Monday, September 30, 2019

Economic Liberalism Essay

Economic liberalism was the prevailing economic philosophy in much of the nineteenth and early twentieth centuries, and the U. S. economy developed within its framework. Economic liberalism promoted freedom of action for die indivi ¬dual and the firm through the doctrines of free trade, self-interest, private prop ¬erty and competition. According to this philosophy, individuals were free to seek their own occupa ¬tions, to enter any business, and to act as they saw fit to improve their economic welfare. Economic society was held together by mutual exchanges founded on the division of labor and prompted by self-interest. Self-interest was thus the motivat ¬ing force of the economy. For example, to increase personal economic welfare, an individual might decide to produce goods and sell them for a profit. Bur. in so doing, that individual automatically benefited the community as well—by pur ¬chasing raw materials, providing employment, and supplying goods or services. Workers seeking to increase their wages could do so by increasing productivity. This, too, benefited the employer and the community in general. According to Adam Smith (often called the father of economics), the individual, in seeking personal gain, was led by an invisible hand to promote the welfare of the whole community. Under economic liberalism, individuals were free to engage in the trade, occupation, or business they desired. Workers were free to move from one job to another and to enter into or exit from any industry. Workers were free to work or not to work, and businesses were free to produce or nor to produce. Competition was the regulator of the economy under economic liberalism. Businesses competed with one another for consumer trade by developing new and better products and by selling existing products at lower prices. Free entry into the market ensured ample competition, and prices were determined by the free forces of supply and demand. Equilibrium prices were determined by the actions of individual buyers and sellers, with each buyer and seller acting in his or her own self-interest. Whenever there was excesses on either the supply or the demand side, markets behaved as though there were an invisible hand of competition guiding them back toward equilibrium, where supply equaled demand. This unseen force seemed to select prices that cleared the market by eliminating surpluses and shortages. Equilibrium prices received by sellers and paid by consumers were equal to production costs. Thus, by each individual max ¬imizing his or her own self-interest, everyone benefited. Competitive forces deter ¬mined not only the prices of goods and services but also wage rates. In theory, economic liberalism was a sound philosophy, and the early U. S. economy prospered under it. But it was not without its weaknesses. The most pronounced weaknesses were its dependence on the beneficial effects of self- interest and its undue reliance on competition to regulate the economy and pro ¬mote the general welfare. Unfortunately, self-interest in many cases translated into greed and abuse of economic liberty. At the same time, competition proved to be an inadequate guarantor of the free market.

Sunday, September 29, 2019

Assignment Internal Cash Control Essay

The weaknesses in the internal control over cash disbursements are, there should be only one person in charge of writing the checks for each task, and there should be numbered checks for both people so that the funds spend can be tracked easier, the cabinets were the checks are stored should be two locked cabinets, one for each person who writes the checks. Memo: I would recommend that to have a better control over money paid and items purchased, that you start having numbered checks in two separate accounts, one account for the treasurer and one account for the purchasing agent. This method will make it easier for moth parties to avoid mistakes, and it will also be easier to verify money spent and received. P4-1A The internal control principles implemented by the Guard Dog Company are, numbered checks so that the company has a number trail to monitor cash dispersment. Each check must have approval from Jane Bell, and Dennis Kurt before a check can be issued, this is an establishment of responsibility to ensure that not just anyone ion the company can write checks. Checks must be signed by either Tom Kimball, the treasurer, or Karen Thews, the assistant treasurer. Before signing a check, the signer is expected to compare the amounts of the check with the amounts on the invoice, this is also a form of establishment of responsibility and both of these procedures are a use of documentation procedures. After signing a check, the signer stamps the invoice â€Å"paid† and inserts within the stamp, the date, check number, and amount of the check. The â€Å"paid† invoice is then sent to the accounting department for recording. By doing this it is a way of verifying company cash dispersment and documentation control. Blank checks are stored in a safe in the treasurer’s office. The combination to the safe is known by only the treasurer and assistant treasurer. By locking the checks in a safe it establishes responsibility for the checks, and uses a Physical, mechanical, and electronic controls to narrow down any check problems to one source. Each month the bank statement is reconciled with the bank balance per books by the assistant chief accountant. By doing this it establishes document control, this way any discrepancies in the amount paid can be verified. Indicate the weaknesses in internal accounting control in the handling of collections. The weaknesses in the handling of collections are the way the money is deposited, the way the checks are made out and the way the money is verified and deposited. P4-2A List the improvements in internal control procedures that you plan to make at the next meeting of the audit team for (1) the ushers, (2) the head usher, (3) the financial secretary, and (4) the finance committee. The improvements the ushers need to make is that after each offering they should individually count their own collected baskets and log there amount in an offering log book, so that there is less room for error in the next step. By handing all the baskets to the head usher without counting the money themselves, the head usher can offer any amount on his final deposit. The improvements the head usher needs to make is to make sure that each usher counts their baskets, and that the head usher counts all the baskets and checks for discrepancies to make sure that no one is pocketing any money. The head usher should also check the amount given to him/her against what is written in the offering log. Have a book to log the amount of money that is put into the safe so that it is logged in a way that can be verified by the committee, a note is not a safe method because it can be thrown out, by logging in a book it is easier to find were the discrepancies came from. The improvements the financial secretary should make is that he/she should have a list of what needs to be paid and make a log of the amounts that need paid and to make sure the receipts are logged along with whatever bills or services that needed to be paid that week. The financial secretary should also verify the amount of money in the safe against the log that is kept by the ushers. The financial committee should show a more detailed list of what expenditures are needed each month so that the financial secretary knows what is needed for payment that month. They should also be involved in verifying the churches income. To improve internal control the church should have a log for money received during offerings, they should tell the congregation to make the checks payable to the church or to the account holder that the checks are deposited into, because anyone can cash a check made out to â€Å"cash†. The church should also verify that any money not deposited from the offering was spent properly and not used for personal things. Include how a company could use the five basic principles of cash management to increase accuracy for a business. A company can increase the collection of receivables by offering incentives for quick payment from their customers. A company can delay the payment of liabilities and bills to close to the due date of the liability or bill, so that if any expenditure is needed before the due date they will not have spent the money too early. A company can keep inventory low on the merchandise that does not sell quickly, so that the company has money for the merchandise that is popular and selling fast. A company that wish to expand should wait until they have excess money in a slow season so that they can expand their business and have new locations open in time for their busy season. A company should invest money that is sitting idle into low risk companies’, the most common form of liquid investments is interest-paying U. S. government securities.

Saturday, September 28, 2019

Life Physic Essay Example | Topics and Well Written Essays - 500 words - 1

Life Physic - Essay Example ite-up, predictions on the future status of the world centers on the phenomena of rapid glacier meltdown--its impact on humanity and the Earth as a whole. For the past millenniums, the Arctic Ocean had been viewed as a region pooling with glaciers; but in the last three decades, shrinking of ice in the area increased from 2.8% to 11.1%, as â€Å"more ice (are) melting during summers and less new ice forming during summers† (Parks). This region is not the only one experiencing meltdown crises. In Northern America, famous ice peaks in Glacier National Park had dwindled from 150 glaciers to less than 30 structures (Glick 1). Such occurrences show that the meltdown is no longer a regional concern, but probable global crises. In such trends, the status of the Earth may reach to a point wherein after 25 years or more, land terrains may be moderately covered with seawater, pushing both man and animals to higher grounds for survival. Studies show that about 50 meters of seawater had been added in the Antarctic Peninsula in only half a decade (â€Å"Sea Level Rise†). As temperature on the Earth’s surface continues to elevate, the Arctic and other regional glaciers may be lost in 70 years, filling up the world with water in those periods in time (â€Å"Habitat Loss†). In such scenario, risks of partial land wipe-out may occur after 25 years, and increases during the next decades. In effect of possible water deluges, land-based life forms are at threatened to extinction. Predictably, shifts in glacier activity can affect â€Å"agriculture, drinking water supplies, coastlines, and ecological habitats† (Yohe). As sea water rises and encroach on freshwater sources, water supply for human consumption can be largely affected. Food sources can be destroyed, especially in areas near coastlines, where sea water saline disrupts production and growth of crops (â€Å"Cimate Change†). Hence, food and water needs are deprived with massive sea intrusion in land areas. Unfortunately, large

Friday, September 27, 2019

Ethics and decision making in financial institution Essay

Ethics and decision making in financial institution - Essay Example In the second part the study will understand role of business ethics and ethical decision making in context to banking industry. Although the concept of business ethics, fair and free competition, abolishment of monopolistic competition are pretty much older in comparison neo classical concepts like trade protection, corporate governance codes but surprisingly very few researcher have tried find how these implications are relevant in context to banking industry. To understand the importance of open and free competition it is essential for the researcher to analyze these concepts by using theories of economics (Misra and Arrawatia, 2012). Nature of Competition in Banking Industry In recent times, various research scholars have tried to investigate nature of competition in global banking industry with help of different concepts of economics. Modern economists have stated that conjoint impact of internationalization, liberalization and harmonization has changed the dynamics of competiti on in global banking competitions. ... their primary and only responsibility is to increase profit by using its resources whereas understanding the second strata such as doing business in open and free competition environment without engaging in deception and frauds (Cheng, 2011). There is no doubt the world has changed a lot from the time Milton Friedman defined the responsibility of managers. In twenty first century, the world has seen many of the major financial scams, financial frauds, unethical competitions hence it is necessary to analyze the viewpoint of Milton in context modern business world. Now the fact is that, research scholars have raised question over the assumption of Milton Friedman in context to banking industry. For example, competition in banking sector has been created due to multitude of factors such as financial markets deregulation, liberalization, consolidation, merger between various financial institutions etc hence it will not be justifiable to take a unilateral approach to analyze the level of competition in banking sector. The study will take help of research works of eminent research scholars such as Bresnahan (1982) to understand competition theories in context to banking sector. According to Bresnahan (1982), market power of a bank is should be analyzed with the help of mark-up of price instead of marginal cost of a particular bank. The proposed model was based on two equations such as supply equation and inverse demand equation in context to first order profit maximization (Misra and Arrawatia, 2012). Shaffer (1993) has found that North American banks were competitive during 1965 to 1990 when the market was consolidated in nature. In that period, few North American banks competed in partially monopolistic competition environment where they had created entry barrier for

Thursday, September 26, 2019

Formal legal advice to Richard Essay Example | Topics and Well Written Essays - 3250 words

Formal legal advice to Richard - Essay Example THE FACTS ABOUT THE CASE OF RICHARD AND JOHN 2. The basic facts appear as follows. 3. Richard is a singer and a performer while John has been his manager for three years. The issue that arises here is the role of John as a manager and the roles of Richard as his employer. The manner in which the two are supposed to relate to each other without conflict of interest is a big issue.1 4. Richard and John had some disagreements because John is convinced that Richard was taking bookings and performing without telling him or compensating him. The issue that arises here is whether Richard had a right to perform and take bookings on the back of his manager and without compensating him. One is also left wondering whether John could substantiate his claims or it was out of malice. If indeed Richard was acting on the back of John, it will be interesting to know whether he ought to have compensated John.2 5. After the disagreements, Richard walked out, yet the terms of the contract had stipulated that they should work together for 10 years. Whether Richard did the right thing to walk out following the disagreements is a debatable issue. The other issue that arises is whether Richard should compensate John for breaching their agreement.3 6. It has also come to light that John was acting on the back of Richard, by taking advantage of a physical similarity between them and allegedly making profitable appearances on stage and television as well as forwarding his business using Richard’s personal confidential information. This disclosure leaves much for the eyes to desire because it is most probable that Richard ignored John after realizing his negative conduct, which is also contrary to their agreement and which is against the copyright property which is protected.4 7. John is illegally copying new music Richard had made. This raises the question of copyright violation.5 8. Richard obtains an incorrectly addressed email from John, which reveals that he was about to emigr ate to china and base his business there. The issue here is whether Richard should take advantage of this confidential information to pursue his case. Again, the fact that John wants to emigrate to china will complicate Richard’s attempts to prosecute the case.6 9. THE LAW This case will refer to the following laws: Seager v Copydex Ltd (No. 2) [1969] 1 WLR 809 [1] Allied Arab Bank Ltd v Hajjar (1988) QB 787 [2] DeFrancesco v Barnum (1890) 45 Ch D 430 [3] Series 5 Software Ltd v Clarke [1996] 1 All ER 853 [4] Office Angels Ltd v Rainer Thomas and O’Conner [1999] IRLR 214 [5] William Robinson & Go. V Heuer (1898) 2 Ch. 451 [6] Page One Records v Britton [1968] 1 WLR 157 [7] Lumley v Wagner (1852) 1 De GM & G 604 [8] Warner Bros Pictures Inc. v Nelson [1937] 1 KB 209

Communications Assessment Essay Example | Topics and Well Written Essays - 750 words

Communications Assessment - Essay Example However, the success of a person depends on his ability to judge his strengths and weaknesses. Once weaknesses are identified it becomes easier for the individual to overcome them. However, the strengths motivate him to maintain them and further research what needs to be done for a more successful outcome. Hence, it can be said that strengths and weaknesses both are important for a sustained excellence in the leadership profession. The weaknesses of my leadership communication skills that I have observed are discussed in this part. Leaders are aimed to direct their sub-ordinates towards the specified goal. Their job requires special care and consideration. I have observed that I do not give any detailed information about my instructions. This is because I find it difficult to share my views in groups. It can be taken as strength as it saves a lot of time. But if we look closely, the job of a leader is not to compel people do what they are asked to do. In fact, leadership is a skill to motivate people on doing a particular task. It demands to have such an influence on the sub-ordinates that they willfully and enthusiastically move towards a common goal. Without explaining the reasons for a particular act it is impossible to gain the interest of subordinates in the work. A work done without interest will always be less accurate than a work done with interest and having a goal oriented approach. The effects of this weakness do not end here. Due to my short and restricted instructions the subordinates may feel uncomfortable to question about anything. Hence, the subordinates may restrict their questions to themselves which may affect the performance and may end up in an unexpected outcome. Moreover, I am not able to show my emotions properly. Even if the work of subordinates please me or is better than expected, I find it difficult to show my pleasure, happiness, contentment and satisfaction. One cannot, however, deny the importance of these expressions. It

Wednesday, September 25, 2019

Assessment of the Environmental Impact of Electric Vehicles Coursework

Assessment of the Environmental Impact of Electric Vehicles - Coursework Example Conclusion 18 References 1. Introduction Electric vehicles have become a strong trend in the global market. The benefits of electric vehicles, as analyzed above, compared to the conventional vehicles are often used as a justification for promoting the use of these vehicles worldwide. In this context, the following problem appears: which would be the impact of replacing a conventional internal combustion engine vehicle with an electric vehicle capable of similar duty? The above issue is explored in this paper. The following condition is set† the platform of the vehicle remain the same. For the needs of this paper, an electric car has been chosen as the mode of the vehicle, the use of which will be modified. While exploring this issue it has been necessary to cover a series of other topics, such as the characteristics and the differences of electric vehicles compared to the conventional vehicles. ... In any case, conventional vehicles are more likely to cause severe environmental damages, even if the last years their environmental impact has been effectively controlled (Larminie and Lowry 2003, p.258), a fact that can be used for confronting the negative criticism against the conventional vehicles. It should be noted that the replacement of a conventional vehicle with an electric vehicle is not always unavoidable, since conventional vehicles can also promote sustainability, even at lower levels than the electric vehicles. However, if other benefits are targeted, then such replacement should be based on the rules and the processes presented below. 2. The Impact of Replacing a Conventional Internal Combustion Engine Vehicle with an Electric Vehicle Capable of Similar Duty 2.1 Electric vehicles – Description and Characteristics Electric vehicles are those vehicles that are ‘propelled by one or more electric motors rather by an internal – combustion engine’ (Faiz, Weaver and Walsh 1996, p.227). This is the key difference between the electric vehicles and the conventional vehicles, which are based on an internal combustion engine (Faiz, Weaver and Walsh 1996). The range of electric vehicles can be high; there are electric autos, motorcycles, trains and so on (Faiz, Weaver and Walsh 1996). In fact, any conventional vehicle can become electric under the terms that it is appropriately transformed following a particular process (Faiz, Weaver and Walsh 1996). In practice, there are three different types of electric vehicles: a) the electric vehicles that rely on an external generation system, i.e. a generation system which is not incorporated

Monday, September 23, 2019

Ann Taylor Brand Analysis Term Paper Example | Topics and Well Written Essays - 1250 words

Ann Taylor Brand Analysis - Term Paper Example The Ann Taylor brand was created in 1954 and today it has become a well established brand. According to Keller, Sternthal and Tybout, in case of established brands, managers must reassess their points of parity and points of difference from time to time. When customers think about Ann Taylor, they first consider the long term and the admirable market operations of the brand. In order to analyze the brand image of AT, a survey was conducted among 6 women professional from different age groups (between 30 and 39). From the survey responses, it is obvious that old brand image of Ann Taylor including poor fit, the traditional style, comes to customers’ mind when they think of AT despite the restructuring efforts of the company. All the five respondents said that they owned an Ann Taylor product. In addition, most of the participants said that they gave great emphasis on company’s reputation while choosing a clothing brand. The survey also indicated that poor quality and sty le are the main reasons why customers are reluctant to buy AT products. Misconceptions like ‘AT still follows a conventional business pattern’ also have adversely affected the brand’s reputation and thereby sales volume. Nowadays, AT deploys celebrities and initiates advertisement campaigns to change its brand image and associations so as to make consumers enlightened on particular product characteristics and quality. This advantage assists Ann Taylor to raise sales only on the strength of its brand image despite its product features. Although these brand-related or non-product related associations have to be emphasized, the company must make sure that such associations do not reduce the market demand of its products. In short, American women customers tend to choose Ann Taylor brand mainly because of the reputation the brand has in the US clothing market. Brand Elements Brand position, brand promise, brand personality, brand story, and brand associations are the important elements associated with a brand. Ann Taylor brand specifically works for addressing the clothing needs of middle class professional women. This brand equally serves the interests of every woman whether she is a trainee in a small firm or a top executive at a multinational corporation. High quality is the most important feature that the brand offers to its customers. The brand is well known for its repute across the New York market for more than a half century. The company’s long success history adds value to its brand credibility which in turn assists the brand to maintain customer loyalty. While analyzing the brand association, it seems that the Ann Taylor makes efficient use of its logos, packaging, and slogans. Ann Taylor’s Heidi Klum featured Holiday 2010 campaign attained great public attention and it assisted the company to change its brand image to some extent. However, Ann Taylor’s logo is not much recognized in the market and people do not e asily recognize AT products among other brands despite its long years’ service history. In short, these brand elements have reinforced the point of difference, which represents the outcomes of product differentiation. While analyzing

Sunday, September 22, 2019

Silvio Napoli Case Summary Study Example | Topics and Well Written Essays - 250 words

Silvio Napoli Summary - Case Study Example Being a general manger, he should understand the difference between being disciplined and over burdening and suffocating to the other team members and employees (Sullivan, 2013). Napoli needed to show Flexibility according to the culture and needs of the country in which he was trying to set up business. Schindler made the right choice in sending Napoli to India, as they wanted someone young and innovative in approach to be there as compared to a veteran, as they wanted him to take bold decisions. As Napoli himself recalls that it was an ideal opportunity, but not an ideal situation given to him to adapt and make a bright career for himself; â€Å"Mr. Napoli, if you fall on your face here you are finished! But if you succeed, you will have a very nice career† (Flagan, Yoshino & Bartlett, 2006). Napoli was young and energetic and knew the project from scratch. He had been conducting research into the Indian market and was also important in terms of social capital as he understood the market and prospects better, for he had travelled to India three times for the project (Flagan, Yoshino & Bartlett, 2006). Napoli even demonstrated inflexibility in the business plan when he did not leave room for any customization allowance leading to the major problem faced in terms of Indian market; where there was constant demand for customization (Flagan, Yoshino & Bartlett, 2006). He should have been flexible and insightful to change (Sullivan, 2013) and should have tried to find out why glass wall elevators were being ordered? Napoli demonstrated good managerial skills when he hired a local management team who were fully aware of the local business cultures and market; at the same time displaying that he had no faith in the choices they made (Sullivan, 2013) and got angry when they accepted an order for glass wall elevator. He should

Saturday, September 21, 2019

HPE - Tennis Research Assignment Essay Example for Free

HPE Tennis Research Assignment Essay By using my knowledge and understanding of skill acquisition principles, psychology of learning and biomechanics, I have produced a six-week tennis training program. Incorporated in this report are the types of feedback used, the research laboratories carried out, and the design, analysis and evaluation of my coaching program.  Research Laboratories  Three research laboratories (See Appendices A, B and C) were carried out to assist in the development of my coaching program. These laboratories were on different types of feedback, the importance of accurate feedback and the use of feedback in mental rehearsal. The results from these labs provided me with a guide as to which type and the amount of feedback needed for a successful coaching program. Background Overview  Types of Feedback  There are many different types of feedback that can be used to enhance ones performance. Generally, the more precise the feedback, the more accurate the performance will become. (Amezdroz, G., Davis, D., Dickens, S., Hosford, G., 1999, 2001. Queensland Senior Physical Education, Macmillan Education Australia, South Yarra, Australia.) The types of feedback used in my coaching program were: Knowledge of performance-general performance this was used for the early stage of my coaching program when I needed a clear picture in my head to compare my actual performance with, eg. correct stance when serving. This type of feedback was provided to me by the coach, teacher and/or fellow participants in my program. I also watched my performances on video so I actually saw where I was going wrong and could then work on my motor skills. Positive feedback this was given when I successfully completed a task. Positive feedback encouraged me to try again and persevere with the learning. This was used throughout the whole duration of the coaching program.  Knowledge of performance-specific this was used in the later stage of my program. When I completed executing a movement or skill I was told on what I was doing wrong, and what to do to improve on my performance, eg. my ball toss was too low and I would therefore rush to hit the ball or simply miss it. By throwing the ball higher I give myself ample time to raise the racquet to hit the ball. Knowledge of performance gave me more detailed technical information to improve my skills. Concurrent (continuous) feedback this was, as the name states, a continuous form of feedback given throughout the coaching and practice sessions.  Augmented (external) feedback this type of feedback was provided both visually and verbally. I viewed a video of my performance and analysed what I was doing in/correct.  Design and Analysis of Coaching Program  At the beginning of my training I was at the late Cognitive stage of learning. I had little experience and knowledge of the game of tennis. During the six weeks of training I learnt and began to understand the skills needed and the rules of the game. I have now progressed through to the early Associative stage as demonstrated by my ability to effectively serve in both courts. The coaching program was based on distributive practice. This is where I would have short, practice sessions of a skill followed by a short break. For example, after doing 10 serves in both right and left court I was given a 2 minute break. During the break I would visualise in my head, the skills I had just learnt, and then the correct way to execute it. After the rest interval I would then carry out the skills. Improvements could be seen by me placing 50% of first serves and 75% of second serves in court. Whole-part learning was incorporated into the coaching program. This is when I would learn the whole skill at once, then break it down and concentrate on certain components that I was having difficulty with. Eg., learning to serve in tennis:  1. An explanation and demonstration on how to serve the ball was given  2. I carried out the serve like I had been shown  3. The serve was broken down into each skill associated with it that I was having problems with. Ie, stance, ball toss.  4. Each skill was then learnt and completed with success  5. All skills were then put together and a full serve was executed Mental rehearsal was also a very important factor in improving my tennis performance. By zoning out before a training session I would allow myself to block out all factors including spectators, noises, etc., and concentrate fully on the task at hand. An example of one of the main mental rehearsal activities I undertook was bouncing the tennis ball 2-4 times before serving. The research laboratories carried out gave an indication on why the types of practice and feedback I incorporated in my program would be more useful than any others. For example, a lab indicated that the more precise feedback we were given, the greater improvement we made on our performances.

Friday, September 20, 2019

Murder Manslaughter And Infanticide Philosophy Essay

Murder Manslaughter And Infanticide Philosophy Essay Murder is the crime of intentionally causing the death of another human being, without lawful excuse. The definition of murder was given in the case of Chris Rwakasisi, Elias Wanyama v Uganda (1991) UGSC 2. The appellants where indicted for 16 counts of murder and kidnapping with intent to murder. The justices of the supreme court defined murder thus à ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦.It consists of the unlawful act or omission of one person, which causes the death of another person with malice aforethought. The elements of the offence are thus (1) the unlawful act or omission; (2) the death being caused as a result of the act or omission; and (3) malice aforethought, that is the intent to cause death or knowledge that the act or omission would, probably cause death (at least serious bodily harm). When an illegal death was not caused intentionally, but was caused by recklessness or negligence (or there is some defense, such as diminished capacity), the crime committed is manslaughter. The first element in murder is causing death. It is impossible to give a precise definition of this, but some legal principles have been developed to help. The penal code act section 196 states that A person is deemed to have caused the death of another person although his or her act is not the immediate or sole cause of death in any of the following cases- (a) If he or she inflicts bodily injury on another person in consequence of which that person undergoes surgical or medical treatment which causes death. In this case it is immaterial whether the treatment was proper or mistaken, if it was employed in good faith and with common knowledge and skill; but the person inflicting the injury is not deemed to have caused the death if the treatment which was its immediate cause was not employed in good faith or was so employed without common knowledge or skill; b) if he or she inflicts a bodily injury on another which would not have caused death if the injured person had submitted to proper surgical or medical treatment or had observed proper precautions as to his or her mode of living; c) if by actual or threatened violence he or she causes such other person to perform an act which causes the death of such person, such act being a means of avoiding such violence which in the circumstances would appear natural to the person whose death is so caused; d) if by any act or omission he or she hastened the death of a person suffering under any disease or injury which apart from such act or omission would have caused death; e) if his or her act or omission would not have caused death unless it had been accompanied by an act or omission of the person killed or of other persons. Many common law jurisdictions abide by the year and a day rule, which provides that one is to be held responsible for a persons death only if they die within a year and a day of the act. Thus, if you seriously injured someone, and they died from their injuries within a year and a day, you would be guilty of murder; but you would not be guilty if they died from their injuries after a year and a day had passed. Malice aforethought is the second ingredient when determining murder. Originally malice aforethought carried its everyday meaning-a deliberate and premeditated killing of another motivated by ill will. It is the intent and knowledge of committing an unlawful act. section 191 of the Penal code Uganda defines malice aforethought as an intention to cause the death of any person, whether such person is the person actually killed or not; or knowledge that the act or omission causing death will probably cause the death of some person, whether such person is the person actually killed or not, although such knowledge is accompanied by indifference whether death is caused or not, or by a wish that it may not be caused Murder necessarily required that an appreciable time pass between the formation and execution of the intent to kill. The courts broadened the scope of murder by eliminating the requirement of actual premeditation and deliberation as well as true malice. All that was required for malice aforethought to exist is that the perpetrator act with one of the four states of mind that constitutes malice. It is not murder to kill someone with lawful excuse; lawful excuses include killing enemy combatants in time of war (but not after they surrendered), killing a person who poses an immediate threat to the lives of ones self or others (i.e., in self-defense), and executing a person in accordance with a sentence of death (in those jurisdictions which use capital punishment). Sometimes extreme provocation or duress can justify killing another as well. Under English law, it is murder to kill another human being for food, even if without doing so one would die of starvation. This originated in a case of R v Dudley and Stephens (1884) 14 QB shipwrecked sailors cast adrift off the coast of South Africa in the 1920s; two of the sailors conspired to kill the other sailor, and having killed him ate his flesh to survive. Most countries allow conditions that affect the balance of the mind to be regarded as mitigating circumstances against murder. This means that a person may be found guilty of manslaughter on the basis of diminished responsibility rather than murder, if it can be proved that they were suffering from a condition that affected their judgment at the time. Depression, Post-traumatic stress disorder and medication side-effects are examples of conditions that may be taken into account when assessing responsibility. Manslaughter is a legal term for the killing of a human being, in a manner considered by law as less culpable than murder. The law generally differentiates between levels of criminal culpability based on the mens rea, or state of mind. This is particularly true within the law of homicide, where murder requires either the intent to kill a state of mind called malice, or malice aforethought or the knowledge that ones actions are likely to result in death; manslaughter, on the other hand, requires a lack of any prior intention to kill or create a deadly situation. Manslaughter is usually broken down into two distinct categories: voluntary manslaughter and involuntary manslaughter. Voluntary manslaughter occurs either when the defendant kills with malice aforethought (intention to kill or cause serious harm), but there are mitigating circumstances which reduce culpability, or when the defendant kills only with an intent to cause serious bodily harm. This can be seen in the case of Francis Masaba v Uganda 1989 UGSC 1. The appellant was a bar tender and was involved in a fight with the deceased after a night of drinking. The appellant is said to have stab the deceased three times in the chest. The learned justices upheld the verdict of manslaughter Voluntary manslaughter in some jurisdictions is a lesser included offense of murder. The Penal code act 1950 sets out three partial defences that reduce murder to voluntary manslaughter; diminished responsibility, provocation and suicide pact. Diminished responsibility. This covers diminished mental responsibility for a crime falling short of the requirements of the complete defence of Insanity. Under Section 194 Penal code Act 19570 there are three requirements for the defendant to raise the defence of diminished responsibility: The defendant suffered from an abnormality of mind at the time of the killing. An abnormality of mind is a state of mind so different from that of ordinary human beings that the reasonable man would term it abnormal. The abnormality was caused by one of the causes specified by the Act: a condition of arrested or retarded development of mind, any inherent cause or a disease or injury. The abnormality substantially impaired the defendants mental responsibility for the killing. Substantial means the lack of control must simply be more than trivial. Under s194 (2) of the Act it is for the defendant to prove he suffered from such a condition on the balance of probabilities. Provocation. Provocation was originally a common law defense to murder, but it was reformed by s3 Homicide Act 1957. There are two limbs to the defence, first the defendant must have actually been provoked, and second the provocation must be such as would have made the reasonable man act as the defendant did. Provocation can come from someone other than the victim and be aimed at someone other than the accused. Further the defense is not defeated by the fact that the defendant induced the provocation. Provocation in fact: It is a question of fact for the judge whether the defendant was in fact provoked. The loss of control must be sudden and temporary; however it can be the result of slow burn with a relatively minor final straw. This can be evidenced the case of John Bisset Stenhouse v Uganda 1972 UGCA 1. In this case the appellant was a school teacher who was attacked by riotous students. The teacher and his wife were attacked by stones. The teacher fired two shoots from his gun killing two students. The learned judges held that the teacher was under provocation and acted in self defence. The reasonable man test: The provocation must be enough to make a reasonable man do as the defendant did. The reasonable man has the same sex and age as the defendant and such characteristics as affect the gravity of the provocation to the defendant, but characteristics irrelevant to the provocation such as unrelated mental disorders are not given to the reasonable man. Finally, the reasonable man always has reasonable powers of self control and is never intoxicated. Suicide pacts. Penal Code 1950 introduced the defence of suicide pact. The intention was to show some compassion for those who had been involved in a suicide pact but failed to die. A suicide pact is a common agreement between two or more persons having for its object the death of all of them, whether or not each is to take his own life. The accused must have had a settled intention of dying in pursuance of the pact to avoid him entering into a supposed pact with the real intention of committing murder. This is in section 195 of the penal code Act It shall be manslaughter and shall not be murder for a person acting in pursuance of a suicide pact between him or her and another to kill the other or be a party to the other killing himself or herself or being killed by a third person Involuntary manslaughter is the unlawful killing of a human being without malice aforethought. It is distinguished from voluntary manslaughter by the absence of intention. It is normally divided into two categories; constructive manslaughter and criminally negligent manslaughter. Constructive manslaughter is also referred to as unlawful act manslaughter. It is based on the doctrine of constructive malice, whereby the malicious intent inherent in the commission of a crime is considered to apply to the consequences of that crime. It occurs when someone kills, without intent, in the course of committing an unlawful act. The malice involved in the crime is transferred to the killing, resulting in a charge of manslaughter. For example, if a person throws a brick off a bridge into vehicular traffic below they could be found to intend or be reckless as to assault or criminal damage DPP v Newbury. There is no intent to kill, and a resulting death would not be considered murder, but would be considered involuntary manslaughter. The accuseds responsibility for causing death is constructed from the fault in committing what might have been a minor criminal act. Criminally negligent manslaughter occurs where death results from serious negligence, or, in some jurisdictions, serious recklessness. A high degree of negligence is required to warrant criminal liability. A related concept is that of willful blindness, which is where a defendant intentionally puts himself in a position where he will be unaware of facts which would render him liable. Infanticide. Another form of voluntary manslaughter is infanticide. This offense is in the Penal Code of Uganda Section 213. Generally, a conviction of infanticide will be made where the court is satisfied that a mother killed her newborn child while the balance of her mind was disturbed as a result of childbirth; for instance, in cases of post-natal depression. It is a form of manslaughter, and carries the same range of sentences as a manslaughter conviction. While infanticide is a separate offense from murder, and not a reductive defense to murder, in practice it works in much the same way as a reductive defense. Such was in the case of Miriam Muthoni Kariuki v Republic (2008) KLR Court of Appeal. The appellant was convicted of murdering her 1year son by strangulation by the high court. On appeal the Justices of the Court of Appeal found her to have been with a disturbed at the time of the act and consequently substituted the conviction of murder with infanticide.

Thursday, September 19, 2019

A level :: Design and Technology

A level Objective The challenging task that I have finalised and undertaken for this coursework is to build and test a sensor. I decided to build a sensor, which would automatically change the speed of a fan by using a thermistor. The main objective of the experiment was to monitor and record the voltage change as the temperature changes. Specifically, as predicting that when the temperature increases the voltage would increase and thus the fan speed would increase too, thus causing a cooling effect to the environment. Data Information Thermistors are thermally sensitive resistors and have, according to type, a negative (NTC), or positive (PTC) resistance/temperature coefficient. A thermistor is a type of resistor whose resistance changes significantly when its temperature changes. A negative temperature coefficient thermistor has a resistance that decreases with increase of temperature. This is the most common type. This is the type of resistor that I shall be evaluating and will be using in my experiment. A positive temperature coefficient thermistor has a resistance that increases with increase of temperature. The resistance of a semiconductor generally decreases with increase of temperature. Semiconductors are therefore used to manufacture NTC thermistors. When the temperature of a semiconductor is increased, the number of charge carriers increases as more valence electrons gain sufficient energy to break free from atoms to become conduction electrons. The number of charge carriers increases as the temperature is increased so the resistance of the semiconductor falls. Semiconductors are used to make a wide range of electronic devices including electronic chips, light emitting diodes and solid-state lasers. Communications, commerce and entertainment have been revolutionised as a result of semiconductor devices. In electrical terms, materials are classed as either conductors or insulators or semiconductors. Semiconductors are solid materials with conductivities in between the very high conductivity of metals and the very low conductivities of insulators. There are a variety of types of semiconductor, including metal oxides as well as elements like silicon and germanium. In insulators, essentially all the electrons are tightly bound to atoms or ions, and none are free to move under an external electric field. In effect, these materials do not conduct electricity at all. In metallic conductors, essentially all the atoms are ionised, providing free electrons, which move freely through the ions and can move under an external electric field. These conduction electrons 'glue' the ions together, and provide non-directional bonding which holds the material together. They become shared amongst all the atoms in the material instead of remaining attached to one atom. Semiconductors differ from both insulators and metallic conductors. Only a small proportion of atoms are ionised, so that although there are conduction electrons they are relatively small in number and the

Wednesday, September 18, 2019

Sir Walter Scott :: Essays Papers

Sir Walter Scott Sir Walter Scott was born in a tenement at College Wynd, in Edinburgh, on August 15, 1771. There is evidence that he may have been born in 1770 and when his mother was asked about it she said she had forgotten the detail of when he was born. There was no deep warmth between parents and children in the Scott family. The Scott family had no fewer than twelve children and young Walter was the ninth. Him and his two other brothers were the only children to survive. All other nine children had died because they were premature or they died shortly after they had been born. At the time of Walters birth his mother was thirty-nine and his father was forty-two and having a child was not exciting to them anymore. His parents had named one of their first siblings Walter who was born and died in 1766 and after they named young Walter that he always felt that he had a second hand name. Walter was a healthy child until he was about eighteen months and he got a very bad fever, which kept him in bed for awhile. One day when he was recovering he was in the bath and they realized he had lost the movement in his right leg. He had infantile paralysis. Doctors tried to help him and fix it but it was a lost cause. He was not fully crippled but his right leg would never be the same. His mother became pregnant again and she could not deal with Walter while he was sick. Therefore she sent him to him to his grandfather's farm at Sandy Knowe in the spring of 1773. He stayed at this farm until he was three and a half. It was hear that his grandfather taught him to walk and eventually run. Everyone on the farm also encouraged Walter to talk Walter's aunt; Janet Scott brought it upon herself to raise Walter. Over the next six years she was Walter's foster mother and first teacher. Walter's relationship with his father lasted twenty-eight years and went though many different stages. Dominating over everything else Walter knew that he was not an important child. Robert his oldest brother did not go to the High Sch ool like his brothers did but was sent to a superior boarding school. He also had the freedom to pick his profession unlike Walter.

Tuesday, September 17, 2019

Evansville Sewer Replacement Project Essays -- sanitary sewer, indoor

In researching decision making topics, I chose to investigate the decisions that went into implementing the Evansville Sewer Replacement project and the impacts it had to consumers and local government officials. In order to understand and research the decisions made, I also had to explore the details of the project and what made up the initiative, its purpose, and its effect on consumers. Throughout research, it was determined that this project came about because of many factors over a period of time and the timeline of the project was based on and affected by decisions made by the city government. The purpose of the Evansville Sewer Replacement initiative is to eliminate the use of Combined Sewer Outflows (About CSOs) in the City of Evansville within twenty years (Martin). This initiative was directed by the government and the Environmental Protection Agency (EPA). The EPA enforces the Clean Water Act of 1972, which mandates the control of these CSO’s across the United States and demands that the city prepare a long-term plan in line with appropriate water quality standards (Program Facts). Due to the city’s decision throughout history to underinvest in their sewer system, they now are faced with having to address a significant issue of updating an aging system that requires many updates in order to comply with these federal mandates at a substantial cost (Evansville Water and Sewer Utility). CSO’s are combined sanitary sewers that carry both sewage and storm water and the overage exceeds the capacity of the infrastructure (Program Facts). Around 100 years ago, many cities such as Evansville began building storm sewers to carry wastewater away from homes, businesses, and the streets. Then, with the installation of ind... ...ht Banks. N.p., n.d. Web. 12 Apr. 2014. . Evansville Water and Sewer Utility. Funding Our City’s Sewer Improvements. N.p.: Evansville Water and Sewer Utility, n.d. www.evansville.in.gov. Renew Evansville. Web. 25 Apr. 2014. . Martin, John. "City, Feds Working to Finalize Plan to Curb Combined Sewer Overflows." Courier and Press. Scripps Interactive Newspapers Group, 22 Mar. 2013. Web. 12 Apr. 2014. . "Program Facts." Evansville.IN.Gov. Renew Evansville, 01 May 2013. Web. 12 Apr. 2014. . 2012 Combined Sewer Overflow Operation Plan (CSOOP) Update. Evansville: Evansville Water and Sewer Utility, 12 Nov. 2012. PDF.

Homelessness in Ireland Essay

What is Homelessness The Housing Act 1988 defines a homeless person as somebody who has no reasonable accommodation to live in or lives in a hospital, institution or night shelter because of a lack of home. Human Dignity Issue Shelter is a basic human need, yet throughout the word there a people looking for a place to live with dignity. Being homeless is more than just not having a roof over your head – it usually means that a person’s security and belongings needs are also not met. You can become homeless for many different reasons. These could include: * Being evicted * Losing your job * Health problems * A disaster such as fire or flooding In 2009 there were up to 4,000 people reported to be homeless. 800 of them were children and two hundred of these children were under the age of 12. Abraham Maslow, an American psychologist, designed a pyramid to explain the basic needs required to protect human dignity. In this pyramid he not only names shelter as a basic human need but also names the need for security. Security needs include the need to be safe and protected when if homeless, is broken. To protect human dignity the local authorities have to take action. Duties of Local Authorities towards Homeless People While the 1988 Act does not impose a duty on housing authorities to provide housing to people who are homeless, it does clearly give responsibility to the local authorities to consider the needs of homeless people and expands their powers to respond to those needs. For example authorities may house homeless people from their own housing stock or through arrangement with a voluntary body. (Simon Community, St Vincent de Paul) The Act also enables the local authority to provide a homeless person with money to source accommodation in a non -governmental institution. In addition to the provisions relating to direct responses to people presenting as homeless, Section 10 of The Act enables local authorities to provide funding to voluntary bodies for the provision of emergency accommodation and long term housing for people who are homeless. The 1988 Act requires that local authorities carry out recurrent assessments of the number of people who are homeless in their administrative area, as part of their housing needs assessment. The Health Service Executive (HSE) has responsibility for the health and in-house care needs of homeless people. In terms of funding, this means that local authorities are responsible for the costs of providing accommodation while the HSE Areas will provide funding for homeless persons’ care and welfare needs, including in-house care. Making a Difference There are many charities and voluntary organisations towards homeless people in Ireland such as: * Simon Community * The Salvation Army * St Vincent de Paul * Sonas Housing * The Peter McVerry Trust One of the biggest in known charities is Focus Ireland. Focus Ireland is a non-profitable organisation made specifically to help homeless people. Ireland, though a relatively modern country has many people, even children ‘sleep rough’ every night and it is our responsibility to help them. References www.cpa.ie www.theirishcentral.com www.whycare.ie www.focusireland.ie www.citizensinformation.ie en.wikipedia.com

Monday, September 16, 2019

Senior Seminar Research Proposal

Introduction Forensic entomology is used to determine such crimes as murder, suicide, and other criminal acts by examining various insects instead of using human tissues. This forensic tool is used to determine the postmortem interval of a corpse and the cause of death of a corpse when all other forms of human evidence (human blood, tissues, hair, etc. ) are not present at the scene. Forensic entomologists prefer using insects to determine these factors of death because the insects produce similar results as human test materials such as human blood or tissues which yield the best analytical results for the forensic entomologist.The use of forensic entomological evidence has been accepted and used in many courts around the world (Anderson, 1999). The use of this tool in court can support or refute a suspect’s alibi and improves the criminal investigation against the suspect (Anderson, 1999). Even though forensic entomology is an efficient tool to use in criminal investigations there are some drawbacks to this analytical tool. Such disadvantages include improper collection of entomological evidence and improper analysis of insects after collection, resulting in incorrect entomological results and a possible false conviction of a suspect.The proposed research of this paper focused on insects being affected by different concentrations of ethanol during natural insect development and also focused on the detection of ethanol in insects using gas chromatography mass spectrometry (GCMS) to determine if insects were significantly affected by ethanol exposure. The research also focused on the exposure of ethanol to the insects and how this exposure affected PMI (postmortem interval) determination. Forensic entomology is a commonly used tool to determine cause and time of death by examining various characteristics of insects that are collected at the crime scene.Such characteristics include size of the insect(s) and the life cycle stage of the insect collected. For ensic entomology becomes the most accurate and sometimes the only tool available for determining time of death, especially after 72 hours (Anderson and VanLaerhoven, 1996). Forensic entomology can also determine if a body has been moved from place to place, determine where the death occurred, determine the presence of various types of drugs and toxins present (if any), wound location, and determine who the suspect and victim are due to the presence of certain insects on the body (Grisales, et al. 2010). Background/Literature Review There are five levels of decomposition identified by a forensic entomologist when conducting an entomological investigation which include fresh, bloated, active, advanced, and remains (Grisales, et al. , 2010). These stages of decomposition are important to a forensic entomologist because insects appear on a corpse periodically throughout the decomposition cycle which therefore determines the time of death of a corpse. During these levels of decomposition insects begin to reach the corpse either by flying (adult flies) or by burrowing through the ground (pupae).Some insects can also reach the corpse by hatching from eggs (larvae) that were laid on the corpse after death. The fresh stage of decomposition involves a drop in body temperature and the appearance of very few flies on the corpse. The insects that are collected are typically larvae and are collected from the mouth of the corpse. The bloated stage of decomposition involves a significant increase in the body weight of a corpse due to rainfall exposure. The insects that are collected at this stage of decomposition are larvae found on the back, head, ears, and anus of the corpse (Grisales, et al. 2010). The active decay stage of decomposition involves fly larvae feeding on a corpse which significantly lowers the body weight of the corpse and an increased amount of fly larvae found in the intestines/ organs of the corpse (Grisales, et al. , 2010). The advanced stage of decomposi tion involves the fluctuation of body temperature depending on the location of the corpse and an even bigger decrease in body weight due to increased consumption of body tissues by fly larvae (Grisales, et al. , 2010).There is an increase in adult flies that are collected at this stage of decomposition. In the last stage of decomposition, remains, there is no continued change of the corpse and the presence of insects found decreases (Grisales, et al. , 2010). The stages of decomposition and the insects present at these stages are also used to determine the postmortem interval (PMI) of a corpse. PMI, or postmortem interval, provides important detail of situations that occurred before time of death in cases of homicide and untimely death (Byrd and Castner, 2001).Arthropods that are found on the corpse can determine the length of egg to fly transformation then to the recovered developmental stage (Gennard, 2007). The best arthropods to use are the oldest ones that were yielded from egg s when the larvae were first deposited on the corpse because they have the longest feeding time on the corpse which allows them to fully develop and retain any evidence from the corpse much longer; this will produce a more accurate PMI. Such information can help to identify both the criminal and the victim by eliminating the suspects and connecting the deceased with other individuals.The predictable physical and chemical consequences of death are usually the most reliable PMI indicators, which means knowing what an insect should look like at which developmental level to determine when a dead body became a corpse (Henssge et al. 1995). PMI is also associated with the succession rate of various insects which is another tool that is used to determine the time of death of a corpse. The succession rate includes information about the time elapsed between death and the presence of a particular arthropod or insect species and stage (Byrd and Castner, 2010).A dead body will go through very r ecognizable decomposition stages (physical, biological, and chemical changes) that attract various types of arthropods in each decomposition stage that are needed to determine the succession rate (Monthei, 2009). The most common succession rate estimated by an investigator is the age of larvae and the time interval between death and the arrival of larvae on the corpse (Byrd and Castner, 2010). The knowledge of what insects are supposed to be present and absent based on the season also helps to determine PMI.Calculation of PMI involves five different arthropod life stages (eggs, larvae, pupae, adult, and carcass) for flies when collecting insects from corpses. The egg stage of the fly is characterized by the laying of between 150-200 eggs, with the exception of some flies lying between 2000-3000 eggs, found on the body in cluster form within areas that provide protection, moisture, and food (Gennard, 2007). Fly eggs are typically shiny and white; the eggs have a similar appearance to that of a grain of rice.The reason for specific placement of eggs on a decomposing body is the fact that the body contains a high quality of nutrients which are used as a feeding source for the fly eggs to grow, as well as the influence of growth on other species of insects that feed on the decomposing body. The larval stage of the fly species is characterized into three stages (L1, L2, and L3) which correspond to the number of slits present on the backs of the larvae (Gennard, 2007). These slits are used by entomologists to determine what stage of life the larvae are in when collected.In the third larval stage, where larvae are the largest, the larvae stop feeding on the corpse and begin looking for a place to begin pupariation. Pupariation is the final stage of development in metamorphosis into the adult stage and is generally called the larval post-feeding stage (Gennard, 2007). Pupariation typically doesn’t take place on the corpse because insects in this stage prefer to be in a cool, dark place or underground, if possible. In some instances of fly larvae in pupariation, the insects were shown to pupate on the corpse.The adult stage, or the end of the life cycle, is initiated by the arthropod pushing itself out of the puparium case and once the adult fly is free from the puparium case, the insects make their journey upward through the soil. Once the adult fly has reached the top of the soil the insects release their waste and expand their wings to make their way to other corpses or decomposing material. The adult stage may be the final stage of the life cycle but the carcass of these adult flies can also be collected as evidence along will the carcasses of arthropods in each life stage.Entomotoxicology Entomotoxicology is the analysis of insects and insect remains for the presence of toxins that may have been present in the corpse before death (Goff and Lord, 1994). Detection of various toxins and controlled substances in insects found on decomposi ng human remains has contributed to the determination of both cause and manner of death by determining what times of toxins were present in the corpse before death (Lord 1990, Goff and Lord 1994, Nolte et al. , 1992).Entomotoxicology also serves as an alternative analysis tool to determine the presence of toxins or cause of death when certain specimens aren’t available for collection, such as human blood or tissues. The toxicological analysis of insect biological materials is conducted in the same manner as the toxicological analysis of human biological materials, making cause of death determination more accurate (Definis- Gojanovic, 2007). Many different species of arthropods, such as flesh flies and blowflies, are used when conducting an entomotoxicological analysis and these arthropods are used to determine the PMI or time before death.The use of entomotoxicology has many advantages, which includes determination of time before death (PMI) and identification of suspect, but this analytical tool also has several disadvantages. One disadvantage includes the issue of recording the exact temperature of the insects because if the information is incorrect then the outcome of the PMI will also be incorrect. Another disadvantage of this analytical tool is the fact that it is fairly new in the forensic science field so if an individual isn’t educated on how to use the technique then valuable entomological evidence related to the case may be lost.Lastly, if proper collection of entomological evidence isn’t conducted properly, the loss of highly important evidence relating to time of death and cause of death could be lost. Cause of death is usually determined by various types of toxins that are detected in the insect after an entomotoxicological analysis was conducted. Issues with Determination of PMI The determination of PMI can be affected by multiple factors but only two will be discussed in this research proposal which include: temperature and ethanol. Temperature involves the rise or fall of temperature to such a high or low that affects the growth or succession rate of insects.Air temperature and exposure to sunlight will raise the corpse temperature which will also increase the insect succession rate. Temperature can also be influenced by such weather conditions as rain, sun, snow, and wind which can greatly affect the amount of entomological evidence collected (insects) and the outcome of a legal investigation (Sharanowski et al. , 2008). Alcohol, or ethanol, is one of the oldest abused drugs in the world that is readily available and the most commonly abused drug in Western societies (Stripp, 2007).Ethanol is a product of fermentation due to yeast cells acting on sugars from fruits and grains that produces a clear, volatile liquid that is soluble in water (Stripp, 2007). Once ethanol enters the blood stream orally it travels in the blood into other tissues. The ethanol travels to tissues with greater water content be cause these tissues will receive greater ethanol distribution. The ethanol concentration will be different in both the corpse and the insects due to the different water amounts found in each species (insects and corpse).The rate at which ethanol is eliminated from the body is another important factor to a forensic entomologist because this can determine the time at which the individual started drinking. The focus of this experiment will involve different concentration levels of ethanol and the effects on the growth rate of the fly species Sarophagidae (flesh flies). Proposed Research The broad, long-term objectives that this research paper is focused on determining whether ethanol can affect the growth rate of entomological evidence and how much ethanol can be detected in the insects.This research is also being conducted in an attempt to make a comparison to the other research experiments to see if the results concerning growth rate of insects exposed to such drugs as morphine or he roin are similar or different to the growth rate results of insects exposed to ethanol. This research paper includes four specific aims that was accomplished as a way to make the broad objective a more manageable piece that could was easier to manipulate. Specific aim one included determining whether ethanol could be found in both test fly species after feeding on the ethanol infused beef liver.Specific aim two involved determining which concentrations of ethanol produced the most significant changes in the flies. Specific aim three involved tracking the growth rate of the fly species that were exposed to the ethanol infused beef livers (test subjects) and those who were not (control). Specific aim four involved observing any change in the growth rate data from the fly species test subjects that were exposed to three specific concentrations of ethanol. These specific aims will be used in sequential order as a way of getting closer to solving the broad objective. Experimental Methods OverviewThe research experiment hypothesized there would be significant changes in the growth rate of the fly species when exposed to the three specific concentrations of ethanol. The research experiment also predicted that there would be obvious physical changes in the flies when exposed to beef livers infused with specific concentrations of ethanol at different stages of life. The experimental design constructed for this experiment involves the fly species Sarophagidae (flesh flies) feeding on beef livers infused with ethanol over a period of eight to twenty-one days which is the general life cycle for flesh flies.The three beef livers had varying concentrations of ethanol (25 ug, 50 ug, and 100 ug) injected into them that the flesh flies were exposed to. The control group for the experiment was hand massaged with deionized water as a way to keep liquid consistency amongst the groups. At the end of the experiment, the insects were collected into a test tube and then exposed to GC MS or gas chromatography mass spectrometry in an attempt to determine the presence of ethanol in the test subject (insects). The insects were also analyzed for any type of stunted or heightened growth in regards to a normal fly life cycle.This analytical test was able to show that there was ethanol present in the fly species. Experimental Variables The independent variable in this experiment is the specific concentration of ethanol that is distributed amongst the three beef livers. The dependent variable in this experiment is the growth rate of both species after exposure to ethanol as well as the specific ethanol concentrations. The controlled group was the fly larvae that were not exposed to ethanol. The other controlled variables of this experiment were the 45 degrees Farenheit (temperature) the beef livers were maintained at and the amount of beef used (8 oz. as the feeding substrate for the fly species. The experimental groups in this experiment were three larvae groups exposed to ethanol and the control group was a larvae group not exposed to ethanol. Procedures/ Measurements The following experimental design was adapted from a previous research study conducted by George et al. , 2009. Three beef livers weighing 8 oz. each were prepared using the corresponding ethanol concentrations for the three experimental groups of the fly species tested (Experimental Group Two- 25 ug, Experimental Group Three- 50 ug, and Experimental Group Four- 100 ug). 0 mL of deionized water was distributed evenly into the control group (EG 1) to maintain liquid consistency amongst all groups. A cluster of fly larvae for the three experimental groups was collected and distributed evenly amongst the three experimental groups (2-4) as well as the control group. The beef livers were contained in a small plastic tub and refrigerated at a temperature of 45 degrees Farenheit when the beef livers were not being used to discourage spoiling of beef liver as well as to avoid evaporation of ethanol.The growth rate of the test subjects from both fly species exposed to ethanol is measured (any alteration in growth rate is the factor that is being measured) over a period of three weeks. At the end of three weeks, or longer if necessary, all of the perished insects from the experiment were collected for analysis using GCMS (gas chromatography mass spectrometry) to determine the presence or absence of ethanol in the insects. Material List Deionized water Ethanol solution Fly larvae of Sarophagidae (flesh flies)Four beef livers (8 oz. each) Graduated cylinder GCMS machine Microscope Pipette Plastic tubs Refrigerator References Anderson, G. S. (1999). Wildlife Forensic Entomology: Determining Time of Death in Two Illegally Killed Black Bear Cubs. Journal of Forensic Sciences, 44(4): 856-859 Anderson, G. S. and Van Laerhoven, S. L. (1996). Initial Studies on Insects Succession on Carrion in Southwestern British Columbia. Journal of Forensic Sciences, 41: 617-625 Brown, G. , F uke, C. , Pounder, D. J. , Robertson, L. and Sadler, D. W. (1997). Barbiturates and Analgesics in Calliphora vicina Larvae. Journal of Forensic Sciences, 42(3): 481-485 Byrd, J. H. and Castner, J. L. (2001). Forensic Entomology: The Utility of Arthropods in Legal Investigations. CRC Press: Boca Raton, FL Definis- Gojanovic, M. , Britvic, D. , Kokan, B. , and Sutlovic, D. (2007). Drug Analysis in Necrophagous Flies and Human Tissues. Arh Hig Rada Toksikol, 58: 313-316 George. K. A. , Archer, M. S. , Green, L. M. , Conlan, X. A. , and Toop, T. (2009).Effect of morphine on the growth rate of Calliphora stygia (Fabricus) (Diptera: Calliphoridae) and possible implications for forensic entomology. Forensic Science International (Online), 193(1): 21-25 Gennard, D. E. (2007). Forensic Entomology: An Introduction. Wiley: England Goff, M. L. and Lord, W. D. (1994). Entomotoxicology : A new area for forensic investigation. American Journal of Forensic Medicine and Pathology, 15:51-57 Grisales, D. , Ruiz, M. , and Villegas, S. (2010). Insects associated with exposed decomposing bodies in the Colombian Andean Coffee Region.Revista Brasileira de Entomologia, 54(4): 637-644 Henssge, C. B. , Knight, B. , Krompecher, T. , Madea, B. , and Nokes, L. (1995). The estimation of the time since death in the early postmortem period. Arnold: London Lord, W. D. (1990). Case histories of the use of insects in investigations. In Entomology and death: A procedural guide, ed. E. P. , Catts and N. H, Haskell. Clemson, SC: Joyce’s Print Shop, 9-37 Monthei, D. R. (2009). Entomotoxicological and Thermal Factors Affecting the Development of Forensically Important Flies.Virginia Polytechnic Institute and State University, Virginia Nolte, K. B. , Lord, W. D. , and Pinder, R. D. (1992). Insect Larvae Used to Detect Cocaine Poisoning in a Decomposed Body. Journal of Forensic Sciences, 37(4): 1179-1185 Sharanowski, B. J. , Walker, E. G. , and Anderson, G. S. (2008). Insect succession and decom position patterns on shaded and sunlit carrion in Saskatchewan in three different seasons. Forensic Science International, 179: 219-240 Stripp, R. A. (2007). Drugs of Abuse. The Forensic Aspects of Poisons. Chelsea House: New York

Sunday, September 15, 2019

Historical Perspective Essay Essay

As per Elizabeth Ann Manhart Barret â€Å"Nursing science is the substantive, abstract knowledge describing nursing’s unique phenomenon of concern, the integral nature of unitary human beings and their environments. The creation of this knowledge occurs through synthesis as well as qualitative and quantitative modes of inquiry. Nursing science-based practice and research is the imaginative and creative use of nursing knowledge to promote the health and well-being of all people.†(Kalisch. 1986) The theorist who I believed had the most tremendous impact on nursing research and the profession of nursing as it stands today is Florence Nightingale. Florence Nightingale, originally from England was a great visionary and pioneer of nursing in the 1870’s. Her focus and teachings in nursing were on patient care and hygiene to enhance healing. Florence Nightingale did not consider herself a theorist however her documentation of her practice have guided the science of nursi ng and nursing research for decades. Nightingale’s Environmental theory is an integral part of healthcare today. Her principles are better adopted in an educational setting but can be applied to a clinical setting. Nightingale’s Environmental theory was based on the concept that the environment could be altered to improve conditions so that the natural laws could allow healing, and that the environment is capable of suppressing, preventing or causing disease and illness in the individual. Her theory also stated that a poor environment leads to poor health and disease. Core concepts or metaparadigms are the tenants of nursing and their role is to define how patients should be treated. The concepts are the person, the environment, health and nursing. (Avant. 2011). All of the concepts are interrelated and each concept builds upon the concept that precedes it. Nightingale’s definitions of the metaparadigms have been utilized by many of the theorist that have followed her and are still widely  used today. She defined them as followed: The human was seen as the person or the individu al. The role of the nurse is to alter the environment to place the individual in the best condition for nature or the environment to act upon them. The environment was defined as all external and internal factors that can affect the health and wellness of the individual and health was defined as the process of getting well In conclusion research and nursing science has greatly evolved through the years and will continue to do so over time with the continued contributions from nurses such as Florence Nightingale and the continued advancements in research and medicine. As the needs of the patients continue to grow so will the quest for more nursing knowledge, and the science of nursing will continue to develop.

Saturday, September 14, 2019

Humanism in The Renaissance Essay

The Renaissance was a great revolution in Europe from the ways of the Middle Ages. This essay is about the different aspects of humanism evident during the Renaissance (the changes in political philosophy, art and religion). Essay Question: What cultural changes during the Renaissance portrayed humanism? Humanism in the Renaissance The Renaissance was a time in which the modern age began, because of humanism. Humanism is a way of life centered on human interest. It was a huge change to switch from a religion based society in the Middle Ages to a people based society in the Renaissance. During the Renaissance, humanism effected political philosophy, art and religious change. First, political philosophy was severely changed during the Renaissance due to humanism. Niccolo Machiavelli of Florence, Italy was the main source of change. At this time there was much conflict between the cities of Italy. Because of this, Machiavelli wrote a book on his political philosophies to keep the current ruler in power. His book was entitled, The Prince. Machiavelli had a very negative, yet realistic, outlook on human nature. He wrote in his book that it is best for a ruler to be feared as opposed to being loved. His reasoning for this belief was that people are not very faithful; they are likely to stay loyal when things are going well, but when things get tough, they will desert you. If the ruler is feared, people should be afraid to go against him or her. He also wrote in his book that political life should not be governed by one set of beliefs. This belief is humanistic, because a single person’s view holds much more importance. He did not believe the government should be entirely run off of one set of religious views. Machiavelli’s humanistic opinions changed the political philosophy during the Renaissance greatly. Another area influenced by humanism during the Renaissance, was art. If you compare art from the Middle Ages to art in the Renaissance you can see many differences. In Middle Age art, all of the people in paintings look very similar, whereas in Renaissance art, people were given unique  characteristics. This difference shows humanism, because it proves that individuals were becoming more and more important. Individualism was common in artwork now, because artists began to paint portraits and self-portraits. The most famous painting of all time, De Mona Lisa, was a portrait painted by Michelangelo during the Renaissance. Another element used in art was perspective. Perspective gave a picture dimension and it made things appear much more realistically. Perspective reflects on the more humanistic and realistic views people were developing at this time. Middle Age art often portrayed people laboring. In Renaissance art, people seem to be enjoying themselves more, because a people cente red society would be much more enjoyable than a religiously based society. The differences between Middle Age art and Renaissance art, really shows how humanism had an effect. The final change that humanism influenced during the Renaissance was religion. Renaissance can be deciphered from different languages to mean â€Å"rebirth†. This certainly was a religious time of rebirth. Probably the largest change was the separation of Christianity from politics. This change is what made European society switch from theocentric to homocentric. This separation portrays humanism, because it follows Machiavelli’s idea that the two should not intertwine. Martin Luther also carried some humanistic ideas. One of his philosophies was that deciphering the bible through a priest was morally incorrect. This philosophy represents humanism, because everyone carries their own head on their shoulders. If you learn the bible through a priest it is likely to be very biased. If you were to read it on your own, you can make your own personal beliefs. Luther’s philosophy shows humanism, because by allowing people to form their own beliefs, you are allowing peopl e to become unique. Humanism was so powerful during the Renaissance, that it influenced Machiavelli to write a book that changed political philosophy. Humanism also made art work appear more realistic. Finally, humanism changed religion, because society was no longer theocentric. From the religious based Middle Ages to the people based Renaissance, there was much change, because of humanism.

Friday, September 13, 2019

Reading strategy Term Paper Example | Topics and Well Written Essays - 1000 words

Reading strategy - Term Paper Example A learner needs to survey the book or the article before reading it. A learner need to carry a quick over view of the article in an attempt to get the general overview and idea the author intends to communicate (Van Blerkom, 2009). This will help the reader to have some knowledge on all what the article or the book is all about even before embarking on serious reading of the article. Second step applied in this system of reading is the formulation of a question. A learner needs to formulate a key question he or she will be addressing before he engages herself in reading the article or section. For example, a heading like â€Å"sensory adaptation† can be changed to a question like â€Å"what is sensory adaptation†. Formulating questions force a reader to think about what they are reading about (Allen, 2008). It makes a reader to try to predict what the author main point will be. This gives the reader an ample time during the entire reading process as he or she is in a position to easily note down the key point from the article or the book she is reading. The learner after formulating the question, then he or she need to carefully go through the content of the article. This will help him, or her to get the crucial information that will help her in answering the question he or she had formulated in the second stage (Van Blerkom, 2009). As the learner tries to read the article in search of answers to the questions he had formulated before, he or she become actively involved in the text material. After going through the article, the learners need to recite the answer to the question they had formulated at the early stage. The learners need to record the answers using their different words. The learner should not necessarily look at the text they are reading as they recite the answers. If the learner finds it difficult to recall part or all the answers, then they need to glance over the section they were reading again (Allen,

Thursday, September 12, 2019

Christology and Ecclesiology Essay Example | Topics and Well Written Essays - 750 words

Christology and Ecclesiology - Essay Example They set forth two reasons for the divinity of Christ, the first one being "dynamic monarchianism" which explains the divinity of Jesus resulting from him being the carrier of a divine power, which "descended upon the man Jesus."(Grenz pg 57) The complete divinity of Christ thought was established at the First Ecumenical Council at Nicea1 in 325, based on Arius' view that Jesus was "begotten of the Father, of the substance of the Father, begotten not made, of one substance with the Father." (Grenz pg 59) Christology is the reaffirmation of our belief and confession in the godliness of Jesus, who is the road to our salvation. The authors of the new Testament strongly believed that Jesus combines in his person the role of God and Savior (2 Pet.1:1, pg 246) Jesus' divinity is attributed to his perfect life or what may be called his "sinlessness" (pg. 252) which was only possible because in Jesus could be seen "a veritable existence of God" (pg. 252) the resurrection of Jesus Christ, which is at the heart of Christian faith, points to the divinity of Jesus. (pg. 259) the historical life of Jesus reveals his humanity, and he becomes not just an "embodiment of God," but of his willingness to be a part of the 'life in community" which he participated in his life on Earth. (pg. 272) According to Stanley Grenz (1994) "The idea of covenant... Baptists, the covenant that joins believers together in the church of Jesus Christ is sealed in believer's baptism." However, during the period of the 1100s and 1200s, theology took on different perspectives. For example, theology did not just mean a discourse related to God, "it now became the rational explication of divine revelation."3 (Yves M.J. Conjar, 1968) The salient points highlighted in Stanley Grenz' book titled "Theology for the Community of God" are traditional themes incorporated in the Christian doctrine related to God, humankind, Christ, Church and the Holy Spirit. Grenz' work is a masterful blend of the traditional, contemporary and the historical to provide us with a coherent outlook involving our Christian faith through the establishment of community with God as its Father. In referring to God as the High Priest of the Church and all of us are his children, he describes a women's place within the community; Grenz expresses his views stating "that women ought to be full participants with men in all dimensions of church life and ministry" (Grenz, 1995, p. 143). Conclusion Grenz' views on Christ as the High Priest of the Church and the faith of the Christian community as a whole in relation to it, has come in for a lot of criticisms from other theologians, especially his notion that women too can be equal participants in both church life as well as ministry. Many theologians criticized him on these grounds and never accepted his views on this. Grenz' view of God's image in relation to God and man is taken to be a serious misrepresentation and is said to be misleading. Grenz is supposed to have charged 'complimentarians with the violation of 'ecclesiological principle of the priesthood of all believers.'4 (J. Grenz with Denise Muir Kjesbo, 1995)

Wednesday, September 11, 2019

Theme of Hamlet and how it relates to me Essay Example | Topics and Well Written Essays - 750 words

Theme of Hamlet and how it relates to me - Essay Example Taking revenge on one’s enemy entails a lot of complex planning and deft handling. The person taking revenge keeps in close contact with his audience and this is done through soliloquies that are narrated from time to time throughout the play. The crime usually takes place within the family circle and is committed against a family member. The avenger usually isolates himself from the others and this tragic lonely state culminates into madness before executing his demonic deed. All of these salient features spoken of can be found in the tragic story of ‘Hamlet’. The isolation in Hamlet is interrupted by soliloquies prompted by a ghostly apparition that haunts him. Hamlet keeps in very close contact with his audience in the seven soliloquies of the play that included the famous soliloquy ‘To be or not to be’. (Act 3, Scene 1) The period of revenge begins from the time of crisis when the avenger begins to doubt the sanctity or good intentions or actions of the one to be avenged. From that moment he seeks to punish his opponent through tough and complex planning of his crime. In Hamlet, Shakespeare beautifully brings out the darkness of the play by introducing a ghost who speaks to a Hamlet during the dark nights, all the while prodding and forcing him to commit his murderous deed. The meeting of the ghost with Hamlet has a great impact on the audience by making them guess that something hateful and gruesome was about to take place. The seed of revenge is sowed in Hamlet’s heart when Claudius decides to marry Hamlet’s mother Gertrude. The ghost plays an important role by moving the story forward with his insinuations, telling Hamlet that he had been chosen to take revenge on Claudius because he had to get punished for his sexual misdeeds. Hamlet, wants to take his revenge immediately by murdering Claudius, but he drags on this crime right to the end of the play. In order to avenge the death of his father, Hamlet stalks his enemy Claudius by

Tuesday, September 10, 2019

The Democratic role of political parties in Canada, Mexico, U.S.A- Do Essay

The Democratic role of political parties in Canada, Mexico, U.S.A- Do political parties in these countries assist in the working of democracy in terms of accoun - Essay Example Political parties will have, generally speaking, carried out research on issues that are of importance to the electorate and try to seek the activation and reinforcement of voters underlying predispositions (Anderson, 1). Most citizens in a country are likely to agree that the reason for the existence of political parties is to provide coherent political options from which citizens can select what is best for them (Fox, 5 - 7). This means that in a democracy, political parties should be able to provide a platform for all those who have a common vision with a structure and a process that will make it possible for them to achieve the desired vision with the permission of a majority of electorate. The will of the electorate is tested in an election and those who have presented a vision that has an appeal to the majority are handed over the right to govern through their nominated candidates. Thus, brokerage, policy formulation and the election as well as support of the right candidates t o public office is also an important expectation from a political party. However, it becomes necessary for political parties to establish a balance between the various roles that they are expected to play, because of resource constraints and priorities, as well as determining what may be more important. This brief essay attempts to investigate the democratic role of political parties in three countries, namely Canada, Mexico and the United States of America in order to try and learn from the democratic experiences from these three countries. Three political parties, namely the Bloc Quà ©bà ©cois in Canada, Republican Political Party in the United States of America and the Institutional Revolutionary Party (Partido Revolucionario Institucional) or the PRI in Mexico were selected for examination and the next section presents a discussion of how the previously mentioned political parties have contributed to the

Monday, September 9, 2019

Europe in the Early Middle Ages Essay Example | Topics and Well Written Essays - 250 words - 1

Europe in the Early Middle Ages - Essay Example It was very awful that during this period, a mysterious disease attacked many individuals killing around 20 million2. This disease spread very fast since it was transmittable from one individual to the other and hence was very difficult to prevent it from spreading. After the fall of the Roman empire, the Catholic Church united people and with time, Charlemagne’ empire became the Holy Romans’ Empire. Additionally, during this period, the Islamic religion became very great and powerful since the death of their prophet, Muhammad. There were also many books and articles written on Islamic Religion. Consequently, it became almost three times larger than before. Additionally, there were also mass crusades by the Christians, whose main intentions were to expel and fight the Muslims3. However, they did not succeed in the end. In the beginning of this period, Feudalism scholars governed Europe. The peasants performed most of the work and were promised protection by this system4. They also experienced a hard time since they could not leave without permission without approval by the

Sunday, September 8, 2019

Are Democracies Inherently Peaceful Essay Example | Topics and Well Written Essays - 1750 words

Are Democracies Inherently Peaceful - Essay Example The main reason people oppose monocracy and military rule is that countries led by such ruling systems are more likely to engage in wars and other type of international conflicts as compared to democratic system. Citizens of those states cannot obtain a peaceful living environment and this situation adversely affects their quality of living. As compared to monocracy, oligocracy, or military rule, democracies are inherently peaceful unless they are unjustifiably attacked by external powers. Giving specific focus to the era of World War I & II, this paper will discuss how democracies are inherently peaceful. Democracy and Peace Many authors opine that democracies strive to provide a peaceful living situation to their people and ensure that living standards of citizens are improved continuously. Undoubtedly, a country’s citizens are the primary stakeholders of a war as they actually bear the miseries of engaging in or financing wars. Therefore, common people are less likely to su pport wars or cross border intrusions. In a democratic country, people have more say in making decisions, and hence they can successfully veto individuals’ decision to fight and finance wars. In contrast, king is the sovereign ruler in monarchies and people have little participation in decision making. As a result, kings can individually take decisions to start or support wars with little personal risk. In order to improve this worse situation, leaders worldwide are strongly supporting democracy. In the opinion of Bass, the Clinton administration’s efforts to form a global ‘community of democracies’ was an attempt to bring peace to the whole world and it was greatly encouraged by many nations. As Bass notes, in their book ‘Electing to fight’, political scientists Edward D. Mansfield and Jack Snyder opine that emerging democracies are often unstable and are more likely to fight wars. To justify their claim that new democracies without having fu lly formed domestic institutions are aggressive, the authors cite the examples ranging from France’s attack on Prussia in 1870 and Vladimir Putin’s ongoing monstrous clampdown in Chechnya. However, sometimes even fully formed democratic countries become warlike because of several reasons. To explain, it is better to consider the 1959 attack on Egypt by Britain, France, and Israel or Bush administration’s invasion of Iraq. Those wars were fought because the democratic governments often found it difficult to trust dictators for serious negations. Similarly, the US attack on Afghanistan in 2001 was in response to the 9/11 terror attack by Afghan militants. More clearly, some wars or interventions organized by democratic countries cannot be termed as aggressive or unpeaceful because they are ultimately aimed at the protection of fundamental democratic notions. As Buchanan points out, Elihu Root, Theodore Roosevelt’s secretary of state stated in 1917 that â₠¬Å"to be safe, democracy must kill its enemy when it can and where it can† (np). The democratic peace theory, often referred to as democratic peace, strongly supports the argument that democracies are inherently peaceful. According to Pace, the democratic peace theory states that democracies are not likely to engage in armed conflict with other identified democracies (269). The democratic peace is contrast to the theories describing war engagement and it can be considered as a ‘theory of peace’ explaining motives that discourage state-sponsored violence. The democratic peace theory is mainly based on the premise that democratic leaders are to bear the responsibility of war losses and they are responsible for answering a voting public. In order to retain their public support, democratic leaders

Term Paper Research Example | Topics and Well Written Essays - 1500 words

Term - Research Paper Example The country, according to the annual report released by the Department of Health, shows that while there is progress in fighting the HIV/AIDS epidemic, there is still a long way to go in terms of the overall improvement of health services. The country still faces serious challenges for pregnant women, maternal mortality, poverty-related diseases and gender-based violence (2006). South Africa attracts a lot of attention from medical researchers due to the unbalanced health care among its citizens. In addition, the issue of racial apartheid was a problem prior to 1994 and this had a profound impact on the dissemination of health services among its citizens. Therefore, South Africa’s history of apartheid, unbalanced health care/ HIV-AIDS epidemic makes it an ideal place to examine. Location Geographically, the country is located on the Southern tip of the African continent. The Atlantic Ocean borders it on the west while the Indian Ocean borders it on both the South and East. Nam ibia, Botswana, and Zimbabwe lie on its Northern border while Mozambique and Swaziland are located on its Northeast borders. South Africa uniquely encloses an independent kingdom called Lesotho (Inter Knowledge Corp, 2010). Population The country is about 472,000 square miles wide (equivalent to 1.2 million sq. km.) and lies beneath the Tropic of Capricorn. It is comprised of three geographical primary regions: an extensive central plateau – and a nearly unceasing cliff of mountain ranges that circle the plateau from the Western, Eastern and Southern side, with a strip of land along the coast (Inter Knowledge Corp, 2010). According to WHO statistics, South Africa has a population of approximately 50,133,000 with a gross national income per capita (PPP international $) of 10,360. In the year 2009, the life expectancy at birth m/f (years) was 54/55 but the probability of dying under five (per 1,000 live births) is currently unavailable. The total expenditure on health per capit a is approximated at 935 with a total expenditure on health % of GDP (2010) estimated at 8.9 (WHO, 2012). Government In pre-apartheid times, the South African government had a highly bureaucratic health care system. The administration of health care was divided into 14 separate departments, which were responsible for looking after the health of the different racial groups, the homelands, and six self-governing territories. The health care services were divided into preventive and curative among government departments, the provinces and the local authorities. The expenditure on tertiary health services was prioritized above primary health care services. This led to the development of a private health sector that is unregulated by the government. In addition, a lack of commitment by the government in terms of training, staffing and ways to eradicate poverty have contributed to the country’s high infant mortality, maternal mortality, life expectancy at birth and incidences of in fectious diseases (such as tuberculosis and measles) among many citizens, especially black people (Department of health, 2010). However, in 1994, South Africa was among the few African countries that had started transforming the health care system. Legislature passed bills that ensured equal distribution of resources, restructuring