Wednesday, December 25, 2019

industrial revolution Essay - 653 Words

What factors helped to promote America’s huge industrial growth during the period from 1860-1900? America had a huge industrial revolution in the late 1800†s. Many changes happened to our great nation, which factored into this. The evidence clearly shows that advancements in new technology, a large wave of immigrants into our country and new views of our government, helped to promote America’s huge industrial growth from the period of 1860-1900. Advancements in new technology clearly promoted the industrial growth of the United States. The new technologies allowed business owners to reduce labor in the movement of materials from one point to the other. This occurred by using the new technology of railroads and machinery. Business owners†¦show more content†¦Some of these immigrants contributed brilliant ideas and new inventions. One of the great minds, which helped our great country grow, was Andrew Carnegie. Andrew Carnegie was one of America greatest industrialist. He moved to the United States at the age of 13. He was the son of a poor Scottish textilist, living in Pittsburgh, Pennsylvania. Andrew may have been only a boy, but one thing he learned from his father was to work hard, because of this he thrived in his work. Andrew began his work at the age of 13, for a telegraph messenger service. After a few years Andrew had so perfected his job that he was one of the two people in the United States that could recog nize what the Morse code was without using a chart to translate it. This hard work ethic paid off for Andrew, as he became one of the first immigrants to become a giant figure in the business world. During the civil war he built Carnegie steel company into a steel empire using the Bessemer process to convert Carnegie steel company into the largest and most successful steel company in the world. The Bessemer process was a process to control all factors, which contributed to the production of steel from the ore and coal in the ground to the steel billet and the steel rail. The new government views in the late 1800’s helped to promote America’s huge industrial growth because not one party controlled the government anymore; so all views were used to formulate new ideas.Show MoreRelatedIndustrial Of The Industrial Revolution1666 Words   |  7 PagesMartinez English IV, 1st hour 4/29/16 The Industrial Revolution The Industrial Revolution set people away from farms and small villages and moved them to cities and towns because of the job opportunities that arose in the cities. The Industrial Revolution not only helped people move along in the late 1700s and early 1800s but also it has made the people what they are today. During the Industrial Revolution, the movement from an agrarian society to an industrial one reshaped the roles of families, widenRead MoreThe Revolution Of The Industrial Revolution917 Words   |  4 PagesWhen thinking of the industrial revolution, I usually correlate this transitional period to great advancements in machinery, and an increase in jobs. However, after looking past the surface of the industrial revolution, in regards to the promise of great wealth, this promise was not kept, along with other issues. I believe that a â€Å"better life† would mean that people would not have to go through the same struggles they once did before the revolution, struggles such as not having a job, money, homeRead MoreThe Industrial Revolution1633 Words   |  7 Pagesmeans of communication, factories to manufacture the products you need, places to work, and ways to travel and transport goods. And what made these possible? The answer is the Industrial Revolution, which started in Europe around the year 1730. A revolution is a major change or turning point in something. The Industrial Revolution was a major turning point in history and in the way people lived. Their careers, living situations, location, values, and daily routines all changed, and they needed it desperatelyRead MoreThe Industrial Revolution943 Words   |  4 PagesThe Industrial Revolution, a Revolution that began in Britain in the nineteenth century, saw people move from working in the farming industry to working in factories. This transition from an agrarian society meant that many people moved to cities in search of jobs. New methods of manufacturing allowed goods to be produced f ar more cheaply and quickly than before. However, the Revolution came with its own negative consequences. The lives of children during the Industrial Revolution were torturousRead MoreThe Industrial Revolution1097 Words   |  5 PagesBefore the advent of the Industrial Revolution, most people resided in small, rural communities where their daily existences revolved around farming. Life for the average person was difficult, as incomes were meager, and malnourishment and disease were common. People produced the bulk of their own food, clothing, furniture and tools. Most manufacturing was done in homes or small, rural shops, using hand tools or simple machines. Did You Know? The word luddite refers to a person who is opposedRead MoreThe Industrial Revolution1090 Words   |  5 PagesShort Term Misery†¦ Long Term Gain There are two major industrializations that have occurred through out history, both which began in England. The Industrial Revolution was from 1750 until 1800. The first and second industrialization were filled with many inventions, new societal ideas, new raw materials, new sources of power, also new ideas and societal implements were made enabling the world and society to evolve. Overall these industrialization was filled with death, neglect, and disease but endedRead MoreThe Industrial Revolution936 Words   |  4 Pageseconomist Robert Emerson Lucas wrote in regards to the Industrial revolution: For the first time in history, the living standards of the masses of ordinary people have begun to undergo sustained growth. The novelty of the discovery that a human society has this potential for generating sustained improvement in the material aspects of the lives of all its members, not just the ruling elite, cannot be overstressed.† (Lucas 2002). The revolution itself was ce ntred in Britain before spreading to theRead MoreThe Industrial Revolution705 Words   |  3 PagesThe Industrial Revolution was the quintessence of capitalistic ideals; it bred controversy that led to Karl Marx’s idea of communism as a massive grass roots reaction to the revolution’s social abuses. Firstly, the Industrial Revolution featured the construction of machines, systems and factories that allowed goods to be manufactured at a faster rate with a lower cost. The seed drill made it so there could be â€Å"a semi-automated, controlled distribution and plantation of wheat seed†(Jones 2013). SecondlyRead MoreIndustrial Revolution1160 Words   |  5 Pagesend of the 19th century, a significant change took place in the fundamental structure of the economy. That change was industrialization. During this time period, the United States of America changed from a large, agricultural country, to an urban industrial society. The process of industrialization began to take place in America, and eventually took over the economy during this period. Entrepreneurs and inventors put together various machines and businesses to help better the country function on aRead MoreThe Industrial Revolution Essay2099 Words   |  9 PagesThe Industrial Revolution was one of the largest social and cultural movements that changed the methods of manufacturing of metal and textiles, the transportation system, economic policies and social structure as well. Before the Industrial Revolution, people used to live by season due to agriculture. They thrived on whatever food was in season. Now, as a result of the Industrial Revolution, we live regimented and almost everything that is made, is mass produced. I will discuss three major topics

Tuesday, December 17, 2019

The Presentation Of Abdominal Pain - 1504 Words

A COMMON PRESENTATION IN AN UNCOMMON DISEASE; RIGHT UPPER QUADRANT PAIN †¢ INTRODUCTION The presentation of abdominal pain is a common one, it is very non-specific and can be challenging to diagnose. When abdominal pain is localized to the right upper quadrant (RUQ), a broad range of differentials come to mind in relation to the underlying organs in that region. These differentials are narrowed down based on other parts of the history like the onset and duration of the pain, age, sex, associated symptoms like fever, nausea, vomiting etc, and comorbid conditions. Right upper quadrant pain can be benign but it can also signal serious pathology. Early diagnosis is key to preventing serious complications. This case presentation aims to highlight a presentation of right upper quadrant abdominal pain in a 36-year-old male which heralded a more sinister pathology despite the absence of risk factors. †¢ CASE REPORT A 35 year old African-American male with a past medical history of hepatic hemangioma and borderline hypertension presented with a one-week of intermittent fevers and progressively worsening sharp right upper quadrant abdominal pain. Associated symptoms are chills, night sweats and fatigue. He denied any recent sick contacts, recent travel or changes in his water source. He denied weight loss, cough, nausea, vomiting, chest pain, shortness of breath, dysuria, hematuria, headache, changes in stool, blurry vision, and no joint pain. Patient endorsed decreased in appetite,Show MoreRelatedCase Report : - Inguinal Hernias1532 Words   |  7 PagesCase: Mr. Strain, a 45-year-old man, who while trying to show his wife how strong he was, strained to pick up a particularly heavy coffee table. He suddenly felt a sharp pain in his right groin. Later, he noticed that a painful bulge had developed in his groin which disappeared when he was on his back. After several months, the pain and the b ulge in his groin increased and he finally agreed to see a physician. On exam, you observe a swelling which begins about midway between the anterior superior iliacRead MoreReflection On The Practicum Journal1185 Words   |  5 Pagesjournal allows for the joining of knowledge, practice and reflection. In week five, the subject matter was atypical presentation. In week six, the subject was the impact of dementia, delirium and depression on the elderly. The purpose of this paper is to reflect on my practicum from weeks five and six while covering atypical presentation and dementia. Week Five: Atypical Presentation Patient is a 68-year-old WF who was admitted for extended recovery from sepsis secondary to perforated diverticulumRead MoreWhat are Abdominal Pregnancy?848 Words   |  4 Pages Abdominal pregnancy is one of the rarest types of ectopic pregnancy. About 1% of ectopic pregnancies in the United States are abdominal (10 out of every 100,000 pregnancies) [1]. The importance of such variety is not only related to the rarity of the diagnosis but also for the seriousness of its sequels; the maternal mortality rate is estimated to be about 5 per 1,000 cases, about seven times the rate for ectopic pregnancy in general, and about 90 times the rate for a normal delivery [2]. TheRead MoreSymptoms And Treatment Of Patients1121 Words   |  5 Pagespatients reported one or more abdominal surgeries before the development of pain and attributed their pain to surgery (Table 2). Eight blocks were performed on the left side, 12 on the right side, and 25 bilateral. One patient missed the follow-up, 9 blocks were reported to be ineffective (3 patients in this group were labelled opioid seekers), and 6 patients reported ongoing improvement. The procedure improved pain in 79.5% of the performed blocks. At presentation, 17 patients reported some gastrointestinalRead MoreWomen s Health Assessment Part II794 Words   |  4 Pages She is a G2P1, with one previous vaginal delivery. EDC is 4/8/16. X.C. is currently having lower abdominal pain and pressure in her vaginal area that started 3 days ago. She is also c/o of constant, dull pain in her right upper quadrant (under her ribs). X.C. has tried drinking water, resting, and Tylenol for pain. These measures helped with her pain 3 days ago, but today the abdominal pain and pressure has gotten worse since 0700 this morning. She denies any bleeding or leakage of fluid, andRead MoreCrohn s Disease ( Cd )1736 Words   |  7 Pagesdiseased areas. CD can involve any area of the GI tract, ranging from the mouth to the anus. However, it frequently affects the jejunum, terminal ileum (regional enteritis), and proximal colon (granulomatous colitis) (Schub, 2016). The internal presentation of CD include granulomas, which are mucosal ulcerations and nodular submucosal thickenings, that form a cobblestone appearance of the intestinal wall and leads to decreased nutrient absorption. The interference of absorption usually causes growthRead MoreThe Seven Step Model Of A Decision Making Model930 Words   |  4 PagesKelly was admitted with complaints of abdominal pain what was different from her primary diagnoses. Her vital signs were with normal limits and no significant changes from privies results, but for the nurse she looks sick, and Joanna know that something is wrong. She calls the resident doctor, but he tell her to watches and calls back with series changes. Joanna multiple attempts to report that something needs to be done to evaluate the cause of Mrs. Kelly pain was ask to calm down. However nobodyRead MoreAcute Exacerbations Of Crohn s Disease881 Words   |  4 PagesAbdominal Catastrophes in the Obstetric Patient; Perforated Crohnâ₠¬â„¢s Disease Severe exacerbations of Crohn’s Disease (CD) requiring acute surgery are rare, and even rarer still are those that occur during pregnancy. The typical age of onset for CD is 15-30 years old, therefore affecting women during their child-bearing years. One review, noted a majority of pregnant patient with IBD were diagnosed prior to pregnancy, however, 4.1% of women with CD were diagnosed during pregnancy. No data suggestsRead MoreEssay on Reflective Nursing Case Study708 Words   |  3 Pagesreflection to write a personal account of an abdominal examination carried out in general practice under the supervision of my mentor, utilising the skills taught during the module thus far. What happened During morning routine sick parade I was presented with a 21 year old male soldier experiencing severe acute, non specific, abdominal pain. Under the supervision of the medical officer (MO) I proceeded to carry out a full assessment and abdominal examination, using Byrne and Long’s (1976) modelRead MoreSymptoms And Treatment Of A Call1456 Words   |  6 Pagescomplaint was abdominal pain with nil other symptoms. The call was assigned Code Two, and the crew was dispatched to the private residence the call originated from. On arrival, the patient was found in the main bedroom laying supine, guarding the lower abdominal area and as the crew entered the room, the patient curled up onto her side. The patient stated eight out of ten (8/10) pain located inferior to the umbilical region to right iliac, that came on suddenly after urination. Pain was worse on movement

Sunday, December 8, 2019

Should There Be A Law Against Paparazzi Essay Example For Students

Should There Be A Law Against Paparazzi? Essay How about creating a law against the use of telephoto lens and parabolic listening devices? How about creating a new crimeOne that will penalize those persisting and persuading photographers, the Paparazzi also known to celebrities as stalkarazzi who follow the rich and famous for the thousand dollars snapshot that reveals some special, intimate moment or an embarrassing one. Should there be a law rebuking such act? Should there be strict laws preventing press photographers (paparazzi) from pursuing persons who do not want to be photograph?I believe theres a symbolic relationship that exists between celebrities and photographer; they need each other to create the aura that feeds them both. And the general public needs that aura to feed its dream and fantasies. Without the paparazzi and the tabloids that sell better than an item greatly reduced in its sale price, the famous wouldnt be famous. The glitter would fade away into gray mist like a fog. The famous gave up a large measure of privacy for the brighter, larger world of glitter. Its living globally, everyone knows where you are and when and also every gritty little detail of your personal lifestyle. Privacy is not part of language. Photographers do have the right to follow public figures, newsmakers, and celebrities in order to snap their photos. A line should be drawn as to peering over a wall or chasing a limo to get a picture of a celebrity. But if someone (like Princess Diana) is doing something on a front lawn and theres no wall or security, thats a different. A law or Bill against paparazzi is unnecessary because there are already laws against trespassing, against stalking, against reckless driving ( as in pursuit of a celebrity) and against harassment. These laws are available to everyone, not just celebrities. Furthermore, by creating a bill or law against paparazzi, its not attempt to save the rich and famous. The famous still want the attention and limelight, but only when they are stepping down of their $100, 000 limo, dressed to sparkle like their jewelry and teeth. Understandably, they want fame that can be turned on and off like a switch, on their terms, when its convenient. Hence another reason why a law against paparazzi would be unwise. Celebrities themselves frequently have proved both creative and effective in dealing with the media they consider overly intrusive. For example, Actor George Clooney led a boycott of tabloid TV shows for what he considered intrusive and unfair coverage. As a result of the boycott, the shows changed their rules about what would be accepted and air. In conclusion, my answer to the question Should there be laws against photographers from pursing persons who do not want to be photograph has clearly been stated, which is No. Creating laws against paparazzi wont stop the paparazzi from following celebrities. Theyll just find sneakier, more dangerous means to get their photos. Since there are laws already on the books to handle abusive behavior by celebrity hunting photographers, the creation of a federal crime is unnecessary and unwarranted.

Sunday, December 1, 2019

Kate Chopin and The Story of an Hour Research Paper Example

Kate Chopin and The Story of an Hour Paper Literary elements support and develop the themes in all works of fine literature. The short story â€Å"The Story of an Hour† by Kate Chopin is a work delicately woven together with different literary elements including symbolism, character, and point of view that contribute to the theme of the story, which is a study of individuality conflicting with oppression. Oppression in general can come from society, human beings, or even from the same person. In this short story, Louise is being oppressed by all three groups aforementioned. She is oppressed by society in having to conform to a certain stereotypical method of mourning, oppressed by her husband and their marriage, and oppressed by her own heart, which dares not continue on after losing her independence once more. Oppression in America was not uncommon at this time, especially in marriages. Kate Chopin was a feminist and often tried to expose how confined women were in society and in marital relationships. Liu Zhuo said that â€Å"[This short story was] exploring how American main stream society ignored womens values and imposed constraints on spiritual freedom. (Zhuo, 2004). Individuality in this short story is seen strongly when Louise is contemplating her own life. She, a dependent and intelligent woman, feels as if she has shrugged off some horrid burden and is allowed to have a free and wonderful time after she learns of the accident. As impressive as this may sound, she was intended on being just another woman being oppressed in this time period, but the death of her husband liberates her enough to show her independent nature. We will write a custom essay sample on Kate Chopin and The Story of an Hour specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Kate Chopin and The Story of an Hour specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Kate Chopin and The Story of an Hour specifically for you FOR ONLY $16.38 $13.9/page Hire Writer Emily Toth notes that Louise â€Å"will not have to live her life for anyone else; she will not have to submit to anyones wishes but her own. † (Toth, pg 10). Her strong will and desire to be her own person is evident in this analysis. Louise desires nothing more than to be her own person, but she may have not been aware if that before the news arrived. When her unknown desire comes into light, she becomes a shining new woman that is apart from other confined women. Symbolism in â€Å"The Story of an Hour† is both subtle and strong. Symbolism of oppression is often here seen in her desire to be free. This desire is projected to an open window and this window becomes a symbol for her newly-found freedom and prospects after finding out that her husband has died. Peering out of this window, Louise sees life and earthly wonders she had never before hoped to enjoy, and she begins to wonder about how her life will be now that she is free from the marriage. The text even goes so far in stating that â€Å"She was drinking in a very elixir of life through that open window. † (Chopin, 1894). This symbol becomes complete when she turns away from the window to find her husband lives, at which point she loses her life. Another symbolic aspect in this short story is her heart itself. In the story, her heart issues are the main focus of disaster and her joy. At the beginning of the story, her heart trouble is the first thing that is mentioned about her. When she begins thinking about her newly-acquired freedom, her heart races. The text relates that â€Å"Her pulses beat fast, and the coursing blood warmed and relaxed every inch of her body. † (Chopin, pgh 11). This would imply that her heart had been stoic and languid before this time, meaning that she was only now truly beginning to live. The news of her husbands death may have been broken to her gently so that her heart might not cause her death, but her heart actually stops beating when she finds out that he lives, alluding that she has symbolically and physically died again under her marriages oppression. Asserting that the heart troubles are symbolic, it would be easy to compare metaphorically her physical heart trouble to the trouble of her love life. It is common knowledge that when one loses another their heart might break, or that when one is in love their heart swells. Hearts are symbols for love, and Louises heart clearly lacks strength here. Louise has no reason to hate her husband, or be glad that he is dead. Rather, she expressed that she would be mournful at his funeral, and stated clearly that she did not love her husband. The characters of this story are very interesting, but Louise Mallard is the only one that has any true depth given to her. She is portrayed as a woman that has been confined to the cage of marriage, and would do anything to get out. She showed immense emotion to the onlookers after hearing the news of her husbands death but her inner thoughts and desires were joyful and hopeful. She has heart problems, but they are presented very vaguely and without a true label of disease. This, along with her external mannerisms suggest that her heart problems are physical and emotional. The point of view is written in third-person omniscient and is essential for the story to be carried out correctly. As a matter of fact, the entirety of the story would be very different if it had been written in the first-person point of view. The very first sentence would not have been possible, and thus the knowledge of her heart malady would not have been revealed. Perhaps if it had been written from her eyes, the entire story also might have sounded rather malicious. The narrator also serves to make Louise a sympathetic character rather than an uncaring one. Making excuses and sugar-coating her feelings of freedom, the narrator is essential in this story. Louise was not seeking out freedom from oppression or her marriage, but she had a taste of freedom through her open window when she learned she was a widow. Rather than her heart breaking as her family feared, her heart started beating. Louise gained her individuality and became a very dynamic character in the hour shut up in her room. Through the sympathetic narrator, the reader goes on a journey of self-discovery with Louise as she claws her way to a free state of mind and being. It is with these literary elements that the story teaches the theme of an individual dealing with an oppressive marriage. Resources http://en.cnki.com.cn/Article_en/CJFDTOTAL-DBDS200406020.htm

Tuesday, November 26, 2019

How To Take Notes

How To Take Notes It seems that it would be easy to write down stuff in class. That learning how to take notes would be a waste of time. However, the opposite is true. If you learn how to take notes effectively and efficiently, you’ll save yourself hours of study time just by observing a few simple tricks. If you dont like this method, then try out the Cornell System for taking notes! Choose Appropriate PaperThe right paper can mean the difference between complete frustration in class and organized notes. To take notes effectively, choose a sheet of loose, clean, lined paper, preferably college-ruled. There are a couple reasons for this choice:Choosing loose paper to take notes allows you to rearrange your notes in a binder if necessary, lend them easily to a friend, and remove and replace a page if it gets damaged.Using college-ruled paper means that the spaces between the lines are smaller, allowing you to write more per page, which is advantageous when you’re studying a lot of material. It won’t seem as much, and thus, as overwhelming.Use Pencil and Skip LinesNothing will make you more frustrated than taking notes and having to draw arrows from new content to a related idea your teacher was talking about 20 minutes ago. That’s why it’s important to skip lines. If your teacher brings up something new, you’ll have a place to squ eeze it in. And, if you take your notes in pencil, your notes will stay neat if you make a mistake and you won’t have to rewrite everything just to make sense of the lecture. Label Your PageYou don’t have to use a clean sheet of paper for every new note-taking session if you use appropriate labels. Start with the topic of the discussion (for study purposes later), fill in the date, class, chapters associated with the notes and teacher’s name. At the end of your notes for the day, draw a line crossing the page so you’ll have a very clear demarcation of each day’s notes. During the next lecture, use same format so your binder is consistent.Use an Organizational SystemSpeaking of organization, use one in your notes. Many people use an outline (I.II.III. A.B.C. 1.2.3.) but you can use circles or stars or whatever symbols youd like, as long as you stay consistent. If your teacher is scattered and doesn’t really lecture in that format, then just organize new ideas with numbers, so you don’t get one long paragraph of loosely-related content.Listen for ImportanceSome of the stuff your teacher says is irrelevant, but much of it needs remembering. So how do you decipher what to put down in your notes and what to disregard? Listen for importance by picking up dates, new terms or vocabulary, concepts, names, and explanations of ideas. If your teacher writes it down anywhere, he or she wants you to know it. If she talks about it for 15 minutes, she’s gonna quiz you on it. If he repeats it several times in the lecture, you’re responsible. Put Content Into Your Own WordsLearning how to take notes begins with learning how to paraphrase and summarize. You will learn new material better if you put it into your own words. When your teacher waxes wordy about Leningrad for 25 minutes, summarize the main idea into a few sentences you’ll be able to remember. If you try to write everything down word for word, you’ll miss stuff, and confuse yourself. Listen attentively, then write.Write LegiblyIt kind of goes without saying, but I’m gonna say it anyway. If your penmanship has ever been compared to chicken scratch, you better work on it. You’ll thwart your taking notes efforts if you can’t read what you’ve written! Force yourself to write clearly. I guarantee that you will not remember the exact lecture when it comes to exam time, so your notes are often going to be your only lifeline. Note Taking Tips Sit near the front of the class so you dont get distractedBring the appropriate supplies, good college-ruled paper and a pen or pencil that will allow you to write legibly and easily.Keep a folder or binder for every class, so youre more likely to keep your notes organized.

Friday, November 22, 2019

French and Indian War - French and Indian War Seven Year War

French and Indian War - French and Indian War Seven Year War Previous: 1758-1759 - The Tide Turns | French Indian War/Seven Years War: Overview | Next: Aftermath: An Empire Lost, An Empire Gained Victory in North America Having taken Quebec in the fall of 1759, British forces settled in for the winter. Commanded by Major General James Murray, the garrison endured a harsh winter during which over half of the men suffered from disease. As spring approached, French forces led by the Chevalier de Levis advanced down the St. Lawrence from Montreal. Besieging Quebec, Levis hoped to re-take the city before the ice in the river melted and the Royal Navy arrived with supplies and reinforcements. On April 28, 1760, Murray advanced out of the city to confront the French but was badly defeated at the Battle of Sainte-Foy. Driving Murray back into the citys fortifications, Levis continued his siege. This ultimately proved futile as British ships reached the city on May 16. Left with little choice, Levis retreated to Montreal. For the 1760 campaign, the British commander in North America, Major General Jeffery Amherst, intended to mount a three-pronged attack against Montreal. While troops advanced up the river from Quebec, a column led by Brigadier General William Haviland would push north over Lake Champlain. The main force, led by Amherst, would move to Oswego then cross Lake Ontario and attack the city from the west. Logistical issues delayed the campaign and Amherst did not depart Oswego until August 10, 1760. Successfully overcoming French resistance, he arrived outside of Montreal on September 5. Outnumbered and short on supplies, the French opened surrender negotiations during which Amherst stated, I have come to take Canada and I will take nothing less. After brief talks, Montreal surrendered on September 8 along with all of New France. With the conquest of Canada, Amherst returned to New York to begin planning expeditions against French holdings in the Caribbean. The End in India Having been reinforced during 1759, British forces in India began advancing south from Madras and recapturing positions that had been lost during earlier campaigns. Commanded by Colonel Eyre Coote, the small British army was a mix of East India Company soldiers and sepoys. At Pondicherry, the Count de Lally initially hoped that the bulk of the British reinforcements would be directed against a Dutch incursion in Bengal. This hope was dashed in late December 1759 when British troops in Bengal defeated the Dutch without requiring aid. Mobilizing his army, Lally began maneuvering against Cootes approaching forces. On January 22, 1760, the two armies, both numbering around 4,000 men, met near Wandiwash. The resulting Battle of Wandiwash was fought in the traditional European style and saw Cootes command soundly defeat the French. With Lallys men fleeing back to Pondicherry, Coote began capturing the citys out-lying fortifications. Further reinforced later that year, Coote laid siege to t he city while the Royal Navy conducted a blockade offshore. Cut off and with no hope of relief, Lally surrendered the city on January 15, 1761. The defeat saw the French lose their last major base in India. Defending Hanover In Europe, 1760 saw His Britannic Majestys Army in Germany further reinforced as London increased its commitment to the war on the Continent. Commanded by Prince Ferdinand of Brunswick, the army continued its active defense of the Electorate of Hanover. Maneuvering through the spring, Ferdinand attempted a three-pronged attack against Lieutenant General Le Chevalier du Muy on July 31. In the resulting Battle of Warburg, the French attempted to escape before the trap was sprung. Seeking to achieve a victory, Ferdinand ordered Sir John Manners, Marquess of Granby to attack with his cavalry. Surging forward, they inflicted losses and confusion on the enemy, but Ferdinands infantry did not arrive in time to complete the victory. Frustrated in their attempts to conquer the electorate, the French moved north later that year with the goal striking from a new direction. Clashing with Ferdinands army at the Battle of Kloster Kampen on October 15, the French under the Marquis de Castries won a protracted fight and forced the enemy from the field. With the campaign season winding down, Ferdinand fell back to Warburg and, after further maneuvers to expel the French, entered into winter quarters. Though the year had brought mixed results, the French had failed in their efforts to take Hanover. Prussia Under Pressure Having narrowly survived the previous years campaigns, Frederick II the Great of Prussia quickly came under pressure from Austrian General Baron Ernst von Laudon. Invading Silesia, Laudon crushed a Prussian force at Landshut on June 23. Laudon then began moving against Fredericks main army in conjunction with a second Austrian force led by Marshal Count Leopold von Daun. Badly outnumbered by the Austrians, Frederick maneuvered against Laudon and succeeded in defeating him at the Battle of Liegnitz before Daun could arrive. Despite this victory, Frederick was taken by surprise in October when a combined Austro-Russian force successfully raided Berlin. Entering the city on October 9, they captured large amounts of war materials and demanded monetary tribute. Learning that Frederick was moving towards the city with his main army, the raiders departed three days later. Taking advantage of this distraction, Daun marched into Saxony with around 55,000 men. Splitting his army in two, Frederick immediately led one wing against Daun. Attacking at the Battle of Torgau on November 3, the Prussians struggled until late in the day when the other wing of the army arrived. Turning the Austrian left, the Prussians forced them from the field and won a bloody victory. With the Austrians retreating, campaigning for 1760 came to an end. Previous: 1758-1759 - The Tide Turns | French Indian War/Seven Years War: Overview | Next: Aftermath: An Empire Lost, An Empire Gained Previous: 1758-1759 - The Tide Turns | French Indian War/Seven Years War: Overview | Next: Aftermath: An Empire Lost, An Empire Gained A War Weary Continent After five years of conflict, the governments in Europe were beginning to run short of both men and money with which to continue the war. This war weariness led to final attempts to seize territory to use as bargaining chips in peace negotiations as well as overtures for peace. In Britain, a key change occurred in October 1760 when George III ascended to the throne. More concerned with the colonial aspects of the war than the conflict on the Continent, George began to shift British policy. The final years of the war also saw the entry of a new combatant, Spain. In the spring of 1761, the French approached Britain regarding peace talks. While initially receptive, London backed out upon learning of negotiations between France and Spain to widen the conflict. These secret talks ultimately led to Spain entering the conflict in January 1762. Frederick Battles On In central Europe, a battered Prussia was only able to field around 100,000 men for the 1761 campaign season. As most of these were new recruits, Frederick changed his approach from one of maneuver to one of positional warfare. Constructing a massive fortified camp at Bunzelwitz, near Scheweidnitz, he worked to improve his forces. Not believing the Austrians would attack such a strong position, he moved the bulk of his army toward Neisee on September 26. Four days later, the Austrians assaulted the reduced garrison at Bunzelwitz and carried the works. Frederick suffered another blow in December when Russian troops captured his last major port on the Baltic, Kolberg. With Prussia facing complete destruction, Frederick was saved by the death of Empress Elizabeth of Russia on January 5, 1762. With her demise, the Russian throne passed to her pro-Prussian son, Peter III. An admirer of Fredericks military genius, Peter III concluded the Treaty of Petersburg with Prussia that May ending ho stilities. Free to focus his attention on Austria, Frederick began campaigning to gain the upper hand in Saxony and Silesia. These efforts culminated with a victory at the Battle of Freiberg on October 29. Though pleased with the victory, Frederick was angered that the British had abruptly halted their financial subsidies. The British separation from Prussia began with the fall of William Pitt and the Duke of Newcastles government in October 1761. Replaced by the Earl of Bute, the government in London began to abandon Prussian and Continental war aims in favor of securing its colonial acquisitions. Though the two nations had agreed not to negotiate separate peaces with the enemy, the British violated this pact by making overtures to the French. Having lost his financial backing, Frederick entered into peace negotiations with Austria on November 29. Hanover Secured Eager to secure as much of Hanover as possible before the end of fighting, the French increased the number of troops committed to that front for 1761. Having turned back a winter offensive by Ferdinand, French forces under Marshal Duc de Broglie and the Prince of Soubise began their campaign in the spring. Meeting Ferdinand at the Battle of Villinghausen on July 16, they were soundly defeated and forced from the field. The remainder of the year saw the two sides maneuvering for advantage as Ferdinand again succeeded in defending the electorate. With the resumption of campaigning in 1762, he soundly defeated the French at the Battle of Wilhelmsthal on June 24. Pushing on later that year, he attacked and captured Cassel on November 1. Having secured the town, he learned that peace talks between the British and French had begun. Spain the Caribbean Though largely unprepared for war, Spain entered the conflict in January 1762. Promptly invading Portugal, they had some success before British reinforcements arrived and bolstered the Portuguese army. Seeing Spains entry as an opportunity, the British embarked on a series of campaigns against Spanish colonial possessions. Utilizing veteran troops from the fighting in North America, the British Army and Royal Navy conducted a series of combined-arms attacks that captured French Martinique, St. Lucia, St. Vincent, and Granada. Arriving off Havana, Cuba in June 1762, British forces captured the city that August. Aware that troops had been withdrawn from North America for operations in the Caribbean, the French mounted an expedition against Newfoundland. Valued for its fisheries, the French believed Newfoundland to be a valuable bargaining chip for peace negotiations. Capturing St. Johns in June 1762, they were driven out by the British that September. On the far side of the world, British forces, freed from fighting in India, moved against Manila in the Spanish Philippines. Capturing Manila in October, they forced the surrender of the entire island chain. As these campaigns concluded word was received that peace talks were underway. Previous: 1758-1759 - The Tide Turns | French Indian War/Seven Years War: Overview | Next: Aftermath: An Empire Lost, An Empire Gained

Thursday, November 21, 2019

Fraud detection in accounting Essay Example | Topics and Well Written Essays - 2750 words

Fraud detection in accounting - Essay Example While the company grew rapidly through the 1990s, some of the worst manifestations of its culture -- obsessions with bonuses, the stock price and exotic accounting -- were also growing, and out of controlThough the corporation's character flaws can be traced to its earliest days, they flourished under top executive Jeff Skilling. He didn't act in a vacuum. Enron had a distracted, hands-off chairman, a compliant board of directors and an impotent staff of accountants, auditors and lawyers. But it was Skilling's relentless push for creativity and competitiveness that fostered a growth-at-any-cost culture, drowning out voices of caution and overriding all checks and balances." (Fowler, 2005) Enron has developed into becoming a part of America's top ten companies in the span of nearly two decades. Their sudden rise to power seemed impossible to many industries in the financial world. However, the scam which brought upon Enron success was discovered.The controversy involving powerful institutions has made an immense impact in the corporate world leading to their downfall and the implementation of stringent laws of the government. Enron and Arthur Andersen faced the collapse of their careers which affected the industry and the birth of the Sarbanes-Oxley Act.The largest bankruptcy in history marked the existence of fraudulent accounting procedures by Enron and Arthur Andersen in 2001. the once blue chip stock ended up to be valued for small meager amounts. Most of Enron's profits were from transactions with controlled limited partnerships which turned into debts that were not reported on its financial statements. The issue or problem that led to the (alleged) violation. Deception was the name of the game for Enron. They concealed their controversial and suspicious dealings and transaction with their growing debt so that they appear debt-free and admirable to stockholders and the public. At last, every lie and cover up was made known to many when the company suddenly and unexpectedly filed for Chapter 11 Bankruptcy. That was their last resort. Not even company partnerships and affiliations could save the money and the glory of Enron. When the news of bankruptcy of Enron was revealed, the reasons behind Enron's downfall remained unclear and uncertain. There were mixed reactions among businessmen, politicians, stockholders and others. Most of them were enraged while some felt concerned. There were those who were not surprise that the discrepancies with the financial statements could actually happen. It was as if it was the common habit among those who wish to decrease their debt. Questions such as the reason behind the downfall as well as the possible ways and means for preventing bankruptcy rose among the interested public. What hindered the company or the government from foreseeing the end of Enron Was there money laundering or fraud behind the scandal If there was, has the laws implemented by the government sufficient to verify the financial records of Enron Management's involvement in the alleged violation. To shed light on the Enron controversy, a whistleblower, Sherron Watkins, decided to confess all the financial secrets of the company. The government took its role by initiating an investigation powered up by some of the congressional committees. Aside from Watkins, other key players admitted their involvement and decided to testify while some still pleads not guilty. The involvement of an accounting firm as reputable as Arthur Andersen with the controversy, heightened the interest of the public as well as legislators, economists and politicians. The firm also experienced a great loss even though the verdict has not yet been announced. Their clients retracted their loyalty and shifted to other competitive firms. Some employees resigned and sought other jobs from other companies. The accounting firm did a great job on the falsification and manipulation of Enron's financial statements that the discrepa

Tuesday, November 19, 2019

Dreams Essay Example | Topics and Well Written Essays - 1000 words

Dreams - Essay Example Due to their authoritative influence for example in my case, parents may force their children to take up career courses that are not within their interests (Gysbers 2008 p 32). This essay will show that this may lead to poor job performance and conflicts in the work place. It also suggests the best approach that parents should take while discussing their children’s career choice which is to be supportive as well as less authoritative. This essay is a critical evaluation of the parent’s influence, using myself as an example, on the career dreams that their children may have as well as the consequences of such influence. Every parent would be proud to have successful children, in their careers as well as life in general. Similarly, there is no child who would be proud to be a failure in the society. It therefore becomes necessary for the two parties to join efforts to ensure that only the best comes from the children’s life. While in the process, it becomes possible to experience conflicts in ideologies which may either result to a wrong career choice or disappointment in life (Gysbers 2008 p 25). In many cases, parents misuse the opportunity to guide their children into choosing the right careers whereby they tend to force them into what they themselves see as the best for their children. By doing so, they forget that every individual has unique characteristics which determine their interests as well as their hobbies. It would therefore be wrong for anyone be it the parent or friend to try and force his interests in another person. However, I believe that it is always necessary to offer vari ous options to the child using an open minded approach whereby both parties would be willing to listen to the other person’s point of view. My career dream has always been to become a Chef but on the other hand my parents do not support this but instead, they want me to become a nurse. These are two very different careers and it may be

Sunday, November 17, 2019

People Led District Disaster Management Essay Example for Free

People Led District Disaster Management Essay Soon after the Orissa Cyclone and thereafter the Gujarat earthquake the Government of India prioritized a national policy on disaster management and advocated a change of direction from a post disaster reactive approach to a proactive stance before the occurrence of disasters, provided a new legal framework and greater harmonization of disaster management efforts. The policy set forth principles (including significant community role and active civil society participation), objectives (including emphasis on prevention, DRR and promoting regional and national cooperation), strategies and provisions for promoting inter-sectoral complementarities. The Disaster Management Act 2005, mandates National, States and district authorities to develop policy, guidelines, plans for proper implementation of Disaster management plans to reduce adverse impact on communities and to facilitate timely and effective response. It stresses upon inclusion of mitigation, preparedness and DRR measures into development. As a result SDMAs in various states initiated development of district disaster management plans. However, some plans were merely a collection of contact phone numbers of important authorities and departments from the district. There were significant gaps in these operational plans mainly due to non availability of a standard framework, lack of expertise and dedicated resources. Lack of community participation and that of relevant stakeholders in the preparation process has resulted in lack of ownership among intended users and beneficiaries. Disasters tend to happen to people at risk. People are at risk because they are vulnerable to hazards. This vulnerability can be best reduced by increasing people’s capacities to deal with underlying social, cultural and physical factors. The key to successful disaster management plan is to ensure involvement of people who are victims and who are at risk or could be potential victims. If this is not practiced it is often unsustainable, costly and ineffective. Most DDMPs in the country lacked participation of affected communities and civil society. A participatory community level disaster management involves a cross section of people in the design and development process of the plan. When local people develop these plans there is more interest, greater ownership and understanding resulting in successfully reducing suffering and losses. The key principles of this approach thus are: * Community themselves are best placed to prioritize threats and take effective risk reducing actions. The best time to reduce the impact of disasters is before the next disasters occur. Hence, preventive actions should be integral part of the effective disaster management plan. * The identification and mapping of hazards along with who and what may be affected is necessary before risk reduction plans can be made. * Progress has to be well publicized to maintain interest and strengthen the culture of disaster reduction. An example of this is found in the recent NDMA/SDMA collaboration with civil society coming together to develop community led DDMP in Madhubani. One of the basic highlights of the Madhubani DDMP process is that though it oriented towards response but it also incorporates reduction and prevention thrust. Incidentally, prevention has been recognized as an important aspect of DDMP by the district and state/SDMA but also in the poverty reduction strategy. As a result of DDMP several agencies/departments in Madhubani have shown willingness to incorporate prevention measures in their regulations, such as the building codes by the town planners that regulate development of settlements. It was encouraging to note high level of commitment from various stakeholders to improving DRR mechanism. Tearfund has been working along with its partners to lobby with governments at all levels for influencing the policies and development of effective people friendly plans. The Madhubani DRR project implemented by its partner organisation EFICOR in 30 villages in Madhubani was instrumental in development of pilot District Disaster Management Plan (DDMP) along with support from SPHERE India. The strength of this pilot has been the process it has embarked upon wherein involvement and participation of all level of stakeholders from community to district/state/national government authorities in development process of this DDMP. In view of intensive involvement of all relevant stakeholders the pilot has received good response and acceptance from the NDMA and SDMA. This is considered as the first ever attempt in developing a DDMP which has come up from the active involvement of first respondent in any natural disasters. As mentioned above the thrust of development of DDMP is that it is being developed involving affected community, hence, the approach has been bottom-up, however at the same time, all relevant stakeholders, be it government departments or the NGOs and other actors have been involved and participated at all stages of development of the plan. This is truly a plan developed by the people and for the people. This plan has also influenced many other civil socieities to take up similar preparations for other districts and states with the support of NDMA.

Thursday, November 14, 2019

The Problems Of Philosophy, by Bertrand Russell :: The Problems Of Philosophy Essays

The value of Philosophy is, in fact, to be sought largely in its uncertainty. The man who has no tincture of Philosophy goes through life imprisoned in the prejudices derived from common sense, from the habitual beliefs of his age or his nation, and from the convictions which have grown up in his mind without the co-operation of his deliberate reason. Bertrand Russell, The Problems of Philosophy. Philosophy is commonly thought of as an activity reserved for Oxbridge high- brows; or a sort of intellectual table-tennis indulged in by the Ancient Greeks to while the time away before television came along. Russell suggests that it may actually serve a purpose for everyone. In the first line, Russell is clearly contrasting his own belief in the inherent uncertainty of philosophy with the attitude of those people who dedicate their lives to a search for the "right" theory, in an attempt to understand the "truth" about human nature. He argues that, were a philosopher to write the perfect, unanswerable theory, the solution to life, the universe and everything, then philosophy would itself become responsible for inducing the very mental laziness which it should help us to avoid. Disagreement and debate between the adherents of rival theories is, moreover, essential to the health of philosophy. Just as many major advances of science are catalysed by war, so the great intellectual insights are sparked by discussion. If there were universal agreement on one philosophical theory, then all further thought would be rendered useless. (See p.319, Small World by David Lodge: "†¦what matters in the field of critical practice is not truth but difference. If everybody were convinced by your arguments, they would have to do the same as you and then there would be no satisfaction in doing it.") Russell talks of three different factors involved in the formation of prejudice. Each is considered in detail below. The first type of prejudice is derived from common sense. This is interesting: it appears that Russell is suggesting that common sense is to be avoided. The Concise Oxford Dictionary defines common sense as "sound, practical sense, especially in everyday matters". In theory, any sound sense is to be welcomed, where appropriate; the distinction to be made here is between applying common sense to mundane problems, which Russell would certainly not advise against, and taking it out of context as a set of rules which can be followed without any further thought, no matter what the circumstances. For example, if you are feeling hungry, and you are holding a biscuit, then a philosophical debate is not required to reach the conclusion that you eat the biscuit: it's common sense. The Problems Of Philosophy, by Bertrand Russell :: The Problems Of Philosophy Essays The value of Philosophy is, in fact, to be sought largely in its uncertainty. The man who has no tincture of Philosophy goes through life imprisoned in the prejudices derived from common sense, from the habitual beliefs of his age or his nation, and from the convictions which have grown up in his mind without the co-operation of his deliberate reason. Bertrand Russell, The Problems of Philosophy. Philosophy is commonly thought of as an activity reserved for Oxbridge high- brows; or a sort of intellectual table-tennis indulged in by the Ancient Greeks to while the time away before television came along. Russell suggests that it may actually serve a purpose for everyone. In the first line, Russell is clearly contrasting his own belief in the inherent uncertainty of philosophy with the attitude of those people who dedicate their lives to a search for the "right" theory, in an attempt to understand the "truth" about human nature. He argues that, were a philosopher to write the perfect, unanswerable theory, the solution to life, the universe and everything, then philosophy would itself become responsible for inducing the very mental laziness which it should help us to avoid. Disagreement and debate between the adherents of rival theories is, moreover, essential to the health of philosophy. Just as many major advances of science are catalysed by war, so the great intellectual insights are sparked by discussion. If there were universal agreement on one philosophical theory, then all further thought would be rendered useless. (See p.319, Small World by David Lodge: "†¦what matters in the field of critical practice is not truth but difference. If everybody were convinced by your arguments, they would have to do the same as you and then there would be no satisfaction in doing it.") Russell talks of three different factors involved in the formation of prejudice. Each is considered in detail below. The first type of prejudice is derived from common sense. This is interesting: it appears that Russell is suggesting that common sense is to be avoided. The Concise Oxford Dictionary defines common sense as "sound, practical sense, especially in everyday matters". In theory, any sound sense is to be welcomed, where appropriate; the distinction to be made here is between applying common sense to mundane problems, which Russell would certainly not advise against, and taking it out of context as a set of rules which can be followed without any further thought, no matter what the circumstances. For example, if you are feeling hungry, and you are holding a biscuit, then a philosophical debate is not required to reach the conclusion that you eat the biscuit: it's common sense.

Tuesday, November 12, 2019

Theories of Corporate Personality

Theories of Corporate Personality MANAS AGARWAL 5th Semester BA LL. B (B) School of Law Christ University Bangalore INDEX * Research Methodology * Introduction * The Common Law Perspectives * Fiction Theory * Concession Theory * The Purpose Theory * Bracket Theory * Realist Theory * Why Corporations? * Corporate Personality And Limited Liability Cases: * Macaura v. Northern Assurance Co. * Lee v. Lee’s Air Farming * Salomon v. Salomon & Co. ACKNOWLEDGEMENT I Manas Agarwal of B. A. LL. B (Hons. ) is really grateful to Ms. Fincy V, without whose help and corporation this project would not have been possible.I am also grateful to the National Law School India University (N. L. S. I. U) Library staff and the Knowledge Centre, Christ University staff, whose cooperation is appreciable. I think this kind of assignments lead to the overall development of the students and I am looking forward to take up such assignments in future. RESEARCH METHODOLOGY †¢ SCOPE AND FOCUS: – This research paper essentially seeks to study and criticise the different theories of corporate personality considering the jurisprudential conflicts. †¢ RESEARCH OBJECTIVES: – The principal objective of our research is to study and criticise the different theories of corporate personality and the concepts under it. * Another objective of our research is to find conflicts between the various theories relying on various judgments. †¢ RESEARCH QUESTIONS: – * What is the difference between various theories of corporate personalities. * The meaning and limits of a corporate personality. †¢ METHOD OF ANALYSIS: – This project has its basis on the following methods of analysis:- DESCRIPTIVE: – The first task is to comprehensively study and critize the jurisprudential theories of corporate personalities.ANALYTICAL: – Further these concepts and observations can be analyzed. The valuable knowledge that is gained from studying the commentaries must be used to understand the evolution of the theories and the law itself in terms of some cases. †¢ MODE OF CITATION :- The researcher(s) has used a uniform mode of citation in this paper. Introduction There is an interesting conflict between philosophic theories as to the nature of corporate personality and the insurgent demand of economic forces for a further recognition of those form of organisation which seem so essential to modern life.The grant of legal personality is clearly within the gift of the state, for it may be refused to natural persons. In the case of natural person, however, it is clear that law grants legal personality to a physical entity existing in space and possessing what (for lack of better term) we describe as human personality. While philosophy may find difficulty in analyzing or describing the real nature of human personality, few of us doubt that we exist, and we compensate for our defective analysis by an intuitive understanding of our own natur e which, however inadequate it may be, at least gives a substratum on which to build.As far as legal personality is concerned, there is no very significant difference between that granted to human beings and that to non-human beings such as groups or other entity. The decision of House of Lords in Salomon v A Salomon & Co. Ltd had a lasting influence in corporation law. It is often credited with the principle of separate legal entity of the corporation distinct from the members. Though there is no doubt that the Salomon case had play a significant role in company law, the decision in this case was hardly the origin of the separate legal entity principle.The legal entity of beings other than the human has long been recognized prior to 1897, in which the Salomon case was decided. The jurisprudence theories on juristic person had been established since the early Roman law to justify the existence of legal person other than the human. The State, religious bodies and education institutio ns had long been recognized as having legal entity distinct from the members. The acceptance of the corporate personality of a company basically means that another non-human entity is recognized to assume a legal entity. This can be seen from the many theories of jurisprudence on corporate personality.Majority of the principal jurisprudence theories on corporate personality contended that the legal entity of the corporation is artificial. The fiction, concession, symbolist and purpose theories supported the contention that existence of corporation as a legal person is not real. It only exists because the law of the state recognized it as legal person and it is recognized either for certain purpose or objectives. The fiction theory, for example, clearly stated that the existence of corporation as a legal person is purely fiction and that the rights attached to it totally depend on how much the law imputes upon it by fiction.The Common Law Perspectives Generally, there are two types o f person which the law recognized, namely the natural and artificial person. The former is confined merely for human beings while the latter is generally referred to any being other than human being which the law recognized as having duties and rights . One of the most recognized artificial persons is the corporation. Legal scholars, particularly the jurists, have always explored the issue on the recognition of corporation as a legal person.In the study of jurisprudence, the separate legal personality of corporation is based upon theories, which are concentrated upon the philosophical explanation of the existence of personality in beings other than human individuals. W. Friedman stated that: â€Å"All law exists for the sake of liberty inherent in each individual; therefore the original concept of personality must coincide with the idea of man. † Even though there are many theories which attempted to explain the nature of corporate personality, none of them is said to be domi nant.It is claimed that while each theory contains elements of truth, none can by itself sufficiently interpret the phenomenon of juristic person. Nonetheless, there are five principal theories, which are used to explain corporate personality, namely, the fiction theory, realist theory, the purpose theory, the bracket theory and the concession theory. Fiction Theory The fiction theory holds that corporations are simply legal fictions, created and sustained by an act of the state. They are endowed with corporate personality simply because this is a convenient form through which the natural persons behind the corporation may conduct their business.According to this theory, the legal personality of entities other than human beings is the result of a fiction. Hence, not being a human being, corporation cannot be a real person and cannot have any personality on its own. Originally, the outward form that corporate bodies are fictitious personality was directed at ecclesiastic bodies. The doctrine was used to explain that the ecclesiastic colleges or universities could not be excommunicated or be guilty of a delict as they have neither a body nor a will. The famous case of Salomon v A Salomon Co Ltd is a proof of the English court adoption of the fiction theory.In this case, Lord Halsbury stated that the important question to decide was whether in truth an artificial creation of the legislature had been validly constituted. It was held that as the company had fulfilled requirements of the Companies Act, the company becomes a person at law, independent and distinct from its members. Despite its instrumental conception of the corporation, the fiction theory still affords a sufficient basis for according corporations legal rights. Indeed, it is on the basis of the fiction that corporations are persons that they possess the legal rights they do, such as private property rights.However the fiction theory affords no basis for the recognition of moral rights of corporations . On the fiction view, â€Å"corporations, as creatures of the State, have only those rights granted them by the State. † The personality the corporation enjoys is not inherent in it but as conceded by the state. Due to the close connection made in this theory as regards to relation of legal personality and the power of the state, fiction theory was claimed to be similar to the theory of sovereignty of state which is also known as the concession theory. Concession TheoryA group of persons wanting to create a corporation will have to execute documents and comply with requirements set by the state before being given corporate personality; merely a privilege; state may provide causes for which the privilege may be withdrawn. It maintains that the law is the only source from which the legal personality may flow. The law lays down certain conditions which creates the legal personality of a corporation. Corporate form is therefore a concession given by the state. The concession the ory is basically linked with the philosophy of the sovereign national state.It is said to be essentially a product of the rise of the national state at a time when there were rivals between religious congregations and organizations of feudal origin for the claim of national state to complete sovereignty. Under the concession theory, the state is considered to be in the same level as the human being and as such, it can confer on or withdraw legal personality from other groups and associations within its jurisdictions as an attribute of its sovereignty. Hence, a juristic person is merely a concession or creation of the state.Concession theory is often regarded as the offspring of the fiction theory as it has similar claim that the corporations within the state have no legal personality except as it is conceded by the state. Exponents of the fiction theory, for example, Savigny, Dicey and Salmond are found to support this theory. Nonetheless, it is that while the fiction theory is ulti mately a philosophical theory that a corporation is merely a name and a thing of the intellect, the concession theory is indifferent as regards to the question of the reality of a corporation in that it focuses on the sources of which the legal power is derived.Dicey took the view that sovereignty is merely a legal conception which indicates the law-making power unrestricted by any legal limits. The Purpose Theory This theory is also known as the theory of Zweckvermogen. Similar to the fiction and concession theories, it declares that only human beings can be a person and have rights. Entities other human is regarded as an artificial person and merely function as a legal device for protecting or giving effect to some real purpose. As corporations are not human, they can merely be regarded as juristic or artificial person.Under this theory, juristic person is no person at all but merely as a â€Å"subject less† property destined for a particular purpose and that there is owner ship but no owner. The juristic person is not constructed round a group of person but based on the object and purpose. The property of the juristic person does not belong to anybody but it may be dedicated and legally bound by certain objects. This theory rationalized the existence of many charitable corporations or organizations, such as trade unions, which have been recognized as legal persons for certain purposes and have continuing fund.It is also closely linked with the legal system which regard the institution of public law and the endowment of private law as legal personalities. Bracket Theory According this theory, a company consisting of its members or shareholders exists and it is inconvenient to refer always to all of them, a bracket is placed around them to which a name is given but in order to understand the real position we must remove the bracket. The real status is given in realist theory. Realist Theory On the realist view, the corporation is more than a legal ficti on, and more than simply an agreement between its shareholders.It is an autonomous institution with a demonstrable extra-legal existence, analogous in some respects to a self-governing state. Like the contract theory, the realist theory recognises that the shareholders of a corporation delegate the powers of control over their property to the corporation's management so that the property can be pooled towards a unified purpose. Unlike under the contract theory, however, the shareholders are seen more as investors in the corporation than owners of it.This is why managers owe fiduciary duties not simply to the shareholders, but to the corporate person as a whole. Of the three theories, only the realist theory seems capable in principle of supporting moral rights for corporations, because only it grants them a real social existence apart from the concession of the state or the agreement of their shareholders. However it seems that the realist theory of corporate personality has fallen out of favour amongst modern academic writers. This may be because it seems to accurately describe only a limited subset of corporations.Many types of corporations which have assumed greater importance since the realist view gained prominence, including holding companies and trustee companies, sit uneasily within the realist framework. Nevertheless it is believed that the realist theory is potentially the most useful of the three set out above, so long as the subset of corporations to which it most accurately applies can be sufficiently delineated. By itself the theory seems incapable of providing any basis for such delineation. If the realist conception of the corporation is to be salvaged at all, its assumptions must be explicated by some other theory.Why Corporations? The above survey of the theories of corporate personality has revealed no complete conception of the corporation which justifies the recognition of moral rights of corporate persons. To some extent, this is hardly s urprising. Corporate personality is a legal concept based on purely commercial considerations: The concept of the juridical person is convenient to the conduct of business by providing for extended â€Å"life† and a limitation on liability, not to mention the right to own property and enter into contracts, which the law reserves to people.But laws might be fashioned to give corporations the same power to own property and sign valid contracts without terming them persons. There is therefore no reason why the types of bodies (if any) which deserve to be endowed with collective rights should coincide with those organisations allotted the status of persons by the law for purely instrumental reasons. For instance, corporations are classified as legal persons, but partnerships are not. Yet there is no obvious reason why the mere act of incorporation by a partnership should endow it with moral rights which it did not possess before.The intuition which many lawyers seem to possess th at corporations do possess rights can be explained as a psychological response to the â€Å"unified normative vocabulary† with which natural and corporate persons are described. That is, the personification of the corporation leads lawyers to indiscriminately apply concepts to it which are rightly applicable only to natural persons. However although this may be a convenient mode of analysis, it is clearly not conceptually consistent for rights to be accorded to bodies corporate (and to no other collectivities) purely because they bear that designation.Nevertheless, that is precisely what propose should be done. The rationale is that the present paper is not simply a normative, but also a descriptive study. It is apparent that corporate persons are already recognised as more appropriate bearers of rights than non-incorporated bodies under Australian law. It is for this reason that they have property and other common law rights which non-incorporated bodies lack. It is likely, therefore, that any extension of the rights recognised of collectivities under our law will employ this existing category.To extend the recognition of rights to non-incorporated bodies would require the recognition of a third type of personhood hitherto unknown to the law. However desirable this may be, it is not a realistic proposal for law reform. Corporate Personality And Limited Liability Corporate personality refers to the fact that as far as the law is concerned a company personality really exists apart and different from its owners. As a result of this, a company can sue and be sued in its own name, hold its own property and crucially – be liable for its own debts.It is this concept that enables limited liability for shareholders to occur as the debts belong to the legal entity of the company and not to the shareholders in that company. Corporate legal personality arose from the activities of organisations such as religious orders and local authorities which were grant ed rights by the government to hold property and sue and be sued in their own right and not to have to rely on the rights of the members behind the organisation. Over time the concept began to be applied to commercial ventures with a public interest element such as rail building ventures and colonial trading businesses.However, modern company law only began in the mid-nineteenth century when a series of Companies Acts were passed which allowed ordinary individuals to form registered companies with limited liability. The way in which corporate personality and limited liability link together is best expressed by examining the key cases:- Salomon v Salomon ; Co. Mr Salomon carried on a business as a leather merchant. In 1892 he formed the company Salomon ; Co. Ltd. Mr Salomon, his wife and five of his children held one share each in the company.The members of the family held the shares for Mr Salomon because the Companies Acts required at that time that there be seven shareholders. Mr Salomon was also the Managing Director of the company. The newly incorporated company purchased the soletrading leather business. The leather business was valued by MrSalomon at ? 39,000. This was not an attempt at a fair valuation; rather it represented Mr Salomon’s confidence in the continued success of the business. The price was paid in ? 0,000 worth of debentures (a debenture is a written acknowledgement of debt like a mortgage – see Chapter 7) giving a charge over all the company’s assets (this means the debt is secured over the company’s assets and Mr Salomon could, if he is not repaid his debt, take the company’s assets and sell them to get his money back), plus ? 20,000 in ? 1 shares and ? 9,000 cash. Mr Salomon also at this point paid off all the sole trading business creditors in full. Mr Salomon thus held 20,001 shares in the company, with his family holding the six remaining shares. He was also, because of the debenture, a secured cred itor.However, things did not go well for the leather business and within a year Mr Salomon had to sell his debenture to save the business. This did not have the desired effect and the company was placed in insolvent liquidation (i. e. it had too little money to pay its debts) and a liquidator was appointed (a court appointed official who sells off the remaining assets and distributes the proceeds to those who are owed money by the company, see Chapter 16). The liquidator alleged that the company was but a sham and a mere ‘alias’ or agent for Mr Salomon and that Mr Salomon was therefore personally liable for the debts of the company.The Court of Appeal agreed, finding that the shareholders had to be a bona fide association who intended to go into business and not just hold shares to comply with the Companies Acts. The House of Lords disagreed and found that- the fact that some of the shareholders are only holding shares as a technicality was irrelevant; the registration procedure could be used by an individual to carry on what was in effect aone-man business a company formed in compliance with the regulations of the Companies Acts is a separate person and not the agent or trustee of its controller.As a result, the debts of the company were its own and not those of the members. The members’ liability was limited to the amount prescribed in the Companies Act – i. e. the amount they invested. The decision also confirmed that the use of debentures instead of shares can further protect investors. Macaura v Northern Assurance Co. Mr Macaura owned an estate and some timber. He agreed to sell all the timber on the estate in return for the entire issued share capital of Irish Canadian Saw Mills Ltd.The timber, which amounted to almost the entire assets of the company, wasthen stored on the estate. On 6 February 1922 Mr Macaura insured the timber in his own name. Two weeks later a fire destroyed allthe timber on the estate. Mr Macaura tried to claim under theinsurance policy. The insurance company refused to pay outarguing that he had no insurable interest in the timber as the timber belonged to the company. Allegations of fraud were also made against Mr Macaura but never proven. Eventually in 1925 theissue arrived before the House of Lords who found that:The timber belonged to the company and not Mr Macaura Mr Macaura, even though he owned all the shares in the company, had no insurable interest in the property of the company just as corporate personality facilitates limited liability by having the debts belong to the corporation and not the members, it also means that the company’s assets belong to it and not to the shareholders. More modern examples of the Salomon principle and the Macaura problem can be seen in cases such as Barings Plc (In Liquidation) v Coopers ; Lybrand (No. 4) [2002] 2 BCLC 364.In that case a loss suffered by a parent company as a result of a loss at its subsidiary (a company in which it he ld all the shares) was not actionable by the parent – the subsidiary was the proper plaintiff. In essence you can’t have it both ways – limited liability has huge advantages for shareholders but it also means that the company is a separate legal entity with its own property, rights and obligations. Lee v Lee’s Air Farming Mr Lee incorporated a company, Lee’s Air Farming Limited, in August 1954 in which he owned all the shares. Mr Lee was also the sole ‘Governing Director’ for life.Thus, as with Mr Salomon, he was in essence a sole trader who now operated through a corporation. Mr Lee was also employed as chief pilot of the company. In March 1956, while Mr Lee was working, the company plane he was flying stalled and crashed. Mr Lee was killed in the crash leaving a widow and four infant children. The company as part of its statutory obligations had been paying an insurance policy to cover claims brought under the Workers’ Compens ation Act. The widow claimed she was entitled to compensation under the Act as the widow of a ‘worker’.The issue went first to the New Zealand Court of Appeal who found that he was not a ‘worker’ within the meaning of the Act and so no compensation was payable. The case was appealed to the Privy Council in London. They found that: the company and Mr Lee were distinct legal entities and therefore capable of entering into legal relations with one another as such they had entered into a contractual relationship for him to be employed as the chief pilot of the company he could in his role of Governing Director give himself order as chief pilot.It was therefore a master and servant relationship and as such he fitted the definition of ‘worker’ under the Act. The widow was therefore entitled to compensation. Separate legal personality and limited liability are not the same thing. Limited liability is the logical consequence of the existence of a separ ate personality. The legal existence of a company (corporation) means it can be responsible for its own debts. The shareholders will lose their initial investment in the company but they will not be responsible for the debts of the company.Just as humans can have restrictions imposed on their legal personality (as in the case of children) a company can have legal personality without limited liability if that is how it is conferred by the statute. CONCLUSION person is not artificial or fictitious but real and natural. The realist also contended that the From the discussion on jurisprudence theories of corporate personality by G. W Paton, it is observed that main arguments lie between the fiction and realist theories.The fiction theory claimed that the entity of corporation as a legal person is merely fictitious and only exist with the intendment of the law. On the other hand, from the realist point of view, the entity of the corporation as a legal law merely has the power to recogniz e a legal entity or refuse to recognize it but the law has no power to create an entity. Referring to the English company law case law, it can be seen that in most cases, the court adopted the fiction theory. Salomon v A Salomon Co Ltd is the most obvious example.It is also observed that fiction theory provide the most acceptable reasoning in justifying the circumstances whereby court lifted the corporate veil of corporation. If the entity of the corporation is real, then the court would not have the right to decide the circumstances where there is separate legal entity of the corporation should be set aside. No human being has the right to decide circumstances whereby the entity of another human being should be set aside. Only law has such privilege.Nonetheless, the realist contention that the corporation obtain its entity as a legal person not because the law granted it to them but because it is generated through its day to day transaction which are later accepted and recognized b y law also seem acceptable. Bibliography * A Text Book of Jurisprudence, 2nd Ed, by G. W. Paton * Corporate personality in the 20th century edited by Ross Grantham * Manupatra. com * Legalservicesindia. com * Westlaw. com ——————————————– [ 1 ]. Cf. A. Kocourek, Jural Relations (2nd ed. ), 57. [ 2 ]. Stokes, M. â€Å"Company Law and Legal Theory† in Twining, W. ed). Legal Theory and the Common Law. Basil Blackwell, Oxford, 1986, 155, 162. [ 3 ]. Salomon v A Salomon & Co Ltd [1897] AC 22 [ 4 ]. First National Bank v Bellotti (1978) 435 US 765 [ 5 ]. Mark, G. Op. cit. 1472. [ 6 ]. cf. Mills v Mills (1938) 60 CLR 150 [ 7 ]. Woytash, J. â€Å"We Must Stop Viewing Corporations as People† (1978) 64 ABAJ 814 [ 8 ]. Dan-Cohen, M. Rights, Persons, and Organizations. University of California Press, Berkeley, 1986, 5. [ 9 ]. Salomon v Salomon & Co. [1897] AC 22 [ 10 ]. Macaura v Northern Assurance Co. [1925] AC 619 [ 11 ]. Lee v Lee’s Air Farming [1961] AC 12

Saturday, November 9, 2019

Children in Competitive Sports Essay

As more parents enroll their children into competitive sports like football, gymnastics, and swimming to name a few, the controversy whether this type of competitive participation is beneficial or not continue to grow. Supporters for competitive sports propose arguments like it encourages physical activity and teaches good character while opponents claim that sports are no longer fun for the children and promote an inappropriate win-at-all cost mentality. [ The best compromise would be to offer a low-pressure fun environment from the coaches and parents that emphasize that children have an enjoyable time.] The main supporting argument to allow children to play sports is because it offers a healthy avenue for physical activity. A study had linked a sedentary lifestyle with â€Å"the development of cardiovascular disease, diabetes mellitus and obesity† in adults with their origins rooted in their childhood (Massin ). Even more, many of today’s children do not get enough physical activity, spending nearly 20 hours a week in front of a television, making it the most time spent on any one activity besides sleeping (Boyse and Song â€Å"Television†). As a result, nearly a quarter of all children in America are considered obese according to Boyse (Obesity and Overweight). One reason is probably due to the lack of physical activity today’s children engage in. An easy way to prevent children from becoming obese is to encourage them to play a sport which requires them to stay physically active. Also, according to the results of a research done by a group on the cardiorespiratory system of children, they recommended â€Å"controlled physical competitive activity in children because of its benefits on cardiorespiratory function and the absence of adverse effects† (Caballero 371). Children also learn many good values from participating in sports and from winning and losing games. Sheehy learned the value of working hard and persevering through difficult times. Many times he wanted to quit because he wasn’t good enough for the team, but he was encouraged by his father to continue practicing and as an end result of his hard work, he made his high school varsity basketball team (Sheehy 19-21). In addition, Sheehy believes losing is a great way to teach many important lessons to children like controlling their emotions and finding positive aspects in a bad situation. Furthermore, Sheehy believes that a team has much more room for improvement after experiencing a loss than a win (70-73). Finally, winning is a good thing too. It gives children a goal to work hard towards and the feeling of victory is a great reward for an entire season’s worth of hard work and practice (Sundberg 71). In addition, participation in competitive sports is a great way to teach children many important lessons that can be applied later in life. A study found that children who participated in sports generally scored higher for competitiveness. However, in the same study, they found that children who didn’t play sports exhibited higher signs of impatience and aggression ( Kanda). This was probably because the children who participated in sports had developed a better character through playing sports. Furthermore, according to Heckler, some form of competition in young children is a good thing because it is one of the main motivational factors behind success in the real world beyond sports. If a person lacks a competitive drive to succeed and puts no effort into anything they do, then they will never get anywhere in life (Heckler). Also, most sports require some degree of teamwork and cooperation in order to be successful. Therefore, teamwork can teach children from an early age that it is necessary to work together and relate with one another in order to succeed (Sundberg 72). In addition, it is possible for children to know who they truly are and their own physical and mental limits through sports. They will be able to find out what their strengths and weaknesses are and can improve their own character by participating in sports (Sundberg 71) However, there are many reasons why children quit competitive sports; the number one being because it was no longer fun (Engh 132). According to the National Alliance for Sports, 70 percent of children quit competitive sports by the age of 13 and never return to play competitively again (Kendrick). Most of the time, these children quit because their coaches and parents began to emphasize other things like winning instead of having fun. The coach might not give everyone equal playing time, only putting out his best players for games and not giving some of the lesser skilled players any time at all (Engh 85). Furthermore, according to a poll of 26,000 children, the number one reason why they played sports was â€Å"for fun† (Team Sports). Children usually have fun in sports because there is little pressure to excel and they enjoy learning the basic skills and fundamentals of a game. However, â€Å"making kids concentrate on one sport often takes the fun out of it† (Senay 239). When parents start forcing their children to attend practice against their will, the children begin to perceive it as work and not as fun and that is when they want to quit. The number two reason why children quit competitive sports was that there was too much pressure on winning (Engh 132). Many children’s enthusiasm for the sport declines as the coach begins to emphasize winning. In the same poll asking 26,000 children why they played sports, winning came in tenth after improving skills and staying in shape (Team Sports). Obviously, winning means much more to the parents and coaches than to the actual participants themselves. It is important to remember that these games are supposed to be for the children and not a way for parents to live their hopes and dreams or past regrets and failures through their children. Parents and coaches should keep in mind that the participants of these competitive sports are children who are looking for a fun time, not professional athletes whose only job is to win. Another argument that opponents cite is that it is not safe for the children. An overwhelming majority of volunteer coaches are not properly trained for safely teaching children how to play sports (Engh 81). Many of these volunteer coaches are usually fathers who have volunteered for the position because no one else was willing to do it. Therefore, many of them have not gone through basic training to give lessons properly and safely. Even worse, sometimes even the properly trained coaches may disregard warning symptoms of exhaustion, heatstroke, or pain by forcing the children to â€Å"tough it out† and have a macho attitude during practice and ignore any discomfort they might experience. However this â€Å"no pain, no gain† mentality may have unforeseen consequences by causing serious sport injuries instead of making the children stronger and tougher athletes (Senay 242). Also, some coaches may utilize unsafe practices so they can have an advantage over the competition. One story went like this. A mother came to practice early to pick up her son and found him in the coach’s car with the heat turned on high while wrapped in plastic bags. The coach’s plan was to force the boy to sweat out 7 pounds so he could make the 98 pound weight limit. Unfortunately, the coach’s ignorance and negligence put a child’s life at risk just so his team could have an advantage in the upcoming season. Even worse, stories like these can be seen in newspapers across the country on a daily basis (Engh 91). Finally, children may not develop good character because they are surrounded by and learning from poor examples. The idea that children learn by example and not words is even more applicable in competitive sports. Children are surprisingly observant about an adult’s actions. A study which interviewed youth sports participants for moral issues they encountered in sports found that there were three main problems they had experienced which were fairness of adult’s actions, negative game behaviors, and negative team behaviors (Stuart). Also, the activities of unruly parents during sporting events are probably the farthest thing from teaching good character to their children. Some parents can become overly enthusiastic especially when their children are playing and may cause disruptive scenes if they believe that there was an unfair ruling against their children. Furthermore, these disruptive scenes may escalate into actual physical fights among parents. In one news story, one hockey player’s father started a fight with another player’s father on the opposing team over a small disagreement. It ended with one man killed and the other charged with manslaughter. As the story goes, while one dad was beating on the other man, his son begged for him to stop and tried to pull his dad off while he continued to assault the other man (Hegedus, â€Å"Sports Rage†). Another story made headlines when a brawl started in Los Angeles involving more than 30 adults while they were watching a football game of 14 year olds (Parents Fight. ). Even though these are extreme examples, they are starting to become common occurrences in the bleachers. Finally, I have to ask, is this really the kind of character that parents want to exhibit and teach to their children? In summary, there are strong reasons on both sides why competitive sports should be prohibited or allowed. Research shows and recommends that playing sports is a great way for children to stay healthy. Also, by playing sports, children can learn how to deal with the realities of life and experience the rewards of hard work. On the contrary though, many children enroll in competitive sports because they originally perceived it to be fun. However, as children grow older and competition becomes more intense, sports may start being seen as work and not play. Furthermore, competitive sports may not be as safe for children as it is currently perceived. Untrained coach volunteers and unsafe practices may lead to permanent injury to children. Finally, because children can be exposed to poor role models like unruly parents and coaches, they may not be able to develop a good moral character if they are to learn from them by example. I think that the best compromise between the two sides would be to offer a low pressure environment that emphasizes having fun in sports. The main reason children participate in sports is so they can have fun so it would be in the children’s best interest to offer them just that. One way to create a low pressure environment is to not keep scores or statistics like points made or batting averages. In fact, it may also be beneficial if the scores were not displayed during games too. Instead, points would be marked secretly and quietly so that the parents would not become unruly especially if the game becomes intense. In addition, there should be a requirement by all family members of players to sign a code of conduct that they will â€Å"uphold a certain standard of behavior and exhibit good sportsmanship† as some leagues have already implemented (Hegedus, â€Å"Silent Saturdays and Oaths†). Finally, it may be a good idea to assign people to constantly monitor the parents and stop any disruptive behavior before it can get out of control (Engh 158). In addition, all coaches should be properly trained in teaching children and monitoring their health. They should stress maintaining a healthy practice environment like ensuring that their players get adequate water and take necessary breaks if the day is extremely hot or if they experience any sort of bad pain. Furthermore, volunteers should be required to take some basic classes and have some type of certification so that they are properly trained in teaching children safely. Also, contrary to belief, a certification requirement would not deter volunteers. A study done by Northern Kentucky University found that people would rather volunteer for a team that required certified volunteers and that a training requirement and fee â€Å"would not discourage them from volunteering to coach† (Engh 160). Finally, coaches should be well aware that every single one of their actions can have an impact, whether positive or negative, on their team. The children are looking up to the coaches as a leader and it is the coach’s job to be a good role model for them. In addition to coaches, parents should be well educated about how their actions can impact their children. Coaches should hold regular mandatory meetings with only parents and explain in detail what the season will entail, how the children are expected to behave, and most importantly, what the role of the parents should be. Also, if the parents are not able to attend these meetings, then the child should not be able to play. According to Engh, he has found this method of forced participation to be very effective in convincing the parents to attend these types of meetings (154). Children should also be informed that it is appropriate if they complain about a certain practice the coach is doing. The children should be encouraged and feel safe to talk about anything and everything with their parents who should in turn listen carefully for any signs of bad practice or abuse. Also, I think that implementing a confidential hotline to report abusive practices for each region could help reduce bad coaching practices. In conclusion, I think that competitive sports are a great way for kids to just have fun and enjoy their youth. However, it is important that sports stays fun for the children and not have overly enthusiastic parents or coaches who are willing to win at all costs ruin their fun. Even though there are many good reasons why competitive sports should be banned, there are equally valid reasons why competitive sports should be allowed. Finally, children originally started playing sports because they wanted a fun and enjoyable time with other kids. It is time that we returned the fun to the children playing sports and stop trying to impose adult standards on them. Cited Sources Boyse, Kyla. â€Å"Obesity and Overweight. † November 2004. University of Michigan Health Systems. 9 June 2005. Boyse, Kyla and Ellen Song. â€Å"Television. † July 2004. University of Michigan health Systems. 9 June 2005. Caballero, Jaraba, et al. â€Å"Effects of Physical Exercise on the Cardio Respiratory System of Children. † An Esp Pediatr April 1999:367-372. PubMed. Bellevue Community College Library Media Center. 9 June 2005. Engh, Fred. Why Johhny Hates Sports. New York: Avery. 1999 Heckler, Tim. â€Å"Competition Prepares Players for Life Beyond Sports. † February 1999. United States Professional Tennis Organization. 3 June 2005.

Thursday, November 7, 2019

Presidents are Ambassadors

Presidents are Ambassadors Free Online Research Papers All presidents are ambassadors of their own countries. Although a presidents job is a huge job with gigantic responsibilities it doesnt differ from any other profession; for each and every job shares the same characteristic which is: serving the country for the sake of the nations prosperity. It is well known that every four years a new president is elected by the Americans to lead the United States of America. Since the United States is considered to be the role model and an elite government of the whole world and so is its president, many things are expected from this strong body. We lead the world, by deed and example (The American Moments). Sadly for the past few years the United States has disappointed not only its people but also the whole world for it hasnt yet fulfilled what is expected from it. On November 4, in the year 2008, stood and for the first time an African American, humble and most determined newly elected American president by the name of Barack Obama and gave a b rilliant speech; A speech that will be marked to be the new dawn to all citizens of the United States of America and the whole world. Although his speech wasn’t that long, it was very comprehensive and effective. He gives an oath to make change in the aspects of the war in Iraq, the global warming threat, education and many other threatening aspects. In his speech Obama directs his citizens with, Pathos, Logos and Ethos in order to deliver his message which is: a new vision, inevitable change, and unity of the whole universe. Pathos is the call for emotions, beliefs and values. Obamas use of pathos is everywhere in the speech. He addressed the doubtful and pessimists by saying If there is anyone out there who still doubts that America is a place where all things are possible†¦; who still questions the power of our democracy, tonight is your answer (Barack Obama 2008). Obama wants his citizens to trust and believe in their country. He also wanted to make no room for the cynical and doubtful individuals by saying those who have been told for so long†¦to be cynical†¦and doubtful†¦to put their hands on the arc of history and bend it once more toward the hope of a better day (Barack Obama 2008). Obama wants to spread his strong hope, faith and ambition in his country and fellow supporters. Now it’s our moment to lead - our generation’s time to tell another great American story (American Moment). He believes that with the right planning and the right decisions a better Americ a and eventually a better world will rise. Obama believes Americans should be patriotic and caring for each other. Again he is spurring the feeling of loyalty and unity when saying In this country, we rise or fall as one nation - as one people (Barack Obama 2008). Logos is the appeal to facts, assumptions and reason. Barack Obama utilizes logos in his speech to further deliver his message that Americans are able to do the task at hand. He appeals to Americas great history, struggle of survival, and progress by telling a story of a 106 year old African American woman called Ann Nixon, who just gave her vote to Obama in this years elections. He says She was born just a generation past slavery; a time when there were no cars on the road or planes in the sky; when someone like her couldnt vote for two reasons - because she was a woman and because of the color of her skin (Obama 2008). Going more in depth in Obamas speech, he uses more logos when talking about his campaign such as It was built by working men and women who dug into what little savings they had to give five dollars and ten dollars and twenty dollars to the cause(Barack Obama 2008) to illustrate all that he went through during his campaigning period just to be who he is now. He wants Americans to have hope and faith in themselves; hope for a change and faith to ensure it. Further more Obama stresses on the Americans ability to succeed by using the phrase yes we can more than four times in his speech. He believes in his people and thinks they should believe in themselves. In Obamas speech he approaches his audience personally by appealing to ethos to ensure his credibility and morals. During his strong and emotional words, Obama shows his audience how he is, not only as a leader or president, but also as a father and husband. Ethos appears in several parts in his speech. First he mentions his deep thanks towards senator McCain and Governor Palin by saying I congratulate him and Gov. Palin for all they have achieved, and I look forward to working with them to renew this nations promise in the months ahead (Obama 2008). This shows a lot about Obamas personality. These honorable words show his sportsmanship and how noble he really is. Second, he mentions his vice president Joe Biden by saying I want to thank my partner in this journey, a man who campaigned from his heart and spoke for the men and women he grew up with on the streets of Scranton and rode with on that train home to Delaware. This shows how respectful and humble this 47 year old man is. Thi rd, he mentions his deep thanks to his wife saying about her I would not be standing here tonight without the unyielding support of my best friend for the last 16 years, the rock of our family and the love of my life, our nations next first lady, Michelle Obama (Obama 2008). Fourth, he then mentions his deep infinite love to his two daughters, Sasha and Malia. In addition to that Obama gives his audience a glimpse of his morals, and shows how grateful he is towards his fellow team members, David Plouffe his campaign manager, and David Axelrod his chief strategist. Fifth, he thanks his audience and everyone who took his or her time to listen to what he has to say. He believes his success wouldnt have happened if it wasnt for all the supporters who believed in him, and he is deeply grateful to each and every one of them (Obama 2008). Furthermore, he adds to his CV that is full of morals and ethics with extreme humbleness and determination by saying I will listen to you, especially whe n we disagree†¦and above all I will ask you join in the work of remarking this nation†¦block by block, callused hand by callused hand (Obama 2008). After all the great thanks from Obama to almost everyone, he didn’t forget about people, whom he lost his votes; he showed his tolerance and open-mindedness when talking to them saying I may not have won your vote, but I hear your voices, I need your help, and I will be your President too(Obama2008). Adding to his credibility, Obama showed how sincere and honest he is with his fellow citizens; he wasnt scared to tell the bitter truth about their mission and how enormous it is (Obama 2008). Towards the end of his speech, Obama says to all those watching tonight from beyond our shores†¦our stories are singular, but our destiny is shared, and a new dawn of American leadership is at hand (Obama 2008). Obama delivers a message to the whole world, a message of hope, unity, ambition, and above all change. Research Papers on Presidents are AmbassadorsHip-Hop is ArtThe Effects of Illegal ImmigrationBook Review on The Autobiography of Malcolm XAssess the importance of Nationalism 1815-1850 Europe19 Century Society: A Deeply Divided EraNever Been Kicked Out of a Place This NiceResearch Process Part OnePETSTEL analysis of IndiaBringing Democracy to AfricaQuebec and Canada