Sunday, December 29, 2019

Essay on The Sixth Amendment - 1908 Words

The Sixth Amendment was ratified on December 15, 1791. It guarantees rights related to criminal prosecutions in federal courts and it was ruled that these rights are fundamental and important. The Sixth Amendment gives the accused the right to speedy and public trial by the impartial jury. The accused has the right to be informed of the nature and reason of accusation and also be confronted with the witness against him as well as obtaining witness in his favor. In this research paper I will provide a thorough analysis of these above rights and give some history of the 6th Amendment. The Sixth Amendment was written by George Mason, who was a mentor of George Washington. It was written just a month before the Declaration of†¦show more content†¦However, Supreme Court has never set any particular time limit which must be applied. In addition, the prosecution cannot delay too much the trial for its own advantage, but the trial can be delayed to secure the presence of the witness. If it is found that a defendants right to a speedy trial is violated, then the indictment is cancelled and conviction is subverted. The reversal of criminal case on the issue of speedy trial results in no further prosecution for the alleged offense. The reason for this right was the fact that with the passage of time the witnesses can be lost because of death, blurring of memory and other factors. However, there are also some other reasons: person in jail must be supported at considerable expense and, sometimes, even family members must be assisted as well. The guarantee of the speedy trial is one of the fundamental liberties embodied in the Bill of Rights. The right has some limitations: it is activated only when the criminal prosecution has begun and applies only to those people who have been accused during the prosecution. There are only two cases known so far in which the Court held that the speedy trial right has been violated: Smith v. Hooey (1969) and Dickey v. Florida (1970). In these cases the States preferred criminal charges against people who were already confined in prisons of other jurisdictions as aShow MoreRelatedHistory and Development of the Sixth Amendment Essay1044 Words   |  5 PagesMuthu S. Weerasinghe Constitutional Law LS 305 – 01 Unit 7 Essay The Sixth Amendment of the Bill of Rights contains seven clauses that protect the rights of the accused. The amendment assures the accused that â€Å"In all criminal prosecutions, the accused shall enjoy the right to a speedy and public trial, by an impartial jury of the state and district wherein the crime shall haveRead MoreThe Sixth Amendment: Providing Justice for Everyone Essay731 Words   |  3 PagesThe 6th Amendment: Providing Justice for Everyone Prior to the Revolutionary War, if the British accused a colonist of a crime, he would most likely receive an unfair trial and a prison sentence. When the Founding Fathers wrote the Bill of Rights, they believed that all Americans deserved rights which the British had not given them. The 6th Amendment provides many legal rights to United States citizens that protect them from being wrongly convicted of crimes. The 6th Amendment is the most importantRead MoreThe Sixth Amendment2928 Words   |  12 PagesThe Sixth Amendment The 6th Amendment focuses completely on the rights of a person accused of committing a crime by the government. The 6th Amendment contains seven specific protections for people accused of crimes. These seven rights are: the right to a speedy trial, the right to a public trial, the right to be judged by an impartial jury, the right to be notified of the nature and circumstances of the alleged crime, the right to confront witnesses who will testify against the accused, theRead MoreImportance Of The Sixth Amendment1735 Words   |  7 Pagescreate the sixth amendment in 1789 in attempt to codify fairness. When thinking about what the word fair means, one should think of a â€Å"marked by impartiality and honest: free from self-interest, prejudice, or favoritism† (Fair). Overall, the sixth amendment was created to â€Å"guarantee the right to criminal defendants, including the right to a public trial without unnecessary delay, the right to know who your accusers are and the nat ure of the charges and evidence against you† (Sixth Amendment). This meansRead MoreFourth, Fifth, and Sixth Amendments to the Constitution Essay887 Words   |  4 PagesCJL 4064 Amendment Project As requested by the committee chair, I have examined the 4th, 5th, and 6th Amendments of our Constitution. It is imperative for the participants of the Constitutional Convention to update, and furthermore, enhance the Bill of Rights. The amendments were created with a valuable perspective on individual rights in the 1700s. Today, in 2010, our country has developed in the use of language, our principles, and our overall society. After close examination of theRead Morehearings is to further the transparency course as espoused by the sixth amendment of the2300 Words   |  10 Pageshearings is to further the transparency course as espoused by the sixth amendment of the constitution. However, the open criminal proceedings are at the discretion of the judge because there are some trials that touch on national security or where minors are involved. During this deliberation, the judge is informed by the first amendment of freedom of press and speech, but these rights must be weighed according to prevailing circumstances. In such cases, the judge will issue order barring the mediaRead MoreMy Cousin Vinny : Truth, Justice And The Gambini Way968 Words   |  4 Pagesremain silent, anything may be held against the individual in a court of law. â€Æ' During the interrogation, Bill Gambini was not aware of his present charges nor his right to obtain an attorney, in addition, proceeded to be a violation of his sixth amendment right. This is a contrast due to the experience of a detective whom would not violate any constitutional right to insure that the case is unshakable. The Beechum County Sheriff’s Department obtained a coerced confession from Bill Gambini, anotherRead MoreCase Analysis : Crawford V. Washington944 Words   |  4 PagesEvid. 804(b)(3) (2003)† (Id. at 40). The defense objected to the use of this evidence in court because it violated his Sixth Amendment right â€Å"to be confronted with the witnesses against him† (Id. at 40). The trial court allowed the evidence to be admitted by citing an earlier decision, in Ohio v. Roberts, 448 U.S. 56 (1980), that the Supreme Court’s description of Sixth Amendment rights did not bar the prosecution from admitting a statement from an unavailable witness, â€Å"†¦ if the statement bears â€Å"adequateRead MoreDavis V. Washington ( 2006.990 Words   |  4 Pagesof Davis v. Washington (2006), the Supreme Court needed to decide on whether or not a statement that is made to law enforcement personnel during a 911 call or at a crime scene are â€Å"testimonial† and would thus be subject to the requirements of the Sixth Amendment’s Confrontation Clause. The case begins with a call made to a 911 emergency operator that was quickly disconnected before anyone was able to speak a word. The 911 operator, most likely following policy, called the number back. When the callRead MoreWho Is A Criminal Offender?1542 Words   |  7 Pagesthe history of the S ixth Amendment, information on self-representation process, individuals charged with a felony who use pro se, court cases dealing with pro se, and lastly laws in Virginia pertaining to criminal pro se defendants. Sixth Amendment First and foremost the criminal justice system is what it is today due to the first ten amendments to the Constitution that was ratified on December 15, 1971, also known as the Bill of Rights (Worrell and Moore, 2014). These amendments set the pathway for

Saturday, December 21, 2019

Removing Barriers For Mental Health Services For Veterans

Policy Brief Temple University Donna Lea Wiggins Removing Barriers to Mental Health Services for Veterans Summary Rates of trauma and mental illness are reported to be disproportionately higher among American veterans, especially those of the recent wars in Iraq and Afghanistan. The barriers to care after civilian reentry further disadvantage this already vulnerable population. The wars in Iraq and Afghanistan have been the longest sustained US military operations since the Vietnam era, sending more than 2.2 million troops into battle and resulting in more than 6,600 deaths and 48,000 injuries. Veterans are at risk mental health challenges, as well as family instability, elevated rates of homelessness, and joblessness. Veterans have disproportionate rates of mental illness, particularly posttraumatic stress disorder (PTSD), substance abuse disorders, depression, anxiety, and military sexual trauma. Context of the Problem †¢ More than a half million veterans in the United States are homeless at some time, and on any given night more than 300,000 are living on the streets or in shelters. †¢ Nearly 50% of combat veterans from Iraq report that they have suffered from PTSD. †¢ 40% of veterans report problem alcohol use. †¢ According to estimates from 2010, approximately 22 veterans died as a result of suicide each day in that calendar year. †¢ Studies indicate that 56% to 87% of service members experiencing psychological distress after deployment report that they did notShow MoreRelatedVeterans With Post Traumatic Stress Disorder2330 Words   |  10 Pagesmillions of veterans that have served this country by leaving behind their world as they once knew it, thank you. Entering the world of a soldier comes with a culture of warriors who are taught and trained to be ready to kill, but also ready to save, heal, and comfort (Hansen). Sergeant Hansen served in the United States Marine Corps for nine years and was deployed three times, once to Iraq and twice to Afghanistan. He was honorably discharged in April of 2014, however like many other veterans, his militaryRead MoreRural Veterans Face A Special And Alarming Set Of Social Justice Issues Essay2348 Words   |  10 PagesIntroduction Rural veterans face a special and alarming set of social justice issues related to healthcare. Overall, there are 5.3 million veterans residing in rural communities (Office of Rural Health, 2016). A total of 44 percent of those who enlist to serve in the military hail from rural areas of the United States (Gale Heady, 2013). Regardless of their bravery, upon returning to civilian life these honorable men and women are met with social justice issues and limitations when attemptingRead MoreHomelessness Among American Veterans Research2029 Words   |  9 PagesHomelessness Among American Veterans Research Paper An issue that has been around for decades which still remains in the United Sates today is homelessness among veterans. Vanessa Turner has a story that needs to be heard by many. As a homeless veteran, Turner joined the U.S. military in 1997 and later, proudly advanced to the rank of a sergeant. In 2003, Turner suffered from a traumatic injury while serving in Iraq. In suffocating 130-degrees fahrenheit heat, Turner fell into a coma and nearlyRead MoreEffects Of Remote Home Safety Assessments1675 Words   |  7 PagesPopulations Fall-Related Injuries Falls and fall-related injuries have a significant impact on the elderly population. One out of three older community-living adults fall each year causing a deteriorated quality of life, suffering, need for care, increased health care expenses, and decreased productivity (Quigley, Palacios Spehar, 2006). According to Al-Faisal (2006), one half to two thirds of these falls happen in the older adult’s home, and are usually a result of unsafe home environments. Many experimentsRead MoreThe Homelessness Epidemic Of Homelessness1958 Words   |  8 Pages approximately 564,708 people were homeless on a single night in January of 2015 in the United States (â€Å"The State of Homelessness in 2016†). It is estimated that 250,000 people who suffer from Mental Health illnesses are homeless (Torrey). Providing affordable housing, and access to mental health services for the homeless population are essential components to end the homeless epidemic. Homelessness can be defined as individuals that do not have a permanent residence to return to at nighttime, areRead MoreThe Local Task Force2007 Words   |  9 PagesThe focus of the local task force was primarily the physically handicapped incurring the handicap or disability at the age of twenty-six or later. However, the task force should not overlook the cognitive, intellectual, mental, sensory, and developmentally disabled. For example, nurses with experience in psychiatric, geriatrics, intellectual, and developmental disability can ensure this population is not neglected (Joel, 2006). In preparation for the potential opposition by the U.S. Chamber ofRead MoreThe Issue Of Law Enforcement1644 Words   |  7 PagesThere is a significant health issue facing the public as well as law enforcement every day, suicide. The numbers surrounding suicide are shocking effects people of all backgrounds. In the year 2010 more than 38,000 adults committed suicide. Then in 2011 around 1 million adults admitted to attempting suicide, while 8 million had serious suicidal thoughts. Law Enforcement officers are at an even higher risk then most due to experiencing such a large number of risk factors. These factors include butRead MoreCulture And Diversity : The Clinical Case Is Not A Minority1526 Words   |  7 Pagesand chronic mental illness is difficult for one to manage, but it also includes substantial morbidity, mortality, and health care costs, which may be an increased shortcoming for minorities who may not have adequate resources (Kilbourne, et al., 2005). Kilbourne, et al . (2005), agrees as they mention that the management of bipolar disorder appropriately heavily relies on accurate assessment and effective treatment. The minorities discussed in this article consisted of females, veterans, races (BlackRead MoreWhy Women Should Not Be Allowed in Combat Occupations Essay2026 Words   |  9 Pagesdifferences, there is also the increased risk of sexual assault. Due to the detrimental impact on the military, soldiers, and society, women should not be allowed in combat occupations. A major change in the military came in 1948 from The Womens Armed Services Integration Act, the act formed a force of women in all the military departments. This is considered a step in the right direction while also being responsible for current combat restrictions. Until 1948, women had a volunteer role which did notRead MoreU.s. Department Of Veterans9636 Words   |  39 PagesPrepared by: A Product of the Alliance to Modernize Healthcare Federally Funded Research and Development Center Sponsored by the Centers for Medicare Medicaid Services (CMS) At the Request of U.S. Department of Veterans Affairs Veterans Access, Choice and Accountability Act of 2014 Veterans Choice Act Assessment G: VHA Provider Staffing, Productivity, and Time Allocation Final Report-DRAFT Version 1.0 June 12, 2015 Prepared for CAMH under: Basic Ordering Agreement No. 105042 Task Order

Friday, December 13, 2019

The Causes of Wwi Free Essays

The long-term causes 1. Colonial rivalry-competition for even bigger empires 2. Balkan nationalisim-the desire of the Slav peoples of this area to join those in the empire of Austria-Hungary 3. We will write a custom essay sample on The Causes of Wwi or any similar topic only for you Order Now The arms race-competition for bigger armed forces and more armaments 4. The Anglo-German Naval Race 5. Kaiser Wilhelm II and German militarism 6. Alliance system-The Tripple Alliance and the Triple Entente The immediate cause of the war 1. The assassination of Franz-Ferdinand 2. Russia’s backing Serbia made war more likely 3. German backing for Austria was crucially important Colonial rivalry-competition for even bigger empires Competition between the Great Powers in Europe to gain colonies plays an important role in causing the WWI. By the beginning of the twentieth century, many great powers in Europe has built up their empires by holding colonies or ares. This is known as imperialism and as means when a country takes over new lands or countries and makes them subject to their rule. Many countries such as the British Empire were at the peak of their industrial revolution and their developments of industries were huge. When industrialism occurs, countries need foreign markets to sell their increase in goods. Great Britain had the the largest number of colonies in the world so that King George V was also the Emperor of India and ruler of many other lands overseas. The great Empire took up nearly a quarter of the world’s land surface with 390 million of population of the colonies in 1914. And also France has the second largest empire in the world with colonies in Africa, the Far East and Indo-China. Those large number of colonies improved Britain’s and France’s dominance over the Europe and made them powerful and influential. The Germans were left with some small and commercially marginal colonies. There was a great deal of jealousy in Germany in regard to the British and French empires. The King of Germany , Kaiser Wilhem envied the mighty Britain Empire . He decided that Germany too must have colonies overseas, which would helped him expand the German Empire and provide Germany with a market for her growing industries. It would also be a status sybol showing Germany’s greatness and gaining it respect. ( Furthermore, Britain in particular, used its navy and merchant navy to dominate overseas trade, which also provided a source of irritation to the Germans. The Germans embarked on a program of massive naval spending in order to create a navy capable of challenging Britain’s domination of the sea. This caused considerable concern in Britain and tensions between the Germans and the Britain. Once the trigger was fired, the assassination of the Archduke, Imperialism directly led to a naval arms race between the two countries. Causing the disparity of the power of diff erent countries ,competition and tension between countries to grow , the Colonial rivalry made countries willing and eager to join World War I, which was seen as an opportunity to gain colonies and reshape the world. Therefore, German declared war on Russia and mobilized her army when Russia refused to send troops to help Serbia and other countries joined in the War later. On 5 August, all the great powers of Europe were at war with each other, WWI broke out. Balkan nationalism-the desire of the Slav peoples of this area to join those in the empire of Austria-Hungary Balkan nationalism is also one of the important factors of the outbreak of WWI. The Balkans is the area of south-west Europe and it was the powder-keg or trouble spot of Europe. This area had once been part of Turkish Empire. It was inhabited by Slav peoples such as the Serbs, Bulgarians and Romanians, who were able to rule themselves. Many nationalities were part of the Austro-Hungarian Empire but Serbia wanted to unite all Serbs within a greater Serbia. The Slav peoples of Balkans desired those in the empire of Austria-Hungary to join with them. Russia regarded herself as the protector of these Slavs since they shared a common nationality. Austia-Hungary feard losing not only the Serbs but also other Balkan nationals so that Austria-Hungary wanted to take over the states of this area to preserve of this empire. It brought increasing rivalry between Russia and Austria-Hungary. When Austria started war with Serbia, Russia ordered the Russian army to prepare for war in order to help the Slavs of Serbia on 29 July, which started a countdown to the biggest war, WWI. German sent ultimatum to Tsar Nicholas to order him to stop mobilizing but Russia refused to accept and so Germany declared war on Russia , mobilizing her army. As France was an ally of Russia the French government ordered the mobilization of the French army on 1 August. Many other great powers joined the war later so that WWI broke out on 5 August. Causing the tension and opposition between Russia and Austria-Hungary to rise and making the mobilization of Russia which started the countdown of the war,the Balkan nationalism made the war likely to happen. Therefore, the Balkan nationalism was one of the factors of the outbreak of WWI, The arms race-(competition for bigger armed forces and more armaments) The arms race also contributes into causing the WWI to break out. By the beginning of twentieth century , great powers in Europe have started to rival with each other through building up the size of their armed forces. Each major power in Europe except Britain had trained a huge army of conscripts, which means young men forced by law to become soldiers for a year or so. These armies could be mobilized at a moment’s notice. In the period 1900-1904 the main European powers more than doubled their spending on their armies. From 1872 to 1912, Germany increased more than 300% of her armaments spending when Russia increased more than 250% with Italy, Great Britain, Austria-Hungary and France around 100%. Guns , shells, bullets and other weapons had been stockpiled in case of war. Ever more destructive weapons were being developed and improved, such as the machine-gun and huge field guns. The increases in spending of armaments caused the military rival between countries to rise. The arm races increased tension between the Great Powers. They felt threatened when others increased its army and gained stronger weapons so that they competed with each other through making their military power stronger with a rolling ‘snowball’ effect. It made the war more likely since country increased its army and weapons it became more confident of success in a future war and more willing to test out their armed forces. When Austria started war with Serbia after the assassination of Franz-Ferdinand, Russia backed Serbia as a starting point of countdown of WWI . More great powers joined the large-scaled war soon later since they were confident and well prepared to compete their military powers. WWI broke out on 5th August 1914. Increasing the tension and competition between countries and accelerating the coming of the war , the arms race gathered all great powers together and made the war faster and more possible to happen. Therefore, the arms race was one of the most important factors of the outbreak of WWI. The Anglo-German Naval Race The Anglo-German naval race was also one of the factors of the outbreak of WWI. Before WWI,Great Britain had the most powerful naval in the world, which was her Royal Navy. The navy which outgunned and outnumbered all other navies not only protected the Empire and trade, but also prevented foreign invasion. At the same time, Germany had the world’s best army but Kaiser Wilhelm, but the German reluer would like to compete with Britain so that it began to build a fleet of battleships to rival the British Navy in 1898. Britain were not worried about the growth of the German fleet too much at first since they had enormous lead. However, the introduction of the powerful British ‘Dreadnought’ battleship in 1906 changed all this. The dreadnought was faster, bigger and had a much great firing range than existing battleships and this super-battleship made all previous battleships obsolete or out of date. This allowed the Germans to begin building ‘Dreadnoughts’ on equal terms with Britain. A race developed between two countries to see who could build the most. In 1909 Britain had 8 Dreadnoughts to Germany’s seven. This naval race poisoned the relations between the two countries and was the main bone of contention between the two right up to 1914. When Germany was preparing to invade Belgium, the British sent her troops to protect Belgium from attack. British sent a telegram to call Germany to back her army. With no reply from Germany , the Britain started war with Germany and from then, all the great powers of Europe became at war with each other. On 5th August, 1914, WWI broke out. By worsening the relations between Germany and Britain and causing rival and tension between them to rise, the Anglo-Naval Race made the war between the two more likely to happen and it became a part a WWI. Therefore, the Anglo-Naval race was one of the factors of the outbreak of WWI. How to cite The Causes of Wwi, Papers

Thursday, December 5, 2019

Performance Excellence in Hotels free essay sample

The failure in delivering high performance will have negative impacts on both internal and external customers. Therefore, the main purpose of this research project is to introduce the concept of performance excellence in the service sector, discuss the meaning and driving forces of competitiveness through the performance excellence in this sector, and report the findings of building excellence in organizational design, team work as well as leadership within The project will be organized in a way that gives a balanced critical review of performance excellence and answer the following questions, in particular its implementation in Hotel: 1. What functional roles does performance excellence play in an organization and in particular on the service sector? 2. What are basic dimensions of performance excellence that influence the development of competitive advantage in the service sector? 3. What are some relationships between quality and performance excellence in attaining sustainable competitive advantage? Performance Excellence and Its Functional Roles Performance excellence can be defined as an integrated approach to organizational performance management that result in delivery of ever-improving value to customers and stakeholders; improvement of overall organizational effectiveness and capabilities; and organizational personal learning This implies that all managers should give more interests and attention to implement it. We will write a custom essay sample on Performance Excellence in Hotels or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page The extracted information from the previous process can help executive managers to identify opportunities and threats as a necessary step to adapt successful strategies.

Thursday, November 28, 2019

Antigone Essays (527 words) - Antigone, Civil Disobedience, 2CM

Antigone Descriptive Essay of My Watch My article of clothing is with me at all times. It consists of a 3cm circular base and two separate straps, each 6cm long connected by a metal clasp. These two straps and a clasp are then connected to the top and bottom of the base. The straps are outlined in hard rigid silver, looking as my uncle's smoothly brushed gray hair. Through the center of the 2cm wide straps is a 1cm in width gold strip. The gold looks as bright as a gold chalice from my local church. The clasp is a hard silvery gray such as that which borders the straps. The letters 'SEIKO' are clearly placed on the clasp in raised lettering. The clasp looks 3cm long when in the closed position, but when opened it extends to 11cm as two more 4cm metal pieces open outward. The face of the object is encircled with a gold color, gold as the trim on my father's Cadillac. Inside the gold trim, the background is a black color. The black is like the black rubber on my car's Cooper tires. Towards the top of this face, there is a number 12, the bottom has a number 6, and the leftmost number has a number 9. Each of these numbers are raised in lettering in a gold color. On the rightmost side, there is a 1/2cm x 1/5cm sized box. This box is then further separated in two parts. 2/3s of the box is devoted towards showing the current day's first 3 letters, now showing a THU for Thursday. The remaining space of the box is set aside for the date of the month. In this box the number 14 is shown. Both, the day and the date, are in white colors. This white is like a white hospital gown, starched and cleaned. The face of the object has 56 small lines all facing from the outside of the circle towards the middle. These gold lines are equally separated all aro the face of the object. There are 4 places where there is no line, instead a white dot exists. There are 8 more gold lines, very similar except 3 times longer (1/2cm) equally spaced around the face as well, with the exception of the numbers and the small box which are counted as well into the spacing. From the center of the watch are 3 thin strands of golden color rods, just like a strand of goldenrod colored growing wheat. This object has been with me for almost 4 years now, at my side during formal functions and school. Originally as a Confirmation present during Gradeschool, this has been a constant reminder of my past accomplishments and a reminder that God is with me wherever I go. As others see me wear my object, they realize I have style, yet I do not have my object wherever I go for some people may be offended by such an expensive piece. I do enjoy the simplicity of it, there are no special buttons or other such things to confuse its main purpose. The purpose of this object, which is my watch, is to make sure I'm on time for events and occasions. It has done that for 4 years, and will continue to for as long as I keep it. Mythology Essays

Sunday, November 24, 2019

Bessie Smith essays

Bessie Smith essays Bessie Smith, the greatest and most significant blues singer of the 1920's, paid her dues and persevered the suffering of desertion, infidelity, discrimination, and hard-drinking street life. Bessie began the words of her "song," early in her life. Bessie's early childhood was plagued by desertion, poverty, and discrimination. By the age of nine, both her parents and at least two of her brothers had passed away. After being orphaned, her sister Viola became Bessie's principal caregiver, and Bessie began her struggle against poverty by joining a traveling vaudeville show as a blues singer. Bessie's personal suffering gave her lyrics to many of her songs such as: "Taint Nobody's Bizness If I Do," "Gin House Blues," "Me and My Gin," and "Nobody Knows You When You're Down and Out." Her songs not only depict her personal suffering, but they also tell much about the black culture in the 1920s. Bessie's ability to endure the obstacles that a black female singer faced in an indiffere nt and segregated world won her the admiration of her people and the title of "Empress of the Blues." Bessie Smith did not sing the blues to get the blues; she sang the blues as a way to remove her feeling of the blues and to persevere. Although Bessie Smith was one of the greatest musical artists of the 1920s, by the 1930s and her career began to come to an end. Her heavy drinking began to take its toll and affected her career. Also, the publics musical tastes were shifting and live performances gave way to talking picture shows. Bessie was planning a comeback in the early 1930s when her life was tragically cut short in an automobile accident. On September 26, 1937, Bessie Smith and her lover, Richard Morgan were driving in Mississippi when their car rear-ended a truck. Bessie suffered severe injuries; her left arm was severed and her ribs were crushed. It is speculated that Bessie was denied proper medical treatme ...

Thursday, November 21, 2019

Current fiscal policy and its effects on the overall economy Article

Current fiscal policy and its effects on the overall economy - Article Example From the Democrats’ view, half of the increase, $ 1 billion, will meet one of Obama’s administration priorities, that is, to help children below the age of three. From the Republicans, it is a cheer because it is $164 billion less than Bush’s last budget (Desjardins, 2014). Any reasonable person with an interest to improve the American economy cannot compromise the policy. The idea to extend unemployment insurance, Bush tax cuts, enhance business expensing, and reduce payroll tax rates is good for the American economy. It is, however, risky to tune the economy through the policy alone. They need to monitor it well to prevent inflation. Government spending multiplier in this case is the ratio that the change in America’s income level will be affected by government spending. The multiplier measures the effect of the fiscal policy on subsequent levels of a country. The increased government spending results to an increase in consumption and a cycle of wealth creation. In forecasting the policy’s effect, a multiplier that exceeds one shows that the spending at the national level has been enhanced. With continuous consumption, demand develops from the initial levels and leads to multiple effects of wealth. Desjardins, L. (2014). Pushing past partisanship, Congressional leaders back $1 trillion spending bill. CNN, 1, 2. Retrieved July 20, 2014, from

Wednesday, November 20, 2019

The Problem of Studying Abroad Research Proposal

The Problem of Studying Abroad - Research Proposal Example The everyday living charges and some other education later funds may become known to the student only after he has experienced practical settlement into the foreign country. These hidden costs might inflate with the passage and it may not even be certain as to what their rate of inflation would be. The global uncertainty of economic conditions may be regarded as one of the pushing factors that result in this uncertainty of the situation. Incorporation The learning methods of the foreign country may be entirely different from those that have been followed by you in your educational system all your life. This might make incorporation into the foreign country’s learning setup difficult for the foreign students unless they are absolute geniuses. Diversity and Ethnicity Racial and ethnic discrimination may become a very grave issue for foreign students. If the ethnic background of the foreign student is targeted and is being mocked at by other students native to the foreign educational institution the learning environment becomes unbearable. Despite the understanding and open-mindedness of the twentieth century there have often been reported cases of ethnic discrimination against foreign students especially in areas like central London and Australia. Loneliness Staying away from home and family for months and often years is a very hard nut to crack. Students may be motivated enough to leave home for further studies but the hardships and settling compromises that they need to make in order to get adjusted into the new environment make them feel the worth of their native land and home. It is then that the foreign students feel really lonely and long for the helping hands that used to be always available for them back at their native homeland.

Monday, November 18, 2019

Saudi arabia cultuer Essay Example | Topics and Well Written Essays - 500 words

Saudi arabia cultuer - Essay Example The government in Saudi Arabia is focusing on encouraging womens education, and putting controls and conditions that contribute to teach all the necessary matters in women’s life and the community things of these women (Al-Rasheed, 2010). There are two types of schools in the different levels of education; the first type is a private school, and the second type is a public school. There are also two systems to study at the university; the first system is full time study, and the second system is distance learning. 1. The aim of girls’ education is breeding true Muslim behavior to carry out its mission in life that assists girls in being successful housewives. This makes them to be an ideal wife and a good mother, and become prepared to do what fits to the innate as a teachers, nursing and doctors. . 2. The state manages girls education by providing the necessary resources as much as possible to accommodate all students that are able to study. It also gives students the opportunity to learn different types of education that are appropriate to the nature of women and cover the country needs. In Saudi Arabia, girl’s education has different challenges that are faced in the education movement. The educational process aimed at women has become a competitor to other countries in the world. According to the official statistics report, the number of girls schools exceeded the number of boys schools, while the numbers of girls’ students of public education were more than two million students in various stages of public education (Al-Rasheed, 2010). That figure is nearly close to the number of male student. The official statistics issued by the Ministry of Education in Saudi Arabia revealed that the number of parameters exceeded 250 thousand teachers in Saudi Arabia. This is an increase of 40 thousand teachers. This parameter is the number of male teachers in general education schools. These estimates shows that the rates of girls students was growing in

Friday, November 15, 2019

Review of Don Quixote by Miguel de Cervantes

Review of Don Quixote by Miguel de Cervantes With the exceptions of Dorotea and Zoraida, the women in the First Part of Don Quixote are weak-willed, subservient creatures who rely on their husbands as masters. However, even Dorotea ingratiates and humiliates herself in order to win back Fernandos affection. Zoraida, on the other hand, at first stands out as the one seeming exception to this model, since she has the will to steal from her father in order to run away from home with the captive. Zoraida, or Maria if you prefer, is a female figure who is half Moor (the body) and half Christian (the soul) and enters into self-imposed exile from her home culture in order to actualize a hidden and purportedly European self (Garrett 141). Zoraida abandons her father on a deserted island in the process of actualizing her quest for the Christian world (Garrett 141). As a Moor, she can step outside the bounds of the conventional roles governing the lives of Cervantess women. However, Zoraida speaks only once, and then it is in animated revision of her name: No, Zoraida no: Maria, Maria! (Cervantes 353). Renamed Maria, Zoraidas Moorish identity would be replaced by a Christian ideal of feminine chastity, but her muteness symbolizes her lack of power. Therefore, even though her ethnicity and religious passion make her unusual and suggest that she might serve as the model for a new kind of woman in the novel, she remains as much an object as the other female characters. The Captives Tale highlights a womans role in modern Spain. From the first, Zoraida is represented as an object unable to demonstrate a sense of self. In contrast to the captive, who actively interacts with the inns guests and defines himself as part of their community, Zoraida is passive and mute and distanced. She becomes visible to her new companions only after the captive translates for her for a specifically Christian audience. The success of Zoraidas cross-cultural journey depends on the captive. (Garrett 142) Zoraida enters Cervantes text as a literal representation of a romantic damsel-in-distress. Her arrival follows Doroteas impersonation of Princess Micomicona, an imaginary construct devised by the priest and the barber to put an end to Don Quixotes misadventures (Garrett 142). A once great lady, the princess is said to require a knights service to restore her and her family from the tyrannous hold of an overgrown giant (Cervantes 274). In an interesting parallel, Zoraida, having become herself a reduced and vulnerable woman, provides a real-life mirror to the princess. A willing expatriate from her home culture, Zoraida enters the story after having been relieved by pirates of her bangles, pearls, and rubies, and appearing a materially impoverished Christian convert (Garrett 142). Her freedom depended on betrayal, and after that betrayal she lost her economic and discursive power. In the end, all that she retains is her allure as a Muslim woman seeking a new homeland. Where the imaginary Micomicona is protected by the madly romantic Don Quixote, Zoraida is protected by the Christian captive. Together, Zoraida and the captive arrive at the inn as realistic figures of a modern Christian knight and his chastely silent lady. Zoraida represents the potential for womens centrality at the same time she reveals the limits of womens access to power. Both in terms of economics and discourse, she is contained after offering herself up for exchange. In Cervantes and the Material World, Carroll Johnson suggests that Zoraida journeys from linguistic and economic empowerment in protocapitalistic Algiers to voicelessness and poverty in feudo-agrarian Spain, where the old order triumphs and Zoraida is promised, at best, a position as a second-class morisca citizen (126). Cervantes used masculinist literary models to shape his novel, but he engaged in an entirely new kind of literary activity that reached out to a growing reading population by positioning Zoraida at the center of the discussion of race, class, and difference in early modern Spain (Vollendorf 322). Zoraida cannot upset any genre, for hers is the quintessential historical narrative of conversion, displacement, and silence.

Wednesday, November 13, 2019

Sympathy for PIP :: essays research papers

Great Expectations Dickens’ gripping novel of 1861, Great Expectations, portrays his distinguishing tendency to exaggerate both plot and characters. Chapter eight enhances his main aim of initiating sympathy for Pip, and this, consequently, lasts for the novel’s entirety. We are shown similarities between Dickens’ early childhood memories and the protagonist’s inability to defend himself against the injustices he discovers throughout the early years of life. Dickens successfully creates a sympathetic mood through a range of techniques, including an exquisite use of emotive dialogue, sophisticated imagery and symbolism. He explores and brings originality to timeless themes such as fear, loneliness, luck, classism, social justice, humiliation, and humor, which is cleverly incorporated into his writing for the first time to bring an uplifting mood to an otherwise dark and disturbing tone. His use of Miss Havisham and Estella as tools to evoke sympathy and casting the central character as the narrative voice increases compassion and creates a dramatic attitude. In this essay, I will also examine the opening and ending of the chapter, which contribute to its overall effect. Opening and Ending of the chapter After the initial detailed account of Pumblechook and his home, we are immediately endeared to Pip and express sympathy when he begins to depict the low ceiling of his attic space. Our sympathy is again increased and contained throughout the entire chapter – from the humorous torment of Pumblechook’s sums to meeting the somewhat frightening Miss Havisham and stepping inside her lonely, dilapidated abode. Pip’s already dire situation is once again worsened by Estella and Miss Havisham’s cruel and menacing comments about the situation in which he finds himself. They arouse our consideration through the way in which they interact, both with each other and with Pip, making him feel ‘much more ignorant’ than he had considered himself the previous night. His growing obsession with Estella and her view upon him drags down his self-esteem to an all time low and consequently builds our sympathy towards him. It is here that his feeling of despair and worthlessness present him with the new target of becoming a gentleman, so far from his status at that present time. Social Class Great Expectations frequently refers us to the present class system of a post-Industrial Revolution Victorian England. The theme of social underlines the book’s overall plot and moral theme that loyalty and conscience are worth more than social advancement, wealth and class. During the 19th century, there were vast differences in social class. Although it was incredibly easy to slip down the social ladder, the poor often resorted to begging or stealing in order to

Sunday, November 10, 2019

The Insurable Interest Doctrine- Indian Perspective

DR. RAM MANOHAR LOHIYA NATIONAL LAW UNIVERSITY ______________________________________________________________________________ The Insurable Interest Doctrine __________________________________________________________________ Name: Sukriti Guha Roll No. : 142 Semester: VIIIth Class: B. A. , LL. B. (Hons. ) Subject: Insurance Law Submitted to: Ms.Aparna Singh TABLE OF CONTENTS I. Introduction II. Can there be any valid insurance agreement without insurable interest? III. Creation of insurable interest IV. Wager and insurance V. Types of insurable interest VI. Time or duration of insurable interest VII. Insurable interest vis-a-vis life insurance contract VIII. Insurable interest vis-a-vis marine insurance contract IX. Insurable interest vis-a-vis fire insurance contract X. Conclusion Bibliography I. INTRODUCTION The aim of insurance is to shift risk from one person (the insured) to another (the insurers).In insurance contract as a matter of public policy, certain insurable require ments must be met, to make it valid. Insurable interest is one of the basic requirements of the insurance. Without it the insurance contract is a mere wagering agreement. In India it is strange that the Insurance Act 1938 does not contain a definition of insurable interest. The only section, namely section 68, which makes a passing reference to the words ‘insurable interest’ stands repeated by section 48 of The Insurance Amendment Act 1950.Briefly stated there is no legislative guidance in Indian law on the subject but still marine insurance defines under section 7 of the marine insurance act 1963 defines insurable interest. Insurable interest is also defined as a legal right to insure an asset or person. In theory, therefore, nothing more is payable than the amount of actual loss. It follows that unless the assured has a pecuniary interest in the thing insured, no question of loss or indemnity shall arise. A person cannot therefore insure a thing, the loss of which can not cause him any financial loss.A policy of insurance, therefore, is void if the insured has no such pecuniary interest in the subject matter of the insurance. Any person, who would suffer from destruction or loss of a thing, has insurable interest in that thing. The insurable interest must: * Be definite * Be capable of valuation * Be legally valid and subsisting * Involve the loss of legal right * Involve a legal liability II. CAN THERE BE ANY VALID INSURANCE AGREEMENT WITHOUT INSURABLE INTEREST? The existence of insurable interest is an essential ingredient of any insurance contract. It is an important and fundamental principle of insurance.It can be defined as the legal right to insure arising out of a financial relationship recognized under law, between the insured and the subject matter of insurance We find that the meaning of the term insurable interest is liberally interpreted. It is not always the legal interest or a full interest that's required by the courts but it shoul d be such that it would be sufficient if it is recognized by court of law or equity as such interest. The following points may be gathered: 1) The interest should not be a mere sentimental right or interest, for example love and affection alone cannot constitute insurable interest. ) It should be a right in property or a right arising out of a contract in relation to the property. 3) The interest must be pecuniary that is, capable of estimation in terms of money. In other words, the peril must be such that its happening may bring upon the insured an actual or deemed pecuniary loss. Mere disadvantage or inconvenience or mental distress cannot be regarded as an insurable interest but this rule not strictly followed in life insurance cases. 4) The interest must be lawful, that is, it should not be illegal, unlawful, and immoral or opposed to public policy and does not harm any others legal justified claim.In the case of Brahma Dutt v. LIC, one Mukhtar Singh a petty school teacher on sa lary of Rs 20 took a policy for Rs 35,000 on his life making false statements in the proposal and nominated a stranger Brahma Dutt for the policy. The nominee paid the first two quarterly premiums by which time the life insured died. The nominee intimated the insured's death and claimed the sum assured. It was found on evidence that Brahma Dutt had taken the policy without any insurable interest in the life of the deceased for his own benefit and that therefore it was void being a wagering agreement.The Supreme Court in the case of Suraj Mal Ram Niwas Oil Mills (Private) Limited v United India Insurance Company Limited held that the objection of the insurer about the non-disclosure of dispatch of each and every consignment, as pointed by the second surveyor, learned counsel submitted that the said condition has to be understood in the context of the fundamental condition that the insurance cover was intended to secure only the â€Å"insurable interest† of the appellant in the dispatches.It was urged that the appellant had declared only those consignments in which they had an â€Å"insurable interest† as in relation to dispatches which had not been declared, the consignees had desired that their consignments should be dispatched without an insurance cover. In all such cases, the purchasers took the risk of loss to their goods, and hence the appellant had no â€Å"insurable interest† in them, unlike in the consignment in question for which due declaration was made. Reference was made to the decisions of this Court in New India Assurance Co. Ltd v. G. N. Sainani, and New India Assurance Company Limited v.Hira Lal Ramesh Chand , wherein it was held that â€Å"insurable interest† over a property is â€Å"such interest as shall make the loss of the property to cause pecuniary damage to the assured and under this case it will make a damage to the interest of the insured. III. CREATION OF INSURABLE INTEREST There are a number of ways in wh ich insurable interest will arise or can be created. Few main ways are: 1) By Contract -In some contracts a person will agree to be liable for something, which he or she would not ordinarily be liable for. A landlord is normally liable for the maintenance of property he owns rather than the tenants.A lease may, however, make the tenant responsible for the maintenance, repair etc. of the building. Such a contract places the tenant in legally recognized relationship to the building. This gives him an insurable interest, which would not be present if the contract had not been entered into so these kinds of special contractual relationships give arise to the insurable interest on something on which otherwise one does not have any kind of insurable interest. 2) By Common Law – Where the essential elements of insurable interest are automatically present, the same can be described as having arisen at common law.The most straight forward example is ownership. One can own a house, and there is therefore entitlement to insure it equally the common law duty of care which one owes to the other, may give rise to a liability which again is insurable. Like the use or driving of a motor vehicle in a public place is sufficient insurable interest for the purpose of effecting insurance in the favour of the third party. 3) By Statute – Some time an act of parliament will create an insurable interest either by granting some benefit or imposing a duty.While the statute may create insurable interest where none would otherwise exist. There can be some statutes which can restrict liability and thereby also restrict insurable interest. IV. WAGER AND INSURANCE In a contract of wager all the parties do not have any interest in the happening of the event other than the sum. This is what marks the difference between a wagering agreement and a contract of insurance because every contract of insurance requires for its validity the insurable interest. Insurance affected without insurable interest is no more than a wagering agreement and therefore void.Insurable interest means the risk of loss to which the assured is likely to be exposed by the happening of the event assured against. In a wager on the other hand neither party is running any risk of loss except that which is created by the agreement between two or more than two parties. We all also know that wagering is illegal in India and against to the norms of society or in short wagering is against public policy and distinction between a insurance and a wager is this a insurance is properly speaking a contract to indemnify the insured in respect of some interest which he has against perils which he contemplates it will be liable to.In the case of Alamani v. Positive Govt Security Life Insurance Co. , the plaintiff’s husband took a policy of insurance on the life of Mehbub Bi, the wife of a clerk working under him and about a week later got the policy assigned in the favour of the plaintiff, Mehbu b Bi died a month later and the plaintiff as assignee claimed the sum assured and in this case court find that there was no insurable interest present in this case and hence this insurance contract held to be contract of wager and held to be void.V. TYPES OF INSURABLE INTEREST There are basically two types of insurable interest (1) Contractual (2) Statutory. As we have seen in some cases that interest in the subject matter of insurance is required by law itself for the validity of the policy, whether by express statutory law as in the Marine Insurance Act 1906 or as by section 30 of the Indian Contract Act which merely declares that all contracts by way of wager is void. This is the interest required by statue r the statutory shareholder. If this agent is absent, the insurance is illegal or void and no agreement between the parties dispensing with this requirement can be effective. In an action upon such a contract if the insurer does not raise the plea of want of interest neverthel ess the court of its own motion may refuse to enforce the contract. Courts however, lean in favour of the existence of a valid interest as far as possible, so as to render the contract enforceable.It has also been held in some cases that there is nothing illegal about the insurer paying on policy without interest as the objection or want of insurable interest is purely technical and has no real merit as between the insurer and the insured. Let's take a case law in detail that will clear the picture of the difference between these two kinds of insurable interest. In the case Macaura v. Northern Assurance Company, one Macaura insured timber in his estate against fire. He sold timber to a company of which he was the sole substantial shareholder.Thereafter most of the timber was destroyed by fire and he demanded that he should be indemnified. The insurer succeeded in refusing to comply with the demand. The insured had no statutory interest in the assets of the company though too he woul d suffer loss on the company losing its property, nor he had any contractual interest under the policy because he could not prove interest at the time of the loss. Though the insured had no statutory interest the policy was held to be not a wagering contract because even being the sole shareholder he had an interest or better call insurable interest in the property.VI. TIME OR DURATION OF INSURABLE INTEREST The time when the insurable interest must be present varies with the nature of the insurance contracts. The question is whether insurable interest should exist at the time when the contract is formed or should it also continue to exist until it is discharged but as we have seen in life insurance the presence of insurable interest is necessary at the commencement of the policy although it is not necessary afterwards, not even at the time of occurrence of risk.So it should be there in life policies at the time of taking the policy it need not exist at the time when the loss takes p lace or even when the claim is made under the policy. Life insurance contracts are not strictly speaking contracts of indemnity. In fire insurance, it's required both at the commencement of the policy and at the time when the risk occurs. In a sense, therefore it may be said that insurable interest is doubly insisted upon in fire insurance.The insurance interest is necessary at both the times because it is treated as a personal contract and also a contract of indemnity. And even the onus that the fire was intentional is on the insurer and not the insured. In a marine insurance contract the presence of insurable interest is necessary only at the time of the loss. It is immaterial whether he has or does not have any insurable interest at the time when the marine insurance policy was taken. VII.INSURABLE INTEREST vis-a-vis LIFE INSURANCE CONTRACT Life insurance contract is not a contract of indemnity and a person affecting a policy must have an insurable interest in the life to be assu red. In the life insurance policy persons having relationship by marriage (example, husband and wife), blood (example, father and son) or adoption (example, adopted son and his mother), have been recognized as having insurable interest. Few examples of relationship which have insurable interest in the life of other: * Child has the insurable interest in life of parents and vice versa even the illegitimate child. Wife has an insurable interest in the life of husband and vice versa * Debtor has an insurable interest of the life of creditor and vice versa * Master has an insurable interest in the life of servant and vice versa * A company has an insurable interest in the life of manager or director or partners or other employees and vice versa * Husband or wife have a insurable interest in the life of father-in- law or mother in law and vice versa * Insurable interest in the life of grandparents and vice versa * Insurable interest of a person on his own lifeInsurable interest in India need not be confined to a pecuniary interest. Sentimental interest or an interest based on close family relationship may constitute a sufficient insurable interest. The closeness of relationship operates as a protection to the life of the insured and does not place him in the danger of being murdered. But when a person seeks insurance on his own life, the question of insurable interest is immaterial. There can also be no element of wagering, for whatever gain may accrue, will be by his death and that is no gain.No man will gamble on his own life to gain a pyrrhic victory. And if somebody commits suicide to get the benefit of claim for his beneficiary or relatives his claim will not be entertained. VIII. INSURABLE INTEREST VIS-A-VIS MARINE INSURANCE CONTRACT Insurable interest is a special requirement of the marine insurance contract and any valid contract of marine insurance can be entered onto by person only if he has insurable interest in the marine adventure. And what is importan t for insurable interest is that: ) There should be a physical object which is exposed to the marine perils 2) The assured must have some legally recognized relationship with that object in consequences of which he benefits by its preservation and is prejudiced by its loss or damage. Few instances which show insurable interest in a marine insurance policy: 1) The insurer under a contract of marine insurance has an insurable interest in his risk which he may re-insure. 2) The lender of money on bottomry or respondentia has an insurable interest in respect of loan . ) The masters of the crew of a ship have insurable interest in their wages. IX. INSURABLE INTEREST vis-a-vis FIRE INSURANCE CONTRACT Few instances of persons who can have insurable interest in any insured property by fire: 1) Owner of the property , joint owner, sole owner, or a farm owning the property 2) Lessor and lessee both have insurable interest on any property 3) The vendor or the purchaser both have the right 4) T he mortgagor and mortgagee 5) Trustees are legal owners and beneficiaries the beneficial owner of the trust property and each can insure it. ) Bailees such as carriers, pawnbrokers or warehouse men are responsible for the safety of the property entrusted in them and so can insure it. X. CONCLUSION To be legally enforceable, all insurance contracts must be supported by an insurable interest. Insurance contracts must be supported by an insurable interest for the following reasons. * To prevent gambling: Insurable interest is necessary to prevent gambling. If insurable interest is not required, the contract would be gambling contract and would be against public interest. For example you can insure the property of another and hope for an early loss.You can similarly insure the life of another person and hope for an early death. These contracts would be gambling contracts and would be against public interest and public policy and so need to be checked and stopped. * To reduce moral hazar d: Insurable interest reduces moral hazard. If insurable interest is not required, a dishonest person could purchase a property's insurance belonging to someone else and then deliberately cause a loss to receive the proceeds; but if the insured stands to lose financially, nothing is gained by causing the loss.Thus moral hazard is reduced. In life insurance, insurable interest requirement reduces the incentive to murder the insured for the purpose of collecting policy claim or anyone can set fire his home to claim the fire insurance claim or one can kill any third person insured by him. * To measure the amount of the insured's loss in property insured: Finally in property insurance insurable interest measures the amount of the insured's loss. Most of the property insurance is contracts of indemnity and the measure of recovery is the insurable interest of the insured.In the event of loss, payment cannot exceed the amount of one's insurable interest as the principle of indemnity shall apply. The object of insurance in such a case is to indemnify the assured to the extent of the commercial value of the thing lost. It follows that unless the assured has a pecuniary interest in the thing insured, no question of loss or indemnity shall arise. A person cannot therefore, insure a thing, the loss of which cannot cause him any financial loss.A policy of insurance therefore is void if the insured has no such pecuniary interest in the subject matter of insurance. Any person who would suffer from the destruction of loss of a thing has insurable interest in that thing. Therefore, we can conclude that an insurable interest is essential for making any insurance agreement a legally binding insurance contract. BIBLIOGRAPHY 1. Emmett J. Vaughan & Therese Vaughan, Fundamentals of Risk and Insurance (9th Edn. 2003) 2. Dr. Rakesh Agarwal (Ed. , Guide to Practice of General Insurance (Paper No. 11 of I. I. I. ) (Key for Licentiate Examination), (2nd edition, 2011) 3. Centre of Public ations, Handbook on Opening of Insurance Sector – Policy, Regulations, Guidelines and List of Foreign Companies (2011) 4. H. Narayanan, Indian INSURANCE – A Profile (2008) 5. C. L. Tyagi & Madhu Tyagi, Insurance – Law and Practice (2007) 6. India Brand Equity Foundation http://www. ibef. org/ 7. Investopedia

Friday, November 8, 2019

MIT Sloan Programs and Admissions

MIT Sloan Programs and Admissions When most people think of the Massachusetts Institute of Technology (MIT), they think about science and technology, but this prestigious university offers education beyond those two fields. MIT has five different schools, including the MIT Sloan School of Management. MIT Sloan School of Management, also known as MIT Sloan, is one of the best-ranked business schools in the world. It is also one of the M7 business schools, an informal network of the most elite business schools in the United States. Students who enroll in MIT Sloan have the opportunity to graduate with a respected degree from a reputable school with brand name awareness. MIT Sloan School of Management is based in Kendall Square in Cambridge, Massachusetts. The presence of the school and the number of entrepreneurial start-ups in the area has led to Kendall Square being known as the most innovative square mile on the planet. MIT Sloan Enrollment and Faculty Approximately 1,300 students are enrolled in undergraduate and graduate programs at MIT Sloan School of Management. Some of these programs result in a degree, while others, such as the executive education programs, result in a certificate. Students, who sometimes refer to themselves as Sloanies, are taught by more than 200 faculty members and lecturers. The MIT Sloan faculty is diverse and includes researchers, policy experts, economists, entrepreneurs, business executives, and practitioners in a wide range of business and management fields.   MIT Sloan Programs for Undergraduate Students Students who are accepted to the undergraduate program at MIT Sloan School of Management can choose from four basic education tracks: 15 Management Science: In this relatively new track of study, students learn how to use quantitative tools and qualitative methods to design and maintain complex systems and solve real-world managerial problems related to logistics and strategy.15:1 Management: This degree program is the most flexible undergraduate program at MIT Sloan. It is designed to give students a broad, foundational education in business and management while allowing them to choose minors and electives that will directly relate to their chosen careers.15:2 Business Analytics: In this undergraduate MIT Sloan program, students learn how to collect, analyze, and optimize data to make informed business decisions.15:3 Finance: In this MIT Sloan program, students study all aspects of finance, including accounting, microeconomics, and statistics. They also have a chance to choose finance-related electives that will help them learn how to apply financial tools to make managerial and strategic investment decisions. Undergraduate Admissions at MIT Sloan Freshman students who want to study at MIT Sloan must submit an application to the Massachusetts Institute of Technology. If accepted, they will choose a major at the end of their freshman year. The school is very selective, admitting less than 10 percent of the people who apply each year. As part of the undergraduate admissions process at MIT, you will be asked to submit biographical information, essays, recommendation letters, high school transcripts, and standardized test scores. Your application will be evaluated by a large group of people based on a number of factors. At least 12 people will look at and consider your application before you receive an acceptance letter.   MIT Sloan Programs for Graduate Students MIT Sloan School of Management offers an MBA program, several masters degree programs, and a PhD program in addition to executive education programs. The MBA program has a first-semester core that requires students to take a select number of classes, but after the first semester, students are given the opportunity to self-manage their education and personalize their curriculum. Personalized track options include entrepreneurship and innovation, enterprise management, and finance. MBA students at MIT Sloan can also choose to earn a joint degree in the Leaders for Global Operations program, which results in an MBA from MIT Sloan and a Master of Science in Engineering from MIT, or a dual degree, which results in an MBA from MIT Sloan and a Masters in Public Affairs or Masters in Public Policy from the Harvard Kennedy School of Government. Mid-career executives who want to earn an MBA in 20 months of part-time study may be well suited to the executive MBA program at MIT Sloan School of Management. Students in this program attend classes every three weeks on Fridays and Saturdays. The program also has a one-week module every six months in addition to a one-week international project trip. Masters degree options include a Master of Finance, Master of Business Analytics, and a Master of Science in Management Studies. Students can also choose to enroll in the System Design and Management program, which results in a Master of Management and Engineering. The Ph.D. program at MIT Sloan School of Management is the most advanced education program. It offers the opportunity conduct research in areas like management science, behavioral and policy sciences, economics, finance, and accounting. MBA Admissions at MIT Sloan You do not need work experience to apply to the MBA program at MIT Sloan School of Management, but you should have a bachelors degree in any area of study, a record of personal achievement, and high academic potential to be considered for the program. Your qualifications can be demonstrated through a range of application components, including standardized test scores, recommendation letters, and academic records. There is no single application component that is the most important- all components are weighed equally. About 25 percent of the students who apply will be invited to interview. Interviews are conducted by members of the admissions committee and are behavioral based. Interviewers assess how well applicants can communicate, influence others, and handle specific situations. MIT Sloan School of Management has round applications, but you can only apply once per year, so it is important to develop a solid application the first time you apply. Admissions for Other Graduate Programs at MIT Sloan The admissions for graduate programs (other than the MBA program) at MIT Sloan vary by program. However, you should plan on submitting undergraduate transcripts, an application, and supporting materials, such as resumes and essays, if you are applying to a degree program. Each degree program has a limited number of seats, which makes the process very selective and competitive. Be sure to research application deadlines and admissions requirements on the MIT Sloan website, and give yourself plenty of time to assemble application materials.

Wednesday, November 6, 2019

Stem Cell essays

Stem Cell essays The discovery, made by Dr. James A. Thomson, a biologist at the University of Wisconsin, Madison, offers great promise for new ways of treating disease. ES cells, which are derived from four-day-old embryos, can theoretically differentiate into virtually any type of human cell, from blood cells to skin cells. Scientists hope to find ways of using these cells to repair damaged tissue. About stem cell transplantation In the bone marrow, there is approximately 1 stem cell in every 100,000 blood cells. The bone marrow in the breast bone, skull, hips, ribs, and spine contains the stem cells. In the blood stream, the number of stem cells is about 1/100 of that in the bone marrow. Transplantation of these stem cells from the blood stream is sometimes used in addition to, or instead of, traditional bone marrow transplantation. The range of diseases for which bone marrow/stem cell transplantation can be considered has increased greatly and includes the The problem that surrounds all this is that Dr. Thomson's breakthrough work was not eligible for funding from NIH, the federal government's primary sponsor of biomedical research, and the sponsor of some of his other research projects. Instead, he set up a separate lab to work on human ES cells supported by private funding from the Geron Corp. of Menlo Park, Calif., and the Wisconsin Alumni Research Foundation. Because of the great potential promised by Dr. Thomson's discovery, NIH sought legal counsel from the Department of Health and Human Services (HHS) on the question of whether or not the ban applies to ES cell research. In January 1999, HHS concluded that public funds could be used for research on ES cells as long as they were not used for the derivation of the cells, the process that results in the destruction of an embryo. NIH thus began drafting guidelines governing funding for ES cell studies. The work was ineligible for public funding...

Monday, November 4, 2019

Manufacturing processes Research Paper Example | Topics and Well Written Essays - 1250 words

Manufacturing processes - Research Paper Example The industrial applications of 3-D printing includes rapid prototyping or CAD, design visualization, architecture, geospatial, metal casting, and in entertainment, among others. The application of 3-D printing is objected to reduce the cost and lead time of developing new devices and parts’ prototypes, which was earlier done by subtractive methods in the tool room. The current technology used is typically expensive and slowly to achieve its mission. Moreover, the 3-D printing has brought about production of manufacturing products in some creative and innovative brands that are cheaply produced. ARC is where welding power supply is used to maintain and create an electric arc between the base material and an electrode in order to melt metals at welding platform. It is advantageous since it affords to control greater weld area than other welding processes. It also produces the highest quality weld than other methods, especially when performed by skilled operators. Arc is applied to nearly all materials, except zinc and its alloy. Its disadvantages are the limitation of carbon steels because of availability of more economical steel welding techniques. Such as gas metal. The quality of the welds in this process depends on the skills of the person, hence can be operated by any level-skilled operator. It is advantageous due to its use of efficient energy, easy automation, high production rates, and requires no filler materials. It is limited to only certain applications due to lower weld strength, as compared to other methods. It requires a highly specialized skilled operator. It is disadvantageous since it requires the continuous feed of wire to act as an electrode and inert gas in order to protect the weld from being contaminated. Fortunately, it has advantage of high production rate due to the increased welding speed since it has continuous electrodes. It also requires a highly skilled operator in order to automate the process. This

Friday, November 1, 2019

The use of flexible and distributed learning in higher education Literature review

The use of flexible and distributed learning in higher education (particularly post qualifying nurse education) - Literature review Example Data Sources 20 3.3. Search Terms 22 3.4. Supplementary Literature 22 3.6. Data Synthesis 24 Chapter 4 – Findings 25 4.1. Extent by which flexible and distributed learning is applied for continuing professional development (CPD) in nursing 26 4.2. How flexible and distributed learning is accepted among nurse practitioners as an effective form of learning activity. 30 4.3. Strengths and weaknesses of the new paradigm for the continuing professional development of nurses 34 Chapter 5 – Discussion 41 Chapter 6 – Implications and Recommendations 46 Conclusions 49 References 51 Appendices 60 Abstract Background. Hickie (2004) described the beginnings of the post-registration and education framework (PREP) which was instituted in 1994 to help address the changing needs in health care and protect public interest by regulate post-qualification practice. PREP was implemented by the United Kingdom Central Council for Nursing, Midwifery and Health Visiting (UKCC), which is now known as the Nursing and Midwifery Council. Under the framework, nursing practitioners are required to embark on at least five days or 35 hours of learning activity relevant to current nursing practice during the three-year period preceding the renewal of their registration. Since 2000, renewal of nursing registration certificates for nurses who have not practiced their professions in any capacity for at least 750 hours during the last five years prior to application of renewal specify compulsory return to practice programmes. Additionally, the PREP continuing professional education (CPD) standard also requires nursing practitioners to maintain a personal professional profile (PPP) where all learning activity will be recorded, and compliance with audit requirements of the Nursing and Midwifery Council. Introduction of the portfolio compilation requirement during pre-registration prepares registered nurses for the current nursing practice of keeping a PPP (Hickie, 2004). Flexible and distributed learning offers promising opportunities for continuing professional development of nursing practitioners outside of the rigid context of traditional formats. Aim. The aim of this literature review is to evaluate the efficacy of flexible and distributed learning as an effective new paradigm in the delivery of continuing professional development in nurse education. Methodology. Descriptive analysis in the form of a literature review was adopted as the primary methodology. The review of literature proceeded similar to content analysis of unstructured data which results in summarisation of relevant findings as discussed in Wood and Ross-Kerr (2011). In this paper, findings were analysed and compiled under three main categories: (1) extent by which flexible and distributed learning is applied for continuing professional development in nursing; (2) how flexible and distributed learning is accepted nurse practitioners and the academe as an effective form of learning activi ty; and (3) strengths and weaknesses of the new paradigm for continuing professional development of nurses. Pertinent conclusions were drawn grounded on the findings from the literature review. Method. A search for pertinent resources was undertaken using the following databases (arranged in the order of the initial number of articles retrieved) : CogNet Library, Health Source: Nursing/Academic Edition, Google Scholar, PsycARTICLES, CINAHL, Cochrane Collaboration, General Science Abstracts, Education Resource Information Centre (ERIC), PubMed, Health

Wednesday, October 30, 2019

Working Conditions Essay Example | Topics and Well Written Essays - 1000 words

Working Conditions - Essay Example According to Andre and Manuel - ' this  principle holds that the morally right course of action in any situation is the one that produces the greatest balance of benefits over harms for everyone affected' (Andre, 2010).  I absolutely agree in supporting the detailed recommendations  of  Human Rights Watch  enlisted below (Compa, 2005). New federal and state laws should reduce line speed in meat and poultry plants and establish new ergonomics standards to reduce repetitive stress injuries. Health and safety authorities should apply stronger enforcement measures. States should develop stronger worker compensation laws and enforcement mechanisms. Employers should not engage in aggressive, intimidating anti-organizing campaigns that take advantage of loopholes and weaknesses in the  U.S.  labor law system. Congress should enact legislation bringing  U.S.  labor law into compliance with international standards (e.g. to prohibit the permanent replacement of striking worke rs) and should also create stronger remedies for violations of workers’ rights. New laws and policies should ensure respect for the human rights of immigrant workers, whatever their legal status. Immigrants should have the same workplace protections as non-immigrants, including coverage under fair labor standards and other labor laws, and the same remedies when their rights are violated   A hog worker from  North Carolina  quotes â€Å"The line is so fast there is no time to sharpen the knife. The knife gets dull and you have to cut harder. That’s when you cut yourself.† If a worker really loses limb or life, who is there to lend a helping hand to his family to earn daily living. Ethically, the employers should open their eyes and weigh the resulting benefits and harms of policies that are  forced upon the workers in meat and poultry industry. The  Ã‚  Ã‚  increase in volume and speed of production  Ã‚  Ã‚  should be backed with quality training and sufficient safeguards making the work less hazardous.  Employers should choose the course of action that provides greatest benefits to the  workers who make up to 30,000 hard-cutting motions with sharp knives in a shift and often become victim of long-term occupational injuries and frequent lacerations. Investigations done by Human Rights Watch have shown that workers often do not  receive compensation for injuries at workplace because companies do not report injuries. The claims are delayed and denied; reprisals are  inflicted  on workers who file them. Workers are loved  as  long as  they are healthy and capable of working like a dog. But once they get hurt,  company will find a reason to fire them or put  them in a terrible job or change the shift so that worker quits.  Ã‚  Therefore, lot of people just work with the pain without reporting their injuries.  To overcome such situations, according to deontology, a right choice conforms to a moral norm. Such n orms are made simply to be obeyed by each moral agent in spite of maximizing such norm-keepings .For deontologists the Right has priority over the Good. If an action is not in accord with the Right, it may not be performed; no matter the Good that it might (Alexander 2008).  In an investigation conducted by Jamie Fellner, director of the U.S. Program at Human Rights Watch, the fact  revealed was that often Public agencies try to protect consumers from tainted meat but do very little to  Ã‚  protect their workers from  unhealthy and terrible conditions. It is also reported that aggressive and unlawful company try to derail workers’ organizing efforts. Employers threat workers who try to defend themselves

Monday, October 28, 2019

Therapeutic Hypothermia After Cardiac Arrest Essay Example for Free

Therapeutic Hypothermia After Cardiac Arrest Essay Cardiac arrest is considered as the prime cause of sudden deaths in the modern world, claiming tens of thousands of lives globally each year (http://www.nationmaster.com/graph/mor_car_arr-mortality-cardiac-arrest).   It has been determined that survival rates after cardiac arrest are very low, due to consequent ventricular fibrillation that immediately results in zero cardiac output and death within a few minutes (http://www.nationmaster.com/encyclopedia/Ventricular-fibrillation).   During cardiac arrest, oxygen flow in the brain in significantly affected and brain damage may possibly occur if no emergency treatment is given as soon as possible. Emergency treatment of cardiac arrest generally involves manual artificial breathing to facilitate oxygen circulation to the brain, as well as chemical and electrical induction of the heart to reinstate its normal beating.   Such emergency procedures mainly aim to provide a way to reoxygenate the brain and to save it from further irreversible damage.   Consequently, reoxygenation also generates free radicals that are responsible in creating a post-resuscitation syndrome, which is characterized by necrosis of different tissues of the patient. The observation that tissues survive at particular hypothermic settings has been evaluated as a promising emergency treatment for cardiac arrest (http://www.rnweb.com/rnweb/article/articleDetail.jsp?id=158218).   Hypothermia involves subjecting the body of an individual in a temperature that is below the normal physiologic temperature.   The effect of hypothermia in protecting the brain from severe and irreversible damage during the non-oxygenated state of cardiac arrest is currently being evaluated, after successful results in dog models.   Several investigations have been conducted on the direct and immediate positive effect of hypothermia in cardiac arrest patients.    A prospective clinical trial involving the use mild resuscitative cerebral hypothermia in 27 cardiac arrest patients for at least 24 hours showed that hypothermia treatment is reliable and safe (Zeiner et al., 2000).   The procedure involved cooling of the entire body, including the head, resulting in a lowering of body temperature within 62 minutes after commencement of hypothermia treatment. It is interesting to note that no further complications associated with the cardiac arrest were observed after the application of hypothermia treatment.   In a separate investigation, 55% of cardiac arrest patients treated with hypothermia was observed to show positive responses to the treatment, as well as a decrease in the mortality rate 6 months after hypothermia treatment, suggesting that hypothermia treatment favors the prevents deleterious brain damage and death among cardiac arrest patients (HACASG, 2002). However, there are also certain issues with regards to the application of hypothermia in cardiac arrest patients that remains unclear and doubtful.   One of these includes the inclusion and exclusion criteria that will determine whether a particular patient will benefit from such treatment (Skowronski, 2005).   This comment is mainly based on the need for personalized treatment of patients because of the recent observation of inter-individual variations in the response to specific treatments. Such observation explains subtle yet significant differences that should be addressed during medication, diagnosis and testing of patients for any type of illness.   With regards to cardiac arrest emergency treatments, it is of prime importance that a patient’s unique physiological, genetic, metabolic and cardiac profile be determined first before subjecting him to hypothermic conditions.   However, this profiling may also pose to be a hindrance during emergency treatment because the survival of the cardiac arrest patient mainly depends on the speed of administration of the treatment to the patient. Specific risks have already been identified to be associated with hypothermia treatment of cardiac arrest patients (http://www.sca-aware.org/sca-treatment.php#treatment3).   The exposure of the patient to cold temperatures at a prolonged duration may cause bleeding or hemorrhage in specific organs of the patients because the cold temperature slows down the blot clotting capability of the platelets.   In addition, a cardiac patient treated with hypothermia may suffer from infection because the immune system is also inhibited by prolonged cold temperatures. An alternative treatment that is parallel to hypothermia has been proposed to be as effective as hypothermia, and possibly much safer than the more radical hypothermic exposure of the cardiac patient to low temperature levels. The alternative treatment involves intravenous introduction of ice-cold fluid to the patient using automated cooling equipment (Bernard, 2005).   Such settings provide the healthcare personnel complete control over the temperature of the intravenous fluid, which plays a vital role in the emergency treatment of the cardiac arrest patients. Until sufficient clinical investigatory information has been collected from comprehensive and comparative studies on the risks and benefits of hypothermia treatment on cardiac arrest patients, it is imperative that healthcare personnel be cautious in administering such rapid and radical treatment to cardiac arrest patients. There have been active requests from the medical research field that such investigations will provide a better understanding of the mechanisms and pathophysiological routes that are involved in the exposure of the body, most specifically the brain and the rest of the central nervous system, to cold temperature during those critical non-oxygenated states (Bernard, 2004). References Bernard (2004):   Therapeutic hypothermia after cardiac arrest: Hypothermia is now standard care for some types of cardiac arrest.   Med. J. Austral.  Ã‚   181(9):468-469. Bernard SA (2005):   Hypothermia improves outcome from cardiac arrest.   Crit. Care Resusc.   7:325-327. Hypothermia After Cardiac Arrest Study Group (HACASG) (2002):   Mild therapeutic hypothermia to improve the neurologic outcome after cardiac arrest.   N. Engl. J. Med.   346(8):549-556. Skowronski GA (2005):   Therapeutic hypothermia after cardiac arrest- Not so fast.   Crit. Care Resusc.   7:322-324. Zeiner A, Holzer M, Sterz F, Behringer W, Scho ¨rkhuber W, Mu ¨llner M, Frass M, Siostrzonek P, Ratheiser K, Kaff A and Laggner AN (2000):   Mild resuscitative hypothermia to improve neurological outcome after cardiac arrest: A clinical feasibility trial.   Stroke   31:86-94. http://www.nationmaster.com/encyclopedia/Ventricular-fibrillation      Ã‚  Ã‚  Nation Master- EncyclopediaVentricular fibrillation http://www.nationmaster.com/graph/mor_car_arr-mortality-cardiac-arrest   Ã‚  Ã‚   Mortality Statistics Cardiac arrest by country http://mweb.com/rnweb/article/articleDetail.jsp?id158219 http://www.sca-aware.org/sca-treatment.php#treatment3   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Therapeutic Hypothermia

Saturday, October 26, 2019

The Compiled Sync List of The Wizard of Oz :: The Wizard of Oz Movies Music Films Essays

The Compiled Sync List of The Wizard of Oz 001-Echoes 1) The first indicator that everything is going right is the change from "Speak to Me" to "Breathe" which coincides exactly with the fade-in appearance of the name of producer Mervyn LeRoy *Note: In the prologue the word "Time" (one of the songs on the CD) is written with a capital letter even though it isn't at the start of the sentence. Also you will find the word "Heart" capitalized in the middle of a sentence (a sound particular to "The Dark Side of the Moon"). 2) "Leave, but don't leave me ..." Auntie Em appears to say "... Leave ..." to Dorothy and then Dorothy turns to leave looking a bit down in the mouth. 3) Right after the words "... Look around ..." Dorothy looks around. 4) "... Smiles you'll give and tears you'll cry ..." Two men above (Cowardly Lion and Tin Woodsman) are smiling and the man below (Scarecrow) is crying. This one is sort of not on time but worth the mention. 5) "... All you touch ..." Dorothy touches the man (Cowardly Lion) holding a bucket on his arm. *Note: "All you touch and all you see is all your life will ever be" Dorothy's life will only really be all she touches and all she sees in her Kansas home because Oz exists only in her pretty little head. 6) "... When at last the work is done ..." the man (Scarecrow) hits his finger with the hammer (to the beat of the drum no less) and is done with his work. 7) Right after "... Dig that hole ..." the farm hand (Scarecrow) points to the ground as if telling Dorothy to dig a hole. 8) "... Balanced on the biggest wave ..." Dorothy is balancing herself on the fence. 9) "... Race towards an early grave." is said at the moment just before Dorothy falls off the fence rail. ["... Down in the pig-pen sayin' 'keep on diggin' ..." Lyrics from "Pigs (Three Different Ones)" by Roger Waters on the "Animals" CD] *Note: "... Race towards an early grave ..." Perhaps a reference to Judy Garland's untimely death? *Note: Judy Garland died in 1969, the same year we put a man on the moon ... "I'll see you on the Dark Side of the Moon." 10) Song shifts from "Breathe" to "On the Run" at the same time (actually just slightly before) Dorothy falls off the fence.

Thursday, October 24, 2019

What is Cancer :: essays research papers

What is Cancer The article entitled â€Å"What Is Cancer?† from the American Cancer Society’s web site discussed how cancer forms and effects people in different ways depending on what type of cancer they have. It also mentioned how cancers are treated and ways to prevent cancer.   Ã‚  Ã‚  Ã‚  Ã‚  Cancer forms from the uncontrolled growth of abnormal cells in the body. When we are born we all have normal cells that continually grow until adulthood. We also have abnormal cells that are in our body. As we reach adulthood our normal body cells stop dividing for growth purposes and only divide to replace dead or damaged cells. The abnormal cells in our body continue to divide even into adulthood and form cancerous cells. Most cancers develop into tumors while others flow throughout the body via the body’s bloodstream. An example of this is leukemia.   Ã‚  Ã‚  Ã‚  Ã‚  Not all tumors that are created in the body by the abnormal cells become cancerous however. Some tumors called benign tumors are not cancerous and will not affect the body in as harmful ways as cancerous tumors would. Benign tumors are still dangerous however there size can be harmful to the body by growing in places that they are not needed and putting pressure on other parts of the body.   Ã‚  Ã‚  Ã‚  Ã‚  All types of cancer are different and respond to different types of treatment. Different cancers also have different rates of growth. These different rates of growth are what cause different cancers to be more harmful than others. Cancer is the second leading killer in the United States. Over half of men and one third of women will develop cancer in their lifetimes. Millions of people are now living with cancer because of new treatments that have become available through extensive research.

Wednesday, October 23, 2019

American Government Oversight

The government of the United States involves the concept in political science known as separation of powers. This concept means that the different branches of government share power amongst themselves. Intricately connected with this concept is the system of checks and balances, which provides that all com/relationship-between-the-three-arms-of-government/">branches of government may challenge the exercise of power by the other branch. More accurately, this concept ensures that one branch would not encroach upon the power of another branch since each branch is given the power to make sure that the others remain acting within their bounds.The system of checks and balances was conceptualized by the Framers to ensure that no branch would overstep its boundaries in the exercise of its powers. For Congress, the system of checks and balances is made effective through its power of oversight (USConstitution. net). One example of congressional oversight relates to interceding with agencies on behalf of the interests of their constituents. Through oversight, Congressmen could look into the operations of agencies and determine whether the interests of their constituents are taken into account.The oversight power of Congress likewise involves the authority to monitor, supervise, and review the activities of the executive branch. The exercise of this power allowed Congress to look out for the interests and benefit of the American people. Examples in history include the opposition to the Vietnam War in the 1960s, and the investigation of the Watergate scandal that unearthed anomalies involving partisan gain (Kaiser, 1988).Another example of congressional oversight involves other channels, such as meetings with the staffs of legislative and executive officials. Through these meetings and consultations with the executive department, Congress is able to propose changes and suggest policies to the executive branch (Kaiser, 1988). It is clear that congressional oversight is very useful in ensuring that the other branches of government, such as the executive branch, do not overstep their boundaries.As representatives of the people, Congress occupies a special role in ensuring that the people’s will and interests are protected, and this duty is accomplished through Congress’ power of oversight. References Kaiser, F. M. (1988). Congressional Oversight of the Presidency. Annals of the American Academy of Political and Social Science 499(Congress and the Presidency: Invitation to Struggle), 75-89. USConstitution. net. Constitutional Topic: Checks and Balances. Retrieved March 11, 2008, from http://www. usconstitution. net/consttop_cnb. html

Tuesday, October 22, 2019

Polygraph Testing

Polygraph Testing A polygraph test sometimes known as a ‘lie detector test’ is an examination procedure used to detect lies. This test is done using a machine known as a polygraph. It registers the body’s involuntary responses to an interrogator’s questions. This in turn ascertains the deceptive behavior of the individual being examined (Kozel, Padgett George, 2004).Advertising We will write a custom research paper sample on Polygraph Testing specifically for you for only $16.05 $11/page Learn More Usually, the polygraph test assesses three parts of a human beings system. A forensic Psych physiologist usually analyses several moving lines from a computer, which shows the behavior of the body responses. These lines always differ depending on the emotional reaction of the individual to the questions. Polygraphs are commonly used in criminal investigations, but nowadays government bodies as well as organizations use polygraphs on their potential emplo yees. The first lie detector was invented in 1917 by William M. Marston. In 1923, the struggle to reveal verbal deception through observation on systolic blood pressure was stopped by courts. The D.C court of appeals stated that Marston’s lie detector machine did not give sufficient scientific support. Marston’s invention shed light to the invention of a more advanced polygraph in 1921 by John Augustus Larson. However, this medical student from the University of California got a helping hand from a police officer who was based in Berkeley Police Department in California. Since that time many devices have been made. An example is Berkeley Psychograph which is a blood pressure recorder that was made by C.D Lee later in 1936 and the Darrow Behavior Research photograph developed in 1941. John Reid came up with a device in 1945. It documented any energetic activity. My Opinion The fundamental idea of using the polygraph is to detect lies. This ideology is feasible since whe n someone is cheating, there is always a tendency to become measurably nervous. It has been argued that polygraphs are reliable if well-trained polygraph examiners are used to carry out the procedure. This is because a highly trained polygraph examiner is an expert in both interrogation and technical operation. These qualifications together with experience enable the polygraph examiner to detect the truthfulness of an individual. A recent survey carried in Michigan State, showed that a great number of agencies using polygraphs support its use since it discloses information that cannot be got by any other methods. The survey also shows that background information can be established easily when polygraphs are used to examine individuals and these therefore deters undesirable interviewees. Additionally, the survey also shows that it is a quicker means of selection. Polygraph testing has however been criticized by many people in U.S.A. This makes polygraph testing a controversial matter between the government agencies and the public. Several human rights societies among other institutions argue that polygraph testing can be a source of tremendous anxiety.Advertising Looking for research paper on common law? Let's see if we can help you! Get your first paper with 15% OFF Learn More It is therefore possible individuals hiding nothing may fail the test. Furthermore, polygraph examinations are interrogations that can scare innocent people who end failing them for no apparent reason. This results into denial of justice and even employment for organizations which use this kind of selection method. Polygraph testing is essential in the law enforcement arena; the procedure can help the authorities achieve their goals in handling cases by carrying out productive interrogations. Polygraphs are accurate since subjects who believe that the device is perfect would rather confess than wait for the device to ‘detect the truth’. It is also com mon for people lying to show the same physiological behavior and vice versa. The test may therefore give desired results and help in the smooth running of law enforcement. It is argued that unless someone is a trained and experienced criminal, a polygraph test evaluation may expose him or her. He continues to argue that since an individual undergoes the test twice or less in his life, it is hard for him to lie but instead say the truth. Polygraph tests deliver facts than lies in the course of an interrogation. Provision of useful information is consequently achieved. Bar-Hillel and Ben-Shakhar assert that many people who expect to be tested would prefer saying the truth than to be embarrassed on their dishonesty (p.78). My Recommendations Polygraph testing is known to provide little basis for accuracy and should not be heavily relied on. Other supporting selection methods should be included in examinations. This would in turn yield the required results. Physiological responses analy zed by polygraphs can at times reflect the opposite of the real scenario due to many factors that may be having adverse effects on the subject. For instance, health factors control the human body. If at all an individual is sick, it is possible that there may be an interference with their body’s normal functioning. This is bound to give wrong signals during a test. Polygraphs should not be used in future since physiological responses measured by the tests are never uniquely correlated with deception. Some responses can consciously be controlled and in turn have an effect on the polygraph measures. References Bar-Hillel, M. Ben-Shakhar, G. (1986). The Prior Case against Graphology. In B. Nevo (Ed.), Scientific Aspects of Graphology (pp.76-80).Chicago: Charles C.Thomas Kozel, F.A., Padgett, T.M. George, M.S. (2004). A Replication Study of the Neural Correlates of Deception. Behavioral Neuroscience. London: Prentice Hall.Advertising We will write a custom research pape r sample on Polygraph Testing specifically for you for only $16.05 $11/page Learn More