Thursday, November 28, 2019

Battle of Okinawa in World War II

Battle of Okinawa in World War II The Battle of Okinawa was one of the largest and costliest military actions during World War II (1939–1945) and lasted between April 1 and June 22, 1945. Forces Commanders Allies Fleet Admiral Chester NimitzAdmiral Raymond SpruanceAdmiral Sir Bruce FraserLieutenant General Simon B. Buckner, Jr.Lieutenant General Roy GeigerGeneral Joseph Stilwell183,000 men Japanese General Mitsuru UshijimaLieutenant General Isamu ChoVice Admiral Minoru Ota100,000 men Background Having island-hopped across the Pacific, Allied forces sought to capture an island near Japan to serve as a base for air operations in support of the proposed invasion of the Japanese home islands. Assessing their options, the Allies decided to land on Okinawa in the Ryukyu Islands. Dubbed Operation Iceberg, planning began with Lieutenant General Simon B. Buckners 10th Army tasked with taking the island. The operation was scheduled to move forward following the conclusion of fighting on Iwo Jima which had been invaded in February 1945. To support the invasion at sea, Admiral Chester Nimitz assigned Admiral Raymond Spruances U.S. 5th Fleet (Map). This included the carriers Vice Admiral Marc A. Mitschers Fast Carrier Task Force (Task Force 58). Allied Forces For the coming campaign, Buckner possessed nearly 200,000 men. These were contained in Major General Roy Geigers III Amphibious Corps (1st and 6th Marine Divisions) and Major General John Hodges XXIV Corps (7th and 96th Infantry Divisions). In addition, Buckner controlled the 27th and 77th Infantry Divisions, as well as the 2nd Marine Division. Having effectively eliminated the bulk of the Japanese surface fleet at engagements such as the Battle of the Philippine Sea and the Battle of Leyte Gulf, Spruances 5th Fleet was largely unopposed at sea. As part of his command, he possessed Admiral Sir Bruce Frasers British Pacific Fleet (BPF/Task Force 57). Featuring armored flight decks, the BPFs carriers proved more resistant to damage from Japanese kamikazes and were tasked with providing cover for the invasion force as well as striking enemy airfields in the  Sakishima Islands. Japanese Forces The defense of Okinawa was initially entrusted to General Mitsuru Ushijimas 32nd Army which consisted of the 9th, 24th, and 62nd Divisions and the 44th Independent Mixed Brigade. In the weeks before the American invasion, the 9th Division was ordered to Formosa forcing Ushijima to alter his defensive plans. Numbering between 67,000 and 77,000 men, his command was further supported by Rear Admiral Minoru Otas 9,000 Imperial Japanese Navy troops at Oroku. To augment his forces further, Ushijima drafted nearly 40,000 civilians to serve as reserve militia and rear-echelon laborers. In planning his strategy, Ushijima intended to mount his primary defense in the southern part of the island and entrusted fighting at the northern end to Colonel Takehido Udo. Additionally, plans were made to employ large-scale kamikaze tactics against the Allied invasion fleet. Campaign at Sea The naval campaign against Okinawa began in late March 1945, as the carriers of the BPF began striking Japanese airfields in the Sakishima Islands. To the east of Okinawa, Mitschers carrier provided cover from kamikazes approaching from Kyushu. Japanese air attacks proved light the first several days of the campaign but increased on April 6 when a force of 400 aircraft attempted to attack the fleet. The high point of the naval campaign came on April 7 when the Japanese launched Operation Ten-Go. This saw them attempt to run the battleship Yamato through the Allied fleet with the goal of beaching it on Okinawa for use a shore battery. Intercepted by Allied aircraft, Yamato and its escorts were immediately attacked. Struck by multiple waves of torpedo bombers and dive bombers from Mitschers carriers, the battleship was sunk that afternoon. As the land battle progressed, Allied naval vessels remained in the area and were subjected to a relentless succession of kamikaze attacks. Flying around 1,900 kamikaze missions, the Japanese sunk 36 Allied ships, mostly amphibious vessels and destroyers. An additional 368 were damaged. As a result of these attacks, 4,907 sailors were killed and 4,874 were wounded. Due to the protracted and exhausting nature of the campaign, Nimitz took the drastic step of relieving his principal commanders at Okinawa to allow them to rest and recuperate. As result, Spruance was relieved by Admiral William Halsey in late May and Allied naval forces were re-designated the 3rd Fleet. Going Ashore Initial U.S. landings began on March 26 when elements of the 77th Infantry Division captured the Kerama Islands to the west of Okinawa. On March 31, Marines occupied Keise Shima. Only eight miles from Okinawa, the Marines quickly emplaced artillery on these islets to support future operations. The main assault moved forward against the Hagushi beaches on the west coast of Okinawa on April 1. This was supported by a feint against the Minatoga beaches on the southeast coast by the 2nd Marine Division. Coming ashore, Geiger and Hodges men quickly swept across the south-central part of the island capturing the Kadena and Yomitan airfields (Map). Having encountered light resistance, Buckner ordered the 6th Marine Division to begin clearing the northern part of the island. Proceeding up the Ishikawa Isthmus, they battled through rough terrain before encountering the main Japanese defenses on the Motobu Peninsula. Centered on the ridges of Yae-Take, the Japanese mounted a tenacious defense before being overcome on April 18. Two days earlier, the 77th Infantry Division landed on the island of Ie Shima offshore. In five days of fighting, they secured the island and its airfield. During this brief campaign, famed war correspondent Ernie Pyle was killed by Japanese machine gun fire. Grinding South Though fighting in the northern part of the island was concluded in fairly rapid fashion, the southern part proved a different story. Though he did not expect to defeat the Allies, Ushijima sought to make their victory as costly as possible. To this end, he had constructed elaborate systems of fortifications in the rugged terrain of southern Okinawa. Pushing south, Allied troops fought a bitter battle to capture Cactus Ridge on April 8, before moving against Kakazu Ridge. Forming part of Ushijimas Machinato Line, the ridge was a formidable obstacle and an initial American assault was repulsed (Map). Counterattacking, Ushijima sent his men forward on the nights of April 12 and 14, but was turned back both times. Reinforced by the 27th Infantry Division, Hodge launched a massive offensive on April 19 backed by the largest artillery bombardment (324 guns) employed during the island-hopping campaign. In five days of brutal fighting, U.S. troops forced the Japanese to abandon the Machinato Line and fall back to a new line in front of Shuri. As much of the fighting in the south had been conducted by Hodges men, Geigers divisions entered the fray in early May. On May 4, Ushijima again counterattacked, but heavy losses caused him to halt his efforts the next day. Achieving Victory Making skillful use of caves, fortifications, and the terrain, the Japanese clung to the Shuri Line limiting Allied gains and inflicting high losses. Much of the fighting centered on heights known as Sugar Loaf and Conical Hill. In heavy fighting between May 11 and 21, the 96th Infantry Division succeeded in taking the latter and flanking the Japanese position. Taking Shuri, Buckner pursued the retreating Japanese but was hampered by heavy monsoon rains. Assuming a new position on the Kiyan Peninsula, Ushijima prepared to make his last stand. While troops eliminated the IJN forces at Oroku, Buckner pushed south against the new Japanese lines. By June 14, his men had begun to breach Ushijimas final line along the Yaeju Dake Escarpment. Compressing the enemy into three pockets, Buckner sought to eliminate enemy resistance. On June 18, he was killed by enemy artillery while at the front. Command on the island passed to Geiger who became the only Marine to oversee large formations of the U.S. Army during the conflict. Five days later, he turned command over to General Joseph Stilwell.   A veteran of the fighting in China, Stilwell saw the campaign through until its finish. On June 21, the island was declared secure, though fighting lasted another week as the last Japanese forces were mopped up. Defeated, Ushijima committed hara-kiri on June 22. Aftermath One of the longest and costliest battles of the Pacific Theater, Okinawa saw American forces sustain 49,151 casualties (12,520 killed), while the Japanese incurred 117,472 (110,071 killed). In addition, 142,058 civilians became casualties. Though effectively reduced to a wasteland, Okinawa quickly became a key military asset for the Allies as it provided a key fleet anchorage and troop staging areas. In addition, it gave the Allies airfields that were only 350 miles from Japan. Selected Sources U.S. Army: Okinawa - The Last BattleHistoryNet: Battle of OkinawaGlobal Security: Battle of OkinawaU.S. Army: Okinawa - The Last Battle

What Are the Advantages Or Disadvantages of Being Born First free essay sample

The first-born is an only child until the second child comes along -transforming them from being the centre of attention, to then sharing the care of parents. Parents will also expect them to be responsible and set an example. The change from being the focus of a family may be quite a shock and so shape the first-borns subsequent outlook on life. Therefore first-borns may try to get back their parents attention and approval, by achieving success and recognition in their careers. It has been noted that first-borns are significantly more often found as world political leaders than any other birth order position. Being the youngest in the family can sometimes be a stifling and frustrating experience, especially if theyre looking to be taken seriously and treated like an adult. The last-born is more likely than the other birth order positions to take up dangerous sports. This may be a sign of the last-borns rebellious streak a result of being fed up with always being bossed about by everyone in the family. We will write a custom essay sample on What Are the Advantages Or Disadvantages of Being Born First? or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Middle children, however, have different issues. Middle c syndrome can mean fee sandwiched between two other more important people – an older sibling who gets all the rights and is treated like an adult and a younger sibling who gets all the privileges and is treated like a spoilt children. Middle-borns have to learn to on with older and younger children and this may contribute to them becoming good negotiators – of all the birth order positions they most skilful at dealing with authority figures and those holding inferior positions. What about only children they are more likely to show interest in academic pursuits rather than physical or outdoor activities. Only children will tend to get more time and attention from their parents than children with /siblings, this will often make them feel special but the downside is that they may suffer occasional pangs^ jealousy and loneliness when friends discuss their brothers and sisters and family life. I think to be a only child is not rather good, because these people are always selfish persons. 3. Mobile madness, do you think mobile phones are generally a good or a bad thing? How important do you think mobile phones are for young people in your country? How do you think mobile phones will change over the next 5 years? Mobile madness is an illness of our century, I think. In my opinion mobile phones as a mean of connection is a very good thing. But this medal has another side†¦ Many children feel themselves really isolated from their friends without mobile phone. They constantly connecting and chatting with each other by internet on the phone with help of such programs as ICQ. In our country mobile phone occupy the important place at the lives of modern people, and at the life of modern children too. Many sociologists say that if this trend continues two things are likely to happen. One is mobile phone addiction, where a person is incapable of forming and maintaining relationships without the help of mobiles. The second: Genuine conversation will be driven out by superficial communication, in which the act of contacting one another is all that matters, leading to a deterioration in the quality of relationships, indeed, the very fabric of society may be threatened. And of course mobile phones w ill change over the next five years, I can suppose that it will be something unusual, and may be something that absolutely won’t be look like our modern mobile phones.

Sunday, November 24, 2019

Biology Yeast Experiment Essay Example

Biology Yeast Experiment Essay Example Biology Yeast Experiment Essay Biology Yeast Experiment Essay Design Experiment to investigate the effect of the concentration of Sodium Hydrogen Carbonate on the rate of photosynthesis using Cobomba plant. Aim: The aim of the experiment is to investigate the effect of the concentration of Sodium Hydrogen Carbonate (NaHC03) on the rate of photosynthesis using a Cobomba plant. Hypothesis: As the concentration of NaHC03 increases the rate of photosynthesis of the Cobomba plant should increase, as there is a greater presence of a carbon dioxide, obtained from the carbonate, which is a key reactant in photosynthesis. However it is also expected that the rate of photosynthesis should plateau with reater amounts of NaHC03, because the Cobomba plant will not be able to use all the extra, available C02 as its enzymes physically do not have the ability to do so. Background Information: When dissolved in water, NaHC03 produces carbon dioxide gas: . As can be seen in the equation for photosynthesis, carbon dioxide is a reactant in photosynthesis: 6 C02 + 12 H20 + photons -+ C6H1206 + 6 02 + 6 H20. The presence of NaHC03 means that C02 is more readily available in larger quantities, to speed up the process of respiration. However if a large amount of C02 is present in the water the Cobomba plant will not be able to use it all, as the nzymes cannot function quick enough. Other limiting factors may also cause the rate to slow, such as light intensity. As can be seen in the equation for photosynthesis, 02 is a product of photosynthesis and thus the rate of photosynthesis can be calculated by the amount of 02 released when photosynthesis occurs. Variables: Independent Dependent Controlled How to measure/control Amount of NaHC03 added to water Using the same weighing scale and weighing boat each time to measure the amount of NaHC03. Also using fresh tap water each time, so that the concentration of NaHC03 would be exact Amount of oxygen released Measured using the water bath and 100cm3 measuring cylinder Temperature of water Stayed in the same room, and used a heat barrier to prevent any heat from the lamp from affecting the rate of photosynthesis. Light intensity Used a lamp, kept in the same position each time to keep the light intensity equal for each repeat. pH of water Used tap water each time, and used fresh tap water for every measurement to ensure no NaHC03 was left in the water. Apparatus Application/Justification 1 x 500cm3 beaker To contain water to allow the NaHC03 to dissolve in 1 x glass funnel To put Cobomba plant under so that oxygen released goes into the easuring cylinder 1 x 10cm3 measuring cylinder To collect oxygen that is released Cobomba plant The plant which will respire and provide the results 5gof NaHC03 It will dissolve in water to release C02 which will affect the rate of respiration 100cm3 measuring cylinder To act as a heat shield from the light Lamp To ensure that the Cobomba plant has a constant light source to enable photosynthesis. Weighing scale and boat To measure the amount of NaHC03 Glass stirring rod To stir the NaHC03 when it is put in water to evenly distribute the concentration Stopwatch To ensure that time lengths are accurate for each time the xperiment is carried out Scissors To cut the Cobomba stem Ruler To measure length of Cobomba plant Method: 1. Measure a length of IOcm of Cobomba plant using the ruler 2. Fill the 500cm3 beaker, up to 500cm3, with tap water and place the Cobomba in the water underneath the glass funnel 3. Place the 10cm3 measuring cylinder upside down on top of the funnel, and ensure that it fills up with water 4. Set up a heat barrier using the 100cm3 measuring cylinder and fill it with water. Place it in between a lamp and the 500cm3 beaker 5. Switch on the lamp and start the timer 6. Once four minutes has passed stop the timer, and note down what the volume of 02 is in the measuring cylinder 7. Start the timer again, and after six minutes stop it. Note down the volume of 02 in the measuring cylinder 8. From this it can be deduced how much 02 has been collected 9. Repeat steps 1-4, but next measure 0. g of NaHC03 using the weighing boat and the weighing scales 10. Add the NaHC03 to the beaker and stir it with the glass rod 11. Start the timer and stop it after four minutes to allow the Cobomba to adjust to the water with added NaHC03, and make sure to note down the volume of 02 after four minutes 12. Then start the timer again for a further so minutes. When this time is up write dow n the volume, and from that it can be deduced how much 02 has been released 13. Repeat steps 10-12, making sure to replace the water in the beaker each time with new water, but adding another 0. gof NaHC03 each time 14. Repeat steps 1-13 a minimum of four more times to allow an average to be obtained Risk Assessment: Risk Precaution Being burnt by the lamp Take care and move slowly Swallowing a large quantity of NaHC03 or getting it in your eyes Do not put NaHC03 near to face 02 Amount of NaHC03 (g) +1- 0. 001 g Volume of 02 collected (cm3) +1- 0. 1 cm3 2 3 4 5 Average (2 s. f) Standard Deviation (2 s. f) 0 0. 2 0. 1 0. 2 0. 1 0. 2 0. 16 0. 05 0. 5 1. 0 1. 5 2. 0 2. 5 0. 2 0. 3 0. 4 0. 6 0. 7 0. 1 0. 8 0. 28 0. 44 0. 72 0. 06 0. 07 0. 05 0. 4 Graph to show the amount of 02 released with different amounts of NaHC03 from photosynthesis attached Discussion: The results show a positive correlation that evidences that as the amount of NaHC03 increases, so does the volume of 02 collected. This shows that NaHC03 speeds up the rate of photosynthesis, as all each amount time the experiment was done the time limits were kept the same but with more NaHC03 the olume of 02 increased. Therefore this partly proves the hypothesis, because it is shown that the addition of more C02, provided by the NaHC03, increases the rate of photosynthesis. However the rate of photosynthesis did not begin to plateau, as the hypothesis had stated. This may have been because there was not a great enough range of measurements of NaHC03 used to allow this pattern to be shown. Evaluation: The time restraints were quite limiting, and had there been more time a greater amount of repeats could have been done which would have allowed a more accurate average to be calculated. A systematic human error was not being able to add the NaHC03 to the water at the same time as starting the stop clock, which means there may have been a difference of a few seconds between each time the experiment was done. The act of measuring was not as precise as it could have been, and to resolve this equipment with a greater degree of accuracy could have been used. Another error was the decision to use small amounts of NaHC03. The consequence of this was that the digits of the results obtained were very small. Not only did this make them hard to measure, but also it meant that there was not a hugely significant ifference with the amounts of NaHC03 added to the water. Furthermore the ratio of for a comparatively large volume of water. Therefore a greater amount of NaHC03 should be used if this experiment were to be repeated again. Another human error was the repeated use of the same Cobomba plant. This may have affected the results, because the plant will have been respiring for a long time and also may still have remains of NaHC03 on it that would not make the next measurement of NaHC03 precise. To solve this the same mass of Cobomba plant, but from a different stem, could have been used each time. However this also poses problems as different stems may respire at different rates in the first place. If time had allowed then the time that the plant was given to respire could have been extended. This would have given a greater volume of 02, and the results may be clearer. An increased range of NaHC03 masses could be used, and this would hopefully show the results as expected in the hypothesis. The light intensity in the room may have changed during the time the experiment was done in, as it was turning into evening, and this may have had an affect on the results. To improve this, the experiment ould have been carried out in a dark room, but with several lamps shining on the beaker with heat barriers in front of them. This would have allowed the light intensity to remain constant. Conclusion: To conclude, it can be seen from the results obtained in the experiment that the rate of photosynthesis of the Cobomba plant increases with an increased amount of NaHC03 in its surrounding water. Therefore this suggests that C02 has an affect on photosynthesis, and that with greater amounts of it available there is a greater rate of photosynthesis. Bibliography: 1B Study Guides, Biology, Oxford, Andrew Allott Appendix: Attached

C. A. Tripps Book Asserts Abraham Lincoln was Gay

C. A. Tripp's Book Asserts Abraham Lincoln was Gay Was Abraham Lincoln gay?  In his  book The Intimate World of Abraham Lincoln, historian C.A. Tripps  makes the case that Abraham Lincoln  was indeed gay and had several homosexual relationships throughout his life. However, the controversy surrounding the book overshadowed an important fact that Tripp revealed a fact even his harshest critics accept as true Ann Rutledge was not the love of Lincolns life. Tripps extensive new research proves it simply could not have been the case. And many experts, including Pulitzer Prize-winning Lincoln historian David Herbert Donald now concede it is so. A Firestorm of Debate As you might expect, Tripps book created a firestorm of debate most of it predictable along political lines. The left proclaimed a curious victory saying incorrectly that the book shows beyond all doubt that Lincoln was gay. The right responded angrily that Lincoln could not have been gay since he fathered four sons and they dismissed his so-called encounters as false and malicious. Tripp could not respond. He died two weeks after completing his book and one of the key elements of his work, proving that Lincoln and Rutledge were not star-crossed lovers, is in serious danger of being  ignored. Tripp told a friend shortly before he died that he knew the work would be controversial and that, while he believed he had made his case, he wanted each reader to draw his or her own conclusion. As the books editor, Lewis Gannett puts it: You get to a point where you just shake your head and say, How the hell did [Lincoln] do it? How did he save the union, survive the challenges of his troubled wife Mary, endure the deaths of two sons, preside over the bloodiest era of American history, all the while fending off widespread contempt, and in the end emerge a hero? A secretive, enigmatic, genius hero? With a manic and dirty sense of humor? Who had close and controversial relationships with other men his entire life? Lincoln is far from solved and probably never will be satisfactorily explained but Tripp has made the picture less murky. His accomplishment is stunning. Lincoln Loved Only One Woman And She Was Not Mary Todd For years, historians have assumed that Lincoln loved only one woman, Anne Rutledge and courted Mary Owens before marrying Mary Todd, whom he avoided whenever possible. Tripp, however asserts that Lincoln actually loved none of these women and has sex – though reluctantly only with his wife and mother of his children, Mary Todd. While it has never been proven, several historians contend that Mary Todd suffered from mental illness. â€Å"And it is true that Mary Lincolns actions, as reported by newspapers, often invited criticism from the public,† writes About 18th Century History Expert Robert McNamara. â€Å"She was known to spend money extravagantly, and she was often ridiculed for perceived haughtiness.† Intimate Relationships With Men Tripp contends his research into Lincoln’s private life suggests that his relationships with several men were more intimate  and possibly more sexual than those he had with any of the women he supposedly â€Å"loved.† For example, Tripp asserts that Lincoln shared a narrow  bed with Joshua Speed for at least four years  and that as president, he often shared the presidential bedroom with another man during the many times Mary Todd was â€Å"away.† Early Lincoln biographers, John G. Nicolay and John Hay, called Speed â€Å"The only as he was certainly the last intimate friend that Lincoln ever had.  In their analysis letters from Lincoln to Speed before and after Speed’s eventual marriage in 1842, Nicolay and Hay described Lincoln’s tone as â€Å"fretful,† like that of a military commander before a risky battle. Several of Lincoln’s letters were signed â€Å"Yours forever.†Ã‚   Through a plethora of letters and other personal data, Tripp’s book at least leaves the interpretation that Lincoln might have been gay. The Intimate World of Abraham Lincoln by C.A. Tripp was published by the Free Press, a division of Simon Schuster.

Thursday, November 21, 2019

Strategic Marketing Promotion Strategies Essay Example | Topics and Well Written Essays - 750 words

Strategic Marketing Promotion Strategies - Essay Example The product Life Cycle asserts that a product growth has a lifecycle roughly similar to a human's life and eventually it stagnates and dies out. It is due to this that marketers in all companies aim their marketing strategies to keep their products in the growth stage. Impact of Internet on promotional Mix: Over the years the use of Internet marketing has increased and has been successful in its various forms i.e. email marketing and sales through website and links. The impact of Internet activities on promotional mix is that it adds another tool to use along with the promotional mix. Internet marketing is a support function and supports the marketing program. Was Estee Lauder's promotional mix for advanced night repair concentrate appropriate given its stage in product life cycle and the characteristics of the product In what Product life Cycle stage would you classify Estee Lauders Night Repair Concentrate It can be seen from the case study, that Estee Lauders product Night Repair Concentrate has crossed maturity stage and is now in decline stage. This is because they will name the new website www.thelittlebrownbottle.com with the objective of reminding their customers of their history. It can be seen that the company is re-launching the product. I believe that the pro... The impact of Internet activities on promotional mix is that it adds another tool to use along with the promotional mix. Internet marketing is a support function and supports the marketing program. Was Estee Lauder's promotional mix for advanced night repair concentrate appropriate given its stage in product life cycle and the characteristics of the product In what Product life Cycle stage would you classify Estee Lauders Night Repair Concentrate It can be seen from the case study, that Estee Lauders product Night Repair Concentrate has crossed maturity stage and is now in decline stage. This is because they will name the new website www.thelittlebrownbottle.com with the objective of reminding their customers of their history. It can be seen that the company is re-launching the product. I believe that the promotional mix of Estee Lauder is highly appropriate because it keeps in mind the different brand qualities including age, gender and benefits. The use of the website is re-enforcing the same message. They have adequately realized that the Internet savvy young woman, which is their target market, are eventually entering early thirties and require the product. The one disadvantage Internet as a marketing medium has is that it has the lowest level of interaction with the customer. However, using an interactive website with a blogging facility will eventually give the customer a sense of closeness of the product. The promotional tools that Estee Lauder are: Ads on Fashion and beauty websites Beauty and lifestyle blogs Advertising on News sites Sponsor a site on MSN "Night SPA" A TV campaign and a national mall tour Product sampling and demonstrations Generating word of mouth by posting testimonials BTL -mobile night

The Fight Against the Use of Animals for Laboratory Experiments Research Paper

The Fight Against the Use of Animals for Laboratory Experiments - Research Paper Example As of today, it is estimated that over 100 million animals are used every year worldwide for laboratory experiments. Several animal species are used such as mice, rats, guinea pigs, rabbits, fish, birds, dogs, and primates (Animal Aid Youth Group 1), where 75% of these animals accounts for rodents and cold-blooded animals. Animal protection societies have two different views and approaches to vivisection. One is the abolitionist view which believes that animal experiments are ethically wrong. They are the people concerned of the welfare who try to improve the conditions and treatments of animals used in experiments. The two views may be deemed as different but looking closely to the ideals and visions of both will show that they are closely aligned with each other. Both groups support the three R's approach - Replacement, Reduction, and Refinement. â€Å"Abolitionists would favor complete replacement, whereas welfarist would view reduction and refinement as steps along the way to co mplete replacement† (Yarri 194). ... This includes testing of animals on how memory works in the brain or on how to toxic substances affect the liver. Though some scientists believe that the fundamental research contributes indirectly to the advancement and development of active ingredients and therapies, anti-vivisectionist says that these finding are all overestimated (Animal Welfare Online). Next to fundamental research, the biomedical research accounts for the second largest area for animal research. The study specifically aims to study the prevention and treatment of diseases as well as the genetic and environmental factors related to disease and health. It is believed that human and veterinary medicine had relied on animal experimentation for its advancement at some degree. However, as the technology improved over the past decades an alternative in-vitro methods have been utilized such as using cell, tissues and organs culture have greatly reduced the need of biomedical research (ANZCCART Australia 11). Anti-vivis ectionists also believe that instead of focusing on the diagnosis and control of disease through biomedical research, scientists and researchers should focus more on preventative medicines and the promotion of healthier lifestyles – especially epidemiology, human clinical trials, and other alternatives (Animal Welfare Online). In addition, advancements in science had stimulated the increased growth in genetic engineering. This involves the modification of genes to produce transgenetic animals. The requirement for this research is highly extensive since one transgenetic individual would need around 150 to 200 animals of the same species in order to have a successful research. This method usually results to adverse effects in animals â€Å"such as development of

Wednesday, November 20, 2019

Scaling Study Essay Example | Topics and Well Written Essays - 1250 words

Scaling Study - Essay Example Likewise, personal space is apparent in a broad range of situations – even in crowded conditions where in the physical space is very limited. An example of such situation happens in trains which are always packed with passengers. In this case, people engage in certain behaviors in order to maintain their personal space given the lack of physical space. Moreover, though it is not a physical concept, it is possible to quantitatively measure personal space through the use of a dimensional scale. In an attempt to do so, a questionnaire, in the form of a verbal frequency scale, was developed that contain ten items, describing different spacing behaviors that people engage in. In order to be more specific, these behaviors were limited to those commonly exhibited in the train – being a common setting for personal space studies. For each item, five response options were provided which are coded from 1 to 5 – the highest score corresponding to â€Å"Always† and the lowest to â€Å"Never†. However, there are two different types of items made – negatively and positively stated statements, respectively – such that coding of responses was reversed for those items which are negatively stated. The total scores for all the items would be added and the average would be computed. Given this scoring, the variable, personal space, can be operationally defined as the degree to which individuals engage in different behaviors in order to prevent interpersonal relations. The assumption is that individuals who keep a large personal space are likely to engage to different spacing behaviors; hence, a high score in the test entails a large personal space. Validity Measures In order to guarantee that that the questionnaire would measure what it is supposed to measure, two types of validity were established prior to the administration of the questionnaires. First, the content validity of the questionnaire was established by creating items tha t were all based on observations made by previous researchers in their studies of personal spacing behaviors in the train. As such, previous observations found in published journals were translated into personal statements that constitute the items covered. Second, while it is not a good indication of usefulness, the face validity of the questionnaire was maintained in order to appear acceptable and relevant to the respondents. The questions were worded in a simple manner to facilitate better understanding. Also, the questionnaire was formatted to the convenience of the respondents such that they would only have to encircle their response for each item. After establishing content and face validities, the questionnaires were then administered to ten respondents who can easily be contacted by the researcher any time. In order to ensure that the respondents can relate to the questions covered, only regular train passengers were chosen to participate in the study. Consequently, the same questionnaires were again administered to the same respondents after a period of one week in order to confirm the stability of results. All responses were coded and inputted in statistical software for analysis. Based on the results, the respondents scored high in the variable that was measured. This means that people do engage in certain activities and behaviors that would protect their personal space. These findings confirm the established theories and expectations on the said topic. As such, it can be deduced that the question

Law of International Dispute Resolution Essay Example | Topics and Well Written Essays - 3750 words

Law of International Dispute Resolution - Essay Example The Treaty of Rome, in establishing the EEC in 1958, conceptualized a dynamic Europe to be an integrated regional economic and political union, "providing governance for a common market and organizing the steady growth of economic interdependence between the Member States". This new European environment which sharply defied the prevailing Westphalian state model - based on territoriality and autonomy - sought to engage states in an "international contractual arrangement that establishes authority structures superseding territorial boundaries and transgressing autonomy". Such a task was achieved by the European Court of Justice (ECJ) through the constitutionalisation of the Treaty of Rome, consequently cementing the "legal foundation for an integrated European economy and polity" and by the subsequent Treaties that followed. The most significant feature of the European Court of Justice is undoubtedly the doctrine of supremacy of Community law, which has continued to be the cause of much confusion and controversy regarding its actual Treaty position and entailment. The EC Treaty does not expressly provide for supremacy - there is no Article which clearly states that Community law is supreme over the national laws of the Member States - however, certain Articles of the EC Treaty impliedly require supremacy to be in effect. I will argue that in order to fulfil the main objectives of fostering integration stipulated by the Treaty of Rome, Community law requires supremacy of the ECJ which is provided through the interpretation of the European Community Treaties and case laws - whether categorically imposed or not. The need for an effective and uniform EC law applying within national legal orders in compliance to a voluntary limitation of sovereignty by Member States is critical to the concept of integration. By considering the fact that supremacy is ultimately perceived throughout national courts to be a monolithic holy concept which bears tremendous implications if removed or limited, the question is then raised as to how Member States receive the 'supreme nature' of Community Law. In attempting to clarify the need for a supreme legal authority for integration, I will examine the supremacy of EC law and state its Treaty position with particular emphasis on significant case-laws that have shaped the supremacy debate. Furthermore, I will observe the Constitutionalisation of the Treaty system, looking at the interplay of the doctrine of direct effect and doctrine of supremacy; under what conditions Member States might be provoked to challenge the authority of the ECJ; the expanding competence of the ECJ which now includes a political and judicial interplay of decision-making; and conclude with a look at what the Constitutional Treaty would have signified in terms of legalizing the doctrine of supremacy and how the rejection has started questioning whether the Community law should be considered above and beyond national laws and if it has gone too far already. The role of the European Court of Justice in developing the legal means for the integration process and constructing a constitution from the Treaty of Rome

Monday, November 18, 2019

Education Research Paper Example | Topics and Well Written Essays - 2000 words - 1

Education - Research Paper Example The younger population enrolled in academic institutions is just as important to a country as the workforce is to the organization. This is due to the reason that this youth or the children will be the workforce of the country in coming years. They will take up important positions in the society as doctors, engineers, artists, soldiers, politicians and many of them will run the primary institutions of the country. Therefore, it becomes crucial to ensure that the students are placed in the right set of subjects. It means that the student gets the support to study those courses that relates to their natural talents and they get to choose the careers of interest consequently. It is more proficient and less tedious to polish the naturals than to expect good output from them and ambition to grow in fields which oppose their in-born talents. Moreover, the need of students to get to learn in a creative environment which brings out the best in them also becomes important. However, bringing o ut the best from a student doesn’t solely rely on the curriculum design, teacher’s behavior or the environment. Everyone is aware with the power of individual’s passion and interest in subjects to excel in different fields of education. It is evident in various studies that an individual is more creative and focused to the subjects of their interest. They tend to be more willing and enthusiastic about taking challenging tasks in fields that are of interest to them and are relevant to their skills and passion. A forced attempt to study courses that the student dislikes, create negative impacts on a student’s behavior. The effects are far reaching on student’s academic performance and later on their job performance too. A student who has a clear aim in mind and tends to follow a career in a field where they are naturally talented is more competitive, views the challenges as stages of a tournament, and measures the success in terms of better grades an d self satisfaction (O’Leary, 1985). Psychologically speaking, an individual who is forced to study or persuaded a career which is not of their choice forms feeling of rebellion in them. Students who are naturally talented with numbers will take up on challenging problems with great enthusiasm. However, a student who has little aptitude with numbers will find themselves shirking away from the unpleasant task. Many times the resulting loss of grade and performance doesn’t matter to the student as long as they can avoid a subject which they don’t like. Student behavior is a vastly studied phenomenon; the studies tend to uncover the underlying reasons for student’s boisterous behavior in the learning environment. The students are known to divert their feelings of unrest and lack of confidence by adopting a rowdy behavior, by disturbing others and also by refusing to take part in the classroom activity. Learning skills and knowledge in fields which resonate w ith student’s natural talents create a feeling of confidence and self satisfaction which can’t be instilled more efficiently in the student’s behavior in any other way. Education systems are typically based on the belief that through a continual teaching students can be made to learn skills and practices related to multiple fields even if they aren’t in frequency with the natural gifts in students. We can observe from our schooling experiences that there are more

Financial Instruments Case Study Example | Topics and Well Written Essays - 250 words

Financial Instruments - Case Study Example For instance, debt financing bears high financial risk due to high leveraging of the company and this may lead to legal action and bankruptcy proceedings in case of default on interest payment (Henderson, Peirson & Harris, 2003). The company should consider the risk of losing control since convertible notes providers may request for directorship position in order to protect their interests in the firm. The best source is cumulative preference shares since dividends will be paid when the company finally makes profits (Henderson, Peirson & Harris, 2003). The company should also consider the flexibility and availability of the source of finance. For example, it is easy to issue redeemable preference shares since it is readily available and can be redeemed in the future. The company should also consider the tax implications of the source of finance. For instance, debt payments are tax deductable and thus it should use debt financing when the tax rate is high in order to protect the company income from the high taxes (Henderson, Peirson & Harris, 2003). The company should also consider the growth rate of the firm. For instance, the company should use debt financing during high growth cycles since the high revenues will offset the interest payments (Henderson, Peirson & Harris,

Friday, November 15, 2019

The Business process of the Ferrero organization

The Business process of the Ferrero organization Introduction For my Business Process module of the BA Business Enterprise course I looked into several companies, some small and some large. However, still undecided on which company to pursue, I took a walk to my local shop to buy my two sons a special treat. The shop has a vast array of goodies for children including both chocolate and toys. My two boys both wanted a Kinder Surprise egg as they get both chocolate and a toy. This made me think, I remember Kinder Surprise eggs when I was a small boy and how excited I use to get when I went to the shop to buy one. This made me think, how a product can maintain the reputation, sales and recognition from generation to generation without fading away or being challenged by competitors? With all this in mind I decided to base my project on the Ferrero Company. During the research gathering process I have compiled the following reasons why Ferrero will be an ideal company for my project:- Massive company growth and Globalisation Multi Generational Marketing (Kinder Surprise Egg) Devotion and relationship with all their employees Outstanding contribution to the community Problems the company has faced in the past Strategic advantage over competitors Dedication to their Corporate and Social Responsibility Utilising IT development to enhance distribution Relationship with competitors One of the top ten confectioners in the world This project (Course work 1) will introduce you to the Ferrero Company itself, its fantastic history and I will also talk about its massive global success. I will explain the Organisational structure of the company, the five levels of resources (Strategic, Tangible, Intangible, Unique and Core Competences) and compile a PESTEL report. Ferrero The Beginning Born in 1898, Pietro Ferrero began his career as a pastry maker in Dogliani, Italy. He opened his first pastry shop in Turin but was forced to move to Alba during World War II. Ferrero sought to develop new products in order to overcome the short supply of traditional pastry ingredients. By the end of the war, Ferrero had developed a new spread which combined hazelnuts, cocoa butter and vegetable oil. Ferrero called the paste pasta gianduja which he began selling in 1946. In that year his brother, Giovanni and son, Michele joined the company which had now been incorporated as Ferrero SpA. By the end of 1946 the company had employed more than 50 workers and had approx 200 delivery vans distributing their product around Italy. In their first year sales had topped  £660, Ferrero began contracting farmers to ensure the supply of hazelnuts continued and at the same time improving their quality. 1948 On 4th September 1948 a huge flood had isolated the factory and put its existence in great danger. However, due to the fantastic relationship the family had with all their workers, they all; including Pietro and Giovanni worked solidly for 4 days and 4 nights in order to save the factory. On 2nd March 1949, Pietro Ferrero died aged 51, his brother Giovanni took the Helm. The 50s By the 1950s Ferrero had developed its own efficient distribution network around Italy and opened several depots. By 1954 Ferrero was a household name in Italy. 1956 In 1956 Ferrero opened its first factory abroad in Stadallendorf, Germany. They produced just two products for the German market and both had an extraordinary success. 1957 Giovanni Ferrero died in 1957 and Michele Ferrero took the helm. Michele renewed the production plants in order to boost production through increased technology and sophisticated machinery The 60s Ferrero moved into France, Belgium, Netherlands, Luxembourg, UK, Austria, Denmark, Sweden and Switzerland. In 1964 Michele Ferrero created Nutella In 1968 he launched the Kinder Chocolate, especially made for children. The 70s 80s Ferrero USA opened in 1969 followed by Canada, Latin America, South East Asia and Australia. By the 1980s Ferrero was strategically placed in all five continents. In 1985 two new production plants were opened in Southern Italy to help the people devastated by the Irpinia earthquake. The 90s Ferrero developed into Eastern Europe including Poland, Hungary and the Czech Republic along with a new plant in Poland. Again in November a terrible flood hit Italy killing many people and damaging the Alba plant. Production was interrupted but just like back in 1948, the employees worked alongside the Ferrero to rebuild the plant and get back on its feet. Some of the employees helping to rebuild the plant had just lost their homes to the flood. In 1997, Michele Ferreros sons Pietro and Giovanni became Chief Executive Officers of Ferrero International. The 2000s In 2006 a new production plant in Canada was opened and by 2009 there was more than 20,000 employees worldwide, over 20 different products and a turnover of more than 6 billion Euros. Business Units Years Production Plants Years Germany 1956 Italy Alba 1946 Belgium 1958 Germany 1956 France 1960 France 1960 Italy 1964 Italy Pozzuolo 1965 United Kingdom 1966 Australia 1974 Switzerland 1966 Ireland 1975 Sweden 1968 Ecuador 1975 Austria 1971 Italy Balvano 1985 Ireland 1975 Italy SantAngelo 1985 Netherlands 1980 Belgium 1989 Spain 1988 Poland 1992 Poland 1992 Argentina 1992 Luxembourg 1993 Brazil 1994 Hungary 1994 Canada 2006 Czech Republic 1994 Cameroon 2006 Russia 1997 India 2007 Ukraine 2003 South Africa 2007 Croatia 2003 Russia 2009 Greece 2005 Repackaging Centre Years Romania 2006 United States 1969 USA 1969 Social Enterprises Years Canada 1974 Cameroon 2004 Australia 1974 South Africa 2005 Puerto Rico 1975 India 2007 Hong Kong 1976 Japan 1978 Argentina 1992 Mexico 1992 Brazil 1994 Sri Lanka 2004 India 2004 South Africa 2004 Turkey 2005 China 2006 Ferreros main competitors are Kraft Foods, Mars and Nestle, however you will see in Course work 2 how integrating with the competitors can be of a huge benefit to all parties and the environment. Success I believe Ferrero is one of the world leaders when it comes to business growth and success, this I have measured by the following means Phenominal amount of Global business units and Production plants Amount of Employees The annual turnover Their ability to develop their own production machinery in order to gain a strategic advantage over competitors Their use of Multi Generational marketing (Kinder Surprise) Their contribution to society and charitable work Annual profit of  £6 billion More than 20 different products From the small pastry shop in 1946, Ferrero has become according to Forbes (http://www.forbes.com/2009/05/06/world-reputable-companies-leadership-reputation-table.html) the worlds most reputable company as of May 2009. As shown by the history of Ferrero, the growth of the company has been outstanding; this is mainly due to the passion and commitment of its owners and employees as well as the development of its unique brands and its commitment to develop its own production machinery to maintain its strategic edge. Ferrero group dedicate a lot of their time and money into other schemes such as Opera Sociale set up as a group to help and welcome retired employees and give them a sense of belonging. Social Enterprises, Ferreros commitment to enhancing the living conditions and develop the populations in some of the poorest areas in the world. United Kinder of the World, is set up to enhance the health and development of children and young people. Kinder + Sport, developed to promote a healthy lifestyle and encourage sports. Since 2007, Kinder + Sport has involved more than 6 million children worldwide in activities in 17 countries. Has you can see Ferreros success isnt just measured by the amount of awards it has won or the amount of profit it has made. I believe the level of success that Ferrero has achieved can be seen on the faces of the people and children that the company aid as well as the commitment by all employees. The company Moto of Work, Create, Donate is a clear target of what the company aims to achieve and clearly they have achieved this, thus successful. Organisational Structure The table below displays the number of employees and how it is subdivided; these figures are taken from the CSR Report 2009, Number of Employees As of 31/08/2009 Workers 12,993 (60%) Employees 6,067 (28%) Executives and Officers 1,724 (8%) Managers 771 (4%) Total 21,555 Type of Contract As of 31/08/2009 Indefinite Contracts 17,460 (81%) Fixed Term Contracts 4,095 (Including seasonal workers 11%, interns 1% and fixed term contracts 7%) Total 21,555 44% of employees are women and 56% are men. 83% of staff are based in Europe The Ferrero Company is based around a Functional Structure with their main Headquarters being in Italy. The Ferrero board will meet and discuss initiatives and business and then forward on their decisions to each Director of each separate sub company i.e. Ferrero Belgium Ferrero Germany. The companies are run in a mirror image scenario, each sub company will have its own HR team, Production team, marketing and purchasing team. However each sub company will run exactly like each other in respect of what product they are producing, how the HR Function is run and where they get their produce. The only difference will come from the marketing team because each country has a different social network and need. The Ferrero Company also works on Standardising inputs and outputs model. Each sub company are standardised to what they produce, how they produce it, how the HR Function is run, where they get their produce and how their staff are trained. Ferrero have endorsed a huge training package for all employees run by the Ferrero Learning Lab which encompasses several training packages to cover all aspects i.e. Managerial, Nutritional and technical. With this standardisation approach, Ferrero have been able to offer exactly what they do national but globally, without any major issues and disparity. PESTEL Analysis FERRERO Pestel Analysis Political Negative Positive With any company dealing globally, the risk of countries becoming unstable and possible war is always going to be a risk to production and distribution worldwide. Ferrero has grown considerably since 1946; this has been possible due to the rapid increase in the European Union, from starting out with 6 members it has now grown to having 27 member states. This growth has allowed for the harmonisation between several countries and its overseas distributions and has allowed for easier expansion through standardised strategies. Ferreros continued support to its Social Responsibilities, mainly that of its support to third world countries has allowed for an excellent relationship and reputation world wide, this has assisted Ferrero with its continued growth throughout these countries. Economic Negative Positive Increase in VAT rate and import costs may have an affect on consumer purchasing and may increase the price on products due to both these increases. Price increase on products may not affect sales due to extremely strong brand reputation with the consumers. Ferrero and Mars have teamed up on a joint distribution initiative, both products will be distributed to the same warehouse and then both distributed out together. This will decrease the distribution costs. Social Negative Positive Sales of confectionary products as a whole decrease during summer months. (see graphs below) Kinder Surprise egg utilises Multi Generational Marketing and has become a collectible item worldwide. Each country produces its own toys in respect to its countries niche at the time. E.g. Super mini Smurf parade issued in Germany. It is a well known fact that more chocolate is sold at Christmas and Easter than any other times and will continue to do so. The reputation institute in New York awarded Ferrero 1st Place as the company with the best overall reputation with the consumer public. Excellent long term relationships with suppliers. Technological Negative Positive Ferrero implemented the SAP Extended warehouse development application which will increase distribution, decrease wastage, increase production, increase distribution timeliness and maximise storage capacities. Ferrero have developed at least 50% of their own production machinery and technology in order to hold a strategic advantage over their competitors. Environmental Negative Positive The prospects of global warming will always be an issue with regards to growing and producing its raw materials i.e. Cocoa, palm oil and sugar cane. Ferrero prides itself on its contribution to protecting the environment and is actively contributing to saving energy and increasing raw material production. The Corporate Social Responsibility report 2009 details all contributions and future projects Ferrero have implemented and are implementing. The 5R recycling project by Ferrero on all packaging it produces helps the environment and the companys reputation. Legal Negative Positive The Kinder Surprise Egg was banned in the USA since 1997 due to the Consumer Product Safety Commission deeming it being a hazard to small children because it may contain a choking hazard. The Egg also falls foul to the US 1938 Federal Food, Drug and Cosmetic act which prohibit embedding non-nutritive items in confections. Ferrero counter acted the US Laws by producing and selling the Kinder chocolate without the surprise, this was again a huge success. The Kinder Surprise egg however, is still sold illegally around the US by shops importing them in from other countries. The law as made the Kinder Egg some what a highly sort collectible in the US and as indirectly assisted in the marketing of the egg. This graph below shows the average sales of the Sugar and Chocolate sales throughout the year (calculated in weeks). As mentioned in the PESTEL Report the summer moves takes a clear dip in sales. The graph below shows Ferreros annual turnover in 2006 driven by season. The red line represents the average sale during the year. As you can see 80% of sales were achieved out of the summer months and only 20% during the summer months. Resources Strategic Capabilities Tangible Resources Intangible Resources Unique Resources Core Competencies Produce 50% of its own production machinery and technology Ferrero have production plants and offices worldwide Excellent worldwide reputation Powerful brand name with the Kinder Surprise and TIC TAC mints Kinder surprise has become a collectors item worldwide and will continue to do so The new implementation of the new distribution and warehousing IT software All employees are motivated and made to feel like part of the Ferrero family High level of training provided Developed their own unique product the chocolate and hazelnut paste Cremino Teamed up with Mars to increase distribution speed and cut cost and help cut down CO2 emissions Excellent Training and Human resource management Unique ties with raw material sources worldwide Multi generational marketing Coursework 2 CW2 will be focussing on Ferreros Value chain, Supply chain management, SWOT Analysis and I will be make my own conclusions and recommendations on Ferrero

Micro Operations Microinstruction Micro Program Micro Code

Micro Operations Microinstruction Micro Program Micro Code Each microinstruction in a microprogram provides the bits which control the functional elements that internally compose a CPU. The advantage over a hard-wired CPU is that internal CPU control becomes a specialized form of a computer program. Microcode thus transforms a complex electronic design challenge (the control of a CPU) into a less-complex programming challenge. Microcode is a layer of hardware-level instructions and/or data structures involved in the implementation of higher level machine code instructions in many computers and other processors; it resides in a special high-speed memory and translates machine instructions into sequences of detailed circuit-level operations. It helps separate the machine instructions from the underlying electronics so that instructions can be designed and altered more freely. It also makes it feasible to build complex multi-step instructions while still reducing the complexity of the electronic circuitry compared to other methods. Writing microcode is often called microprogramming and the microcode in a particular processor implementation is sometimes called a microprogram. Microcode can be characterized as horizontal or vertical. This refers primarily to whether each microinstruction directly controls CPU elements (horizontal microcode), or requires subsequent decoding by combinational logic before doing so (vertical microcode). Consequently each horizontal microinstruction is wider (contains more bits) and occupies more storage space than a vertical microinstruction. Modern microcode is normally written by an engineer during the processor design phase and stored in a ROM and/or PLA structure, although machines exist which have some writable microcode in SRAM or flash memory. Microcode is generally not visible or changeable by a normal programmer, not even by an assembly programmer. Some hardware vendors, especially IBM, use the term as a synonym for firmware, so that all code in a device, whether microcode or machine code, is termed microcode (such as in a hard drive for instance, which typically contain both). Microcode was originally developed as a simpler method of developing the control logic for a computer. Initially CPU instruction sets were hard wired. Each step needed to fetch, decode and execute the machine instructions (including any operand address calculations, reads and writes) was controlled directly by combinatorial logic and rather minimal sequential state machine circuitry. While very efficient, the need for powerful instruction sets with multi-step addressing and complex operations (see below) made such hard-wired processors difficult to design and debug; highly encoded and varied-length instructions can contribute to this as well, especially when very irregular encodings are used. Q.2. How Information Technology can be used for strategic advantages in business? Ans.: All the advantages and disadvantages of information technology, it is essential that we know what information technology is exactly, and why it has it come to play such a important role in our daily lives. Today information technology involves more than just computer literacy; it also takes into account how computers work and how these computers can further be used not just for information processing but also for communications and problem solving tasks as well. Globalization IT has not only brought the world closer together, but it has allowed the worlds economy to become a single interdependent system. This means that we can not only share information quickly and efficiently, but we can also bring down barriers of linguistic and geographic boundaries. The world has developed into a global village due to the help of information technology allowing countries like Chile and Japan who are not only separated by distance but also by language to shares ideas and information with each other. Communication With the help of information technology, communication has also become cheaper, quicker, and more efficient. We can now communicate with anyone around the globe by simply text messaging them or sending them an email for an almost instantaneous response. The internet has also opened up face to face direct communication from different parts of the world thanks to the helps of video conferencing. Cost effectiveness Information technology has helped to computerize the business process thus streamlining businesses to make them extremely cost effective money making machines. This in turn increases productivity which ultimately gives rise to profits that means better pay and less strenuous working conditions. Bridging the cultural gap Information technology has helped to bridge the cultural gap by helping people from different cultures to communicate with one another, and allow for the exchange of views and ideas, thus increasing awareness and reducing prejudice. More time IT has made it possible for businesses to be open 24 x7 all over the globe. This means that a business can be open anytime anywhere, making purchases from different countries easier and more convenient. It also means that you can have your goods delivered right to your doorstep with having to move a single muscle. Creation of new jobs Probably the best advantage of information technology is the creation of new and interesting jobs. Computer programmers, Systems analyzers, Hardware and Software developers and Web designers are just some of the many new employment opportunities created with the help of IT. Q.3.What Characteristics of software make it different from other engineering products? Ans.: A large number of software standards have been developed concerned with software products and processes, terminology and more general fraework standards. While the need for software standards is not disputed, it is felt that many standards fail to take into account the essential differences, and occasionally the similarities, between software products and processes and other engineering products and processes. Ideally, standards should be useful, testable and represent a consensus view. It appears that some software standards fall significantly short of these objectives. Further progress in developing useful software standards requires a better understanding of the potential benefits which standards have, and do not have, to offer the software industry. The relevant issues are discussed and the next steps which should be taken in developing software standards suggested. Q.4. What are different addressing modes available? Ans.: Addressing modes are an aspect of the instruction set architecture in most central processing unit (CPU) designs. The various addressing modes that are defined in a given instruction set architecture define how machine language instructions in that architecture identify the operand (or operands) of each instruction. An addressing mode specifies how to calculate the effective memory address of an operand by using information held in registers and/or constants contained within a machine instruction or elsewhere. In computer programming, addressing modes are primarily of interest to compiler writers and to those who write code directly in assembly language Absolute +-++ |jump| address | +-++ (Effective PC address = address) The effective address for an absolute instruction address is the address parameter itself with no modifications. Absolute/Direct ++++ | load | reg | address | ++++ (Effective address = address as given in instruction) This requires space in an instruction for quite a large address. Register +++++ | mul | reg1| reg2| reg3| reg1 := reg2 * reg3; +++++ This addressing mode does not have an effective address and is not considered to be an addressing mode on some computers. In this example, all the operands are in registers, and the result is placed in a register. Immediate/literal ++++-+ | add | reg1| reg2| constant | reg1 := reg2 + constant; ++++-+ This addressing mode does not have an effective address, and is not considered to be an addressing mode on some computers. The constant might be signed or unsigned. Implicit ++ | clear carry bit | ++ The implied addressing mode does not explicitly specify an effective address for either the source or the destination (or sometimes both). Either the source (if any) or destination effective address (or sometimes both) is implied by the opcode. Indexed absolute +++++ | load | reg |index| address | +++++ (Effective address = address + contents of specified index register) This also requires space in an instruction for quite a large address. The address could be the start of an array or vector, and the index could select the particular array element required. The processor may scale the index register to allow for the size of each array element. PART à ¢Ãƒ ¢Ã¢â‚¬Å¡Ã‚ ¬B Q.5. How will you differentiate b/w Arrays and Stacks?Explain by giving an example. Ans: There are two main differences between an array and a stack. Firstly, an array can be multi-dimensional, while a stack is strictly one-dimensional. Secondly, an array allows direct access to any of its elements, whereas with a stack, only the top element is directly accessible; to access other elements of a stack, we must go through them in order, until we get to the one we want. Q.6. How Assembler differs from Complier? Ans.: An Assembler converts Assembly instructions into executable machine language. A Compiler converts higher level programming language instructions into Assembly instructions, and then those are turned into executable machine language. Most Compilers allow generation of object code, which is the Assembly instruction set generated by the Compiler. Some older Compilers allow for the Assembly instructions to be fine tuned by the programmer. Compiled programming languages typically generate many lines of Assembly instructions for each program statement. Some programming languages, such as ANSI C, are very close to Assembly, while others such as Java, result in many Assembly instructions per program statement. Most Compilers are highly optimized and it would be difficult for a human programmer to improve the efficiency of the output. Assembly level instructions are very difficult for someone not trained on Assembly to read and comprehend. Q.7. Out of Linear and Binary Search ,which one is preferred where and why? Ans.: Binary Search, because in Binary Search code take less no. of execution and it save time. But, in linear search it executes full time whenever search may give result. A binary search is an algorithm for locating the position of an element in a sorted list. It inspects the middle element of the sorted list: if equal to the sought value, then the position has been found; otherwise, the upper half or lower half is chosen for further searching based on whether the sought value is greater than or less than the middle element. The method reduces the number of elements needed to be checked by a factor of two each time, and finds the sought value if it exists in the list or if not determines not present, in logarithmic time. A binary search is a dichotomist divide and conquer search algorithm.

Wednesday, November 13, 2019

A Short History of the Devil by Neil Mohammed :: History

A Short History of the Devil by Neil Mohammed Horned gods were worshipped in Europe and the rest of the world from the dawn of humanity. They were always part of a pagan belief system, a polytheistic belief system, which accepted many gods. Tribal pagan belief systems still in existence share this characteristic: the tribes worship their tribal gods, and other gods mentioned by strangers are not evil, or non-existant, they are simply not their gods. There were many ancient monotheistic religions such as Judaism, but again these were tribal religions, which had no urge to prosyletise, to "spread the word". Jehova was the god of the Jews, and they felt no need to persuade other tribes to worship him as well. Christianity changed all that. It felt an overpowering need to make their one god the god of everybody else within range, and so they invented the missionary. But to do this it was necessary to discredit the old pagan gods, and in particular the goddess and the horned god. Pagan pantheons never include gods of evil. Pagan gods are aspects of Nature, and in Nature there can be no evil; it exists only in the human imagination. They frequently include trickster gods, such as Loki, and gods can have a reputation for being unwise to be involved with, but not actual evil. Monotheistic religions, on the other hand, require a god of evil as an adversary of their god of good. Otherwise, why would you need Him? An obvious way to discredit the horned god and justify punishment of his worshippers is to say that he is, in fact, the god of evil in the new religion. And has been all along. This did not happen all at once. For centuries Christianity existed alongside much older pagan beliefs all across Europe, and adapted to the people there and accomodated their beliefs as far as possible. The Celtic Christian Church in Dark Age Ireland is a typical example. Then in AD 1248 Pope Innocent IV decided that it was time to suppress all heresy and for that purpose he founded The Holy Office, or as it later became better known, The Inquisition. It really took off in the fifteenth century (especially in Spain), and began rooting out all and any lingering traces of pagan belief. Being an organization run entirely by men it took an instant dislike to the old wise women living around every country village, passing on ancient pagan folk-lore to the new generation and selling folk medicine and magic charms.

A Father Does Not Always Know Best :: Free Essay Writer

The Adventures of Huckleberry Finn by Mark Twain brilliantly illustrates a boy's travels down the Mississippi and the trials and tribulations that occur as a result. Having a runaway slave as a companion and being set in the South during slavery only forebodes trouble. The many characters and stunts that Huck's pulls provides for an interesting depiction of a young man's venture down a river. Huck lives in a small town and has only one drunken parent, which supplies Huck with many problems. His biological father, Pap, wanders from town to town, begging for money and drinking; and every once in a while pops back into Huck's life to beg money and to scold his son for going to school and becoming ‘sivilized’. However, there is also another male figure that acts as a father to young Huck. Miss Watson's slave Jim travels along with Huck and befriends the boy. Because Jim is a role model and mentor to the young Huck, he is more of a father figure than his biological father. Jim also teaches him principles directly through their conversations and debates. "Jim said he reckoned that the widow was partly right and that Pap was partly right, so the best way would be or us to pick two or three things from the list and say we wouldn't borrow them anymore† (Twain, 49). Jim taught Huck how to combine what he had been taught so far and how to rationalize. He also taught Huck little fables and old wives tales such as the 'bad luck if ya touch a rattlesnake' and 'a hairy breast mean ya gonna be rich sumday...(Twain, 40, 34) "Jim says you mustn't catch a bird cause it's death and you mustn’t count the thing you're ganna cook for dinner cause it's bad luck" (Twain, 34) Jim teaches him both lessons that are essential to life and ones that are amusing and make life interesting. Fathers satisfy the needs of their sons. Jim satisfied Huck’s need for exploration and his quest for knowledge and also satisfied his need for pleasure and en joyment. A father teaches his son lessons. Jim taught Huck many lessons both unintentionally and directly. Jim shows Huck that slaves are human people. Huck learns that slaves are capable of human emotions such as love and compassion because Jim talked of buying his wife out of slavery and stealing his children out of bondage.

Sunday, November 10, 2019

How much is a life worth spending? Essay

The value for life is truly indispensable. More than how we translate it to profound philosophical principles, moral grounds, and other abstract perspectives, it is seen even in our most concrete areas. For one, we have become so conscious of our health that we distinguish activities from those which can sustain life and those which do not. We have also explored on numerous options to take care of ourselves and avoid harm and pain. These and more may be due to how we naturally value our lives and life, in general. Even on a macro-level, it has manifested in the different areas of our society. From simple to complex social relationships and structures, the value for life has become a vital part. It has also become a determinant in every process of making decision in the society. We see this in the fast evolution health technologies and initiatives, fiscal and economics policies, and competition of businesses that provide health care in the corporate world. Truly, over the years, the value for life has been going beyond mere qualitative to quantitative manifestation. For this paper, we will focus on one concrete activity that is highly related and/or is directed by this value for life – spending. People spend for health. And when we speak of spending, we don’t just refer to money that is being used to pay for services and/or products for health care. We also refer to other factors such as value system, social culture, and others. How much is a life worth spending? This paper will seek to answer the question by analyzing spending statistics of every individual and the government itself in the United States and by exploring on development of health technologies and how it satisfies individuals, and understanding issues regarding this. Health care in the United States is provided by many separate legal entities. Current estimations put US health spending at approximately 15% of GDP. In the United States, the majority of citizens that have health insurance either have employment related insurance or must purchase it directly. The federal government does not guarantee universal health care to all its citizens, but certain publicly-funded health care programs help to provide for the elderly, disabled, and the poor and federal law ensures public access to emergency services regardless of ability to pay. Those without health coverage are expected to pay privately for medical services. The generally high cost of treatment has led to the concept of doctors completing pro bono work, although in practice even serious conditions are left untreated. Health insurance is expensive and medical bills are overwhelmingly the most common reason for personal bankruptcy in the United States. A 2004 survey released by the National Center for Health Statistics estimated that approximately 70% of Americans were in â€Å"excellent† or â€Å"very good† health. The overall performance of the United States health care system was ranked 15th by the World Health Organization (WHO) in 1997. American health care is provided by a diverse array of individuals and legal entities. Individuals offer inpatient and outpatient services for commercial, charitable, or governmental entities. For services, â€Å"Ambulatory care† refers to health care outside the hospital; most health care in the United States occurs in the outpatient setting. â€Å"Home health care services† are generally nursing enterprises, but are usually ordered by physicians. Private sector outpatient medical care is provided by personal primary care physicians (specialists in internal medicine, family medicine, and pediatric medicine), subspecialty physicians (gastroenterologists, cardiologists, or pediatric endocrinologists are examples) or non-physicians (including nurse practitioners and physician assistants). There are for-profit hospitals, which are usually operated by large private corporations and there are nonprofit hospitals, which may be operated by county governments, state governments, religious orders, or independent nonprofit organizations. Hospitals provide some outpatient care in their emergency rooms and specialty clinics, but primarily they exist to provide inpatient care. Hospital emergency departments and urgent care centers are sources of sporadic problem-focused care. â€Å"surgicenters† are examples of specialty clinics. Hospice services for the terminally ill who are expected to live six months or less are most commonly subsidized by charities and government. Prenatal, family planning, and â€Å"dysplasia† clinics are government-funded obstetric and gynecologic specialty clinics respectively, and are usually staffed by nurse practitioners. Companies provide medical products such as pharmaceuticals and medical devices. The research and development for applications is primarily done in commercial R&D labs while the government and universities fund the majority of basic research. Much of this basic research is funded or performed by governmental research institutes such as the NIH and NIMH. On a general note then, the current health care system provides people with assistance or subsidy in hurdling over health welfare services. But this may or may not necessarily mean that people are truly being â€Å"assisted† by these provisions. A closer look on individual spending will aid us in this conjecture. INDIVIDUAL SPENDING ON HEALTH SERVICES In the current review done from the data gathered from Centers for Medicare and Medicaid, $1 out of $5 dollar is spent by an individual for health-related expenditure such as hospital care, drugs, medical insurances, and other health care programs/supplements. This means that on the average, more or less 25% of an individual’s income goes to health spending. This already constitutes a huge part in an individual’s budget pie, along with other priorities such as food, housing, and the like. This is way higher than the 16% spending versus total income, in the last ten years. The increase of this rate has made several economists into considering other factors. For Mark Zandi of a famous economics resource online, this may mean that this spending tells more of the increase on the capacity of individuals to spend more for their welfare and health. This may be caused by increase in income, hence, increase in percentage of spending for this aspect. On the other hand, Paul Ginsburg of Center for Studying Health System Change thought that this may also be due to the increased information and awareness of the need to priorities health. Individuals must have considered health care really serious that they have given more priority for it compared to how they consider it before. Communication and other media have contributed much to this awareness. On another perspective on the level of health spending of individuals in United States, health expenditures have become one of the major reasons for personal bankruptcy according to David U. Himmelstein, et al. In 2001, 1. 458 million American families filed for bankruptcy. About half cited medical causes, which indicates that 1. 9–2. 2 million Americans (filers plus dependents) experienced medical bankruptcy. Among those whose illnesses led to bankruptcy, out-of-pocket costs averaged $11,854 since the start of illness; 75. 7 percent had insurance at the onset of illness. Medical debtors were 42 percent more likely than other debtors to experience lapses in coverage. Even middle-class insured families often fall prey to financial catastrophe when sick. This means that even in the presence of subsidized health services, medical spending of every individual still has not changed, it even went higher to the point that one experiences bankruptcy. Medical problems contribute to about half of all bankruptcies. Medical debtors, like other bankruptcy filers, were primarily middle class (by education and occupation). The chronically poor are less likely to build up debt, have fewer assets (such as a home) to protect, and have less access to the legal resources needed to navigate a complex financial rehabilitation. The medical debtors we surveyed were demographically typical Americans who got sick. They differed from others filing for bankruptcy in one important respect: They were more likely to have experienced a lapse in health coverage. Many had coverage at the onset of their illness but lost it. In other cases, even continuous coverage left families with ruinous medical bills. First, even brief lapses in insurance coverage may be ruinous and should not be viewed as benign. While forty-five million Americans are uninsured at any point in time, many more experience spells without coverage. We found little evidence that such gaps were voluntary. Only a handful of medical debtors with a gap in coverage had chosen to forgo insurance because they had not perceived a need for it; the overwhelming majority had found coverage unaffordable or effectively unavailable. The privations suffered by many debtors—going without food, telephone service, electricity, and health care—lend credence to claims that coverage was unaffordable and belie the common perception that bankruptcy is an â€Å"easy way out. † Second, many health insurance policies prove to be too skimpy in the face of serious illness. We doubt that such underinsurance reflects families’ preference for risk; few Americans have more than one or two health insurance options. Many insured families are bankrupted by medical expenses well below the â€Å"catastrophic† thresholds of high-deductible plans that are increasingly popular with employers. Indeed, even the most comprehensive plan available to us through Harvard University leaves faculty at risk for out-of-pocket expenses as large as those reported by our medical debtors. Third, even good employment-based coverage sometimes fails to protect families, because illness may lead to job loss and the consequent loss of coverage. Lost jobs, of course, also leave families without health coverage when they are at their financially most vulnerable. Finally, illness often leads to financial catastrophe through loss of income, as well as high medical bills. Hence, disability insurance and paid sick leave are also critical to financial survival of a serious illness. Given this analysis, we have two important things to look into. First is that, despite government efforts to assist people in medical services, we still see issues on personal spending which even result to bankruptcy. Such is factored by the current system running for medical spending that doesn’t seem to address concrete circumstance of people facing medical and health-related needs.

Gi Bill of 1944

A Building Block for the Future: The G. I. Bill of 1944 â€Å"We’re finally home boys! † shouted one of the young invigorated soldiers as the plane landed on the runway. The young men arriving from the European and Japanese fronts were filled with excitement but among them there resonated a feeling of unknown. World War II had finally come to a conclusion and what the future held for many young men in the middle of the 1940’s was completely unknown. The only feeling of security that the soldiers returning home was the feeling of winning.The feeling of satisfaction persisted among the American soldiers that they had avenged the tragedy of Pearl Harbor. The same feeling of satisfaction existed on the European front as they had helped the other European powers stop the Fascist Nazi’s. Among the men there was a contagious energy in which many had never had the opportunity to experience in many of their lifetimes. These men and women had just accomplished one o f the most incredible feats of the twentieth century and it was now time for them to return to America and start the rest of their lives.Most of the soldiers involved in the war grew up during the Great Depression of the 1930’s and had never known anything that resembled a comfortable lifestyle. As soldiers returned home from the Pacific and European fronts many questions arose about what their futures would hold. Among many Americans there was a general fear that the economy would return to its pre-war state in which people were starving and the unemployment rate was at an all-time high. Most believed that the war was responsible for the economic turnaround that had occurred in America due to the influx of money spent by the U.S. government for an arms buildup. This build up of arms provided many jobs to women and non-white races that had not had the opportunity to find a job before the war but the question that persisted was were these men going to return to work and put th ese people back on the streets? Many questions lingered in Americans minds, but a question that stood out for many Americans at this time was with the war effort now over and production down will America again fall into the deep depths of the depression?This question was answered with the passing of a bill and the pen of Franklin Roosevelt on May 19, 1944 when the American government made a down payment for their future. When President Roosevelt signed the Readjustment Act he was betting on the returning soldiers to have a lasting impact on America; the soldiers would not disappoint as many men used the bill to brighten their futures and in doing so made America a stronger nation. The G. I. Bill influenced America in many different ways in which all had positive effects.First, when soldiers returned home from the European and Pacific fronts many were still trying to get the horrific images that they had to endure out of their heads. Not only did many experience the loss of many of t heir closest comrades, but many were trying to overcome the symptoms of Posttraumatic Stress Disorder. The G. I. Bill offered financial aid for a year that would allow those soldiers that were struggling psychologically. These men were struggling with Posttraumatic Stress Disorder either could not find a job or didn’t have the ability to initially work after the war.The bill provided reasonable unemployment allowances that were payable each week for up to a maximum period of a year. As a result of the Great Depression and pre-war America the state of the economy was of utmost importance to President Roosevelt. He and the rest of the political leaders of America knew something needed to be done to create new jobs and stimulate spending. The leaders also knew that something had to be done to protect the future of the returning soldiers as such a large group of young men were returning home. Roosevelt’s core idea of the G. I. ill is exhibited by Altschuler when he writes, â€Å"To Roosevelt, this was neither educational opportunity nor government-guaranteed residential loans but the successful transitions of millions of veterans from military service to civilian work. He singled out ‘satisfactory employment’ as the most urgent need of service personnel and concluded the GI Bill would help that need. † Not only were the returning soldiers fearful of a return to the Great Depression, but clearly our political leaders were fearful represented by Roosevelt’s urgent need to stimulate jobs.Another portion of the G. I. Bill that had a considerable positive effect on the American economy was the government establishing provisions for the returning soldiers for fifty percent of certain loans made to them. These loans to the soldiers could be used for the purchase or construction of homes, farms, and business properties. This part of the act made it easier for entrepreneurs to try to start their own businesses resulting in a swellin g in the number of small business in the 1950’s and 1960’s. Not only did the G.I. Bill have a lasting effect on small businesses but also it transformed the way Americans lived in the cities. As veterans received the financial benefits from the G. I. Bill and began to make their way into higher paying jobs a housing boom occurred and suburbs began to quickly develop. The housing boom of the 1950’s affected not only the people that were living at this time, but the lifestyle of Americans forever. No longer was the middle class of America only relegated to living within the cities.With the housing boom of the 1950’s as well as the development of mass production of vehicles people could now live in the Suburbs and commute to their jobs in the cities. Vehicles before the 1950’s had been mass produced, but the difference between the 1950’s and before is the amount of people being able to afford vehicles increased drastically in the 1950’s. People could now afford to buy vehicles as a result of the education or benefits that they had received from the government years before due to their service during World War II.During the 1940’s and the ten years following the development of housing communities increased rapidly. According to Altschuler, who used the 1670 U. S. Census report writes, â€Å"the rapid movement of big-city dwellers to new homes outside the central city increased that proportion to 41 percent and in the 1950’s it grew again to 49 percent. Major cities did see growth at this time just not at the same rate. Sometimes during the early 1960, the area outside the nation’s largest cities surpassed these cities in population, and the balance has continued to shift. People at this point were establishing a pattern that is still followed in today’s society of living out in the suburbs and commuting to the city for work. After the invention of the suburbs there was a need for better roads at the middle of the 1950’s. President Eisenhower firmly believed America needed to modernize their roads in the form of an Interstate system that would be globally unrivaled. Eisenhower wanted a roads system that was even unrivaled by the Germans which is saying something because in the 1930’s there interstate system gave them a distinct advantage during the second war.Eisenhower believed a National Interstate System was essential to the United States not only as a result of the suburbs but also militarily. Eisenhower is quoted as saying, â€Å"together the uniting forces of our communication and transportation systems are dynamic elements in the very name we bear- without them we would be an alliance of separate parts. † Once the Interstate system was created the majority of America’s middle class was now living in the suburbs and a large percentage of the middle class that were building houses out in the suburbs were recipients of the G.I. Bill. The Bill transformed cities and it also provided a foundation for an increase in birth rates as a result of families being secure financially. The G. I. Bill along with families settling down in the suburbs are two major reasons for the large increase birthrates of the 1950’s and 1960’s and the Baby Boomer Generation. Even today, the period of the Baby Boomers in the 1950’s and 60’s is unrivaled when comparing birth rates during different times. Creation of jobs through great loan rates and unemployment are very important portions of the G. I. ill, but what helped to lay the groundwork for America more than anything was the financial aid that was offered for the returning soldiers to attend college. The bill stated the returning soldiers had access to tuition charges of up to $500 per school year; furthermore, the right to receive a monthly living allowance while pursuing their studies at universities. The school portion of the Readjustment Act created so mething many soldiers would have never had access to: the opportunity to rise to a higher socioeconomic status level as a result of a college degree.This opportunity is exemplified by Private Leslie Faulk and his incredible story. If it weren’t for the G. I Bill Mr. Faulk would most likely have returned home from Europe and would have come home to work in his native smoky western Pennsylvania industrial town where the days of the Great Depression were still apparent. Kiester writes, â€Å"Then he would look for work. If he were very lucky, he would move up from his high school occupations of caddying at the local golf course and racking balls in Kindler's poolroom.Maybe he'd even find what the town considered a â€Å"good job. † That meant he might be stoking a steel-mill open-hearth furnace or winding copper armatures in the Westinghouse generator plant. † However, with the opportunity that America granted Leslie he had the opportunity to go pursuit a college e ducation and eventually become an engineer for the United States military leaving the western Pennsylvania town behind. Thanks to the government’s aid Leslie along with hundreds of thousands of soldiers now had the opportunity to become an engineer, lawyer, or even a doctor.Before the Readjustment Act of 1944 someone that was from the lower class never even had the option to attend a university or trade school because to them it was just too expensive. For this reason of creating opportunity to a class of people that had never had such opportunity the G. I. Bill is one of the most significant pieces of legislation in American history. Kiester believes that there were two periods in American history when expanding education has eventually resulted in an economic gain for the United States.The two periods in which education has worked to expand the economy are the Land Grant for colleges of 1860 and the period of the G. I. Bill. He asserts, â€Å"G. I. Bill statistics are awes ome. Out of 14 million eligibles, 2. 2 million veterans jumped at the chance to attend college. At a cost of $5. 5 billion, the first G. I. Bill turned out 450,000 engineers, 240,000 accountants, 238,000 teachers, 91,000 scientists, 67,000 doctors, 122,000 dentists, 17,000 writers and editors, and thousands of other professionals. † As these professionals entered the American workforce the impact was immediate, and it was a substantial impact.The more successful the G. I. graduates were the more of a return the America government had as a result of the taxes that these people would pay into the government for many decades to come. Ironically, the returning veterans had better access to the more prestigious schools which contributes largely to the high number of engineers, doctors, and dentists. According to statistics taken by the U. S. Office of Higher Education in 1948, â€Å"With tuition paid by the government, veterans attempted to enter the best institutions their record s would permit.In the fall of 1948 the majority of veteran men enrolled in privately controlled institution, while the majority of nonveteran students registered at publically controlled institutions. † This represents that returning soldiers were drawn to better known institutions and since the government was granting them a healthy sum of money for their schooling they could afford the best schools in the country. Those who opposed legislation of the Readjustment Act of 1944 feared that passing the bill would be another step in Roosevelt’s New Deal policy.Many right wing conservatives objected at the idea believing that the origins of the bill arouse from liberal ideologies. Liberals responded with their argument claiming the different nuances of the Readjustment act which included: compensation education and training benefits were designed in no measure to breathe new life into the New Bill. Liberals go on to make the point that the Readjustment Act of 1944 was put i n place for one reason only and that was to mitigate the effects of a postwar depression or recession.Many questions came about when different legislators were discussing the different mandates for the G. I. Bill. Question such as should every veteran receive the benefits or only those soldiers returning that are under the age of twenty five years old? Or another question that arose that is described in Altschuler’s book is â€Å"After one year, should government officials in the VA or the U. S. Office of Education select the best students in fields (like engineering) where shortages were anticipated- and authorize them to complete undergraduate, professional, or graduate degrees? Many more questions were being debated among legislators and it was a common perspective from right wing conservatives that the bill had ties to the Roosevelt’s New Deal. However, in the end the Republicans understood the importance of the bill to the returning soldiers and that is why the b ill was able to pass. The most pressing matter was the matter of the Readjustment was the part of the bill granting unemployment. Among the legislatures there was a debate over what was a fair number of weeks that a veteran could receive the unemployment benefits from the Readjust Act.Some argued for fifty two weeks and others objected claiming that if veterans returned home to America and were able to receive money for a year then they would become very complacent and not want to put forward the effort after a year to go find a job. When using a digestion of minutes by Ross during the Nation Executive Committee Meeting during the dates of November 18th through November 20th 1944, Ross makes the point, â€Å"Within six months of discharge, about 70 percent of veterans without disabilities had found full-time employment. Another 8. 8 percent had regular work in less than a year.Thus, â€Å"52-20† and job placement services, which was once the key issue sponsors and supporters would now see the issue as less pressing by the end of 1945. † With the resolution of the issue of unemployment resolved the bill could move forward in its debates. It is ironic to think that the most pressing issue of congress was the debate over the unemployment which in the end was the portion of the bill that had the least amount of impact and users. This strong debate over unemployment demonstrates the legislatures underestimating the amount of soldiers that would take advantage of the college portion of the G.I. Bill. When trying to gain an understanding of the mindset of people in the 1940’s I had a discussion with my grandmother on the G. I. Bill. Her husband Harold, who passed away before I ever had the opportunity to meet him, was directly affected by the Readjustment Act. She made the point to me that she was in high school as the war in Europe was coming to a close but he had actually been able to attend Colorado State University due to his years over in Eu rope and he made the point that the Readjustment Act was crucial to him to be able to go to school. When I asked her what she he told her about the G.I. Bill? She responded by saying, â€Å"He was just always very thankful for what the government had provided him with. Harold did not come from a lot of money and when he was drafted to the war he had a nervous feeling he used to describe to me. Once he got out he did know what he was going to do but the G. I. Bill allowed him to get a good education that provided him with a career opportunity. † My grandmother’s description of what her husband had told her about the G. I. Bill solidified to me the importance of the bill to so many different returning soldiers.It didn’t matter what region you were from or what your socio-economic status was at the time if a returning soldier wanted to better them through education it was now a possibility. Similar to Leslie Faulk from Western Pennsylvania, my grandfather had also risen out of poverty through the use of education that was made possible by the Readjustment Act of 1944. When conducting the interview with my grandmother Elizabeth, it showed me that as a history major that enjoys twentieth century American history I should be talking to my older family members to acquire more information.It would be interesting because it would be from my own family’s perspective on different issues I have acquired information about in my college history courses. The G. I. Bill had a lasting impact on so many individuals and is probably not recognized in history enough for the lasting impact that it had on the United States people and the government. The G. I. Bill’s largest weakness is not allowing the equal opportunity for returning women or at least telling them about it as they were being discharged out of the war. The Veterans Administration made no special efforts to inform women of their benefits to which they were entitled.Men were briefed a bout the bill when they were discharged; furthermore, once they were discharged they were provided with educational and vocational counseling. Metter explains the gender back that existed in the Readjustment Act, he writes, â€Å"it was provided only sporadically to women. † Going Back to Civilian Life, a pamphlet issues by the War Department, did not refer to women. Moreover, since women were far less likely than men to join a veteran’s organization, they lacked access to another important source of information and encouragement. † A woman not being given equal treatment to the distribution of the G.I. Bill funds is no surprise as over the course of history there are many different instances where women have not been on an equal playing field. As a result of this statistic education and training under the bill, were far less significant for female veterans. The difference in treatment of women at this point in history is demonstrated by the occupational segregat ion and wage differentials that were being place on all women jobs. For jobs that carried a certain amount of influence or high status within a community women rarely got hired for these positions and if they did they would make less much money.That factored into women not trying to pursuit a higher education because even if they were more qualified than a male candidate there was a good chance that the male would get hired due to gender discrimination. The uneven distribution of the G. I. Bill had a significant impact on the percentage of women in college. The uneven distribution of women in colleges is shown by Hartman when he writes, â€Å"Constituting 40 percent of all college graduates in 1940, women made up a mere 25 percent of degree candidates in 1950.Since veterans received preferential treatment in the most selective, private colleges, women often had to choose between a public institution or no institution at all. † By 1959 women accounted for a third of the colleg e graduates but there still existed a large disproportion between genders. Keith Olsen, the author of The G. I. Bill, Veterans, and Colleges actually does a case study on the University of Wisconsin and he uses a quote from the President of the University of Wisconsin that was taken in 1950. The President states, â€Å"For the past four years we have gone â€Å"all out: to be of service to the ex-G.I. s but the transaction has not been one-sided. Our 30,000 student veterans have been a stabilizing influence in Wisconsin Student life. Their maturity had enabled them to raise scholarship levels. Their great sense of responsibility has improved student-faculty relationships. † The overall excitement and satisfaction of the President of Wisconsin exemplifies many of the beliefs that most in the academic world expressed at most of the returning soldiers were responsible and cared about their academics. One of the headlines of the Daily Cardinal which was the paper in Madison read , â€Å"U.W. Will Admit All Students It Can House. † The want ads of the Madison newspaper demonstrated the shortage of housing that occurred on many other campuses nationally. In Madison tents were set up to provide veterans a place to sleep while searching for a room. While the amount of housing was eventually solved with temporary housing being brought in, the impact that these students had on the colleges still has a lasting impact. Olson writes, â€Å"In addition to their superior performances, the veterans left a heritage to the college generation that followed.They made the married student an accepted part of academic life and demonstrated the feasibility of a massive federal aid program to higher education. † Other impacts that the G. I. Bill had on colleges is it increased state financial support of universities around the nation. These first students graduated under the G. I. Bill laid the ground work for the path that many kids choose today. Those kids that come from lower socio–economic status or possibly didn’t do that well in school can now go to the military and receive financial aid for their military service. The G. I.Bill transformed America in so many different ways and the importance of the bill should never be overlooked. The veterans who made their way into the classrooms first wanted to be treated as students that were known for fighting in World War II. They wanted to be absorbed into college communities with as little disruption as possible and receive an education. With their hard work within the classroom and their aid on the two different fronts during World War II these men were able to provide a better life for themselves and their families and they succeeded in doing just that.The G. I. Bill allowed many people to live their own version of the â€Å"American Dream. † Bibliography Altschuler, Glenn C. , and Stuart M. Blumin. 2009. The GI Bill: a new deal for veterans. Oxford: Oxford University Pr ess. P. 66 Dwight Eisenhower quotes out of Snyder, Logan Thomas. 2006. â€Å"THE CREATION OF AMERICA'S INTERSTATE HIGHWAY SYSTEM. † American History 41, no. 2: 32-39. Academic Search Premier, EBSCOhost (accessed April 19, 2011). E. B. Fred, Report of the President, November 1950 from the book Olson, Keith W.The GI Bill, the Veterans, and the Colleges (University Press: Kentucky 1974) p. 74 Education Interests College G. I. s, â€Å"School and Society† (Feb. 10, 1945); Mettler, Soldiers to Citizens, 149-150 Hartmann, Home Front and Beyond, 107. Interview of Elizabeth Berckefeldt on March 12th, 2011 in Cheyenne, Wyoming. Grandmother of Dustin Gochenour Kiester Jr. , Edwin. 1994. â€Å"The G. I. Bill may be the best deal ever made by Uncle Sam. † Smithsonian 25, no. 8: 128. Academic Search Premier, EBSCOhost (accessed April 18, 2011). Olson, Keith W.The Gi Bill, the Veterans, and the Colleges (University Press: Kentucky 1974) p. 98 Ross, Preparing for Ulysses, 235- 236; â€Å"Digest of Minutes,† National Executive Committee Meeting, American Legion, Nov. 18-20, 1947, American Legion Archives, Indianapolis, Indiana U. S. Bureau of the Census, U. S. Census of Population: 1960. Vol, I Characteristics of the Population. Part 1 United States Summary (Washington D. C. : U. S. Government Printing Office, 1964 1-106) U. S. Office of Education, â€Å"1948 Fall Enrollment in Higher Educational Institutions,† Circular no. 248, 15 November 1948.