Thursday, November 28, 2019

Adhd Parents Should Use Alternative Treatments For Illness Essays

Adhd: Parents Should Use Alternative Treatments For Illness ADHD: Parents Should Use Alternative Treatments for Illness A child named Alva comes to mind. Alva's teacher taught by rote, which was too mechanical for the boy's creative mind. His thoughts often wandered, while his body seemed in perpetual motion in his seat. The teacher found Alva, inattentive and unruly and often threatened punishment. Alva, fearful and out of place, ran away from school (Robbins 2). The preceding quote is an example of a student that lived many years ago that would most likely be diagnosed today with ADHD. There is an increasing debate on the subject of using prescription drugs to treat the condition of Attention Deficit Hyperactivity Disorder or ADHD. The use of methylphenidate stimulants for treatment of ADHD is a huge concern of many physicians and parents. There are several alternatives to using drug therapy when children are diagnosed with ADHD, and these are alternatives which should be exhausted before placing children on stimulant drug-therapies. For over twenty-five years, hyperactivity has been a problem with children, usually found when the children are school age. ADHD has been noted as a nuerological disorder. The areas in which the children have problems are: inattention, impulsivity, hyperactivity, and boredom (Attention Deficit Disorder Information Library). An article in American Medical News states,Increasingly, ADHD is viewed as one of the most prevalent childhood chronic health conditions In recent years, these prevalence rates have raised concerns about possible overdiagnosis, leading some experts to worry that typical childhood behavior is being treated as an illness (Stapleton). This is probably one of the biggest problems with the ADHD prescription of drugs. Many ADHD diagnoses have been based solely on the parents and teachers in the form of standardized questions and /or checklists. Many physicians are not performing extensive tests to rule out other reasons for a child's behavior, and this can lead to misdiagnosis. This misdiagnosis can lead to children being medicated for no reason and therefore slowing down the learning creativity of these once very imaginative children (Stapleton). If a child has been correctly diagnosed with ADHD, there are still many problems with prescribing stimulant drugs as a cure. A report in the Insight on the News reports that, The use of Ritalin has soared 500 percent in the United States during the last five years(Price 1). There has been an increase only in the United States in such great numbers. Other countries deal with their children quite differently than in the United States. The Japanese do not use ADHD as a disorder, but just the way preschool aged children act normally. The culture causes a drastic change in behavior for children when they begin school at age six. This culture believes in changing the behavior instead of calling it a learning disability and using drugs to alter the mind of the children (Donovan). The drug Ritalin is the prominent choice for physicians when treating ADHD in children; some of these children are as young as preschool age. Despite evidence that this drug [Ritalin] has harmful side effects and stifles creativity, doctors still ignore a safer, better solution, according to and article written on the ADHD problems (Robbins 1). Ritalin is classified as a Schedule II controlled substance related to amphetaminesRecent FDA studies suggest it may even be carcinogenic, according to conservative activist, Phyllis Schlafly (Narrett 2). This does not seem like something parents would want their children to have with the risks involved. The children that begin taking Ritalin seem to be more focused on their goals and do better in their studies in school. The children also start acting more compliant and fewer outbursts occur. This seems to be an easy way out for the adults that have to deal with these children. This also decreases creativity and imagination in otherwise bright children (Robbins 2). Many of the symptoms associated with ADHD seem to be solved with the use of Ritalin, but there are many side effects to take into consideration. There are several side effects that are caused by the use of Ritalin. Many children that take the medication have a loss in appetite, which could cause improper growth because of poor nutrition. Children also experience insomnia, nausea and headaches.

Sunday, November 24, 2019

Japan essays

Japan essays The Political, Economical, Social, and Cultural Aspects of Japan Japan has a particularly homogeneous culture. In fact, both racially and culturally, Japan is the most homogeneous of the worlds major nations. This situation has allowed Japan to Westernize its economy and yet maintain a unique sense of identity. It began in 1639, when Japans rulers begin to notice the conversion of thousands of Japanese to Catholicism by Portuguese missionaries and by the potential for dissidents to form military alliances with foreign nations that suppressed Christianity and Japan sealed the island form the rest of the world. It was not until 1853 with the arrival of an American naval squadron under Commander Matthew Perry that Japan was opened to the outside world. The Japanese had developed a strong sense of national consciousness and pride in their own culture. The Japanese realized in the 1860's that they had to adopt Western technology, to modernize their society if they were to avoid Western domination. Their culture was able to absorb foreign influences without losing its uniqueness. Thus, the Japanese proved themselves extremely flexible in borrowing from other cultures while maintaining their own. Japan is mostly a middle class society. Those at the bottom of the social scale are either foreigners, Koreans, or native Japanese. Japanese think of themselves as belonging to a relatively classless society, even though they are mainly a middle class society. Many working-class Japanese rank themselves as middle class because of Japans prosperity in the 1980's, which allowed them to enjoy high level of consumption of goods and services. Thus their sense of well-being inflated their self assessment of class position. An estimated four percent of Japans population qualifies as upper class. The upper class consists of those who run the large corporations, the conservative politicians, and senior bureaucrats that collab...

Thursday, November 21, 2019

Constipation in Stroke patients Research Proposal

Constipation in Stroke patients - Research Proposal Example From this research it is clear that in the current clinical practice, chronic constipation is a frequent outcome secondary to cerebral-vascular accident leading to impaction and overflow incontinence in stroke patients. It remains poorly understood leading to complications including haemorrhoids, faecal impaction, urinary incontinence, ladder outlet, obstruction, urinary tract infection, rectal bleeding, general weakness, and psychological disorders. Constipation has cost implication in terms of hospitalisation, medications, containment, equipment and nursing time. It was observed in the clinical setting that stroke took priority and constipation was overlooked and not considered until patients developed symptoms causing confusion, distress and restlessness. Measures were not taken until patients became constipated and this had an impact on the quality of life and prolonged the hospital stay. Unfortunately constipation is often seen as less important than other conditions in general practice because it is not within an agreed management target. Patients were not assessed and an accurate history of the bowel pattern prior to admission was not obtained or established. Assessment of constipation continues to be poor, compared to other symptoms being rated as a higher priority. A full continence assessment undertaken by a competent health care professional will help to identify patient’s problem. It is important to take a good history in order to identify pertinent information which might not be apparent in a physical examination. Prevention is bette

Wednesday, November 20, 2019

Reinforcement Theory-Reinforcement Theory is one of the most Essay

Reinforcement Theory-Reinforcement Theory is one of the most misunderstood of the Decisional Process Theories - Essay Example Therefore, the goal of this essay is to enlighten the managers or trainers on the correct use of reinforcement theory on several decisional process theories that they can use reinforce their employees in occasion such as motivation. Reinforcement theory refers to a behavioral construction by controlling the consequences of behavior and is achieved through manipulation. A manager or trainer can be able to influence the behavior of employees in an organization by changing the consequence of their behavior. Reinforcement can be meant to correct, motivate, punish or extinct employee’s behavior an action known as behavior modification. For example, while correcting a behavior of an employee by removing unpleasant behavior in employee’s negative reinforcement is applied. Motivation is done to increase the frequency of pleasant behavior by following pleasurable consequence such as promotion to next higher grade. This is positive reinforcement. Moreover, extinction reinforcement is suitable to decrease the frequency of unpleasant behavior of employees by removing the consequence. Lastly, punishment by introducing instant consequence on the unpleasant behavior done by employees is advisable to decrease the frequency of such behaviors (Stephen 83).A manager has a very great influence to the behavior of the employees and by recognizing an individual’s physical and intellectual capacity for every employee to perform various mental and physical tasks in a specific job. For example, placing employees in accordance to their specialization during the division of labor. This will help to boost attitude of employees towards work hence providing the best for the organization. Moreover, manger should uphold personality of every worker in the organization is respecting their values and beliefs as it will help to achieve the goals of an organization (Bartlett 7-8). Reinforcement theory should portray how the organization and employees correlate to provide a healthy

Monday, November 18, 2019

Books Activity - print or electronic media Essay

Books Activity - print or electronic media - Essay Example I did not have to focus on forming images in my mind or connecting the story. Since everything was right before me on the television screen, my mind wandered a lot and I barely absorbed what I was watching. After both experiences, I have determined that I find the printed word much more enjoyable, as well as exhilarating. One of the most exciting things about reading a book is being able to determine on my own what everything looks like, from the characters to the settings. When it comes to a television show, there is no room left for imagination. The creators of the show have decided everything for you. If my mind is not actively involved in the activity, I feel no connection to it. With a book, I am able to keep my focus by becoming engaged in the story as I try to picture all that is going on; while watching television, it becomes harder to get myself involved in a story that already has unalterable images. As such, I am definitely a print media person as opposed to an electronic media

Friday, November 15, 2019

Advantages and Disadvantages of Incorporation of Companies

Advantages and Disadvantages of Incorporation of Companies This assignment will discuss the advantages and disadvantages of incorporation of companies. This will be discussed in relation to public and private companies and it will be concluded that the main advantageous of incorporation is and continues to be that of limited liability and separate legal personality. Other issues will discussed and the advantages and disadvantages discussed. It is important first to point out the distinction between public and private companies, the former being those which are permitted to offer their securities to the public and the latter being those which are not so permitted. Often whether a company is public or private is taken more generally as an indication of the social and economic importance of the company, so that the public company is more tightly regulated than the private company in a number of ways, which fall outside the remit of this assignment. However, it is important to note that this difference does exist. The fundamental attribute of corporate personality is that the corporation is a legal entity which is distinct from its members. At the end of the 19th Century following the case of Salomon v Salomon CO[1] this concept was finally grasped by the courts and it was appreciated that companies have a separate legal entity, as Lord Macnaghten explained â€Å"The company is at a law a different person altogether from the subscribers†¦.; and, though it may be that after incorporation the business is precisely the same as it was before, and the same persons are managers, and the same hands receive the profits, the company is not in law the agent of the subscribers or trustee for them. Nor are the subscribers, as members, liable in any shape or form, except to the extent and in the manner provided by the Act[2]† As a corporation is a separate legal person its members are not personally liable for its debts[3]. This principle also applies to obligations other than debts such as the members of the company, although members who become involved in the management of the company’s business will find that this separate legal personality does not necessarily protect them from personal liability to third parties. If a company enters insolvent liquidation, in theory the issue undergoes a considerable change, although in practice it does not. The question becomes whether the liquidator acting on behalf of the company can seek contributions from its members so as to bring its assets up to the level needed to meet the claims from the company’s creditors. The overall result of the broad recognition by the courts of the separate legal entity of the company and of the limited liability of its members and managers is to produce at a first sight a legal regime which is very unfavourable to potential creditors of companies. However lenders often â€Å"seek to leap over the barrier created by the law of limited liability by exacting the price of the loan to the company personal guarantees of its repayment from the managers or shareholders of the company, guarantees which may be secured on the personal assets of the individuals concerned†[4]. Legislation, whilst it has not overturned Salomo n, contains an extensive list of publicity and disclosure obligations to priorities for certain classes of unsecured creditors on the winding-up of a company[5]. Recently added to these statutory weapons are the provisions relating to the wrongful trading and the expanded provisions on the disqualification of directors, especially on grounds of unfitness. One clear advantage of corporate personality is that it enables the property of the association to be more clearly distinguished from its members. In an unincorporated society, the property of the association is the joint property of the members. The rights of the members therein differ from their rights to their separate property since the joint property must be dealt with according to the rules of the society and no individual member can claim any particular asset. By virtue of the trust and the obvious complications can be minimised but not completely eradicated. And the complications cause particular difficulty in the case of a trading partnership both as regards the true nature of the interests of the partners and as regards claims of creditors. On incorporation, the corporate property belongs to the company and members have no direct proprietary rights to it but merely to their â€Å"shares† in the undertaking. A change in the membership, which causes inevitable dislocation to a partnership firm, leaves the company unconcerned; the shares may be transferred but the company’s property will be untouched and no realisation or splitting up of its property will be necessary, as it will on a change in the constitution of a partnership firm. Similarly, the claims of the company’s creditors will be merely against the company’s property and the difficulties which can arise on bankruptcy of partners will not occur. There are difficulties relating to legal actions in unincorporated associations. The problem is of practical importance with trading bodies but has been solved in the case of partnerships as they are now able to be sued or sue in the firm’s name[6], although there are still practical difficulties in enforcing the judgement. This question does not arise with incorporated companies as they can sue or be sued in their own right. Another advantage of a limited company is that it cannot become incapacitated by illness, mental or physical, and it does not have to have an allotted life span[7]. This of course does not mean that the death or incapacity of its human members may not cause the company considerable embarrassment, however the vicissitudes of the flesh have no direct effect on the disembodied company, as Grcer LJ said â€Å" a corporate body has no soul to be saved or body to be kicked.[8]† The death of a member leaves the company unmoved: members come and go but the company can go on forever.[9] The continuing existence of a company, irrespective of changes in its membership, is helpful in other direction also. When an individual sells his business to another, difficult questions may arise regarding the performance of existing contracts by the new proprietor[10], the assignment of rights of a personal nature[11], and the validity of agreements made with customers ignorant of the change of propr ietorship[12]. Similar problems may arise on a change of the constitution of a partnership[13]. Where the business is incorporated and the sale is merely of the shares, none of these difficulties arise. The company remains the proprietor of the business, performs the existing contracts and retains the benefits of them, and enters into future agreements. The difficulties attending vicarious performance, assignments and mistaken identity do not arise. Connected to this issue is the issue of the shares. Incorporation with the resulting separation of the business from its members greatly facilitates the transfer of the member’s interests. In the absence of limited liability the opportunity transfer is in practice very much restricted. With an incorporated company, freedom to transfer, both legally and practically, can be readily attained. The company can be incorporated with its liability limited by shares, and these shares constitute items of property which are freely transferable in the absence of express provision to the contrary, and in such a way that the transferor drops out and the transferee steps into his shoes. A partner has a proprietary interest which he can assign, but his assignment does not operate to divest him of his status or liability as a partner; it merely affords the assignee the right to receive whatever the firm distributes in respect of the assigning partners share[14]. The assignee can be admitted in to the partnership in the pace of the assignor only if the other partners agree and the assignor will not be relieved of his existing liabilities as a partner unless the creditors agree, expressly or impliedly, to release him. Another important feature of an incorporated company is that a structure which allows for the separation of risk investment via the purchase of shares, in which many persons may participate, from the management of the company, which is delegated to a smaller and expert group of people who partly constitute and who are partly supervised by a board of directors. This concept was first explored in the United States by AA Berle and GC Means[15] and they drew attention to the revolutionary change thus brought about in traditional conceptions of the nature of property. Today, the great bulk of large enterprise is in the hands not of individual entrepreneurs but of large public companies in which many individuals have property rights as shareholders and to the capital of which they have indirectly or directly contributed. Direct or indirect investment in companies probably constitutes the most important single item of property for most people, but whether this property brings profit to its â€Å"owners† no longer depends on their energy initiative but on that of the management from which they are divorced. Two further advantages which must be considered are that of borrowing and taxation. The ingenuity of equity practitioners has led to the evolution of an unusual but highly beneficial type of security known as the floating charge; i.e. a charge which floats like a cloud over the whole assets from time to time falling within a generic description, but without preventing the mortgagor from disposing of those assets in the usual course of business until something occurs to cause the charge to become crystallised or fixed. This is advantageous to incorporated companies because until recently such a charge could not really apply to partnerships or other unincorporated organisation -this is because of two pieces of legislation. The first was the â€Å"reputed ownership† provision in the bankruptcy legislation which relates to individuals[16]†. This, however under the reforms resulting from the report of the Cork Committee was repealed and not replaced in the Insolvency Act 1986 . It never applied to the winding-up of companies. The second, which still remains, is that the charge, in so far as it related to chattels, would be a bill of sale within the meaning of the Bills of Sale Acts 1878 and 1882 which applies only to individuals and not to companies[17]. Hence it would need to be registered in the Bills of Sale Registry, and, what is more important, as a mortgage bill it would need to be in the statutory form which involves specifying the chattels in detail in a schedule. Compliance with the latter requirement is impossible since in a floating charge the chattels are indeterminate and fluctuating. Therefore it can be seen that use of this form of security is in practice restricted to bodies corporate. By virtue of it the lender can obtain an effective security on â€Å"all the undertaking and assets of the company both present and future† either alone or in conjunction with a fixed charge on its land. By so doing he can place himself in a far stro nger position that if he merely had the personal security of the individual traders. It therefore happens not infrequently that a business is converted into a company solely in order to enable further capital to be raised by borrowing. Once a company reaches a certain size, the attraction of limited liability is likely to outweigh all other considerations when business people are considering in what form to carry on their activities. Investors are unlikely to be willing to put money in a company where there liability is not limited if they are to have no or little control over the running of the company and for this reason incorporation is preferable. However with small businesses, which it is feasible to give all the investors a say in management, it is likely that tax considerations play a major part in determining whether the business shall be set up in corporate form or as a partnership. In the case of small companies the investors’ return on their capital may take the form of the payment of directors’ fees rather than dividends, so that participation in the management of the company may be the means for the investor both to safeguard the investment and to earn a return on it. This assignment has discussed the advantages and disadvantages of incorporation of companies. It can be seen that the advantages of incorporation very much depend on one company to another. For larger firms the division between the board and shareholders, transferable shares and the conferment of limited liability on the shareholders are helpful for the raising of capital. Partnerships and unincorporated organisations do not lend themselves easily to this kind of need and therefore are more favourable in this respect. There are many other issues that make incorporation favourable but it can be seen that it is, and will continue to be the fact that these organisations have limited liability that will continue to make them attractive and more advantageous than unincorporated organisations. Bibliography Cases Brace v Calder (1895) 2 QB 253 Boulton v Jones (1857) 2 H N 564 British Waggon Co v Lea (1880) 5 QBD 149 Griffith v Tower Publishing Co [1897]1 Ch 21 Rayner (Mincing Lane) Ltd v Department of Trade [1989] Ch 72 Re Noel Tedman Holding Pty Ltd (1967) QD R 561 Robson v Drummond (1831) 2 B AD 303 Salomon v Salomon CO [1897] AC 22 HL Slavenburg’s Bank v International Natural Resources Ltd [1980] 1 W L R 1076 Stepney Corporation v Osofsky [1937] 3 ALL ER 289 Statutes Bankruptcy Act 1914 Bills of Sale Acts 1878 Insolvency Act 1986 Partnership Act 1890 RSC ORD 81 Books Berle A and Means G, (1993) â€Å"The Modern Corporation and Private Property† New York Davies P, (2003) â€Å"Gower and Davies Principles of Modern Company Law†, Seventh Edition, Thomson Sweet and Maxwell Dobson P, (2003) â€Å"Commercial Law†, Third Edition, London Cavendish Morse G, (2005) â€Å"Charlesworth Company Law†, Seventeenth Edition, London Sweet and Maxwell Smith and Kennan, (2005) â€Å"Smith and Keenans Company Law , Thirteenth Edition, Harlow Press/Longman 1 Footnotes [1] [1897] AC 22 HL [2] [1897] AC 22 HL at 51 [3] See for example Kerr LJ in Rayner (Mincing Lane) Ltd v Department of Trade [1989] Ch 72 at 176 [4] Davies P, (2003) â€Å"Gower and Davies Principles of Modern Company Law†, Seventh Edition, Thomson Sweet and Maxwell at page 32 [5] Insolvency Act 1986 Ss40 175 and 386-387 [6] RSC ORD 81 [7] S84 (1) (a) of the insolvency Act [8] In Stepney Corporation v Osofsky [1937] 3 ALL ER 289 at 291 [9] See Re Noel Tedman Holding Pty Ltd (1967) QD R 561 [10] Robson v Drummond (1831) 2 B AD 303 and British Waggon Co v Lea (1880) 5 QBD 149 [11] See Griffith v Tower Publishing Co [1897]1 Ch 21 [12] Boulton v Jones (1857) 2 H N 564 [13] Brace v Calder (1895) 2 QB 253 [14] Partnership Act 1890 [15] The Modern Corporation and Private Property, New York 1933 [16] Bankruptcy Act 1914 S38 (1)(C) [17] See Slavenburg’s Bank v International Natural Resources Ltd [1980] 1 W L R 1076

Wednesday, November 13, 2019

Biography of Catherine the Great Essay examples -- Empress Russian His

Biography of Catherine the Great One of the most interesting, hard-working and powerful people to grace the pages of history during the eighteenth century was Catherine II, Empress of Russia. Historians have not always been so kind to her memory, and all too often one reads accounts of her private life, ignoring her many achievements. The stories of her love affairs have been overly misinterpreted and can be traced to a handful of French writers in the years immediately after Catherine's death, when Republican France was fighting for its life against a coalition that included Russia. Catherine was born Sophia Augusta Frederika of Anhalt-Zerbst on April 21, 1729 in Stettin, then Germany, now Poland. Her father, Prince Christian Augustus of Anhalt-Zerbst, was a high-ranking officer in the Prussian Army and a minor prince among the principalities in Germany. He married the much younger Princess Johanna of Holstein-Gottorp. Years before, Johanna's brother Karl August of Holstein-Gottorp had gone to Russia to marry the Princess Elizabeth Petrovna. However the Prince died of small pox, leaving Elizabeth heart-broken. Elizabeth's sister, Anna gave birth to a son named Peter Ulrich, however tragedy once again struck as Anna's died of tuberculosis three months after giving birth to Peter. Peter, who eventually became Tsar Peter III, was the only surviving male descendent and the potentially heir to the throne of Russia after his father died. In November 1741, Elizabeth seized the throne with the help of the Imperial Guards, and formally declared her nephew Peter heir to the throne. Peter was now 14 years old, and it was time for him to find a bride. Elizabeth had always remembered the family of her dead fiancà ©e with fondness, and chose Sophie as the bride to be. The Empress Elizabeth seemed to have taken an instant liking to Sophie at an early age. Sophie began to learn the Russian language and studied the Orthodox religion, which of course pleased the Empress. On June 28, Sophie was received into the Church in a great ceremony, and as a result changed her name to Catherine. Catherine was now the second highest-ranking lady in the country. Shortly after, Peter obtained measles, which started to show all the symptoms of small pox. Catherine found him to be a most pitiful creature, and it was with dismay that she looked towards her wedding day. The royal... ...h the many relationships she formed with men. Perhaps we misunderstand her many attachments. She loved to teach, and she had much knowledge to give. We can see from her many letters to Baron von Grimm, that she took pride in the education of her young protà ©gà ©s. Perhaps what many historians interpret as promiscuous behavior, was nothing more than her filling the lonely hours by sharing her vast knowledge with the young men she deemed worthy of her attention. She had long and lasting relationships with Orlov and Potemkin, and it seems that she was capable of being faithful and devoted. Russia owes her much. After a long reign of thirty-four years, Catherine died of a stroke on November 17, 1796. History knows her as Catherine the Great, a title she was offered during her lifetime and rejected. "I leave it to posterity to judge impartially what I have done" she said at the time; and Catherine has done well. Domestically, She dealt with peasant revolts, pretenders, and noble opposition. Abroad, she increased Russia's territory, prestige and international importance. Regardless of her much emphasized personal life and sexual relations, she deserves the title because she earned it.

Sunday, November 10, 2019

A reaction paper to the book: may god have mercy

The focal point of this essay is to prepare a reaction paper for the book May God Have Mercy: A True Story of Crime and Punishment by John C. Tucker. This 368 page paperback was written by the author to look into the death penalty of Roger Coleman in 1992 who was convicted for a murder case in spite of the evidences being placed on a soft ground. As a defense attorney of criminal activities John C. Tucker indulges himself in investigation and analyzes and criticizes the loopholes of the judiciary system and the prevailing criminal justice process. Wanda Fay McCoy, a young woman of 19 years of age, was found raped and murdered in her bedroom in March 1981. The prime suspect was Roger Coleman, brother-in-law of the victim. Roger Coleman had a history of sexual assaults in past thus he was the logical suspect for the small town police officials who were investigating the case. This was a perfect example of the ‘catch first, prove later’ fallacy rather than the rational approach to the case. The Grundy police suspected Roger Coleman for the rape and murder, caught him and them tried to arrange the case in accordance to prove Roger Coleman guilty. The entire approach was a short cut to success for the investigating cops and the entire scenario was close to an act of travesty. Therefore, as a result, though there was not much evidence against Roger Coleman to prove him guilty the convict was tried in a double quick manner and was thus found guilty. The verdict against him was death penalty. May God Have Mercy: A True Story of Crime and Punishment by John C. Tucker narrates the buildup and eventual conclusion of this legal battle and a man’s struggle to be free against legal system’s strangling notions. The author presents the documentations in a chilling mode where it becomes evident that something was going wrong somewhere. The defense lawyers knew this. The media knew this and so was the general mass. But for the judicial system Roger Coleman was guilty without doubt. The case of Roger Coleman as narrated by John C. Tucker appears to us as a frightening denunciation of political affairs as customary that is clear to confront the conjectures of a person who considers that the justice system of America is concerned first and foremost with righteousness. Roger Coleman's account is convincing, distressing, and awesomely wearisome. While reading May God Have Mercy: A True Story of Crime and Punishment by John C. Tucker it is virtually impossible for a person to be move away completely unaffected. This is because the author has done a remarkable job by presenting the rules and the process of multifaceted legal conceptions in a simple and clear language. Otherwise any such proceedings would have been bound to be confusing and rather dull. Tucker also incorporates many stories dealing with the personal parameters of the convict’s life to present a moving and powerful humane account. As for the settings of the case it should be mentioned that in general the judiciary system is arranged in such a manner that an innocent person is hardly ever convicted especially in the circumstances of a possible death penalty. But it was proved wrong in case of Roger Coleman's account of trial. It is not that Tucker advocates blindly with irrational suspicion that Roger Coleman's case was not guilty. But he simply points at the sustainable evidences that indicated that the convict was not to be blamed. Substantial evidence is what tucker is more concerned about and he tends to follow the proceedings of the law and identifies the evidences hardly proved the convict guilty with a full proof assurance. It is true that any judicial system should be rigid in some way or the other to pursue criminals into justice but it should always be remembered that justice as an individual objective is extremely volatile if it is not handled with proper care and common human sense of truth and rightfulness. Roger Coleman's account of a mishandled human being is the prime example of justice becoming a curse for the society and failing to follow the basic norms of a civilized human society. This basic norm of a society is undoubtedly a profound humane approach to any problem where solutions would be acquired with benevolent advance towards rational behaviors and accomplishments. It is not about the fact that whether truly Roger Coleman actually guilty or not but the main concern over here is the nature of the proceedings that were followed. This is the main issue of the book and the author has incorporated that needful doubt within the readers that should have been present within the faiths of judicial personnel in the first place. It is evident that if anybody commits to memory about the case not so far away from the media coverage it is obvious that he or she would be traumatized and horror struck at this chronicle with its deficiency of concern, ordinary logical conclusions and fundamental compassion towards human values of the legal system American government can acquire. Reference: Tucker, John C; August 10, 1998; May God Have Mercy: A True Story of Crime and Punishment; Delta Publications   

Friday, November 8, 2019

Free Essays on Existentialism

â€Å"Existentialism and Humanism† Sarte Existentialism is defined in the dictionary as a philosophical theory emphasizing the existence of the individual as a free and self-determining agent. John Paul Sarte says there are two types of existentialists, there are the Christians and the existential atheists, obviously their difference is that one group believes in God and the other does not. Sarte says that they do have something in common and that is simply the fact that they believe that existence comes before essence. Sarte classified himself as an existential atheist and thus believes there is no God. Sarte argues that there is at least one being which exists before it can be defined by any conception of it and that being is man. He believes in the human reality and that man simply is, and he is what he wills. He makes his first principle of existentialism the statement that: Man is nothing else but that which he makes of himself. I would say that Sarte’s idea of freedom comes in his philosophy of existentialism. Sarte would say that as humans we are constantly trying to define ourselves, and through this process we are free to choose what we will in order to reach that definition. So, I would say that Sarte’s ideas of freedom lies in our ability as humans to make choices. Sarte believes this to be very important. Toward the end of his essay he says that man chooses himself, but that in choosing for himself he chooses for all men. He says then that our responsibility is much greater than supposed, for it concerns mankind as a whole. My own definition of freedom is somewhat similar to that of Sarte’s. I defined freedom as an idea that differs from individual to individual. That one individual may believe freedom is the ability to make choices in the things they do, and another individual may believe that freedom is having no limits and no restrictions. Either way both individuals feel â€Å"free† and ... Free Essays on Existentialism Free Essays on Existentialism Existentialism has been defined as a philosophical movement or tendency, emphasizing individual existence, freedom and choice that influences many diverse writers in the 19th and 20th centuries. The philosophical term existentialism came from Jean Paul Sartre, a French philosopher. He combined the theories of a select few German philosophers, the phenomenology of Edmund Husserl, the metaphysics of G.W.F. Hegel and Martin Heidegger, and the social theory of Karl Marx. This philosophy became a worldwide movement. One phenomenon of this theory is its proliferation. Since its creation it has remained a part of contemporary thought. One explanation for this is its applicability to contemporary life and society. It focuses on the utter existence of man itself. According to Sartre, a true existentialist believes there is no God and thus man becomes alone with only ourselves as a guide to making the decisions that define our existence. Our existence not only defines, but also must be defined. Subjectivism provides this definition. Subjectivity refers to the radical freedom to choose with or without a God, but also that this radical freedom becomes a responsibility to use or not use. Another definition, provided by Webster’s dictionary defines existentialism as a philosophical movement especially of the 20th century that stresses the individual position as self determining agent responsible for his or her own choices. It becomes very clear through the definitions provided, that existentialism focuses on two things, the individual and choice. Breaking apart the word itself, you come up with another word, exist, to have actual being, and also existent, which is to have existence. The suffix –ism denotes and action or practice. A minimal definition of existentialism might be, an individual practicing his or her right to make choices for him/herself, ... Free Essays on Existentialism â€Å"Existentialism and Humanism† Sarte Existentialism is defined in the dictionary as a philosophical theory emphasizing the existence of the individual as a free and self-determining agent. John Paul Sarte says there are two types of existentialists, there are the Christians and the existential atheists, obviously their difference is that one group believes in God and the other does not. Sarte says that they do have something in common and that is simply the fact that they believe that existence comes before essence. Sarte classified himself as an existential atheist and thus believes there is no God. Sarte argues that there is at least one being which exists before it can be defined by any conception of it and that being is man. He believes in the human reality and that man simply is, and he is what he wills. He makes his first principle of existentialism the statement that: Man is nothing else but that which he makes of himself. I would say that Sarte’s idea of freedom comes in his philosophy of existentialism. Sarte would say that as humans we are constantly trying to define ourselves, and through this process we are free to choose what we will in order to reach that definition. So, I would say that Sarte’s ideas of freedom lies in our ability as humans to make choices. Sarte believes this to be very important. Toward the end of his essay he says that man chooses himself, but that in choosing for himself he chooses for all men. He says then that our responsibility is much greater than supposed, for it concerns mankind as a whole. My own definition of freedom is somewhat similar to that of Sarte’s. I defined freedom as an idea that differs from individual to individual. That one individual may believe freedom is the ability to make choices in the things they do, and another individual may believe that freedom is having no limits and no restrictions. Either way both individuals feel â€Å"free† and ... Free Essays on Existentialism Existentialism Existentialism, philosophical movement or tendency, emphasizing individual existence, freedom, and choice, that influenced many diverse writers in the 19th and 20th centuries. Major Themes Because of the diversity of positions associated with existentialism, the term is impossible to define precisely. Certain themes common to virtually all existentialist writers can, however, be identified. The term itself suggests one major theme: the stress on concrete individual existence and, consequently, on subjectivity, individual freedom, and choice. Moral Individualism Most philosophers since Plato have held that the highest ethical good is the same for everyone; insofar as one approaches moral perfection, one resembles other morally perfect individuals. The 19th-century Danish philosopher Sà ¸ren Kierkegaard, who was the first writer to call himself existential, reacted against this tradition by insisting that the highest good for the individual is to find his or her own unique vocation. As he wrote in his journal, â€Å"I must find a truth that is true for me . . . the idea for which I can live or die.† Other existentialist writers have echoed Kierkegaard's belief that one must choose one's own way without the aid of universal, objective standards. Against the traditional view that moral choice involves an objective judgment of right and wrong, existentialists have argued that no objective, rational basis can be found for moral decisions. The 19th-century German philosopher Friedrich Nietzsche further contended that the individual must de cide which situations are to count as moral situations. Subjectivity All existentialists have followed Kierkegaard in stressing the importance of passionate individual action in deciding questions of both morality and truth. They have insisted, accordingly, that personal experience and acting on one's own convictions are essential in arriving at the truth. Thus, the und...

Wednesday, November 6, 2019

Free Essays on Television Violence Affects Young People

Since 1982, the National Institute of Mental Health, along with other reputable health organizations has collected data that connects media violence, with violent acts. Conclusions deduced from this data prove that violent programs on television lead to aggressive behavior by children and teenagers who watch those programs. Television violence affects young people of all ages, all socio-economic levels, and all levels of intelligence. Today’s children view vast amounts of violence on television. A steady diet of death, killings, torture, and other grotesque acts may be viewed on any day by vulnerable youth. When children are young, they are impressionable to all their surroundings, and especially vulnerable to what they see. Scientific research validates this fact. In studies by the National Institute of Mental Health, educators have learned that children who watch violence often act out this violence. Parents today have a responsibility to ensure their children are supervised when watching violent programs if they are allowed to watch these programs at all. When parents are in the room with children, parents should point out to children that television is not real. Children tend to see television as real life, and lack the maturity to differentiate the difference between news and fiction programs on television. Studies by George Gerbner, Ph.D., at the University of Pennsylvania, have shown that children’s television shows contain about twenty violent acts each hour and that children who watch a lot of television are more likely to think that the world is a mean and dangerous place. Society sees many tragic examples of research findings on youth and television violence. One such example occurred in Allentown, Pennsylvania in 1999. At the time, Justin Douglas was a cute, intelligent five-year-old little boy with loving parents and a safe; middle class home. One day, Justin watched his favorite cartoon heroes; Beavis and B... Free Essays on Television Violence Affects Young People Free Essays on Television Violence Affects Young People Since 1982, the National Institute of Mental Health, along with other reputable health organizations has collected data that connects media violence, with violent acts. Conclusions deduced from this data prove that violent programs on television lead to aggressive behavior by children and teenagers who watch those programs. Television violence affects young people of all ages, all socio-economic levels, and all levels of intelligence. Today’s children view vast amounts of violence on television. A steady diet of death, killings, torture, and other grotesque acts may be viewed on any day by vulnerable youth. When children are young, they are impressionable to all their surroundings, and especially vulnerable to what they see. Scientific research validates this fact. In studies by the National Institute of Mental Health, educators have learned that children who watch violence often act out this violence. Parents today have a responsibility to ensure their children are supervised when watching violent programs if they are allowed to watch these programs at all. When parents are in the room with children, parents should point out to children that television is not real. Children tend to see television as real life, and lack the maturity to differentiate the difference between news and fiction programs on television. Studies by George Gerbner, Ph.D., at the University of Pennsylvania, have shown that children’s television shows contain about twenty violent acts each hour and that children who watch a lot of television are more likely to think that the world is a mean and dangerous place. Society sees many tragic examples of research findings on youth and television violence. One such example occurred in Allentown, Pennsylvania in 1999. At the time, Justin Douglas was a cute, intelligent five-year-old little boy with loving parents and a safe; middle class home. One day, Justin watched his favorite cartoon heroes; Beavis and B...

Monday, November 4, 2019

Analyse critically the claim that there is no caste in Sikhism. Draw Essay

Analyse critically the claim that there is no caste in Sikhism. Draw particular reference to the Valmiki and Ravidasi Communi - Essay Example On the other hand, although Guru Nanak emphasized Bhakti or devotion, it was not that of popular Hinduism to a tangible manifestation of the divine, but it was towards a formless God. Similarly, Guru Nanak rejected Hindu beliefs and practices such as the superiority of Brahmins or the Hindu priestly community, and their performance of rituals. Thus, the Sikhs began identifying themselves as a separate and distinctive religious group. Further, the early Sikhs’ requirement for an identity increased with offspring born into the Sikh faith. The Sikh Gurus denounced the practice of Hindu rituals and the prejudice of the Hindu caste system. They readily accepted into their community, the Hindus of lower caste and the â€Å"untouchables†. Thesis Statement: The purpose of this paper is to investigate the claim that there is no caste system in Sikhism. The Valmiki, Ravidasi and other communities will be examined to determine the truth of the claim. Evolution of the Sikh Religion During the first two hundred years of the evolution of the Sikh religion beginning from the mid-fifteenth century, a line of Gurus or preceptors guided the community. The Mughal empire ruling India at the turn of the seventeenth century perceived the expanding base of the Sikh community as a threat. The consequent tensions between the local administration at Lahore and the Sikhs led to the execution of Guru Arjan (1563-1606), the fifth Sikh Guru. As a result, the Sikh center was moved to the Shivalik hills in the 1630s. The tenth in line, Guru Gobind Singh (1666-1708), dissolved the position of the personal Guru, and vested the Gurus’ authority both in the Adi Granth or original book of Sikh scripture, as well as in the Panth or community (Mann 2001). An overall, uniform Sikh identity cannot be defined since the Panth has several types of Sikhs including: Punjabi Sikhs, Gora Sikhs, vegetarian/ non-vegetarian Sikhs, Mazhabi Sikhs, Khalsa Sikhs, Non-Khalsa Sikhs, Khalsa Sikhs living with Gurus, and Khalsa Sikhs with particular Sants. According to Takhar (2005: 188), â€Å"the essential core of Sikh identity must be Gurmukh oriented, the characteristics of which would be nam simran or continuously repeating the divine name, and truthful living. These would form the heart of the federal identity of the Panth as a whole, and would not emphasize the Khalsa representation. Thus, Valmikis and Ravidasis â€Å"would not fit into the federation due to their assertion of a non-Sikh identity† (Takhar 2005: 188). The Sikhs meditated on the Name (Nam) or the Truth (Sat) which denoted God’s total being. Through meditation, â€Å"the believer attained unity with God and all notions of duality disappeared as illusory† (Cole & Sambhi 1995: 7). As a result, all differentiation and distinctions based on caste or other concepts were condemned, and idol worship was opposed. Men and women of all social status were taught by Sants who wrote their devotion al poems in the vernacular. Human Gurus were not acknowledged, since God as self-communicating was their Guru. Sikhs express concern at any attempts to associate Guru Nanak with the Sants, because they fear that it would threaten the claim that the message given by God to Guru Nanak was unique. The divine revelation to Guru Nanak was that there is no Hindu and no Muslim; and only the brotherhood of man and the fatherhood of God was of significance. This reinforced Guru

Friday, November 1, 2019

Oliver Stone films representing the war Research Paper

Oliver Stone films representing the war - Research Paper Example 1. JFK: This film portrays the events leading to the unfortunate assassination of President Kennedy. It is assumed that this film is based on two books from other authors exploring the same issue. But while the books attracted acclaim, Stone’s JFK instantly got slathered with harsh criticism. Furious historians and critics argued that Stone’s carefree attitude with important historical facts contributed to creation of a highly twisted picture. However, the way JFK later gained confidence and amassed many Academy nominations raises embarrassing questions about the angry criticism published in American newspapers upon the movie’s release. The way Jim Garrison in JFK investigates the assassination from a completely different perspective implying an infamous scheme within the government responsible for Kennedy’s death actually ended up interesting people far more than any book ever did written on the same subject. In fact, the magnitude of excitement felt by people who read books is dwarfed by the magnitude of thrilling suspense experienced by people who viewed the movie, in reference to how the picture reveals different ways by which powerful people use authority to manipulate events (Rendall). The fact that movies can speak louder than words is made emphatic by the way historical events are intelligently portrayed in JFK.