impacted the structure of international news in terms of production and distribution, I further argue that new media technologies has caused a ripple effect to the wider international news media environment. This statement is supported by Kperogi (2011)’s assertion that the new media technologies have challenged the ‘dominant cultural hegemony’ of global media organisations. For example, the emergence of citizen journalists which is the resultant of new media technologies have become the watchdog of mainstream media (McQuail, 2008), thus indirectly affecting the structure of international news. Meraz (2011) further contends that as contemporary cultural production tools have been ‘democratized to the masses’, the increase in citizen journalism has contributed to the creation of panopticon effect where mainstream media are under the surveillance of citizen monitoring (Stones cited in Meraz, 2011). As a m atter of fact, citizen journalists who are generally perceived to uphold the notion of ‘freedom of expression’ (Krumsvik, 2010) often question the editorial structure of international news which they condemned as narrow, homogenous and pre-determined by news agencies (Holm, 2001). As the Internet has allowed media users to bypass traditional gatekeeper in publishing news (Holm, 2001), citizens are being given an opportunity to create a networked public sphere that deviates from the hegemony public sphere. For example, the creation of Twitter-sphere and the use of hashtag ‘#’ (Butcher cited in Hermida, 2010) such as #GazaUnderAttack demonstrate a deviation from the Western international news that deliberate structure Israel as the only victim in the Israel-Gaza conflict. As such, I argue that the prominent usage of hashtag demonstrates how new media is used to provide narratives of war from a marginalized group’s news angle. As the intention of contem porary journalists practice is to provide independent and wide-ranging information that a democracy requires in news reporting (Bowman Willis, 2003), Goode (2009) reckons such journalistic practices poses challenge to mainstream corporate media. Therefore, new media technologies have empowered citizen journalists the ability to challenge the spreading of the dominant Western worldview on the structure of international news. In order to mediate the contestation from citizens as discussed above, international news organisations such as CNN, BBC, ABC, Fox News and MSNBC initiate corporate-mediated citizen journalism projects such as iReport.com, UCG Hub, i-Caught, uReport.com and FirstPerson.com. (Belair-Gagnon, 2011; Kperogi, 2011). This incorporation of citizen journalism in the mainstream media offers ordinary people the opportunity to contribute unedited, unfiltered and uncensored UGC (Kperogi, 2011), reflecting news organisations democratic practice in news structuring. Furthermore, news organisations also solicit public’s opinion for example, BBC uses SMS poll to gather audiences’ heterogeneity views (Lee-Wright, 2010). This connotes news organisations, in the face of new media technologies advocate open conversation, transparency as well as encouraging heterogeneity of opinions in structuring international news reporting (Belair-Gagnon, 2011) by recognizing the usefulness and credibili ty of UGC (Bruns, 2007). Nevertheless, I argue that this adoption of corporate-mediated citizen journalism is a double-edged sword that on one side, seemingly advocating citizen journalism but on the other hand, retaining the dominant hegemony ideology. As Jurrat (2011) asserts, structure of international news can never be free of hegemonic control. Kperogi (2011) further points out that the very creation of corporate-mediated citizen journalism in actual represent hegemony cooptation of citizen journalism. This statement is reflected through Moeller (1999)’s assertion that international news reporting have always made references that resonates and emphasizes the Americans in mainstream news channel. This is because media globalization is dominated by Western transnational media corporation and as such, allowing the West, particularly the United States to exert hegemony across the world (Terry, 2007). For example, even though UGC are gathered in CNN’s iReport.com, the selection of these UGC is still subjected to the control of gatekeeper (Kperogi, 2011). Such highly editorially controlled news suggests that homogeneity opinions are still very much preferred (Lee-Wright, 2010), thus implying that media cultural imperialism still exist. News help stronger countries influence weaker ones. For example, in the Israel-Gaza conflict, CNN and Fox News presents the Hamas group as terrorist organisation, framing the idea for audiences that US support for Israel is justified. Being one of the superpower in the media industry, the spreading such homogenous media content worldwide (Terry, 2007) is undeniable, branding Hamas or rather Palestinians as terrorists. Furthermore, there may even be a possibility of media domestication (MacGregor, 2013) where actions of altering video and text supplied by making it relevant to local context such as modifying news angles and omitting irrelevant material. For example, the way how the current Gaza war is narrated conforms to the Western’s dominant hegemony ideology of framing the Hamas as terrorist organisation instead of showing how Palestinians being victimized. Such deliberate framing I argue, gives the US authority the justification to supply ammunition to Israel. This essay concludes that new media technologies have indeed impacted on the structure of international news in terms of its production, where news organisations have become reliant on user-generated content and its distribution, where previously vertically distributed news have become horizontally distributed. Besides that, social media, Twitter in particular has emerged as a powerful tool for reporting breaking news stories and generating stories angles (Belair-Gagnon, 2011). Even though there have been speculations over the usage of UGC and Twitter feeds, I argue that these new media technologies still have positive significances in the structure of international news. Discussing on a wider spectrum, new media technologies have further advocated the manifestation of citizen journalism which proves to pose quite a challenge to the hegemonic structure of international news. Nevertheless, I concede that the dominant Western ideologies of media organisations though being contested, re main dominating in this global media landscape. As a conclusion, in this globalized technological determinism society, technology is the impetus in the development of cultural production, in this context, the structure of international news.

Friday, October 25, 2019

Maya Angelou: Hope into Art Essay -- Biography Biographies Essays

Maya Angelou: Hope into Art      Ã‚  Ã‚   Before delving into a discussion of celebrated writer Maya Angelou, a fuller understanding of the worldview that shapes her work can be gleaned from a brief review of a few lines from the 1962 Nobel Prize winning speech of another celebrated writer, John Steinbeck:    The writer is delegated to declare and to celebrate man's proven capacity for greatness of heart and spirit--for gallantry in defeat, for courage, compassion and love. In the endless war against weakness and despair, these are the bright rally flags of hope and of emulation. I hold that a writer who does not passionately believe in the perfectability of man has no dedication nor any membership in literature. (Steinbeck 1)    In Angelou's first novel, I Know Why the Caged Bird Sings, she examines how a bird (soul) that is caged (unfree) would still sing.   I was curious about this and my main question after reading the story is how Angelou came to such a hopeful worldview despite her many horrific life experiences (poverty, racism, assassinations, divorce, etc.).      The roller-coaster life of Maya Angelou has included many ups and downs that have become the stuff out of which she has written a six volume autobiography, beginning with I Know Why the Caged Bird Sings and ending recently with the last installment, A Song Flung up to Heaven.   Angelou was born Marguerite Johnson on April 4, 1928, in St. Louis, Missouri (Weaver G-10).   Angelou's life has been filled with chaos and despair as well as success and love.   She was raped by her mother's boyfriend at the age of 8 and at various times in her life she toiled in a variety of occupations including Creole cook, calypso dancer, actress, madam, civil-righ... ...ranscript).   WNET, Available: http://www.newsun.com/angelou.html, 2002: 1-3. Jones, H.   Maya fires a silver-tipped arrow right to the heart.   Western Main, Jun 5, 2002: 12. Kelley, K.   Visions: Maya Angelou.   Mother Jones, Available: http://www.motherjones.com/mother_jones/MJ95/kelley.html, 2002: 1-4. Kizis, S.   Two women: Maya Angelou's character sketches.   Writing, Apr/May 2002: 16-18. Steinbeck, J.   1962 Nobel Prize winning acceptance speech.   San Jose State University, Available: http://www.sjsu. edu/depts/steinbec/nobel.html, 1962: 1-2. Weaver, T. K. Hope is not naà ¯ve.   Pittsburgh Post, May 12, 2002: G-10. Wilson, S.   A Song Flung Up to Heaven: Lyricism, liberty and a lesson in hope.   Scotland on Sunday, Jun 16, 2002: 5.          6                                                 Maya Angelou: Hope into Art Essay -- Biography Biographies Essays Maya Angelou: Hope into Art      Ã‚  Ã‚   Before delving into a discussion of celebrated writer Maya Angelou, a fuller understanding of the worldview that shapes her work can be gleaned from a brief review of a few lines from the 1962 Nobel Prize winning speech of another celebrated writer, John Steinbeck:    The writer is delegated to declare and to celebrate man's proven capacity for greatness of heart and spirit--for gallantry in defeat, for courage, compassion and love. In the endless war against weakness and despair, these are the bright rally flags of hope and of emulation. I hold that a writer who does not passionately believe in the perfectability of man has no dedication nor any membership in literature. (Steinbeck 1)    In Angelou's first novel, I Know Why the Caged Bird Sings, she examines how a bird (soul) that is caged (unfree) would still sing.   I was curious about this and my main question after reading the story is how Angelou came to such a hopeful worldview despite her many horrific life experiences (poverty, racism, assassinations, divorce, etc.).      The roller-coaster life of Maya Angelou has included many ups and downs that have become the stuff out of which she has written a six volume autobiography, beginning with I Know Why the Caged Bird Sings and ending recently with the last installment, A Song Flung up to Heaven.   Angelou was born Marguerite Johnson on April 4, 1928, in St. Louis, Missouri (Weaver G-10).   Angelou's life has been filled with chaos and despair as well as success and love.   She was raped by her mother's boyfriend at the age of 8 and at various times in her life she toiled in a variety of occupations including Creole cook, calypso dancer, actress, madam, civil-righ... ...ranscript).   WNET, Available: http://www.newsun.com/angelou.html, 2002: 1-3. Jones, H.   Maya fires a silver-tipped arrow right to the heart.   Western Main, Jun 5, 2002: 12. Kelley, K.   Visions: Maya Angelou.   Mother Jones, Available: http://www.motherjones.com/mother_jones/MJ95/kelley.html, 2002: 1-4. Kizis, S.   Two women: Maya Angelou's character sketches.   Writing, Apr/May 2002: 16-18. Steinbeck, J.   1962 Nobel Prize winning acceptance speech.   San Jose State University, Available: http://www.sjsu. edu/depts/steinbec/nobel.html, 1962: 1-2. Weaver, T. K. Hope is not naà ¯ve.   Pittsburgh Post, May 12, 2002: G-10. Wilson, S.   A Song Flung Up to Heaven: Lyricism, liberty and a lesson in hope.   Scotland on Sunday, Jun 16, 2002: 5.          6                                                

Thursday, October 24, 2019

American Imperialism – 1

APUSH Mrs. Cox 3/7/2013 (B) In the late 1800s, the United States embarked on a new wave of expansionism during which it acquired overseas territories. Explain the reasons for this new wave of expansionism. American Imperialism has been a part of United States history since the American Revolution. Imperialism is practice by powerful nations or people seeking to expand and maintain control or influence over weaker nations. The United States switch to imperialist behavior in 1898 has caused great historical attention.After all, the United States had generally claimed to stand in opposition to the practice of taking colonies, instead being an advocate of freedom, democracy, and self-government for all. However, the United States saw a need for expanding more. The United States embarked on a new wave of expansionism in the late 1800's because of its desire for new markets, America’s aggressive mood, and new military strength. In the late 1800's, agricultural and industrial product ion was booming in the United States. In fact the production was so high that Americans could no longer buy all of the products created.Because of this, big businesses supported expansionism so they had new markets to trade with and make more profit. The businesses also feared running out of natural resources. Many believed that overseas markets would provide a safety valve to relieve the pressures of labor violence and agrarian unrest. During this time, there was a large volume of American business men visiting Hawaii. These men saw Hawaii not only as a place to vacation, but a place of investment. The ports in Hawaii would allow the American business men to trade with other nations such as Asia and China.America saw the need to expand their belief in â€Å"White Anglo-Saxon superiority†. During the late 1800's, America was very aggressive. This can be attributed to people interpreting Darwinism to mean that the earth belonged to the strong and fit, like the United States. I t also can be attributed to the belief that if America was to survive in the competition of modern nation-states, it would have to become an imperial power. Africa being divided up by the Europeans worried Americans about losing its status as a world power. There are multiple examples of this new aggressive mood.For example, the lynching of 11 Italians in 1891 brought the two countries to the brink of war. Another example is when two sailors were killed in Chile. When Chile rejected American protests, hostilities seemed inevitable. The willingness of Americans to risk war over such distant and minor disputes demonstrated the aggressive new national war. After the Civil War, America's navy was not that powerful compared to European Countries. The Influence of Sea Power Upon History, written by Captain Alfred Thayer Mahan in 1890, showed how important a strong navy is and spurred development in the United States.The development of the new steel navy in the late 1800s opened up possibi lities overseas such as controlling the Hawaiian Islands and the Samoas. Hawaii was considered as the â€Å"crossroads of the Pacific†. Ports like Pearl Harbor was seen fit to be used as a coaling station to help supply the US Navy in future operations in the Pacific. In fact, Hawaii could have easily worked as a coaling station without formal annexation, since American businessmen essentially controlled the island anyway. Nonetheless, keeping with the spirit of the times, the US annexed Hawaii on July 7, 1898 granting Hawaiians with full US citizenship.This new military strength played a big role in expansionism. With the new military strength, America was able to obtain more territories like Cuba and the Philippines. America embarked on a new wave of expansionism in the late 1800's because of its economic benefits, America's aggressive mood, and its new military strength. Although the United States had generally claimed to stand in opposition to the practice of taking colon ies, instead being an advocate of freedom, democracy, and self-government for all. The United States saw a need for expanding more, this was the need to become a strong world power!

Wednesday, October 23, 2019

An essay considering whether Romeo and Juliet Essay

‘Romeo and Juliet’ was a play written by William Shakespeare in 1595. William Shakespeare died on St. George’s day, 23rd April, 1616, making ‘Romeo and Juliet’ one of his earlier plays; written in what is now described as his second period, from his joining the Lord Chamberlain’s men in 1594 to the opening of the Globe Theatre in 1599. The diversity of Shakespeare’s work included comedies, histories and tragedies as well as poetry. ‘Romeo and Juliet’ comes under the category of a tragedy, tragedy meaning an event in which something dreadful occurs, or in a theatrical sense a serious play with a tragic theme, often involving a heroic struggle and the downfall of the main character. This definition of tragedy relates to ‘Romeo and Juliet’ because it is a play in which both the principal characters die in preventable circumstances at the close of the play. The downfall of Romeo and Juliet occurs by the fact that both characters start as young, beautiful descendents of powerful families and find themselves fleeing the city of Verona in fear of their lives and their relationship – both banished by the authorities or their own households. However, an alternative view could be developed by looking at the perception of the word tragedy when the play was written; in the late 16th century. People of the time were of the view that if something tragic were to happen it must happen to a person of innocence, otherwise it is not technically tragic. Romeo is not an innocent person because he takes the life of another person on more that one occasion, with the murders of Tybalt and Paris. Even though there is the argument that these crimes were a consequence of his obsessive and at times over-enthusiastic love for Juliet, they are still actions that take away his virtuousness. Juliet damages her purity by treating the wishes and guidance of her parents with contempt and disregarding the arranged marriage to Paris. These egocentric actions help develop another, more imperfect impression of the two protagonists which provides an argument against ‘Romeo and Juliet’ being a tragic play. In further illustration, tragic storylines generally end in unhappy circumstances, which on the one hand ‘Romeo and Juliet’ does with the many deaths, â€Å"for never was a story of more woe, than this of Juliet and her Romeo.† Whilst on the other hand it could be argued that a more exultant conclusion occurs by the fact that the long-standing feud between the Montagues and the Capulets is finally resolved through their deaths. Basis for this statement is provided in the final scene by Capulet, â€Å"O brother Montague, give me thy hand, this is my daughter’s jointure, for no more can I demand.† In Shakespearean times ‘Romeo and Juliet’ would have been compared to such tragic plays as ‘Hamlet’ and ‘Macbeth’ which were tragedies to the exact definition because they entailed stories of monarchs with flawed characters diminishing from the highest place in society to death over the course of the play. These stories fulfilled the public criteria for a tragic tale; a concept initially introduced by Aristotle, a Greek philosopher who lived from 384 to 382 BC. He produced directives for the perfect tragedy, concepts which heavily influenced academics and writers throughout Europe. He dictated that, â€Å"the tragic heroes of any play must be people of royal or other high-born backgrounds.† Therefore, ‘Romeo and Juliet’ can be argued against being a tragedy because the two central characters are not royalty or part of any particular hierarchy. Many contend that being young and beautiful puts them in a social position to surpass most to begin with, although this does not fit unerringly into Aristotle’s theory. Aristotle exactly specifies the protagonists must be of â€Å"royal or other high-born backgrounds,† explicitly kings or generals, which Romeo and Juliet are not. The aforementioned statement can be supported by the following quotation from act three, scene one, in which Romeo’s killing of Tybalt is analysed, with the prince announcing, â€Å"Immediately we do exile him hence.† The fact that he has been exiled prior to his death illustrates further the fact that he is at a low point in society. Additionally, Aristotle also expresses his belief that these high born protagonists should have fatal flaws which lead to their downfall. Romeo’s fatal flaw is his impetuous and spontaneous nature which causes him to act before thoroughly thinking about what he is doing and considering the consequences of his actions. An example of his rashness comes when Balthasar tells Romeo that Juliet is dead, not knowing it is a faked death, â€Å"hire post-horses, I will hence to-night.† Here he is saying he will return to Verona, which he has been banished from, without waiting for news from Friar Lawrence; an action, as the audience soon finds out, that causes his death. His hot-headed rashness develops into the fuel for his uncontrollable obsession for his love, Juliet; who herself is fatally flawed by her notorious and narcissistic disobedience which causes her to defy the instructions and beliefs of her family. Juliet becomes so caught up in the irrepressible ardour of her relationship with Romeo that she fails to see the outrage and hatred she is rousing from an already hostile feud between two households. An example of her defiance comes when her mother tells her of her arranged marriage to Paris, â€Å"He shall not make me there a joyful bride.† Here she refuses to marry Paris, which infuriates her parents, causing them to reject their daughter; and inevitably her character’s downfall as she is now shamed. These self-centred actions defiantly caused their demise leading to their death because if they both were to act with less haste when fuelling their love for each other then some of the consequences that occurred may have been p revented. Therefore, it is possible to maintain that Romeo and Juliet both suffered dramatic downfalls due to their own actions. On the contrary to this it could also be argued that as both their families recognised their lives by erecting statues of them, â€Å"for I will raise her statue in pure gold,† their characters therefore living on in a manner of speaking, meaning that their characters were not entirely degraded by their actions, thus rendering their characters not downfallen. Moreover, another notion primarily introduced by Aristotle was centred around the audience’s perception of a tragedy, and how this could be used to define a tragic play. He said that the audience should feel pity and terror, pity for the hero and terror at the importance of the gods. This relates to ‘Romeo and Juliet’ in the sense that the heroic characters are Romeo and Juliet themselves, whom the audience does feel a certain amount of pity for because of the unfortunate and seemingly preventable misfortunes that happen to them throughout the course of the play. Juliet is pitied for the fact that she is disowned by her family, â€Å"do as thou wilt, for I have done with thee.†

Tuesday, October 22, 2019

Medical case study plans Essays

Medical case study plans Essays Medical case study plans Paper Medical case study plans Paper What would you recommend to Jeffery’s parents Jeffrey’s parents are now in the condition that at least they should have nurse to take care of Jeffery and play with him. The nurse will also be responsible for teaching Jeffrey at home. Though the child is difficult to handle but play and study will sharpen his skills. By remaining dull at home without any training and skill development program his condition will deteriorate. He can further sharpen his skills if gets proper training. If mom starts to go at work again then she can bear the cost of a nurse and their finances will improve. With help of a nurse Mom will have enough time for her job. CASE STUDY # 2 Deafness What would you recommend to Susannah’s parents? Susannah parents must have a complete medical check up for the girl to exclude any underlying cause of hearing loss. Parents should get hearing aid for the kid. They must admit the kid in special schools for deaf where the teachers will provide special care and learning aids with all other deaf kids. By studying in deaf care school Susannah will be more comfortable with other children of hearing impairment and where her teachers will understand her and provide an interaction medium for learning and communication skills. Special deaf care staff will help Susannah according to her needs and she’ll gain confidence while she’ll able to learn and communicate. CASE STUDY # 3 Blindness What would you say to Robert to ease his anxiety? Yes there are special schools available for blind children. James should be immediately admitted in the school for blind children. His teachers will help him out learning with special tools developed for blind. At school for blind he will get special attention and learning aids from teachers and he will be able to learn and get education as other children get. Secondly, James’ father must give some individual attention to his kid so that he may know that he has got a father who loves and cares for him. Just spending money is not enough. Children always need love and care for their emotional needs. CASE STUDY # 4 Down Syndrome How would you respond? Parents must hire a nanny or nurse for Tommy to take care of him at home. When he becomes 3 he must be admitted in school for disabled children where he’ll get proper attention according to his needs. Learning skills will improve his mental activity. He must also get special therapy for current physical condition. Parents must also give special attention to their elder daughter Mara. It is important to give her attention and take interest in her studies as well. For Tommy’s normal physical and mental development he needs special full time attention and treatment for normal muscle development and acquiring cognitive skills. PART B Due: Week 10 Value: 30% Plan for Case Study # 1 Cerebral Palsy Child Name: Jeffery Child’s age = 3 years Area of development the experience will support: Motor development, speech development and cognitive development Why the experience is appropriate Cerebral Palsy (CP) is a group of conditions affecting one or more parts of brain resulting in loss or imbalanced control of movement and posture. The child is unable to move in correct posture, he also faces difficulty in controlling the movement of his arms and legs. If proper treatment provided then child’s abilities can be significantly improved. The children with CP will have unbalanced growth of muscle, tendon and bones. In normal kids the growth of muscle, tendons and bone take place at same rate but in CP kids muscles and bones grow at different rate because of contractures and spasticity. The child needs physical therapy to develop normal control and movement of his muscles. It involves regular motion exercises, stretches, muscle exercises, training for movements, maintaining posture while sitting, lying, walking, dressing and using bathroom. A description of the experience Speech therapy can help a lot to develop speech and good control of facial and throat muscles. Child will develop communication skills and also control his muscles while eating. Drooling may be controlled with this therapy. Psychotherapy may be provided to improve behavior of the frustrated child. Medications can be used as directed by the doctor. However, these include antispasmodics the muscle relaxants (Baclofen, Valium ® and Dantrium ®) for muscle contraction and spasticity. Phenobarbital and Anticonvulsants are usually prescribed for seizures. Anticholinergics are used to control abnormal movements, and mild laxatives stool softeners if need for constipation. A list of any materials required for the experience: equipments for movements of kid and computer for learning Skills the experience will support: Motor skills, movement, Speech, learning skills Plan for Case Study # 2 Deafness Child Name: Susannah Child’s age = 4. 5 years Area of development the experience will support: Cognitive development, hearing and vision Why the experience is appropriate As child is deaf, she cannot hear the words and hence her communication is also affected. Child learns form other’s people speech the language, words, and way of communication. Those who are deaf do not develop communication skills from hearing others. Hence special experience will be develop to let the child learn from other means. A description of the experience: Special training with expressions and acting. Visual experiences will be used to help her learn to speak and communicate. A list of any materials required for the experience: Computer, hearing aids and visual aid equipments Skills the experience will support Improve hearing and ability to respond when others communicate or express something. It will improve cognitive skills and enhance learning in child. Plan for Case Study # 3 Blindness Child Name: James Child’s age = 3 years Area of development the experience will support: Self-care, communication, learning, cognitive, behavior and interaction with other people. Why the experience is appropriate: This will enhance interaction of kid with other people, their language will be improved, and he’ll develop social skills. He’ll also improve his behavior and learn manners. A description of the experience: learning experience with touch of things, touch of key boarded and computer aided learning A list of any materials required for the experience: computer, keyboard, alphabets and toys Skills the experience will support Child will become independent and learn to self-care. His cognition and sensory skills will be improved. Plan for Case Study # 4 Down Syndrome Child Name: Tommy Child’s age = 2. 5 years Area of development the experience will support: Cognitive development, motor skills, and speech development Why the experience is appropriate Children who suffer from down syndrome have lower IQ. Their cognitive and physical development is very poor. They encounter problems in hearing and vision. They may also have heart defects and poor resistance to infections due to weak immune system. Their physical body development is not normal. Instead they have short skull, short neck and stocky build with flat back. Their facial features may be distorted to some extent with small nose, protruding tongue and folds of skin at the corner of the eyes. Experience will be appropriate to improve hearing, vision, cognitive and physical development A description of the experience: Learn with the help of computer and aid for movements A list of any materials required for the experience Learning aids, movement equipments and computer for learning Skills the experience will support Children who suffer from down syndrome have lower IQ. Their cognitive and physical development is very poor. They encounter problems in hearing and vision. They may also have heart defects and poor resistance to infections due to weak immune system. Their physical body development is not normal. Instead they have short skull, short neck and stocky build with flat back. Their facial features may be distorted to some extent with small nose, protruding tongue and folds of skin at the corner of the eyes. Children suffering from Down Syndrome have delayed development in their neuromuscular system that hampers their cognitive and physical development. They have low muscle tone (hypotonia) with over relaxed and floppy muscles. With regular physical therapy their muscle tone can be normal. As their teething is also delayed they may need liquid food for age longer than normal kids. References Vision care for deaf dbcent. dk/cgi-bin/vcfdbb/uploads/media/pdfs/Vision%20care%20for%20deaf%20children. pdf Treatments and care plans dshs. state. tx. us/schoolhealth/chap7. pdf

Monday, October 21, 2019

How Genes Effect Our Appearance essays

How Genes Effect Our Appearance essays In 1865, an Augustinian monk named Gregor Mendel discovered that individual traits are determined by discrete "factors," later known as "genes," which are inherited by the parents. While researching his new discovery, he found that genes come in pairs, and each gene has a trait with two alternate forms, such as the pea plant with it's green or yellow seeds. By analyzing the results of various crosses, Mendel concluded that each alternative form of a trait is specified by alternative forms of a gene. To follow the inheritance from parent to child, Mendel first needed to be sure which genes each parent carried. Since pea plants are naturally self-fertilizing, "pure-bred" strains were available. Upon closer look, Mendel discovered that each strain contained only one form of the gene that determined a trait. From the results of further experiments, Mendel theorized that pure-bred plants must have two copies of the same gene for each trait. In general, offspring appear to be a mixture of parental characteristics. However, Mendel found that this is not true for the pea plant traits that he chose to study. Pure-bred pea plants when crossed did not produce offspring with blended traits. For example, one might expect that when a pure-bred green-seeded and a pure-bred yellow-seeded pea plant were crossed their offspring would produce seeds with a green-yellow color. That, however, was not true for everytime only one color was produced: yellow. There were no blends present, and the green color disappeared. Mendel proposed that although both gene alternates are present, there is no blending of color because the gene alternate for yellow is dominant over the gene alternate for green. The dominant trait is seen only when a single copy of it's gene is inherited. When he crossed the hybrid offspring, green seeds reappeared in the next generation. Mendel theorized that the recessive green trait is shown onl ...

Sunday, October 20, 2019

Why Clothes Wrinkle

Why Clothes Wrinkle Question: Why Do Clothes Wrinkle? Answer: Heat and water cause wrinkles. Heat breaks the bonds holding polymers in place within the fibers of a fabric. When the bonds are broken, the fibers are less rigid with respect to each other, so they can shift into new positions. As the fabric cools, new bonds form, locking the fibers into a new shape. This is both how ironing gets wrinkles out of your clothes and why letting clothes cool in a heap fresh from the dryer will instill wrinkles. Not all fabrics are equally susceptible to this type of wrinkling. Nylon, wool, and polyester all have a glass transition temperature, or temperature below which the polymer molecules are almost crystalline in structure and above which the material is more fluid, or glassy. Water is the key culprit behind wrinkling of cellulose-based fabrics, such as cotton, linen, and rayon. The polymers in these fabrics are linked by hydrogen bonds, which are the same bonds that hold together molecules of water. Absorbent fabrics allow water molecules to penetrate the areas between the polymer chains, permitting the formation of new hydrogen bonds. The new shape becomes locked in as the water evaporates. Steam ironing works well on removing these wrinkles. Permanent Press Fabrics In the 1950s, Ruth Rogan Benerito, of the Department of Agriculture, came up with a process for treating a fabric to render it wrinkle-free, or permanent press. This worked by replacing the hydrogen bonds between polymer units with water-resistant cross-linked bonds. However, the crosslinking agent was formaldehyde, which was toxic, smelled bad, and made the fabric itchy, plus the treatment weakened some fabrics by making them more brittle. A new treatment was developed in 1992 that eliminated most of the formaldehyde from the fabric surface. This is the treatment used today for many wrinkle-free cotton garments.

Saturday, October 19, 2019

Discuss the reforms made by SCAP and their legac Essay

Discuss the reforms made by SCAP and their legac - Essay Example At the same time, the demilitarization issue became so controversial because; despite the fact that military empowerment was banned by Article 9 of the constitution, Japan continued to sustain a strong military budget (Buckley 4). The reforms not only demilitarized Japan but also aimed to enhance democracy and the rule of law in the country. They influenced Japan to shift away from the Meiji Constitution and the Prewar forces and policies. An important pillar of the reforms was the introduction of the initiative that sovereignty comes from the citizens because it eliminates the higher privilege of autocracy. At the same time, the reforms aimed to protect the rights of women. The latter gave the Japanese women the power to vote. The endorsement of clause 9 of the constitution by the reforms helped to prevent Japan from becoming a violent military power. However, the United States later pressurized Japan to rebuilt its military power for self-defense against other outside ideologies such as communism in other parts of the world, including Asia. This came soon after the Korean War and the Chinese Civil War. During the war in Korea, the US military forces withdrew from Japan. This left the country almost defenseless. A national police reserve was also created that was armed with massive weaponry equivalent to the army. The reforms also led to the formation of the Japan Self-defense Forces that acted as an extension of the police force. Another reform was liberalization. The priorities of the US towards Japan gradually shifted from the liberal policies to a change in the political stability as well as economic recovery. Democratization and demilitarization lost their momentum and seemed to stall. For example, economic decentralization was uncompleted as the country responded to new imperatives. The US also encouraged industrial policies and business activities that have now become sources of

Friday, October 18, 2019

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

Conformity - Assignment Example In my current workplace, however, there are rules regarding the dressing code. There were several occasions where I was reminded by the Human resource manager to adhere to the set guidelines. With time, I conformed to it. There are several factors that should be put into consideration before making a decision as whether or not to conform to the group. Physical and psychological factors are crucial in this determination. Physical factors involve the overall appearance of the group in terms of its size and composition of the group. Psychological factors involve the culture of the group in terms of the behavior of the members, its social and religious beliefs (Smith and Bond, 1996). Group think is the tendency of approaching and solving issues as a group rather than individuals taking up responsibility for the actions (Turner and Pratkanis, 1998).Group thinking mainly results to ineffective and inefficient decision making because essential information that would have helped in better decision making is withheld. There are numerous signs that may show the existence of group thinking mentality. One of the signs is the manifestation of pressure on an individual who seems to disagree with the view of the majority. Members also convince themselves that despite any evidence that contradicts their stand, the original decision is the appropriate one. There is also a tendency of the group to stick to the same decisions going forward whenever they succeed (Janis, 1972). Turner,M.E.&Pratkanis,A.R.(1998).†Twenty-five years of groupthink theory and research: lessons from the evaluation of a theory†Organisational Behavior and Human Decision Processes

Agglutination of bacteria Thesis Proposal Example | Topics and Well Written Essays - 2500 words

Agglutination of bacteria - Thesis Proposal Example The bacterial typing tests are based on serology and they rely on antibodies that recognize given specific bacterial strain. Antibodies are proteins and they are secreted by plasma B cells. B lymphocytes are white blood cells which respond to antigen epitopes and after antigen recognition they differentiate into plasma B cells and secrete antibodies which recognize specific antigen epitopes. The antibodies have at least two binding sites and they non-covalently bind with specific antigen epitopes (Burry). Agglutination reactions can be described as direct or passive assays. Direct assays involve interaction of antibody or lectin with cellular antigen and example for direct assays is bacterial agglutination which are used to type strains of bacteria and to diagnose infection. For agglutination between antigen and antibody, the antibody and antigen epitope must be combined in the proper proportions and it is called zone of equivalence. During agglutination, the antibody molecules bind to epitopes on two or more antigens and form a â€Å"cross-linked network† (Bacterial Agglutination Protocol 6). If the number of antigen and antibody is more, the mass of agglutination becomes visible to naked eye in the form of clumps. Bacterial agglutination is the serological identification of bacteria. Apart from the specific antigen antibody reaction, there are other substances which lead to agglutination of bacteria. Certain chemical and physical properties of the medium in which the organism is suspended influence the degree of dispersion of the cells like in acid agglutination. Some â€Å"variant† forms of bacteria are also seen to agglutinate on addition of electrolytes (Shrigley). Gram positive bacteria like Staphylococcus aureus is the causative agent of wide range of acute and chronic infections including bacteremia. Staphylococcus bacteremia can lead to sepsis and

The book A Beautiful Mind, by Sylvia Nasar Literature review

The book A Beautiful Mind, by Sylvia Nasar - Literature review Example (The Columbia Encyclopedia, Sixth Edition, 2008). John F. Nash is one of the three co-recipients of the 1994 Nobel Memorial Prize in Economic Science as a young faculty member in the MIT (Massachusetts Institute of technology) mathematics department. He came to MIT in 1951 as an instructor in mathematics. He became an assistant professor in 1953 and was promoted to associate professor in 1957. Game theory is not his only achievement in economics. He shared the 1994 Nobel prize with two other pioneers in game theory, John C. Harsanyi of the University of California at Berkeley and Reinhard Selten of the University of Bonn in Germany. (News Office, 1994) A Beautiful Mind is a book about a winning mathematician John Forbes Nash, Jr. and the staggering truth of his illness. Sylvia Nasar, the author of this best-selling biography, published the book in 1999, which later became a best-seller. It is a detailed account of John Nash who was diagnosed by his psychiatrist as having schizophrenia while being robbed of his wonderful career as a mathematician momentarily. The book, later inspired to be in the movie, won the 1998 National Book Critics Circle. The biography was quite dramatic in nature as the author relived the life of a genius whose career was hampered by a debilitating illness. Nash believed that messages are being sent to him through newspapers or media. Like any other suffering from such illness, his personal and career life was intertwined with interrupted delusions and eventually his life disintegrate. After thirty years of devastating mental illness, Nash recovered and gained him the Nobel Prize in 1994 for his contribution in Economics. His 26-page Ph.D. thesis, "Non-Cooperative Games", written at Princeton, while he was still in his early 20s, eventually won him a Nobel Prize, but only after his career was interrupted by a 30-year stint with paranoid schizophrenia. From his lonely childhood in West Virginia to his college years at  Princeton University, John Forbes Nash, Jr. encountered Albert Einstein, John von Neumann, and a host of other mathematical greats.  

Thursday, October 17, 2019

Management Research Proposal Assignment Example | Topics and Well Written Essays - 1000 words

Management Research Proposal - Assignment Example Being able to increase profit margins has been one of the main points of interest among most shareholders (Moynihan 2012). Top managements of organizations have found themselves in the state of concentrating their attention towards profit maximization, as desired by shareholders. However there is one important aspect of management that need to be given attention by shareholders, management and other members of staff in an organization. Both non-profit and profit making organizations need to identify monitor and benchmark their operational activities. The progress of organizations can not just be measured in terms of profits made only but a thorough understanding of key performance factors has to be considered (Ngo 2013). Various assessment techniques need to be used by organizational management in determining the progress as well as impacts brought about by their operational activities. Managers ought to determine all relevant factors detailing the progress made by their organization (IÅŸÄ ±k 2013). Since the visions, missions and goals are aimed at outlining activities as well as offering guidelines on the desired actions to be undertaken by organizations, managers need to keep track of progress attained (Luo 2012). Therefore, this research proposal will seek to determine the need for organizational managers to embrace performance indicators in assessing the level of progress achieved (PopoviÄ  2012). The main reason leading to selection of the role of performance indicators towards success of business an organization was as a result of interacting with managers from different organizations. Most of them were concerned about identifying approaches that could enable them monitor the progress registered by their organizations as well as gauging achievements that can be clearly presented to both internal and external clients. Almost every successful business organizations apply performance indicators.

Anti-discrimination Laws Related to Employment Research Paper - 1

Anti-discrimination Laws Related to Employment - Research Paper Example Moreover, the HR Assistant is required to facilitate managers in finance and accounts departments through providing customer-focused support service which significantly helps the organization in meeting its goals and objectives. In a broader perspective, the HR Administrative Assistant has to perform multiple tasks including the preparation of job advertisements, screening of the applications (Quayle, 2006), organizing interviews between managers and applicants, providing valuable insight during the selection process through critically evaluating each candidate. Subsequently he/she has to administer the pre-employment tests if necessary. Once the most suitable candidate is hired then the HR Administrative Assistant has to facilitate him/her in acquiring the health and social security benefits extended by the organization. This further leads to resolving salary issues or any other job related problems faced by the newly hired employees. Although these are the crucial tasks performed by the HR Assistant but all of these activities are conducted at different stages. Moreover, the tasks are assigned to HR Assistants as per their qualifications, experience, interests, organizational performance and communication skills. In order to perform the duties of HR Administrative Assistant the selected candidate is expected to work independently while maintaining the organizational standards. Excellent communication skills and experience with latest technology will help you in quick adjustment. 1. The interviewer must not ask questions concerning applicant’s religion, nationality, race, color or gender because US Equal Employment Opportunity Commission prohibits employment practices based on these aspects (Prohibited Employment Policies/Practices,

Wednesday, October 16, 2019

Management Research Proposal Assignment Example | Topics and Well Written Essays - 1000 words

Management Research Proposal - Assignment Example Being able to increase profit margins has been one of the main points of interest among most shareholders (Moynihan 2012). Top managements of organizations have found themselves in the state of concentrating their attention towards profit maximization, as desired by shareholders. However there is one important aspect of management that need to be given attention by shareholders, management and other members of staff in an organization. Both non-profit and profit making organizations need to identify monitor and benchmark their operational activities. The progress of organizations can not just be measured in terms of profits made only but a thorough understanding of key performance factors has to be considered (Ngo 2013). Various assessment techniques need to be used by organizational management in determining the progress as well as impacts brought about by their operational activities. Managers ought to determine all relevant factors detailing the progress made by their organization (IÅŸÄ ±k 2013). Since the visions, missions and goals are aimed at outlining activities as well as offering guidelines on the desired actions to be undertaken by organizations, managers need to keep track of progress attained (Luo 2012). Therefore, this research proposal will seek to determine the need for organizational managers to embrace performance indicators in assessing the level of progress achieved (PopoviÄ  2012). The main reason leading to selection of the role of performance indicators towards success of business an organization was as a result of interacting with managers from different organizations. Most of them were concerned about identifying approaches that could enable them monitor the progress registered by their organizations as well as gauging achievements that can be clearly presented to both internal and external clients. Almost every successful business organizations apply performance indicators.

Tuesday, October 15, 2019

Business Case Analysis Term Paper Example | Topics and Well Written Essays - 1000 words

Business Case Analysis - Term Paper Example Talking about the mission and vision of the company, it can be said that vision of a company represents the long terms goals, while the mission comprises of multiple short term goals. Talking on this note, it can be said that the company Pfizer’s long term goal is tremendously focused on the global well being. Talking on this note, it can be said that the vision of Pfizer is to work together for the development of a better world (Pfizer-a, 2011). Talking about the global pharmaceutical giant’s mission statement, it is very interesting to note that the company’s focus is to apply science and other global resources for the improvement of health of human life at every stage (Pfizer-b, n.d). The company also tries to focus on various key values which comprises of integrity, performance, innovation, collaboration, respect for people, care for community, leadership, focus on quality as well as customer (Pfizer-c, 2009). While analyzing the mission and vision statement, that the company has developed in regards to serving the markets of emerging as well as developed economies, it has to be said in these regards that the goals of both long and short term are highly in perfect compatibility and synchronization with the core competencies and strengths of the organization. B. It is of considerable importance to mention that the generic strategies of Porter are being designed on the framework of competitive edge as well as competitive advantage. Talking more the competitive edge achieved by the firms, it can be said that the edge factor coupled with the issues of competitive advantage leads to the process of formation of various scenarios like cost leadership, differentiation, cost focus, as well as focus on differentiation. It is of significant importance to mention that the firms needs to focus on developing their own unique kind of competitive advantage by trying to develop on one of the four scenarios, by using their strengths of business processes as well as the opportunity available in the market (Generic Strategies pdf). Talking about Pfizer, it can be said that the value chain activities of Pfizer is much diversified in nature. It is of significant importance to mention that for the purpose of generating and delivering values to the company’s stakeholders, Pfizer focuses on the process of employing and exploiting multiple key value points that are developed by the company to attain simultaneous growth and delivery of values. It is important to note, that Pfizer tries to follow more of a differentiation sort of strategy. Talking on this note, it can be said that the strategy of differentiation is often achieved by a company through the application of various business process that helps in superior service with regards to the price of the product or service of the company. It is important to mention that the company, apart from trying to gain a quality based advantage, also tries to achieve and excel in regards to te chnical innovation so as to increase process efficiency. This helps in a great way to communicate to the consumers about the company’s steady endeavours towards providing maximum amount of beneficial and related value (Stonehouse & et.al, 2007, p. 177). It is interesting to note that Pfizer in an attempt to achieve its differentiation strategy has focused in developing significant amount of edge in

Monday, October 14, 2019

Chinese Exploitation And Discrimination In Canada History Essay

Chinese Exploitation And Discrimination In Canada History Essay European colonial period is characterized by the conquering of foreign land, the exploitation of resources and slaves, and the imposition of European culture. From European colonialism arose many atrocious acts such as the Triangular Slave Trade and the decimation of many indigenous populations. Ideologically, the concept of orientalism emerged from European colonialism where it became lens in which the West sees the people of the East as weak and inferior. European explorers sought to make sense of their travels by drawing from classical knowledge, religious sources, and mythology (Glyn, Meth and Willis 2009); it was a corrupt archive on the cultural identity of the colonized based on sweeping generalizations and stereotypes that crossed several cultural and national boundaries (ibid). The information isolated the colonized and separated them as the other from Europeans (ibid). The creation of a general inferior identity allowed colonial powers to legitimize their colonization and e xploitation of these people (ibid). Although Great Britain and other powerful countries in Europe actively colonized much of the modern Third World and created many obstacles for their future development, other non-colonizing countries do are not guilt-free. Loyal historical colonies like Canada have had a similarly exploitative relationship with Third World citizens, including its blatant discrimination against non-European settlers such as the Chinese. Contrary to the popular belief that Canada has always had a benevolent relationship with people of the Third World, Canada carried forth the orientalist view from European colonialism and used them to justify its discrimination against and exploitation of Chinese immigrants from 1880 to 1947. Under the pretense of orientalism, Canada exploited Chinese labour in building their national railway, created racism immigration policies to keep the Chinese out, and withheld fundamental rights on the grounds of ethnicity. Canada exploited Chinese immigrants as a solution to the labour shortage in building the Canadian Pacific Railway (CPR) from 1881 to 1885. Throughout the four years and even following it, Chinese suffering outweighed their benefits while Canada was able to complete its railroad on time for a considerably cheaper price. The completion of the CPR was extremely important to Canada because it was a physical means to unite the different regions of Canada together as a country (Baureiss 2007:15). Canada had a lot at stake in the CPR project where a delay in its construction could lead to British Columbias secession from the union of Canada (ibid). In order to meet the completion deadline, the CPR contractor, Andrew Onderdonk, was granted permission from the federal government to import Chinese labourers to compensate for the insufficient Canadian labour force (Wang 2006:11). The Chinese immigrants were allowed entry only for the purposes of building the railroad; Canada was not in favour o f having permanent Chinese settlements and primarily hired men who would presumably return home to their families upon completion (ibid). With the extra labour force of approximately 15 000 Chinese labourers working on the Western portion of the CPR, the railroad was completed on time (Yu 2009:16). Canada also benefit from the low wages that they paid the Chinese immigrants. In the construction of the CPR, white Canadian labourers were paid an average wage of $1.50 to $1.75 while the Chinese labourers were paid $1.00 with the mandate to purchase their provisions solely from the company store (Baureiss 2007:15). Although the two groups performed the same tasks, Canada justified the difference using the orientalist stereotype that the Chinese could survive on a lower wage than the white Canadian labourers (Whiteley, 1929: 342). The railway company saved money in paying cheaper wages and also earned profits in selling provisions to Chinese labourers (ibid). Orientalism created an unequal power relation between Canada and the Chinese immigrants where the Chinese served to benefit Canada. A tragic example is the 4 000 deaths of Chinese labourers working on the CPR as a result of poor working conditions, disease, landslides and accidental explosions (Toronto Star 1986:F.2) For those who survived, Canada did not make an attempt to include or integrate the Chinese into Canadian society because they were not truly welcome and were expected to leave anyway (Wang 2006:12). However, nearing completion of the CPR many Chinese labourers were dismissed early and found themselves with insufficient funds to finance their return fare back to China (ibid). Many descended into poverty as they lost employment with the railway company and others resorted to labouring in mines (ibid). The sole reason that the Chinese were allowed entry into Canada was to advance Canadas own interests in completing the railway in the most efficient and cost effective manner; in complete disregard for the well-being of the Chinese, they opened the gates for the destitute in China in order for Canada to exploit their cheap labour and then abandon them. Canada initially decided to import Chinese because orientalist beliefs dictated that the Chinese were stereotypically inferior in hard labour (Wang 2006:12); Canada would be able to exploit their inferiority and still use them to complete the railroad efficiently. Although this orientalist perception of the Chinese is inaccurate, the fact that Chinese immigrants were imported into a disadvantaged position forced them into the powerless stereotype as they were subject to Canadian interests. They were allowed entry into Canada in accordance to the amount of labour needed by Canada, and they worked at any offered in order to survive. In p urposefully pushing a number of Chinese immigrants into the orientalist stereotype, Canada was able to prove the orientalist knowledge as true and thus justify their exploitation of cheap Chinese labour. As exemplified in the CPR project, Canadas relationship with the Chinese people from the then developing country of China is in no way benevolent or good-willed; on the contrary Canada used and promoted orientalist perceptions of the Chinese in order to rationalize the exploitation of their labour. Canada subsequently discriminated against the Chinese systematically through a racially exclusive immigration policy. The orientalist stereotypes of the Chinese fuelled Canadas institutionally racist immigration policy as they primarily focused on defending against the sojourner image of transitory labourers, who had come [to Canada] to find a fortune and return with it to China (Baureiss 2007:22). Believing in this sojourner stereotype, Canadians felt threatened by the Chinese labourers competitive edge and feared for their job security (ibid). Moreover, in 1903 Prime Minister Wilfred Laurier publically supported the racist and orientalist ideals in his statement to the House of Commons where he said in my opinion there is not much room for the Chinaman in Canada (Winter 2008:122). In response to the wantlessness for the Chinese, Canada passed racially discriminatory regulations through the 1885 Act to Restrict and Regulate Chinese Immigration into Canada which necessitated a $50 pa yment for entry know as the head tax (ibid). However the head tax seemed to reinforce the sojourner stereotype as Chinese men arrived in Canada to work and often sent large sums of their salaries home to their families rather than spending it on the Canadian economy (Baureiss 2007:22). The orientalist stereotype fuelled further intolerance for the Chinese, even though it ignores the fact that the head tax was designed to discourage permanent Chinese settlements in Canada; it was presumably too expensive for a Chinese family to afford the head tax for all family members (ibid). In response to the growing intolerance for the Chinese, Canada took intensified measures to stop Chinese immigration, the head tax was raised to $100 in 1902 and then $500 in 1904 the equivalent of two years worth of wages for an average worker (Wang 2006:12). With the hike in price for the head tax, many men who immigrated ahead of their families lost hope of bringing their wives or children to Canada and fo r many years [the Chinese] community became a bachelor society (Plaitiel 1988:A8). As men working on a dollar a day could not afford to bring their families to Canada, Chinese immigration was significantly curtailed and the Canadian government profited $23 million generated by approximately 81 000 Chinese immigrants (Winter 2008:122), however Canadas intolerance was not satiated. In 1923 Canada replaced the head taxes with the Chinese Immigration Act that prohibited Chinese immigration altogether for a total of twenty-four years (Winter 2008:122). The act gave many Chinese workers the ultimatum of being separated from their family permanently or giving up their immigrant status to return home (Wang 2006:12). The immigration policies set forth by the Canadian government are not only racially discriminatory, but it spread the general orientalist view of unworthiness and undesirability in the Chinese ethnicity. The orientalist stereotypes of the Chinese initially caused Canadians to unwelcome the Chinese but the implementation of head taxes seemingly reinforced the stereotypes, without consideration towards the actual circumstances and created a completely intolerant society. The exclusion of the Chinese in Canada was justified by the orientalist stigma that the Chinese are an unwanted ethnicity in Canada, and thus legitimating any means to eliminate them; the h ead tax that created a financial burden on the Chinese, separated families between countries, and prevented a second generation of Chinese Canadians were valid. Moreover, the eventual total refusal of Chinese immigrants was substantiated based on the orientalist sojourner identity created for the Chinese immigrants dictated them as morally inferior and self-interested. Canadas creation of an orientalist lens in which to view the Chinese through blatantly racism immigration policies contradicts its perceived identity as being benevolent and accommodating to people of the Third World in development. In addition to barring the entry of Chinese immigrants, Canada systemically discriminated against Chinese immigrants already within Canada by legally withholding fundamental human rights. For example, the Chinese were excluded from political life and did not have the right to vote (Baureiss 2007:23). Although they were initially granted voting rights like immigrants of other ethnicities, the right to vote was disallowed to the Chinese in British Columbia in 1985 in provincial and municipal elections (ibid). Later, the federal government also refused to give the Chinese voting rights in federal elections (ibid). Prime Minister John A. Macdonald further justified disenfranchisement of the Chinese by stating that à ¢Ã¢â€š ¬Ã‚ ¦the Chinese have no British instinct and their mind [is] not suited for democracy (Baureiss 2007:23). Macdonalds statement crystallized the fact that the Chinese are denied rights based on the knowledge about their race as communicated by orientalism; the Chinese are inferior because without British instinct, their intelligence is too elementary for democracy. The Chinese in Canada did not have access to equal opportunity and were further excluded from numerous jobs based on racial grounds. Initially, the exclusion from participating in politics led to disqualification from certain prestigious or powerful professions that included law, pharmacy and accounting (Baureiss 2007:27). Similar to the discriminatory immigration policy, the denial of equality rights to the Chinese stemmed from the oriental stereotype of the sojourner. Since the sojourner stereotype dictated that the Chinese immigrants would all leave after amassing their wealth, Canadians rationalized that it was unnecessary to grant them equal opportunity rights because they would return home and not remain in Canada permanently (Baureiss 2007:23). As a result, in 1878 British Columbia passed a resolution that prohibited Chinese immigrants from working in the provincial public sector (Baureiss 2007:26). Subsequently, the Chinese were also denied positions in many skilled occupatio ns such as boat-makers, mechanics and merchants (ibid). Disqualification became widespread in so many different professions because of restrictive legislation that the Chinese were marginalized to a very limited number of industries such as agriculture, retail and services trades and certain elements of lumbering and fishing low-paying professions that required very minimal education or training (ibid:27). In an effort to combat the greedy and self-interested sojourner, there were a limited number of tasks that the Chinese were eligible to perform within these designated industries. For example, the Chinese were only welcome as cheap farm labourers and could not buy or lease their own land by law (ibid). Being surrounded by these restrictions made the service industry the only major avenue available and the Chinese were generally marginalized to become laundrymen, grocers or homemakers (ibid). Through orientalist knowledge, the Chinese were perceived as weak and incompetent compared to white Canadians, validating their exclusion from franchise and from many more respectable professions. The acceptance and creation of an orientalist identity justified that any measures including those that violate the fundamental human rights the Chinese should be entitled to were justified so long as they cater towards protecting the employment opportunities of white Canadians. In essence, orientalism was a tool for Canada to rationalize the second-class treatment of the Chinese and the refusal of several inalienable human rights. The blatant institutional racism that Canada created under the pretense of orientalist knowledge not only shattered down its perceived kindness but it reveals the hostility that Canada showed to the Chinese. Canadas discrimination and exploitation of the Chinese people directly contradicts the belief that Canada is benevolent towards people of the Third World and Third World countries in general. Canada accepted and further enhanced the orientalist views of the Chinese to exploit their cheap labour in constructing the CPR. Subsequently once the Chinese were no longer useful, Canada justified discriminatory immigration policies to stop Chinese immigration with orientalist stereotypes. In regards to the Chinese immigrants in Canada, the government systemically withheld fundamental political and equality rights from them and justified the second-class treatment with orientalist knowledge of inferiority. Historically, Canada has evidently not been as benevolent towards people of the Third World as it portrays itself to be. Although conditions have significantly improved since the nineteenth century, Canada still has not lived up to the high standards of benevolence and generosity as immigrat ion policies remain exclusive in many other ways. Canadians may see themselves as peaceful and kind to the multicultural people of the Third World but whether it becomes the truth or not depends on what actions Canada decides to take. Canada can choose to make it a priority to root out orientalism or to simply lower the standards of Canadas role in helping and empowering people of the Third World.

Sunday, October 13, 2019

The French Revolution :: European Europe History

The French Revolution Gradually after the American Revolution, France had it's own Revolution in 1789. The French were very unhappy with their current status, jobs, and living conditions. They saw what the Americans did to achieve liberty, and how successful they were. Many of them had also read the writings of the philosophers and believed that change was necessary. Nevertheless, the main problems that led to the French Revolution were deep debt, competition between social classes, and the unlawful conduct of the king. Debt was one of the problems that led France toward a Revolution. France was badly in debt after participating in the American Revolution and after Kings Louis XIV's and Louis XVI's enormous expenses. In order to save France from bankruptcy, Louis XVI called on the Estates General for help. The Estates General was made up of the First (clergy), Second (nobility), and Third (everyone else) Estate. However there was a lot of conflict within the Third Estate, because it was made up of everyone who was not part of the royal family, clergy, or nobility. The Third Estate was very unsatisfied because although it contained over 80 percent of the population, it still had the same one vote as the other two Estates with fewer people. Thus it re-named itself the National Assembly in June of 1789 and claimed itself the representative body of the people. The Assembly did not aid the King in his financial troubles, yet it demanded many changes to France's absolute monarchy and legislative system. Many of the laws that were passed in France had also become extremely burdensome to the common people because they excluded the clergy and nobility from paying taxes. Louis XVI tried to help the economy, by raising taxes in 1786. But this only made matters worse, because peasants were unable to pay. Harvest was also poor and food very expensive. People were enraged of hearing stories of lavish parties at the fine houses and palaces, where a lot of food was served, which was either wasted or given to the dogs afterwards. The demand for manufactured goods fell, and many artisans, traders and farmers were without work. People were angry and began to revolt. In July of 1789, they stormed the Bastille killing many people, and in October of 1789 angry middleclass women marched to Versailles demanding that the royal family move to Paris and action be taken to help feed the people.

Saturday, October 12, 2019

Humorous Wedding Roast by a Fellow Gambler :: Wedding Toasts Roasts Speeches

Humorous Wedding Speech by a Fellow Gambler Ladies and gentlemen, my name is Josh and following the time-honored tradition, I will now do my best to give Roy the most uncomfortable five minutes of his life. For the record, the most uncomfortable five minutes of Joyce's life will be later on this evening, courtesy of Roy. Roy and I became acquainted many years ago, when we had three encounters in one week. I first saw him when he was placing a bet at the Horse Racing track. Then he appeared again at my local pub. And then, unbelievably, he appeared yet again - this time at poker night. It was at this moment that I realized someone very special had entered my life. Yes, I had a stalker! Or as his clothes suggested†¦ a gay stalker! This aside, we soon became friends and being a betting man myself I was immediately impressed by his outstanding knowledge of horse racing. He can name any trainer, jockey or horse which finished 4th or worse in any race in the last five years. But apparently, in the run up to the wedding, Roy’s form at the races has vastly improved and he’s been doing better than he’s ever done before. That’s right, Joyce hasn’t been letting him go. On the subject of betting I have a bit of an issue to raise. It came to my attention earlier that Roy is running a book on the length of the best man's speech. I am sure you will all be glad to know that I got wind of this and, not being known to Roy at the time, I put a tenner on myself to last an hour at the bargain odds of 500-1. So I suggest you top up your glasses and make yourselves comfortable - but do let me know if Roy tries to slip out. Attending university was definitely the best decision Roy ever made. Because he didn’t just meet me, he also met Joyce – who looks absolutely stunning today. October 1993, Roy Solomon, a county swimmer and keen football player, meets Joyce Reeves. And eight years later, Roy hasn’t so much as looked at a swimming pool and doesn’t play football anymore. But all is not lost, I understand he still has a good breaststroke, doesn’t have any problems with his ball control and can certainly use his head, even if he is a bit clumsy around the box.

Friday, October 11, 2019

Analysis of “The Oval Portrait” by Edgar Allen Poe Essay

â€Å"Art is a jealous mistress.† Ralph Waldo Emerson’s quote easily summarizes â€Å"The Oval Portrait,† written by Edgar Allen Poe. It is a chilling tale, describing the two different passions of a married couple. The husband, a painter, requests that the wife let him paint her portrait, and in obeying him, she meets her doom. As the painting matured, her health and spirits declined and yet she remained and, without objection, she continued to sit for him. His passions increase and after many weeks, as the painting nears completion, each stroke of the brush strips her of her beauty, and finally, upon the conclusion of the painting, it robs her of her life. This is a bewitching story of passion, murder, vampirism, and murder. Poe’s story is an uncanny analysis of two passions: art and romance. It is a given that the artist loves his wife, but he seems to share a much deeper bond with his art. It is unfortunate for the wife to have fallen in love with a painter who was â€Å"passionate, studious, austere and having already a bride in his art.† As she was young and happy, she seemed to have a love of all things, and yet she came to loathe his art and to despise his brushes and the other tools of his passion. All the way through the story, it is made very clear that art is not simply his occupation, but it becomes an actual woman who rivals with the wife for the painter’s affection. As the wife withers away, the portrait comes to life, thus the painter achieves any artist’s ultimate fantasy: the preservation of his true love and passion (whether it be the wife or the painting) against the total destruction of time. It is well known that the women in Poe’s time were banned from the public sphere and stripped of power and identity. Taking this into consideration, it is safe to say that the artist may have wanted her to die. Though the story never indicates it, the wife could have been very outspoken, and because of this, it is likely that the painter could be tremendously ashamed of her. The painter, knowing that she would do anything for him, could have asked her to be the model of his portrait. Then, he would be likely to take as long as he needed to paint this portrait of her. His only cover-up for her death would be that she loved him enough to sit that long, and he loved art enough to get that carried away with it. â€Å"Art itself is involved in the transfer of vitality; the process of creation is vampiric.† In Poe’s tale, it is evident that as the painting comes to life, the wife gets closer to death. The way that the inanimate portrait gains life from the living is comparable to vampirism. The vampire myth itself is an ideal paradigm for love that is too demanding, or art that is too life consuming. The artist in this story, who can be depicted as a vampire, seems to  have to kill in order to renew life. Throughout the entire life of the painting, the wife’s cheeks lose color and she grows weaker, so it would seem appropriate to say that he could be painting with her blood. The artist transfers the life essence of the wife into his painting of her; draining her with each sitting until she dies at the moment he completes his work. Poe investigates the nature of human relationships, including love and lust and develops his theme to observe the vampiric qualities inherent in the creative or artistic process. Therefore, Poe manages to subtly demonstrate that a vampire’s life depends upon the death of another. There is definitely a sense of mystery in this narrative. From what an audience can gather, no one else was in the room with the painter and his wife. Whoever wrote the history of the painting could not have known what happened to the wife, unless the painter himself wrote it. Anything could have occurred in that room. From what the reader can tell, it is a good possibility that the painter strangled his wife himself and painted her dead body. It is nearly impossible to tell what exactly happened. Poe also left the audience hanging at the end of the story. Nowhere in the final paragraph does Poe state or even infer that the painter had come to blame himself for his wife’s death. In fact, the tale ends precisely where the reader’s questions should have been answered and the conflict resolved. Some may like to believe that the painter was at least capable of grieving for his bride, but it is hopeless to even assume that there is a real answer. It is basically left up to the reader to make up his or her own mind about what happened afterwards. To put it briefly, â€Å"The Oval Portrait† is a very mysterious, dark, and creepy story. The life that the young painter takes from his wife illuminates the painting. But in the end, she bears the tragic consequences of her husband’s love for his art and her own love for him. Through this story it becomes obvious that love triangles are dangerous to life, as are vampires and society itself. This story is a prime example of the hazards of loving someone that already loves another.

Thursday, October 10, 2019

Ford Motor Company: Organizational Agility Essay

Ford Motor Company has recently experienced a problem with regard to a fraudulent e-mail which notifies consumers that the company has chosen them as the winner of a Ford Edge Jeep and that they can claim their prize after they have deposited a certain amount in a bank account. The company immediately issued a statement within a few days saying that the notifications are not from the company and that the e-mails are scams designed to acquire personal information from unwary individuals, especially from the consumers of Ford Motors. Moreover, the company released a public statement claiming that the company is not in any way connected with the e-mails circulating over the internet inasmuch as the company has not granted either authority or permission to use the name of the company, its trademark and its intellectual properties in order to engage in such a scam. The company noted that the e-mails may be a form of â€Å"phishing† activity, and advised the consumers to simply delete the message and avoid replying. In terms of demonstrating environmental responsiveness, the Ford Motor Company has formulated a way in order to reduce greenhouse gases used in painting vehicles by as much as 15 percent. The new paint technology is not only â€Å"environmentally sound† but also efficient in terms of cost such that painted automobiles are more durable and look more beautiful than before. The technology used is a combination of â€Å"advanced chemical formulation of high-solids† with a â€Å"three-wet application process† which uses paint shop that is more earth-friendly as compared to traditional vehicle paints. Apart from the reduction in CO2 emissions from the painting of vehicles, the new paint technology also boasts the benefit of a decrease in VOCs or volatile organic compounds by as much as 10 percent. The company states that it can save money in the production of the vehicles and lessen the completion of painting an automobile by a fifth of the total time previously estimated. More importantly, there is also a great reduction in the amount of conventional paint used in the painting process. Even if the Ford Motor Company has already used the new painting technology, the company is still gathering data for wider application. The monitoring of the automobiles over the next year will give the company more data which will enable them to gather â€Å"long-term rollout plans† for the pioneering paint technology that they have developed. In fact, the company has already won international acclaim in France for the new paint technology. The concepts of Total Quality Management apply to the Ford Motor Company in terms of how it handles the current environmental requirements in the industry. Instead of abandoning or taking a step back from the automobile industry, the company opted to stay ahead of the rest by developing tools which will meet the environmental demands of the time. The ability to manage the company efficiently and effectively in such a pressing circumstance is equally significant to the ability to enact the company visions and progress on them through time. The company acts by not resorting to isolated departments in handling the issue at hand. Rather, the company makes the full use of its structured departments in order to arrive at a better approach in providing the suitable method to address the environmental issues typically attributed to automobile companies. That is, Ford Motor Company’s efforts to develop the new paint technology incorporated the input coming from the production department to the conception department. Post-production departments also share a role in assessing the actual impacts of the new paint technology which allows for the acquisition and accumulation of new data which can be used as basis for great improvements in the future.

Wednesday, October 9, 2019

Fish Cheeks by Amy Tan Rhetorical Strategies Essay

Gifted author of Fish Cheeks, Amy Tan, assures young girls that being different is not only acceptable, but also advantageous. Rhetorical strategies-such as imagery, tone, diction, and appeals (logos, ethos, pathos)-were the brushes with which she painted a portrait of self-acceptance for teenage girls everywhere. Tan uses a sympathetic tone to relate to the awkward teenage reader that is experiencing the same thing and the nostalgic adult reader that has experienced. Tan’s word choice [diction] exposes her insecurity in her heritage and desire to be an average American teenager, in her opening. The author described traditional American food in an appealing way, â€Å"†¦roasted turkey and sweet potatoes†¦Ã¢â‚¬  but omitted any detail about â€Å"†¦Chinese food.† She labeled American manners as â€Å"proper†, but dubbed her relatives and their Chinese customs as â€Å"noisy†. The significance of this strategy lies in its ability to make the text relatable. The entire narrative relies on the author’s shared experience with the audience, being ashamed of their incongruity and their pursuit of normality. In the third paragraph, Tan enlists the aid of imagery to provide the reader with a more accurate depiction of the scenery on that night. Vividly detailing the assortment of food; Tan was not describing how she saw the food but how she feared Robert would. As revealed later in the text, Tan is quite fond of her culture’s taboo cuisine. So, the description of the food using negatively connoted words like slimy, bulging, fleshy, rubbery, and fungus were used to transmit her concern about how she and her family would be perceived. This use of imagery and diction exemplifies Tan’s transmission of emotion-first worry and anxiety, then relief and acceptance- to her audience throughout the text. The appeals to ethos and pathos were vital for Tan to be able to relate to the audience. She had to first establish her credibility as someone who had experienced being a part of two different cultures and the desire to fit in. She did this by telling the narrative in first person. Also she showed great contrast between the two cultures she belonged to by illustrating her family’s traditional Chinese Christmas contrary to American traditions. Then, she appealed to pathos by frequently attaching an emotion to every part of the story. For example, in the opening she conveyed a sense of worry with her use of repetitive questions. Likewise, Tan suggested a feeling of relief in the end with her shift in diction, from negative words like â€Å"despair† to more positive words like â€Å"stunned†.

Strategies for Implementing Accounting Software Systems in Small to Essay

Strategies for Implementing Accounting Software Systems in Small to Medium Enterprises - Essay Example However, formulating and executing implementation strategies for accounting software are important in maximizing the accounting efficiency of an SME. Problem to be Solved and Worth - In this highly developed economy, there is an influx of accounting software packages tailored to the needs of various customers. This wide array of choices leads to the dilemma of picking out the 'right' software system for small to medium business operations which in turn, brings the more difficult issue of crafting implementation strategies for the accounting software. This problem requires intensive research as it provides better understanding of the relationship between accounting efficiency and strategies of software implementation. Idea for Action and Data Outline - First, the researcher will conduct interviews with 10 to 15 SMEs to gather the required data for the study. The interview is expected to generate a list of implementation strategies employed by these companies. Then, the effectiveness of strategies will be evaluated and compared by measuring the SMEs' accounting efficiency based on the data gathered in the interview. For that purpose, the researcher will devise a measuring system with the help of secondary data gathered in the review of literature. ... The result of analysis will be utilized in the final report to recommend implementation strategies which should be executed and should be eliminated in the accounting processes of the SMEs. Context: Setting, Background and Scope The proposed project will be based in the analysis of the accounting efficiency of SMEs contacted for the research. SMEs to be interviewed will come from various industries in the economy. Although time constraints will not allow contacting a large number of SMEs for the research to come up with a more statistically accurate result, the project will be able to identify the most general trends in accounting software strategies. These trends will be processed and analyzed as factors influencing the accounting performance of SMEs, i.e. by looking on their effectiveness. The measuring system developed in this project will particularly reveal the differences in accounting efficiency as a result of the execution of different implementation strategies. Project Strategic IT Value and Intention The result of the proposed research will be presented in the form of a report which analyzes the software strategies employed by SMEs including the recommendations developed during the research. This set of recommendations will be a useful contribution to the general theory of software implementation strategies as it will aid SMEs to develop strategic approaches in choosing suitable accounting software and devising implementation strategies to enhance accounting efficiency. It can be noted that theoretical frameworks have been mainly concentrating in the general benefits of strategic approach to software implementation. For example, Jones (2005) advises small