Wednesday, December 18, 2019

Euthanasia The Solution Is a Bad Idea - 834 Words

Euthanasia: The â€Å"Solution† is a Bad Idea Protecting life is the ethical view of society today, and legalizing euthanasia offsets that. Religious figures have recently welcomed the idea of getting God back into this debate. Ed Feinstein, senior rabbi of Valley Beth Shalom in Encino, California states that, â€Å"It [prayer] recognizes God as the one who decides ‘Who will live and who will die’† (Wood 3). Assisted suicide is a peculiar process and not the intended way to die. Similarly, the constitution of India argues that euthanasia transgresses the right to life in Article 21: ‘Right to life’ is a natural right embodied in Article 21 but suicide is an unnatural termination or extinction of life and, therefore, incompatible and inconsistent with the concept of ‘right to life’. It is the duty of the State to protect life and the physician’s duty to provide care and not to harm patients. If euthanasia is legalised, then there is a grave apprehension that the State may refuse to invest in health (working towards Right to life). Legalised euthanasia has led to a severe decline in the quality of care for terminally ill patients in Holland (Math and Chaturvedi 1). Euthanasia is conflicting with the â€Å"right to life† campaign, and it is immoral of doctors to carry out the procedure. If euthanasia is legalized it will change the integrity of doctors and pressure them to advise other terminal patients into euthanasia. In addition to defying society’s perspective, euthanasia alsoShow MoreRelatedThe Ethical Dilemma Of The Medical Field1619 Words   |  7 Pagesaction that one can choose from, and that regardless of the course of action taken in the situation an ethical principle must be compromised. It means that in an ethical dilemma, there is no perfect solution. One primary source of ethical dilemmas in the medical field today is Euthanasia. Euthanasia is a process that entails deliberately ending a person’s life, with the intention of relieving their pain and suffering. As such, it is legal in some countries while illegal in some. The US Law accordsRead More Euthanasia Should Not Be Legal Essay1056 Words   |  5 Pages Euthanasia is a word that comes from ancient Greece and it refers to â€Å"good death†. In the modern societies euthanasia is defined as taking away people’s lives who suffer from an incurable disease. They usually go through this process by painlessness ways to avoid the greatest pains that occurs from the disease. A huge number of countries in the World are against euthanasia and any specific type of it. One of the most important things being discussed nowadays is whether euthanasia should beRead MoreEuthanasi A Way Out Of Suffering1742 Words   |  7 Pages Euthanasia; A Way Out Of Suffering Chelsey L. Isner Weir High School Mrs. Lengthorn Mrs. Pellegrino Abstract Human euthanization is not something new, but it is widely believed to be unethical. In reality, human euthanization is a painless solution to a terminal illness. The topic of this paper is how euthanization for humans is not a bad thing. During the writing process questions were asked about how religion views euthanasia, if it would be used for suicidal purposes, If Belgium’s lawRead MoreEssay on The Legalization of Euthanasia1420 Words   |  6 PagesEuthanasia legalization has been a controversial topic for years; studies have shown that arguments regarding the euthanasia debate are often depending on the process used to take the life of the patient. There are a lot of thoughts surrounding the issue of euthanasia and whether or not it should be legal. According to the Encyclopedia of American Law, euthanasia is categorized as a class of criminal homicide (Debate.org, par. 3). However, not all homicides are considered illegal. In today’s societyRead MoreActive Euthan asia: Physician Assisted Suicide is Wrong Essay1523 Words   |  7 PagesActive Euthanasia: Physician Assisted Suicide is Wrong The issue at hand is whether physician-assisted suicide should be legalized for patients who are terminally ill and/or enduring prolonged suffering. In this debate, the choice of terms is central. The most common term, euthanasia, comes from the Greek words meaning good death. Sidney Hook calls it voluntary euthanasia, and Daniel C. Maguire calls it death by choice, but John Leo calls it cozy little homicides. Eileen Doyle pointsRead MoreEuthanasia Essay1243 Words   |  5 PagesEuthanasia In this term paper I have chosen to speak about euthanasia because this is a topic that provokes as much controversy as capital punishment, primarily because it is irreversible. The question of euthanasia being right or wrong is one that most would prefer left alone. My purpose here in this term paper is to show forth view points of both sides of the arguments and finally conclude with my views on the topic. Let me start by explaining what is the exactRead MoreTaking a Look at Euthanasia537 Words   |  2 PagesEuthanasia, or â€Å"good death,† refers to the practice of deliberately ending a life in order to relieve pain and suffering. Euthanasia’s applications include physician-assisted suicide and mercy killing. Advocates claim that patients have the right to choose a quick, dignified death over a life of â€Å"suffering.† Suffering encompasses multiple descriptions, from terminal illness to congenital disorders, such as Down Syndrome—even though it is proven that people with such disorders can live a fulfillingRead MoreWhy Suicide Is The Most Powerful1389 Words   |  6 Pagesit is emotional stress or even knowing death is inevitable. Those who contemplate suicide or have made attempts believe that there is no other solution. Humes ask the question. Are you actually better off dead because you believe something better is on the other side or is it due to the suffering that would follow if life were continued? What is actually bad about death? Of course all our material possessions we worked hard for would be memories left behind to our families and friends. While our bodiesRead MoreAja Riggs and the Ethics of the Right To Die2573 Words   |  11 Pagesethics, it views not only the impact on the patient, but also those surrounding the patient, for example family. Medical ethics cases include euthanasia, withdrawing treatment for fear of abuse, assisted suicide and abortion. Specifically, the case of Aja Riggs falls under the moral dilemma questioning the ability of patients to choose to be euthanized. Euthanasia is defined as â€Å"the act or practice of killing someone who is very sick or injured in order to prevent any more suffering.† Though, throughRead MoreMotives Behind Genocide : Genocide Negatively Affects Perpetrators By Perpetuating Distorted Thinking About The Self And Others1628 Words   |  7 Pagesthe perfect human population. Aspirations of eugenics can inspire genocide. For example, Adolf Hitler who is responsible for the genocide of millions of Jews had the mindset of eugenics. In the book, â€Å"The Origins of Nazi Genocide: From Euthanasia to the Final Solution†, communicates: â€Å"†¦scientists and physicians advocated†¦how†¦eugenic theories were absorbed and integrated into the nazi moveme nt† (Friedlander). This book addressed many positions, one of which was how Adolf Hitler applied eugenics to his

Monday, December 9, 2019

Communication and Documentation in Community Nursing free essay sample

This can be achieved by implementing and upholding good communication and documentation practice in every healthcare department (Miller Cameron, 2011). This briefing paper will provide an insight into the complexities of communication and documentation in community nursing when caring for children at end of life. It will highlight the areas in need of development and it will propose two options for the improvement of communication and documentation between different healthcare professionals in the community. This paper will also discuss different leadership and management theories and will present recommendations of how these theories can be applied to each proposal. Proposed options: Option A:Implementing weekly meetings with all healthcare professionals involved in the child’s care. Option B:Developing a policy to implement parent-held records in the home to document the child’s care, treatment, potential problems and concerns. Background: On a recent practice placement opportunity with a children’s home care team, one of the main problems encountered was the insufficient communication and documentation both within the home care team and between the team and other healthcare professionals involved in the care of children at end of life. It soon became apparent that not only was the lack of good communication and documentation affecting the healthcare professionals involved, it also had an immense impact on the parents of the children at end of life. On witnessing the distress this was causing to all parties involved, it was suggested that either weekly meetings be held or parent-held records be implemented in the home. The remainder of this paper will discuss how to implement these procedures and will identify the advantages and disadvantages of both options with respect to the healthcare professionals and the families involved. It will also discuss the different leadership and management styles those in managerial positions would benefit from in order to implement each option. Proposal: Option A Implementing weekly meetings with all healthcare professionals involved in the child’s care Aim:To improve communication and documentation between different healthcare professionals involved in the child’s care and to promote a streamlined plan of care for children at end of life Excellent communication between healthcare professionals is a vital component of effective end of life care in any setting (Lowery et al, 2012). However, it is even more important when communication and documentation crosses organisational boundaries (Gardner, 2003). When a child at end of life is being cared for in the home, numerous healthcare professionals will be involved. These include but are not limited to; community nurses, specialist nurses and doctors, GP’s, carers and social workers (DoH, 2009). Ensuring consistently good communication and documentation between all parties involved will guarantee excellent quality of care and it will enhance the patient and carer experience (Horwarth Morrison, 2011). Healthcare professionals are faced with continuous change and it is important for those in managerial positions to develop various leadership and management styles in order to effectively manage complex situations (Grimm, 2010). In order for weekly meetings between all healthcare professionals involved in the child’s care to be implemented, the key worker tasked with organizing this would benefit from adopting a situational leadership approach. Situational leadership can be described as adjusting a particular leadership style to deal with a particular situation or dilemma (Northouse, 2013). Although it is suggested that some straightforward or obscure situations are best dealt with through a task-orientated approach such as transactional leadership (Crevani et al, 2010), this particular situation would profit from a situational approach. Situational leaders are described as having the ability to recognize the presentation, commitment and competence of others and to be flexible in order to meet others needs (Lynch et al, 2011). Each of the healthcare professionals involved in the care of the child will have very difficult and demanding work schedules and adapting the situational leadership style will allow the key worker to recognize this and therefore will aid in their decisions on how to implement the weekly meetings (Whitehead et al, 2009). Implementing weekly meetings with all healthcare professionals involved in the child’s care has many advantages. As communication and documentation between all parties has been very dissatisfactory and caused distress to the patient’s parents, it is vital that all parties involved are familiar and up to date with the changing condition and treatment of the child and any problems or concerns that they may have. It is imperative that collaborative working in such an unpredictable and complex situation is done with efficiency and control (Brown et al, 2000). Implementing weekly meetings will provide the multi-disciplinary team with a joint understanding of the child’s current nursing, medical and social needs (Moules Ramsay, 2008). The weekly meetings will also allow the healthcare professionals to anticipate any changes in the child’s treatment and to develop necessary action plans to highlight each member of the team’s roles and responsibilities (Moules Ramsay, 2008). The disadvantages of implementing weekly meetings, as mentioned previously in the paper, is the fact that the healthcare professionals involved in the child’s care will no doubt have very difficult and demanding work schedules. They will have numerous children under their care and agreeing on a time and place for a collaborative weekly meeting between all parties involved will certainly have its limitations and may prove impossible (Gibson et al, 2012). To overcome these obstacles, the key worker may decide to implement weekly conference calls over the phone or by computerised video call. Not every organisation will have access to video calling but recent modernisation should allow each party to participate in conference calls by phone (Richter et al, 2001). Although weekly meetings between different healthcare professionals involved in a child’s care at end of life have proved very advantageous to many trusts and organisations (Carter et al, 2007), they have also demonstrated to be difficult to organise and manage (Pontin Lewis,2008). The ideal solution is for everyone involved to meet or speak in person but should this prove impossible, Option B – Developing a policy to implement parent-held records in the home to document the child’s care, treatment, potential problems and concerns may be the preferred alternative. Proposal: Option B Developing a procedure to implement parent-held records in the home to document the child’s care, treatment, potential problems and concerns. Aim:To improve communication and documentation between different healthcare professionals involved in the child’s care and to promote a streamlined plan of care for children at end of life Improving communication and documentation between different healthcare professionals involved in the care of a child at end of life is a clear necessity. When numerous parties are involved from different organisations, confusion and miscommunication can cause severe distress and undue harm to the child and their family (Anderson, 2013). The quality of care a patient receives relies heavily on appropriate and correct communication and documentation between all healthcare professionals engaged in the child’s care (Tjia et al, 2009). Avoiding miscommunications and providing clear records will allow each caregiver to provide and receive accurate and timely information about the child and the care they have received (NMC, 2009). Implementing appropriate and effective procedures for such communication and documentation will prevent any unnecessary distress or harm to the child and their parents. When initiating the procedure to implement parent-held records in the home to document the child’s care, treatment, potential problems and concerns, those in managerial positions responsible for such input may achieve rapid success if they were a transformational leader. Transformational leaders convey a clear image of the future (Cherry, 2014). They can identify how to provide motivation to their team and to encourage them to practice within the team’s vision (Sims et al, 2009). If members of the multidisciplinary team are allowed to participate in initiating new procedures, they will feel important and will develop a part-ownership of the potential outcome, allowing the final result to be achieved (Rolfe 2011). Transformational leaders have been depicted as following a democratic approach to leadership. Democratic leaders consider their team will succeed if motivated and provided with opportunities to demonstrate autonomy (Bass, 2008). Some disadvantages have been noted when taking a democratic approach to leadership. It was suggested that the autocratic style of leadership is more efficient because rather than controlling their team members, the democratic leader merely guides them (Whitehead et al, 2009). However, in order for parent-held records to be implemented, every member of the multi-disciplinary team must be compliant. To deliver quality care and implement new procedures, transformational leaders can ensure their team is committed to the new process (Malloy Penprase, 2010). Advantages to implementing parent-held records include consistent record keeping between all healthcare professionals, carers and parents of the child. This allows for each healthcare professional to view and assess what care and treatment has been provided by other healthcare professionals previous to their current home visit. It permits the parents of the child to input any concerns they have and to note any changes in their child’s condition. It is an ideal alternative to implementing weekly meetings between all healthcare professionals involved in the child’s care. Disadvantages to note on implementing parent-held records are compliance of healthcare professionals, inaccurate information being entered and individual hand writing skills. Every healthcare professional involved in the child’s care must be committed and consistent in keeping the parent-held records up to date. They must ensure their written communication skills are of an excellent standard and that all notes are clear and concise. Parent-held records have shown to improve nursing care of the child being nursed in the home. They have shown improvements in nursing practice and therefore have led to continuous high quality of care for children and their families (RCN, 2011). Conclusion: Excellent communication skills and careful documentation are an important part of nursing practice, whether in the clinical or community setting (Perry Potter, 2014). One of the fundamental aims for nurses in all areas is to safeguard the welfare of their patients and service users (RCN, 2007). This can be achieved by implementing and upholding good communication and documentation practice in every healthcare department (Miller Cameron, 2011). This briefing paper has provided an insight into the complexities of communication and documentation in community nursing when caring for children at end of life. It has highlighted the areas in need of development and it has proposed two options for the improvement of communication and documentation between different healthcare professionals in the community. This paper has also examined the different leadership and management styles required by those in managerial positions need to adopt in order to implement each option discussed. It has also presented recommendations of how these leadership and management styles can be applied to each proposal. Being able to identify the different leadership styles relevant to their nursing practice enables those in managerial positions to implement innovative policies and procedures. Recognizing the leadership and management styles discussed in this paper allows nurses to enhance their skills and therefore become capable leaders. Implementing either strategy will improve the nursing care provided to children at end of life and will enhance the healthcare professionals goals of achieving excellent communication and documentation skills between each member of the multi-disciplinary team. .

Monday, December 2, 2019

La Sorciere Qui Avait Peur Essays - Maquis Des Vosges,

La Sorciere Qui Avait Peur Rapport de Livre La sorci?re qui avait peur Le livre j'ai lu est appel? La Sorci?re qui avait peur. Ida, une jeune sorci?re rencontre des problemes le soir de l'Halloween. Mais quand elle rencontre un jeune fant?me aide Ida, et ils s'amusent tout le soir! Dans les ann?es passees, Ida faisait des tours sur des autres et elle savait des charmes comme l'arri?re de sa main, mais maintenant elle a oublie tous ces charmes. Elle est tr?s triste et f?ch?e, elle est si f?ch?e qu'elle detruit pratiquement sa chambre, et quand elle fait cela, son balai tombe de la fen?tre et dispara?t compl?tement! Imagine, une sorci?re quelques jours avant l'Halloween et sans balai! Ida regarde partout dans le village pour son balai, mais sans succ?s. C'est maintenant le 30 octobre, et elle l'a ni charmes et ni balai! Elle marche ensuite devant un cimeti?re et un fant?me qui saute devant elle en criant ? Boo! ?. Les deux parlent, et Ida lui explique ses probl?mes. Le fant?me semble heureux, et amene Ida a un foret tr?s sombre et myst?rieuse. Dans la foret, le fant?me semble connaitre la route comme si il allait tous les jours. Finalement, Ida et le fant?me arrivent a une vieille cabane avec des os, des plumes et toutes sortes d'objets sinistres dans la fen?tre. Les deux entrent et voient une femme tr?s agee. Cette femme a donne un nouveau balai, et un livre de charmes a Ida. Ida aura une Halloween aimable apr?s tout. Le soir d'Halloween Ida et le fant?me parcourent les rues en faisant peur aux enfants pendant tout le soir. J'ai pense que c'?tait un bon livre mais c'?tait un peu trop facile. Supernatural Issues

Wednesday, November 27, 2019

Biography of Grigori Rasputin

Biography of Grigori Rasputin Rasputin was a self-proclaimed ‘Mystic’ who gained great influence over the Russian royal family because they believed he could cure their son’s hemophilia. He caused chaos in the government and was murdered by conservatives seeking an end to his humiliations. His actions played a small part in the onset of the Russian Revolution. Early Years Grigori Rasputin was born into a peasant family in Siberian Russia in the late 1860s, although the date of his birth is uncertain, as is the number of siblings, even those who survived. Rasputin told stories and kept his facts confused. He claimed he developed mystical skills at age 12. He went to a school but failed to become academic, and after adolescence earned the name ‘Rasputin’ for his actions drinking, seducing and engaging in crime (violence, theft, and rape). It derives from the Russian for ‘dissolute’ (although supporters claim it derives from the Russian word for crossroads, as his village and his reputation is unwarranted).Around the age of 18, he married and had three surviving children. He may have experienced some sort of religious epiphany and traveled to a monastery, or (more likely) he was sent as a punishment by the authorities, although he didn’t actually become a monk. Here he encountered a sect of masochistic religious extremist s and developed the belief that you became closest to God when you had overcome your earthly passions and the best way to achieve this was through sexual exhaustion. Siberia had a strong tradition of extreme mysticism which Grigori fell straight into. Rasputin had a vision (again, possibly) and then left the monastery, married, and began to travel around Eastern Europe working as a mystic who claimed prophecy and healing while living off donations before returning to Siberia. Relationship with the Tsar Around 1903 Rasputin arrived in St. Petersburg, near a Russian court that was deeply interested in the esoteric and the occult. Rasputin, who combined a dirty, scruffy appearance with piercing eyes and evident charisma, and who proclaimed himself a wandering mystic, was introduced to court by members of the church and the aristocracy, who were looking for holy men of common stock who would appeal to the court, and who would thus boost their own importance. Rasputin was perfect for this, and was first introduced to the Tsar and Tsarina in 1905. The Tsar’s court had a long tradition of holy men, mystics and other esoteric people, and Nicholas II and his wife were heavily involved in the occult revival: a succession of con people and failures went through, and Nicholas thought he was in contact with his dead father.1908 saw arguably the crucial event of Rasputin’s life: he was called to the royal palace while the Tsar’s son was experiencing hemophiliac bleeding. Whe n Rasputin appeared to have aided the boy, he informed the royals that he believed the future of both the boy and the ruling Romanov dynasty were deeply connected to him. The royals, desperate on behalf of their son, felt desperately indebted to Rasputin and allowed him permanent contact. However, it was in 1912 when his position became unassailable, due to a very lucky coincidence: the Tsarina’s son fell almost fatally ill during an accident and then a coach ride and experienced a sudden recovery from a near-fatal tumor, but not before Rasputin was able to telephone through some prayers and claims to have interceded with god.During the next few years, Rasputin lived something of a double life, acting as a humble peasant while around the immediate royal family, but outside living a debauched lifestyle, humiliating and seducing noble women, as well as drinking heavily and consorting with prostitutes. The Tsar rejected complaints leveled against the mystic, even exiling some of his accusers. Compromising photographs were hushed up. However, in 1911 the dissent became so great Prime Minister Stolypin issued the Tsar with a report on Rasputin†™s actions, which prompted the Tsar to bury the facts.   The Tsarina remained both desperate for aid for her son and in Rasputin’s thrall. The Tsar, also afraid for his son, and pleased that the Tsarina was placated, now ignored all complaints.   Rasputin also pleased the Tsar: Russia’s ruler saw in him the sort of simple peasant rusticity they hoped would support them in leading a return to a more old fashioned autocracy. The royal family felt increasingly isolated and welcomed what they thought was an honest peasant friend. Hundreds would come to see him. Even his blackened fingernail clippings were taken as relics. They wanted his magical powers for their ills and his powers over the Tsarina for more earthly issues. He was a legend across Russia, and they bought him many gifts. They were the Rasputinki. He was a huge fan of the phone, and could almost always be reached for advice. He lived with his daughters. Rasputin runs Russia When in 1914 World War I began, Rasputin was in the hospital after he’d been stabbed by an assassin, and he was against the war until he did a U-turn having realized the Tsar was going ahead anyway. But Rasputin began to have doubts about his abilities, he felt he was losing them. In 1915 Tsar Nicholas personally took over the military operations to try and halt Russia’s failings, replacing a man Rasputin had arranged to have replaced. He traveled to the front, leaving Alexandria in charge of internal affairs.Rasputin’s influence was now so great he was more than simply the Tsarina’s advisor, and he began to appoint and fire people to and from positions of power, including the cabinet. The result was a carousel which depended entirely on Rasputin’s whims than any merit or status, and a swift succession of ministers who were sacked before they could learn the job. This created massive opposition to Rasputin and undermined the entire ruling Romanov re gime Murder There were several attempts on Rasputin’s life, including a stabbing and soldiers with swords, but they failed until 1916, when supporters of the autocracy- including a Prince, a Grand Duke and a member of the Duma- joined forces to kill the mystic and save the government from any further embarrassment, and stop calls to replace the Tsar. Also crucial to the plot was a personal matter: the ringleader may have been a self-hating gay man who had asked Rasputin to ‘cure’ him, but who became involved in an unusual relationship with him. Rasputin was invited to Prince Yusupov’s house, where he was given a poisoned meal, but as he failed to die immediately he was shot. Although injured Rasputin tried to flee, where he was shot again. Then the group bound Rasputin and threw him into the Neva River. He was twice buried and dug up, before being cremated by a roadside.Kerensky, a man who led the provisional government in 1917 after the revolution replaced the Tsar, a nd who knew a thing or two about failing to govern the divided nation, said that without Rasputin there would have been no Lenin. This was among the other causes of the Russian Revolution. The Romanov rulers werent just deposed, but executed by the Bolsheviks falling as Rasputin predicted.

Saturday, November 23, 2019

Domestication History of Squashes (Cucurbita spp)

Domestication History of Squashes (Cucurbita spp) Squash (genus Cucurbita), including squashes, pumpkins, and gourds, is one of the earliest and most important of plants domesticated in the Americas, along with maize and common bean. The genus includes 12-14 species, at least five of which were domesticated independently, long before European contact in South America, Mesoamerica, and Eastern North America. Five Main Species The designation cal BP means, roughly, calendar years ago before the present. Data in this table has been assembled from a variety of available sources, listed in the bibliography for this article. Name Common Name Location Date Progenitor C. pepo spp pepo pumpkins, zucchini Mesoamerica 10,000 cal BP C. pepo. spp fraterna C. moschata butternut squash Mesoamerica or northern South America 10,000 cal BP C. pepo spp fraterna C. pepo spp. ovifera summer squashes, acorns Eastern North America 5000 cal BP C. pepo spp ozarkana C. argyrosperma silver-seeded gourd, green-striped cushaw Mesoamerica 5000 cal BP C. argyrosperma spp sororia C. ficifolia fig-leafed gourd Mesoamerica or Andean South America 5000 cal BP unknown C. maxima buttercup, banana, Lakota, Hubbard, Harrahdale pumpkins South America 4000 cal BP C. maxima spp adreana Why Would Anybody Domesticate Gourds? Wild forms of squashes are harshly bitter to humans and other extant mammals, but there is evidence that they were harmless to mastodons, the extinct form of elephant. Wild squashes carry cucurbitacins, which can be toxic when eaten by smaller bodied mammals, including humans. Large-bodied mammals would need to ingest a huge amount to have an equivalent dose (75-230 whole fruits at once). Interestingly, when the megafauna died off at the end of the last Ice Age, wild Cucurbita declined. The last mammoths in the Americas died off about 10,000 years ago, around the same time squashes were domesticated. See Kistler et al. for a discussion. Archaeological understanding of squash domestication process  has undergone a considerable rethinking: most domestication processes have been found to have taken centuries if not millennia to complete. In comparison, squash domestication was fairly abrupt. Domestication was likely in part the result of human selection for different traits related to edibility, as well as seed size and rind thickness. It has also been suggested that domestication may have been directed by the practicality of dried gourds as containers or fishing weights. Bees and Gourds Evidence suggests that cucurbit ecology is tightly bound up with one of its pollinators, several varieties of an American stingless bee known as Peponapis or the gourd bee. Ecological evidence (Giannini et al.) identified a co-occurrence of specific types of cucurbit with specifics type of Peponapis  in three distinct geographic clusters. Cluster A is in the Mojave, Sonoran and Chihuahan deserts (including P. pruinosa); B in the moist forests of the Yucatan peninsula and C in the Sinaloa dry forests. Peponapis bees may well be crucial to understanding the spread of domesticated squash in the Americas, because bees apparently followed the human movement of cultivated squashes into new territories. Lopez-Uribe et al. (2016) studied and identified molecular markers of the bee P. pruinosa in bee populations throughout North America. P. pruinosa today prefers the wild host C. foetidissima, but when that is not available, it relies on domesticated host plants, C. pepo, C. moschata and C. maxima, for pollen. The distribution of these markers suggests that modern squash bee populations are the result of a massive range expansion from out of Mesoamerica into the temperate regions of North America. Their findings suggest that the bee colonized eastern NA after C. pepo was domesticated there, the first and only known case of a pollinators range expanding with the spread of a domesticated plant. South America Microbotanical remains from squash plants such as starch grains and phytoliths, as well as macro-botanical remains such as seeds, pedicles, and rinds, have been found representing C. moschata squash and bottle gourd in numerous sites throughout northern South American and Panama by 10,200-7600 cal BP, underlining their probable South American origins earlier than that. Phytoliths large enough to represent domesticated squash have been found at sites in Ecuador 10,000-7,000 years BP and the Colombian Amazon (9300-8000 BP). Squash seeds of Cucurbita moschata have been recovered from sites in the Nanchoc valley on the lower western slopes of Peru, as were early cotton, peanut, and quinoa. Two squash seeds from the floors of houses were direct-dated, one 10,403–10,163 cal BP and one 8535-8342 cal BP. In the Zaà ±a valley of Peru, C. moschata rinds dated to 10,402-10,253 cal BP, alongside early evidence of cotton, manioc and coca. C. ficifolia was discovered in southern coastal Peru at Paloma, dated between 5900-5740 cal BP; other squash evidence that has not been identified to species include Chilca 1, in southern coastal Peru (5400 cal BP and Los Ajos in southeastern Uruguay, 4800-4540 cal BP. Mesoamerican Squashes The earliest archaeological evidence for C. pepo squash in Mesoamerica comes from excavations carried out during the 1950s and 1960s in five caves in Mexico: Guil Naquitz in Oaxaca state, Coxcatln and San Marco caves in Puebla and Romero’s and Valenzuela’s caves in Tamaulipas. Pepo squash seeds, fruit rind fragments, and stems have been radiocarbon dated to 10,000 years BP, including both direct dating of the seeds and indirect dating of the site levels in which they were found. This analysis allowed also to trace the dispersion of the plant between 10,000 and 8,000 years ago from south to north, specifically, from Oaxaca and southwestern Mexico toward Northern Mexico and the southwestern United States. Xihuatoxtla rockshelter, in tropical Guerrero state, contained phytoliths of what may be C. argyrosperma, in association with radiocarbon dated levels of 7920/- 40 RCYBP, indicating that domesticated squash was available between 8990-8610 cal BP. Eastern North America In the United States, early evidence of initial domestication of Pepo squash comes from different sites from the central midwest and the east from Florida to Maine. This was a subspecies of Cucurbita pepo called Cucurbita pepo ovifera and its wild ancestor, the inedible Ozark gourd, is still present in the area. This plant formed part of the dietary complex known as the Eastern North American Neolithic, which also included chenopodium and sunflower. The earliest use of squash is from the Koster site  in Illinois, ca. 8000 years BP; the earliest domesticated squash in the midwest comes from Phillips Spring, Missouri, about 5,000 years ago.   Sources Dillehay TD, Rossen J, Andres TC, and Williams DE. 2007. Preceramic Adoption of Peanut, Squash, and Cotton in Northern Peru. Science 316:1890-1893.Fuller DQ, Denham T, Arroyo-Kalin M, Lucas L, Stevens CJ, Qin L, Allaby RG, and Purugganan MD. 2014. Convergent evolution and parallelism in plant domestication revealed by an expanding archaeological record. Proceedings of the National Academy of Sciences 111(17):6147-6152.Giannini TC, Lira-Saade R, Ayala R, Saraiva AM, and Alves-dos-Santos I. 2011. Ecological niche similarities of Peponapis bees and non-domesticated Cucurbita species. Ecological Modelling 222(12):2011-2018.Hart JP, Brumbach HJ, and Lusteck R. 2007. Extending the Phytolith Evidence for Early Maize (Zea mays ssp. mays) and Squash (Cucurbita sp.) in Central New York. American Antiquity 72(3):563-584.Kistler L, Newsom LA, Ryan TM, Clarke AC, Smith BD, and Perry GH. 2015. Gourds and squashes (Cucurbita spp.) adapted to megafaunal extinction and ecological anachronism through domestication. Proceedings of the National Academy of Sciences 112(49):15107-15112. Lira R, Eguiarte L, Montes S, Zizumbo-Villarreal D, Marà ­n PC-G, and Quesada M. 2016. Homo sapiens–Cucurbita interaction in Mesoamerica: Domestication, Dissemination, and Diversification. In: Lira R, Casas A, and Blancas J, editors. Ethnobotany of Mexico: Interactions of People and Plants in Mesoamerica. New York, NY: Springer New York. p 389-401.Là ³pez-Uribe MM, Cane JH, Minckley RL, and Danforth BN. 2016. Crop domestication facilitated rapid geographical expansion of a specialist pollinator, the squash bee Peponapis pruinosa. Proceedings of the Royal Society of London B: Biological Sciences 283(1833).Patton PE, and Curran S. 2016. Archaic Period Domesticated Plants in the Mid-Ohio Valley: Archaeobotanical Remains from the County Home Site (33at40), Southeastern Ohio. Midcontinental Journal of Archaeology 41(2):127-158.Piperno DR. 2011. The Origins of Plant Cultivation and Domestication in the New World Tropics: Patterns, Process, and New Developments. Current Anthropolog y 52(S4):S453-S470. Piperno DR. 2016. Phytolith radiocarbon dating in archaeological and paleoecological research: a case study of phytoliths from modern Neotropical plants and a review of the previous dating evidence. Journal of Archaeological Science 68:54-61.Ranere AJ, Piperno DR, Holst I, Dickau R, and Iriarte J. 2009. The cultural and chronological context of early Holocene maize and squash domestication in the Central Balsas River Valley, Mexico. Proceedings of the National Academy of Sciences 106:5014-5018.Sanjur OI, Piperno DR, Andres TC, and Wessel-Beaver L. 2002. Phylogenetic relationships among domesticated and wild species of Cucurbita (Cucurbitaceae) inferred from a mitochondrial gene: Implications for crop plant evolution and areas of origin. Proceedings of the National Academy of Sciences 99(1):535-540.Simon ML. 2011. Evidence for variability among squash seeds from the Hoxie site (11CK4), Illinois. Journal of Archaeological Science 38(9):2079-2093.Smith BD. 2011. The Cultural Context of Plant Domestication in Eastern North America. Current Anthropology 52(S4):S471-S484. Smith BD. 2006. Eastern North America as an independent center of plant domestication. Proceedings of the National Academy of Sciences 103(33):12223-12228.Zheng Y-H, Alverson AJ, Wang Q-F, and Palmer JD. 2013. Chloroplast phylogeny of Cucurbita: Evolution of the domesticated and wild species. Journal of Systematics and Evolution 51(3):326-334.

Thursday, November 21, 2019

Individual Report Essay Example | Topics and Well Written Essays - 2000 words - 4

Individual Report - Essay Example The fundamental principle towards achieving a successful integrated marketing strategy for a product entails both the combination of the traditional and the non-traditional marketing promotional methods, to enhance the synergies of different promotional tactics, such that together, they can produce brand equity for the product. The creation of a synergy for different promotional tactics ensures that the weakness associated with one promotional tactic is offset by the strengths of the other promotional methods, thus building a marketing strategy for a brand that is consistent, clear and easily understandable, and which increases the impact of the marketing campaign (Zvobgo & Melewar, 2011:12). Thus, this discussion seeks to establish Strategic marketing communications approach that can be applied towards ensuring the success of Sony and its SP3 product, with a view to applying a combination of different promotional strategies, to tell the overall product story of (PlayStation 3) to the market. To achieve this, the discussion will seek to establish the weakness associated with each of the available promotional tactics for the products and determine how each of the weaknesses is offset by the application of an integrated system of various marketing promotional tactics. The suitable marketing approach that has been devised for Sony is the APPD approach. The APPD marketing approach focuses on the application of four key marketing strategies; Advertising, Personal selling, Public Relations and Direct marketing as the basis of a product promotion. Under this strategic marketing approach, both the traditional and the non-traditional marketing tactics are applied, to enhance a synergy that increases the impact of the advertising and promotional campaign. Advertising is one of the marketing tactics that will be combined with the other three components of the devised APPD marketing approach for SP3 product,

Tuesday, November 19, 2019

Assignment Case Study Example | Topics and Well Written Essays - 250 words - 3

Assignment - Case Study Example The two main principles comprises of the superior quality and the superior efficiency. The superior efficiency include the experience curve and the learning effect   (Hill & Jones, 2013). On the other hand, the superior quality entails its excellence and reliability. As illustrated in the diagram below Superior efficiency can gladly be achieved through designing products for easy manufacturing and organizing self-managing institutions. Additionally, it was evident from the study that the superior quality can be achieved by finding ways of measuring the quality and reduce costs and error. Another important principle that was all evident in the study is superior innovation. In ‘superior design, there are proper principles when better design and good process of manufacturing are in place. For instance the average time between the part failure rose from 2500 hrs to 170000 hrs. There was a massive improvement that rose from the best manufacturing and design

Sunday, November 17, 2019

Teaching Essay Example for Free

Teaching Essay 1.1 How teaching assistant can support the teacher in planning, teaching and evaluation of learning activities. Prior to the lesson I requested a copy of the teachers’ plans and after discussions we were able to agree using a variety of lesson plans, teaching methods, and implement targets to provide the most effective support to pupils and their needs, this gave me a clearer understanding of the learning that was going to take place and allow me time to familiarising myself with the subject matter, learning objectives and outcomes, this would also assist me to prepare any resources required for the planned lesson ahead. After agreeing the objectives of the lesson ‘Drip Drop’, were to explore some of the properties of water, to explore absorbent and non-absorbent materials and to find out how water drops behave on different surfaces. By asking for copies of the teacher’s long, medium, short-term planning, this helped me to provide extra support in the classroom by developing my understanding of the weeks and daily planning process and to set learning objectives, preparing, assessing and recording pupils’ participation and progression allow the teacher to see how effective my teaching is and whether the pupils are making progress in their learning. The role of the teacher is to supply a safe and supervised classroom for the pupils to learn in, encourage pupil learning by planning, preparing and delivering lessons in relation to the National Curriculum and meet school target whilst maintain its policies. The teacher assesses records and report on pupil’s progress and achievements and liaise with parents, sometimes attending meetings or responsible for literacy or science. Preparing the classroom for the lesson, checking the correct materials available to carry out the activity helps the teacher. Observation and monitoring of pupils work during the task helps me to make assessments to see if the learning has been successful and give feedback to the pupil and teacher on individuals performance or responses, if they have any problems, by doing this it helps me to make well-informed judgements about a pupils learning and progress and make any changes necessary to the activity. 1.2 Information the teaching assistant would require before supporting learning activities From the daily lesson plan I am able to identify the materials required for the lesson to complete the task. After reading the pupil’s records and initial assessment a decision was made to put the more experienced pupils with the ones who were not as confident to enable them to assist, encourage, help and work together to complete the task successfully. A class discussion was held to see if the pupils could think of the materials which would be required to complete the task I then wrote the answers on the whiteboard. The materials were absorbent and non-absorbent materials like plastic, paper and cardboard etc and things with which to make water drops for example, straws, plastic pipettes, and clean eye droppers, as water was going to be used a non toxic coloured paint was required to put in the water to make it easier to see, because I used the last of the cardboard I wrote this down on the reorder list. I emphasised everyone needed to act sensibly because sharp items were going to be used. I showed the class how to make drops with the different kinds of objects and gave them time to practice making water drops and try to make drops of different sizes. When they had mastered this I asked the pupils to drip onto samples of different materials. I asked them to see what happened when two, or more, drops meet, on a hard and non-absorbent surface. Later I separate the pupils into pairs and asked them: Can they race their drop with a friend? 1.3 The sorts of problems that may occur when supporting learning activities Informing the teacher before removing unwanted chairs made sure there was sufficient space for the pupils and equipment to work safely prior to the learning activity and by placing four pupils on each table gave better access to the water tubs and avoiding pupils pushing each other. The pipettes and resources were placed safely in the middle of each table. Before the lesson it was explained to suck the water up the straw was dangerous and requested the pupils to just dip the straw in the water, I asked if they knew why and explained about choking and emphasised about being sensible, the pupils’ then put on their aprons to protect their clothing. The pupils who found listening difficult, I put the questions onto laminated cards for easy reference explaining that I was going to ask those questions about the information later. I also wrote down the key questions on the whiteboard. Can you make different size drop? What happens to the drops when you drip them onto different surfaces? Can you make two drops join? What Happens? Whilst monitoring I removed a pupil from the activity for putting the pipette in his ear. The child was placed away from the activity, asking the pupil if he understood why he had been separated it was explained if he wanted to rejoin the activity he would need to act sensibly, after 10 minutes the pupil calmed down, and was asked to rejoined the group, giving the pupil encouragement and praise for better behaviour enabled the pupil to complete the task successfully. When the activity had finished I discussed with the pupil his behaviour and found he was upset because his hamster had died, I later discussed this with the teacher. After shutting the windows I relocated a pupil to a quieter part of the classroom as the noise of grass cutting was causing a distraction. The hot weather made the room too warm, two pupils started to flick each other with water I opened the classroom door to reduce the temperature and with a direct look and raised eyebrow showed displeasure at the pupils then separated them. Noticing one of the cheerful pupils was rather withdrawn and after talking they revealed that their Nan had died that morning I reassured the pupil and asked if they would like to read a poem about water, I then informed the teacher. Encouragement by praising their progress was given to the pupils with low confidence and pupils who finished their task early were asked to write a poem about their observations or about the drop race. After the activity was complete we had a class discussion asking pupils, how do you think it went? What would you do differently? I then asked the pupils to write down their observations in their books with correct date. 1.4 Strategies a teaching assistant may use to support pupils learning By using questions ‘What we think will happen’?, and writing down all the key points this confirmed the pupils understood the instructions prior to the activity and helped the class know what was expected of them. Placing the low confident pupils at the front of the class and rephrasing questions enabled them to understand the instructions more clearly. After discussion with another teaching assistant it was decided to enlarge the worksheet to A3 size to make it easier for the pupils who were struggling, encouraging them to write down their ideas then stick them onto the worksheet later and giving praise when the task was completed. Separating pupils into groups allowed the development of peer support activities and cooperative learning, allowing the pupils to benefit by learning and supporting each other. The pupils with confidence worked on their own initiative were able to write their own ideas directly onto the worksheet. Bandura, Skinner, Piaget and Vygotsky discuss that cognitive development occurs at an individual rate and cultures teaches a person what to think as well as how to think. I agree that children are not just passive discovers, they are constantly trying to make sense of the information they see, hear, feel and discover enabling some children to develop quicker than others. At the end of the activity reward stickers were given for using the correctly vocabulary in their poems and a discussion was held by using open-ended questions of (how, what, why?) this provided me with more information to enable me to assess the pupils’ learning and understanding and provide me with the information required to feedback later to the teacher 1.5 Providing feedback on learning activities to the teacher Both during and after supporting the learning activity, I recorded the pupils’ participation and progression and met later with the teacher, to give feedback regarding the issues encountered during the activity, I discussed the pupil who’s relative died and about the pupil behaving inappropriately during the session and being separated from the group. I informed the teacher why the worksheet was enlarged and why the laminated card was useful. I also explained I gave out some stickers for correct spelling and punctuation.

Thursday, November 14, 2019

FGF Signaling and Early Lung Development Essay -- Biology, Lung

Epithelial-mesenchymal interactions mediate organogenesis, which results from the activation of complex gene networks. Early respiratory development arises from the foregut endoderm and gives rise to tracheal and lung progenitor cells. Recent studies have linked fibroblast growth factor, Wnt, and other signaling pathways to the initial stages of lung development. Cells respond to signaling proteins mainly though transcription factors that ultimately determine cell fate and pattern formation. Gain and loss-of-function studies have facilitated the identification and functionality of molecular components as part of development. Fibroblast growth factor (FGF) signaling plays an important role in the regulatory network present in embryonic pulmonary development. FGF controls cell proliferation, differentiation and pattern formation; however, the interaction of FGF with other signaling pathways is still questioned by researchers. FGF-7 and FGF-10 are important for patterning and growth of the lung bud and are differentially regulated by FGF-1 and FGF-2. Research has shown FGF is an important factor in respiratory development as it regulates the expression of other signaling pathways. Said molecular events involving FGF signaling drive key phases of pulmonary development and thus the understanding of these key segmental mechanisms gives way to new knowledge of pathogenesis involving congenital anomalies, helping to develop innovative therapies to treat disease. Unless specifically mentioned, anything regarding expression patterns and developmental effects of morphogens, transcription and growth factors, or any other developmental factors effecting lung development are referenced from the murine lung. Accordingly, functional relevance... ...change, an extremely complicated process. The lung is an organ that contains a vast system of airways carefully constructed to achieve maximal surface area in a confined space. This helps to form an environment suitable for the bronchial and pulmonary vascular systems. These airways that grow out into the body, like a tree towards the sky, require careful guidance from many developmental factors such as transcriptional regulators, growth factors, morphogens and extra cellular matrix molecules. When mutations in the genes that control these factors occur, aberrations during lung development can arise and may lead to severe morbidity or mortality at birth due to respiratory failure. The FGF signaling pathway is one such signaling mechanism that is critical to proper lung formation, guiding branching morphogenesis and cellular proliferation of the developing lung.

Tuesday, November 12, 2019

Purinex Inc. Case Study Essay

Executive Summary 1. Statement of Problem This study is commissioned to analyze the Purinex, Inc. financing plan, which is related to determine the best financing alternative for the company in securing additional cash needed to establish a partnership with a large-capitalization pharmaceutical firm. Gilad Harpaz, Purinex’s chief financial officer believes a partnership deal could bring the company to execute its mission, developing drugs for the treatment of sepsis and diabetes. However, the problem facing Purinex is that—while there is a chance for Purinex to secure a partner in the next four to twelve months, Purinex just has available cash to last around 11 months; furthermore, there is still a very strong chance that a different partnership would occur about one year later. In short, Purinex is now facing the challenge of the lack of capital to reach the partnership deals. According to the case, Gilad Harpaz is considering three options for Purinex to solve the problem. To help identify the feasibility and attractiveness of these financing alternatives, this study is based on the decision tree approach to evaluate the options. 2. Discussion As described in the case, firstly, the partnership deal would entitle Purinex to receive a combination of up-front fees, milestone payments, and royalties for the treatment of either sepsis or diabetes (see Appendix 1 for the detailed information). Secondly, due to the lack of capital, there are three financing options: 1) raising a one-time round financing from a Venture Capital (VC) firm, 2) simply waiting in the expectation that either sepsis deal or the diabetes deal would come through, and 3) undertaking another one-time round financing from a number of angel investors. It is needed to note that when Purinex seeks external funding investments either from VC firm or angel investing, the investors will acquire certain equity in Purinex (see Appendix 2 for the expected ownership percentage). Nevertheless, if Purinex chooses to maintain 100 percent control, it would lose the opportunity to secure a third-party partnership which is anticipated to occur about one year later. The reason is that Purinex has only $700,000 cash on hand which is good only for around 11 months. It is important to note that this study is based on the following assumption—the  combination of monies for each partnership deal will be received once Purinex successfully secures a partner. In addition, the probability of establishing a partnership with a pharmaceutical company for the wait-6-months option is estimated to be 25% since the achieved partnership chance for the next four to twelve months is about 75% (see Appendix 3 for the calculation). Furthermore, the expected value (EV) for each financing option is derived from the calculation of the EV of the partnership deal, and it is based on the standpoint of the founder’s equity interest. As a result, the decision tree for Purinex’s financing plan is shown in Appendix 4. One can notice that based on the potential return and risk level, the financing alternative for waiting 6 months is ranked as the highest risk option in terms of offering the highest potential return. The reason is that Purinex does not have to share its earning with other parties. Thus, once the partnership agreement is reached, Purinex’s founders can obtain the entire EV of $325 million. However, the major risk associated with this option is Purinex has far less opportunity to secure a partner. While there is a 75% chance for VC and angel financing options to achieve the partnership deal, this option just has a 25% probability. Furthermore, the VC and angel financing options still hav e the other chance—a 95% probability—to secure a different partnership about one year later. With regard to the VC option and the Angel option, it seems like the VC option provides a higher return for the sources of cash since this option just takes 3 months to complete the process and could offer Purinex $10 million, which enables Purinex to survive another 15 years. In addition, the VC option will improve 10% for the terms of either drug deal. However, this study would consider financing from angel investors is more feasible and attractive for Purinex based on the analysis of decision tree. The decision tree shows the fact that VC firms would require 40 percent of the equity in Purinex, resulting in the situation of having less EV. Perhaps the most important factor is that there is a very strong chance—a 98.75% possibility (100% – [25% * 5%])—that a partnership deal will come through during the following two years, and thereby raising $2 million form angel investors is quite enough for Purinex to secure the partnership deal. In addition to the analysis of decision tree, there is still a qualitative consideration that has impact on structuring the decision. Indeed, with the external financing,  the existing owners share composition will be changed that would trigger the control power issue and impose a significant number of restrictions on Purinex, including preferences for board appointments, antidilution rights liquidity, participation, and negative covenants. Therefore, choosing the angel option would offset this negative impact because Purinex’s ownership percentage will still be 89.74%, which is much greater than a 60% for the VC option. 3. Recommendation Fundamentally, the goal of Gilad Harpaz is to seek the best financing alternative for Purinex in securing additional funds in order to accomplish the partnership deals and maximize the value of Purinex today. Based on the presented analysis of decision tree, a major finding of this study is that Gilad Harpaz should try to adopt and implement the angel financing strategy which has a maximum EV along with lower risk. However, with this strategy, the issue of dilution in the founder’s equity interest is still needed to be considered. In addition, in order to pursue the future growth, Purinex should try to employ the partnership strategy to generate more sales at a short period of time. Hence, this study believes, based on the decision tree approach, the best financing alternative for Purinex is financing with Angel investors along with the partnership strategy.

Sunday, November 10, 2019

Electoral Reform Green Paper: Strengthening Australia’s Democracy Essay

The term electoral system has broadly been used to refer to all elements of procedures used to choose or elect political representatives. However, the public discussion in Australian electoral system has narrowed down since the September polls. These include the mechanism voters preference over set of aspires are captured and further aggregated to produce the results of the elections. The description dismisses the important concerns considered critical criteria which should employed to select the groups, candidates and parties that will appear on the ballot paper. The two critical dimensions of the electoral systems are what Rae terms as ballot structure† and the â€Å"electoral formula.† According to Australian Government Electoral Reform Green Paper, (2013) the ballot structure is the choice of the electoral system that is presented to the electorate on the ballot papers and the procedures of recording their preferred candidate. Notably, the electoral formula is the ru le applied, given specific set of recorded electorates, to determine the victor or the winners. Ballot Structure of the Senate Elections Since 1934, it has been established that the ballot structure of the senate elections has been one full preferential candidate. Essentially, the electorate is the prima facie that the law permits to indicate the order of preference for every candidate appearing on the ballot paper. However, in 1948, the formula for electing the senate was changed from the originally majoritarian one to the version in which the single transferable vote proportional representation. As noted by Bonham, (2013) from the initial application of the system in 1949 until 1993, the number of candidates per vacancy steadily went up. Together with the increased number of senators from each state from six to ten in 1949, and from ten to twelve in 1984, the increased number of the electorate per vacancy produced a shocking growth in the ballot papers. Therefore, the increased length of the ballot papers coupled with the full preferential voting requirement encouraged voluminous number of the citizens to vote by si mply transcribing the numbers from how-to-vote cards given to the voters by the party agents at the polling stations. Furthermore, disparities are observable in the electoral systems as reported by Australian Government Electoral Reform Green Paper, (2013) in its argument, the party voting concept allows the candidates with low votes to legitimately build their votes up to the level of emerging a winner. Besides, the system insists that the votes transferred to them from other candidates must mirror the considered will of the electorate. Unlike the ticket voting, it permits the voters to adopt the preferred order of which they are ignorant of, or they are less concerned thereby surrendering their votes to parties. Besides, the party voting rather than voting individual candidates denies the voters absolute flexibility as a proportional representative voting system. Notwithstanding this, a trend emerged during the period of 1949 to 1983 for the senate elections to use the informal vote. Therefore, since 1970 to 1983, at every senate elections the rating of the informal voting nationally was over 9 percent. However, during the senate elections in 1974, in New South Wales, the voters had a task to order 73 senatorial candidates correctly for them to cast their votes formally. During the tenure of Whitlam Government, the stakeholders opted to retire the requirements for full preferential numbering; however, the overwhelming number of opposition senate in the opposition blocked the Bills. Finally, the current system of electoral system of ticket voting â€Å"above the line† voting system as well as full preferential electoral system referred to as â€Å"below the line† was introduced (Farrell & McAllister, 2003). Notable differences in the two electoral systems are identifiable in the procedures. In the preferential system, the electorate makes decisions on the most desirable candidate to the least. However, when no candidate attains the required majority votes, the candidates in possession of the least number of votes are awarded according to her or his wishes and the following preference is then counted. This process is repeated until that time a particular candidate attains an absolute majority. Unlike the proportional representation system, the above the line system in which the candidates are elected on the preference of their proportional representation in the party. Farrell & McAllister, (2003) points out that the elected surplus of the elected candidate votes of the first quota is then distributed in a fraction that values the continuing candidate of the next preference shown on the line. In a nutshell, the candidates are elected until vacancies are entirely filled. When selecting the senators, the voters use preferential voting system. The preferential voting system allows the voters to list the candidates in their preferred order. The Australian cross-party parliamentary committee has recommended tough and party rules and changes to the voting system of the senates. This is geared towards stopping the minor electoral games. The joint standard committee on electoral matters recommended the changing of the electoral laws for optional preferential above the line voting and optional partial below the line voting in the senate. According to the proposers, this would give the voters’ additional control over the flow of their preference by giving them the option to rank all the parties above the line (Farrell & McAllister, 2003). Above all, the process would make it easier for the electorate to choose to vote below the line requiring ranking a minimum of six candidates. The current senate voting laws, the voters have the power to choose one pa rty above the line. Besides, their preference flows are determined solely by the party, or they must number all the boxes below the line to distribute their preferred candidate evenly. Moreover, the current electoral system leads to election of senate candidates of those occupying their or second group of the popular party. This leads to election of the senators with very small votes. This system differs from the preferential representation system which their tally is an absolute indicator of their support by the people. In fact, in a preferential voting system, these are no scale of measuring popularity of senators. However, they are rather defined by the electorate in terms of comparison with the other candidates. In this voting system, it is easy to conclude on hypothetical examples in which the candidate with zero polls on first preference would have defeated all the other opponents in a head to head contest. The absolute difference in the two voting systems can also be observed in the strategic manipulation of voters, thus sacrificing democratic rights of the electorate. Strategically, most commentators have argued that ticket voting system can be manipulated by preference harvesting. Kelly, (2008) asserts that the system involves micro parties exchanging their voting tickets, hoping party with least votes would ascend to senate. The preference harvesting was clearly observable in the 2013 voting results. Essentially, the preference harvesting differs from the individual electoral process because t is pragmatic. Unlike the representative voting system which considers the ideological alignments of the electorate, the system is based on the basis where the electorate hardly has control on the outcome. It is established in the outcome of the elections that the above the line voting system has no credit to the voters. Above all fundamental differences in the two electoral processes, the outcome of the election should be determined by the wishes of the voters. In the evidence of the last election, there was no observable connection between the preference that the ticket voting system attributed to the voters and the ones they actually held. This raises a key difference in the electoral systems and on which covers the wills of the voters. Proportional representation The common feature of proportional representation is that the political parties must exceed a certain vote threshold in order to win the seats. It is clear that the previous election results have led to effortless demands for electoral reforms with the constitutional objectives addressed. Essential research done on the 2013 election found that the 38 percent of the small parties in the senate were beneficial for democracy. Besides, the most favorable, if the public opinion is to be observed is the abolition of the group voting tickets, currently operational. The proportional representation is critical to chapter seven of the constitution that requires the election process to be left in the conscious decisions of the voters. Thus, the obvious route to consciously respect the constitution in the electoral reforms is to copy the example of the New South Wales and distribute voting preference as the voters allocate them, or authorizes the voters to number the every box above the line. Additionally, the determination of the parties to respect section seven of the constitution is reflected in the representative voting system. According to section seven of the constitution, the senate shall be compost of senators for each state, directly elected by the electorate. Justifiably, the in 1984 the Chief Justice of the High Court rejected the above the line senate voting on grounds that the section required the voters vote for individual candidates as they wish to choose as senatorial representatives (Ghazarian & Monash University, 2010). However, the rule did not admit that above the line voting system amounted to any contradiction other than section seven. Notably, the principle that held by the proportional representation system of the electoral system of the senate must be based on choosing individual candidates rather than parties were, nevertheless, objective. As noted by (Kelly, 2012) more than a single authority involved in electoral reforms suggested that the voting system would be violated by the provisions that limited individual candidates in respect to aggregate of their party votes. Ideally, this is can be observed from the electoral threshold based on individual candidate would eliminate all the major party candidates with the exception of those at the top of the party ticket. Critics of the proportional representation voting system highlights that it not clear that the preference threshold would attain this. They assert that there might not be a handy alternative for challenging the above the line voting system that limited the candidates from choosing their preferred candidate. Besides, holding to the backers of the individuals with the good taste of the proportional representative voting, voting for the parties remains a constitutional disorder (Kelly, 2012). Arguably, it is unreasonable to penalize the political parties performing poorly for failing to meet the threshold seems to pass the consequences to the electorate who voted for them. Besides, democracy foundations of any conscious voting system respects the fact that the vote belongs to the electorate who registered, however, not to a particular party that the above the line voting which happen to give first preference to particular political parties. Happily, a report from Australian Government Electoral Reform Green Paper, (2013) asserts that the adoption of the proportional representative will grant observable credit to the most honest alternative of optional preferential voting above the line. Besides, the electoral body in the line of meeting section seven of the constitution examined photo identification, no-brainer of prohibiting people as serving the state as registered officers for more than a single party and tightening of the late campaign blackout. The senate electoral system should be changed to adopt the optional preferential voting. . The greatest impact of the 2013 election of preference harvesting should be abolished. Notably, the results of 2013 elections were unusual and interesting, preferably in the senate where small parties enter into back door negotiations. This raises the integrity of the voting process and the constitutional threshold. Holding that below the line voting system is constitutionally required, it is wise to argue that the basic criterion for election of the senate should that that puts the democratic rights of the voters in the heart. This can be achieved by allowing the voters to record their preferences truthfully and meaningfully. Therefore, considering the role of the senate in the constitutional reforms, the nearly and easily achievable deal is the OPV. However, the OPV does not achieve it fully. Essentially, the system does not permit the electorate to express equal preference for more than one candidate. Besides, it does not permit voting indifference to be shown with an exception from the least preferred candidate for the voter. The good news holds that the OPV does not require the voter to write large numbers on the ballot paper purporting to express preferences that are never held. But the system will ensure that the numbers on the ballot papers express the true preference of the voters. Besides, the introduction of the OPV below the line will automatically default the use of above the line voting. The key policy for implementation will be to use ne ballot paper to suffice the votes. The single ballot raises expresses as genuine preference the voter holds. Bonham, (2013) argues that unless the voters are required to write more than one ballot paper, vote exhaustion may lead to the election of candidates with less than a quota. Conclusion Voting in Australia is compulsory and uses preference ballot in single seats for the representatives of the house. Today, there are many parties that usually vie for the senate. Although it varies from state, dozens run and some parties gunners no votes. However, due to the preferential allocation system, it is equally possible to be elected to a senate even with less than 14.3 percent of the primary votes (Ghazarian & Monash University, 2010). For instance, in New South Wales the senate papers are printed in 7-point font and the voters are given magnifying lenses to read them. In a nutshell, proportional representation system is advised to lead to proportional results of the election. Besides, parties should win the senatorial seats on the proportion of their vote size. However, to uphold the integrity of the constitution, the senate should adopt democratic voting variations such as single transferable vote which votes for candidates rather than parties. References Australian Government.( 14 November 2013) Electoral Reform Green Paper: Strengthening Australia’s Democracy (2009), at Bonham, Kevin.( 14 November 2013) â€Å"Senate Reform: Change This System, But To What?†, at http://kevinbonham.blogspot.jp/2013/10/senate-reform-change-this-system-but-to.html, accessed Farrell, D. M., & McAllister, I. (January 01, 2003). The 1983 change in surplus vote transfer procedures for the Australian senate and its consequences for the single transferable vote. Australian Journal of Political Science, 38, 3, 479-491. Ghazarian, Z., & Monash University. (2010). Australian minor parties in transition in the Senate, 1949-2007. http://www.dpmc.gov.au/consultation/elect_reform/strengthening_democracy, accessed Kelly, N. (2008). Evaluating Australian electoral reforms: 1983-2007.Kelly, N. (2012). Directions in Australian electoral reform: Professionalism and partisanship in electoral management. Canberra: ANU E Press. Source document

Thursday, November 7, 2019

Analysis of Great Global Warming Swindle Essays

Analysis of Great Global Warming Swindle Essays Analysis of Great Global Warming Swindle Paper Analysis of Great Global Warming Swindle Paper and its Fourth Assessment Report in 2007. The most up-to- date figure for the Northern Hemisphere, from EPIC (2007), is reproduced in Figure 3, which shows 12 different reconstructions. These consistently show that, for the Northern Hemisphere, the past century is exceptionally warm, and that the warmth of recent decades clearly exceeds that of the Medieval Warm Period in all cases. The United States National Academies published a report in 2006 (NAS 2006) that reviewed the published scientific evidence on surface temperature reconstructions for the last 2000 years. It found that evidence for regional warmth during medieval times [centered around AD 1 000] can be found in a diverse but more limited set of records including ice cores, tree rings, marine sediments, and historical sources from Europe and Asia, but the exact timing and duration of warm periods may have varied from region to region, and the magnitude and geographic extent of the warmth are uncertain. 1 5 Based on a review of the scientific literature, the report concluded none of the large- scale surface temperature reconstructions show medieval temperatures as warm as the last few decades of the 20th century. Very clearly, the documentary has misrepresented the early EPIC figure, and ignored all EPIC updates to this figure. The analyses published by the EPIC strongly contradict the documentary. Another such scientific inaccuracy is the claim that the rising temperatures of the planet stared to plateau around 1940 and then didnt continue to rise again until 1970, and therefore that this represents evidence that human activities dont influence the climate. This is clearly a tactic employed by the movies makers and interviewees to manipulate the audience as the logic behind this is very flawed. The years leading up to and during the second World War were a time of great industrialization for many countries in the northern hemisphere (which contains a majority of the Earths landmass), causing large amounts of carbon dioxide to be pumped into the atmosphere. This industrialization also created a large amount of pollutants that stayed in the lower atmosphere which reflect incoming sunlight back into space, thereby causing temporary cooling. These lower level pollutants, including sulfate aerosols only have residency times of a few months (as opposed to about 1 00 years for CO)1 6 and therefore arming resumes (refer to figure 1 in appendix). The current data from the EPIC shows that since then, the temperature has been increasing faster than it has in the last 1 0,000 years 17. While there were clearly many attempts at manipulations and scientific errors in the Global Warming Swindle, there were a few valid points that were made. The argument that Global warming is (in some cases) being used in such a way that keeps developing countries from the rapid development needed to create better standards of living for the general population in a valid one. It is very simple for the theory to be seed in a way that makes actions such as preventing the use of fossil fuels in developing countries seem valid, despite the fact that this often a necessary step in the development process. Developed countries currently emit a vast majority of global greenhouse emissions and the media frequently depicts countries such as China and India as the colloquially termed bad guys because they refuse to maintain the necessary reductions in greenhouse emissions. The movie showed a short clip of an interview in a hospital in a rural area of an developing countries where the power from a solar panel was Leary not enough to power the hospital. Such instances are common in rural areas of Africa where Nags, in an attempt to reduce Global emissions, install inappropriate technologies. The movie is also has a sound format in that it is in documentary style? (disregarding the validity of the points presented), and it shows clips from various different scientists and Climate skeptics in different fields. Climate change Skeptic Bicorn Lombard has been criticized for using very few researchers belonging to a very narrow spectrum of fields to validate his clams 8. In comparison, The Global Warming Swindle has resented a decent number of sources and experts. The general format was also such that it intertwined interviews, narration and visual aids. This method is quite effective in maintaining the interest of the audience throughout the movie. The inaccuracies presented in AY Gores An Inconvenient Truth needed to be responded to and the general idea of creating a documentary to address this issue was a good one. AY Gore only barely presented the other side of the argument and there are some very valid cases relating to the fact that Global Warming may not have anthropogenic causes. In fact, if the Global Warming Swindle is correct in its assertion that Global warming isnt manmade then there really isnt much that can be done and our resources really would be better spent elsewhere and any real action would mean convincing every nation on Earth to cut down on fuel emissions-which data suggests, is unlikely. Despite these valid points, arguments can be made to the contrary, especially with consideration to their presentation and the omission of certain information. The Global Warming Swindle implies that there are official expectations for developing countries to cut emissions by the same amount s developed countries. This isnt true. The Kyoto protocol explicitly stated that there was nothing expected from developing countries in this regard 19. This was yet another attempt to manipulate the audience into believing the producers agenda. The inclusion of this fact may have made the movie seem a little more credible and balanced but this information is Omitted. For the most part, it is now understood that economic development has to go hand in hand with climate policy. There is currently no legitimate environmental movement that says that the worlds less developed should have their access o energy restricted. There is also a very valid argument to the effect that sustainable development is a possible route towards economic development. Regardless, even if sustainable development doesnt occur, the use of fossil fuels for development in developing countries wouldnt have a significant effect on the environment. Costs estimate that the upper bound for the annual cost of emissions reductions consistent with the stabilization of CO levels would equal about 1 % of the worlds GAP by 205020. This shows that, despite the cost, continual development is possible and that these actions will reverent the possible occurrence of Global Warming related phenomena that could have a detrimental effect to global development. The issue about how scientists now use the theory of manmade global warming to fund their research is completely true. On the other hand, this is not a new phenomenon. In order to prove or disprove a theory, scientists need to find sources of funding for their research. Obviously using arguably the most in vogue scientific issue of our time is an easy way to get funding. Before the theory of Global Warming was being researched, scientists still had to present their research and find modes of funding. Therefore using this as a way to argue that Global Warming isnt the result of anthropogenic greenhouse gases seems a weak argument that is rather off topic. The Great Global Warming Swindle does not represent the current state of knowledge in climate science. Skepticism in science is a healthy thing, and the presence of orthodox scientific skepticism in climate change is ubiquitous. Many of the hypotheses presented in the Great Global Warming Swindle have been considered and rejected by due scientific process. This documentary is far from an objective, critical examination of climate science. Instead the Great Global Warming Swindle goes to great lengths to present outdated, incorrect or ambiguous data in such a way as to grossly distort the true understanding of climate change science, and to support a set of extremely controversial views.

Tuesday, November 5, 2019

Definition and Examples of Mass Nouns in English

Definition and Examples of Mass Nouns in English A mass noun is a  noun (such as advice, bread, knowledge, luck, and work) that names things that, when used in English, cannot usually be counted. A mass noun (also known as a noncount noun) is generally used only in the singular. Many abstract nouns are uncountable, but not all uncountable nouns are abstract. The contrasting term is known as a  count noun. Examples and Observations Fun does not have a size.(Bart Simpson in The Simpsons, 2001)Wisdom is not a product of schooling but of the lifelong attempt to acquire it.(Albert Einstein)Curiosity killed the cat, but satisfaction brought it back.(Eugene ONeill)After silence, that which comes nearest to expressing the inexpressible is music.(Aldous Huxley)I seek constantly to improve my manners and graces, for they are the sugar to which all are attracted.(Og Mandino) Double Duty: Count Nouns and Mass Nouns James R. Hurford, Grammar: A Students Guide Some nouns can serve as both count and mass nouns. The noun war is an example. In war is ghastly, war is a mass noun, whereas in the wars between Rome and Carthage were ruinous, war is used as a count noun. Unusual Plurals R.L. Trask,  Mind the Gaffe! English nouns denoting things that cannot be counted, such as wine, coffee, and intelligence, do not easily form plurals in their central senses. Some of them, however, can be pluralized when they have transferred senses, such as varieties (Rhone wines), measures (four coffees), or embodiments (alien intelligences). You should not overuse such unusual plurals, however, since they can easily become pretentious, as they do in those silly signs announcing  ice creams and hair stylings. Distinctions Between Count Nouns and Mass Nouns Edward J. Wisniewski, On Using Count Nouns, Mass Nouns, and Pluralia Tantum: What Counts? Is there a conceptual basis for the grammatical distinction between count nouns and mass nouns? One answer is that this grammatical distinction is, to a very large degree, semantically opaque and unprincipled... In general, people learn which nouns are typically used as count nouns and which are typically used as mass nouns without any understanding of why these differences in syntax occur. Another answer is that the grammatical distinction between count and mass nouns is to a very large degree conceptually based. That is when speakers use count nouns to refer to things they implicitly have something in mind that they are trying to communicate that is common across all uses of count nouns. A similar view applies to the use of mass nouns. A third answer and the one that I propose is that the count-mass noun distinction is to a very large degree conceptually based, but there are exceptions. Some exceptions do not seem to have a clear explanation, but others may occur because of competi ng communicative functions of language. The Lighter Side of Mass Nouns Robin Sloan, Mr. Penumbras 24-Hour Bookstore Hi there, I say. Let me ask you a question. She giggles and nods. How would you find a needle in a haystack? The first-grader pauses, pensive, tugging on the green yarn around her neck. Shes really thinking this over. Tiny gears are turning; shes twisting her fingers together, pondering. Its cute. Finally, she looks up and says gravely, I would ask the hays to find it. Then she makes a quiet banshee whine and bounces away on one foot... Its so simple. Of course, of course. The first-grader is right. Its easy to find a needle in a haystack! Ask the hays to find it! Sources Hurford, James R. Grammar: A Students Guide. Cambridge University Press, November 25, 1994. Sloan, Robin. Mr. Penumbras 24-Hour Bookstore: A Novel. Paperback, Picador, September 24, 2013. Trask, R. L. Mind the Gaffe!: A Troubleshooters Guide to English Style and Usage. Harper Perennial, November 21, 2006. Wisniewski, Edward J. On Using Count Nouns, Mass Nouns, and Pluralia Tantum: What Counts? Things and Stuff: Mass Terms and Generics (New Directions in Cognitive Science), Oxford University Press, 2010.

Sunday, November 3, 2019

Critical Practice in Community Learning and Development- Writing Assignment - 1

Critical Practice in Community Learning and Development- Writing Communities - Assignment Example The content of this paper has three main overlapping aims. The first aim is to provide a detail and specific description on why literacy practices are important for enabling community learning and development. Secondly, this paper gives a theoretical understanding by linking literacy practices with how communities make their sense of living through daily practices. The content of this paper draws attention to vernacular literacy practices, which are often devalued, overlooked, and sometimes referred to hidden literacy practices. The main purpose of writing this essay is to show how literacy practices can help improve the learning of a group of sixteen young people of mixed gender who do not attend mainstream school due to their behavior and other issues. Currently, studies in learning and teaching languages have treated writing, reading, and grammar mastery as different personal skills. This is evident since nowadays language examination is in foreign languages and vernacular differently (Barton & Hamilton 1998, p. 17). In this paper, a more holistic and social view of studying language is approved since people currently vies literacy as the ability to understand textual world in different contexts and forms both in foreign languages and mother tongue(s). Most study materials then interpret literacy as an essential social practice, something the people in a community do with a number of texts to engage in social communities’ meaning making. Literacy practices involve the construction of values, knowledge, attitude, feelings, and beliefs associated with writing and reading of certain texts within a particular context (Barton & Hamilton 1998, p. 23). Literacy practice can be helpful to the group of sixteen young people who do n ot attend school to develop their way of reading and writing since the world is totally changing. Literacy practices realization can take place in particular live events. For instance, in a concrete function where texts are

Friday, November 1, 2019

Information Technology Strategic Plan Term Paper - 1

Information Technology Strategic Plan - Term Paper Example The objectives are feasible given that digital technology can work for both the clientele and the business The mission statement destined to integrate the needs of the company with those of the target market and understand drivers for loyalty and overall satisfaction guides Great Heights Events Planning Company. The mission statement is stated as follows; â€Å"Our mission is to surpass the expectations of customers and create memories that will last a lifetime. In the process of administering out high-end services, we are guided by the principles of honesty, integrity, and respect for every client or guest on our way. We hope to maximize our outcomes for the sole satisfaction and loyalty of our clientele.† As Greater Heights seeks to gain more traction with customers than before, investment in IT will be inevitable given that the entire industry is investing in the state-of-the-art equipment. The interactions with the ultimate clients and guests are based on the data collected using the information. Then following the strategic plan will outline the current situation of Great Heights in terms of technology and security aspects. The business venture will also entail determining the information technology personnel or roles in place and a SWOT analysis for the same. The goals of the IT strategic plan will be outlined and the positive organizational impacts it will have once it is implemented in Great Heights. Great Heights does not have expansive remote storage and data collection tools for customer information. The company relies on the calls made by customers. The planning department conducts a random survey every month through questionnaires to the guests. The future events are based on the survey provided because customers give an honest opinion about the services and what they expect to get from the company. The company has not yet applied digital tools for collecting customer

Wednesday, October 30, 2019

COMPETITION AND FINANCIAL STABILITY Essay Example | Topics and Well Written Essays - 2000 words

COMPETITION AND FINANCIAL STABILITY - Essay Example It has been argued that, similarly to other industries in the non-banking sector, competition prevalent in the banking sector is desirable because it tends to generate a market that is more efficient, as well as the benefits that tag along like efficient resource allocation and better consumer prices. However, other theories argue more competition in the banking sector may precipitate an increase in instability with regards to the financial systems. Since greater competition in the banking sector leads to a decrease in margins of bank profits, banks are banks are encouraged to acquire riskier investment so as to boost profit levels, which is in support of the competition fragility view (Boyd et al., 2009: 4). However, other arguments make the argument that greater concentration of banks in the loan markets may lead to an increase in instability via increased risks, especially because higher rates of interest that are charged on consumers could make it more difficult for them to pay b ack the loans, which supports the view on competition stability. Therefore, it is interesting when these hypotheses are tested to decide whether completion in the banking sector is desirable with an aim to increase financial stability (Boyd et al., 2009: 5). ... l failures of the market because of asymmetric information like adverse selection, moral hazard, and excessive taking of risks with agency problems, externalities like fragility because contagion and coordination problems, and potential power of the markets (Koskela & Stenbacka, 2000: 1857). This has led to regulation that seeks to protect the small investors, the system, and market competitiveness. However, these problems are made worse by policies that have to do with being too big to fail, deposit insurance, and the last resort lender. The global financial crisis uncovered the huge failures of the regulatory system and the potential contradictions between competition policy and regulatory intervention (Koskela & Stenbacka, 2000: 1857). Banks, indeed, are unique because of their specific mix of features that increases their vulnerability to potential systemic impact and very fundamental negative externalities with regards to the economy (Koskela & Stenbacka, 2000: 1858). The compet itive banking system’s fragility is excessive with financial regulation coming to the rescue at the cost of regulatory failure and side effects. The most essential one has to do with potential moral hazards caused by bailouts and protection of failing financial institutions. The recent global financial crisis is a testimony to failures of the Basel II system’s three pillars. First, risk assessment and disclosure have been deficient with market discipline being ineffective, especially due to blanket insurance from too big to fail policies (Koskela & Stenbacka, 2000: 1858). Secondly, capital regulation has failed to account for account systemic effects, i.e. failure’s social costs, with restriction on assets lifted because of pressure emanating from lobbies on behalf of investment

Sunday, October 27, 2019

Impacts Of Industrial Urbanization On Working People History Essay

Impacts Of Industrial Urbanization On Working People History Essay Urbanization is a social process in which a countrys organized communities become larger, more specialized. There are both negative and positive consequences of this process. It involves a lot of economic , technological demographic, political , environmental factors and it is inevitably accompanied by other changes in society. Before moving on to industrial urbanization and its impacts , history and life of native people would be discussed. A lot of Native peoples lived by hunting and gathering. Agriculture was established between the Iroquoian groups (Huron, Iroquois, Petun, Neutral).Clothing was provided from fur bearing animals and silver and copper was used to make ornaments. Trading was common at that time but there doesnt seem to have any specialized merchant class. French and british traders began to buy furs, and in return they offered iron tools, weapons and alcohol , all of which the native peoples valued highly. This resulted in economic and cultural changes among the native peoples, who were to play a critical role in the early fur trade. Canada was a largely per-industrial agricultural society at confederation in 1867. People belonged to large families and lived on farms. Farms were only source of income for them as they often supported entire families generation after generation. Urbanization process passed four major phases. Canada became an urban nation quite early as compared to others. The first stage began with the founding of Quebec in 1608. Quebec City, Montreal, Halifax and St Johns tended to be the administrative centers. From the mother country there were entrepots, collection agencies for colonial staples and distribution centers of manufactured goods. Primary connection was the overseas metropolis because of which there was lack of significant connections with other towns in the colonies. Dependence on water transport powered byu wind and sail was another common feature of urban centers during this period. Fishery and fur trade were exploited by permanent European settlers who came to Canada. Due to the reason that the climate and soil were not encouraging, agricultural progress was slow until the end of 17th century. English-speaking merchants engaged in the fur trade; after the Conquest (1759-60), when many British businessmen began to control a large portion of the fur trade from Montreal, they also quickly extended their interests throughout commerce and finance.. The population grew through natural increase and through immigration from Britain. The good agricultural land in the St Lawrence Valley had almost been taken up by 1820s. In 1821, after the North West Company merged with the Hudsons Bay Company the transcontinental fur trade was no longer managed from Montrà ©al. By that time Upper and Lower Canada had developed an immense trade in timber, which went first to Britain and then, after mid century, to the US and domestic buyers. Second phase of urbanization started in early 1800s and was marked by the increasing control of commercial interests. By dominating their immediate region several cities began to assume metropolitan functions. There was a move away from an exclusive reliance on staples export to a new concern for regional and inter regional commerce and small scale artisanal production for a local or regional market. Industrial revolution took place in 1815 and 1914. The use of new technologies in transportation was a third aspect of the economic reorientation. In this phase, the form of cities is not readily definable but a number of features distinguish them from both their predecessors and successors. The most important factor was transport which played an essential role in the development of bigger, functionally more specialized towns from 1830. National rail network was established in 1840s due to which a fully integrated urban system developed and the constraints of time and distance . This led to a period of great change in the structure of the urban system and the extent, characteristics and internal and external relations. There was no significant European population until the 1780s in the present-day Ontario, although its waterways were used by the fur traders. There was a beginning of settlement with the arrival of the United Empire Loyalists, British and American settlers, and British troops and officials. export trades in wheat, potash and timber developed and forest land was cleared. A few roads and canals were built, of which the most important were the Welland Canal and St Lawrence River canals. most good land in the province had been claimed by 1867, although not all of it was under cultivation. Quebec contained 3 towns, Montreal, Quebec and Trios-Rivieras at the conquest. With settlement and with the development of commerce and government a lot of towns appeared. much of central Canadas industry, including the 2 great industries, milling and lumbering, was dispersed through the countryside or in small villages in 1871. Rapid industrialization and urbanization occurred in both provinces after c onfederation. By 1911 half of Ontarios population lived in cities and towns. less than one-fifth of the Quebec population lived in cities at the time of confederation. Thirty years later the proportion surpassed one-third. Urbanization was undoubtedly the most salient phenomenon in Quebec at the start of the 20th century. Only 36% of the population lived in cities; thirty years later, that proportion had reached 60%. Due to development in industry there was an increased rate in growth of cities. in Montreal the phenomenon was particularly visible, then the industrial hub of Canada. Within thirty years, its population more than doubled, growing from 107,000 in 1871 to 268,000 in 1901 (or 325,000 counting the suburbs). Montreal became Canadas uncontested metropolis when it outgrew Quebec city from 1830 onwards. Population comprised of working class, yet the countrys most powerful businessmen lived there as well. Population growth was slower in Quebec city. Population was just under 60 ,000 in 1871 and still below 70,000 in 1901. In smaller cities such as Hull, Sherbrooke, Valley field, Saint-Hyacinth, Saint-Jerome and Magog industrialization became evident. The largest of these had populations of only 11,000-14,000, but they bore witness to an important transformation in Quebec society. In british north American railway fever came a little late which had a small population and much of its capital tied up in the expansion of its CANALS AND INLAND WATERWAYS. But it did not take long for politicians and entrepreneurs to realize the potential benefits. In 1841 ,the Province of Canada (1841) was an enormous country. Its roads were poor and its waterways were frozen for up to 5 months per year. GRAND TRUNK Railway was the most ambitious pre-Confederation railway project in Canada. It was a bold attempt by Montreal to capture the hinterland of Canada West and traffic from American states in the Great Lakes region. But unfortunately Canadians did not have enough money and technicians to build it. In the process of Industrialization the railways played an integral role, tying together and opening up new markets while, at the same time, themselves creating a demand for fuel, iron and steel, LOCOMOTIVES AND ROLLING STOCK. Wooding-up stations were required at regular intervals along the line and the pioneer wood burning locomotives had huge appetites. James of Toronto made first locomotive in Canada in 1853. (the Toronto No. 2 of the Ontario, Simcoe and Huron). As a consequence, railway greatly stimulated engineering particularly with the demand for BRIDGES and TUNNELS. There were a few inventions by Canadians, notably the first successful braking system (W.A. Robinson, 1868) and the rotary snowplough (J.W. Elliott, 1869; developed further by O. Jull), which made possible safe, regular travel in Canadian winters. Zone system was devised by the great railway engineer Sanford Fleming to over the confusion of clocks varying from community to community along the rail routes. Low rolling friction of iron-flanged wheels on iron rails and steam locomotion enabled George Stephenson (the first of the great railway engineers) to design and superintend the building of the Liverpool and Manchester Railway (1830), which began the railway age in England. steam locomotion, the standard gauge (1.435 m) and the rolled-edge rail (bellying out on the underside for strength) were the characteristics of the railway which were established in the early stage. Ind ustries such as tailoring and shoe making were becoming factory activities, and provincial governments began to regulate working conditions from 1870 to 1900. the industries in the cities eventually won the competition with the rural industries.Urbanization started in 19th century because of the industrialization that took place. Because of bad sanitary conditions and diseases, cities still needed many new people every now and again. But gradually with the passage of time there was an increase in number of people and cities. There were several types of cities: cities with textile industry, cities with heavy industry and administrative/commercial cities. Transportation was affected by industrial revolution. Bicycles, steamships and trains made it easier for people to move further away. The third phase, which began with the industrial era in the 1870s and lasted until the 1920s, saw the development of a national urban system that tended to concentrate power in major central Canadian cities, notably Montreal and Toronto. It attracted a steady supply of rural Canadians to the cities. The working poor was the new class that spawned instead. labor force, weak government protection, and social discrimination was faced by these families. Industrialization had caused Canadian cities to double, which brought wealth to the society, but that wealth was not shared. Although industrialization did provide thousands of jobs, it did not create an egalitarian society. With the arrival of railway numerous cities expanded or took advantage of railway development to consolidate their position in the economy. Montreal, for example, which was already the business and financial hub of British North America owing to its port installations, would extend its commercial influence over an increasingly larger zone following the arrival of the railway. The political economy of this industrial era was marked by the emergence of industrial capitalism and its counterpart, the industrial working class. The extent and nature of urban development was dependent on major improvements in the technological capacity of Canada. Science and engineering were systematically applied to transportation, communications, building methods and production. The outstanding physical characteristics of cities were the enormous spatial expansion of the suburbs and the tall office towers of the central core. The social landscape of cities was affected by the changing scale of development. A kind of giant ism prevailed, from the size of suburbs and the height of the buildings in the central core to the organization of new business enterprises and the building of enormous factories. Land use was increasingly specialized. Urbanization also affected cities less closely associated with the railway system. Saint John, New Brunswick, saw its population rise from 27,000 in 1840 to nearly 39,000 in 1861. The rise in population benefited from the growth in shipbuilding and maritime transportation, in particular. Due to this , the proportion of urban dwellers in the colonies as a whole went up from 13% in 1851 to 16% in 1861. The largest cities in British North America were Montreal, Quebec City, Saint John, Toronto, Halifax, Hamilton, Kingston, Ottawa and London on the eve of Confederation. Between 1896 and 1914, Central Canadas industrial advance was especially rapid when the whole nation experienced investment and export booms. A few industries such as carriage-making and blacksmithing declined after 1900. But soon after this new industries appeared like electrical equipment and chemicals in the 1890s, cars and aluminum after 1900, pulp and paper in. 1890-1914 Montreal and Toronto were the great cities of Central Canada by 1867. Montreal began as a port and a commercial centre. By 1900 it was producing large amounts of clothing and textile products, electrical equipment, railway rolling stock and many light industrial products. Finally by mid 19th century it was a place of industry. After 1867, Toronto after a slow and inauspicious beginning, developed after 1867 on similar lines, much of its early prosperity being based on Great Lakes shipping. Both cities had energetic banks and insurance companies and active stock exchanges. Immigrants were attracted to both cities from Europe and Italy. Cities of Central Canada were built by largely natural increase from britian between Confederation and 1914. Atlantic Canada Initially fur trading was common here but later on with serious economic development in the Atlantic provinces really began with the sea fisheries, whose markets were in Europe and later in the West Indies. Some francophone and anglophone migrants arrived during the 17th century on mainland, but the European population was small until the arrival of the Loyalists, partly because there was little good agricultural land. Scots settled on Cape Breton in early 19th century. Prosperity came from the fisheries, forests and maritime carrying trades. Western Canada In western Canada economic development began with fur trade. In 1812, settled agriculture began with Lord Selkirks RED RIVER COLONY. In 1880s the building of the Canadian Pacific Railway gave Manitoba a wheat economy. Prospects for development brightened as world prices rose, transport costs fell, methods of dryland farming improved, and more appropriate varieties of wheat became availablein 1890s. More progress was made and Prairie provinces enjoyed an immense expansion of the wheat economy, onto which was grafted, before 1914, a very much larger rail system, a network of cities and towns, coal mining and ranching. Because of this many migrants were attracted from many lands. T that time Alberta began to produce small quantities of oil and gas. In Early times most of the city dwellers got around on foot; only the richest could afford the services of a coachman or own their own horse but with the urban expansion , organized public transit came into being. In 1861, the first street cars appeared in Montreal and Quebec City. Then by 1982,electric streetcars made their appearance. At the start of 20th century , 46 urban centres had streetcar lines. Electric streetcars inaugurated in 1892 favoured the expansion of suburbs, since they allowed people to live further away from their places of work without having to travel long distances on foot Industrialization and urbanization brought about a lot of changes in work and family by early 20th century. The seniors who had retired and couldnt do any more work ended their lives in poor houses or old age homes, as they had come to be known. In the late 19th century the number of seniors who became poor increased as the process of industrialization began to affect Canadian society. More workers were needed as the factories were built in the cities. In the countryside the population grew to the point that people began to be forced off their farms into urban areas to work for wages. Later on, a revolutionary transformation occurred in human use of energy. Burning of wood to produce heat, plus human and animal muscle power were the biomass energy for human society. Then world entered the age of coal and steam power. It was the beginning of fossil fuel era and this is the era we live in today. the harnessing of steam power enabled humans to vastly multiply the energy generated from b urning coal, thereby greatly expanding the amount of energy. Petroleum was the second major fossil fuel by 1914. There was a significant development in communications and transport. Migration to long distances within continental spaces was done through steamships and railroads. Asian migrants, especially South Asians and Chinese, settled in many parts of the tropical world as well as in the Americas. Standard of living was increased and people were looking for more opportunities than they had in their native places. Another major environmental change was the enormous increase in population growth. The environmental impact of this dramatic population increase, combined with the surges in economic growth and energy consumption, was colossal. In Canada the earliest significant social piece of legislation was the Canadian Government Annuities (Act of 1908). It benefited and encouraged a lot of people to prepare financially for their retirement. With this facility, Canadians began to purchase various annuities for different amounts and leghts of time. There was a specific age when the recipient began to receive benefits from it. This system was carried out very nicely and all the costs were administered by the government. Federal civil servants were given pensions according to superannuation Act in 1870. Then the national pension programs were developed and enhanced more. In 1867, most of the Canadians did not retire. At that time Canada was predominantly an agricultural society. Majority of the population lived on farms and worked till old age as their was no other source of income. Canadian way of living was totally changed by urbanization and industrialization. With the invention of industries and new technology , farm life and family support system was completely dissolved. Before the old people had no choice except to work to earn their living but now they lived the rest of their live in old homes or poor houses.