Friday, November 29, 2019

Kelly Johnston Essays (256 words) - American Literature, Literature

Kelly Johnston Ms. Nicola Thomas ENG3UE-26 August 1, 2018 Oppression - Langston Hughes In the poem "Oppression" written by Langston Hughes the writer gives us incite about his views on the topics of oppression and emancipation. During the poem the writer shows that no matter how bad things get and how unfair you are being treated someday you will persevere though it all. Hughes writes: Now dreams Are not available To the dreamers Nor songs To the singers. (Hughes 1 - 5) This shows the readers that people are not being given rightful treatment in society and even though people have rights they are not being appointed them. Hughes also says: In some lands Dark night And cold steel Prevail (Hughes 6 - 9) When Hughes writes this, he enables the readers to see that regardless of who you are sometimes you will still be treated unjust and that a lot of people in the world are not being given rightful treatment making their lives a lot harder. Finally, at the end of the poem the author says: But the dream Will come back And the song Break Its jail (Hughes 10 - 15) The author is allowing the readers to understand that no matter how bad things get, that things can get better. In the last statement, Hughes is referring to emancipation displaying that you can become free from the unjust treatment. Works Cited Hughes, Langston, "Oppression" https://tdsb.elearningontario.ca/content/EL_ENG_ENG3UE-26BCC3_2018-07-17__1718ASS/eng3up/ENG3UPU01/ENG3UPU01A01/docs/Oppression_Poem_Hughes_Activity_One.pdf?_d2lSessionVal=bLZHuc6wEY4fmjTPnj6YmE0Juou=12379002

Monday, November 25, 2019

Group Areas Act No. 41 of 1950

Group Areas Act No. 41 of 1950 On April 27, 1950, the Group Areas Act No. 41 was passed by the apartheid government of South Africa. As a system, apartheid used long-established race classifications to maintain the dominance of the colonial occupation of the country. The primary purpose of apartheid laws was to promote the superiority of whites and to establish and elevate the minority white regime. A suite of legislative laws was passed to accomplish this, including Group Areas Act No. 41, as well as the Land Act of 1913, the Mixed Marriages Act of 1949 and the Immorality Amendment Act of 1950: all of these were created to separate the races and subjugate nonwhite people. South African race categories were set up within a few decades after the discovery of diamonds and gold in the country during the mid-19th century: native-born Africans (Blacks, but also called kaffirs or Bantu), Europeans or European-descended (Whites or Boers), Asians (Indians) and mixed raced (Coloured). The 1960 South African census showed that 68.3% of the population were African, 19.3% were White, 9.4% Coloured, and 3.0% Indian. Restrictions of the Group Areas Act No. 41 The Group Areas Act No 41 forced physical separation and segregation between races by creating different residential areas for each race. Implementation started in 1954 when people were first forcibly removed from living in wrong areas, leading to the destruction of communities. The Act also restricted ownership and the occupation of land to groups as permitted, meaning that Africans could neither own nor occupy land in European areas. The law was also supposed to apply in reverse, but the result was that land under black ownership was taken by the government for use by whites only. The government set aside ten homelands for relocated non-white residents, mostly scattered bits of unwanted territories, based on ethnicity among the black communities. These homelands were granted independence with limited self-rule, the main purpose of which was to delete the homeland residents as citizens of South Africa, and cut back on the governments responsibility for providing housing, hospitals, schools, electricity, and water supplies. Implications However, the Africans were a significant economic source in South Africa, in particular as a labor force in the cities. Pass Laws were established to require non-whites to carry passbooks, and later reference books (similar to passports) to be eligible to enter the white parts of the country. Workers hostels were established to accommodate temporary workers, but between 1967 and 1976, the South African government simply stopped building homes for Africans at all, leading to severe housing shortages. The Group Areas Act allowed for the infamous destruction of Sophiatown, a suburb of Johannesburg. In February 1955, 2,000 policemen began removing Sophiatown residents to Meadowlands, Soweto and established the suburb as an area for whites only, newly called Triomf (Victory). In some cases, the nonwhites were loaded onto trucks and dumped into the bush to fend for themselves.   There were serious consequences for people who didnt comply with the Group Areas Act. People found in violation could receive a fine of up to two hundred pounds, prison for up to two years, or both. If they didnt comply with forced eviction, they could be fined sixty pounds or face six months in prison. Effects of the Group Areas Act Citizens tried to use the courts to overturn the Group Areas Act, though they were unsuccessful each time. Others decided to stage protests and engage in civil disobedience, such as sit-ins at restaurants, which took place across South Africa during the early 1960s. The Act hugely affected communities and citizens across South Africa. By 1983, more than 600,000 people had been removed from their homes and relocated. Colored people suffered significantly because housing for them was often postponed because plans for zoning were primarily focused on races, not mixed races. The Group Areas Act also hit Indian South Africans especially hard because many of them resided in other ethnic communities as landlords and traders. In 1963, approximately a quarter of Indian men and women in the country were employed as traders. The National Government turned a deaf ear to the protests of the Indian citizens: in 1977, the Minister of Community Development said that he wasnt aware of any cases instances in which Indian traders who were resettled that didnt like their new homes. Repeal and Legacy The Group Areas Act was repealed by President Frederick Willem de Klerk on April 9, 1990. After apartheid ended in 1994, the new African National Congress (ANC) government headed by Nelson Mandela was faced with an enormous housing backlog. More than 1.5 million homes and apartments in the urban areas were located in informal settlements without property titles. Millions of people in rural areas lived in terrible conditions, and urban blacks resided in hostels and shacks. The ANC government promised to build one million homes within five years, but most of them were of necessity located in developments on the outskirts of cities, which have tended to sustain existing spatial segregation and inequality. Great strides have been undertaken in the decades since apartheid ended, and today South Africa is a modern country, with an advanced highway system and modern homes and apartment buildings in the cities available to all residents. While nearly half of the population was without formal housing in 1996, by 2011, 80 percent of the population had a home. But the scars of inequality remain.   Sources Bickford-Smith, Vivian. Urban History in the New South Africa: Continuity and Innovation since the End of Apartheid. Urban History 35.2 (2008): 288–315. Print.Christopher, A.J.  Apartheid Planning in South Africa: The Case of Port Elizabeth. The Geographical Journal 153.2 (1987): 195–204. Print.-. Urban Segregation in Post-Apartheid South Africa. Urban Studies 38.3 (2001): 449–66. Print.Clark, Nancy L., and William H. Worger. South Africa: The Rise and Fall of Apartheid. 3rd ed. London: Routledge, 2016. Print.Maharaj, Brij. Apartheid, Urban Segregation, and the Local State: Durban and the Group Areas Act in South Africa. Urban Geography 18.2 (1997): 135–54. Print.-. The Group Areas Act and Community Destruction in South Africa. Urban Forum 5.2 (1994): 1–25. Print.Newton, Caroline, and Nick Schuermans. More Than Twenty Years after the Repeal of the Group Areas Act: Housing, Spatial Planning and Urban Development in Post-Apartheid South Africa. Jour nal of Housing and the Built Environment 28.4 (2013): 579–87. Print.

Friday, November 22, 2019

Managing Organisations Essay Example | Topics and Well Written Essays - 2000 words

Managing Organisations - Essay Example ld help an organisation handle stress and health and safety at workplace; and economics would provide theories applicable in labour market dynamics and productivity. Managers, even the highly educated would always be seeking for universal, simple management solutions which do not exist because the contingency theory defines each situation need with its unique approach (Pettus, Kor & Mahoney 2009). According to Searle (2003), organisational psychology employs scientifically-based principles in psychology and research methods in the identification and solving of problems at work places. It aims at giving managers the insights into understanding and measuring human behaviour so as to improve employee satisfaction, increase the ability of managers to identify and promote best performers and make the working conditions better. These would be achieved through creation of tests and understanding the evaluation of human factors. According to the expectancy theory, one of the motivation psychological theories, the first step towards the attainment of superior performance from an employee would be through expectancy which describes the level to which an employee perceives that application of sufficient effort would yield successful achievement in a task (Searle 2003). In the second step, referred to as instrumentality, the employee’s concern would be whether successful achievement in a task would yield rewards. Finally, the employees’ value of the reward would also be considered. As a matter of fact, the Chartered Institute of Personnel and Development, CIPD (2005) points out at the equity theory which suggests that an employee would always compare oneself to other employees according to the contributions made and the reward received. Maslow also contributed to this discussion by defining the work environment and motivational effects where the scholar argued that several critical needs would be fulfilled through work, giving the hierarchy of these needs (Luthans et al.

Wednesday, November 20, 2019

Comparison between US and UK Essay Example | Topics and Well Written Essays - 1000 words

Comparison between US and UK - Essay Example Similarities lie in the way decisions are made economically, in the United States of America, decisions related to economic policies are made by the central bank, by the Federal Reserve Committee, headed by the Federal Reserve chairman. These decisions heavily rely on macro-level economic data, factors such as real estate trends, rates of inflation, patterns of economic growth and home values are indicators that are commonly used. The federal funds' rate is set by the central bank, consequently influencing the rates for consumer and business accounts for savings and loan. Monetary policies are majorly concerned with balancing healthy growth and reduced inflation, or increased prices. This is one of the ways the government tries to control the economy. The fast growth rate of inflation is as a consequence of increased money supply, and when inflation is down this means money supply is down. Generally, the US inflation target is set to maintain the steadiness of the inflation, which sh ould be between 2-3% (GÃ ¤rtner 46). The UK monetary policy is set in almost a similar fashion. It is set by the Monetary Policy Committee (MPC) of the bank of England. Though they are independent in setting the interest rates that will consequently influence the interest rates for savings and loans for individuals and businesses, they must put to consideration governments inflation target. The policy is key in influencing the spending of consumer and Aggregate Demand (AD).

Monday, November 18, 2019

Any topc about flying by Olga Mukhina Essay Example | Topics and Well Written Essays - 500 words

Any topc about flying by Olga Mukhina - Essay Example This scene is to be analyzed in relation to the treatment or depiction of time. The scene actually was first described in Part Two of the play entitled Awe (Mukina, 2004, p. 55) where Blizzard, described as the VJ and streetfighting man, alleged that he has to go someplace for an interview. While he was looking for his car, which was a white Lexus, he was approached by Volodya, a character that Blizzard recognized to have seen somewhere. The reader could surmise that their initial encounter was actually at the cafà © where the group initially met Bushy-Tail, the 17-year old waitress. It was in this cafà © where Volodya apparently gave a suspicious glance at Blizzard for making advances to Bushy-Tail, whom Volodya was intently observing. As this, one recognized that there must have been some previous drug activities that Volodya was already apparently observing where Blizzard could have been identified as involved. Therefore, the setting and time element were clearly depicted to be related and where events were apparently intertwined. Due to the suspicion for Blizzard’s apparent involvement in drug activities, he was further searched in his apartment by Volodya and in the presence of Blizzard’s friends: Orangina and Snowstorm. It was in this setting where Volodya found several more evidences of drugs and when the opportune time was noted, when the door to the hallway that traversed to Orangina’s apartment was seen, Blizzard evidently rushed outside of the window and it was at this moment that it was described that he was actually flying. The description of that particular moment seemed to be unrealistic since the moment seemed like eternity. The manner by which the event seemed to be prolonged was the author’s style of describing separate events and situations which go back and forth like a broken continuum. It was during Blizzard’s supposed flight when it was likewise vividly narrated that a dog, named Yo-Yo, supposedly observed

Saturday, November 16, 2019

The Differences Between CMM And CMMI

The Differences Between CMM And CMMI The recent attitude of the organisations to make the products complex in order survive the competitors, made them to employ software in their organisations. However, the community of information systems known for its poor product quality made them to research the methods to improve its efficiency. This led them to discover that the focus was needed more on the processes which in turn led to improve the quality of the software products. The process when used it an efficient way can make the organisations maintain the consistency and help to achieve their mission. Many models and programmes described the ways to improve the product quality. Of those, The Capability Maturity Model (CMM) found by SEI, in 1984, gave a clear sight to the organisations the efficient way to improve the process. Later, it was found that it can be employed in other fields too and thereafter it was employed to improve business processes. However this method had some drawbacks and those were superseded by the Ca pability Maturity Model Integration (CMMI). This essay portrait the key differences between these models and describes the effectiveness of using CMMI. 2. Differences between CMM and CMMI 2.1 CMM Overview The first CMM, developed in 1990, was developed for the purpose to improve the process in software development [1]. This model proved to be a successful one and thereof, it became a generalised model for improving the processes other than SW development process like software engineering, system engineering, software maintenance, software management, risk management and also being employed in other industries, governments, organisations and also for business process improvement [1]. Fig.1 CMM Maturity Levels [2] The CMM for Software (SW-CMM) is a framework that provides the way to manage a process effectively. It is a stair-cased structure wherein each step is a maturity level describing the current capability of the process. It tells where the processes are. The CMM scales the organisation from 1 to 5 based on the KPAs achieved by the organisations. Fig. 2.2 Structure of the CMM [3] As shown in the figure 2, each maturity level defines the process capability at that stage and contains (other than Initial) Key Process Areas (KPA) defined of goals to be achieved. Each KPA has certain key practices that are to be strictly followed to achieve the goals. These key practices are arranged as groups (Common features) consisting infrastructure and implementation. 2.2 CMMI Overview à ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ãƒâ€¦Ã¢â‚¬Å"CMMI is a process improvement approach that provides organizations with the essential elements of effective processes that ultimately improve their performance. CMMI can be used to guide process improvement across a project, a division, or an entire organization.à ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ã‚  [4]. Both CMM and CMMI have the same five maturity levels. In CMMI, each process area has specific goals and generic goals that define the generic and specific practices respectively. Fig.3.1 CMMI Structure [5] There are two types of approaches à ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬ staged and continuous. In the case of the staged approach, KPAà ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬Ãƒ ¢Ã¢â‚¬Å¾Ã‚ ¢s are defined and then based on it the maturity level structure is drawn whereas in the continuous approach, a specific KPA is chosen and then it is relatively improved by using the capability levels [6]. The CMMI too scales the organisation from a scale of 1 to 5 based on the KPAs. It also provides an appraisal which focuses on improving the plans for the organisations. There are three classes of appraisals, namely class A, B and C [7]. 2.3 Key Differences The factors that distinguish CMM and CMMI during implementation are: 1.integration, 2.KPA, 3.approach and 4.paperwork [8]. 2.3.1 Integration: The CMM has individual models for each function. But when the individual processes when integrated led to few discrepancies like model overlapping, contradiction and each model had its own maturity level which lead to a confusion. This led to the increase in the costs of the companies that were put in training. But CMMI employs models that are classified on the basis of specific areas of interests. These models are those employed by industries successfully. To employ CMMI in an organisation, it must choose a model form the available 22 models wherein each module covers all the functionalities. 2.3.2 KPA: Both CMM and CMMI have 5 maturity levels. But there are differences in the KPAs of each maturity level. The differences in each model are as follows: 1. Initial: In both models, it covers the organisations without defined processes, having dynamic changes (ad-hoc) and undocumented. 2. Repeat: In CMM, the companies that seem to do the same process periodically attain this level. In CMMI, it requires a planned and defined ways of managing the requirements by estimating cost, time and resources. 3. Defined: CMM requires a standard, well-documented and consistent process with few degrees of changes to be followed. CMMI requires the process to be standardised, methodical and procedural with the use of tools. 4. Manage: CMM requires companies to quantitatively measure and monitor process thereby reducing risks. CMMI, n addition identifies and monitors the sub processes that contribute to overall efficiency. 5. Optimized: In CMM, the process is continuously improved by following the best software engineering practices but here the measures are taken simultaneously as the goals are satisfied. In CMMI, behaviour is selected and goals are set to support it. Behaviour is selected on the basis of goals and measures. 2.3.3 Approach CMM is an activity based model. It aims only in the completion of the process and does not care about the desired result and hence it does not motivate the company to make the necessary changes. But CMMI is a result oriented based on key performance areas and thereof it is a best practice for the companies and helps to avoid the possible risks at a very early stage. 2.3.4 Paperwork Both CMM and CMMI documentation has paperwork and meetings that leads to waste of effort and time of the personnel. However, in CMM is process-oriented whereas the CMMI is a goal-cum-result-oriented approach. 3. Benefits of adopting CMMI The organisations that adopted the CMMI reported the following benefits [9]: 3.1 Cost: The CMMI adoption led to reduced defect fix cost, reduced overhead rate, reduced cost of poor quality and increased the average cost performance index with decline in variation. 3.2 Schedule: It led to reduction in release turnaround time, reduction in average number of days late, increased percentage of milestones met, increased throughput that led to more releases per year, improvised and stabilised schedule performance index with decreased variance and increased time delivery accuracy. 3.3 Quality Reduction in software defects (KLOC), errors caused in the source code and the post-release defects and increased focus on quality by developers was observed after using CMMI. 3.4 Productivity Productivity was measured in metrics like number of statements produced per month, comparing the various builds, number of releases per year, software production etc, Productivity of the companies also increased. 3.5 Customer Satisfaction The customer satisfaction, measured using ratings and awards fees, increased since the time of delivery mentioned was accurate and also it was defect free. 3.6 Return on Investment (ROI) ROI ratio measured based on the defects that are overcome, the degree of automation activities and quality and process improvement, seemed to be on the positive side that motivated the organisations to employ CMMI. 4. Case Study of companies switching over to CMMI from CMM The following three points are the detailed reports [10] of the companies that evolved from CMM to CMMI which depicts the improvements and results of doing so. 4.1 Lockheed Martin M DS Initially, the organisation was assessed CMM level 2 in 1993. But later, in 1996 it moved to CMM Level 3 and then evolved to CMMI Level 5 in 2002 in integrating SE-CMM and SW-CMM. As a result of this, improvements in the customer satisfaction, productivity and the product cost were noted leading to the conclusion that the process improvement that lasted for nearly 10 years proved fruitful. Between 1996 and 2002, process improvement was continual and the company increased its productivity by 30% and decreased unit software cost and defect costs by 20% and 15% respectively. The customer satisfaction was achieved as there was an increase in percentage of the available award fees [10]. 4.2 Accenture Accenture, one of the reputed organisations, had a transition from the SW-CMM to the CMMI between May, 2001 and May, 2002. It attained the CMM Level 3 initially and when they moved to CMMI, during which they acquired CMMI Level 3. During the CMMI, the organisation focussed mainly on the processes related to the Measurement and Analysis, Decision Analysis and Resolution, generic goals and Integrated Product and Process Development (IPPD). As a result of the transition, improvements in the costs of quality and ROI ratio were captured. The ROI ratio achieved was 5:1 in the quality [10]. 4.3 Boeing Limited, Australia The Boeing Limited process performance was not up to the mark. Initially they were using CMM and Electronics Industry Alliance (EIA 731). Thereof, they decided to improve the process by adopting CMMI so as to 1. Integrate SE and SWE 2.Universal acceptance by customers and suppliers and 3.Risk analysis using Defence Material Organisation (DMO) strategy. There were improvements seen in the product cost, schedule/cycle time and the product quality. The results of adoption made defect fix costs, turnaround time and test audits (pre and post) decrease by 33%, 50% and 60% respectively and product quality increase to a major extent [10]. 5. Factors that have major impact From the case studies it is clearly evident that the integration, approach styles and the need for continuous improvements of the process by the organisation led to the organisations to move from CMM to CMMI. However there are many organisations like Bosch Gasoline Systems, Thales Research Technology, Sanchez Computer Associates Inc, still are using the CMM and reporting benefits thereof. 6. Conclusion CMMI models should be still integrated and developed such the costs involved and the efforts are reduced.

Thursday, November 14, 2019

Growth in William Faulkner’s Barn Burning and James Baldwin’s Sonny’s B

Growth in William Faulkner’s â€Å"Barn Burning† and James Baldwin’s â€Å"Sonny’s Blues† The word family evokes an image of trust and a bond of loyalty. In William Faulkner’s â€Å"Barn Burning† and James Baldwin’s â€Å"Sonny’s Blues†, the main characters in both these stories demonstrate the idea of family loyalty in several ways. While they continue to express the values of family loyalty, the main characters have to overcome several obstacles. Searching for ways to communicate effectively with their families and maintaining their changing identities trap the characters. In â€Å"Barn Burning†, Sarty is conflicted with being loyal to his family and being loyal to himself and in â€Å"Sonny’s Blues†, the brother has to deal with being loyal to Sonny’s values. During this process, it changes their character and forces them to change and learn about themselves. In â€Å"Barn Burning†, Sarty is emotionally torn by two personalities, one being loyal to his Father, and the other is being loyal to society because in his mind, he knows he’s doing the right thing. But in the beginning of the story, Sarty’s personality starts to pull when the Justice of the Peace is questioning him. Sarty has the need to tell the truth yet with his Father’s dominating presence there, he cannot do it. â€Å"He aims for me to lie, he thought again with that frantic grief and despair,† (p.398). In one sentence, there is an instant clear meaning that Sarty is distraught in making decisions having to involve his Father. In this moment though, he also feels his Father’s emotions penetrating right into his body through his Father, â€Å"did not even look at him† (p.398). Sarty’s sense of loyalty sides strongly with family due to the fact of how he was raised. The time period in which the stor... ...nally figured out what Sonny’s dream was when he saw him play his music and the joy that Sonny felt, he felt it too and understood music is Sonny’s way of living, his life unleashed through music. Even though both stories tell a different tale, this quote applies to the brother and Sarty because they both had to rely on their self-intuition to help them understand the ordeals they went through to reach a final decision. â€Å"Freedom lurked around us and I understood, at last, that he could help us to be free if we would listen†¦Ã¢â‚¬  (P.216) Works Cited Baldwin, James. "Sonny's Blues." Literature: An Introduction to Fiction Poetry, and Drama. 7th edition. Ed. X.J. Kennedy and Dana Gioia. New York: Longman, 1999. 272-295. Faulkner, William. "Barn Burning." The Heath Anthology of American Literature. Ed. Paul Lauter. 3th ed. Boston: Houghton Mifflin, 1998. 1554-66.

Monday, November 11, 2019

Romeo and Juliet Fate Essay

Some believe that whatever happens during the course of their lives is inevitable and every event destined and laid out before them like a map to their life; in other words, fate. Fate is defined as a force, principle or power that predetermines events, it is the inevitable events that are destined by this force. Why do Romeo and Juliet meet? Why do Mercutio and Tybalt have to die? Why does Juliet awaken seconds after Romeo dies?These occurrences are caused by fate. Romeo and Juliet's fates were linked from the beginning. In the Prologue it states â€Å"A pair of star-crossed lovers take their life†. This sentence expresses that from the start that the fate of Romeo and Juliet was written in the stars, and they were cursed to death. In the play, fate directs the lives of the characters. Secondly, it foreshadows events that were yet to come. Lastly, the characters are aware that they are controlled by their destiny and fate. In William Shakespeare’s Romeo and Juliet, fat e plays a significant role.Fate directs the lives of the characters in the play. Romeo and Juliet’s first meeting isn’t purely coincidental. A servant of Capulet crosses paths with Romeo and Benvolio, and invites them to the Capulet party, not knowing that they are Montagues. â€Å"My master is the great rich Capulet, and, if you be not of the house of Montagues, I pray come and crush a cup of wine† (I. ii. 78-80). It is by fate that Romeo and Benvolio run into the Capulet servant and learn of the party. It is not just an accident that the servant tells the two cousins about the party at which Romeo is destined, yet still unaware, that he will meet his one true love. Also, it is not by coincidence that Friar John is unable to deliver the letter of Friar Lawrence’s plans to Romeo. It is destined for Balthasar to tell Romeo that Juliet had died. â€Å"Her body sleeps in Capel's monument, And her immortal part with angels lives† (V.i. 18-19).Even thou gh he says what he believes is true and had good intentions, Balthasar’s news is the cause of the tragedy. He is the final piece of Romeo’s puzzle of fate. Romeo, being oblivious to Friar Lawrence’s plan, returns to Verona only to take his life next to his â€Å"dead† wife. In the play, fate controls the paths of life of the characters. Fate is an omen for bad things to come various times during the story. The first time fate foretells the future was before the Capulet ball. Romeo has a strange feeling before he arrives to the party; he says:Some  consequence, yet hanging in the stars, Shall bitterly begin his fearful date With this night’s revels, and expire the term Of a despised life closed in my breast By some vile forfeit of untimely death (I.iv.107-111)Romeo predicted that fate isn’t on his side that night; going to the party would set Romeo on a life altering course which would lead to his utter demise. The death of both Romeo and J uliet is the â€Å"consequence† Romeo speaks about. Another prime example of foreshadowing by fate is the last time Romeo and Juliet meet being alive and well. Juliet proclaims â€Å" O God, I have an ill-divining soul†(III.v.54); it is God’s will that her soul forebodes evil and malice. Juliet then remarks that it appears as though Romeo is in a tomb and that he looks deathly pale. Romeo’s death is envisioned yet again, making it impossible to deny that his fate will lead him to any other outcome. Fate is a harbinger of Romeo and Juliet’s definite future: death. Characters believe that fate controls their destiny.This realization is made by Romeo after fighting and killing Tybalt, he says â€Å"O, I am fortune's fool.†(III.i.135). Romeo is upset over slaying Tybalt, subsequently destroying his future with Juliet and the possibility of ceasing the feud between the two families. He sees himself as a subject to his â€Å"fortune† or fat e, and recognizes that he cannot control his actions. Later on, when Romeo learns of Juliet’s apparent death, he exclaims â€Å"Then I defy you, stars!†(V.i.24). Romeo tries to oppose the stars, or fate by expressing his independence by saying that he is in charge of his own life and that he is not ruled by some fixed series of events.However, Romeo cannot change his fate and everything that happened to him was going to happen no matter what and he was destined to fall in love and come to an unfortunate end. Committing suicide next to his love Juliet is exactly what fate had in store for him. In the end, Romeo did the opposite of defying his fate by fulfilling it. In conclusion, in Romeo and Juliet, fate plays a powerful and meaningful role. Fate has a plan laid out for each character. It is a prediction of the couple’s doomed and tragic end. Also, the characters are aware that their life’s course is decided for them by fate.As Lemony Snicket once said â €Å"Fate is like a strange, unpopular restaurant filled with odd little waiters who bring you things you never asked for and don't always like.† ; Nobody will truly know what fate has in mind for them; every experience and outcome happens for a reason. Whether it is good or bad, fate will always get its way no matter the cost. Romeo and Juliet Fate Essay Some believe that whatever happens during the course of their lives is inevitable and every event destined and laid out before them like a map to their life; in other words, fate. Fate is defined as a force, principle or power that predetermines events, it is the inevitable events that are destined by this force. Why do Romeo and Juliet meet? Why do Mercutio and Tybalt have to die? Why does Juliet awaken seconds after Romeo dies? These occurrences are caused by fate. Romeo and Juliet's fates were linked from the beginning.In the Prologue it states â€Å"A pair of star-crossed lovers take their life†. This sentence expresses that from the start that the fate of Romeo and Juliet was written in the stars, and they were cursed to death. In the play, fate directs the lives of the characters. Secondly, it foreshadows events that were yet to come. Lastly, the characters are aware that they are controlled by their destiny and fate. In William Shakespeare’s Romeo and Juliet, fat e plays a significant role. Fate directs the lives of the characters in the play.Romeo and Juliet’s first meeting isn’t purely coincidental. A servant of Capulet crosses paths with Romeo and Benvolio, and invites them to the Capulet party, not knowing that they are Montagues. â€Å"My master is the great rich Capulet, and, if you be not of the house of Montagues, I pray come and crush a cup of wine† (I. ii. 78-80). It is by fate that Romeo and Benvolio run into the Capulet servant and learn of the party. It is not just an accident that the servant tells the two cousins about the party at which Romeo is destined, yet still unaware, that he will meet his one true love.Also, it is not by coincidence that Friar John is unable to deliver the letter of Friar Lawrence’s plans to Romeo. It is destined for Balthasar to tell Romeo that Juliet had died. â€Å"Her body sleeps in Capel's monument, And her immortal part with angels lives† (V. i. 18-19). Even tho ugh he says what he believes is true and had good intentions, Balthasar’s news is the cause of the tragedy. He is the final piece of Romeo’s puzzle of fate. Romeo, being oblivious to Friar Lawrence’s plan, returns to Verona only to take his life next to his â€Å"dead† wife. In the play, fate controls the paths of life of the characters.Fate is an omen for bad things to come various times during the story. The first time fate foretells the future was before the Capulet ball. Romeo has a strange feeling before he arrives to the party; he says: Some consequence, yet hanging in the stars, Shall bitterly begin his fearful date With this night’s revels, and expire the term Of a despised life closed in my breast By some vile forfeit of untimely death (I. iv. 107-111) Romeo predicted that fate isn’t on his side that night; going to the party would set Romeo on a life altering course which would lead to his utter demise.The death of both Romeo and J uliet is the â€Å"consequence† Romeo speaks about. Another prime example of foreshadowing by fate is the last time Romeo and Juliet meet being alive and well. Juliet proclaims â€Å" O God, I have an ill-divining soul†(III. v. 54); it is God’s will that her soul forebodes evil and malice. Juliet then remarks that it appears as though Romeo is in a tomb and that he looks deathly pale. Romeo’s death is envisioned yet again, making it impossible to deny that his fate will lead him to any other outcome. Fate is a harbinger of Romeo and Juliet’s definite future: death.Characters believe that fate controls their destiny. This realization is made by Romeo after fighting and killing Tybalt, he says â€Å"O, I am fortune's fool. â€Å"(III. i. 135). Romeo is upset over slaying Tybalt, subsequently destroying his future with Juliet and the possibility of ceasing the feud between the two families. He sees himself as a subject to his â€Å"fortune† o r fate, and recognizes that he cannot control his actions. Later on, when Romeo learns of Juliet’s apparent death, he exclaims â€Å"Then I defy you, stars! †(V. i. 24).Romeo tries to oppose the stars, or fate by expressing his independence by saying that he is in charge of his own life and that he is not ruled by some fixed series of events. However, Romeo cannot change his fate and everything that happened to him was going to happen no matter what and he was destined to fall in love and come to an unfortunate end. Committing suicide next to his love Juliet is exactly what fate had in store for him. In the end, Romeo did the opposite of defying his fate by fulfilling it. In conclusion, in Romeo and Juliet, fate plays a powerful and meaningful role.Fate has a plan laid out for each character. It is a prediction of the couple’s doomed and tragic end. Also, the characters are aware that their life’s course is decided for them by fate. As Lemony Snicket once said â€Å"Fate is like a strange, unpopular restaurant filled with odd little waiters who bring you things you never asked for and don't always like. † ; Nobody will truly know what fate has in mind for them; every experience and outcome happens for a reason. Whether it is good or bad, fate will always get its way no matter the cost.

Saturday, November 9, 2019

Limiting Reactant Essay

In chemical reactions, the significance of knowing the limiting reactant is high. In order to increase the percent yield of product, increasing the limiting reactant, possibly, is the most effective. In this experiment we were able to calculate limiting reactants from the reaction of CaCl2. 2H2O + K2C2O4.H2O(aq). As a group, we obtained our salt mixture of calcium chloride and potassium oxalate, and weighed the mixture. We were able to make an aqueous solution from the mixture and distilled water. We boiled and filtered off the solution, leaving the precipitate. Once the precipitate was dried overnight, it was weighed and the mass was measured. Then we calculated the moles of the precipitate. From these calculations, we established moles of the limiting reactant, were the same amount of moles in the product based on the stoichiometrically balanced equation. Next the percent yield of the limiting reactant was calculated. In Part B of this experiment, two solutions were added to the aq ueous product in order to determine the limiting reactant. Once each solution was added, we were able to visibly see the precipitate forming when 0.5 M CaCl2 was added. This made us conclude the limiting reactant was in fact CaCl2. Introduction Stoichiometry is a section of chemistry that involves using relationships between reactants and/or products in a chemical reaction to determine desired quantitative data. Doing stoichiometry can calculate masses, moles, and percent’s with a chemical equation. The use of stoichiometry is how we were able to find the limiting reagent in this lab. We know that the limiting reagent is the chemical that will be used up first. Two factors affect the yield of product in a chemical reaction: the amounts of starting materials and the percent yield of the reaction. Under certain conditions such as temperature and pressure, can be adjusted to increase the yield of a desired product in a chemical reaction but because the chemicals react according to fixed mole ratios, only a limited amount of product can form from measured amounts of starting materials. A way for us to better understand this concept of the limiting reactant is to observe the reaction in our experiment. The reaction of cal cium chloride dehydrate, CaCl2 ·2H2O,  and potassium oxalate monohydrate, K2C2O4 ·H2O, in an aqueous solution. For the reaction system in this experiment, both the calcium chloride and potassium oxalate are soluble salts, but the calcium oxalate is insoluble. The ionic equation for the reaction is Ca2+(aq)+2Cl-(aq)+2K+(aq)+C2O42-(aq)+3H2O(l) ®CaC2O4 ·H2O(s)+2Cl-(aq)+2K+(aq)+2H2O(l) presenting only the ions that show evidence of a chemical reaction, formation of a precipitate, and by removing the spectator ions, no change of ionic form during the reaction, we have the net ionic equation for the observed reaction: is Ca2+(aq)+ C2O42-(aq)+H2O(l) ®CaC2O4 ·H2O(s). In Part A of this experiment the solid reactant salts CaCl2 ·H2O forms and K2C2O4 ·H2O form heterogeneous mixture of unknown composition. The mass of the solid mixture is measured and then added to water-insoluble CaC2O4 ·H2O forms. The CaC2O4 ·H2O precipitate is collected by gravity filtration and dried, and its mass is measured. In Part B, the limiting reactant for the formation of solid calcium oxalate monohydrate is d etermined from two precipitation test of the final reactant mixture from Part A. The first test we tested the mixture for an excess of calcium ion with an oxalate reagent and the second test the mixture is tested again for an excess of oxalate ion with calcium reagents. Materials and Methods Materials Lab coat Safety goggles 1 250ml beaker 1 piece of filter paper funnel 1-2 grams of salt mixture A hot plate A weighing scale Methods 1. Experimenters obtained one 250 ml beaker and weighed it on the weighing scale and recorded the results 2. The 250 ml beaker was then filled with 1-2 grams of the salt mixture and weighed again 3. 100 ml of distilled water was added to the salt mixture 4. The beaker was placed on the hot plate and brought to a boil then removed 5. After cooling, the experimenters filtered the mixture using the filter paper and funnel 6. Experimenters left the filter paper to air dry overnight 7.The air dried filter paper was then placed on the weighing scale and results were recorded Results In experiment A the results from the precipitation of CaC2O4 H2O from the salt mixture were obtained by weighing the items listed on Table 1 on a scale. Table 1. Mass of Beaker (g) 102.994g Mass of Beaker and Salt Mixture 104.683g Mass of Salt Mixture (g) 1.689g Mass of Filter Paper (g) 1.336g Mass of Filter Paper and CaC2O4 H2O (g) 2.000g Mass of Air-Dried CaC2O4 H2O (g) 0.664g In Experiment B the limiting reactant was determined to be CaCl2 when two drops of the test reagent 0.5 M CaCl2 was added to the supernatant liquid in test tube 1, and a precipitate formed. Since there was a reaction, there was C2O42- in excess and Ca2+ is the limiting reactant in the original salt mixture present in test tube 1 . This was further confirmed when two drops of the test reagent .05M K2C2O4 was added to the supernatant liquid in test tube 2. There was no precipitate because Ca2+ was not present since it was the limiting reactant and instead C2O42- was in excess. Table 2. Moles of CaC2O4 H2O precipitated (mol) .0045 (mol) Moles of limiting reactant in salt mixture (g) CaCl2 .0004 (mol) Mass of limiting reactant in salt mixture (g) CaCl2 .4995 (grams) Mass of excess reactant in salt mixture (g) Ca2C2O4 1.113 (grams) Percent limiting reactant in salt mixture (%) CaCl 34% (34.1%) Percent excess reactant in salt mixture (%) K2C2O4 66% (65.8%) Discussion The data of the mass of the salt mixture was a big key for finding the moles of CaC2O4 precipitated. The molar mass of CaC2O4 H2O was 146.097 grams. The mass of the air-dried CaC2O4 H2O CaCl2, was .664g as recorded in table 1. Using a calculation of .664 x 1 mole / 146.097 a result of .0045 mol was recorded in table 2. The test done in Experiment B allowed us to know without any calculations that Ca2+ is the limiting reactant. This allowed us to conclude that the moles of the limiting reactant were .0004 (mol) of CaCl2. In order to achieve the grams of the limiting reactant, the moles of the limiting reactant must be multiplied by the molar mass of the limiting reactant. Therefore the mass of the limiting reactant was .0045 moles and multiplied by its molar mass of 111g to result in .4995g of the limiting reactant in the salt mixture. Next the mass of the excess reactant in the salt mixture was calculated using the same method as the limiting reactant except the molar mass of the excess reactant was used to result in 1.113 (grams) Ca2C2O4 . The final step in the process was to find the percent by mass of the limiting reactant. Since Experiment B allowed us to determine that Ca2+ is the limiting reactant, therefore to find the percentage composition it is necessary to divide the limiting reactant mass by the mass of the original sample then multiply by 100. This provided a result of 34%, and to find the excess percentage, this value was subtracted from 100 to yield 66% of K2C2O4 as the percent of excess reactant in salt mixture. Error Analysis Possible errors might be attributed to careless errors in reading the scale to measure the mass of the beaker, salt mixture or filter paper. Even when  proper care is taken in reading the instruments, systematic errors can present themselves in the instrument used to measure mass. Here, a calibrated scale was used to measure mass, and the systematic error is unknown since it is one of the hardest errors to detect. These two sources of errors might help explain the .1% missing from the CaCl2 and K2C2O4 salt mixture recorded in Table 2. Precision and Accuracy While accuracy deals with how close a measured value is to a true or accepted one, precision deals with how reproducible a given measurement is. Here the mass of the beaker, salt mixture, and filter paper are all precise because they are easily reproducible since it simply involves putting the items on a scale. If the process was repeated 50 times the results would not vary or at the least by .0001 grams based on some outside factor. The mass of the air-dried CaC2O4 H2O is accurate because it was calculated as true by subtracting the mass of the filter paper from the mass of the filter paper and the CaC2O4 H2O. Conclusion As we have stated previously, CaCl2 was our limiting reactant based on the precipitates observed. We were able to rule out Ca2C2O4 because of the lack change in our precipitate.. It was important to note that a limiting reactant in a chemical reaction limits the amount of product that can be formed. The reaction will stop when all of the limiting reactant is consumed. The excess is the reactant in a chemical reaction that remains but there is nothing with which it can react. Taking this knowledge we have gained in appropriately observing the results, we can apply it to future experiments in chemistry in order to evaluate how much product one might want to produce in a given chemical reaction. Reviewing other experiments, from other schools, it is apparent that the need for appropriate data collection in this type of experiment, will help in identifying the excess and limiting reagents. As was the case in UCCS’s Chem 103 Lab Manual, following the procedures and doing them in the proper order are vital to ensuring success in proper reactions. References Tro, Nivaldo. Chemistry A Molecular Approach. 3rd ed. Boston, MA: Pearson Education, Inc.; Beran, J. A. Laboratory Manual for Principles of General Chemistry. 8th ed. Hoboken, NJ: John Wiley & Sons, Inc.; 2009 Beran, J. A. Laboratory Manual for Principles of General Chemistry. 9th ed. Hoboken, NJ: John Wiley; 2010 UC Davis ChemWiki. Stoichiometry and Balancing Reactions. http://chemwiki.ucdavis.edu/Analytical_Chemistry/Chemical_Reactions/Stoichiometry_and_Balancing_Reactions UCCS Chem 103 Laboratory Manual. Experiment 3 Limiting Reactants. http://www.uccs.edu/Documents/chemistry/nsf/103%20Expt3V-LR.pdf Masterson, W, Hurley, C. Chemistry: Principles and Reactions. 6th ed. Belmont, CA: Brooks/Cole Cengage Learning; 2009.

Thursday, November 7, 2019

Table clinic paper on Oral piercings Essay Example

Table clinic paper on Oral piercings Essay Example Table clinic paper on Oral piercings Paper Table clinic paper on Oral piercings Paper 2000 Oct). Those with pre-existing heart problems are more at risk for endocarditis  because of the increased risk for infection. Common symptoms of endocarditis include fever, chills, nausea, decreased appetite, weight loss, and a full feeling in the upper part of the stomach. More severe symptoms include enlarged spleen, swollen feet, legs, blood in urine, swollen stomach, and shortness of breath (Friedman, 2014). Signs and symptoms vary from person to person depending on the specific bacteria, fungus, or microorganism that they have been infected with. When diagnosing endocarditis a blood test should be performed to confirm what microorganism is responsible as well as an echocardiogram to see if the heart has been  damaged. Endocarditis caused by bacteria is treated by antibiotics until the infection is gone; this on average takes six weeks. Damage to the heart would require surgery to remove damaged heart valves and replace them with artificial heart valves. Patients with artificial heart valves are usually prescribed antibiotics to be taken 1 hour prior to the dental treatment to prevent spread of bacteria to the heart preventing potential infection. This antibiotic premedication should be determined by the individual’s physician (Friedman, 2014). Another infection that can be caused by oral piercings is Ludwig’sAngina. Ludwig’s  Angina is a severe infection of the floor of the mouth and mandible caused by bacteria (Appendix A). The diagnosis is usually based on clinical observation where the head, tongue and neck will appear red and swollen. If these visual signs aren’t present, then there are other ways of diagnosis which include a CT scan or an MRI. Symptoms include swelling of the ORAL PIERCINGS 7 tongue, neck pain, and breathing problems. â€Å"Ludwig’s angina can lead to more serious complications including, airway blockage or sepsis, a severe inflammatory responds to bacteria† (Pietrangelo, 2012). Symptoms may vary from person to person. It’s crucial to  recognize and get treatment for this condition before serious complications occur. For severe inflammation, the first line of treatment in a patient with Ludwig’s Angina would be to clear the airway. This can be done by inserting a breathing tube through the mouth or nose into the lungs or by performing a tracheotomy. Surgery is sometimes performed to drain excess fluids that are responsible for the severe swelling of the oral cavity. The most common cure for this condition is antibiotics to fight off the infection (Pietrangelo, 2012). When prescribed an antibiotic, it is essential to take the entire dose as prescribed to  prevent bacterial resistance. Although infection can be a severe complication that can develop, there are other harmful effects that can occur with oral piercings. People with tongue piercings may develop mouth ulcers from constant irritation. These ulcers can result in oral cancer if the area is constantly irritated over a long period of time. There is a need for more cell reproduction to replenish the cell population due to the damaged cells in the area of irritation. According to WebMD, with an increased cell production there is an increased chance of cell mutation or cancer cells (Friedman, 2014). If  the lesion is caught early, then it is more likely to be benign or non-cancerous and treated by surgical excision. On the other hand, if the lesion has not been detected for a long period of time, it has a higher chance of being malignant or cancerous. A malignant lesion can sometimes be treated and removed with surgery, radiation, and/or chemotherapy. This may ORAL PIERCINGS 8 or may not be life threatening, depending on how far the cancer has metastasized and how soon the cancerous lesion was detected and treated. â€Å"Oral piercings are a potential risk factor for the transmission of diseases like herpes B  and C, HIV, and the herpes simplex virus† (Academy of General Dentistry, 2010). These diseases can be transmitted via poorly sterilized instruments, the contamination of jewelry, and virus entering the piercing site. The transmission of disease is extremely rare via the oral piercing, but has been known to happen. â€Å"Although any piercing is prone to infection or disease transmission, a recent study in the Journal of Adolescent Health (January 2011) found that stainless steel jewelry can accumulate more microorganisms than jewelry made from plastics such as Teflon (or polytetrafluoroethylene, PTFE)† (Academy of General Dentistry,  2010). This study shows that there is a higher risk of infection and disease transmission when wearing metal jewelry. Pulpal sensitivity can occur from the contact between the galvanic currents in the stainless steel jewelry and other intraoral metals (Balzac, n. d. ). Other risks and complications can occur with oral piercings such as nerve damage, but is rare when compared to injury to teeth and gingival recession. The penetration of the needle through the tissue can more often cause temporary but sometimes permeant nerve damage. The loss of taste and feeling can be part of this temporary or permanent nerve damage. Injury to teeth can happen when teeth and jewelry come into contact with force (Appendix A). This can cause gingival recession, cracked, or chipped teeth. Stated by WebMD, â€Å"Forty- seven percent of people who have worn tongue jewelry for four or more years have chipped teeth† (Friedman, 2014). Gingival recession can cause hypersensitivity because of the exposed roots (Appendix A). The dentin, underlying the thin layer of cementum, can be ORAL PIERCINGS 9 exposed if there is recession and an individual is brushing too hard wearing away the cementum. The dentin contains thousands of tiny tubules that lead to the center of the tooth,  which is where the nerve is located. This allows for stimuli to affect the nerve more readily, which creates sensitivity with hot, cold, or sweet foods. Not only can recession cause tooth sensitivity, but can progress in its more severe form to cause tooth mobility or tooth loss. Cracked or chipped teeth then could result in trauma to the gingiva such as a laceration. This lacerated tissue could proceed to infection or ulcers from repeated irritation and trauma that could develop into oral cancer. Individuals are getting oral piercings for many different reasons, but they may not take  into account the long-term effects and /or potential risk of infection to their oral cavity and overall health. During the healing process, which is four to six weeks for tongue piercings and between one and two months for lip piercings, the individual should be advised by their dentists or hygienist to stay on top of their oral health care to avoid infections and other serious complications. If an individual were to decide to proceed with oral piercings, there are essential steps to follow to maintain the piercing and keep it clean. According to Dr. Balzac in his article Oral Piercings, â€Å"to help protect your teeth it is recommended that the  jewelry should be removed before each meal, as well as before bedtime and after the piercing has fully healed† (n. d. ). Some piercing parlors sell plugs that can be placed in the hole when the jewelry is removed. After the tongue has healed following the piercing, remove the jewelry each night and brush it using the same brushing technique that teeth would be brushed. â€Å"Avoid things such as, alcohol, smoking or tobacco use, spicy foods, and hard and sticky foods† (Mouth Jewelry, Oral Piercings and Your Health, 2011). Use an antiseptic mouthwash after every meal to decrease the number of bacteria in the oral cavity. Dr. Balzac ORAL PIERCINGS 10 suggests â€Å"removing the jewelry before any strenuous activity to avoid traumatic injury to the teeth from metal studs, which can lead to tooth fracture and chipping (n. d. ). So, if an individual were to insist on getting an oral piercing, as long as their mouth stays free of infection and their oral piercings do not interfere with normal function, there shouldn’t be any issue with having an oral piercing. The most important recommendation though, would be to see the dentist and/or hygienist regularly so they can evaluate the health of the oral cavity and the piercing. Resources Academy of General Dentistry. (2010). Piercing Warning. In Englewood Dental. Retrieved September 9, 2014, from http://englewooddental. com/piercing-warning. htm ORAL PIERCINGS 11 Academy of General Dentistry. (2010, March). Tongue piercing. In Delta Dental. Retrieved September 8, 2014, from deltadentalins. com/oral_health/tongue_piercing. html American Dental Association. (2014). Oral Piercings. In Mouth Healthy. Retrieved September 9, 2014, from mouthhealthy. org/en/az-topics/o/oral-piercings Balzac, F. (n. d. ). Oral Piercing. In Consumer Guide to Dentistry. Retrieved September 9,  2014, from yourdentistryguide. com/piercing/ Friedman, M. (2014, May 22). Dental Health and Oral Piercing. In WebMD. Retrieved September 9, 2014, from webmd. com/oral-health/guide/oral-piercing? page=2 Holbrook, J. , Minocha, J. , Laumann, A. (2012). Body Piercing. American journal of clinical dermatology,13(1), 1-17. Mouth Jewelry, Oral Piercings and Your Health. (2011, December 12). In The Cleveland Clinic Foundation. Retrieved September 9, 2014, from http://my. clevelandclinic. org/health Pietrangelo, A. (2012, September 11). Ludwigs Angina. In Healthline. Retrieved September  9, 2014, from healthline. com/health/ludwigs-angina#Overview1 Ramadan, F. B. Beanlands, D. S. , Burwash, I. G. (2000). Isolated pulmonic valve endocarditis in healthy hearts: a case report and review of the literature. The Canadian journal of cardiology, 16(10), 1282-1288. ORAL PIERCINGS 12 Singh, A. , Tuli, A. (2012). Oral piercings and their dental implications: a mini review. Journal Of Investigative Clinical Dentistry, 3(2), 95-97. doi:10. 1111/j. 2041- 1626. 2011. 00108. x The piercing truth about tongue splitting and oral jewelry. (2012). Journal of the American Dental Association (JADA), 143(7), 814. Ziebolz, D. , Hornecker, E. , Mausberg, R. F. (2009). Microbiological findings at tongue piercing sites–implications to oral health. International journal of dental hygiene, 7(4), 256-262. Appendix A ORAL PIERCINGS 13 Uvula piercing Infection associated with an oral piercing ORAL PIERCINGS 14 Tongue piercing in an 18-year-old male without oral hygiene. There is visible plaque and calculus deposition around the bar of the tongue. Individual with Ludwig’s Angina Picture of chipped #25 and #8 from an oral piercing and associated trauma ORAL PIERCINGS 15 Gingival recession lingual #24 and #25 from an oral piercing.

Monday, November 4, 2019

Assignment #4 The Ragan Revolution through President Obamma Essay

Assignment #4 The Ragan Revolution through President Obamma - Essay Example One of the major historical turning points during Regan’s error is AIDs epidemic. AIDs killed millions of people during this period but the main tragedy was not the disease but the lack of enough action to control it. One of the reasons behind this situation was the belief that AID s could only be contracted by homosexuals. President Reagan was reluctant thus did not fully supportive of the disease treatment as he didn’t want to anger the Christian conservatives. The American public only came to realize the reality of the disease after a hemophiliac teenager contracted AIDS virus through blood transfusion and the public confession of Magic Johnson announcing that he too had contracted the virus. The other event was the expansion of the southern states to the western dangerous regions as well as their efforts to tame new frontiers. During this period, the wives of the army men were made to enjoy a different status. This was completely different in comparison to the woman rights during the America colonization and civil war period. The areas allowed their women to take part in civil society and voting as well as assuming the judge position. The culture of the army wives gave women equal eminence at the time of frontier expansion. As this took place in the western frontiers, the rest of the states conserved their male order societies. This situation led to the frontier women to enjoy a status that was special following the forward posts isolation pockets and the community transformation into a society during threat and danger times so as to continue existing efficiently. The end result was that the women ended up sharing the same responsibilities with the men and their system a llowed a combined authority while the eastern states stuck to their traditional culture of having the males dominate in everything.

Saturday, November 2, 2019

Gun Control Research Paper Example | Topics and Well Written Essays - 1000 words

Gun Control - Research Paper Example In these regards, gun control had no real impact on the murder rate in these nations. An even more startling fact is that despite gun control in many nations, the murder rate has often risen; this again demonstrates that there is no direct correlation between gun control and reduced murder rates. When considering the statistical correlation between gun control and increased or decreased crime rates, there are a number of startling facts that demonstrate gun control is an effective policy. One of the most prevalent such examples of these trends occurs when statistically comparing Canada and the United States. In both 1991 and 1995 Canada enacted increasingly stringent gun control laws, while the United States largely held onto a liberal policy regarding gun control. Rather than demonstrating a reduction in crime relative to the United States, this period witnessed an actual rise in the rate of theft and violent crime throughout Canada (‘Gun Control Fact-Sheet.’). Similar statistical trends have also been demonstrated in European countries. In 1997, the United Kingdom passed some of the most stringent anti-gun laws in the Western hemisphere. In the wake of these regulations, it was demonstrated that in large part violent crimes rates did not increase but rose by as much as forty percent (‘Gun Control Fact-Sheet.’). ... In fact, statistics demonstrate that over the last seventy-years the United States has experienced noticeably lower murder rates than the United Kingdom. While the lot of this statistical evidence is open for interpretation, a general qualitative analysis demonstrates that rather than decreasing crime, gun control laws allow criminals increased levels of freedom as they can now commit crimes unhindered by the threat of lethal self-defense. In these regards, firearms can substantially be seen to be prominent self-defense mechanisms. In developing increased gun control laws countries are in-effect reducing citizens abilities to effectively defend themselves. In addition to the statistical evidence that demonstrates a correlation between gun control and increased crime rates, general quantitative and statistical research has demonstrated that in large part gun control laws are misguided. One of the most prominent research elements related to gun control considers it in relation to self- defense. While this essay has earlier demonstrated that the use of guns for self-control can be inferred from rising crime rates in nations that implement stringent gun control laws, further research attests to the actual use of guns in these self-defense actions. In fact, guns have been implemented in self-defense over 2.5 million times annually (‘Myth #3: Gun Control Has Reduced The Crime Rates In Other Countries’ ). When one considers this from another perspective, it indicates that more than 6,000 times a day guns are used for self-defense. Within the United States itself quantitative research has examined the Brady Law in regards to crime rates. The Brady Law is