понедельник, 30 сентября 2019 г.

A Culture of Resistance: The Chipko Movement

Society as a collective entity could easily influenced an individual but in the same manner the society could also be shaped by people. This is exemplified through the idea of cultutral resistance which is a political activity that enables individual to create or change political discourse and eventually political practices (Duncombe, 2002). The Chipko Movement of India is a good example to better understand this.The Chipko Andolan also known as hugged the trees movement is an environmental activist that started in the grassroots level. Its origins could be traced back in March 1973 at Gopeshwar   in the Chamoli district, in Uttar Pradesh, India.A group of citizens hold each other hand in hand to create a human chain and hugged the trees to prevent a sport company from cutting it down. The same incident took place in the village of Reni in the Himalayas during the year 1974.Women coming from this village also protected the trees by hugging them despite the license given by the Gove rnment Department of Forests that enables the contractors to cut them. Ever since the Chipko Movement attracted attention coming from other people in India (Dwivedi, 1996).The Chipko Movement addresses the problem of inequality that is happening in the distribution of natural resources. The usage of commodities like trees creates a conflict in the country of India because of the contradicting demands for it. The marginalized minority utilizes this resource as a means that would support their livelihood. On the other hand, trees are needed in order to address the demands of commerce and industry (Shiva & Bandyopadhyay, 1986).The inequlity in this situation is not only in terms of the unequal distribution of natural resources but also in terms of the power and influence that big corporations have as compared to the marginalized citizens of India. It is something that usual political practices could not solve and sometimes even tolerate as in the case of the 1974 incident in the Reni V illage, which is why the Chipko Movement decided on a new method of addressing the problem.In order to fully comprehend this movement as well as the tactics that it utilized there should first be an understanding of Mahatma Gandhi's ideology when it comes to conflcit as well as the diverse religion of India. Gandhi is famous for leading non-violent forms of struggle that overthrew the colonial rule of the British in India.He was able to combine the idea of â€Å"ahimsa† meaning â€Å"no harm† or â€Å"wanton killing†Ã‚   with social struggle. This non-violent activists deems that the truth will eventually emerged as long as one party is committed in standing for it (Kamieniecki, 1993).Gandhi's â€Å"Satyagraha†or the search for truth was adapted by the Chipko movement through the â€Å"Forest Satyagraha† which means the continuous search for truth in terms of the rights of trees. This movement follow the idea of non-violence in fighting for their c ause that goes as far as including non-human forms (Dwivedi, 1996).Forest Satyagraha does not only answer economic and environemtal problems because it also has its religious aspect. The major religions in India promotes compassion for all life regardless of its contribution to human beings (Kamieniecki, 1993). Its religious basis also comes from the fact that this movement is participated and led by women. Women play a very vital role in the family particularly in the Himalayan area.They are more in touch with the natural environment because they have the task of gathering woods and other agricultural products for their family while their spouses leave them behind to work in urban areas.Himalayan women are also more religious than their male counterparts which is why they believe that green trees are the dwelling place of â€Å"Hari† or the Almigthy Father. Every tree has their own â€Å"Vriksadevata† or tree god and that the goddess of the forests, â€Å"Van Deviâ⠂¬  will assure the safety of their family (Dwivedi, 1996).Mahatma Gandhi strongly believes in the importance of India's various values and cultures. He deems that the problems they are facing could find its solutions in the very ideals that they have. His concept of â€Å"Satyagraha† which was later on used by the Chipko movement as â€Å"Forest Satyagraha† is a clear example of how non-violent form of resistance could work against unequal and cruel foes like large corporations.This method that they have utilized is rooted in the very culture of India which is their strong religious belief that gives importance in valuing all forms of life (Dwivedi, 1996).The tactics that was used by the Chipko Movement tends to reform the issue of inequality in the local and structural level. It is well-known that Hindus practice the caste system wherein its citizens are divided according to particular groups (Perez, 2004).This kind of structural system already paved the way for ine quality to propagate. There are people who enjoy the privileged and powerful position and those who are marginalized. Being the case, inequality in the distribution of natural resources is bound to happen with such kind of system.The Chipko Movement strives to change this very inequality that is embedded within India's structure and it became evident in a more localized level in the issue of logging. This movement started tackling inequality in the issue of the utilization of trees in the grassrootsbut this problem is just an effect of what is really happening in the structural level.Their actions started in giving immediate response in what is happening in the local level but the attention it acquired enabled it to highlight the root cause of the problem in the upper level. It does not only stop within the state institutions of the Indian government but it also reach the international level.Many states are using the ideals of   the Chipko movement as an example on how the pressin g problems in ecology and environmental sustainability could be deal with. (Agarwal, _).Using a non-violent method to addressed the causes that the Chipko Movement is advocating for reflects that they decided to take a different approach in solving problems. It is an approach that   embodies their very culture and ideals.Their understanding of the problem is dependent upon the thinking that its solution would come from these factors that they uphold. This is supported by Gandhi's same belief in the power of India's rich cultural heritage and its capability to solve the dilemma that their country has (Dwivedi, 1996).This social movement greatly believes in non-violence and the preservation of all forms of life. These beliefs influence their understanding of the problem and the path that they chose to addressed it.They saw the importance of trees in their livelihood that is why they protected it through the embraced tree tactic. This non-violent form of resistance symbolizes their u nderstanding that to be able to solve this dilemma compassionate means should be practiced.If they decided to find solution to the problem by using adversarial tendencies then they contradict the very ideal that they are fighting for. It is the Gandhian principles of â€Å"ahimsa† and â€Å"satyagraha† that they based their movement on. They have to uphold these principles in the decisions that they make and in the actions that they take.

воскресенье, 29 сентября 2019 г.

History of bootlegging Essay

1. Background on Bootlegging It has been said that â€Å"at its real level music belongs to everyone†. To claim ownership over music has been the subject of much analysis since music, after all, is available to each individual through our sense of hearing. Maintaining control or possession of â€Å"our† music is not as clear cut as meting out our rights to our land or property. To listen to a song someone else has written, for instance, does not necessarily constitute stealing or trespassing on someone else’s property. The best way to ensure our right and title over our musical creations is to get a copyright over the original piece. Yet it is not uncommon for a listener or a music lover or fan to record a favorite song or a particularly memorable concert attended. People record songs, concerts, and videos and keep such recordings for personal use, or make copies thereof to give to their friends. Songs and videos are also easily downloaded from the Internet. Fans also record different songs and performances, from different albums or concerts, into one CD or online play list to make their own personal collection. The problem is when such recordings are distributed and sold for profit without the artist and the record company’s consent. Generally, copyright violations involving musical creations may be distinguished into three different types : 1) professional counterfeit recordings (unauthorized duplication of sound and art work) 2) professional pirate recordings (unauthorized duplication of the sound, but with original art work, usually sold as â€Å"greatest hits† compilations 3) bootleg recordings (unauthorized recording of live performances) Bootlegging, as it was traditionally defined, involves â€Å"the illegal distribution or production of liquor and other highly taxed goods† In the 1920s, the United States had a Prohibition against alcohol, thus people resorted to bootlegging, or buying and selling an illegal product, from bootleggers. Organized crime consisting of gangs and mobsters in Chicago and New York, such as Al Capone, were deeply involved in bootlegging. In the music industry, music bootlegging involves the taking and trading of unauthorized live recordings of live musical performers — either from concert or studio outtakes. Bootleg music albums are recordings transferred from tape to vinyl or CD. They become a bootleg product when a bootlegger undertakes to create an artifact or when a non-commercial recording is transformed into a commercial product in the form of an LP or a CD. Bootleg recordings are usually done without the artist’s consent ; however, making a recording of a concert is not illegal per se. Although an individual cannot legally record an officially release CD or cassette tape on to a blank tape, he or she may make an unauthorized recording of a concert and keep it for personal use. However, the sale of such a recording is deemed illegal.  The problems with bootlegging is that it prevents the artist and the record company from maintaining quality control over their product , and it prevents them from collecting their royalties to their right to their music. 2. Changes in Copyright Laws Copyright is defined as â€Å"a form of protection provided by the laws of the United States (title 17, U. S. Code) to the authors of ‘original works of authorship’† . The U. S. has passed significant copyright laws to protect an artist’s right to his or her original creations. These creations include not only musical works, but literary, dramatic, artistic and certain intellectual creations. The U. S. Constitution itself provides that â€Å"the Congress shall have power†¦ to promote the progress of science and useful arts, by securing for limited times to authors and inventors the exclusive right to their respective writings and discoveries. † The State thus allows Congress to pass copyright laws to protect an artist’s rights to his or her musical creations. The U. S. Copyright Act was amended in 1976 so that it now covers new technological advancements and extended the term of protection to cover the life of the author plus 70 more years. Copyright laws allow the author, artist, or whoever holds the copyright to a creation to sue those who infringe on their copyrights for damages. The complainant has to prove infringement of copyright by a) proving ownership of the copyright and b) copying by the infringer-defendant. In compliance with its Constitutional mandate of protecting original works of authorship, the Congress has passed several laws concerning music copyright infringement, piracy and bootlegging. Some of the relevant laws will be discussed in this section. The Audio Home Recording Act allows music retailers to sell all analog and digital recording formats. It also gives a consumer the right to use such recordings provided such use is for non-commercial purposes, and in such cases, no copyright infringement lawsuit may be brought against a consumer. The consumer and retailer is also exempt from making royalty payments on digital audio recording devices and media; the burden falls on U. S. manufacturers and importers only who must pay for digital audio devices designed or marketed primarily for making digital audio recordings for private use, whether or not these are incorporated in some other device. These royalty payments are administered and monitored by the U. S. Register of Copyrights and the Librarian of Congress, with the proceeds split between the featured artists and the record company, or between the songwriters and music publishers, depending on the circumstances. Musical artists or musicians thus receive royalties which are based on record sales and airplay during a prescribed period. The U. S. is also a signatory of both the World Intellectual Property Organization Copyright Treaty and the Performances and Phonograms Treaty. In accordance with these international agreements, the U. S.  Congress passed the Digital Millennium Copyright Act which makes it a crime to a crime to circumvent anti-piracy measures built into many of today’s commercial software and even most music CDs. The Act also limits the copyright infringement liability of ISPs for transmitting information over the Internet, but requires that ISPs remove copyright infringement materials found in users’ web sites. Despite legislative acts and proposed bills by well meaning members of the U. S. Congress, and jurisprudence laid down by the U. S. Supreme Court, infringers still find a way of getting around copyright laws by invoking the â€Å"fair use† doctrine. The U.  S. Code provides that the public is entitled to the â€Å"fair use† of copyrighted material. â€Å"Fair use† is â€Å"a privilege to use copyrighted material in a reasonable manner without consent, notwithstanding the copyright monopoly granted to the owner. † A copyrighted original creation may be reproduced for purposes of criticism, news reporting, comment, teaching, scholarship and research. The Code further provides that there are four factors in determining whether there is â€Å"fair use† of a copyrighted material or not : 1) the purpose and character of the use, including whether such use is of commercial nature or is for nonprofit educational purposes ) the nature of the copyrighted work itself 3) the proportion and substantiality of the copyrighted work actually used without authority 4) the potential economic detriment on the value of the work caused by such unauthorized use thereof. What makes it especially difficult to enforce the copyright is that information is so readily available through the Internet. As music is downloaded courtesy of digital technology, consumers are turning to the Internet to get their music rather than going out to music stores to buy the CDs. Bootlegged albums are also easily transmitted and shared through the Internet. Digital technology allows consumer to reproduce identical copies of digital music files, most commonly in compression formats such as MP3s. Such digital advancements not only pave the way for more widespread bootlegging, but for music piracy as well. 3. Advancements in Piracy Technology: File Sharing Piracy, as earlier discussed, is differentiated from bootlegging in that the former involve the unauthorized duplication of the sound, but with original art work. Piracy involves the reproduction and distribution of copies of original recordings. Advancements in digital technology have allowed music piracy to develop at an alarming rate. MP3s enable consumers to compress digitized music into smaller files, while ripping software allows them to copy music from CDs, store these on their hard drives, and then convert these files into compressed formats. Digital file reproduction devices, like CD players, in turn allow consumers to write these files into a CD and in effect create their own albums and compilations of copyrighted creations. Peer-to-peer (P2P) networks have also allowed increased music dissemination, as well as file sharing, as introduced by the infamous Napster software company. P2P networks basically offer users to access the hard drives of other users anywhere in the world by the installation of a piece of software. These networks allow users to search, copy and transfer music files typically through MP3 files. After Napster, subsequent P2P networks version, like KaZaA and Grokstar, which are collectively known as the FastTrack providers, allow users to access multiple individual computers instead of accessing just one single, centralized database of music files. The digital audio workstation (DAW) on the other hand, allows users to indulge in â€Å"sampling† – original music recordings, converted from analog to digital format, which users can import, cut, copy, layer and manipulate to create new musical work. Since samples may be in a band’s entire song, or merely passages from an instrument, in effect it allows not just users but even musicians and DJs to create, layer, expand and redefine music. Recording companies have resorted to copy-protection technology to protect themselves from piracy committed through file sharing and P2P networks. Copy-protected CDs is one answer, but public backlash and concerns about the technology’s effectiveness, have forced recording companies to limit use of such CDs in the U. S. and instead opted to release such CDs abroad in Europe and countries such as Japan. Five major recording companies in the U. S. use copy-protected CDs: BMG Entertainment, Universal Music Group, Warner Music Group, EMI, and Sony. BMG in particular has made us of copy-protection advancements such the MediaMax CD-3 technology from SunnComm Technologies, Inc. located in Phoenix, Arizona. Through MediaMax CD-3, each song is written onto a CD twice. One format is readable by standard CD players while the other format is readable as a Windows media file playable on a computer. The technology allows consumers of BMG records to burn each track only three times per computer. The songs in BMG albums embedded with the MediaMax CD-3 technology may also be emailed to a limited number of people. However, each person in that limited list may only listen to ten times to each song in the album. In other words, songs in such CDs are locked and won’t be played even if they are downloaded from file-sharing networks if it exceeds the allowable number of times a person may listen to the track. Other developments are even more rigid. The CDS-300 developed by Macrovision, located in Santa Clara, California, allows CDs to be burnt and listened to online, but blocks other attempts to make copies or share music online. Recording companies thus are faced with a difficult balancing act. On the one hand, there is the need to respect a consumer’s desire to share, copy and hear songs in different ways. But on the other hand, there is the copyright to take note of and the bottom line – earning revenues through royalties by limiting the number of copies consumers make of copyrighted musical creations.

суббота, 28 сентября 2019 г.

Harlequin Case Analysis Essay

Harlequin Enterprises has been able to capture 80% of the series romance market. Our great existing strategy (see exhibit 1) has allowed us to be the biggest player in the series romance market. Now we face the opportunity to capture a rapidly growing market of single-title women’s fiction novels. I recommend that Harlequin aggressively pursue the single-title market, using its extensive back list collection to reissue novels by best-selling authors. Even though the consistent, well defined product, combined with an optimized supply chain and distribution in the series market has provided valuable margins, the stagnant growth in the series market is insufficient to meet company growth objectives. Operating income is currently projected to grow at 3% for next 5 years (see exhibit 2). With the launch of MIRA, Harlequin can add an incremental $10MM in the next year, and $57MM in the next 5 years. This is 16%-19% incremental profit (see exhibit 3). We will have to focus on the women’s romance fiction segment of the market. At Harlequin, we have cost efficient printing resources, which allow us the flexibility to print single title. We will need to switch from same format printing, to match the need of each individual title. We also have great editor-author relationships. Using the backlist of best-selling authors will save the company $45MM in the next 5 years in author advances (see exhibit 3). Each unit is more profitable without an author advance. (exhibit 3). We will have to abandon our current process of front-list printing only. Coincidently, our editors will need to cultivate existing series authors into single-title authors, who ensure quality content to maintain our reader’s trust. Our editors will have to adapt the editing criteria to the strengths of each individual author. Harlequin will have to rely on single title solicitation, and no longer our standard order procedures. We will utilize our existing wide distribution network, but we will have to reduce our distribution to mass merchandisers while increasing our penetration in bookstores to significantly greater than 55% (exhibit 4). Offering greater distribution margins than our series novels will help us grow our volume, and our distribution partnerships, while still maintaining healthy margins. We will allocate and spend marketing funds to promote each individual book and author, rather than the just the Harlequin brand. We will use our existing large customer base, but promote with MIRA branded covers to build brand identity and loyalty, as we aim to become a strong player in the single-title romance novel market. We will create an order system for the direct to reader channel, and eventually, we will need to implement a system to be able to forecast demand to optimize supply and profitability. If within the first two years, Harlequin does not capture atleast 5% of the unit volume sales from the market using existing back-list collection, we will invest in current best-selling authors. Even after paying the large advances, we will be able to gain an incremental $12MM in profit in the next 5 years (see exhibit 6).

пятница, 27 сентября 2019 г.

Case study Example | Topics and Well Written Essays - 500 words - 23

Case Study Example As is quiet evident from the given case study, before Michelle Rhee took over, either there were no mechanisms in place to measure and evaluate teacher performance or even if they existed, they were skewed in favor of the non performing teachers. Consequently, though 95 percent of the Washington, D.C. School System teachers were evaluated to be excellent, the fact was that the student test scores in the area happened to be one of the lowest in the nation. Besides, no teacher was ever fired for non-performance or lack of credentials. In that sense the achievement of Rhee lies in her initiative to link teacher performance to the on the ground results. The crux of any motivation theory is to link employee performance to output and to put the mechanisms in place, which are aimed at motivating the employees. The central assumption of the equity theory is that employee’s tend to expect a fair and just compensation for the contribution made by them (Caruth & Handlogten 43). Being true to this assumption, the teacher evaluation system contrived by Rhee happened to be just in its intent and spirit. The just credentials of the evaluation system are corroborated by the fact that it was contrived in the light of the compensation agreement agreed upon by the Washington Teachers Union (WTU). So there exists no excuse to consider the teacher evaluation system contrived by Rhee to be unjust, especially because it was initiated after accruing the consent of the associated teachers’ body. Besides, the intent of this evaluation program intended to evaluate the teacher performance and reward the performing teachers and penalize the non performing teachers. Which, arrangement could have been more equitable than this. The equity theory also states that not only the individuals are concerned about their own rewards and what the other colleagues get in comparison; they also expect a fair reward for their performance (Caruth & Handlogten

четверг, 26 сентября 2019 г.

Visionary Leadership and Sustainability Essay Example | Topics and Well Written Essays - 3000 words

Visionary Leadership and Sustainability - Essay Example support of Sergey Brin presented a highly invented machine that organized world wide information in order to make it available and useful for the general public in the entire globe. As a result of which, the prosperity and results of business enhanced to a significant extent that amplified its profitability and brand image as compared to many others (Tehcrunch, 2013). c) According to me, Larry Page is recognized as one of the most popular leader in the entire globe as compared to others due to his ethical and honest qualities. Other than this, Larry Page is extremely crazy about innovativeness and desired to make a different perspective of internet in the entire globe. Due to which, he always desired to recruit creative and talented individual, irrespective of culture and creed so as to enhance the brand value of Google in the entire globe among others. Moreover, another remarkable aspect of Larry Page is that he always tried to communicate and coordinate among other employees of Google. Due to which, each and every person of the organization might easily communicate his requirements as well as suggestions to Larry Page that may be used for future developments. However, due to such type of democratic or participative leadership style, every individual liked and preferred him. Apart from this, I liked him also due to his supportive nature and high thinking power. He used to listen to the suggestions or ideas of the employees very vividly that enhanced his knowledge and skills. And due to his introvert nature, maximum extent of the employees, get motivated towards the assigned tasks and enhanced the brand value of Google among others (Tehcrunch, 2013). Furthermore, Larry Page is highly open-minded as well as unbiased person and offered high attention over intelligence and talent of the individual rather than caste or creed. Due to which, he became successful in enhancing the image and market share of the organization of Google that amplified its revenue and

All Immigrants need better support programs for cultural transition in Essay

All Immigrants need better support programs for cultural transition in the United States - Essay Example Significantly, the opportunity for economic improvement has been one of the most important motivations for immigrants in the United States. However, the immigrants have long been experiencing numerous challenges which turn up several issues, including work, education, and marital relationships. Cultural transition has been one of the most significant processes affecting the immigrants in the United States and this process of cross-cultural transition has given rise to several pertinent researches in the area. Immigrants in the United States belong to different countries of origin and dialects, and every group of immigrants has specific economic resources, educational systems, and class structures which keep the group distinct from other groups in the nation. The diversity in the cultural aspects of every immigrant population brings about numerous challenges with regard to cultural transition and the experience of the immigrants of Hmong culture in the nation illustrates these challen ges. The current system of support programs for the cultural transition in United States prove to be deficient in meeting the numerous challenges raised by the cultural practices and beliefs of various immigrant groups. Therefore, a reflective exploration of the experience of the immigrants in the nation, especially the people of Hmong culture, affirms that all immigrants need better support programs for the cultural transition in United States. Cultural transition has been one of the most dominant processes affecting the immigrants in the United States and the various groups of immigrants experience unmerited incidents which affect the process of cultural transition. Most often, difference in the cultural aspects of the individual cultures come to conflict with one another and the culture of the immigrant population usually suffer great loss. The role of social and cultural support programs to deal with these issues of cultural transition is often emphasized in various

среда, 25 сентября 2019 г.

Construction Contracts in Context Essay Example | Topics and Well Written Essays - 4000 words

Construction Contracts in Context - Essay Example Hoover‘EmUp PLC (‘Hoover’) brought out share of SkyHigh Project Limited (‘SkyHigh’) which was a middle sized contraction company. The initial designs were done by PrimeDesign Partnership (‘PrimeDesign’). Hoover had a lawyer who helped him in his projects. The lawyer usually goes through his paper to be updated with the agreements he is in. During one particular diligence exercise he noticed that Hoover had misstated some of his documents. Being a written contact it might give the opponent a good hand in case of a dispute. The statements brought him into a big problem for design defects were noticed in the building. When Hoover noticed the problem he blamed it to PrimeDesign. The use of different legal issues in construction was the only way they have to meet their claims2. A good construction contract should be able to adhere to the Legal issues related to construction. Different contractual and legal issues were noticed in the case. Legal issue discovered during the investigation of the case3. The first issue was the one that deals with contractors and subcontractors. The issue deals with matters concerning what contractors are held liable during the building process4. It states that contractors and subcontractors are liability in automobile, commercial general and worker compensation/ employers’ liability. Hoover being the employer of PrimeDesign he is protected by this law. He has the right to sue PrimeDesign and claim for compensation. He can use the advantage of this law to ensure that SkyHigh has been compensated completely or partially for the design problem which is expensive. Another issue is in term of risk of the property or the builder. Risk of property of builder section tackled accidents that may lead damage of property or bodily damage. The decisions are made based on different considerations. Location of the project, type of project, cost associated with the project, type of contract, owner’s desires

вторник, 24 сентября 2019 г.

Weaning And Nursering Protocol Essay Example | Topics and Well Written Essays - 750 words

Weaning And Nursering Protocol - Essay Example Semi-moist and liquid feeds, however, are not recommended in the early stages of weaning because they reduce water quality and make it cloudy. In addition, care must be taken to provide only the right amounts of food since underfeeding causes cannibalism, stress and diseases while over-feeding results in left over accumulations, cloudiness, water quality issues, disease outbreaks and stress. Therefore, the amount of food given is dependent on the stage of development, temperature of water, volume of tank, species and flow rate. Since different species feed differently, one has to use their own observations while feeding to decide what amounts the larvae require. Aeration helps keep the food conveniently suspended in the water (Benetti, 2014). Average to extensive aeration and the use of flow through water systems are useful when supplying artificial feeds/ diets. Live feeds and dry feeds (pellets) must be evenly spread out in the tank. Upon completion of weaning, fingerlings are given dry (pellet) and semi-moist foods, as per the recommendations of the manufacturer. In the closing stages of weaning, that is, in the nursery, high quality animal protein (50% proteins, at least) pellets/ dry scrambles are advisable, yet variable with the species. Juveniles and fingerlings in the nursery level are given high protein foods several times daily till they are full. The average size of the scrambles or pellets to feed to the juveniles and fingerlings in the nursery are 0.4mm, 0.8mm, 1.2mm, 1.4mm and 1.8mm. this is the recommended range of sizes, and for the best pick, keen fingerling and juvenile observation is prudent. As the fingerlings mature into juveniles and consequently adults, the frequency of feeding is gradually reduced . Generally, high quality feeds safeguard water quality and provides the nutrient requirements for all fish species. After weaning, fingerlings are graded according to size and shifted to the nursery tanks with constant

понедельник, 23 сентября 2019 г.

EFT4 science task 3 Essay Example | Topics and Well Written Essays - 500 words - 1

EFT4 science task 3 - Essay Example re the best shield against sickness since they are effective in 85-99% of cases since they significantly lessen children’s risk of serious disease especially when given to masses thus providing an unsuitable environment and less opportunity for an illness to spread in such a population. According to CDC recommendations, they provide vaccines for seventeen preventable diseases which cater for children, infants, teenagers and adults. Vaccines work best when administered to children because of the high risk factors. Some products necessitate more than two doses to get the right antibody response for instance tetanus and diphtheria toxoids. The function of polysaccharide vaccines is emphasized when conjugated with a protein carrier by inducing the T lymphocyte which is a dependent immunological role. Live and attenuated virus vaccines stimulate the neutralizing of antibodies and cell mediated immunity resulting in prolonged immunity. Routine vaccination for children is scheduled for administration according to recommended ages and spacing between multi dose antigens doses to offer maximum protection. However the vaccination providers have a flexible option for certain situations such as fallback on schedule or international travel which use an accelerated schedule implemented through shorter spacing than the recommended ones though the end result is the same; protection for the child. A child after the first year of life could have gotten nine injections; pediatric diphtheria and tetanus toxoids and acellular pertussis [DTaP], varicella, hepatitis A, hepatitis B, inactivated poliovirus [IPV], pneumococcal conjugate vaccine [PCV], influenza, Hib and MMR vaccines. The number of injections has no specific limit so the vaccine provider can be flexible to make sure the administration of main doses does not have too many injections per visit. Administration of the hepatitis B and the triple dose of IPV can be given before the first birthday to lessen the number of

воскресенье, 22 сентября 2019 г.

Frankenstein and Blade Runner - Texts in Time Analysis Essay Example for Free

Frankenstein and Blade Runner Texts in Time Analysis Essay Many themes and ideas continue to reoccur among different texts in time. However studying two texts in conjunction allows one to observe how composers manipulate ideas in order to more accurately connect to their context, and reflect the concerns and values of the time. Through the comparative study of Mary Shelley’s 1818 gothic novel Frankenstein or The Modern Prometheus and Ridley Scott’s 1981 neo-noir cyberpunk film Blade Runner (Director’s Cut), one can observe how in these two didactic and prescient tales, ideas of the dangers of unrestrained scientific progress and the Promethean overreaching of man are explored, with differences in values presented reflecting the different contexts between the texts. Mary Shelley’s Frankenstein was created in an era of rapid technological change. By 1818, the Industrial Revolution had deeply influenced the fundamental nature of society, while Enlightenment inspired ideals of logic and autonomy of reason were prominent in society. Her text accordingly reflects this, as seen in the protagonist Victor Frankenstein; â€Å"I am imbued with a fervent longing to penetrate the secrets of nature. † This metaphor alludes to his passionate and desperate urge to uncover the secrets to the creation of life. Shelley however critiques his intrusive scientific pursuit and horrid creation by juxtaposing it with the beauty of nature. This is seen in the bucolic descriptions of nature’s sublime; â€Å"Mighty alps, whose white and shining pyramids and domes towered above all. † Nature calms and dehumanises Victor throughout the text, but Victor pursues science to the extent that nature loses its consoling ability, and thereafter the Arctic becomes a pathetic fallacy to mock Victor’s psychological and mental isolation. This criticism is further emphasised through the epistolary narrative framework, which allows the text to begin in medias res. The first introduction to Victor is him in a state of complete ruin, and so the text is a forewarning of the ramifications of amoral scientific advancement. In a similar manner, Ridley Scott’s Blade Runner was created in a time of rapid technological progress through the 1970s and 80s. The emergence of the computer and communication age meant that the world became more centralised, with a growing concern that technology was destroying the environment. Set in Los Angeles in 2019, the opening establishing shot of the expansive city immediately demonstrates the negative consequences of untamed scientific advancement. The fire belching into the sky, the artificial city lights sparkling under a looming red-grey sky and the haunting synthetic pulses from the Vangelis soundtrack allude to Hades, making the city a vision of hell. The camera then zooms into the reflection of an eye, which depicts the artificiality of the world and introduces dystopian themes of paranoia and surveillance. Hence we can see that Blade Runner is representative of a grim future that Shelley’s scientific hubris warned us of nearly two centuries ago. However there are alterations in the ideas shown to befit the differing contexts of the texts. Mary Shelley argues that an excessive pursuit of science can lead to the ruin of an individual man, seen in Victor Frankenstein. She also argues that nature is larger than man, evident in her highly Romantic descriptions of nature’s sublime. Ridley Scott however argues that man is overpowering nature, owing to the global concerns of pollution and deforestation in the 1980s. Hence Scott implies amoral scientific advancement will lead to the detriment of society as a whole, and not just at an individual level. Unequivocally, both texts explore the idea of the promethean overreaching of man and his tendency to usurp the role of God, through the characters of Victor Frankenstein and Tyrell. The subtitle of Mary Shelley’s novel, The Modern Prometheus, refers to Victor Frankenstein, and his creation of the monster. A new species would bless me as its creator and source† His creation however leads him to transcend the boundaries of man and elevate him into a god-like status, and this leads to Victor’s complete societal and mental isolation, where he loses sight of his responsibilities and the consequences of his actions. Victor compares himself to God, while the monster says to Victor â€Å"I ought to be thy Adam, but I am rather the fallen angel†, referring to himself as Lucifer. This means the text is given added complexity in that there is a duality between both characters, where neither Victor or the monster are innately good or bad, rather they containing capacity for both, as they become two sides of a single entity, forming a doppelganger relationship. Finally, the literary allusion by Victor; â€Å"how could I enter into a festival with this deadly weight hanging round my neck? † is a reference to the albatross in The Rime of the Ancient Mariner, and shows the eternal punishment and guilt Victor faces from outstretching the boundaries of man and playing the role of God. Therefore it is apparent that in her text, Shelley attempts to warn of the dire consequences of man’s promethean overreaching of the role of God. Correspondingly, the idea of man overstepping of the natural order is heavily explored in Blade Runner. The film is the epitome of a dystopian world dominated by commerce. The initial low angle shot of the Tyrell Corporation’s grand ziggurat-like monolith reflects the rampant commercialisation and commodification of the world, while the blue light shining into the sky pertains to the usurpation of God’s role, and the diminishment of nature in modern society. The Tyrell Corporation’s dominance criticises the â€Å"greed is good† attitude of the 1980s, typified through the antagonist Eldon Tyrell; â€Å"Commerce is our goal here at Tyrell, ‘More Human than Human’ is our motto. † His thick glasses symbolise his failure to see the future consequences of his actions, much like Victor, and this adds to the eye motif of the film, where eyes are windows to the soul and measures of humanity – something which Tyrell clearly lacks. Roy Batty, the film’s role-reversed protagonist, is portrayed initially as a Satanic figure; â€Å"I’ve done questionable things†, akin to the monster being labelled â€Å"daemon† and â€Å"devil† in Frankenstein. However Scott makes a biblical allusion when Batty crucifies his own hand, and this relates him to Christ. Thus one can see how in both texts the composers warn of the dangers of usurping the role of god, showing the complexity and duality of man on Earth. Mary Shelley’s romantic values however mean that through the character of Victor, she aims to criticise the overreaching aspect of Enlightenment, warning that those who do will be eternally punished. Ridley Scott however aims to condemn the overcommercialisation and increasing greed in society, using Tyrell as a figure to represent man’s obsession for power, and in such he criticises the society that we live in. In these ways it can be seen how the overreaching of god in both texts is used differently to resonate with different contextual values. Therefore, through a comparative study of both Frankenstein and Blade Runner, we can see how the common issues of rampant scientific and technological progress and the usurpation of the natural order is explored in both texts, however these ideas are varied slightly in order to suit the differing contexts. Frankenstein aims at questioning Enlightenment values, while Blade Runner condemns materialism, unhinged genetic engineering and corporal greed, essentially critiquing society and presenting a dystopian vision of the future.

суббота, 21 сентября 2019 г.

DC Motor Speed Control

DC Motor Speed Control Abstract The point of this paper is to comprehend the attributes of open loop and close loop speed control for a DC engine. It additionally intends to demonstrate the properties of a PID Controller. Introduction Open loop and close loop control are two unique sorts of controlling the speed of the engine we constructed. These two sorts of control each have positive points and negative points, which we will attempt to research all through this paper. Most importantly, an open loop system works regardless of the output of the function. In restriction, a close loop control system react depending on the input and output values. Utilizing an Arduino microcontroller, we will run tests on this motor by changing some variables. This permits us to concentrate data about the responses of the control system. P, D and I remain for: proportional gain, integral gain and derivative gain. Their particular elements show up in the following section. Theory The transfer function of a first order system is given by the equation: :. Knowing that (k/a) the final value in RPM, and that the time constant is   1à ¢Ã‚ Ã¢â‚¬Å¾a. The transfer functions of the system can then be determined. In principle, corresponding, integral and derivative gain cooperate with a specific end goal to keep up the output to a set value. The corresponding gain applies an exertion that is relative to how far the value is from the set esteem. In any case, the nearer the set and value are the less exertion it applies on the system. The basic pick ups part is to try and out the time spent on each side of the set point. Last, the derivative gain controls the overshoot and goes about as a dampener when the value changes violently. Results Open loop test Fig 1: Open loop test 1 Fig 2: Test 2 time series plot Fig 3: Test 3 time series plot Fig 11: Simulink model of open-loop system The realistic information demonstrates a delay of 0.1s and the time taken to achieve 63% of the last esteem is 0.5s for each test. So the time steady is 0.4s for each test. At that point the transfer function of each of these system can be resolved:    ,   , . When rescaled to RPM units, these transfer functions are all equal to: Toward the finish of this section, one noteworthy weakness of open loop control system shows up. The open loop system doesnt take a gander at the output value, so it cant correct itself. Despite the fact that the system works, it depends for the most part on the clients involvement to conform the PID controls to the correct qualities to acquire the best outcomes. The proportionnal gain role is to direct the final value that the system comes to (the higher the gain, the nearer to the set value the systeme will be). Closed loop system test In the test where kp=1 that appeares on figure 4, the set point was 1000 RPM. Not surprisingly for this low estimation of the proportionnal gain, the last value is just around 4000 RPM. So we will increse the Kp to see what it does to the system. At the point when the estimation of kp expands, the exactness of the system get higher. On figure 4 the red bend demonstrates the outcomes for kp=2, the last RPM esteem has expanded to 6000 with an overshoot to 8000. Figure 4 obviously demonstrates that the greater kp is, the nearer the last esteem is from the coveted set point. Expanding the estimation of the proportionnal gain enhances the precision of the close loop system. The system begins to sway unmistakably for a proportionnal pick up estimation of 15, with a time of around 0.5 seconds (reference: figure 4, kp=15). On figure 5, the system seems to stabilize at 1 second and then reaches the set point value of 10000 RPM a around 8 seconds. Lets try to understand what is the relationship between the Kp and the Ki. On figure 6, the system goes into overshoot before backpedaling to the fancied estimation of 10000 RPM. The framework takes roughly 2 seconds to settle to its last value. Figure 7 demonstrates se reaction of thew motor with kp set to 1 and ki set to 10. It is recognizable that for a higher ki value, the reaction (in RPM) is swaying around the chosen value (10000 RPM for this situation), expanding its exactness with each period. On the off chance that ki is expanded to a higher value, the oscillation dont enhance in exactness as observed on figure 8. After around 5 seconds, the Dc motor has balanced out; At this point, the card touches the flywheel (see figure 10). The reaction is prompt, and the system tries to remunerate the loss of RPM has returned to the sought estimation of 10000, which it settles again around 7 seconds after the card touched the framework. This test demonstrates the fundamental favorable position of a close loop system, which is that if the output is changed, the input changes likewise to go back to the initial value. these tests comprehended the parts of every PID control. By tweaking the numbers, it is conceivable to streamline the framework so that the reaction has a negligible overshoot and in addition the speediest settling time conceivable. By abusing the outcomes, unmistakably a shut circle control framework is the best for this circumstance. Figure 12 demonstrates the best outcome acquired in the lab for set estimations of the PID controller As it shows on figure 12, expanding the estimation of the derivative gain keeps the system from overshooting. With this estimation of the proportional gain, the DC motor can settle rapidly (in around 1.5 seconds) around the estimation of 10000 RPM. To further build the exactness of the motor, the integral gain was set to 1.4. This empowers the system to make little oscillation around 10000 RPM without losing any exactness. Planning a PI controller in like manner to this table brought about a system that has great attributes: little overshoot, quickly revised, quick settling time and just a small error on the last estimation of the system.This table is exceptionally helpful with regards to designing the motor. Be that as it may, outlining a PID controller with this table is trickier as the derivative gain affects the way the system carries on. It can dampen the motor excessively, or take a little unsettling influence for a major issue and the system wont be as productive. The key is not to utilize a lot of the derivative. Conclusion In conclusion, the less complex outline of the open loop system makes it simple and modest to make, all things considered. Notwithstanding, the way that open loop system dont adjust to unsettling influences in the output is a noteworthy disadvantage. The adequacy of these system depends on the qualities picked by the user for for proportional, integral and derivative gains. close loop system are vastly improved at keeping up a desired target, for this situation the speed of the engine. By tweaking the estimations of every parameter of a PID controller, it is for all intents to make the system do precisely what it is intended to.However, the three type og gain must be set for each exact system, which makes outlining the close loop system more complex to do. References Document on moodle Open loop systems http://www.electronics-tutorials.ws/systems/open-loop-system.html Understanding D in PID control http://www.controleng.com/search/search-single-display/understanding-derivative-in-pid-control/4ea87c406e.html electrical4u, 2013. Speed Control of DC Motor. [ONLINE] Available at: http://www.electrical4u.com/speed-control-of-dc-motor/. [Accessed 9 February 2017]. Bishop, R.H. and Richard C. (Richard Carl) Dorf (1998) Modern control systems. Available at: https://capitadiscovery.co.uk/greenwich-ac/items/337549?query=Modern+control+systemsresultsUri=items%3Fquery%3DModern%2Bcontrol%2Bsystems (Accessed: 17 February 2017).

пятница, 20 сентября 2019 г.

The molecular gastronomy

The molecular gastronomy What is molecular gastronomy? Who are its main proponents? Is it simply a fad or new culinary movement The molecular gastronomy term appeared in 1988 presented by a scientist Hungarian physicist Professor Nicholas Kurti and French physical chemist Hervà © This. Molecular gastronomy embraces science about food. It is a scientific investigation on food with new technological equipment and use of natural gums and hydrocolloids. The chefs use modern thickeners, sugar substitutes, enzymes, liquid nitrogen; cooking methods such as sous vide, gastrovac (a vacuum chamber), dehydration; a hold-o-mat (an accurate low-temperature oven) and cryogenics; tools as centrifuges, desiccators. There is no general definition what molecular gastronomy means. Lets have a look at few definitions: The application of scientific principles to the understanding and improvement of domestic and gastronomic food preparation. (Peter Barham) The art and science of choosing, preparing and eating good food. (Thorvald Pedersen) The scientific study of deliciousness. (Harold McGee) Herve This stated that the term ‘molecular gastronomy’ is misinterpreted and misused by media. The top three chefs by the British magazine Restaurant: Ferran Adria from El Bulli in Rosas; Spain, Heston Blumenthal from the Fat Duck in Bray, UK; and Pierre Gagnaire from restaurant in Paris, France, are usually associated with molecular gastronomy. Especially Ferran Adria is considered a father of it. However, these chefs are not very keen on this term and they made a general statement: â€Å"We embrace innovation: new ingredients, appliances, information, techniques and ideas; whatever can make a real contribution to our cooking. But we do not pursue novelty for its own sake. It is, after all, just cooking.† (Heston Blumenthal, 2006). They think that molecular gastronomy is a new approach to cooking. And Heston Blumenthal is concerned that â€Å"the danger is that technology overtakes the value of the dish†. He worried that ‘someones going to do something really stupid and then everyone will point’ to him and say that its all his fault. A science about food helps to understand how to cook healthy and nutritious food, how to make it more attractive. The cooking tools remained the same through the many centuries but educational programmes cannot rely on traditional recipes because cooking products, ingredients and methods changed over time. If cooking would be explored scientifically, the educational health programmes would benefit from it. The scientific exploration of cooking helps chefs to create a new dishes and inventions. All sciences: chemistry, physics, biology, history and sociology are important in cooking. To surprise and delight his customers with exciting, tasty and healthy food is the main objective for all chefs. According to Herve This (2006), ‘a dish can be cooked perfectly, but if it is not presented in an appealing way, all the art and science will mean little to the customer or guest’. The science about food could help to feed the worlds population creating and developing genetically modified food. Nevertheless, some chefs think that molecular gastronomy is ridiculous. Catalan chef, Santi Santamarà ­a, thinks that those using chemicals to experiment with food are just â€Å"playing with food. Jun Tanaka, a British Japanese chef, thinks molecular gastronomy has acquired a poor reputation. To do it properly, you have to understand the science behind the food.† For example, Ferran Adria has been attacked by critics who claim his food is pretentious, elitist and even poisonous in its use of colourants, gelling agents and emulsifiers. Nevertheless, this form of cookery is very expensive, demands high quality ingredients and intensive manpower. The diners raise ethical questions about how the food is produced. Many chefs think that molecular gastronomy term will die in future or will be changed into avant garde cuisine as it is only a fancy name and doesnt describe their cooking. Chefs cook and do not analyse molecules or their movement. Some dishes that are creative, push boundaries of texture, or out-of-the ordinary get the label of molecular gastronomy. For example, fake caviar made from sodium alginate and calcium, burning sherbets, spaghetti made from vegetables. It is a question of time when molecular gastronomy term will disappear. Many chefs think that molecular gastronomy is just a fancy name which was created to attract investors and it doesnt describe their cooking. Chefs cook and dont analyse molecules and their movement. ‘Molecular cuisine’ does not exist, the term means nothing. I have been explaining this for the past five years but the media continues to insist, Adria said in the interview. Ferran Adria is going to close his ElBulli restaurant next year and open a non-profit foundation from 2014. The private foundation will grant between 20 -25 scholarships annually for chefs and other industry professionals who will be interested in food science or ‘contemporary cuisine’. Is it ethical to experiment with food using chemicals ingredients having in mind that the poorest countries suffer from malnutrition? Do chefs need food science knowledge about food if their want to be excellent in their cooking? Bibliography AFP (2010) Worlds top restaurant to become a foundation [online] Available at: http://www.google.com/hostednews/afp/article/ALeqM5h-DCnRuKjNnpEejrHh6Dicn9L10w Accessed on 22/02/2010 Arnold, D. (2009) Molecular Gastronomy is just a long four letter word [online] Available at: http://cookingissues.wordpress.com/2009/06/01/molecular-gastronomy-is-just-a-long-four-letter-word/ Accessed at 21/02/2010 Callaway, E. (2009) Science is vital ingredient at worlds best restaurant [online] Available at: http://www.newscientist.com/article/dn16811-why-science-is-elbullis-vital-ingredient.html?full=true# Accessed on 22/02/2010 Caterer and hotelkeeper (2010) Molecular gastronomy and beyond [online] Available at: http://www.caterersearch.com/Articles/2010/02/12/332183/molecular-gastronomy-and-beyond.html Accessed on 16/02/2010 Cousins, J. OGorman, K. Stierand, M (2009) Molecular gastronomy: cuisine innovation or modern day alchemy? [online] Available at: http://www.emeraldinsight.com/Insight/viewPDF.jsp?contentType=ArticleFilename=html/Output/Published/EmeraldFullTextArticle/Pdf/ijchm-feb-2009-0010_rtc_cl_final.pdf Accessed on 24/02/2010 Edgecumbe, L. (2010) Turning point: El Bullis closure not the end of molecular gastronomy [online] Available at: http://www.thenational.ae/apps/pbcs.dll/article?AID=/20100131/LIFE/701309986/1196 Accessed on 16/02/2010 Espinoza, J, (2010) The state of molecular Gastronomy [online] Available at: http://online.wsj.com/article/SB126532946414240915.html?mod=WSJ_World_MIDDLENews Accessed on 16/02/2010 Herve This (2006) Food for tomorrow? How the scientific discipline of molecular gastronomy could change the way we eat [online] Available at: http://www.nature.com/embor/journal/v7/n11/full/7400850.html Accessed on 16/02/2010 Highfield, R. (2009) An adventure in molecular gastronomy [online] Available at: http://www.newscientist.com/blogs/shortsharpscience/2009/03/an-adventure-into-molecular-ga.html Accessed on 22/02/2010 Pierce, J.(2008) Food careers, glorious food careers [online] Available at: http://www.newscientist.com/article/mg19826582.000-food-glorious-food.html Accessed on 22/02/2010 The Observer (2010) ‘Molecular Gastronomy is dead’. Heston speaks out [online] Available at: http://observer.guardian.co.uk/foodmonthly/futureoffood/story/0,,1969722,00.html Accessed on 16/02/2010

четверг, 19 сентября 2019 г.

Women Essay -- essays papers

Women There are several ways one can look at the status of women in any society. During the last decade at least three approaches, not necessarily mutually exclusive, were discernible. One was to examine the common demographic indicators that give an overall picture of women's relative standing vis-Ã  -vis men. According to the 1981 census, the se ratio stood at 933 females per 1000 males. The literacy rate was 46.89 per cent for males and 24.82 per cent for females. The life expectancy at birth for females was 50 years and for males it was 50.9 years. The average age at marriage for females was 18.32 years and for males it was 23.27 years. The female work participation rate was 13.99 percent and the male work participation rate was 51.62 percent. Figures regarding economic participation rate for women have very little meaning as the definition of a worker has changed from one census to other. (Rehana Ghadially 1988 p.5) As a study by Australian demographer John C. Caldwell powerfull y demonstrates, for both men and women in Ibo traditional society many children have been the surest and stronger source of prestige. In the Ibo society, remaining unmarried is an extreme social divergence. It was considered central to man's nature to beget, and women's to conceive and bear, children. For women, marriage traditionally brought a variety of economic responsibilities and often only one source of both honor and security: their children. According to the Ibo tradition the man had to pay the family of the bride a bride price to secure her marriage. The payment was given in exchange for the economic value of woman to her husband in her labor and her children. Hence, for the husband and wife marriage was as much as anything else an economic compact. (James L. Newman, 1995, p.122) Customs governing division of labor, rights to land and to children varied widely. However, while a woman was married her husband generally held her labor and its fruits firmly within its grasp. In addition, the brides usually went to live with her husband's kin, and she was dependent on this group in which she was a virtual outsider. (Jennifer Seymour Whitaker, 1990, p. 99) Once involved with her new household, an Ibo woman often lived a life quite separate economically from that of her husband, in which the basic unit was herself and her children. She was usually expected to cook... ...king the money to pay tax and to buy useful things as farming tools, wives and sisters were left with more work than before: in gardens, in the fields, in the home. Through all the long social crisis of the Great Depression and the Second World War, women had to bear the heaviest burdens of poverty and oppersion. These burdens, for example, are depicted in Emecheta's Joys of Motherhood. Gross inequalities between men and women have generally prevailed. However, some progress has been made against them, and continues to be made. Girls and young women found new educational opportunities, and adult women have also joined in the drive for education, attending literacy classes and various forms of vocational training, while a wider range of jobs has become available for women in towns. Beyond this, women, too, have begun to join to gether in self defence so as to claim, and sometimes, get a better status in society. Several African countries, by the 1980's, had vigorous organizations for the advancement of women, staffed and run by women, forming their own programs for the benefit of women. None of this had been possible during colonial times. ( Basil Davidson, 1994, p.186-191)

среда, 18 сентября 2019 г.

The Millennium Bug :: Essays Papers

The Millennium Bug The millennial sun will first rise over human civilization in the independent republic of Kirbati, a group of thirty low lying coral islands in the Pacific Ocean. Kirbati straddles the equator and the International Dateline halfway between Hawaii and Australia. â€Å"For those who live in a world that relies on satellites, air, rail and ground transportation, manufacturing plants, electricity, heat, telephone, or TV, when the calendar clicks ’99 to ’00, we will experience a true millennial shift (Peterson).† As the sun moves westward on January 1, 2000 and the date shifts silently within millions of computerized systems, we will begin to experience our computer dependent world in a new way. At the stroke of midnight, the new millennium heralds the greatest challenge to modern society that we have yet to face as a planetary community. Whether we experience this as chaos or social transformation will be influenced by what we do immediately. What is theY2K (Year 2000) problem? When computer systems were built in the 1960’s and 1970’s computer hardware was too expensive. To reduce costs, programmers looked for ways to reduce data storage requirements. It was common for year to be stored in databases in two digit fields rather than four digits. Why is this a problem now? The systems built during this period were not very user friendly, but the computers were most critical to business operations. Because these systems of the 1960’s and 1970’s were not designed to run in multiple centuries, most will either produce incorrect information or simply fail at the end of the century. It may not sound like much effort to fix these machines, but in fact, it involves a great deal of time and expense. The Gartner Group, a respected information technology researcher, estimates that it will cost as much as $600 billion worldwide. If the problem is not addressed in time, the consequences could be catastrophic. There is currently widespread awareness that Y2K involves more than the failure of an individual’s personal computer, or an incorrect date in a spreadsheet. â€Å"It is now widely understood that Y2K could affect the lives of individuals, but exactly in what manner is unknown (Associated P 1).† Today computers are used to operate most mechanical equipment that affects every aspect of our lives.

вторник, 17 сентября 2019 г.

The Aeneid and the Glory of Rome

Between 43 and 32 BC Rome was split up through the second triumvirate upon the death of Caesar. The triumvirate was a way to split the military and political power because the senate feared that they would once again fall under a dictatorship, which is the ultimate reason Julius Caesar was murdered. Civil war broke out in Rome between the Octavian and Mark Antony, but Antony was defeated in 31 BC in the battle at Actium (Joe). Octavian, later renaming himself Augustus, was the emperor in Rome, a city with a new beginning. With his new power Augustus reorganized the military and political power. He also began to design a program to create buildings like those in Athens (Joe). Perhaps his most notable achievement was commissioning Virgil to write, The Aeneid. Virgil, born October 19 in 70 BC, was and still is regarded as the best poet in Rome (â€Å"Virgil†). As a citizen in Rome Virgil felt a sense of relief when the civil war had ended and like the rest of Rome was extremely grateful to Augustus for making this possible. Augustus wanted to return Rome to their previous traditions and remind the republic of their moral values that were once highly regarded. These values included bravery, family devotion, duty, and responsibility. Virgil wanted to model his epic poem after those that were so famous in Greek literature, The Iliad and The Odyssey and also present Aeneas as the ideal Roman citizen (â€Å"Virgil†). In his epic poem Virgil tells the story of Aeneas and his journey from Troy to Italy, where he was destined to found Rome (Sparknote Editors). The glorification of Rome is shown throughout the story of Aeneas. Virgil begins his story introducing Aeneas and exemplifying the moral value of duty when he says, â€Å"I sing of warfare and a man at war. From the sea-coast of Troy in early days He came to Italy by destiny, To our Lavinian western shore, A fugitive, this captain, buffeted Till he could found a city and bring home His gods to Laetium, land of the Latin race, The Alban lords, and the high walls of Rome. Tell me the causes now, O Muse, how galled†¦ To undergo so many perilous days and enter on so many trials. Can anger black as this prey on the minds of heaven (Virgil 930)? † These lines discuss his journey that is his destiny. Virgil’s usage of the phrases â€Å"bring home† and â€Å"his gods† are representative of Aeneas’ duty and responsibility to Rome and the Roman Gods. â€Å"To undergo so many perilous days and enter on so many trials,† shows how Aeneus will make this journey no matter how hard it may be. Another moral displayed in The Aeneid is family devotion and duty. In book two Virgil describes Aeneas’s departure from Troy with his father on his back, â€Å"Did you suppose, my father, That I could tear myself away and leave you? Unthinkable; how could a father say it? Now if it pleases the powers about that nothing. Stand of this great city; if your heart Is set on adding your own death and ours To that of Troy, the door’s wide open for it. † This quote shows how dutiful Aeneas is to his father Anchises because he would not leave his father and would do anything to get him to safety. An example that is a little more extreme in promoting the glory of Rome comes in book IV when Virgil writes, â€Å"Roman, remember by your strength to rule Earth’s peoples—for your arts are to be these: To pacify, to impose the rule of law, To spare the conquered, battle down the proud† (Virgil ). This is from the speech that Anchises gives Aeneas and Virgil uses this as a way to voice the values that he thinks Rome should stand on. The speech can be labeled as propaganda and is one of the first clear examples of propaganda in the epic poem. Another clear example of propaganda comes in Book IIV when Vulcan makes the shield of Aeneas. On this shield is a scene of the Battle at Actium and Augustus is depicted conquering Cleopatra. This leaves the impression on readers that Augustus was the clear victor in the battle and his ideals and rule shall be the one that Rome follows. To understand if The Aeneid is written as propaganda you first need to recognize what propaganda is. As listed in the Merriam-Webster dictionary propaganda is, â€Å"ideas, facts, or allegations spread deliberately to further one's cause or to damage an opposing cause. † Following this definition the author of this paper believes that The Aeneid is propaganda. The first reason this epic poem is propaganda is because Augustus wanted to tell the story, so he appointed Virgil to write the story and set the standards for the style it was to be written in. The only line that is unclear is who is actually telling the story. It is never mentioned in history whether Augustus told Virgil what to say or if these are the ideals and opinions of Virgil himself. The example given about the depiction of the Battle of Actium on Aeneas’ shield directly follows the definition of propaganda because it is showing the battle which is fact, but skews it to be in the favor of Augustus. It also helps to damage the opposing cause of the Triumvirate and helps to unify Rome. This story is also propaganda because of the traits seen in Aeneas. Aeneas displays all of the qualities that Augustus and the Roman people believe Romans should have. These qualities include the moral values of responsibility, duty, family devotion, and bravery. Augustus was extremely smart in his appointing Virgil to write the epic poem The Aeneid. It set out exactly what he intended it to do, which was to follow the Greek format of The Odyssey to give Romans their own story. It glorified Rome and was propaganda in the ideals and facts that were spread to further Rome’s cause.

понедельник, 16 сентября 2019 г.

L’oreal Tahiland Essay

L’Oreal is a beauty and cosmetic global company and is vastly spread company all over the world. The company is large sized as it is a Multi-National Company (MNC).L’Oreal offered a number of cosmetic products and beauty services through its fourteen brands they had in 2000, segmented on the basis of price and target markets. Some of the brands were Biotherm which exclusively offered skin care products Kerastase offered only hair care products PCI offered only fragrances and ancillary products Helena Rubinstein & Lancà ´me offered skin care as well as make-up products L’Oreal Paris covered hair colours, skin care, make-up and hair care products. L’Oreal Professional offered services such as hair colouring and hair care treatment Maybelline was exclusively used for make-up products Garnier only dealt with hair colours. L’Oreal offered their expertise in the service of women and men worldwide,  meeting the diversity of their beauty desires with a number of brands which targeted different markets accordingly. Biotherm, PCI, Lancà ´me covered the very high end market, L’Oreal Paris and L’Oreal Professional covered the high end and Maybelline and Garnier covered mostly mass market. L’Oreal Thailand had been performing poor after Asian crisis and was facing a decline in market share, low sales and profitability. Chris Martins, was appointed as a Managing Director in order to help increase the profitably, sales and market share of L’Oreal in Thailand. L’Oreal Thailand had two different local agents which were Slampar and Thailor. Slampar was the oldest one which had a joint venture with a local conglomerate. Due to the high import duties on luxury products Slampar manufactured some Lancà ´me products locally and imported the rest of the line. ANALYSIS CURRENT SITUATION Chris Martins, the new managing director was appointed to create a truly ‘L’Orealized’ company which upholds the long term values and deliver healthy profitable growth. The Asian crisis had negatively affected the market share, sales and profitability of L’Oreal Thailand. Thailand with a population of 63 million had the beauty market of Bt 26.6 billion. Thailand had faced a retail revolution as foreign retailers had entered the market and dominated all sectors. This had increased the level of competition and professionalism for L’Oreal Thailand as well as local companies. L’Oreal had two entities in Thailand, Siampar and Thailor which were later merged to form a single multi-division entity L’Oreal Thailand Ltd. But even after the merger the two companies did not talk to each other and had odds with each other. They also lacked media support due to which some of their brands not even known in the market. The current goal of the company is to solve their issues and further professionalize and stimulate their teams so as to survive in the Thai market. Internal Environment Strengths L’Oreal’s two major brands L’Oreal Professional and Kerasotes are market leaders and had an excellent image among top professional salons. Chris  Martin, who is a well experienced person in the L’Oreal industry, has been well utilized by the company in Thailand during the Asian crisis. From this we get to know that those who work sincerely with complete dedication & talent are given a chance to make use of it. The new managing directorr knows the seriousness of the issues faced by the company and is ready to implement changes in the organisation. The new MD is willing to work on the issue as a team rather than a self-centered approach. For a company’s success, working as a team will overcome any barriers. The company is able to identify the type of consumer’s whereby they can improve the quality of their business by concentrating on the type of consumers. L’Oreal in Thailand operated three divisions-luxury divisions, consumer division, professional division . This decentralized approach to handle respective responsibilities is a good characteristic whereby these three divisions can analyze their own areas and find the key areas to work on. Weaknesses L’Oreal Thailand is facing high turnover and is losing staff as the staff doesn’t see any future of the company. The staffs are just considered to be mechanical employees. The company is not considered about their well-being. Thus experienced employees are lost, young people are to be hired that lack in maturity and motivation. They are not able to catch up with the budget and are facing financial problems due to limited sales. The working environment in the organistaton is not inspiring and motivating for the employees as well as the reward system is out of touch with the market. They lack media support as they do not have enough funds to advertise their brands.Thus there was no clear positioning of the brand in the minds of Thai consumers. The organisation is much leaner and less bureaucratic than the international competitors.This company did not have a good tie up with the Thai government that were more protective about the local companies. A company can thrive only in a well-coordinated and cooperative environment. Martin noticed that there was bitter rivalry among most of the retail sectors. The business was restricted to beauty products only. The company had to think out of the box in order to compete with the counter brands L’Oreal, Paris management turns out to be self-oriented and not concerned about the well-being of the organization. They are not willing to spend beyond the assigned budget. Turnover is highest in the support functions as there is no HR Director at present. This is solely due to the narrow hiring criteria. External Environment Opportunities L’Oreal Thailand has the opportunity to come up in the market as it has a number of good quality brands which lack awareness among consumers due to less advertising They could use direct sales for make-up and skin care products instead of retail sales as this would help them to have direct interaction with their customers and know about their needs. L’Oreal can make specialised products specifically for Asian women so as to target the women’s in the Thai market and increase sales. L’Oreal can expand their business to non-beauty products also to increase their bar of business in comparison to the other leading brands. Beauty products can also be focused on men apart from women, thereby increasing a chance of rise in market. Online marketing should be put to best use to ease the customer needs and provide a niche solution in this technology driven generation. Threats L’Oreal Thailand has a lot of intensive competition in the beauty market due to the entrance of many strong foreign companies. One of the major threats would be the government regulations which could turn out to be deadly to shut down the business as the government tends to be more protective about their local companies. When similar products are introduced in market by different companies, consumers tend to choose the product with minimal price to satisfy their needs. The involvement of local companies in marketing of cosmetics can be a threat to the mass-cosmetic marketing. STRATERGIC CHOICE Methods of Pursuing Strategy External Environment Analysis: Analysing & Studying the current market situation : – Current competitors in the market (Existing companies and new foreign companies) – Finding out the Current Trends in the market – The Current Pays based on the market condition – Identifying the customer needs, what is being sold in the market and the products having high demand in the market. Internal Environment Analysis Analysing the Internal Environment: – Improving the working Environment of the employees i.e. creating a positive office ambience in which the employees feel enlightened to work – Providing deserving remuneration for the employees based on their expertise – Coordination within departments – Meeting the Working Capital Requirements – JUST IN TIME strategy can be applied for the production process – The HR Manager should be broad minded and should recruit new staffs and assign their position in the organisation based on their area of expertise and only skilled workers should be selected. – Motivation of the employees by the Top Management. FOUNDATIONS FOR COMPETITIVE STRATEGY (Marketing Strategy) Promoting their products with the help of media Specifically advertisements in televisions through which a large number of people can be reached over a vast geographical area. Various Sales Promotion methods can be used: – Price Reduction(Discount) Quantity gift, Providing free samples, Product combinations, Sampling, Personal selling. – Promoting products based on the customer needs (selected products having demand in the current market and excluding other products that are least preferred by the customers) STRATERGIC GAP External Environment As there were multiple foreign retailers and industries making their way in Thailand, the market share by L’Oreal was slowly and steadily declining by the entry of similar products in market. In order to increase the market share and revenue for the company, the managers should: Study about the  competitor’s strategy for sales and try to study the consumption of their products by different age groups. This can help them gain an additional advantage over other competitors. Internal Environment 1. L’Oreal has different departments but there was very little or no communication between the departments. So there is a need to improve the inter-department communication so the information can be reached throughout all the organization and they can work efficiently. This can be done by: a) Team Building activities for the employees b) Holding events like dinner or party so the employees can know each other. 2. The organization also faced the problem of the employees leaving their job. The main point here is that the employees didn’t have a satisfying work environment and adding to that the un-satisfying wages. This problem can be solved by the following; a) They should offer employees some incentives or bonus for extra time, extra paid leaves in case of better performance. 3. The company also faced the problem of slow generating revenue. This was happening due to various factors. a) They were selling their products only through 2 types of retail outlets. This was not helping them to make the products in everyone’s reach. b)The company was issuing invoices to the retailers but receiving the payments only when the products were sold. These issues can be solved by: †¢ Selling the products through more retail stores which help increase the sales. †¢ Collect the payments immediately while distributing the products to the retailers. Marketing Strategy The problem in marketing department was that it didn’t have the sufficient funds for promoting more about their products. The solution for this problem is that: †¢ Reduce their operating expenditure by introducing JUST IN TIME strategy. This will reduce the cost for storing the raw materials and as a result, the company can have a better margin over each product they sell. IMPLEMENTATION PLAN Development of alternative strategies enables to select the most apt strategy through proper evaluation of the success rate of each strategy. To make the selection of strategic process more effective, team members should have a clear understanding about the strategic goals thereby reducing uncertainties in decision making. Implementation of the pricing strategy, customer service and product development will definitely improve the firm’s performance. For the successful implementation of strategy there should be integration among the strategy implementation team and functionality between the various departments within the organization. If the corporate culture within the internal environment copes up with the rapid changes of external environment, the performance of the organization increases. Quality of communications plays a major role in the selection of strategy process. High quality communications within the organization can improve the firm’s market performance. Concerning the distribution of products, organisational and tactical planning needs to be done by selling of products through multiple retail stores in attractive ways by: improving the ambience introducing new products through a trial including beneficial offers or discount rates to stay competitive introducing raffle draws to allure customers JUST IN TIME strategy will reduce the storage cost of raw materials and as a result, the company can have a better margin over each product they sell. It is important for an organization to be well aware of the software potentials to improve the organizations efficiency. Employee empowerment in an organization can be done by: providing necessary skills to the employees providing them authority to take up right decisions required for their job providing adequate information and resources to do their job rewarding the employees for their hard work building confidence in them Human resource management can improve the organizational performance by: Introduction of leadership training programs and enhancing the skills and capabilities of the employees mentoring by the senior employees to give deep insight to the kind of work they are doing promoting positive attitudes and increasing motivation and job satisfaction increasing budget scales to allow experimentation within the company in order to take risks to meet the rapid changes of the external environment Allotting responsibilities to the employees so that they can make full use of their capabilities. These are the ways to improve the relationship of the employees within the company, thus producing highly committed employees in the development of the company. CONCLUSIONS AND RECOMMENDATIONS In conclusion, L’Oreal is still the market leader in the cosmetic industry of Thailand because it is providing quality products to its customers. They need to pay more attention to the relationships within the organization and between Tailor and Siampar as this will help them achieve their goals in the future. . Last but not least, well skills of managing conflicts, politics, controlling of power and the structured decision-making approaches within the organization structure and culture will assist L’Oreal Thailand to tackle with the challenges and come with a positive financial performance in order to remain the leader of cosmetics industry in Thailand. We would like to recommend the following to L’Oreal Thailand, firstly that each department should have a different decision making processes. Secondly the Managers should and need to learn from their mistakes as this will help them gain new information from their past failures. Thirdly they need to avoid the conflicts within the organization, the company should implement matrix organization to run the organization by listening more different ideas and respect the voice of colleagues, so the problem solving can be more flexible and objective. Next the company should find out the current trends in the market and try to differentiate their product in order to face competitions. Finally the managers need to motivate the employees if they want the best from all of them.

воскресенье, 15 сентября 2019 г.

Do new dependency theories overcome the weaknesses of classical dependency theories?

IntroductionOver the century’s, economic development theorist have put forward various models for explaining the â€Å"underdeveloped-ness† of countries in the Third World. However, with sociological theory comes criticisms and despite lasting a great deal of time in the framework of the international sphere, classical dependency has been subjected to a barrage of criticism on theoretical, empirical, methodological, and stylistic grounds. In this essay, it is my aim to analyse the criticism put forwards while simultaneously determining whether or not the modification by new dependency theorists have overcome these flaws.Before doing so we must firstly acquaint ourselves with the origins of the dependency theory, first formulated in the late 1950s under the guidance of the Director of the United Nations Economic Commission for Latin America, Raul Prebisch. The second part of this essay will provide an analytic account of Paul Baran and Andre Gunder Frank’s classic al studies of dependency theory, looking at their general perspectives and adaptation to Marxism.Once this has been achieve, the third and final part of this essay aims to draw out the criticism that have been put forward on classical dependency studies while looking at new dependency theorist; Fernando Henrique Cardoso, Stephan M. Haggard and Thomas B. Gold perspectives. This will allow me to conclude how sophisticated new dependency studies are in overcoming the flaws of the classical dependency studies. Origins of Dependency Theories Given the many interpretations given to dependency, how can one capture the concept of dependency in a concise manner?Dos Santos, defines it as â€Å"a historical condition that shapes a certain structure of the world economy such that it favours some countries to the detriment of others, and limits the development possibilities of the subordinate economies†. (SO, A, Y. 1990: 99) Whereas liberals (mainstream economists) define underdevelopment as a condition in which countries find themselves in, depedentistas see it as a process in which less developed nations are trapped because of the relationship between the developed and underdeveloped countries in the world economy. (SANCHEZ, O.  2003)However, it can be agreed that dependency theory is not a socioeconomic relation that just â€Å"occurs†, it is developed historically through capitalism’s power-relations between the first world and the third world. In order to understand dependency theory, we first need to place the model in historical context by examining its origins. Emerging in the late 1940’s against the development theory of modernization which examined development from the point of view of the United States and other Western Countries, The Dependency Theory took the approach of viewing development from a Third World perspective.According to Blomsorm and Hettne, the dependency theory represents the â€Å"voices from the periphery†. (Blomsorm, M, Hettne, B. 1984) Dependency theory arose out of central and south America in the 1960s and 1970s, but was part of a larger movement that was asking a lot of questions about international relations at the time. One of those questions was â€Å"why are so many countries not developing? † The traditional answer to this question was that these countries are not perusing the right economic policies or the governments are authoritarian or corrupt.However, dependency theorists wanted to find out if that was all there was to it, which lead them to argue that countries were not developing around the world due to international division of labour, class distinction and global capitalism. The diagram above (Wikimedia commons, 2008) is a clear example of what dependency theorist meant when they argue that there are a number of different kinds of states in the world which all form a different funtion in the world’s economy. First you have the core states are the most richest and powerful (e.g Europe and North America).These states dominate in terms of industry and technology and as a result the semi-periphey and periphery states (e. g Latin America and South Africa), who are characterised by resource extraction economy, argiculture production and providing cheap labour, serve the economic intrest of the richest countires. Dependency theory became popular as a criticism of modernization theory (also known as development theory) which seemed to be failing due to the continued widespread poverty of large parts of the world.This may be because modernisation theory only offers an â€Å"internal† explanation of Third world development. For example, it assumes that there is something wrong inside Third world countries- such as traditional culture, overpopulation, little investment, or lack of achievement motivation- and this is why Third world countries are backward and stagnant. (So, A, Y. 1990: 92) The theory believes in order for third world countries to reach modernity they need to look up to western countries as mentors and follow western paths of development.However, dependency theorists argue that this is impossible to do so because of colonialism. â€Å"The colonial experience has totally restructured Third world countries and has drastically altered their paths of development† (So, A, Y. 1990. :96) Looking back at liberal reformer Prebisch and the ECLA strategy of protectionism and industrialization, he believed, in order to put an end to all problems of development, poorer countries should embark on programs of import substitution so that they need not purchase the manufactured products from the richer countries.The poorer countries would still sell their primary products on the world market, but their foreign exchange reserves would not be used to purchase their manufactures from abroad. (Larrain, J, 1989:110) However, this was not as straight forward as anticipated, because if a poorer nation makes any a ttempt to resist against the power of the rich nations they may have to face military force or economic sanctions.â€Å"Developed nations actively keep developing nations in a subservient position, often through economic force by instituting sanctions, or by proscribing free trade policies attached to loans granted by the World Bank or International Monetary Fund†. (WiseGeek, 2003) Despite the failure of Prebisch international trade theory, it is undoubtable that it provided the dependency theory with the support that it needed, and showed some semblance of what dependence means in this type of economic system. (Moses, D, 2012)In a nutshell, Development and Underdevelopment are two sides of the same coin. Wealthy nations of the world need a peripheral group of poorer states in order to remain wealthy. Using a variety of political economic interventions as well as media, education systems and interventional sporting events wealthy nations control poorer nations, making them de pendent. And it is in their best interest to keep the poorer nations poor by using Ha-Joon Chang metaphor â€Å"kicking the developing ladder away† so that they can continue to steal the poor’s natural wealth and exploit their workers.Latin America was asked to produce food, raw materials for the great industrial center, and in return, Latin America would receive industrial goods from these centers. (So, A, Y. 1990:93) Classical Dependency Theory In this next section we will examine Neo-Marxist theorist’s Paul Baran (1910–1964) and Andre Gunder Frank’s (1929–2005) who developed dependency theory from Marxian analysis.â€Å"The dependency theory is rooted in a Marxism analysis of the global economy and as a direct challenge to the free market economic policies of the post-War era† (Ferraro, V, 2008) In The Communist Manifesto, Marx argued within the capitalist economy the bourgeoisie mercilessly exploited the proletariat. He recognised that the work carried out by the proletariat created great wealth for the capitalist. The products created in the factory (the material outcome of the workers' labour) were sold for more than the value of the labour itself i. e. more than the workers' wages.Like Karl Marx (1818–1883), Baran and Frank argued a similar exploitative system of stratification between countries. Usage of Marxist ideology can be seen as strength of the dependency theory as led the way to other neo-Marxist investigations of the linkage and possible reconciliation between Dependency Theory and Marxism. Paul A Baran Baran is the first author within the theory of imperialism who studies the class structures and economic processes of underdeveloped countries, but more importantly, he was the first Marxist author who puts in doubt the homogeneous conception of world capitalism.  (Larrain, J, 1989:80)Baran believed imperialism had penetrated underdeveloped countries, destroying earlier social formations and distorting their subsequent development, creating lasting conditions of dependency. Underdeveloped countries were systematically subordinated to the developed countries in the international division of labour. However, Baran was not the first to make such arguments. Traces of such views of imperialism can be found in Marxism.â€Å"if it were not for the distorting effects of imperialism, the country that is more developed industrially would have shown to the less developed the image of its own future† (Foster, J, 2007) Baran’s Political Economy of Growth argued that Third world countries were characterized by small industrial sectors and large agricultural sectors, which was not immensely profitable on world a scale. He emphasized class relations and their impact on utilization of economic surplus, as well as the distribution of power as primary barriers which prevented development.He espoused that internal conditions were the source of the major problems in under developed countries, and recommended state intervention to promote nationally controlled industrialization as a precondition for evolution of other industrial sectors. (TheDevelopmentStudent, 2010) Baran’s uses his study of India as an example of a country which would have developed much better had it not been for the surplus torn from it by Britain. In his study he traced how British colonialism contributed to the underdevelopment of India through plundering, deindustrialisation, and the uprooting of the local society.  (So, A, Y. 1990:111)Although, Baran agrees with Marx that one should not idealise India’s pre-Britain past, he maintains that ‘at the same time, I should not be overlooked that India, if left to herself, might have found in the course of time a shorter and surely less tortuous road towards a better and richer society’ (Larrain, J, 1989:86) This study can be highlighted as a powerful insight of the classical dependency theories which has directed researchers to examine the process by which foreign domination had shaped the development of Third World countries.  (So, A, Y. 1990:129)Overall, the work of Paul Baran can be considered a very important landmark in the refurbishing of the theory of imperialism after the Second World War. He introduced such crucial changes to it that it is possible to argue that his contribution is the hinge which joins or articulate the theory of imperialism with, and marks the beginning of dependency theory. (Larrain, J, 1989:115) Andre Gunder Frank Andre Gunder Frank was one of the key figures under the Dependency Theory as well as the first to write in English.In his most influential writings ‘The Development of Underdevelopment (1969)’ Frank drew inspiration from Paul Baran, focusing upon the dependent character of peripheral Latin American economies, and was able to conceptualise Baran’s notions in terms of a capitalist world system of metropolitan and satellite areas. Metropolitans are countries that are considered as the colonizers or developed countries and the satellites on the other hand are the colonies and considered underdeveloped countries.Satellites supply cheap primary commodities to the rich countries that then use the raw materials to produce specialized good, and then send them back to the satellites for profit. Frank argues that this metropolished-satellite relationship is only in existence to serve the â€Å"interests of the metropoles which take advantage of this global, national, and local structure to promote their own development and the enrichment of their ruling classes† (Moses, D, 2012.)He argues that the reason why LDCs are getting poorer is because the exploitation it experiences from the DCs such as extracting raw materials from the LDCs while the DCs manufacture, deliver and sell the final product to LDCs with a price hitting the ceiling. In his famous writing entitled as Dependency theory claims that the r elation of imperialism and domination trapped poor nations at the bottom of the global economy.  (Larrain, J, 1989:115)Frank purposed four hypotheses, one being â€Å"the satellites experience their greatest economic development and especially their most classically capitalist industrial development if and when their ties to their metropolis are weakest† (So, A, Y. 1990:98) Therefore, his solution to the problem was that Third world countries â€Å"de-link† themselves from the world market, allowing them the opportunity to develop instead of distributing their own resources to the metropoles.However, as stated previous, due to military force or economic sanctions this may not be possible. By escalating Baran’s views and adapting them to the analysis of the Latin American situation, Frank’s idea that capitalism expanded from Europe and managed to incorporate the whole world in a single international system, quickly became well known all over the academic world and gave intellectual currency to dependency theory.Critique of classical dependency studies and modification by new dependency theorist The dependency perspective seems to have been particularly popular during the 1960s, but based on the classical dependency theories outlined above, it has since lost some of its attraction and has been the subject of a great deal of criticism since the 1970s. Firstly, it can be claimed that dependency theory itself was betrayed by the very formulation of its name. Many critics argue that it is not a theory, but can more accurately be conceived of as an approach to the study of underdevelopment.In fact, new dependency theorists such as Cardoso objected to the term ‘theory' to describe it. He believed it is an overarching framework within which one might formulate specific hypotheses/theories, a ‘methodology for the analysis of concrete situations of dependency. ‘ It did not predict determinate, discrete outcomes. Rather, it sought to provide a new perspective from which to examine the problematique of economic backwardness. (Cardoso, F, H. 1977:15) For many social scientists the methodological faults of the approach were too obvious to ignore.As stated earlier, the dependency theory arose as a critique of the modernisation theory. However, the modernisation school fought back, characterising the dependency perspective as a propaganda fragment of Marxist revolutionary ideology. Instead of providing a scientific analysis of what has actually happened in third world countries, the concept of dependency has become an all-purpose explanation for everything that is wrong with third world countries (So, A, Y. 1990:131) Another methodological criticism was that classical theorist Baran and Frank committed a major error of treating all peripheral areas as if they were the same.Fernando, H, Cardoso is usually singled out as the key figure of the new dependency studies. Unlike the general analysis of the classica l dependency school, Cardosos methodology is â€Å"historical-structural†. (So, A, Y. 1990:135) Therefore, he paid more attention to historically specific situations of dependency than classical theorist Baran and Frank. In this work, Cardoso pointed out that the shift from the Brazilian populist regime to military regime was represented as the pursuing of a new model of â€Å"associated-dependent development† in Brazil.He added that there were many new activities, which has been done by military regime in Brazil. Goertzel (1999) suggests that Cardoso’s success: ‘†¦ has come not because he has had a better theory but because he has always kept one question at the center of his thinking: What will happen if society selects one course of action over another? To answer this question, he has focused on the sociology of the historical conjuncture rather than on general theory†¦ ’ (Goertzel, T.  1999:182)However, Cardoso work too received much criticism for his esoteric style of writing. One scholar, assessing Cardoso and Faletto's Dependency and Development, decries the authors' â€Å"ornately Hegelian style† which is held to be partly responsible for the â€Å"confusing and even contradictory† message of dependency theory (Staniland, M. 1985:134). However, Cardoso himself admitted that â€Å"if there have been so many distortions in the consumption [of dependency theory], it is because the original production was not clear regarding several points† (Cardoso, F, H.1977, 17).Dependency theorist overemphasised the factor of external conditions, and neglected the role of internal dynamics such as class conflicts and the state. Petra’s (1982) indicated that â€Å"to conceptualise the issues of the Third World in terms of dependency is to lose sight of the most decisive processes class formation and social relations which beget change and the particular configurations of social forces which emerg e on a world scale†. (Petras, J.  1982:148)New dependency theorist Cardoso overcame this weakness by focusing on the internal structures of dependency. According to Alvin Y. So â€Å"Cardoso is more interested in analysing the socio-political aspect of dependency, especially class struggles, group conflict, and political movements† (So, A, Y. 1990:136) Classical dependency theorists have become subject to criticised on policy implication. The dependency perspective emphasizes the harmful effects of colonialism and international division of labor.But in fact, the success of countries such as India, south Korea and Taiwan have proven this idea wrong, especially Baran’s study on colonialism who once believed India moved backwards, from a relatively advanced industrial nation to a backward agricultural nation with the belief that it would never escape the British rule and develop again. Dependency may not lead to underdevelopment and as such periphery countries mov e from â€Å"underdevelopment† to becoming serious economic heavyweights it can be used to argue against the theory.Unlike classical dependency theorist (e. g.  Landberg) who portray the miracle of East Asian development as â€Å"manufacturing imperialism† New dependency theorist Thomas B Gold (1986) uses the concept of â€Å"dynamic dependency† in his study of Taiwan’s development. Taiwan’s starting point of development was in most ways very similar of that of Latin American countries. Like other colonial governments, the Japanese implanted a structure of dependent capitalism in Taiwan and skewed the economy to the production of two primary good (rice and sugar). Gold believed that Taiwan was undeniably restructured by Japan, it was not underdeveloped.Soon after World War 2 Taiwan broke free from the Japanese colonial rule and have attained rapid economic development. (So, A, Y. 1990:158) Therefore this rejects classical dependent theoristâ€⠄¢s assumption that this is impossible for a country to develop if it has experienced colonialism. Furthermore, determinism also burdens dependency with what Stephan Haggard has called the ‘structuralist paradox'. â€Å"The model was outlined to help identify the international constraints associated with certain development paths in order to overcome them.†However, dependency does not allow for the possibility that particular state strategies may act to reduce those international constraints. (Haggard, S. 1990: 21) In response to this new dependency theorist such as Cardoso view dependency as an open-ended process. Unlike classical predictions of unidirectional trend of underdevelopment in Third World countries He argues â€Å"that there can be development and dependency and that there exist more dynamic forms of dependence than those characterising enclave or quasi-colonial situations† (So, A, Y.  1990:137)Even though the new dependency perspective has modifie d some of the classical dependency perspective, they still share the same concept such as focus research is Third world countries, national level of analysis, and center – periphery dependency. According to Larrain â€Å"Dependency analyses share similar interests in studying the situation of peripheral capitalist countries from the point of view of the conditioning effects which external forces and structures produce on the internal structures of these countries† (Larrain, J. 1989; 112) ConclusionIn conclusion this essay has demonstrated an overall understanding of dependency theory, by originating back into the 1940s where it all began, following up to its relevance in today world. As well as the strengths of the theory, the essay has discussed the ways in which dependency has been subjected to a barrage of criticism on theoretical, empirical, methodological, and stylistic grounds. Furthermore it has researched and demonstrated how new dependency theorists have modif ied classical dependency studies in order to overcome their weaknesses.Overall I feel that Cardoso’s analysis in more sophisticated than the classical dependency studies. His work has added the lack of explanation in the classical work; it has improved on many of its criticisms and emphasizes broader explanation on what happen in the third world. I also believe that Cardoso’s research, along with Gold’s study of Taiwan’s, has shaped the direction of empirical studies in the dependency school and started a whole new investigation on dependent development in the third world.