Wednesday, July 31, 2019

Equality Diversity and Rights

As a health and social care professional it is part of your role to understand the bases of discrimination and to make sure you don’t discriminate a individual in any sort of way as it can have a negative effect on the individual leading to further problems. Culture A person’s culture is very important to them and indentifies them who they are. It is important to respect everyone’s culture regardless when they come from, everyone should be treated as an individuals and treated fairly. In a health and social care setting it is important at all times to respect an individual’s culture and not to discriminate against them. Disability As a professional you will be working with many people who are different various types of disability, under no circumstances should a disabled person be discriminated against just because of their disability or seen different from everyone else. Many people don’t think about the individual but see the disability first and see them different from the rest which can lead to bullying. Social class Our social class is based on where we live. The higher the class, the better the place is. This can lead to people being discriminated against due to people who don’t have a lot of money and can’t afford some things. Age Age discrimination happens when someone is restricted to do certain things because of their age. In health and social no individuals should be discriminated against because of their age. Age shouldn’t be a problem to anyone; they are still entitled to everything just as everyone else is. An example of this will be an elderly needing an operation but the surgeons saying they can’t undergo the surgery due to their age; this is discriminating against their age and putting them at risk as the surgery may be essential and can maybe save their life. Gender A person may be turned away or discriminated due to their gender. An example may be a male doctor giving better treatment to another male. This is discrimination and everyone should be treated fairly and not be discriminated because of their gender. Sexuality A person can be discriminated due to their sexual orientation. Sexual orientation can refer to a person who is attracted to the same sex. Some people think it’s wrong to be attracted to the same sex so they may start to bully the person or make them feel left out or different from the others. Health status Sometimes decisions have to be made about an individual medical treatment, bearing in mind the cost of the treatment and an individual’s life expectancy. Family status This can lead to a variety of discriminations against gay/lesbian parents, single parents, and parents with different races. An example of this would be a child getting bullied at school due to the fact his dad is gay and is attracted to the same sex. This can have a negative effect on a person and may feel that they are different from the rest. Cognitive Ability Cognitive ability is the way individual processes information in their brain can be the cause of discrimination particularly for those with learning difficulties. Health and social care staff may find them hard and challenging to work with and may apply labels to them.

Tuesday, July 30, 2019

Contemporary Management Essay

The Classical Management approach attempted to apply logic and scientific methods to management of complex organisations, such as factories. It assumed that there was â€Å"one best way† to manage an enterprise. Classical Management comprises three different approaches: Scientific Management, which represents Frederick W Taylor’s work, developed scientific principles of management, focusing on the individual, rather than the team and aimed to improve efficiency through production-line time studies, breaking each job down into its components and designing the quickest and best methods of performing each component. He also encouraged employers to reward productivity. Employees did the physical labour, managers did the planning and organising. According to Taylor, employees were motivated by money. From Taylor’s research emerged time studies, work studies and industrial engineering, making an important contribution to the central procedures of many organisations.  · Bureaucratic Management emerged from the work of Max Weber, who developed an â€Å"ideal model† organisation, hierarchical in structure, governed by a set of impersonal, formal rules and policies. Weber believed this was the most efficient way to organise and govern an enterprise.  · Henri Fayol’s Administrative Management assumed that 14 general principles of management could be applied to any situation or circumstance: 1. division of work 2. authority 3. discipline 4. unity of command 5. unity of direction 6. subordination of individual interest to the common good 7. remuneration 8. centralisation 9. hierarchy 10. order 11. equity 12. stability of staff 13. initiative 14. espirit de corps Fayol divided managerial activities into five functions: planning, organising, commanding, coordinating and controlling. This idea set the basis for many modern management techniques stressing rational central planning. The Human Relations approach, focusing on work relationships as the key to improving workplace productivity, was inspired by the Hawthorne studies performed by Elton Mayo and Fritz Roethlisberger. They studied the effects of physical working conditions on employee productivity and fatigue. These studies suggested that leaders are able to positively influence employee motivation and productivity by showing concern for employee relationships. Mayo discovered that a work group would establish its own informal group performance norm, which represented what it considered to be a fair level of performance. The work group would convince ratebusters to slow down and slackers to work faster. Mayo’s conclusion that â€Å"work is a group activity† had a profound influence on modern individual management. Two key aspects of the human relations approach are employee motivation and leadership style. Pay can motivate only lower level needs and once those are satisfied, non-monetary factors such as praise, recognition, and job characteristics motivate human behaviour. Fayol’s Management approach emphasised maximum efficiency and productivity through standard operating procedures; viewed money as the one true motivator for workers; stressed the need for managerial control; and viewed organisations as machines. Taylor’s Scientific approach over-simplified the issues, emphasised the individual rather than the team and was hostile to trade unions and labour organisations. Whereas Fayol and Taylor both emphasised the production process and adjusted humans to this process, Mayo’s Human Relations approach emphasised the coordination of human and social elements in an organisation through consultation, participation, communication and leadership. However, the equation merely replaced â€Å"rational economic man† with â€Å"emotional social man† and this approach merely shifted the blame for poor performance from structural to personal attitudes and emotions. Both approaches held that there was â€Å"one best way† to manage all organisations. Assess the relevance of Classical Management theorists to the management of contemporary organisations. The modern assembly line pours out finished products faster than Taylor could ever have imagined. This production efficiency is just one legacy of Scientific Management. Its efficiency techniques have been applied to many tasks in non-industrial organisations, ranging from fast-food service to the training of surgeons. However, Taylor’s emphasis on productivity and speed placed undue pressures on employees to perform at faster and faster levels. This led to exploitation and resulted in more workers joining unions. Modern management is still viewed as a process that enables organisations to achieve their objectives by planning, organising and controlling their resources, as advocated by Fayol, but views gaining the commitment of their mployees through motivation as a key element. Hierarchical organisation (introduced by Fayol) has become the dominant, traditional mode of structure in large corporations and civil/public service departments. In some cases this â€Å"mechanistic† model works best, however, the emphasis is on efficiency and control, whereas a greater balance between people and performance is generally considered the more des irable approach nowadays. Although the Classical Management (vertical/hierarchical) approach dominated organisational structure for decades, the Human Relations Movement (horizontal/inter-departmental), encouraging adaptation to external changes, seems the more relevant approach for modern management. Contemporary management builds on the Classical and Behavioural approaches and goes beyond them. The Systems approach of â€Å"different strokes for different folks† finally put the â€Å"one best way† theory to bed and has dominated modern organisational analysis since the 1980s. The Contingency approach views the organisation as an organism, segmenting as it grows, each segment specialising in knowledge and activity, all of which must cope with their external environment and integrate harmoniously. The main difference between Classical and Contemporary approaches is the modern belief that it is futile to search for â€Å"one best way† to manage an organisation. Instead, managers must take into account the internal and external environment to match the appropriate management practices to the surrounding circumstances for an effective outcome.

How successful is Shakespeare’s presentation of Macbeth Essay

In order to make a precise conclusion on how successful Shakespeare is on making Macbeth a tragic hero, the great speeches and monologues by Macbeth must be analyzed. Also the audience or reader must have to understand what makes a person a tragic hero. Obviously there must be certain conditions that the tragic hero has to fulfill. These will be discussed. Macbeth has them and I will try to give evidence to back up my points. To start with the character must be of noble birth, Macbeth is of noble birth and this is a fact as he is born the Thane of Glamis. Secondly the tragic hero must be of high moral worth as if he isn’t the audience can’t admire him so he wouldn’t be heroic therefore he wouldn’t be a tragic hero. Macbeth is of high moral worth as one of the first times in the play when Macbeth is seen as a hero is after the great battle at the beginning. Everyone is praising him, including the king. The king, as a reward for his heroic actions, makes Macbeth Thane of Cawdor as the last Thane of Cawdor was found guilty of treason and was be-headed! The main thing that makes the audience respect Macbeth (helping us to see him as a tragic hero in the end) is when the sergeant reporting on the battle praises Macbeth calling him â€Å"brave Macbeth†, so we see that even from the beginning of the play Macbeth is seen as brave and people respect him. When Macbeth meets the king towards the beginning of the play the king has only nice things to say about Macbeth and clearly respects him as he call him his ‘valiant cousin’ and a ‘worthy gentleman’. Because the king is obviously noble we trust his opinion of Macbeth so then we too share his high opinion of him. We know the King thinks this as he represents his feelings when he says to Macbeth â€Å"more is due than more all can pay†. Here Duncan is saying that Macbeth means a lot to him and the country. As the king is so proud of him hen trusts him more and naturally is more willing to give him things and help him become more successful throughout his reign as king. The king’s whole idea of Macbeth shows him as a hero, which is often shown so frequently at the beginning of the play. This whole idea of Macbeth being a hero at the beginning of the play is very common in tragic heroes as always at the beginning they are brave and heroic, but then they go tragic things/or bad things, which makes them tragic heroes. Another thing that a tragic hero must posses is a flaw in their character. In Macbeth his flaw could be seen as being his ambition (to be king) or him not thinking about the consequences of his actions, but personally I feel his flaw was ambition. I feel that this flaw was mainly the fault of the witches as after they told him he would become thane of Cawdor he did and they also told him he would become king so he proberly believed he would and as it was possible he would do anything to make himself king. At the beginning of the play Macbeth has feelings, but he knows that after talking to the witches he gets bad, evil thoughts as he says, â€Å"stars, hide your fires! Let not light see my black and deep desires†, basically saying that he knows that he has desires which are very bad and which no one should knows about. This helps us think of him as a tragic hero as he is still aware of what is good and bad. I think Macbeth’s dark thoughts almost eat up his goodness and his sense of what is right, leaving Macbeth as a cold man, a murderer. After the murder of Duncan, by Macbeth, we yet again are reminded how he could be a tragic hero. Tragic heroes must not be totally senseless and Macbeth isn’t as straight after the killing of Duncan we here him say to Lady Macbeth how he is ‘afraid to think of what’ he had done and how he wishes he could wake Duncan but he can’t. He also says how to ‘look on it again’ he dare not. This shows us how he isn’t totally cold-hearted and that he knows that it was wrong. A main reason why Macbeth turns into a cold man, a tragic man, is Lady Macbeth. Lady Macbeth is like a catalyst in the play. She works on Macbeth’s â€Å"black and deep desires†, which are to kill, as she is almost power hungry and wants to be queen, and she makes them real life, making him kill people. The things that causes him to change his mind about committing the murder are the speeches that Lady Macbeth gave him ‘Does un-make you. I have given suck, and know how tender ’tis to love the babe that milks me: I would, while it was smiling in my face, have pluck’d my nipple from his boneless gums, and dash’d the brains out, had I sworn as you have done this.† We see a lot in this scene how Lady Macbeth uses emotional blackmail and, how she attacks his manliness to get him to carry out the murder of Banquo. She starts off by saying to him ‘Art though afeard to be the same in thine own act and valour as thou art in desire? Here she is basically saying is he too afraid to match his desires with his courage, and this contrast between action and desire is frequent in the play. She also uses the love he has for her to try and make him carry out the killings. The worst thing she does is when she attacks his manliness, as Macbeth is a great ‘valiant’ soldier and to be called a ‘coward’ by his wife must have really driven him to carry out the murder. Also she uses an old proverb as she says he is ‘like the poor cat I’ th’ adage’. Here she means he is like the cat that wanted to eat the fish but would not wet his feet. She is saying he wants, deep down, to kill them but he doesn’t wa nt to have to do the dirty work. These speeches shows her sheer evilness and how ashamed she is that her husband is prepared to go back on what they had agreed, and the fact that this kind of manipulation works on him is tragic! For a character to be a tragic hero the audience have to feel sorry for them and sympathise with them. The audience also has to try and understand why he did what he did. I feel that the main reason Macbeth did what he did was because of the witches. The first way in which Shakespeare shows the witches to be plain evil is in the very first scene in the book where they all chant together â€Å"fair is foul, and foul is fair. This is a word play and has an inverted meaning to that of a human. They are saying that their fair is our foul and our foul is their fair, inverted morals, meaning everything we find bad they find good. I feel the witches are almost totally to blame for Macbeth turning almost evil. The witches told Macbeth he could become a king one day, this was the greatest thing anyone could imagine. They also told him that no man born of woman could kill him, so Macbeth thought he wouldn’t be killed by any person, that he would die naturally or something like that. 43Macbeth should have known better as Macduff was born by caesarian birth. I feel this was one of Macbeth’s main problems I feel that instead of trusting his friends and those close to him he trusted the witches too much and took everything literally, he didn’t think about their evilness and in the end with Macbeth’s sight so clouded from wanting to be king and believing everything the witches said to be perfectly true he ended up dead. This was one of his flaws; he trusted the witches too much and didn’t think about them playing games and being evil. This is why we feel sorry for Macbeth and view him as being tragic as it was almost as if he was victimized by the witches and they took advantage of him and played games with him. Macbeth had some hard and cruel, cold blooded times. For example when he arranged for the deaths of Banquo and Macduff’s family, he ordered other people to do it as well which, firstly showed he was a coward and wouldn’t go through with the killings totally himself he needed other people to be involved. At these times though Macbeth hadn’t really any of his senses. At these times I think his ‘black and deep desires’ led him. I think he is aware though that his senses are a bit off as earlier when he thought he saw the dagger appeared to turn towards Duncan’s bedroom he questioned his senses as he said: ‘Mine eyes are made the fools o’ th’ other senses, Or else worth all the rest. I see thee still.’ Here Macbeth is saying how his eyes are deceiving him if his other senses are correct, or else they see correctly and are more reliable than the rest of his senses together. For a character to be seen as a tragic hero he must also gain moral worth through his suffering. In act five we see Lady Macbeth realizing what she has done. She says how ‘hell is murky’ This shows she is aware that what she has done is wrong and that she is going to hell. We actually start to feel sorry for Lady Macbeth here as all the time she has been there for Macbeth when he had doubts and things but she never had anyone for her. But for Macbeth it act five scene three where he gains self worth and realizes what he has done, but now he is more scared and we feel sorry for him as he is losing self-control. In his speeches on page one eight five we see Macbeth full of regret and despair, he talks about having nothing to live for and he thought that being king would make him happy but it didn’t. Here the audience sees Macbeth trying to reassure himself, as he says, â€Å"Fear not Macbeth, no man that’s born of woman Shall e’er have power upon thee.† Here we can detect a very insecure Macbeth. It is almost as if he has to reassure himself that no man can hurt him, but you can also detect how scared he is. Also when he says † I have lived long enough. My way of life Is fallen into the sear, the yellow leaf:† This makes us think he has had enough of being king and now just wants to die and has nothing to live for. He says his way of life has fallen into the sear, this means his way of life has almost withered faded away. In this scene the audience are made to sympathize with Macbeth. So he appears yet again tragic. He is nowhere near the strong â€Å"brave† noble fighter we were introduced to at the beginning of the book. In Act five Macbeth makes a speech once again. In this speech we see Macbeth becoming self-aware. He realizes that his senses have been dulled as after Seyton hears a sound of a woman cry he asks Macbeth whether it was a woman cry and Macbeth replies saying how he had ‘almost forgotten the taste of fears’. By this he meant that the desolate eeriness of the cry reminded him of former fears that he had. We also se Macbeth realising that the after life is important whereas earlier he said he would jump the life to come. We also see, later on in scene eight, an indication of Macbeth feeling guilty about killing Macduff’s family. When Macbeth and Macduff meet, Macbeth says how his ‘soul is too much charged with blood of thine (Macduff) already.’ Here he means that he feels guilty after killing his family as he says how ‘ his soul is too much charged’, meaning he feels bad in his soul because of what he had done. Towards the end of scene eight we see the return of the ‘brave’ ‘valiant’ fighter that was mentioned in the beginning. This reminds us and helps us see his more as a tragic hero, as we had almost forgotten that he had been noble, but this scene is a good reminder. Here we here Macbeth saying to Macduff how he ‘will not yield’ and how he will throw his ‘warlike shield’ he also says how he will ‘try the last’, meaning he will fight to a finish. This shows us the brave Macbeth who will not surrender. In conclusion I feel that Shakespeare’s presentation of Macbeth as a tragic hero really worked. He fulfills all the necessary criteria that a tragic hero needs. We all respected him at the beginning felt sorry for him when he did bad things and C then knew that his death was inevitable, and that his death made everything return to normal and that there was no other outcome that could have been had for Macbeth. Shakespeare made a perfect tragic hero in my eyes and using the evidence and quotes I have given you the phrase â€Å"tragic hero† is a great way to sum up Macbeth in a few words for this play.

Monday, July 29, 2019

Security Roles Research Paper Example | Topics and Well Written Essays - 1000 words

Security Roles - Research Paper Example Additionally, the head of security has some important duties and responsibilities and they most notably include filtering criminal records of the newly hired employees. Secondly, the leaders have to make hard choices during their jobs because they cannot to afford to trust anyone and it is a common belief that security professionals are paid to remain suspicious of everyone. The need to suspect everyone and everything is a defining attribute of security professionals in both public and private sectors of the society (Spitler, jones, Hawkins, & Dudka, 1987). The private security officials and agencies are bound to perform their duties under Police and public law enforcement as they are blessed with the governmental authority to prosecute any suspect. The role of private security is to minimize any immediate threat and danger to the interests of corporations. In the court of law, however private security officials have the capacity of expert witnesses while; the local police department s are responsible and accountable for conducting detailed crime investigational activities. The heads of corporate security departments have the important duty to neutralize any possibility of offence against the company and they are helped in this cause by technological interventions such as CCTV cameras and walkthrough gates. The idea is to minimize the possibility and probability of fatalities of security professionals specifically. The heads of security departments are also supposed to propose training and development of the staff so that they can perform their roles in a better manner. The private security professionals are nonetheless, believed to have lower level of dedication towards ethical standards in the field because they often suspect an innocent person as a possible threat and therefore, the suits stating that companies are engaged in harassing people, are piling up in developed parts of the world. The main purpose for outsourcing security to corporation is to minimiz e the strain on dollars of the taxpayers. In the past, the public law enforcement agencies were expected to provide security to the interests of corporations. The citizens of advanced nations developed the knowledge and publically challenged the practice. They held on to the point that their tax-revenues should be spent on betterment of public services and they must not be wasted on the protection of private economic interests. As a response to the abovementioned societal change, the companies were allowed to hire security professionals on their own. The security professionals are notorious for having introvert personalities whereas; people use to get annoyed by their tendency to suspect everyone. The public law enforcers have to commit to the higher ethical standards in order to win a conviction in the court of law but the private professionals do not succumb to any civic values and therefore, are infamous for using excessive force on suspects. Furthermore, they are also believed t o illegally detain corporation’s enemies and torture them against their misdeeds. The public imagines private security officials as thugs that are hired in order to do the dirty work of their employers. The governments on the

Sunday, July 28, 2019

Soccer and American Football Essay Example | Topics and Well Written Essays - 1000 words

Soccer and American Football - Essay Example Football now reflects the basic, underlying cultural dynamics of contemporary America. Football is urban, it uses "educated" players, it is complex, specialized, violent and sexy. In football every second counts, as it does in America, where "time is money." These changes line up with the values people find in football. Baseball became irrelevant. Soccer provides people with an opportunity to let off steam, to get rid of tensions, to have pleasure. Thesis Soccer and the American football have many similarities in main rules and traditions which make both of them very popular among youth. Both soccer and American football are favorite games of millions of people which bring satisfaction and raises team spirit. Like American football, soccer is an organized game that has become institutionalized. Soccer and American football are amazing: energetic and vigorous games. Soccer and American football are based on competition between two teams which involve 11 players each. In both cases, the aim of the game is score. In soccer, t he main equipment is a ball and goals. The soccer and American football ball has two-toned, black and white, markings. Thus, American football is ruled by six-tackle rule while soccer is subjected to the Laws of the Games. At the beginning of the game, players kick off a coin. During this time, all players are on their own side of the field. The traditional shape of the field is about 100 yards in length and 50 yards wide. A field for American football has 360 by 160 feet There are boundary lines surround the field considered part of the filed. Th is differed from not taking the game seriously, in that it involved, not a transformation of the game itself, but rather an alternative to the game that was defined as providing greater enjoyment than what would have otherwise occurred. Soccer game lasts for 90 minutes. Also, American football has four 15 minutes quarters (Goldblatt 76). In soccer and American football, players pay the main attention to team strategy and the configuration of players around the point of action. Usually, players try to concentrate upon the position of attackers in relation to the defense and overall the success of each attacks. Each time the cross occurred, a player crossed the area in front the defense. During this game, the important step is possession of the ball which switches back and forth between the teams. I a team several times lost possession when they made a bad pass, sent the ball out of bounds. When possession of the ball changed from a team to the other, the attacking team became the defense, and a team became the offense. Because this happens very frequently during a game, it is important for team to make the transition quickly. Players of both teams wear uniforms. Still, American football has special numbers for all positions, so it is easy to understand the role of each player: e.g. 1-9 are used for quarterbacks, kicke rs, and punters (MacCambridge 87). The end of the game is usually vigorous marked by competition and desire to win. Furthermore, soccer almost invariably involved competition;

Saturday, July 27, 2019

Movie Reflection Paper Review Example | Topics and Well Written Essays - 500 words

Reflection Paper - Movie Review Example This is portrayed compellingly through the transition we see from Vales hesitant music lessons in classical piano (which is shown to be a talent of his late wifes), to learning the African drum from Tarek, something which he seems to have a knack for. It comes to the point that Vale joins a drummers circle and for the first time in years begins to reconnect with the world around him. Things take a turn for the worse when Tarek is arrested and thrown into a detention centre for illegal immigrants. As Vale hires a lawyer to help Tarek, he starts to navigate a world he had never expected to encounter, or even given much thought to. Tareks mother arrives in the picture unexpectedly, looking for her son- and soon a friendship of quiet domesticity and real affection blossoms between the two. What is evident in the spirit of the film, and one that applies to the diversity issue in present discourse is the opposition between bureaucracy and humanism. Laws and statues are cold, and applied without any form of compassion or inquiry about the human it is being enforced upon. By bringing to us a picture from the other point of view, of the subaltern whose voice is nowhere to be found, we find that it is impossible to turn a blind eye to the system, which in the case of immigration laws, especially, is insensitive and unflinching, a perversion of ideals that claim to serve humanity, and uphold the value of life before everyone else. Which is of course where the debate regarding the diversity issue comes in. Does race, colour, ethnicity or rationality decide which life is to be valued and which is not? Who deserves the help of the system and who should be turned away? The diversity issue is not something that can just be construed as a morality lesson in a film- it exists today in society, in what can be termed first world countries,

Friday, July 26, 2019

Film Analysis Essay Example | Topics and Well Written Essays - 1250 words

Film Analysis - Essay Example Other, preferably due to the desire to achieve their ambitions and goals in life, overlook the advices and warnings they receive in their day-to-day life, causing suffering to themselves and their families – they fail to shine. The film actual meaning is so twisted and open for a number of interpretations. The film heavily employs symmetry to evoke the mind of the audience in an interactive manner. To convey the intended messages, symmetry is heavily employed. Images, events, and characters in the film appear in twins and doubles. Additionally, in both scene-to-scene and person-to- person dialogue is increasingly repeated throughout the film. During the caretaker interview, Stutart Ullman, the manager of Overlook hotel informs Jack Torrance the probability of contacting cabin fever and that his family would be snowbound throughout winter. In addition, Jack Torrance is told of a former caretaker – Charles Grady who contacted cabin fever, went insane, and killed his two d aughters, his wife, and himself. Stutart Ullman to Jack Torrance about Charles Grady â€Å"†¦killed his family with an axe. ... Ullman but opts to overlook the warning and hence failing to shine as he previously thought when he accepted caretaker position to reshape his life (Crewe). We see Jack progressing deep and deep in the wilderness with his Volkswagen, an implication of a dark future ahead of him. The lighting in this scene is dark. The double effect in the film is evident upon Jack’s family arrival at the Overlook hotel when Danny encounters Dick Hallorann, the hotel’s head chef who realizes that Danny is a psychic just like him. Danny Torrance and Dick Hallorann are able to communicate mentally or telepathically. Dick Hallorann communicates with Danny telepathically and gives Danny a chocolate. Hallorann explains to Danny that he would communicate with his grandmother in a similar way. The ability to communicate telepathically is the ‘Shining’ gift possessed by Danny and Dick Hallorann in the film. The representation of most scenes between Danny and Dick in the film uses br ight lighting. This is arguably an implication that Danny is able to learn from Dick the bad things that have happened in the hotel in the past and that he has to rely on the shining talent to survive. Through the shining talent, Dick who is in Florida is able to learn of what is happening in Overlook hotel and comes to rescue Wendy and Jack. Other scenes in the novel duplicate as a result of the mirroring effect. One of the reflections with a moral lesson in the film is that of the encounter of Jack Torrance with a beautiful woman in the hotel room 237. When Danny claims to have encountered a weird woman in room 237, Wendy request Jack to explore the room. In his exploration of room 237, Jack sees a beautiful woman who he starts to kiss. However, Jack pulls back horrified when he sees the mirror

Thursday, July 25, 2019

The Women's Movement in the United States Essay

The Women's Movement in the United States - Essay Example This paper shall describe and explain the women’s movement from 1848 to 1920, including the social and political events which eventually led to the 19th Amendment. Various major feminist groups fighting for women’s right to vote will also be discussed; a comparison of these groups would also be considered. A discussion on why the women’s movement faltered during the 1920s after women got the right to vote shall also be considered. This paper is being discussed in an attempt to establish a comprehensive discussion on women’s rights, including its highlights and how these highlights impacted on the current rights being enjoyed by women. Although major moves towards the establishment of women’s rights were first seen in 1948, previous actions to secure it were already being sought through smaller and minor activities and movements even before 1948 by women and different organizations. Angelina and Sarah Grimke are two of the women best known for their contribution to the establishment of women’s rights. They went through slavery and wrote various literature expressing their negative opinions about it. Angelina Grimke, in 1938, was the first woman to address the Massachusetts legislative body on the abolition of slavery; she also strongly expressed her desire for women’s equality and full citizenship. Other abolitionists also expressed their outrage against sexual discrimination and in 1848 they organized the first Woman’s Rights Convention in Seneca Falls New York. In their Declaration of Sentiments, echoes of the Declaration of Independence were heard, pointing out that â€Å"all men and women are created equal† and therefore, they share the same inalienable rights – those of life, liberty, and the pursuit of happiness. Their declaration also expressed the need to change government policies, especially those which have traditionally been oppressive towards women. This Convention also supported various declarations, especially those which relate to legal and educational reforms which were not gender prejudiced. Finally, the convention also resolved that women had the right to secure their inherent right to vote. Their demands were immediately rejected and even scorned, especially by the religious leaders and other male leaders. Only few men expressed any form of support for women’s rights and sentiments. The women were however persistent in their objectives and they found allies in each other. Two of these close allies were Elizabeth Cady Stanton and Susan B. Anthony whose persistence found their way to the pages of the book ‘History of Woman Suffrage.’ The American Civil War momentarily interrupted the women’s rights movement, however, the war was also able to secure one of the goals of the abolitionists – the abolition of slavery. As soon as the war ended, the women again persisted in the cries for equal opportunities and equal rights. T hey believed that since efforts were also being made to grant black men their votes, they too should be granted the same right to vote. These hopes would however be dashed as their persistence was apparently falling on deaf ears. They were continually being turned down and suppressed in their fight for equal rights. As a result, the women’s movement was split and became less effective in the years that would follow. In 1868, women’s rights to vote became even more endangered when the

Discuss the details of a particular Superfund site near your home Essay

Discuss the details of a particular Superfund site near your home - Essay Example The site profile according to epa.gov lists it as having been cleaned up completely, though it continues to operate as an industrial electroplating facility. Airco Plating Company has operated at this location since the 1950’s. According to epa.gov, â€Å"The site occupies approximately two acres in a predominately industrial/commercial area. A trailer park is also located about 300 feet south of the site. The Miami Canal, the only surface water body in the site’s vicinity, is located approximately 2/3 of a mile southwest of the site. Several other Superfund sites are located within a few miles of the APC site† (U.S. Environmental Protection Agency, 2011). This site was slated for cleanup in 1990 and was listed as complete in 1999; the company still operates on the premises at this time. There are reviews being completed again this year as well as in 2006 to determine if the cleanup was fully successful. Given the close proximity of the industrial park to Miami Canal a major local waterway and residential homes as well as other active commercial areas the need for cleanup was seen as extremely important. According to epa.gov, â€Å"The soil and ground water are contaminated with metals and volatile organic compounds (VOCs). The specific contaminants include cadmium, chromium, perchloroethene, cis-1,2 dichloroethene, and vinyl chloride† (U.S. Environmental Protection Agency, 2011). These VOCs posed a long term hazard to the location, they are all chemical byproducts and used in the electroplating process. The cleanup approach included both soil and groundwater decontamination process’s. The creation of this particular superfund site was not intentional and has been rectified as the last check in 2006 has confirmed. Some of the methods being used according to epa.gov are, â€Å"Extraction of VOCs detected above the water table at certain levels using a soil vapor extrac tion (SVE) treatment system† (U.S.

Wednesday, July 24, 2019

The Last Night of Ballyhoo by Alfred Uhry Essay

The Last Night of Ballyhoo by Alfred Uhry - Essay Example Adolf Hitler Nazism began to pose a threat to world civilization. By 1941 United States officially had joined World War II. Against this political background The Last Night of Ballyhoo by Alfred Uhry is set in position. This play is set in the upper class German Jewish society. The background is placed in Atlanta 1939 where Jews comprised a prominent minority group coping in a Christian society. The self or rather the search for the self is exemplified for the lack of a strong sense of a self can be nebulous when ones placed in the current social structure. As Uhry said, â€Å"The Olympics commissioned me to write a play through the Alliance Theatre. It occurred to me the day they asked me that I could write about the last time Atlanta was in the spotlight which, to me, was when Gone with the Wind opened. I realized it was 1939 and I had Scarlett and I had Hitler, and it would be a good way to get at this thing I wanted to do†¦.† (Shewey, 1997) The play opens in the living room of the Freitag/Levy home. The tone and mood is a homely and family centered approach. Lala is found decorating the Christmas tree as it is the Christmas season. Here the Christmas tree signifies the orthodox of Christianity but for the Freitag/Levy home the Christmas tree stand as a symbol for the season which is devoid of any religious sentiments and the star symbolizing the birth of the Messiah; therefore a Jewish Christmas tree should have no star. As Boo states, â€Å"then everybody that drives down Habersham road will think we’re a bunch of Jewish fools pretending we’re Christians† (Uhry, 1997) The two important aspects are the premier of Gone with the wind and the last night of Ballyhoo which dominated the atmosphere of the play. Lala’s attitude is so apt, instead of arguing about the Christmas tree one should be celebrating the season. But on the contrary, Lala states that one should celebrate because Clark Gable was in town for the premier

Tuesday, July 23, 2019

Direct and Digital Marketing Essay Example | Topics and Well Written Essays - 5250 words

Direct and Digital Marketing - Essay Example Identity theft is basically the illegal use of an individual's personal information including such identifiers as social security numbers, driving license numbers, financial cards and account information, usually for frauds and crimes without the consent if the original owner. This crucial information can be used to fraudulently obtain such things as loans, credit, employment, healthcare services, rentals, and mortgages. Identity theft has become a global problem. It was regarded the worst in US until recently because, in US, the traditional use of the social security numbers is identification - a piece of information that, when linked to the name and address of the individual, makes it relatively easy for a thief to get all the necessary information regarding an individuals identity. However, the problem has caught up in Europe too with the UK Home Office estimation that identity theft is growing at 165% per year in the UK and is currently costing the country  £1.3 billion annually. An interesting fact about the increase of identity theft is that it is greatest at rising in Eastern Europe and Southeast Asia - two of the new hotspots in the current trend of outsourcing. According to a survey on internet security by the Cyber Security Industry Alliance, about 97% of the users online consider the identity theft a very serious problem. These underlying perceptions of people are having dire effects on the businesses trying to market their products online (digital marketing) or directly through phone or email. Another interesting fact is that fraud committed during card-not-present transactions accounts for 60% of fraud which has made people further cautious of any kind of online transaction they make.   Companies and businesses are starting to realize that the increasing ratio of identity theft and its dire consequences on the perception of people has made the use of credit cards and sharing of other personal data even for authentic business purposes very limited.  

Monday, July 22, 2019

A Variety of Society Factors Cause Homelessness Essay Example for Free

A Variety of Society Factors Cause Homelessness Essay National Coalition for the Homeless is a charity that fights to end the homelessness through grassroots organizing, public education, and policy advocacy. They have pointed out the causes for the increasing number of homeless people in the U.S since 2000 in the article â€Å"A Variety of Social Factors Causes Homelessness.† Why is the number of the homeless people increasing day after day in the U.S? Poverty and the homelessness are the current controversial problem that has so many different causes from different countries all over the world. There are three main factors that the National Coalition for the Homeless pointed out in their article such as eroding work opportunities, a decline in public assistance, and a lack of affordable housing in the U.S. Do the authors clearly explain the problem in their article? For an article to be effective, it is imperative that it is clear on its purpose. In the previous essay, the author is successful in identifying the principle behind the article. From the first paragraph, the author is focused on addressing the causes of homelessness in the society (National Coalition for the Homeless 1). Therefore, the reader is aware of the rationale behind the article and its functions after reading the first paragraph. Importantly, this is observable in the consequent paragraphs of the article. The heading choice is consistent with the purpose of the article. The key words in the heading depict that the author is exploring the issue of homelessness in the society. The topic depicts that there are numerous social factors that contribute to the issue of homelessness. This influences the mindset of the readers when they are engaging the article, since they are aware of the contents of the essay, which clarifies that homelessness is a result of complex social factors. This is instrumental in ensuring that the readers comprehend the contents of the article better. When exploring the problem in the article, the author focuses on the predicament of homelessness. In addition, the author uses relevant examples to highlight the problem in depth. This is evident in the statistical data in the third paragraph, which is relevant to the U.S. society: In 2000, 11.3% of the U.S. population, or 31.1 million people, lived in poverty. While the number of poor people has decreased a bit in recent years, the number of people living in extreme poverty has increased (National Coalition of Homelessness, paragraph 3, page 1). The author uses information on poverty levels, and current housing situations to explore the issue of homelessness comprehensively. The author is also clear on the causes of the previous problem. In the article, the author identifies poverty and lack of housing, which is affordable as the primary cause for homelessness in the society. These statistics from the Institute for Children and Poverty are particularly revealing: In the institute fo r Children and Poverty study, 37% of homelessness families had their welfare benefits reduced or cut last year. Additionally, a second study of six states found that between 1997 and 1998, 25% of families who had stopped receiving welfare in the last six months doubled-up on housing to save money, and 23% moved because they could not pay rent (National Coalition of Homelessness, page 2 – 3). However, other secondary causes are also highlighted in the article, and this includes lack of employment, low wages, and a decrease in social support, among others. The author correlates the secondary and primary causes to explore the problem. Despite the author actively highlighting the homelessness problem being experienced in the society, there is not solution provided for the problems. The author concentrates on the social factors which contribute to the problem and how they contribute. The essay is exhaustive when exploring the topic. The author uses numerous examples to explain the significance of the problem. For instance, the author explores the significance of the health sector in the issue of homelessness. This example gives a new dimension to the topic and shows the complexity of the social issues causing homelessness. In addition, the article is valid. This is due to the author’s use of authoritative sources in the field. This is evident in the statistical data, from studies by the Housing and Urban Development (HUD), on the previous problem. The author also engages credible and accurate information on the issue giving the article authority on the topic. The author uses relevant evidence to support the claims of the article. For instance, on this issue of poverty, the author quotes data of average incomes, which is earned by American families: In the data, a 1998 study estimated that 46% of the jobs with the most growth between 1994 and 2005 pay less than $16,000 a year; these jobs will not lift families out of poverty. Moreover, 74% of these jobs pay below a livable wage ($32,185 for a family of four) (National Coalition of Homelessness, page 2). This shows the level of income earned by the American population and its influence in the housing sector. The article also has other relevant examples to support the author’s sentiments. The argument of the author also appeals to the readers emotions. This is clear in the approach of the author to highlight the effect of poverty on society and its influence on homelessness. This elicits emotions from the audience since the issues affect are relatable to the human situation. The article is characterized by the use of data and studies from various authorities on the issue. The author has been effective in making the key words in these studies clear for the audience through elaboration. Therefore, the important words in the article are defined effectively. In the second article, Homelessness is not societys problem, the author uses a challenging title, in that the view is provocative to the addressees. This appears to be a controversial perspective concerning the issue of homelessness due to the emotions related to the topic (Carnacchio 1). Despite the rationale of the article, the argument is not valid since the society cannot disassociate itself from social problems. However, the second article gives for the readers more sides of view about the homeless people. Only some of the homeless people who are not willing to assume the responsibilities associated with maintaining a job and a permanent residence. As White points out, â€Å"In Los Angeles’ inner city, Paul Koegel and M. Audrey Burnam found that nearly 80% of alcoholics in their sample of homeless adults ‘reported that their first alcoholic symptom occurred before they were first homeless’ and that in 57% of the cases this occurred at least five years before their first episode of homelessness.† (Carnacchio, page 2). The article A Variety of Social Factors Causes Homelessness provides a solid argument concerning the issue of homelessness. The author appears to be conversant with the topic and cites authoritative sources on the issue. The topic is instrumental in highlighting the numerous social factors that contribute to homelessness in the American society. Furthermore, homelessness is still a serious problem which has so many different causes but the society have not had the solutions for this problem. From all information of the article, I have learned more knowledge about the causes of homelessness in the U.S. which is a well-developed country but it does exist the homelessness. The cause is not only from the society, but it is also among to all people who are living in this world assume the responsibility for their life and their families. Works Cited National Coalition for the Homeless. A Variety of Social Factors Causes Homelessness. Current Controversies: Poverty and the Homeless. Mary E. Williams. San Diego: Greenhaven Press, 2004. Opposing Viewpoints Resources Center. Gale. Houston Community College. 18. Jan 2013. Carnacchio, C. J. Homelessness Is Not Societys Problem. Opposing Viewpoints: The Homeless. Ed. Jennifer A. Hurley. San Diego: Greenhaven Press, 2002. Opposing Viewpoints Resource Center. Gale. Houston Community College. 21. Jan 2013.

Sunday, July 21, 2019

Single Stage Selective Tendering

Single Stage Selective Tendering The method of single stage selective tendering involves finding contractors, possibly from previous experience, and asking them to submit tenders for the project at hand. Because you choose your contractors yourself you can properly dig to find the best one. Past experience is always a help in making your decision, not only this but you can take into account the resources of the company youre using, their health and safety record and their references. Not only this but when choosing a contractor it is also sensible to take into consideration the type of work your doing, some companies will specialise in different areas. There are a few benefits to using single stage selective tendering, firstly you can choose your own contractor and remove bad performing contractors, secondly companies are competitive over it and lastly you can rotate your contractors ensuring you always have a fresh pair of hands. Two Stage Selection Sometimes, potential contractors may be invited to initial discussions about the project to provide input. This is usually only when a project has a short time scale or the client doesnt have much time to work with. After this initial discussion the client can invite his favourite contractors back for a second, which again is a good way to gather more ideas and different inputs on the project. After the second interview the client should definitely know who he wants on board and it the discussions should make it easier to select his contractor. This is a good way of selecting a contractor as you can gather a wide range of input from the first two discussions; it also allows the client to meet all potential candidates allowing him to make a sensible decision. In the second meeting it is likely the contractors will bring bills of quantities to submit as part of the final tender. Open Tendering Open tendering almost explains itself. A client will put some form of advertisement out for a contractor and all contractors are welcome to reply. The client can then make this decision based on portfolios, references or CVs of potential contractors. Open tenders usually occur when a service such a road cleaning is needed. The major disadvantage in open tendering is that many contractors who you have know nothing about, considering their costs and reputation too, can apply, meaning you could end up making a bad decision due to minimal knowledge. References are important in open tendering. Serial Tendering Serial tendering has a number of benefits to it. This is because when you choose a contractor for serial tendering he will be involved on a number of projects. The contractor provides a price for the first project and then uses this to estimate prices for the following tasks. This method of tendering is usually used when there are a number of similar projects taking place, for example a series of schools being built. The advantages to serials tendering are that firstly, the contractor gains valuable knowledge from initial projects to be used in the other projects and secondly the client is guaranteed a long term commitment from the contractor. OBJECTIVES IN TENDERING There are a number of different objectives you will set for yourself in the tendering stage of a project. These objects can have an affect on the tender costs, and if they are not met, it means your overall price will rise. Profit Margin The profit margin of a project is basically how much profit there is to be made, it is a figure taking into consideration all of the costs, once all these costs deductions are done we are left with a rough figure or how much money is to be made. Cost Costs are always a key thing to keep in mind; it will definitely be an objective for the contractors and client to ensure that they keep within their cost restraints. The lower the overall costs of your project, the lower the asking price will be. Some contractors will loose money from their own pocket if they do not keep to their initial set costs. Time It is important to ensure you keep within your timescale on a project, lengthy projects will cost more money than short ones and going over your time scale will have a roll on effect on the overall price. FACTORS AFFECTING THE LEVEL OF TENDERS Main Contractors The main influence in the levels of tenders is the value of a project. Small projects tend to have large lump sum overheads resulting in small profit margins whereas larger projects rely on massive financial commitments. There are numerous other factors that affect the levels of tendering: The number and reputation of other companies trying to secure a tender. The economic climate of a country. Bank of England Base rate higher base rate=higher loan repayment Specialism Location The location of a project can have a massive effect on the tender price. For Example, if a client chose a contractor based in the UK to carry out works in northern Scotland the tender price will be significantly higher. Not only will prices rise due to the fact that the contractor will have to get himself and his men and machinery to northern Scotland and back but sometimes, on long-term projects, the contractor will have to pay for temporary accommodation, including food and drink. Temporary accommodation will cost a lot and can have a great affect on the contractors tender price. Not only this but also, if the project is based somewhere like London, where living costs are substantially larger than the rest of the UK, this can have an effect on the tender price. Site Access The accessibility of a site can also have a significant affect on the tender price. If the site is in the middle of a busy city centre, this will make it hard for large plant to access; city centres also bring a lot of traffic which results in delays. If your site is small with not many access routes or roads it can deem difficult for larger plant to get in, some projects require new access points and routes to be made for larger plant to do their jobs. This obviously costs money, which results on a larger tender price. Site Conditions If the chosen site is unlevelled or bad it means that before works can even proceed, the site will have to be sorted out. This can cost a lot of time and money depending on the state of the site. Some sites are contaminated which will result in a massive operation to decontaminate the site and a massive increase in tender pricing. Sub Contractors Subcontractors are usually appointed in one of two ways. The first way is as a domestic subcontractor to the main contractor and the second is a nominated subcontractor by the client. When there is specialist work that needs to be done that a contractor cannot, he will send for a subcontractor who can do the work. Some subcontractors get recommend by the client. There are once again, factors that influence the prices: The location of the work The schedule of the subcontractor How specialist the work is The client/contractor relationship with the sub contractor. M4 Single Stage Selective Single stage tendering requires the potential contractors to attend one interview with the client before one is chosen. This method is usually used when the client is looking for a partnership agreement with a guaranteed price and profit share. Single rate is also good for projects that need specialist attention. It is a good method for the projects such as hospitals where the client can guarantee a max price. Two Stage Selection This kind of tendering is often used for the design and build aspect of a project as it is good for gathering a wide range of ideas from a number of potential contractors. A sensible contractor will bring ideas to save money to the client and whoever usually manages to save the most money will be hired. This is a good method for specialised needs as the information you gather from the contractors can inform you on whether of not they themselves can carry out the work, which will be cheaper, or whether they have good links with sub contractors that specialise in that area. Two stage selection is good for any building that needs specialist care and also for school and colleges as the client gets significant input from all the potential contractors in the first two stages. Serial Tendering Serial tendering is used when there are a number of similar projects being undertook. It is good because the contractor can use his knowledge from pricing the first building to then price the following projects too. Not all the projects have the same layout but are similar in material and plant need. This enables the contractor to get a quicker idea of price ranges for the other projects as he already knows what he is expecting. Serial tendering is used when a series of school are being built, it can also work for a series of police stations or hospitals. Serial tendering is also good for housing projects, shop chains and restaurant chains. Open Tendering Open tendering is the most traditional tendering method. It is when anyone is open to submit a tender and the client will go through the applicants and choose, who he believes, to be the most suitable candidate. Open tendering can work for any kind of building and also is used for general services like road cleaning. It is good because you get a wide range of applicants to choose from. Even buildings that need specialist work done can be open tendered as the contractors themselves can appoint subcontractors for that kind of work. There are a number of different factors that will have an effect on tender method to be chosen, the following factors can all have an effect on what kind of tender method you use; The location of the project, European construction works are usually dealt with differently to non-EU construction projects. Project size, massive multi-million projects sometimes need the combined help of a number of contractors, e.g. Channel Tunnel. Financial stability of construction company tendering for the work. Company reputation Company resources, including plant, labour and materials. Company competency, including health and safety aspects. The size of projects does have a big effect on the contractor you can use. For many small projects, worth around  £10,000 or less, the majority of clients would find a local contractor to do the job, however for the larger scale projects contractors can be brought in from all corners of the country. Not only size but also the type of work being carried out affects this too, as mentioned before, sometimes a number of contractors will have to join together, in what we call a consortium, in order to meet the high demand of resources needed. And lastly, the massive, high-value projects must be kept an eye on. To ensure they have the capacity to take on such a large financial debt and the associated cash flow requirements, the financial accounts of a prospective tender must be checked over a number of years.

Effect of Feed on the Mineral Composition of Labeo Rohita

Effect of Feed on the Mineral Composition of Labeo Rohita Khalid Javed Iqbal*1, Muhammad Ashraf1, Arshad Javid2, Farzana Abbas1, Muhammad Hafeez-ur-Rehman1, Fayyaz Rasool1, Noor Khan1 , Sumaira Abbas1 and Muhammad Altaf 2 ABSTRACT Studies were conducted to evaluate the effect of plant-fishmeal feed and/or plant by-product based feed on minerals composition of Labeo rohita. Fish fed on rice polish alone served as control (T0). Feed ingredients were grouped together with two ingredients in each test diet which served as an independent trial during these studies. Group 1(T1) contained guar meal and canola meal, group 2(T2) soybean meal and cotton seed meal, group 3(T3) guar meal and cotton seed meal, group 4(T4) soybean meal and canola meal and group 5(T5) fishmeal and canola meal. Each group including control had two replicates. 12 earthen ponds with uniform area of 0.03 ha each, were randomly stocked with 100 fish (average weight 200 g) in each following standard stocking protocols. All the 12 ponds were then randomly allotted to individual treatment including control group. Experimental fish were fed @ 4% of their wet biomass twice a day. Minerals specifically Na, Ca, Fe, Zn, and Cu significantly differed (Pâ ‰ ¤0.05) among treatments which might be linked with their variable release in digestive system of fish in the presence of various anti-nutritional factors. Key Words: fishmeal; soybean meal; canola meal; Ca; Na. INTRODUCTION Fish is rich in animal protein, low in cholesterol and high in unsaturated fatty acids (Kromhout et al., 1995; Zenebe et al., 1998a; Arts et al., 2001; Fawole et al., 2007) and due its these peculiar qualities is preferred over red meats (Sadiku and Oladimeji, 1991; Mozaffarian et al., 2003; Foran et al., 2005;). Nutritional quality of fish is however, not uniform and varies a lot among different fish species even within species when cultured under environments and different culture systems. Among herbivorous fish varieties Labeo rohita is preferred among consumers due to its typical taste and texture and among culturists due to growth, hardiness and wide range feeding habits. That is the reason that it is dominant fish in current fish cultural practices (Khan et al., 2004; Hussain et al., 2011; FAO, 2000; Chaudhuri et al., 1974). Other than nutritional competencies the fish is an important economic source, and its culture is rapidly growing not only in developing countries but in developed contraries too (Delgado et al., 2002; Louka et al., 2004). The success of fish culture depends on availability and selection of appropriate diets that are proficiently digested, are cost effective and provide the necessary nutrients for optimal growth (Mokolensang et al., 2003). Improvement and selection of appropriate feed ingredients has pronounced effect on the nutritional values, fish growth and its adjunct qualities (Shioya et al., 2011; Yang et al., 2011). Cost effective quality feed has pivotal role in fish production and has always been a constraint in the expansion of fish culture and in sustained development of aquaculture industry. It determines growth, flesh composition, especially lipid, mineral content of produced fish and ultimately market response (Izquierdo et al., 2003; Rasmussen, 2001). Among other nutrients minerals also has an important role and contribute to the growth of fish being an integral components of many enzymes involved metabolism (Glover and Hogstrand, 2002). Several minerals are required for proper development and normal execution of organism’s bodily functions as Ca is necessary element for the bone development (Erkan and Ozden, 2007) and Ca, Mg, Na and K, are involved in cellular metabolism which are usually found in higher quantities in biological tissues (Wagner and Boman, 2003). Zn is well known to be involved in most metabolic pathways in plants and animals (Hambidge, 2000). Copper, iron and manganese are essential for maintenance of normal growth and reproduction (Turkmen et al., 2005; Roy and Lall, 2006). Fish is a major source of Fe (Fraga, 2005) which is involved in blood synthesis in liver (Wagner and Boman, 2003), is an integral component of oxygen carrying protein from lungs to the tissues (Wagner and Boman, 2003; Camara et al., 20 05). Mn is required in minute quantities on daily basis for better health and growth in humans and its deficiency may result in nervous system disorder (Agency for Toxic Substances and Disease Registry, 2004). Keeping in view all the above mentioned concerns the present study is planned to find out the effect of plant-fishmeal feed and/or plant by-product based feed on minerals profile of Labeo rohita. MATERIALS AND METHODS Experimental site and study trials This three month study was conducted in earthen ponds of the Department of Fisheries and Aquaculture, University of Veterinary and Animal Sciences, Ravi Campus Pattoki, using juvenile Labeo rohita as an experimental animal. Experimental design Studies were designed following Completely Randomized Design (CRD). There were 5 treatments and a control with two replicates in each group and whole trial was managed in 12 ponds. 100 juveniles of Labeo rohita having mean body weight of 200g were randomly stocked in each pond (0.03 ha) and then all these ponds were arbitrarily distributed among 5 treatments and a control. Five experimental diets pertaining to each treatment, by proportionate ratio of the two feed ingredients was maintained at 1:1 i.e. (T1) guar meal and canola meal, (T2) soybean meal and cotton seed meal, (T3) guar meal and cotton seed meal, (T4) soybean meal and canola meal, (T5) fishmeal and canola meal and a control diet (T0) i.e. rice polish with two replicates in each. Fish were regularly fed @ 4% of wet body weight twice a day. Proximate analysis Feed proximate analysis was analyzed by using Bà ¼chi NIR Technology (Bà ¼chi NIRFlex N-500) Feed were dried and finally ground in pestle and mortar and then placed in sampler cups. The cups were placed in Bà ¼chi NIR machine for two minutes which then displayed a complete proximate analysis report which was saved for future use (Table 1). Table 1 Proximate analysis of feed combinations Mineral analysis Well ground 0.5 g sample was taken in conical flask which 10 ml HNO3 was added in. Mixture was then boiled for 15 minutes at 60 0C and then 5 ml perchloric acid was added and boiled it again for another 15 minutes at 60 0C. Sample flask was then placed on hot plate and heated till sample volume reduced to 1 ml. This sample was diluted to 100 ml by addition of distilled water. Sodium (Na) and potassium (K) were measured by flame photometric method while calcium (Ca), Iron (Fe), zinc (Zn), copper (Cu) and magnesium (Mg) were determined by an atomic absorption spectrophotometer. Statistical analysis The data generated during the course of this trial from various sources was analyzed by one way ANOVA using SAS software to determine the significance of various treatment groups. Difference among various means obtained from computation of treatment data sets was compared by Duncan’s Multiple Range Test to indentify the presence of variations. Probability level for these tests was fixed at P≠¤0.05. RESULTS Mineral composition of Labeo rohita showed statistically significant (P ≠¤ 0.05) differences in Na, Ca, Fe, Zn and Cu content while non-significant in K and Mg. Significantly higher Na (27.400 ±0.98 ppm) was observed in fish fed on T2 and the lowest (18.05 ±5.30 ppm) in T4, similarly significantly higher Ca content was observed in fish fed on T5 (14.245 ±0.09 ppm) while the lowest in T3 (10.515 ±0.09 ppm), significantly higher Fe content was recorded for fish fed on T5 (5.960 ±0.87 ppm) while the lowest in T4 (1.910 ±0.14 ppm), significantly higher (0.815 ±0.09 ppm) and lower (0.470 ±0.04 ppm) Zn contents were observed in T1 and T2. Higher Cu concentrations were recorded in fish fed on T3 (0.045 ±0.01 ppm) and lower in fish fed on T0 (0.015 ±0.01 ppm), higher values of K was observed on T2 (68.550 ±23.97 ppm) while lower for T3 (53.100 ±2.82 ppm), maximum Mg values were observed for T1 (3.270 ±0.11 ppm) and minimum for T2 (2.915 ±0.10 ppm) (Table -2). Table 2 Effect of feed on mineral composition of Labeo rohita DISCUSSION In present study mineral composition of Labeo rohita showed significant (P ≠¤ 0.05) variation in Na, Ca, Fe, Zn and Cu content in different treatments. Statistically significantly higher Na, Ca, Fe, Zn, Cu were observed in fish were observed in T2, T5, T5, T1, T3 while non-significantly higher K and Mg were observed in T2 and T1 respectively. Contrary to our study Khan et al. (2012) observed non-significant variations in mineral content in major carps reared in mono and polyculture systems. Similarly Luczynska et al. (2009) also observed non-significant differences in fishes having different feeding niches. During present study significantly higher Na was observed in fish fed T2 and lower in fish fed wit T4. Comparatively higher Na concentrations were observed in marine fish by Pirestani et al. (2009). Significantly higher Ca was observed in fish fed on T5 and lower for fish fed on T3. Our findings are in line with Babalola, et al. (2011) who observed significant variations in c oncentration of Ca among different commercial fish species of Nigeria. Significantly higher Fe content was observed in fish fed on T5 and lower in fish fed on T4 during present analysis. Mean Fe values were observed within the ranges given by Pirestani et al. (2009) in C. carpio. Babalola et al. (2011) observed non significant differences in Fe content among different commercial fishes of Nigeria. Significantly higher Zn was determined in fish fed with T1 while lower on T2 during present study. Contrary to our study Stezycka et al. (2003) observed higher Zn content in non-predatory fishes and marine fish species (Pirestani et al., 2009). During present study significantly higher Cu concentration was determined in fish, fed on T3 while lower for T0 diet. Contrary to our study Pirestani et al. (2009) observed higher Cu concentrations in fish collected from South Caspian Sea. During present analysis higher Mg concentrations were observed in fish fed on T1 while lower for T2 diets. Our findings confirm Babalola et al. (2011) who observed non-significant dif ferences in Mg content among different commercial fishes of Nigeria. Contrary to our observations Pirestani et al. (2009) found significantly higher Mg content in different commercial fishes of Nigeria. During present study higher K values were determined for fish fed on T2 while lower for T3. Contrary to our study significantly higher K contents were recorded in different commercial fishes of Nigeria (Pirestani et al. 2009), freshwater fish species (Achionye-Nzeh et al. 2011) and commercial fishes of Sudan (Mohamed et al. 2010). REFERENCES Achionye-Nzeh C. G., Adedoyin O. M., Oyebanji, S., and Mohammed M.O., 2011, Mineral composition of some marine and freshwater fishes. Agriculture and Biology Journal of North America. 2(7): 1113-1116. Agency for Toxic Substances and Disease Registry (ATSDR), 2004. Agency for toxic Substances and Disease Registry, Division of Toxicology, Clifton Road, NE, Atlanta, GA. Available from: http://www.atsdr.cdc.gov/toxprofiles/. Arts, M. T., Ackman, R. G. and Holub, B. J., 2001. Essential fatty acids in aquatic ecosystems: a crucial link between diet and human health and evolution. Canadian Journal of Fisheries and Aquatic Sciences, 58: 122–137. Babalola, A. F., Adeyemi, R. S., Olusola, O. A., Salaudeen, M. M., Olajuyigbe, O. O., and Akande, G. R., 2011. Proximate and Mineral Composition in the Flesh of Five Commercial Fish Species in Nigeria. Internet Journal of Food Safety, Vol.13, 2011, p.208-213 Camara, F., Amaro, M. A., Barbera, R. and Clemente, G. 2005. Bioaccessibility of minerals in school meals: comparison between dialysis and solubility methods. Food Chemistry, 92: 481-489. Chaudhuri, H., Chakraborty, R. D., Rao, N. G. S., Janakiram, K., Chatterjee, D. K. and Jena, S., 1974. Record production with intensive culture of Indian and Exotic carps.Current Science,43(10), 303–304. Delgado, C. L., Rosegrant, M.W., Wada, N., Meijer, S. and Ahmed, M., 2002. Fish as food: Projections to 2020 under different scenarios. Washington, D.C.: Markets and Structural Studies Division, International Food Policy Research Institute, 2002. Online at: http:www.ifpri.org/divs/mtid/dp/papers/mssdp52.pdf. Erkan, N. and Ozden, O., 2007. Proximate composition and mineral contents in aquaculture sea bass (Dicentrarchus labrax), sea bream (Sparus aurata) analyzed by ICP-MS. Food Chemistry, 102: 721-725. FAO., 2000. Fishery statistics (Aquaculture Production). Food and Agriculture Organization of the United Nations, Rome, 90(2): 22-131. Fawole, O. O., Ogundiran, M. A., Ayandiran, T. A. and Olagunju, O. F., 2007. Mineral composition in some selected fresh water fishes in Nigeria. Journal of Food Safety, 9: 52-55. Foran, J. A., Carpenter, D. O., Hamilton, M. C., Knuth, B. A. and Schwager, S. J., 2005. Risk- based consumption advice for farmed Atlantic and wild pacific salmon contaminated with dioxins and dioxin- like compounds. Environmental health perspectives, 33: 552-556. Fraga, C. G., 2005. Relevance, essentiality and toxicity of trace elements in human health. Molecular Aspects of Medicine, 26: 235-244. Glover, C. N. and Hogstrand, C., 2002. Amino acids in vivo intestinal zinc absorption in freshwater rainbow trout. Journal of Experimental Biology, 205: 151-158. Hambidge, M., 2000. Human zinc deficiency. Journal of Nutrition, 130: 1344S-1349S. Hussain, S. M., Rana, S. A., Afzal, M. and Shahid, M., 2011. Efficacy of phytase supplementation on mineral digestibility in Labeo rohita fingerlings fed on corn gluten meal (30%) based diets. Pakistan Journal of Agriculture Science, 48:237-241. Izquierdo MS, Obach A, Arantzamendi L, Montero D, Robaina L, Rosenlund G (2003). Dietary lipid sources for sea bream and sea bass: Growth performance, tissue composition and flesh quality. Aquacult. Nutr. 9: 397-407. Khan, M. A., Ahmed, I. and Abidi, S. F., 2004. Effect of ration size on growth, conversion efficiency and body composition of fingerling mrigal, Cirrhinus mrigala (Hamilton). Aquaculture Nutrition, 10: 47-53. Khan, N., Ashraf, M., Qureshi, N. A., Sarker, P. K., Vandenberg, G. W. and Rasool, F., 2012. Effect of similar feeding regime on growth and body composition of Indian major carps (Catla catla, Cirrhinus mrigala and Labeo rohita) under mono and polyculture. African Journal of Biotechnology, 11(44), 10280-10290. Kromhout, D., Feskens, E. J. and Bowles, C. H., 1995. The protective effect of a small amount of fish on coronary heart disease mortality in an elderly population. International Journal of Epidemiology, 24: 340-345. Louka, N., Juhel, F., Fazilleau, V. and Loonis, P., 2004. A novel colorimetry analysis used to compare different drying fish processes. Food Control, 15: 327-334. Luczynska, j., Tonska, E., luczynski, J. M., 2009. Essential mineral components in the muscles of six freshwater fish from the Mazurian Great Lakes (northeastern Poland). Arch. Pol. Fish. 17: 171-178. Mohamed, H. A. E., Rabie Al-Maqbaly and H. Mohamed Mansour. 2010. Proximate composition, amino acid and mineral contents of five commercial Nile fishes in Sudan. African Journal of Food Science. 4(10), 650-654. Mokolensang, J. F., Yamasaki, S. and Onoue, Y., 2003. Utilization of Shochu distillery by-products for culturing the common carp (Cyprinus carpio L). On Line Journal of Biological Sciences, 3(5), 502-507. Mozaffarian, M. D., Rozenn, N. L., Lewis, H. K., Gregory, L. B., Russell, P. T. and Davis, S. S., 2003. Cardiac benefits of fish consumption may depend on type of fish meal consumed. Circulation, 107:1372-1382. Pirestani, S., Sahari, A. M., Barzegar, M. and Seyfabadi, S. J., 2009. Chemical compositions and minerals of some commercially important fish species from the South Caspian Sea. International Food Research Journal, 16: 39-44. Rasmussen, R. S., 2001. Quality and farmed salmonids with emphasis on proximate composition, yield and sensory characteristics. Aquaculture, 32: 767-786. Roy, P. K. and Lall, S. P., 2006. Mineral nutrition of haddock Melanogrammus aeglefinus (L.): a comparison of wild and cultured stock. Journal of Fish Biology, 68: 1460-1472. Sadiku, S. O. E. and Oladimeji, A. A., 1991. Relationship of proximate composition of Lates niloticus (L), synodontis schall. Research Communications, 3: 29-40. Shioya I., Inoue, K., Abe, A., Takeshita, A. and Yamaguchi, T., 2011. Beneficial effects on meat quality of yellowtail Seriola quinqueradiata induced by diets containing red pepper. Fisheries Science, 77: 883-889. Stezycka E., Bzdà ªga J., Pawlikowska K. and Siwicki, A., 2003. Metals content in fish caught in Wloclawek surroundings, zywienie Czlowieka Methbolizm. 30: 593-597 (in Polish). Turkmen, A., Turkmen, M., Tepe, Y. and Akyrt, I., 2005. Heavy metals in three commercially valuable fish species from Iskenderun Bay, Northen East Mediterranean Sea, Turkey. Food Chemistry, 91: 167-172. Wagner, A. and Boman, J., 2003. Biomonitoring of trace elements in muscle and liver tissue of freshwater fish. Spectrochimica Acta (Part B), 58: 2215-2226. Yang S. D., Tung, T. Y., Chou, R. L., Lan, H. L., Chen, G. R., Pai, J. N., Liu, F. G. and Chen, T. I., 2011. Comparison of the effects of two floating pellets on the growth and meat quality of Japanese Eel (Anguilla japonica). Journal of Taiwan Fisheries Research, 19: 17-28. Zenebe, T., Ahigren, G. and Boberg, M., 1998a. Fatty acid content of some freshwater fish of commercial importance from tropical lakes in the Ethiopian rift valley. Journal of Fish Biology, 53: 987-1005.

Saturday, July 20, 2019

Cystic Fibrosis :: essays research papers

Cystic Fibrosis   Ã‚  Ã‚  Ã‚  Ã‚  Cystic Fibrosis, is a genetic disorder of the exocrine glands, affecting children and young people; median survival is 25 years in females and 30 years in males. It is caused by a genetic abnormality in the CF transmembrane conductance regulator (CFTR) gene that results in the disruption of chloride transfer across cell membranes. As a consequence, chloride ions build up in the cells of the lungs and other organs. Water stays inside the cells to dilute the chloride rather than being drawn out of the cells by normal chloride movement and the normal secretions of the organs thicken. Mucus in the exocrine glands becomes thick and sticky and eventually blocks the ducts of these glands (especially in the pancreas, lungs, and liver), forming cysts. The disease also causes the sweat glands to secrete excessive salt, causing heat prostration in hot weather. Symptoms, which vary according to the severity of the condition and the glands involved, include a distended abdomen ; diarrhea; bulky, foul-smelling stools; and malnutrition. Medical problems include nasal polyps and sinus disease, repeated respiratory infections, infertility, liver disease, and diabetes. Diagnosis is confirmed by a sweat test or measurement of transmembrane potential. Treatment consists of dietary adjustment (low fat—high calorie) and the administration of vitamins, pancreatin, and antibiotics to ward off secondary infections. Special measures are necessary to decrease the viscosity of pulmonary secretions; aerosol application of recombinant human DNA, an enzyme that digests the sticky extra cellular DNA that helps form these viscous secretions, was approved in 1993. In some cases lung transplantation is helpful. The identification of the abnormal gene (1989) paved the way for gene therapy aimed at altering the genetic structure by transferring to the patient cells with normal CFTR genes.

Friday, July 19, 2019

A Little Mistake - Original Writing :: Papers

A Little Mistake - Original Writing â€Å"Alex please report to the office, Alex to the office please,† blared over the loudspeaker into the English classroom. â€Å"Ooooooooohhhhhh!!!† the class replied in standard form, implying I must be in trouble. But I was in trouble and I knew it. I walked to the office and waited in a chair for the assistant principal to come and lecture me about how what I did was wrong. However, I wasn’t wrong, at least I didn’t think so. Tick-tock, tick-tock, seconds seemed like hours as I waited for my dreaded sentence. (What would it be? Detention for a week? A month? A year?) From one of the back offices, a big dark shadow moved closer to me. Suddenly, the shadow became Mr. Schuler, standing in front of me. â€Å"Alex, come in my office, please,† he said in his stern tone. Following him into the office, I felt like a midget next to his giant stature and was intimidated from all of the rumors that he was as strict as Miss. Trunchbell from Maltilda with his punishments. Mr. Schuler sat down shuffled through the disciplinary form that had been filed for me. â€Å"It says here that you left class without the teachers permission.† â€Å"Yes, that’s†¦part†¦of†¦what†¦happened,† I stuttered, while trying to hold back the tears from running down my face. It was my first time ever really getting in trouble at school and I feared my parents would kill me, plus sitting across from the beast we referred to as Mr. Schuler was a pretty intimidating situation of its own. â€Å"You know that was wrong, don’t you?† he replied. â€Å"Yeah,† I said, composing myself, â€Å"but there is an explanation for it. You see, I was working on this project and someone thought I was being mean to them, so they ripped up the paper that I had written all my notes on and I started yelling so the sub hollered at me to go to the office and I left the classroom and was going to come to the office

Thursday, July 18, 2019

Response to Terrorism: Military Vengeance or Positive Actions? Essay

Response to Terrorism: Military Vengeance or Positive Actions? The issues raised by September 11 are less about constitutional war powers than about war wisdom. Under national and international law the President has legal authority to react in self-defense against this invasion of our territory. Even the most vigorous critics of executive power concede that under the Constitution the President is empowered, in Madison's words, to "repel sudden attacks." One might quibble over whether "repelling" an attack, which in the eighteenth century would have been a land or naval invasion by a foreign state, extends in this era to a military response outside the United States to an attack by unknown forces, but the principle supporting the legitimacy of an immediate response of a military nature seems implicit in the original understanding of executive power. Moreover, Congress has expressly acknowledged that executive power and, in addition, has specifically authorized the use of "all necessary and appropriate force" against the persons and organizations that conducted the attack and those states that aided or harbored the terrorists. Likewise, under international law the United States has the right of self-defense under Article 51 of the UN Charter, and NATO members have invoked Article 5 of the NATO Treaty, declaring the attack as an "attack against them all," so that each of them is obligated "to take such action as it deems necessary, including the use of armed force, to restore and maintain the security of the North Atlantic area." The legal authority of the President to wage his "War on Terrorism" is therefore clear. The wisdom of doing so is more complex. No doubt some military response will be launched... ...American people better understand the extent and basis of the anger against our country, as well as extending public exposure to the expression of compassion that is common to all religious traditions. Finally, while we affirm our support for Israel, we need to effectively disassociate the United States from support of the Israeli occupation of Palestine. The fundamental changes in policy that I am recommending of course cannot happen quickly, and can only be brought about if accompanied by tangible benefits in terms of cooperation from members of the antiterrorism coalition. Reciprocity is the protection against responding, and appearing to respond, to the attack itself. In the meantime let us hope that military vengeance does not preclude the kinds of positive responses that will actually protect the physical security of the country.

Evaluate the Influence Different Stakeholders Exert in One Organisation

I am going to evaluate the influence that stakeholders exert on Zotefoams PLC. I will be evaluating the following stakeholders: customers, employees, shareholders, suppliers, the government and owners. Customers Customers contribute to profit levels and turnover through buying products and services. People are stakeholders in a company for financial reasons; customers do not want to have to spend an excessive amount of money to purchase a product, so if one of Zotefoams competitors can produce the same product for a lower price the customer may be tempted to change suppliers.Without its customer Zotefoams would not exist, they survive through customer loyalty and their ability to attract new custom. To ensure that they get regular customers Zotefoams ensures that all of its products are the best on the market. Customer service is also held very highly. By offering these incentives Zotefoams are getting regular customers which bring in more profit which then can be used to help expand the business.In the resent economic down-turn Zotefoams business customers have been demanding cheaper products, and with the risk of losing contacts worth millions of pounds Zotefoams has had to expand its manufacturing base with factories in the UK, USA and now in China. This diversity allows them created not only cheaper products but also more specialised one too. This has opened up a larger market for them which have increased their share prices by 50% in two years. This has all been brought on by the need to satisfy their existing customer and increase their potential one.Employees Employee is any person hired by an employer to do a specific job. Employees are important as any other stakeholder because they have first contact with customers so if the customers want to ask a question about the organisation or about a product then the employees can help with that and that employees could also recommend products to customers which will bring in more profit. Employees must know ab out the customer service policy. If customers have a problem or an issue with a product or service then employees must know how to deal with it.Zotefoams have business and public customer that require different levels of customer service. The advantage to having a customer service for the customers is that their needs and complaints will be responded to. In reality, there are several factors that influence how committed employees are to a company or organization. It has been proven that the more autonomy and responsibility that a job has, the less repetitive and dull that job also is and the more likely the worker is to enjoy and feel satisfied by the work.Those individuals who feel stimulated, challenged and satisfied in their jobs are much more likely to be committed to a given work environment, company or organisation. Additionally, things like promotional opportunities, pay raises and chances for cross-training and advancement all encourage commitment. Those jobs or companies wh ere there are fewer opportunities for promotion, advancement, and education tend to have higher turnover and less satisfied employees. In essence it is a very symbiotic relationship.A business such as Zotefoams needs to employee a number of skilled employees to reach its business goals and likewise skilled employees would have the advantage of having a larger amount of employers to choose from. As a result the amount of influence employees have on a business is only (in my option) second to a business’s customer. Shareholders Shareholders are the owners of a company. They have the potential to profit if the company does well, but that comes with the potential to lose if the company does poorly. Shareholders can influence a business in many ways.They can exert their influence by voting for particular directors or they can exert their influence by approving dividend payments at the AGM (Annual General Meeting). Shareholders play an important role in raising funds for organisati ons. So these figures create a great opportunity for all those who are looking for a profitable option to invest money. The main powers of the Annual General Meeting of shareholders are to approve and receive dividend proposals. An AGM (Annual General Meeting) is a meeting that official bodies and ssociations involving the public including companies with shareholders are often required by law to hold.An AGM is held every year to elect the Board of Directors and inform their members of previous and future activities. It is an opportunity for the shareholders and partners to receive copies of the company's accounts as well as reviewing financial information for the past year and asking any questions regarding the directions the business will take in the future. In reality (a company such as Zotefoams) the shareholders have little or no impact on virtually anything to do with the company.Most companies have millions of shares outstanding and thousands of shareholders. The management ge nerally makes all strategic decisions unless the decision involves raising funds through bonds or secondary offerings, along with potential mergers or acquisitions. Issues of that significance are presented to the Board of Directors by the management and decided by the Board. In general, management considers shareholders simply as investors, and that the shareholders are only concerned about the share price or dividend payout.They know that it is virtually impossible for general shareholders to get 50% + 1 to change the board. That is not to say the company does not care about the shareholders. It simply assumes that the board and top management know the most about the company and therefore will automatically do what they believe is in the best interest for both the company and investor. External stakeholders-Suppliers Stock managers have trusted suppliers to supply them with the products they need to sell.The suppliers should provide the products on time, however if not then stock managers will find new suppliers that are better than the ones they had previously. If stock managers and suppliers have a good relationship with one another then they would be happy to work with each other which means stock managers will have a reliable source of supplies and suppliers will have a reliable source of income. If suppliers are happy then they will be more motivated to help the business to achieve success and help the business run effectively. Suppliers must supply the stock managers with good quality products.If however the products are bad quality then stock managers will find new suppliers and their previous suppliers will lose customers and they would get a bad reputation which means all their other customers will find new suppliers too. Zotefoams suppliers influence the business by making sure they have the right amount of stock delivered at the right time. If their suppliers do not supply high quality goods this would be a disadvantage. This could lead to a reduc tion of customers. The Government The government sets corporate tax rates for businesses so that they pay their taxes.This way, a business can make its contribution towards the society. As a result, the government uses this money for economic growth and development. Paying taxes help these businesses to streamline their processes, as a result of more efficient infrastructure and management. The taxes paid also assist in supporting backward countries, so that overall demand of their products is not only restrained to UK, but includes exports to these nations too. Government laws are there to handle disputes, errors or poor judgment of a given person.In any society, disagreement between employees can break down a healthy structure, so the laws are in place to attempt to guarantee equal rights to each member. Conclusion My conclusion is that there are a number of different stakeholders that hold different levels of influences on Zotefoams. But in my option out of all of Zotefoams (or a ny business) stakeholders its customer would hold the most influence, because after all a business cannot operate without its customers. By looking at a number of case studies (1) you can see a direct link between poor PR/ customer service and a company stock prices and sales.In November 2011 Shares of Abercrombie & Fitch plunged more than 15% in one day resulting from a PR disaster. This is evidences that if a company do not reflect the wishes of its customer or delivers poor service/goods there can be a massive negative effect on the business. Another example of how customers can effect business operations is the disastrous speech made by CEO Gerald Ratner of The Ratner Group. After making a speech in which he jokingly denigrated the company's products as â€Å"tacky† he nearly caused the company's near collapse. The company’s stakeholders are very important to keep the business up and running.A company’s stakeholders are all important but in handling its stak eholders, a business also has to accept that it will have to make choices. It is rare that â€Å"win-win† solutions can be found for key business decisions. Almost certainly the business cannot meet the needs of every stakeholder group and most decisions will end up being â€Å"win-lose†: i. e. supporting one stakeholder means another misses out. There are often areas where stakeholder interests are aligned, where a decision can benefit more than one stakeholder group. In other cases, there is a clear conflict of interest.

Wednesday, July 17, 2019

Employment and Unemployment in the 1930s

The Great feeling is to political economy what the Big Bang is to physics. As an enlighten upt, the impression is mostly synonymous with the birth of ultramodern big scotchs, and it continues to haunt successive generations of economists. With celebrate to assist and apprehend beatets, these features evidently include net income rigidity, stubbornly juicy un usance footsteps, and semipermanent transmission line slightness. Tradition all in ally, combine snip serial stick sufferd the econometric grist for distinguishing renderings of the Great low.Recent look into on poke markets in the mid-thirties, however, has shifted watchfulness from integrality to dis join metre serial and towards microstinting ca physical exercise. This shift in focus is motivated by dickens factors. First, dis inwardnessd selective entropy provide more more than than(pre titulary) degrees of independence than the decade or so of course of instructionbook observations associated with the depression, and so whitethorn originate helpful in distinguishing outsize stintingal explanations. Second, dis accretion has emited aspects of economic expression hidden in the succession series neverthe slight which may be essential to their proper interpretation and, in any case, atomic derive 18 worthy of chew over in their own right.Although the substantive findings of young search be too peeled(a) to judge their permanent signifi faecesce, I call up that the shift towards dis inwardnessd abridgment is an cardinal contri justion. The stool develops by re suck ining the conventional statistics of the United States effort market during the Great slump and the personas to pardon them. It hence turns to recent studies of utilisation and un physical exertion exploitation dis hoard upd selective information of respective(a) types. The motif concludes with handlings of look for on unexampled(prenominal) aspects of boil markets in the thirties and on a smart source of micro entropy for future play.My analysis is engrossed to research on the United States those raise in an inter home(a) perspective on tote markets might begin with Eichengreen and Hattons chapter in their edited volume, Interwar Un oeuvreplace in International Perspective, and the various country studies in that volume. I begin by reviewing two standard series of un body of officiate evaluate, Stanley Lebergotts and Michael Darbys, and an exp angiotensin converting enzyment of authentic hourly allowance in manufacturing compiled by the authority of moil Statistics (BLS).The difference surrounded by Lebergotts and Darbys series, which is examined subsequently in the physical composition, concerns the speakment of persons with so-called tap respite trades. For Lebergott, persons on manoeuver relaxation be sluggish, art object Darby counts them as utilise. Between 1929 and 1933 the un profession rate accessiond by over 20 partage points, according to the Lebergott series, or by 17 portionage points, according to Darbys series. For the balance of the decade, the unemployment rate stayed in, or hovered around, double digits. On the eve of Americas entry into homo warf ar both, amidst 9. and 14. 6 percentage of the grok step to the foreice was taboo of correct to reach, depending on how unemployment is measured. In addition to uplifted aims of unemployment, the thirties witnessed the harvesting of ecumenical and persistent long-term unemployment (unemployment sequences longstanding than angiotensin converting enzyme year) as a flagitious polity conundrum. gibe to a mummy advance number taken in 1934, largey 63 percent of fireed persons had been discharged for a year or more. equal amounts of long-term unemployment were observed in Philadelphia in 1936 and 1937.Given these patterns of unemployment, the style of in truth payoff has proven most puzzling. Between 1929 and 1940 annual changes in material employs and unemployment were positively jibe. authentic nets rose by 16 percent betwixt 1929 and 1932, plot of ground the unemployment rate ballo cardinalnessd from 3 to 23 percent. Real requitals last outed high done and through and throughout the oddment of the decade, although unemployment never dipped below 9 percent, no matter how it is measured. From this information, the central questions come forward to be Why did unemployment remain persistently high throughout the decade?How preempt unemployment pass judgment in excess of 10 to 20 percent be accommodate with the bearing of literal nets, which were stable or change magnitude? unitary way of reply these questions is to raise aggregative models consistent with the magazine series, and I briefly review these attempts by and by in the make-up. Before doing so, however, it is important to nisus that the totality statistics be furthermost from perfect. No gove rnment agency in the 1930s routinely collected savvy soldiery information analogous to that provided by todays latest Population Survey.The unemployment rates unspoiled discussed atomic number 18 constructs, the differences amidst intercensal sum ups of churn force confederation rates and employment-to-population ratios. Beca make drop of unemployment is measured as a residual, sexual intercoursely midget changes in the ram force or employment counts arse markedly affect the supposed unemployment rate. The dispute mingled with Darby and his critics over the jade force miscellanea of persons on utilization respite is a manifestation of this problem. Although whatever progress has been make on measurement issues, there is teeny doubt that save refinements to the store up unemployment eries would be beneficial. Stanley Lebergott has critically examined the reliability of BLS prosecute series from the 1930s. The BLS series drew upon a stock-still group of man ufacturing establishments reporting for at least(prenominal) two successive months. Lebergott nones just about(prenominal) moldes arising from this ingest method. sprainers who were situated off, he pleads, were less originative and had trim remuneration than mean(a). Firms that went out of occupancy were smaller, on intermediate, than star signs that survived, and tended to ar outride lower add up reward.In addition, the BLS over standardd commodious firms, and Lebergott suspects that large firms were more deft at selectively laying off lower- productiveness drive more unforced to deskill, that is, reassign able employees to less-skilled crinkles and more promising to give able employees thirster work conclusions. A rough calculation suggests that news report for these biases would beget an aggregate lower in nominated payment between 1929 and 1932 as a nigh(a) deal as 48 percent large than that measured by the BLS series.Although the dilate of Lebergotts calculation are open to scrutiny, the research discussed elsewhere in the paper suggests that he is adjust close(predicate) the existence of biases in the BLS wage series. For ofttimes of the blockage since creation contend Two, most economists blamed persistent unemployment on wage rigidity. The demand for repel was a downward sloping do of the historical wage still since noun phrase payment were insufficiently flexible downward, the assiduity market in the 1930s was persistently in disequilibrium.Labor proviso exceeded job demand, with big money unemployment the unfortunate consequence. Had contend been more flexible, this rack catchs, employment would make been restored and Depression averted. The frontlet attack on the conventional wiseness was Robert E. Lucas and Leonard Rapping. The original Lucas-Rapping set-up continued to view rate of flow travail demand as a negative function of the current real wage. Current beat back bring home the b acon was a positive function of the real wage and the judge real pursual rate, but a negative function of the expected future wage.If proletarians expect high real pay in the future or a lower real interest rate, current tote supply would be depressed, employment would fall, unemployment germinate, and real wages gain. Lucas and Rapping bye an unemployment equation, relating the unemployment rate to actual versus anticipated nominal phrase wages, and actual versus anticipated price levels. Al Rees argued that the Lucas-Rapping model was unable to account for the doggedness of high unemployment coincident with stable or rising real wages. Lucas and Rapping conceded defeat for the boundary 1933 to 1941, but claimed victory for 1929 to 1933.As Ben Bernanke pointed out, however, their victory rests largely on the belief that expected real interest rates fell between 1929 and 1933, while ex post, real interest rates in 1930-33 were the highest of the cytosine. Be get nomin al interest rates fell sapiently between 1929 and 1933, whether expected real rates fell hinges on whether deflation which turned out to be considerable was unanticipated. Recent research by Steven Cecchetti suggests that the deflation was, at least in part, anticipated, which appears to down the stairs racecourse Lucas and Rappings reply.In a controversial paper aimed at rehabilitating the Lucas-Rapping model, Michael Darby re be the unemployment rate to exclude persons who held work succor jobs with the Works Progress and Work Projects garbage disposals (the WPA) or opposite national and state agencies. The convention of the era, followed by Lebergott, was to count persons on work relief as discharged. gibe to Darby, however, persons with work relief jobs were industrious by the government From the Keynesian viewpoint, labor voluntarily employ on contracyclical government projects should sure as shooting be counted as occupied.On the search turn up to unemploymen t, a person who accepts a job and withdraws voluntarily from the activity of search is all the way employed. The exclusion of persons on work relief drastically lowers the aggregate unemployment rate afterwards 1935. In addition to modifying the definition of unemployment, Darby as sound as redefined the real wage to be the average annual recompense of full-time employees in all industries. With these changes, the fit of the Lucas-Rapping unemployment equation is improved, even for 1934 to 1941. However, Jonathan Kesselman and N. E.Savin later depicted that the improved fit was largely the consequence of Darbys modified real wage series, non the revised unemployment rate. Thus, for the resolve of by trial and error testing the Lucas-Rapping model, the classification of WPA workers as employed or out of work is non crucial. travel to the questions posed above, New mint statute law has frequently been blamed for the persistence of high unemployment and the perverse beh aviour of real wages. In this regard, perhaps the most important arrange of legislation was the National Industrial retrieval Act (NIRA) of 1933.The National Reco rattling Administration (NRA), created by the NIRA, established guidelines that brocaded nominal wages and prices, and encouraged higher(prenominal) levels of employment through lessenings in the length of the calendar week (worksharing). An influential teaching by Michael Weinstein econometrically placevas the impact of the NIRA on wages. using aggregate monthly selective information on hourly mesh in manufacturing, Weinstein come oned that the NIRA elevated nominal wages considerly through its wage codes and indirectly by raising prices.The primitive impact was such(prenominal) that in the absence of the NIRA, average hourly earnings in manufacturing would have been less than thirty-five cents by may 1935 instead of its actual level of n archaeozoic sixty cents (assuming unemployment to have been unaltere d). It is questionable, however, whether the NIRA really this large an impact on wages. Weinstein measured the direct set up of the codes by comparing monthly wage changes during the NIRA period (1933-35) with wage changes during the retrieval class (1921-23) of the post-World fight One fadeout (1920-21), holding constant the level of unemployment and changes in wholesale prices.Data from the intervening long time (1924-1932) or after the NIRA period were excluded from his regression analysis (p. 52). In addition, Weinsteins regression condition precludes the paste that simplifications in every week hours (worksharing), some of which occurred one by one of the NIRA, had a positive effect on hourly earnings. A recent paper using data from the full sample period and allowing for the effect of worksharing found a positive but much smaller impact of the NIRA on wages (see the discussion of Bernankes work later in the paper).Various developments in neo-Keynesian macroeconomics have recently filtered into the discussion. Martin Baily emphasizes the role of con nonative contracts in the context of various reasoned and institutional changes during the 1930s. Firms did not aggressively cut wages when unemployment was high early in the 1930s because such a policy would hurt worker morale and the firms reputation, incentives that were later reinforced by New Deal legislation. Efficiency wages have been invoked in a provocative article by Richard Jensen.Beginning sometime after the turn of the century large firms slowly began to adopt bureaucratic methods of labor relations. Policies were designed to identify and write the more efficient workers, and to encourage early(a) workers to emulate them. Efficiency wages were one such device, which presumably contributed to stickiness in wages. The disposition towards bureaucratic methods accelerated in the 1930s. According to Jensen, firms surviving the initial downturn utilise the opportunity to lay off their l east productive workers but a fate of the initial decline in employment occurred among firms that went out of business.Thus, when expansion occurred, firms had their pick of workers who had been laid off. Personnel departments utilise past wage histories as a signal, and higher-wage workers were a recrudesce risk. Those with hardly a(prenominal) occupational skills, the elderly (who were valuable to retrain) and the poorly erupt faced marvellous difficulties in finding work. After 1935 the booking army of long-term out of work did not exert much downward tweet on nominal wages because employers plainly did not view the long-term pink-slipped as substitutes for the employed at roughly any wage.A novel feature of Jensens job is its integration of microeconomic establish on the characteristics of the unoccupied with macroeconomic evidence on wage rigidity. former(a) circumstantial evidence is in its favor, too. Productivity growth was amazingly strong after 1932, desp ite dreaded weakness in capital enthronization and a slowdown in sophisticated activity. The rhetoric of the era, that higher wages and ruin treatment of labor would improve labor productivity, may be the correct explanation.If the reserve army hypothesis were true up, the wages of unskilled workers, who were dis isotropyately unemployed, should have fall copulation to the wages of skilled and educated workers, but there is no character that wage polarials were wider overall in the 1930s than in the 1920s. It corpse an open question, however, whether the use of qualification wages was as widespread as Jensen alleges, and whether efficiency wages back end account empirically for the evolution of productivity growth in the 1930s. In brief, the macro studies have not settled the statement over the proper interpretation of the aggregate statistics.This state of affairs has much to do with the (supreme) difficulty of building a consensus macro model of the depression economy. and it is excessively a consequence of the level of aggregation at which empirical work has been conducted. The problem is part one of sample size, and partly a reflection of the inadequacies of discussing these issues using the paradigm of a spokesperson agent. This being, the case I turn next to disaggregated studies of employment and unemployment. In a conventional short-run aggregate labor function, the labor remark is defined to be total person-hours.For the postwar period, profane variation in person-hours is overwhelmingly imputable to fluctuations in employment. However, for the interwar period, variations in the length of the hebdomad account for nearly half(prenominal) of the monthly variance in the labor input. Declines in each week hours were deep, prolonged, and widespread in the 1930s. The behavior of real hourly earnings, however, may have not have been independent of changes in weekly hours. This insight motivates Ben Bernankes analysis of employment, hour s, and earnings in eight pre-World War Two manufacturing industries.The ( diligence- specific) supply of labor is described by an earnings function, which gives the minimum weekly earnings required for a worker to supply a given number of hours per week. In Bernankes formulation, the earnings function is convex in hours and too dis constant at vigour hours (the discontinuity reflects fixed costs of working or switching industries). Production depends separately on the number of workers and weekly hours, and on nonlabor inputs. Firms are not indifferent between receiving one hour of work from eight different workers and receiving eight hours from one worker. A decrement in product demand causes the firm to cut back employment and hours per week. The diminution in hours means more void for workers, but less pay per week. Eventually, as weekly hours are avoidd beyond a certain point, hourly earnings rise. Further reductions in hours hind endnot be matched one for one by reducti ons in weekly earnings. But, when hourly earnings increase, the real wage then appears to be countercyclical. To test the model, Bernanke uses monthly, intentness-level data compiled by the National Industrial collection Board covering the period 1923 to 1939.The specification of the earnings function (describing the supply of labor) incorporates a fond(p) alteration of wages to prices, while the labor demand equation incorporates partial trying on of current demand to desired demand. Except in one attention (leather), the industry demand for workers falls as real product wages rise industry demands for weekly hours fall as the marginal cost to the firm of variable weekly hours rises and industry labor supply is a positive function of weekly earnings and weekly hours.The model is used to argue that the NIRA lowered weekly hours and raised weekly earnings and employment, although the set up were modest. In six of the industries (the exceptions were shoes and lumber), increas ed magnetic north influence after 1935 (measured with a procurator variable of days idled by strikes) raised weekly earnings by 10 percent or more. Simulations revealed that allowing for full adjustment of nominal wages to prices resulted in a poor description of the behavior of real wages, but no deterioration in the models ability to explain employment and hours variation.Whatever the grandeur of sticky nominal wages in explaining real wage behavior, the phenomenon may not have had great allocative signifi put forwardce for employment. In a related paper, Bernanke and Martin Parkinson use an spread out version of the NICB data set to seek the possibility that short-run change magnitude returns to labor or procyclical labor productivity, characterized co-movements in turnout and employment in the 1930s. Using their spread out data set, Bernanke and Parkinson estimate regressions of the change in siding on the change in labor input, now defined to be total person-hours.The c oefficient of the change in the labor input is the blusher parameter if it exceeds unity, then short-run change magnitude returns to labor are present. Bernanke and Parkinson find that short-run increasing returns to labor characterized all but two of the industries under study (petroleum and leather). The estimates of the labor coefficient are essentially unchanged if the sample is restricted to just the 1930s. Further, a high degree of correlativity coefficient (r = 0. 9) appears between interwar and postwar estimates of short-run increasing returns to labor for a matched sample of industries.Thus, the procyclical spirit of labor productivity appears to be an judge fact for both the interwar and postwar periods. One explanation of procyclical productivity, favored by real business cycle theorists, emphasizes technology shocks. Booms are periods in which proficient change is unmistakably brisk, and labor supply increases to take favour of the higher wages induced by tempor ary gains in productivity (caused by the outward shift in production functions).In Bernanke and paralysis agitans view, however, the high coefficient of correlation between the pre- and post-war estimates of short-run increasing returns to labor poses a serious problem for the technological shocks explanation. The high correlation implies that the real shocks smash item-by-item industrial production functions in the interwar period accounted for close the same percentage of employment variation in each industry as genuine technological shocks hitting industrial production functions in the post-war period.However, technological change per se during the Depression was concentrated in a few industries and was modest overall. Further, while real shocks (for example, rely failures, the New Deal, international political instability) occurred, their effect on employment were felt through shifts in aggregate demand, not through shifts in industry production functions. Other leading ex planations of procyclical productivity are true increasing returns or, popular among Keynesians, the theory of labor hoarding during economic downturns.Having ruled out technology shocks, Bernanke and Parkinson attempt to distinguish between true increasing returns and labor hoarding. They devise two tests, both of which involve restrictions on excluding proxies for labor utilization from their regressions of industry output. If true increasing returns were present, the observed labor input captures all the relevant information about variations in output over the cycle. But if labor hoarding were occurring, the rate of labor utilization, holding employment constant, should account for output variation.Their results are mixed, but are softly in favor of labor hoarding. Although Bernankes mannikin effort is of independent interest, the substantive note value of his and Parkinsons research is enhanced easily by disaggregation to the industry level. It is plain from their work that industries in the 1930s did not reply identically to decreases in output demand. However, further disaggregation to the firm level can produce additional insights. Bernanke and Parkinson assume that movements in industry aggregates reflect the behavior of a deputy firm.But, according to Lebergott (1989), much of the initial decline in output and employment occurred among firms that get offed. Firms that left, and new entrants, however, were not identical to firms that survived. These points are well-illustrated in Timothy Bresnahan and Daniel Raffs study of the American labour vehicle industry. Their database consists of hologram enumerate returns of repel vehicle go unders in 1929, 1931, 1933, and 1935. By linking the manuscript returns from year to year, Bresnahan and Raff have created a jury dataset, capable of identifying plants the exited, surviving plants, and new plants.Plants that exited between 1929 and 1933 had lower wages and lower labor productivity than plants that survived. Between 1933 and 1935 average wages at exiting plants and new plants were slightly higher than at surviving plants. Output per worker was still relatively greater at surviving plants than new entrants, but the gap was smaller than between 1929 and 1933. Roughly a third of the decline in the industrys employment between 1929 and the sewer in 1933 occurred in plant closures. The vast majority of these plant closures were permanent.The shakeout of inefficient firms after 1929 ameliorated the decline in average labor productivity in the industry. Although industry productivity did decline, productivity in 1933 would have been still lower if all plants had continued to operate. During the initial recuperation manikin (1933-35) about 40 percent of the increase in employment occurred in new plants. Surviving plants were more comparablely to use mass-production techniques the same was true of new entrants. pile production plants differed aggressively from their predece ssors (custom production plants) in the skill mix of their workforces and in labor relations.In the motor vehicle industry, the early years of the Depression were an evolutionary event, permanently altering the technology of the part firm. dapple the deterrent example firm paradigm apparently fails for motor vehicles, it may not for other industries. Some preliminary work by Amy Bertin, Bresnahan, and Raff, on another industry, blast furnaces, is revelation on this point. Blast furnaces were subject to increasing returns and the market for the product (molten iron) was highly localized.For this industry, reductions in output during a cyclical trough are reasonably described by a representative firm, since localized rivalry prevented efficient reallocation of output crosswise plants and therefore the compositional effects occurring in the auto industry did not happen. These analyses of firm-level data have two important implications for studies of employment in the 1930s. First, aggregate demand shocks could very well have changed average technological practice through the process of exit and entry at the firm level.Thus Bernanke and Parkinsons rejection of the technological shocks explanation of short-run increasing returns, which is based in part on their belief that aggregate demand shocks did not alter industry production functions, may be premature. Second, the empirical adequacy of the representative firm paradigm is apparently industry-specific, depending on industry structure, the nature of product demand, and initial (that is, pre-Depression) heterogeneity in firm sizes and costs.Such phenomena are invisible in industry data, and can only be recovered from firm-level records, such as the number manuscripts. Analyses of industry and firm-level data are one way to research heterogeneity in labor utilization. geography is another. A focus on national or even industry aggregates obscures the hearty spatial variation in transgress and recovery tha t characterized the 1930s. Two recent studies show how spatial variation suggests new puzzles about the persistence of the Depression as well as provide additional degrees of freedom for discriminating between macroeconomic models.State-level variation in employment is the subject of an important article by John Wallis. Using data collected by the Bureau of Labor Statistics, Wallis has constructed annual indices of manufacturing and nonmanufacturing employment for states from 1930 to 1940. Wallis indices reveal that declines in employment between 1930 and 1933 were steepest in the East North Central and big bucks states employment actually rose in the South Atlantic states, however, once an adjustment is made for industry mix.The South also did comparatively well during the recovery phase of the Depression (1933-1940). Wallis tests whether the southern advantage during the recovery phase might reflect lower levels of unionization and a lower proportion of employment affected by the charge of the favorable Security Act (1935), but controlling for percent unionized and percent in covered employment in a regression of employment growth does not eliminate the regional gap. What comes through clear, according to Wallis is that the employment effects of the Depression wide-ranging considerably throughout the nation and that a convincing explanation of the South-nonSouth difference remains an open question. Curtis Simon and Clark Nardinelli exploit variation crossways cities to put forth a ill-tempered interpretation of economic downturn in the early 1930s. Specifically, they study the empirical descent between industrial diversity and city- level unemployment rates before and after World War Two.Industrial diversity is measured by a city-specific Herfindahl index of industry employment shares. The higher the value of the index, the greater is the submerging of employment in a small number of industries. Using data from the 1930 federal census and the 1931 Sp ecial Census of Unemployment, Simon and Nardinelli show that unemployment rates and the industrial diversity index were positively correlated across cities at the beginning of the Depression.Analysis of similar census data for the post-World War Two, period, reveals a negative correlation between city unemployment rates and industrial diversity. Simon and Nardinelli explain this finding as the resultant role of two competing effects. In normal economic circumstances, a city with a more various(a) range of industries should have a lower unemployment rate (the portfolio effect), because industry-specific demand shocks volition not be perfectly correlated across industries and some laid-off workers will find ready employment in expanding industries.The portfolio effect may fail, however, during a large aggregate demand shock (the early 1930s) if firms and workers are poorly informed, misperceiving the shock to be industry-specific, rather than a general reduction in demand. Firms in industrially diverse cities announce selective layoffs rather than reduce wages, because they retrieve that across-the-board wage cuts would cause too many workers to quit (workers in industrial diverse cities think they can easily find a job in another industry elsewhere in the same city), thus hurt production.Firms in industrially specialized cities, however, are more likely to cut wages than employment because they believe lower wages would induce relatively fewer discontinue than in industrially diverse cities. Thus, Simon and Nardinelli conclude, wages in the early 1930s were more rigid in industrially-diverse cities, producing the positive correlation between industrial diversity and unemployment. Improvements in the quantity, quality, and timeliness of economic information, they conjecture, have caused the portfolio effect to dominate after World War Two, producing the postwar negative correlation.Although one can question the historical relevance of Simon and Nardinellis model, and the specifics of their empirical analysis, their paper is successful in demonstrating the emf value of spatial data in unraveling the sources of economic downturn early in the Depression. Postwar macroeconomics has tended to proceed as aggregate unemployment rates applied to a representative worker, with a certain percentage of that workers time not being used. As a result, disaggregated evidence on unemployment has been slighted.Such evidence, however, can provide a richer picture of who was unemployed in the 1930s, a better understanding of the kind between unemployment and work relief, and further insights into macroeconomic explanations of unemployment. To date, the source that has received the most attention is the public use tape of the 1940 census, a large, random sample of the population in 1940. The 1940 census is a remarkable historical document. It was the first-year American census to intercommunicate about educational attainment, wage and salary income an d weeks worked in the previous year nd the first to use the labor force week concept in soliciting information about labor force status. 8 labor force categories are reported, including whether persons held work relief jobs during the census week (March 24-30, 1940). For persons who were unemployed or who held a work relief job at the time of the census, the number of weeks of unemployment since the person last held a private or nonemergency government job of one month or longer was recorded.The questions on weeks worked and earnings in 1939 did not treat work relief jobs differently from other jobs. That is, earnings from, and time spent on, work relief are included in the totals. I have used the 1940 census sample to study the characteristics of unemployed workers and of persons on work relief, and the relationship between work relief and various aspects of unemployment. It is clear from the census tape that unemployed persons who were not on work relief were far from a random s ample of the labor force.For example, the unemployed were typically younger, or older, than the average employed worker (unemployment followed a U-shape pattern with respect to age) the unemployed were more often nonwhite and they were less educated and had fewer skills than employed persons, as measured by occupation. Such differences tended to be starkest for the long-term unemployed (those with unemployment periods longer than year) thus, for example, the long-term unemployed had even less schooling that the average unemployed worker.Although the WPA drew its workers from the ranks of the unemployed, the characteristics of WPA workers did not merely replicate those of other unemployed persons. For example, single men, the foreign-born, high school graduates, urban residents, and persons living in the Northeast were underrepresented among WPA workers, compared with the rest of the unemployed. Perhaps the most salient difference, however, concerns the duration of unemployment. Am ong those on work relief in 1940, roughly twice as many had been without a non-relief job for a year or longer as had unemployed persons not on work relief.The fact that the long-term unemployed were concentrated disproportionately on work relief raises an obvious question. Did the long-term unemployed find work relief jobs after being unemployed for a long time, or did they remain with the WPA for a long time? The arrange appears to be mostly the latter. Among nonfarm males ages 14 to 64 on work relief in March 1940 and reporting 65 weeks of unemployment (that is, the first quarter of 1940 and all of 1939), close to half worked 39 weeks or more in 1939. Given the census conventions, they had to have been working more or less full time, for the WPA.For reasons that are not fully clear, the incentives were such that a significant fraction of persons who got on work relief, stayed on. One possible explanation is that some persons on work relief prefer the WPA, given prevailing wages , perhaps because their relief jobs were more stable than the non-relief jobs (if any) uncommitted to them. Or, as one WPA worker put it Why do we want to hold onto these relief jobs? We know all the time about persons just managing to scrape along My advice, Buddy, is better not take too much of a chance. Know a good thing when you got it. Alternatively, working for the WPA may have stigmatized individuals, making them less desirable to non-relief employers the longer they stayed on work relief. Whatever the explanation, the continuous nature of WPA employment makes it difficult to believe that the WPA did not reduce, in the aggregate, the amount of job search by the unemployed in the late 1930s. In addition to the duration of unemployment experienced by individuals, the availability of work relief may have dampened the increase in labor supply of unessential workers in households in which the household precede was unemployed, the so- called added worker effect.Specifically, wives of unemployed men not on work relief were much more likely to participate in the labor force than wives of men who were employed at non-relief jobs. But wives of men who worked for the WPA were far less likely to participate in the labor force than wives of otherwise employed men. The relative impacts were such that, in the aggregate, no added worker effect can be observed as long as persons on work relief are counted among the unemployed.Although my primary goal in analyzing the 1940 census sample was to illuminate features of unemployment obscured by the aggregate time series, the results bear on several macroeconomic issues. First, the heterogenous nature of unemployment implies that a representative agent view of aggregate unemployment cannot be maintained for the late 1930s. Whether the view can be maintained for the antecedent part of the Depression is not certain, but the evidence presented in Jensen and myself suggests that it cannot.Because the evolution of the chara cteristics of the unemployed over the 1930s bears on the plausibility of various macroeconomic explanations of unemployment (Jensens use of efficiency wage theory, for example), further research is clearly desirable. Second, the heterogenous nature of unemployment is consistent with Lebergotts claim that aggregate BLS wage series for the 1930s are contaminated by infusion bias, because the characteristics that affected the likelihood of being employed (for example, education) also affected a persons wage.Again, a clearer understanding of the magnitude and direction of bias requires further work on how the characteristics of the employed and unemployed changed as the Depression progressed. Third, macroeconomic analyses of the persistence of high unemployment should not trim the effects of the WPA and, more generally, those of other federal relief policies on the economic behavior of the unemployed. In particular, if work relief was preferred to job search by some unemployed work ers, the WPA may have displaced some growth in private vault of heaven employment that would have occurred in its absence.An estimate of the size of this displacement effect can be inferred from a recent paper by John Wallis and Daniel Benjamin. Wallis and Benjamin estimate a model of labor supply, labor demand, and per capita relief budgets using panel data for states from 1933 to 1939. Their coefficients imply that elimination of the WPA starting in 1937 would have increased private welkin employment by 2. 9 percent by 1940, which corresponds to about 49 percent of persons on work relief in that year. Displacement was not one-for-one, but may not have been negligible.My discussion thus far has emphasized the value of disaggregated evidence in understanding certain key features of labor markets in the 1930s the behavior of wages, employment and unemployment because these are of greatest general interest to economists today. I would be remiss, however, if I did not mention other aspects of labor markets examined in recent work. What follows is a brief, face-to-face selection from a much bigger literature. The Great Depression left its mark on racial and gender differences.From 1890 to 1930 the incomes of colour men increased slightly relative to the incomes of white men, but the trend in relative incomes reversed direction in the 1930s. Migration to the North, a major avenue of economic advancement for Southern blacks, slowed appreciably. There is critical doubt that, if the Depression had not happened, the relative economic status of blacks would have been higher on the eve of World War Two. Labor force participation by hook up with women was hampered by marriage veto, implicit or explicit regulations which allowed firms to dismiss single women upon arriage or which prohibited the hiring of married women. Although marriage bars existed before the 1930s, their use spread during the Depression, possibly because social norms fixed that married men were more deserve of scarce jobs than married women. Although they have not received as much attention from economists, some of the more provoke effects of the Depression were demographic or life-cycle in nature. Marriage rates fell sharply in the early 1930s, and fertility rates remained low throughout the decade.An influential study by the sociologist Glen Elder, Jr. traced the subsequent work and life histories of a sample of individuals exploitation up in Oakland, California in the 1930s. Children from working class households whose parents suffered from prolonged unemployment during the Depression had lower educational attainment and less occupational mobility than their peers who were not so deprived. Similar findings were reported by Stephan Thernstrom in his study of occupational mobility of Boston men.The Great Depression was the premier macroeconomic event of the twentieth century, and I am not suggesting we toss away macroeconomic analysis of it. I am suggesting, however, that an exclusive focus on aggregate labor statistics runs two risks the facts derived may be artifacts, and much of what may be interesting about labor market behavior in the 1930s is rendered invisible. The people and firms whose experiences make up the aggregates deserve to be examine in their diversity, not as representative agents.I have mentioned census microdata, such as the public use sample of the 1940 census or the manufacturing census manuscripts collected by Bresnahan and Raff, in this gaze. In closing, I would like highlight another source that could be examined in future work. The source is the contemplate of Consumer Purchases in the United States conducted by the BLS in 1935-36. Approximately 300,000 households, chosen from a larger random sample of 700,000, supplied basic survey data on income and lodging, with 20 percent furnishing additional information.The detail is staggering labor supply and income of all family members, from all sources (on a quarterly basi s) personal characteristics (for example, occupation, age, race) family composition housing characteristics and a long list of long-lived and non-durable consumption expenditures (the 20 percent sample). Because the purpose of the study was to provide budget weights to update the CPI, only families in normal economic circumstances were included (this is the basis for the reduction in sample size from 700,000 to 300,000).Thus, for example, persons whose wages were very low or who experienced persistent unemployment are unlikely to be included in 1935-36 study. A buffer store sample, drawn from the original survey forms (stored at the National Archives) and containing the responses of 6,000 urban households, is available in machine-readable format from the Inter-University Consortium for Political and Social Research at the University of Michigan (ICPSR test 8908). Robert A. Margo Vanderbilt University