Saturday, August 31, 2019

Marketing Mixmarketing Mix Essay

1. Marketing Research : A new product strategy will ultimately need to be tested through focus groups, phone surveys and beta tests. Focus groups are sessions where company managers observe consumers through a one-way mirror. A moderator or interviewer will ask the consumers questions related to the company’s product concept, including their likes, dislikes and suggestions for the product. This information is usually evaluated later to help tweak the product concept. After focus groups, companies use phone surveys to obtain a more reliable sample about the market’s reaction to the product. 2. Product Positioning: Product positioning is a â€Å"best practice† strategy used for both new and existing products. Small companies typically use a grid when developing a product positioning matrix. The objective of product positioning is to determine which segment of the market to place a product. Companies often use two important product variables in a product positioning matrix. For hot cereal, these variables may include â€Å"price† and â€Å"time to cook.† The product price can be low or high, and the time to cook the cereal can be slow or quick. Consequently, segments for hot cereal may be low price/quick to cook, low price/slow to cook, high price/quick to cook or high price/slow to cook. A small company will usually plot its existing products as well as competitive products within the various segments. The segment with the least amount of plotting points may indicate an opportunity for the company, as that particular segment is under-served. Place of Distribution Strategies Depending on the type of product being distributed there are three common distribution strategies available: 1. Intensive distribution: Used commonly to distribute low priced or impulse purchase products eg chocolates, soft drinks. 2. Exclusive distribution: Involves limiting distribution to a single outlet. The product is usually highly priced, and requires the intermediary to place much detail in its sell. An example of would be the sale of vehicles through exclusive dealers. 3. Selective Distribution: A small number of retail outlets are chosen to distribute the product. Selective distribution is common with products such as computers, televisions household appliances, where consumers are willing to shop around and where manufacturers want a large geographical spread. Pricing Strategies 1. Penetration pricing: Here the organization sets a low price to increase sales and market share. Once market share has been captured the firm may well then increase their price. A television satellite company sets a low price to get subscribers then increases the price as their customer base increases. 2. Skimming pricing: The organization sets an initial high price and then slowly lowers the price to make the product available to a wider market. The objective is to skim profits of the market layer by layer. A games console company reduces the price of their console over 5 years, charging a premium at launch and lowest price near the end of its life cycle. 3. Competition pricing: Setting a price in comparison with competitors. Really a firm has three options and these are to price lower, price the same or price higher. Some firms offer a price matching service to match what their competitors are offering. Promotion Strategies 1. Public relations: Involves developing positive relationships with the organization media public. The art of good public relations is not only to obtain favorable publicity within the media, but it is also involves being able to handle successfully negative attention. 2. Internet Marketing: Promoting and selling your services online using various forms of online marketing techniques such as banner advertisements, videos or social media. 3. Sponsorship: Where you pay an organization to use your brand or logo. This organization usually has a high profile so that you know that your brand will be seen by a large audience. Most common use of sponsorship is with sporting events. The 2012 Olympics being held in London is being sponsored by a number of organizations such as Mcdonalds and Coca-Cola as the event will attract a worldwide audience that will run into hundreds of millions.

Friday, August 30, 2019

Didion’s on Morality Essay

What is it that forms and drives our â€Å"moral behaviors†? Are we born with a basic sense of morality or do we develop a set of moral â€Å"social codes† to keep society from falling into chaos and anarchy? In her essay â€Å"On Morality,† Joan Didion dissects what lies beneath the surface of humanity’s morality. By recounting several stories and historical events, she shows that morality at its basic â€Å"most primitive level† is nothing more than â€Å"our loyalties to the ones we love,† everything else is subjective. Didion’s first story points out our loyalty to family. She is in Death Valley writing an article about â€Å"morality,† â€Å"a word [she] distrust more every day. † She relates a story about a young man who was drunk, had a car accident, and died while driving to Death Valley. â€Å"His girl was found alive but bleeding internally, deep in shock,† Didion states. She talked to the nurse who had driven his girl 185 miles to the nearest doctor. The nurse’s husband had stayed with the body until the coroner could get there. The nurse said, â€Å"You just can’t leave a body on the highway, it’s immoral. † According to Didion this â€Å"was one instance in which [she] did not distrust the word, because [the nurse] meant something quite specific. † She argues we don’t desert a body for even a few minutes lest it be desecrated. Didion claims this is more than â€Å"only a sentimental consideration. † She claims that we promise each other to try and retrieve our casualties and not abandon our dead; it is more than a sentimental consideration. She stresses this point by saying that â€Å"if, in the simplest terms, our upbringing is good enough – we stay with the body, or have bad dreams. † Her point is that morality at its most â€Å"primary† level is a sense of â€Å"loyalty† to one another that we learned from our loved ones. She is saying that we stick with our loved ones no matter what, in sickness, in health, in bad times and good times; we don’t abandon our dead because we don’t want someone to abandon us. She is professing that morality is to do what we think is right; whatever is necessary to meet our â€Å"primary loyalties† to care for our loved ones, even if it means sacrificing ourselves. Didion emphatically states she is talking about a â€Å"wagon-train morality,† and â€Å"For better or for worse, we are what we learned as children. † She talks about her childhood and hearing â€Å"graphic litanies about the Donner-Reed party and the Jayhawkers. She maintains they â€Å"failed in their loyalties to each other,† and â€Å"deserted one another. † She says they â€Å"breached their primary loyalties,† or they would not have been in those situations. If we go against our â€Å"primary loyalties† we have failed, we regret it, and thus â€Å"have bad dreams. † Didion insist that â€Å"we have no way of knowing†¦what is ‘right’ and what is ‘wrong,’ what is ‘good and what is ‘evil’. † She sees politics, and public policy falsely assigned â€Å"aspects of morality. † She warns us not to delude ourselves into thinking that because we want or need something â€Å"that it is a moral imperative that we have it, then is when we join the fashionable madmen. † She is saying this will be our demise, and she may well be correct. Hitler’s idea that he had â€Å"a moral imperative† to â€Å"purify the Aryan race† serves as a poignant reminder of such a delusion. In 1939 Hitler’s Nazi army invaded Poland and started World War II. World War II came to an end in large part due to the United States dropping two atomic bombs. If the war had continued and escalated to the point of Hitler’s Nazis and the United States dropping more atomic bombs we could have destroyed most, if not all, of humanity, the ultimate act of â€Å"fashionable madmen. † We may believe our behaviors are just and righteous, but Didion’s essay makes us closely examine our motives and morals. She contends that madmen, murders, war criminals and religious icons throughout history have said â€Å"I followed my own conscience. † â€Å"I did what I thought was right. † â€Å"Maybe we have all said it and maybe we have been wrong. † She shows us that our â€Å"moral codes† are often subjective and fallacious, that we rationalize and justify our actions to suit our ulterior motives, and our only true morality is â€Å"our loyalty to those we love. † It is this â€Å"loyalty to those we love† that forms our families, then our cities, our states, our countries and ultimately our global community. Without these â€Å"moral codes,† social order would break down into chaos and anarchy.

Thursday, August 29, 2019

Euthanasia Outline

Euthanasia:  the intentional killing by act or omission of a dependent human being for his or her alleged benefit. (The key word here is â€Å"intentional†. If death is not intended, it is not an act of euthanasia)   †¢ Voluntary euthanasia:  When the person who is killed has requested to be killed. †¢ Non-voluntary:  When the person who is killed made no request and gave no consent. †¢ Involuntary euthanasia:  When the person who is killed made an expressed wish to the contrary. Assisted suicide:  Someone provides an individual with the information, guidance, and means to take his or her own life with the intention that they will be used for this purpose. When it is a doctor who helps another person to kill themselves it is called â€Å"physician assisted suicide. †Ã‚   †¢ Euthanasia By Action:  Intentionally causing a person's death by performing an action such as by giving a lethal injection. †¢ Euthanasia By Omission:  Intent ionally causing death by not providing necessary and ordinary (usual and customary) care or food and water. 1. Unbearable pain as the reason for euthanasiaProbably the major argument in favor of euthanasia is that the person involved is in great pain. Today, advances are constantly being made in the treatment of pain and, as they advance, the case for euthanasia/assisted-suicide is proportionally weakened. Euthanasia advocates stress the cases of unbearable pain as reasons for euthanasia,  but then they soon include a  Ã¢â‚¬Å"drugged† state. I guess that is in case virtually no uncontrolled pain cases can be found – then they can say those people are drugged into a no-pain state but they need to be euthanasiaed from such a state because it is not dignified.See the opening for the slippery slope? How do you measure â€Å"dignity†? No – it will be euthanasia â€Å"on demand†. The pro-euthanasia folks have already started down the slope. They are e ven now not stoping with â€Å"unbearable pain† – they are alrady including this â€Å"drugged state† and other circumstances. Nearly all pain can be eliminated and – in those rare cases where it can't be eliminated – it can still be reduced significantly if proper treatment is provided. It is a national and international scandal that so many people do not get adequate pain control. But killing is not the answer to that scandal.The solution is to mandate better education of health care professionals on these crucial issues, to expand access to health care, and to inform patients about their rights as consumers. Everyone – whether it be a person with a life-threatening illness or a chronic condition – has the right to pain relief. With modern advances in pain control, no patient should ever be in excruciating pain. However, most doctors have never had a course in pain management so they're unaware of what to do. If a patient who is und er a doctor's care is in excruciating pain, there's definitely a need to find a different doctor.But that doctor should be one who will control the pain, not one who will kill the patient. There are board certified specialists in pain management who will not only help alleviate physical pain but are skilled in providing necessary support to deal with emotional suffering and depression that often accompanies physical pain. 2. Demanding a â€Å"right to commit suicide†Ã‚  Probably the second most common point pro-euthanasia people bring up is this so-called â€Å"right. † But what we are talking about is not giving a right to the person who is killed, but to the person who does the killing. In other words, euthanasia is  not about the right to die.It's about the right to kill. Euthanasia is not about giving rights to the person who dies but, instead, is about changing the law and public policy so that doctors, relatives and others can directly and intentionally end ano ther person's life. People do have the power to commit suicide. Suicide and attempted suicide are not criminalized. Suicide is a tragic, individual act. Euthanasia is not about a private act. It's about letting one person facilitate the death of another. That is a matter of very public concern since it can lead to tremendous abuse, exploitation and erosion of care for the most vulnerable people among us. . Should people be forced to stay alive? No. And neither the law nor medical ethics requires that â€Å"everything be done† to keep a person alive. Insistence, against the patient's wishes, that death be postponed by every means available is contrary to law and practice. It would also be cruel and inhumane. There comes a time when continued attempts to cure are not compassionate, wise, or medically sound. That's where hospice, including in-home hospice care, can be of such help. That is the time when all efforts should be placed on making the patient's remaining time comforta ble.Then, all interventions should be directed to alleviating pain and other symptoms as well as to the provision of emotional and spiritual support for both the patient and the patient's loved ones. 14th through 20th Century English Common Law (Excerpt is from the U. S. Supreme Court ruling in the 1997 Washington v. Glucksberg – opinion written by Chief Justice Rehnquist. ) â€Å"More specifically, for over 700 years, the Anglo American common law tradition has punished or otherwise disapproved of both suicide and assisting suicide. † [pic] 19th Century United States (Excerpt is from the U. S. Supreme Court ruling in the 1997 Washington v.Glucksberg – opinion written by Chief Justice Rehnquist. ) That suicide remained a grievous, though nonfelonious, wrong is confirmed by the fact that colonial and early state legislatures and courts did not retreat from prohibiting assisting suicide. Swift, in his early 19th century treatise on the laws of Connecticut, stated that â€Å"[i]f one counsels another to commit suicide, and the other by reason of the advice kills himself, the advisor is guilty of murder as principal. † 2 Z. Swift, A Digest of the Laws of the State of Connecticut 270 (1823). This was the well established common law view, see In re Joseph G. 34 Cal. 3d 429, 434-435, 667 P. 2d 1176, 1179 (1983); Commonwealth v. Mink, 123 Mass. 422, 428 (1877) (â€Å"`Now if the murder of one's self is felony, the accessory is equally guilty as if he had aided and abetted in the murder'†) (quoting Chief Justice Parker's charge to the jury in Commonwealth v. Bowen, 13 Mass. 356 (1816)), as was the similar principle that the consent of a homicide victim is â€Å"wholly immaterial to the guilt of the person who cause[d] [his death],† 3 J. Stephen, A History of the Criminal Law of England 16 (1883); see 1 F. Wharton, Criminal Law  §Ã‚ §451-452 (9th ed. 1885); Martin v.Commonwealth, 184 Va. 1009, 1018-1019, 37 S. E. 2d 43, 47 (19 46) († `The right to life and to personal security is not only sacred in the estimation of the common law, but it is inalienable' â€Å"). And the prohibitions against assisting suicide never contained exceptions for those who were near death. Rather, â€Å"[t]he life of those to whom life ha[d] become a burden–of those who [were] hopelessly diseased or fatally wounded–nay, even the lives of criminals condemned to death, [were] under the protection of law, equally as the lives of those who [were] in the full tide of life's enjoyment, and anxious to continue to live. Blackburn v. State, 23 Ohio St. 146, 163 (1872); see Bowen, supra, at 360 (prisoner who persuaded another to commit suicide could be tried for murder, even though victim was scheduled shortly to be executed). [pic] 1828 – Earliest American statute explicitly to outlaw assisting suicide (Excerpt is from the U. S. Supreme Court ruling in the 1997 Washington v. Glucksberg – opinion writte n by Chief Justice Rehnquist. ) The earliest American statute explicitly to outlaw assisting suicide was enacted in New York in 1828, Act of Dec. 10, 1828, ch. 20,  §4, 1828 N.Y. Laws 19 (codified at 2 N. Y. Rev. Stat. pt. 4, ch. 1, tit. 2, art. 1,  §7, p. 661 (1829)), and many of the new States and Territories followed New York's example. Marzen 73-74. Between 1857 and 1865, a New York commission led by Dudley Field drafted a criminal code that prohibited â€Å"aiding† a suicide and, specifically, â€Å"furnish[ing] another person with any deadly weapon or poisonous drug, knowing that such person intends to use such weapon or drug in taking his own life. † Id. , at 76-77. [pic] 20th Century United States (Excerpt is from the U.S. Supreme Court ruling in the 1997 Washington v. Glucksberg – opinion written by Chief Justice Rehnquist. ) Though deeply rooted, the States' assisted suicide bans have in recent years been reexamined and, generally, reaffirmed. Beca use of advances in medicine and technology, Americans today are increasingly likely to die in institutions, from chronic illnesses. President's Comm'n for the Study of Ethical Problems in Medicine and Biomedical and Behavioral Research, Deciding to Forego Life Sustaining Treatment 16-18 (1983).Public concern and democratic action are therefore sharply focused on how best to protect dignity and independence at the end of life, with the result that there have been many significant changes in state laws and in the attitudes these laws reflect. Many States, for example, now permit â€Å"living wills,† surrogate health care decisionmaking, and the withdrawal or refusal of life sustaining medical treatment. See Vacco v. Quill, post, at 9-11; 79 F. 3d, at 818-820; People v. Kevorkian, 447 Mich. 436, 478-480, and nn. 53-56, 527 N. W. 2d 714, 731-732, and nn. 53-56 (1994).At the same time, however, voters and legislators continue for the most part to reaffirm their States' prohibition s on assisting suicide. [pic] 1920 The book â€Å"Permitting the Destruction of Life not Worthy of Life† was published. In this book, authors Alfred Hoche, M. D. , a professor of psychiatry at the University of Freiburg, and Karl Binding, a professor of law from the University of Leipzig, argued that patients who ask for â€Å"death assistance† should, under very carefully controlled conditions, be able to obtain it from a physician. This book helped support involuntary euthanasia by Nazi Germany. [pic] 935 The Euthanasia Society of England was formed to promote euthanasia. [pic]1939 Nazi Germany (From â€Å"The History Place† web site) â€Å"In October of 1939 amid the turmoil of the outbreak of war Hitler ordered widespread â€Å"mercy killing† of the sick and disabled. Code named â€Å"Aktion T 4,† the Nazi euthanasia program to eliminate â€Å"life unworthy of life† at first focused on newborns and very young children. Midwives and doct ors were required to register children up to age three who showed symptoms of mental retardation, physical deformity, or other symptoms included on a questionnaire from the Reich Health Ministry. â€Å"The Nazi euthanasia program quickly expanded to include older disabled children and adults. Hitler's decree of October, 1939, typed on his personal stationery and back dated to Sept. 1, enlarged ‘the authority of certain physicians to be designated by name in such manner that persons who, according to human judgment, are incurable can, upon a most careful diagnosis of their condition of sickness, be accorded a mercy death. ‘† [pic]1995 Australia's Northern Territory approved a euthanasia bill It went into effect in 1996 and was overturned by the Australian Parliament in 1997. [pic] 1998 U. S. tate of Oregon legalizes assisted suicide [pic] 1999 Dr. Jack Kevorkian sentenced to a 10-25 year prison term for giving a lethal injection to Thomas Youk whose death was shown on the â€Å"60 Minutes† television program. [pic] 2000 The Netherlands legalizes euthanasia. [pic] 2002 Belgium legalizes euthanasia. [pic] 2008 U. S. state of Washington legalizes assisted suicide Arguments For Euthanasia: †¢ It provides a way to relieve extreme pain †¢ It provides a way of relief when a person's quality of life is low †¢ Frees up medical funds to help other people †¢ It is another case of freedom of choiceArguments Against Euthanasia: †¢ Euthanasia devalues human life †¢ Euthanasia can become a means of health care cost containment †¢ Physicians and other medical care people should not be involved in directly causing death †¢ There is a â€Å"slippery slope† effect that has occurred where euthanasia has been first been legalized for only   the terminally ill and later laws are changed to allow it for other people or to be done non-voluntarily. Places in the World Where Euthanasia or Assisted Suicide are Leg al Netherlands, Belgium, Luxembourg , Oregon and Washington ORGANIZATIONS AGAINST EUTHANASIA Canada Compassionate Healthcare Network (BC, Canada)†¢ Euthanasia Prevention Coalition (Ontario, Canada) †¢ First International Symposium on Euthanasia and Assisted Suicide (2007) US †¢ International Task Force on Euthanasia and Assisted Suicide †¢ ADAPT (People with disabilities) (Illinois, USA) †¢ Nightingale Alliance †¢ The Robert Powell Center for Medical Ethics †¢ List of Disability Groups Opposing Assisted Suicide †¢ The Disability Rights Education and Defense Fund †¢ True Compassion Advocates †¢ Californians Against Assisted Suicide (2007) †¢ CURE (Citizens United Resisting Euthanasia) †¢ Views on Euthanasia (Sponsored by CURE) Pro-life Movement Increasingly Takes on Assisted Suicide †¢ Black Americans for Life †¢ Wisconsin Right to Life Assisted Suicide/Euthanasia Page †¢ Pro-Life Colleges and Seminaries †¢ Disability Rights Education and Defense Fund †¢ TASH's Resolution Opposing the Legalization of Assisted Suicide †¢ Disability Groups Opposing Physician Assisted Suicide †¢ List of Some Groups Opposing Physician Assisted Suicide †¢ Largest U. S. Organization of Latin Americans Opposes Assisted Suicide (2006) †¢ Symposium on Opposing Assisted Suicide and Euthanasia (2007) †¢ Lifeissues. net's Euthanasia Articles (2008) †¢ Life TreeUK †¢ Care Not Killing †¢ First Do No Harm (By Doctors in the UK) †¢ ALERT (UK) †¢ British Section of the World Federation of Doctors Who Respect Human Life World †¢ World Youth Alliance supports the Duke of Luxembourg’s Decision to Veto Euthanasia Legislation (2008)   †¢ International Euthanasia Symposium Held in Virginia, USA (2009) †¢ Second International Symposium on Euthanasia and Assisted Suicide, Virginia, USA (2009) †¢ First International Symposium on Euthanasia an d Assisted Suicide, Toronto, Canada (2007) World Federation of Doctors Who Respect Human Life †¢ ORGANIZATIONS FOR EUTHANASIA-Right To Die Organizations †¢

International Organizations and Ecological Security Essay

International Organizations and Ecological Security - Essay Example The mandates of the international organizations are determined by the member states (Michael and Finnemore 699). Nevertheless, differences in power control and resources among the member states are always evident, and some countries, for various reasons, are more successful in placing and pushing for their own interests and policy preferences on the policy agendas of international organizations than others are. After their establishment, many international organizations lose focus on the primary goals and mandates they were meant to address and exercise their authority independently in a manner unplanned and unimagined by member states at inception, which results in proclivity for dysfunctional, sometimes pathological, actions and conduct. International organizations act as a mechanism for the implementation and accomplishment of the collective aims and policies desired by the members, they often organize the arenas or forums within which interrelationships among member countries are discussed and pursued, and occasionally, they act as independent actors in the international arena (Michael and Finnemore 701). Today, international organizations have progressively evolved to be entrusted with roles that were conventionally performed by sovereign states. International organizations are sometimes faced with bureaucracy and other problems associated with social institutionalism that gives them authority and autonomy from the countries that established them, and channels that authority and autonomy in specific directions. Bureaucracies in international organizations are ubiquitous. Bureaucratic rules guide the actions of actors both within and outside the international organizations. Within the organization, they are the criterions that let the international organizations respond more effectively and efficiently to the needs and demands of a situation or circumstance. However, bureaucracies frequently establish rules and rubrics that set the behavior, actions and con duct of others, for instance countries in conflict, countries hosting refugees or indebted states. These rules usually contour how bureaucrats view the global affairs and how they perceive the problems and challenges facing them; they define, classify and organize the world (Michael and Finnemore 710). Bureaucrats employ their rules to aid in creating or constituting the social world and inclined to make their intervention in the world affairs easy and pliable. For instance, they delineate common international tasks such as development, establish and outline new groups of actors such as immigrants and refugees, develop novel interests for actors such as upholding human rights, and spread principles of political organization globally, such as markets and democracy (Michael and Finnemore 711). Nevertheless, these rules and powers that characterize bureaucracies and make international organizations powerful can similarly make them unresponsive to the requirements of the global environm ents, due to obsession with their bureaucratic rules neglecting their primary missions, and eventually resulting in dysfunctional, self-defeating behavior. This is also because their authority and powers are autonomous of the policies and interests of nations that establish them. International organizations can be theorized using two broad approaches: the economistic and sociological ones. The economistic approach is founded on concerns about instrumental rationality and efficiency

Wednesday, August 28, 2019

Intellectual Property Essay Example | Topics and Well Written Essays - 750 words - 1

Intellectual Property - Essay Example It is able to prevent and treat diabetic complications. It contains fagomine and 1-deoxynojirimycin whereby the ratio of their weights is 0.5, which is approximately 5:1. The preferred weight ratio is 2 which implies about 5:1 ratio of the weight of 1-deoxynojirimycin to that of fagomine. Firstly, this invention focuses its research on the role of ensuring reduction in blood glucose of the composition of fagomine and 1-deoxynojirimycin through the mixing of different ratios. The expected result is that the two compounds would have very good synergistic hypoglycemic effect within a set proportion range. The mixing ratio selected is that with a better synergistic hypoglycemic effect. In addition, it also researches the effect of the composition when combined with other hypoglycemic compounds. In the event of reducing hypoglycemic rats’ blood glucose after intragastric sucrose administration, joint application of other hypoglycemic substances and fagomine and 1-deoxynojirimycin a re able to more effectively reduce blood glucose than any other hypoglycemic compounds or any single or combined applications. This composition can be made in to various formulations such as capsules, tablets, granules, dripping pills, powder, and oral liquid. Conventional methods and conventional excipients can be adopted as the preparation methods. From the research results, it is clear that the present applications has well spelt-out mechanism and significance usefulness which can be employed in preventing and treating diabetes and any complications accompanied with it. This issued patent operates in the Biomedical and technology field and address the concerns of the diabetes menace which over the years has claimed more lives just as much as cancer and HIV/AIDS. The novel thing about this invention is how it utilizes the capability of compositions to synergistically help not only prevent and treat diabetes but also deal with any other complications associated with it. Currently, this invention is both locally and internationally patented. This patent protection can be said to be broad, and it bars existing technologies or pharmaceutical companies from using the stated formula and essentially the composition of 1-deoxynojirimycin and fagomine in the manufacture or improvement of existing blood glucose reduction remedies. This invention can take the form of a pharmaceutical company, product line or just a product in the form of capsules, tablets, granules, dripping pills, powder, and oral liquid. Artificial red blood cells (Patent Number 7348399) This invention patent application number 11/433,259 was applied for in the U.S by Haynie Donald T. in May 2006 and is yet to be issued. It has been classified under current U.S class 530/300; 530/385 and current international class A61K 38/03 (20060101); A61K 38/16 (20060101). Invention Summary It provides a new method for the identification of sequence motifs of a given net charge and length at a neutral pH in seque nce information of amino acid for use in recording a required number of motifs and in ELBL. This is a seven step method consisting of (a) obtaining a peptide amino acid sequence from a given organism; (b) locating a starter amino acid; (c) examining the starter amino acid t determine the number of charged amino acids which have an opposite polarity; (d)

Tuesday, August 27, 2019

(Risk Management -Global Perspectives on Risk) Q- Globalisation has Coursework

(Risk Management -Global Perspectives on Risk) Q- Globalisation has led to a significant degree of convergence in markets and in - Coursework Example "Globalization" is understood as a source to bring in major increases in the world trade along with trade exchanges within an open, integrated economy that would span across borders. Remarkable growth has been observed in such form of trade or exchanges that had been observed not only within the traditional international trade of goods and services, but was also observed in the exchanges of country currencies, in various capital movements and many more. One aspect featuring the extent in globalization has been the volume in international financial transactions that peaks over $1.2 trillion every day as per the New York currency markets (Intriligator, 2003, p.4). Globalization has also led to greater openness within the international economies resulting in integration across worldwide markets. A second aspect of globalization has been the liberalization of trade and other different forms in economic liberalization. This has resulted in reductions in the trade protection norms thus est ablishing a more free world trading system (Intriligator, 2003, p.5). The third aspect of globalization has been the changes as seen in the institutions where the organizations had wider reach apart from the technological advancements and the wider horizons for the managers that were facilitated by the advances made in communications (Intriligator, 2003, p.6). ... d trend in bringing together the lower economies of the world by increasing world trade would contribute in capital mobility as well as the global operations in the multinational companies that would propel technological changes, even out the wage and productivity differences across economies. The term â€Å"convergence† has been found to have an ambiguous definition. As had been mentioned by Daniel Drezner â€Å"the scholarly work on this subject is spread across multiple disciplines, including law, economics, political science and sociology. The problem leads to a certain redundancy in theory building, as disciplinary boundaries prevent ideas from spreading across fields† (GAHAN, et al. p.8). The increase in the imports and the exports seen in the overall output level provides a clear picture of the extent the globalization has spread across the goods markets. Foreign goods are now available in all countries today than was not seen previously. This was the proof for t he product market expansions due to globalization. Though globalization has led to an integration of the global markets and reducing labor costs, it is also believed in some literature that that globalization had increased the unemployment situation and widened the levels of income disparity (Slaughter & Swagel, 1997, p.6). An important trend that has been observed in the labor markets present in the advanced countries has been the rapid shift in the demand moving from less skilled workers to the better skilled ones. This trend had led to a dramatic increase in wages and the income inequality observed between the two sets of workers found in some country, along with the unemployment levels as amongst the less skilled workers in different countries. What explains the differences in outcomes for wages and

Monday, August 26, 2019

Overpopulation in America Essay Example | Topics and Well Written Essays - 1750 words

Overpopulation in America - Essay Example He noted that without farming, the world population could probably not have reached half a million by now. The population of the world is expected to have a significant increase by the year 2050. This is pegged on the increased or advanced medical services, also the remarkable increase on agricultural productivity. By the year 2050, the world population is expected to reach over 7.8 billion among the underdeveloped countries, from its current figure of approximately 5.3. On the other hand, populations recorded in developed countries are expected to remain constant or to have a marginal increase of about 1.2 billion people. In particular, the population of the United States is expected to increase by 44 percent, differing from its 2008 projection of three hundred and five million to four hundred and thirty nine million people by the year 2050; therefore, it means that American will be overpopulated by the year 2050. Ironically, since the year 1970, American women enjoyed an average ra te of birth that was at 2.03 children per year. This preceded the1960s great â€Å"Zero Population Growth† (Zuckerman 45). During periods of 1960s, America was under populated or in other words it had a low population, a situation that swayed the Congress into formulating a bill in the year 1965, which allowed or facilitated immigrants into the United States. The 1965 immigration bill, oversaw the influx of numerous immigrants into the United States (Anchel 14). Since its inception, the immigration bill is still in full operation today. Within a timeframe of forty years, the immigration bill, had added one hundred million people to America’s population. It is true that America is adding about hundred thousand immigrants after every thirty days to its population without a pause. The monthly influx of immigrants for decades results to millions of immigrants becoming Americans. Therefore, it is apparent that the overwhelming American population is highly constituted by im migrants (Fielden 20). As America is grappled with accelerating its environment, its citizen’s quality of life, issues of boated cities, and among other issues such as water and energy, some of its laws or bills are busy adding more millions of people in the country (Anchel 94). Notably, the program of adding more people in population lack contingency plans, which would counter the problem of America’s population exceeding its optimum capacity. In fact, America’s population is at its optimum level. Dr. Albert Bartlett from University of Colorado once posed a question asking people to conceptualize a problem ranging from scales of microscopic going up to global. He continued the question by adding that the problem’s long term remedy empirically advanced, propelled and assisted by the increased population capacities on the levels of local, state, national or global. This outcry is showing the scholars are already worried of the current population trend in t he United States (Solomon 214). It seems that the underlying current and future effects of over population have not only been a problem among the scholars, but the issue is also of great concern among different groups. However, the issue is not lingering in the minds of the political leaders (Wooldridge 1). Contrary to politicians, the issue is of great concern to most media outlets in particular top newspapers, which include the New York Times, Los Angeles Times, Chicago Tribune, Atlanta Journal, Dallas

Sunday, August 25, 2019

Dangerous and Natural Energy Research Paper Example | Topics and Well Written Essays - 750 words

Dangerous and Natural Energy - Research Paper Example However, the risk that is close to the highest magnitude and frequency lies next to areas with the highest risk. As per the map, the western seaboard experiences the highest hazard of earthquakes (USGS: Science for a Changing World, 2012). Considering that the pink color represent areas with the highest earthquake hazard, Seattle lies in the green area, which is third to the least risky area. However, there are maroon areas surrounding it meaning that earthquakes may be experienced from these areas reaching the area (USGS: Science for a Changing World, 2012). In the past seven days, according to the earthquake center, there has not occurred any seismic activity in the area. The closest earthquake activity that occurred in the past seven days was in Canada and not in the USA. There has been seismic activity in the USA that has occurred in most recently, and in some cases up to this month on the 2nd of June in California. On a global scale, seismic activity seems to occur offshore in the areas bordering the land. This is particularly so in the areas around Alaska, the west coast of the USA, as well as the West coast of South America. Among all these regions, there is consistency in the occurrence based on fault lines around the world. These are mainly to the west of Alaska, East of Australia and the western side of the South American continent. There are, also, several earthquakes occurring in continental shelves in areas such as Alaska, China and India. In addition, there are several occurrences in the Middle East, an area with not much seismic activity. In Japan, 46 kilometers East of Namie, a magnitude 4.7 earthquake occurred on 2 July 2012. It occurred in an area where two fault lines lie (USGS: Science for a Changing World, 2012). Living in a red area is difficult following the high risk involved. However, I would be willing to live in such an area as long as I know the full implication of exposing myself to such a hazard and the benefits that come with

Saturday, August 24, 2019

McDonald's Essay Example | Topics and Well Written Essays - 1500 words

McDonald's - Essay Example In case of McDonalds’ regular operation General Manager is controlling assistant and staffs who are mainly focusing on selling different products and offering services to customers. In case of McDonalds’ decision makings are done in a decentralized manner. McDonalds’ has divided its organization structure into three geographic locations. Those are 1) USA, 2) Europe and 3) Asia pacific, Middle East and Africa. Chief operating officers of those three regions directly reports to the CEO for all company related operations. Company’s geographical organization structure has three main hierarchies for operating globally. This organization structure is very simple and well designed. The main products of the McDonalds’ are hamburgers, chicken sandwiches of different types, French fries, breakfast items, desserts and soft drinks. In some markets McDonalds’ also sales vegetarian dishes and salads. It also sales some seasonal foods like McRib. Company is also offering soup in Asian market. It has given lots of importance to the local food. Company has done great localization of their menu. They also maintained local food taboos in different countries like India and Indonesia. McDonalds’ also sells beer in Germany and in various Western parts of Europe. McDonalds’ also provides different services to its customers like free Wi- Fi. Customers can access the Internet facilities by using their mobile phones and laptops without any charges. More than 11,000 restaurants have this super service around the world. The McDonalds’ is having a prepaid card service. It is named as Arch Card. This card helps customers for quick and convenient way of payment at McDonalds’. Customers can buy from any McDonalds’ restaurant with the help of this card (Molch, 2009, p. 182). Company is providing services in terms of giving space for child parties. These services are provided in limited locations. McDonalds’ is World’s largest

Friday, August 23, 2019

Anthropology and political and power Essay Example | Topics and Well Written Essays - 2750 words

Anthropology and political and power - Essay Example Anthropology's basic concerns are "What defines Homo sapiens?", "Who are the ancestors of modern Homo sapiens?", "What are humans' physical traits?", "How do humans behave?", "Why are there variations and differences among different groups of humans?", "How has the evolutionary past of Homo sapiens influenced its social organization and culture?" so it is the study of how humans live and interact. The anthropologist Eric Wolf once described anthropology as "the most scientific of the humanities, and the most humanistic of the sciences." Politics is a process by which groups of people make collective decisions. The term is generally applied to the art or science of running a government. It also refers to behavior within civil governments. However, politics have been observed in other group interactions, including corporate, academic, and religious institutions. It consists of "social relations involving authority or power† and refers to the regulation of public affairs within a political unit, and to the methods and tactics used to formulate and apply policy. Anthropology and politics have a direct link between them. POWER IS IMMANENT in human affairs; by definition, human beings are political animals. Power in this sense cannot be reduced to a single social or political instance by either external or internal criteria. Whether or not the social grouping under scrutiny is collectively aggregated by conditions of gender, age, kinship, class, or hierarchy, power is present. In the most basic sense, power is what the political scientist Harold Lasswell defined as political: who gets what and how. Or, as the anthropologist Edmund Leach provocatively noted, all social and cultural change is a quest for power. Power is not a domain but one of the essential forms and conditions of human relations. Three phases may be recognized in anthropology’s relationship with politics. In the first formative era (1879–1939) anthropologists studied politics almos t incidentally to their other interests, and we can speak only of ‘the anthropology of politics’. In the second phase (1940–66) political anthropology developed a body of systematically-structured knowledge and a self-conscious discourse. The third phase began in the mid-1960s when all such disciplinary specialization came under severe challenge. As new paradigms challenged the earlier dominating, coercive systems of knowledge, political anthropology was first de-centered and then deconstructed. The political turn taken by geography, social history, and literary criticism and, above all, feminism has revitalized anthropology’s concern with power and powerlessness. FEW subjects arouse more passion and debate among Muslims today than the encounter between Islam and modern thought. The subject is of course vast and embraces fields ranging from politics to sacred art, subjects whose debate often causes volcanic eruptions of emotions and passions which hardly l ead to an objective scrutiny of causes and a clear vision of the problems involved. Nor is this debate which consumes so much of the energies of Muslims and students of Islam helped by the lack of clear definition of the terms of the debate and an insight into the actual forces involved. The whole discussion is also paralyzed by a psychological sense of inferiority and a sense of enfeeblement before the modern world which prevents most modernized Muslims from making a critical appraisal of the situation and of stating the truth irrespective of

Thursday, August 22, 2019

Okonkwo Essay Example for Free

Okonkwo Essay Some regard the arts as having an extra-artistic cognitive function, that they have a message about mans place in the world which might have social or political implications. For example, there might be a case for supposing that the arts have an important function as a medium for social criticism and transformation. In any case, there is a widespread belief that the arts have a higher purpose to educate by encouraging introspection and sometimes making us think about how we should live our lives. Two heads are better than one. Learning nd working in groups involves shared or learned values, resources, and ways of doing things. Group projects can reinforce skills that are relevant to both group and individual work, including the ability to: break task into parts, plan and manage time and gain communication skills. What strategies were used? Many of my classmates including myself would have preferred to work on this project individually, however every now and then more hands make for lighter work. When my partner and I got together to begin our project we had decided to split the project in half. Same an equal amount of work. I wouldnt say we used and specific strategies to begin the Mexican Revolution project. We did however follow the some of the guidelines of the design cycle to begin which included: plan, investigate, design and create. What knowledge was acquired? Because my partner had so much knowledge of the Mexican Revolution, she was able to help me clearly understand/clarify certain things that had occurred that I was uncertain of. Because we had to do some research on our own I gained more on the revolution, to the porfiriato era where porfito Diaz himself introduced railroads, to ow important the constitution was for the people. What skills were utilized and developed? Group projects can also help students develop skills to collaborative efforts, allowing students such as myself to: delegate roles and responsibilities, share perspectives, knowledge and skills, hold one another and be held accountable. (We were able to use pervious knowledge from class and what we have been taught to be able to complete the project. I was able to develop and gain more knowledge of the Mexican revolution because of my partners knowledge. ) What will be done ditterently in the tuture? A lot of things will be done differently in the future. Time management of course. We ended up doing it the same week it was due which caused some stress on each of us individually. Although we completed out project in time I would have liked to have started planning the week she told us Just to have had a head start and know what we were doing then actually doing it last minute and not really knowing what we were going to do. Even if we decided to split the work, I would have wanted to still worked together since it was a group project. But above all, it was a great experience working with another individual. 378

Stevensons The Strange Case of Dr. Jekyll and Mr. Hyde Essay Example for Free

Stevensons The Strange Case of Dr. Jekyll and Mr. Hyde' Essay Stevensons Jekyll and Hyde is an examination and comment on mankinds dual-nature and societys need to allow the existence of one type of behaviour. Jekyll is a product of this society and Hyde is his alter ego. Stevenson creates evil within Victorian London and explores its effect and the public reaction to it. He allows it to grow leading to tragic consequences. Evil is represented in many ways, much of which is centred on Hyde himself and societys rejection to him. Victorian London was a dark, foggy, mysterious place, there were a lot of back alleys and secret hideouts in that town, where absolutely anything could happen, London was startled by a crime of singular ferocity, a fog rolled over the city, (both p31) This was the perfect setting for a book like The Strange Case of Dr. Jekyll Mr. Hyde because there wasnt a setting to create, it was already there for Stevenson to use. The book is a mysterious gothic-horror, involving murders. With London the scene is already set for a book like this, with all the dark, dingy, old and smelly back-alleys, anything could happen, some city in a nightmare. (p34) Jekyll and Hyde was in many ways, similar to the events around Jack the Ripper, it was also written at about the same time as those events happened, so it was constantly compared to it, even though the two were totally different and not related in anyway, and neither influenced the other. The reason for their comparisons is the fact that they both involved murders, both also involved people having two sides to their personalities, Hyde is the evil person, while Jekyll is the respectable public face. Jack the Ripper was a murderer, and his public face was a respectable doctor (or who they thought was a respectable doctor)`, who no one would have ever expected to be murdering people. That is directly related to the Science vs. Religion argument about people, which is also directly linked to Charles Darwins Theory of Evolution through Natural Selection, which at the time the book, Origin of Species book was published was considered as a terrible thought. Charles Darwin went far over seas in the late 1800s because he was an ecologist, someone who studies environments, ecosystems and animals. When he went over seas, he found his way eventually to the Galapagos Islands. The islands are off of the west cost of South America, and are around the equatorial area. He noticed that some species of animals had changed, evolved in different ways, depending on the environments, the island the species on animals were living on, so that that animal could, be more efficient at being able to live. This is a theory that different species of animals evolve in different ways according to their environments, this is known as The Theory of Evolution Through Natural Selection. This was, of cause, a very big thing to say, as these challenged Christian beliefs, which state that God created all beings. Darwins theory was totally different to this because he said that animals change to create new animals to suit their environments. Stevenson believed that people can have many different personalities within themselves and that they can be separated. There was a civilised, public face, and a primitive, instinctual, and quite possibly evil side to each person. He showed this by writing the book Jekyll Hyde, which shows how someone managed to separate themselves into two people, Dr. Jekyll Mr. Hyde. The Victorian times were the age of Hypocrisy, where people were expected to do/act in a certain way whether or not they agreed with those standards or not. People, especially men, as in those day men were considered more important, were expected to be polite, wear suits, act in certain ways. This is why Jekyll Hyde is much more than a gothic story, it is a criticism of Victorian ways. Jekyll is a man driven by Victorian values, to be a perfect social figure, Jekyll, gets his pleasure through Hyde, a person who doesnt care what people think, he doesnt care about Victorian values, he has no care for them, he just wants to do whatever he likes. Stevenson based Jekyll and Hyde on a dream he had, his wife woke him up from it. After the dream he complained that he didnt get to see the full dream. He kept on having this dream/nightmare, so he decided to turn it into a book. He wrote a first draft, and read it to his wife, she didnt agree with it, so he burnt the copy and re-wrote the entire story again in three days. His book was obviously also influenced by society and the fact that people are expected to act in a certain way whether they want to or not. He was brought up in Edinburgh and Stevenson loved the old, dark side of the town with the back alleys and the mysterious areas, this was the setting for the back alley in which Hydes door is situated. The idea of duplicity, living a double, both being separate, one being secret, just like Jekyll and Hyde. Stevenson had a proper upbringing, as a child he was very sickly and had a lot of nightmares, Jekyll and Hyde probably originated in his mind that early in his life. Stevenson was also highly influenced by other works, other horror stories such as ones written by Deacon Brodie, Mary Shelly, (Frankenstein), and other gothic horror writers. He used some of the ideas in other peoples ideas, as well as incorporating his own to create the book Jekyll Hyde. All of these books show how people can change, how than can be different, how they can be split into different people. Jekyll decided to conduct experiments upon himself to try and see if her could split himself up. He initially wanted to split himself into a good side and a bad side, and by doing this he hoped that he would be able to ignore the evil side, so it wouldnt affect him, leaving him as a good person ridding himself of the bad side. He decided he was going to do this when he began to think that Victorian rules were wrong, he didnt agree with the value that one must do this, or one shall not do that. He thought that was wrong. So when he spilt himself up into Jekyll and Hyde he thought he could rid himself of Hyde, but he couldnt, he realised, as Hyde he could do what he liked, and no one would care because he is still respectable Jekyll at the same time. He had no care for rules. Hyde is a brutal person, and brutal is used when you do something and you dont care about what might happen to you after. He has no care for societys rules. Brutal is associated with ape-ish behaviour, meaning that he is a lowing being. He does the brutality out of instincts, because animals like apes act totally on instincts whether they are right or wrong. Because Hyde has such an instinctive nature, he is able to get his pleasures much easier, it is easier for him to do these things, and he doesnt care what happens. Jekyll thinks he can become Hyde just when he wants his pleasures, when he wants to do what he likes. But Hyde starts to take over as a character, he starts to become the dominant person, he gets stronger. Then the transformations between Jekyll and Hyde become involuntary, uncontrolled, and unpredicted, almost as if the two personalities were fighting each other. At first Jekyll doesnt mind changing into Hyde but after a while he gets scared, because he is scared about what eh might do as Hyde, he like being him, being able to do anything he likes, but he starts to get about what he might actually do as Hyde. He is only driven to this because he cant stand Victorian society so he splits himself so he can be great in one. The thing we have to remember is that Hyde is Jekyll, Hyde is the evil essence in Jekyll, which means that Jekyll has that brutality within him, which show that everyone does, we all have these features, but ours are not spilt into different personalities. Jekyll kept Hyde being himself secret because people would want to interfere or than would be utterly scared by what they have seen, it would frighten them literally to death. (Utterson Lanyon) In Victorian London Christians would think that unleashing ones evil side is a terrible thing. It would be like unleashing a Devil within everyone. The people who are doing it would be condemned, it would be considered so terrible the consequences of doing and what the Christians thought of you would be horrific. Hyde is evil. People what to physically hurt him when they see him because he has got such a horrible face. He is brutal, he doesnt care about what he doing, he doesnt care about what people think about him, he has no care for a civilised society; which shows he has a very primitive mind. He has no conscience, he just doesnt care about anything, and he doesnt feel any regret for anything he has done, and he doesnt feel any remorse for any of the murders he has committed. He also relies totally on his instincts, he always follows his instincts like an animal. He has no moral values. He is only concerned with pleasure he gets out of being anti-social. Hyde represents evil in us all, he represents our animal ape-like instincts and origins, he is the beast in man. Hyde is used to show the reader the evil within us all, he is the essence of evil within us all. Evil is used through Hyde to show appearance and actions of an evil person. In the book, Hyde commits one, possibly two murders. The definite murder was Sir Danvers Carew who Hyde batters to death with a walking stick. The other is a little girl who Hyde trampled over, of which he felt nothing. When he trampled over the girl, he was like an animal. Hyde trampled calmly over the childs body and left her screaming on the groundit was hellish to see. (p14) trampled calmly is an oxymoron, which is something that contradicts itself. You dont imagine trampled and calmly together, you think trampled angrily, ferociously or horribly. He is like an animal a damned juggernaut (p14) like a beast, a monster, just stamping on things, crushing everything as he goes. When he was killing Carew, he was described has having insensitive cruelty (p32), he feels no remorse for what he has done to Danvers Carew. When people see him they want to kill him, his face brings a sweat out like running, (p14) he has a grotesque appearance, downright detestable, I never saw a man I so disliked, and yet I scarce know why.(p17) He is so ugly, an evil ugly, people cant work out why they hate his appearance, they think he has some sort of deformity, which they cant quite spot, they dont know why they hate his appearance, and they dont know why they want to kill him. Hyde is a short, detestable looking anti-social, brutal, instinctual being, who has no respect for rules. Jekyll is a tall man, very polite, quite a social man, who is very friendly. Hyde slumps along as he walks, he doesnt care about how, or where he walks, he sees himself as a free person, to do what he likes. Jekyll understands the values of Victorian Society. Jekyll is a tall man, friendly, aged. He is the total opposite of Hyde. They are opposites, in every way, apart from mental strength. Everyone in this book as something to hide. People dont want their own Hydes becoming real; Enfield is a very good friend of Utterson, they are also opposite people. Enfield goes out late at night, something a lot of people dont agree with, we never find out what he is doing, but we know he is doing something. He is the man about town. Lanyon is a very good scientist (as is Jekyll) with very good, radical ideas about science. He is afraid about what he might become if he became to good of a scientist. He is afraid of the fame, and of the importance of being such a scientist. He is afraid of what he might discover. Utterson is afraid of what might happen to him if he was to get enjoyment out of things, thats why many people think he is such a boring person, because he doesnt allow himself to experience enjoyment because he is scared of what might happen to him. E.g. He doesnt drink, because he is worried about becoming an alcoholic. Society drives these people to Hyde themselves because they are worried about what might happen to themselves, and how other people reactions. The door is a symbol of evil. It is a symbol of everything that is old and bad in the world. The fact that a door so old rotten and horrible can even be found in Victorian London means that people (like Hyde) of the same nature can be found aswell. The door is very hostile, and people are obviously not supposed to got through it because it has neither bell nor knocker (p13) showing that whoever lives there doesnt want to meet people, and more importantly, doesnt want people to meet him. The door is recognised as a bad place, it is the crowding place of tramps were they sleep in the door. The door is blistered and distained (p13) showing that it is not looked after and that is it old. It is not cared about, it is literally just a way of getting into the house inside. Some people even try to pick at the moulds on the door, to see if they could get them off, no one cares about the people doing this. No one had appeared to drive these random visitors away (p13) no one cares about the door the people around its location. It is used as a doorway to the hell that his Hydes house. It is like a gateway, and as doors are always like the place the door leads to, it shows what he is really like, what the house is really like. It is a symbolic gateway, the exact opposite of the front door, the face of everything that goes on. What people really see. The fog in Jekyll and Hyde is used as a mask to hide away things that people dont want to see/know about in the town. The fog is always present when an event is about to happen in the story, and is always used to show that something evil is happening, or about to happen, it is there around all of the events in the book. When Utterson went up to Jekylls house the air was described as full of dust (p51), even in the house, there was fog in the rooms, the fog began to lie thickly (p37) showing the evil that is present in the house. Which is the other way the fog is used, it is used to show the evil, that is actually is hiding. Another way in which Stevenson builds up tension is the use of pathetic phallacy, the weather reflects, or influences the mood, the weather is always described in a way of describing the mood. So, when evil is about it will be raining, when everything is happy, it will be sunny. In this novel Stevenson makes extensive use of adjectives to describe the main characters. Here are a few with an explanation by them; Enfield is a talkative man, loves enjoying himself, he does things that people dont know about, and what people would think badly of if they knew about them I was coming home from some place at the end of the world, about three oclock (p14) this shows that he does things he is not supposed to. Enfield is a very good friend of Utterson, a distant relation in fact, and the get along very well. Enfield is the man about town, and he enjoys life. This is another form of duplicity, that Enfield lives a double life, but we dont know what it is. Utterson is a man who refuses himself such pleases, as he is afraid about what might happen to himself. He is a boring dull lawyer or is quite ugly. He is however the centrepiece of this book as everything that happens relates to him in someway. Hyde is a small man, who is ugly to look upon He was small and very plainly dressed, (p14) He gave the impression of deformality without any nameable malformation. (p15) He looks unusual but you cant actually recognise what is wrong with him. Hyde is a small man, he doesnt care about anything and he doesnt care about who he upsets or what he does. He just wants to do what he likes. He is an evil person who wants control. He is the hidden part of Dr. Jekyll. Jekyll is an elderly man, who is also a scientist, but a better one the Lanyon. Jekyll is a respectable man who everyone likes, although he has a disagreement with Lanyon about some scientific facts, he is liked by everyone and is very happy, sometimes he looks tired. Streets of Soho are described as dark and dingy during the night, but quite open during the day. They are cobbled streets, and they are all ordered and in a geometric pattern, so everything is straight. The alley to the door is crooked and is always dark, and has a foal smell, it isnt the place for people to be hanging around. fogged city moon. (p13) full of wind and dust. (p40) The laboratory has lots of bottles and equipment lying around, it is a very old, disused, derelict place, very much left, and a few things are broken as if they are done in fits of temper, lumber of crates and bottles. (p41) A doctor and a lawyer are well educated well respected people in Victorian society, they would have been brought up to speak correctly and they would be expected to as they are in a position of authority within the hierarchy of the town. They would have been told to speak in a specific way, a told how to act. Did you ever remark that door? Indeed. (p5) I think that the old style, archaic language isnt used deliberately and is a product of the era in which the book was written. It is the formal style of Victorian England, it is the way things were done in those days, a man of rugged countenance, (p3). It is the style in which we wrote that happens to compliment the mysterious and confusing nature of the book. During the book Hydes speech gets more erratic and more informal as the book goes on, becoming more and more uncivilized. He becomes more and more evil during the book, less and less in control of himself. Tell him I cant see anyone. (p42) that isnt polite or formal at all. First person narrative is a very powerful force in the book, as it gives you a much better insight into what is going on, and it makes us feel as if we are better in touch with the book, as if we are there. Third person is very clever as you are told the story from someone who has already been told it, and you are only given selective pieces of information for good reason, so the story unfold in a order as to make the story much more powerful. I think letters are great because you are reading them as if the characters are reading them, and you read the story at the same times the characters read the letters. In conclusion Stevenson uses a range of techniques and style to convey the development of the story and make the reader feel more in touch with the events in the story. He does this to great effect making you feel as if you are there, a invisible person in the story.

Wednesday, August 21, 2019

History of Police Stop and Search Powers in the UK

History of Police Stop and Search Powers in the UK This dissertation charts the history of the stop and search powers of the British police from the old days of the notorious Brixham riots, the Stephen Lawrence Inquiry up to the modern day. Throughout this journey we will examine the use of stop and search under various statutes, concentrating on the Police and Criminal Evidence Act 1984 and culminating in a discussion of the Terrorism Act 2000. The effect of the enforcement of the stop and search powers on the community will be examined. 1.0 Chapter I 1.1 Police Use of Discretion and Stop and Search The use of discretion is at the centre of the debates on police powers; that is the ability of police officers to make what are essentially subjective judgements in legal situations and still be operating within the boundaries of law. In fact, the use of discretion covers almost every aspect of police work, so the initial decision to stop and search a suspect to the decision to charge and prosecute for an offence in court. Discretion can take the form of whether or not to pursue an action, for example, whether or not to make an arrest, even where the grounds for arrest are evident. The law allows the police a wide range of lawful possibilities, to make a decision based on their own individual professional judgement about particular situations. In whatever decision a police officer makes, he or she is accountable to the law and not to his or her superiors. Police officers cannot be given orders by their superiors on how they should; for example, whether to arrest one person and not another. Thus, unlike in most hierarchical organisations, the greatest power in terms of law enforcement lies with the officers on the beat and not their superiors. The area of stop and search has aroused much academic research because it is an area where the officer on the beat has wide and often unsupervised discretion to enforce the law. More importantly, this is an area wherein a police officer can deprive someone of their freedom of movement even though there is may be no evidence that the person is committing, has committed or is about to commit an offence. Research evidence points to allegations that the police are unfairly targeting certain sectors of the community, in particular black and Asian people, with regard to their use of stop and search. It is extremely difficult to monitor an individual officers use of discretion in this area of police work. There are provisions for supervision by superiors and some training is usually provided for officers but there is more to be done in terms of monitoring the use of stop and search. In addition, there are Police and Criminal Evidence Act (PACE) regulations on how stop and search is to be used in a non-discriminatory manner. However, it is still difficult to control the use of discretion in the use of stop and search. The discretionary and discriminatory use of stop and search powers (then the Stop and Search (SUS) law) by the Metropolitan Police (MET) was one of the major causes of the Brixton riots in 1981. The METs public pronouncement that Black people were in the majority amongst the muggers in London and the emerging labelling of Black communities as criminal and drug infested provided the legitimate backing for a militaristic policing of Brixton and the justification of the indiscriminate use of SUS on the residents of the area. This was an example of where public perceptions and politics give support to the use of discretion in policing, in this regard, the use of stop and search. The same scenario can be seen in the current use of stop and search in the UK (and presumably the USA) post-9:11. The scope for the use of discretion in stop and search has been significantly expanded in recent criminal justice, public order and anti-terrorism legislation whereby the reasonable suspicion element appears to have been pushed to the limit. The result has been very high figures of stop and search of the Asian Muslim population in the UK under a variety of anti-terror legislation. The use of discretion in police use of stop and search is still seriously being debated in academic and political circles, especially in relation to the issue of police racism. Minority ethnic people are not the only ones apparently discriminated against because of police use of discretion in stop and search. Young people are also believed to experience discrimination. In addition, variables of place (i.e. geographical area) and time of day or night come into play in understanding police use of discretion in stop and search (Clancy, Hough, Aust and Kershaw 2001). The use of police powers is important in the academic discourse about how the state rules through the law and its apparatuses. Police-citizenship relationship is essentially a power relationship at the micro-level. This relationship is often seen as an expression of how the state treats certain sectors of society at the macro-level. In other words, police powers are often seen as the personification of state power. 1.2 Monitoring It is apparent that until recent years, most police forces did not have information systems in place for monitoring stop and search. Even with the requirement to provide data on the ethnic breakdown of searches, some forces relied on counting stop and search by hand. This laborious paper exercise simply allowed forces to provide a breakdown of search by ethnic group to fulfil the requirements of Sec. 95 of the Criminal Justice Act 1991 which requires that the Home Office publish ethnic monitoring data (Quinton and Bland 1999, p2) When it comes to monitoring the use of the stop and search powers, different constabularies record different information. This makes comparisons difficult and the question of proportionality more complex. The main point however, is that constabularies must be able to monitor the use of these powers and to thoroughly and proficiently able to analyse the data. In order to achieve this, the police or external staff who are carrying out such analyses must have appropriate monitoring skills. Fair use of police stop and search powers has the potential for raising public confidence in the police. In December 2004 South Yorkshire police said in its Statement of Agreed Policy (South Yorkshire Statement 2004); the use of stop and search powers directly impacts upon our relationship with the public. Historically, the use of stop and search has sparked much debate, as well as causing friction between the police and the public, particularly following publication of statistics showing apparent disproportionate use with regard to minority ethnic groups. Our use of this power must be fair and open to scrutiny, balancing the rights of individuals with the safety of the public, whilst at the same time increasing public confidence. It is an area where we will always come under scrutiny for evidence of unfairness or discrimination. The manner and approach an officer takes should at all times be sensitive, lawful, and effective in order to ensure public confidence and reassurance. (Appendix p2) Current national data on the use of stop and search power (e.g. Sec.95 Criminal Justice Act 1991) demonstrate considerable variation between constabularies which, when aggregated, indicate that black people and, increasingly Asians are more likely to be stopped and searched than their white counterparts, even in regions where the black and minority ethnic population is extremely small. In 1997-98, for example, Home Office figures revealed that one million stops and searches were carried out by the police under the Police and Criminal Evidence Act (PACE) of which 11% were of black people, 5% Asian and 1% other non-white origin (Home Office, 1998, p. 5). The explanation for differential use of stop and search powers is complex. Rates of stops and searches differ between geographical areas and between ethnic minorities, more so if one applies the 16+1 ethnic categories. However, most statistics are still recorded in the 3+1 ethnic classification White, Black Asian and other. This has made it difficult to assess the use of stop and search powers on the smaller minorities such as Chinese people, people of mixed heritage and refugees. In addition, most records of stop and search are likely to be an undercount. Home Office research has suggested that most constabularies are presently not equipped to undertake the required, detailed analysis of stop and search or any other relevant data (Fitzgerald, 1997). The result of this state of affairs is that senior officers cannot identify precisely which of their divisions have staff who are using the powers in a biased way and, therefore, the individual officers who should be made accountable for their actions. Also, it is very doubtful if lower ranked supervisory staff, sergeants and inspectors in particular, have the skills to understand the analyses undertaken and to manage their officers appropriately if a biased use of stop and search (or any other powers for that matter) is identified This is, indeed, a serious issue (Holdaway S.1999 para.6 (v)) As indicated above in relation to the smaller minorities, another important issue, especially in relation to disproportionality, is how ethnic monitoring is done. A Home Office research about ethnic monitoring identified a police ambivalence about and, sometimes, hostility towards ethnic monitoring. The researchers summarized their findings in the following way; The research found that most police officers appeared to view ethnic monitoring as irrelevant at best; at worst, it was resented and/or feared as a stick deliberately designed to beat them with. . . . . . Those in senior management positions who were most actively supportive of monitoring were, nonetheless, wary of some of the possible repercussions of examining the statistics, both inside and outside the force; and most, in any case, had other, more pressing demands on them (Fitzgerald, 1997 pp viii-ix). The Home Office researchers also found that many officers thought that ethnic monitoring was primarily about documenting the crime patterns of ethnic minorities. If they had another view it was that monitoring was imposed to accuse them of bias. The attitudinal context within which ethnic monitoring undertaken is very unsatisfactory. The reasons why ethnic monitoring was introduced are controversial. Whatever the reasons, it has highlighted rather than explained Black criminality. Police use of stop and search is currently under much more scrutiny than ever before. A simple explanation is that the police have abused their stop and search powers in the past and so they have invited this close scrutiny and bridges of trust and respect have to be built with the local community. It is interesting that after Macpherson, when new guidelines were introduced on police use of stop and search in order to dispel allegations of discriminatory use of the law, the statistics show an increase instead of a decrease in police use of stop and search against Black people. However, it is reasonable to assume that ethnic monitoring has had some effect on police use of discretion in stop and search, no matter how small. The police are aware of possible accusations of racism when they use their powers of stop and search. Thus, the use of discretion by the police in this regard is constrained by the political climate within which policing takes place. Finally, it should be noted that the collection of ethnic monitoring data is designed mainly to analyse differential outcomes of the use of stop and search and arrest powers. However, these standard data have a very limited use. They are the record of the outcome of an action not of the actions that led to the outcome. Local police managers therefore need to be able to analyse ethnic monitoring data to identify the processes that led to differential outcomes. Unless these data are used to identify the processes that have led to racial discrimination for example, effective change cannot be realised and achieved. A great deal of work has to be done by the police if the differential use of stop and search, or any other powers, is to be identified and appropriate action taken. The Home Office should prepare a standard monitoring system, used by officers with demonstrable skills in the analysis of data, and its use within all constabularies should be required and assessed by HMIC (Her Majestys Inspectorate of Constabulary). Thought needs to be given to placing the ability to analyse data as a core skill for promotion to supervisory rank. The development of analytical skills should be assessed routinely in staff appraisals. Officers need training in data analysis; in moving from a reliance on outcome data, to identifying the processes that have resulted in particular outcomes. On the issue of monitoring, the Home Secretary did appoint an implementation group to ensure that the Lawrence Inquiry action plan was realized within the police. Although the membership of this group was not finalised, it was mostly made up of members of the police representative associations and other interested parties. The implementation group did not have members who were experts in the monitoring of policy implementation. Indeed, it was dominated by the representatives of various police staff and other associations, who have proved themselves to be less competent than in the very task they are supposed to be monitoring police policy implementation. The reason for this membership is probably that the Home Secretary felt that he would have to retain the confidence and support of the police as policies developed. This is understandable, but not sufficient for the stated purpose of the implementation group. It is now critical for organisations like the Runnymede Trust to ensure that the implementation group considers adequate monitoring information and that their work is effective. The suggestion that a monitoring group should be monitored sounds cumbersome and monotonous. However it would appear to be necessary if progress is to be made ( Holdaway, 1999 para 6 ( xi to xii) ). Discussion of police use of discretion is often linked with the academic discussion of police occupational subcultures. Although most elements of police culture are universal, each agency possesses its own personal and distinctive organisational culture. Therefore it is quite difficult to find an uncomplicated definition of police culture. There are several varied definitions, some being more complex than others. According to McDonald (1997): The concept of police culture is comprised of the merging of two major components, (a) the image of impartial and professional crime fighters that the police have of themselves, and (b) a system of beliefs and behaviour not described in published manuals or agency value statements. (McDonald et al, 1997). This definition, whilst not obviously identifying a compelling positive element, does recognise more than just the negative. The public demands all professionals to be held at high standard, but for obvious reasons, policing has an even higher threshold to meet and all police officers must accept this higher standard. An integral part of the process of police acceptance of this higher standard is to understand the police culture, while retaining the resilience to both resist the negative and champion the positive. The police are the first step in the justice process, and the first rung on the ladder in the climb to dispensing justice in the hierarchy. If the police do not inspire confidence, then the whole justice system is viewed with disparagement and suspicion. If the police who are at the forefront of initiating the justice system is viewed with unease, then anything that emanates from their behaviour is similarly seen as tainted. In order for the public to have faith in the justice system and view it with respect and confidence, then it needs to be functioning properly in an unbiased manner from the start, namely the role of the police. However, the apparent unfair use of the law by the police is often linked to the culture of police officers. Authors have argued that racism, sexism, homophobic and anti-working class feelings exist within the culture of rank and file police officers and that it affects how they enforce the law or use their discretion in enforcing the law (Holdaway, 1983 and Chan, 1997). This argument has been used in explaining police use of stop and search and arrests, and the disproportionality question. Considerable research informs us about the contours and power of the rank-and-file occupational culture, (Holdaway, 1983 and Chan, 1997). In terms of minority ethnic people, it is argued that this culture mediates wider racial categorisations and stereotypes black youths as criminal. It moulds these categorisations within the context of routine police work and affects police use of discretion. The Macpherson Report (Macpherson 1999) has introduced a new dimension in the debate by asserting that the police forces as a whole are institutionally racist. In the Stephen Lawrence Inquiry, the oral evidence of the three representatives of the MPS Black Police Association was illuminating. As rightly quoted in Inspector Paul Wilsons evidence; The term institutional racism should be understood to refer to the way the institution or the organisation may systematically or repeatedly treat, or tend to treat, people differentially because of their race. So, in effect, we are not talking about the individuals within the service who may be unconscious as to the nature of what they are doing, but it is the net effect of what they do. (Stephen Lawrence Inquiry Part 2, Day 2, p. 209) A second source of institutional racism is our culture, our culture within the police service. Much has been said about our culture, the canteen culture, and the occupational culture. How and why does that impact on individuals, black individuals on the street? Well, we would say the occupational culture within the police service, given the fact that the majority of police officers are white, tends to be the white experience, the white beliefs, the white values. Given the fact that these predominantly white officers only meet members of the black community in confrontational situations, they tend to stereotype black people in general. This can lead to all sorts of negative views and assumptions about black people, so we should not underestimate the occupational culture within the police service as being a primary source of institutional racism in the way that we differentially treat black people. Interestingly I say we because there is no marked difference between black and white in the force essentially. We are all consumed by this occupational culture. Some of us may think we rise above it on some occasions, but, generally speaking, we tend to conform to the norms of this occupational culture, which we say is all powerful in shaping our views and perceptions of a particular community. (Stephen Lawrence Inquiry Part 2 Day 2, p. 211). Macpherson (1999) drew attention to these and other similar comments noting; We believe that it is essential that the views of these officers should be closely heeded and respected (Macpherson 1999, p. 25) The study in one local constabulary (South Yorkshire Police), by analysing 1998 samples, it was found that young black males between ages 15 and 25 had a 1 in 3 chance of being stopped per year, Asians a 1 in 6 chance, and whites a 1 in 10 chance. Blacks formed 0.8% of the countrys population and Asians just over 3% (Holdaway, 2003). Ethnic minorities and predominantly black youth are stopped for the suspected possession of drugs, often, small amounts of cannabis that do not lead to a court appearance. In this study it was found that black youths were more likely to be stopped for the possession of drugs, while white youths were most likely to be stopped for suspected possession of stolen goods or being equipped to steal. However, there is no available evidence to suggest that black youths use drugs more than any other ethnic group (Graham and Bowling, 1996). Although in his study, Holdaway found that the actual number of young blacks and Asians stopped and searched were small and the legal power used fairly infrequently. It cannot be assumed that its impact on the views of ethnic minorities has been proportionate. Holdaway maintains that suspicions about the disproportionate use of stop-and-search powers have fuelled a sense of discrimination among ethnic minorities. The Macpherson Inquiry 1999 into the death of Stephen Lawrence re-emphasised the need for the police services to scrutinise stop and search powers in the context of wider community relations. The Inquiry pointed to discrimination at an operational level as fuelling and leading to the publics loss of trust in the police services. The recording of self-defined ethnicity forms part of Macpherson Recommendation 61, but until 1999 several forces had to date, based ethnic monitoring on officers visual perception. Concerns have been raised about the use of self defined ethical classification as required by the Macpherson Inquiry. Police forces were themselves apprehensive about the way the public might respond and how such responses ought to be used as management information. After all, some ethnic minorities might describe themselves as British, which would make ethnic monitoring more problematic. Also the actual raising of the issue of ethnicity might make stop and search more confrontational and lead to criticisms of differential treatment which in turn would fuel the allegations of discrimination. If communities in general have no confidence in the police then they will not assist the police by providing valuable information about possible criminal activity within the communities. It is a basic fact that the police need the public in order to prevent, investigate and control crime. 2.0 Chapter II This chapter will look at the variation in the manner in which various police forces used stop and search and how the P A C E Codes of Practice of stop and search can be interpreted. Since the early nineteenth century, the police have had wide ranging local powers to stop and search individuals whom they suspect of criminal intent. This Chapter will trace the history of stop and search powers and in particular their development and utilisation under PACE. 2.1 Police Powers of Stop and Search Under The Police and Criminal Evidence Act 1984 (PACE) Police powers to carry out stop and search dates back to the Vagrancy Act of 1824. This was the old SUS. Under sections 4 and 6 of this law, the police are empowered to stop any person found loitering in a public place on suspicion of intent to commit a cognizable offence. In addition, in London, section 66 of the Metropolitan Police Act (1839) allowed MET police officers to stop and search in London, where there was reasonable suspicion that a person was carrying anything stolen or unlawfully obtained. Interestingly, an internal record was kept not only of the searches but also of all stops under these powers. These were recorded divisionally and the figures collated centrally. Even before the advents of PACE there were concerns regarding police use of the stop and search powers. Reports produced by Willis (1983) and Smith (1983) showed that officers frequently abused the reasonable suspicion requirements attached to the powers. The reports also revealed that these powers were applied disproportionately towards members of the black community. In fact, during the 1970s, there were public concerns about police discrimination in the use of SUS and these anxieties were publicised by various organisations such as the Scrap Sus Campaign (1979) and there were calls for the stop and search powers to be regulated or even scrapped. As mentioned in chapter one, it was the indiscriminate and heavy-handed approach to the use of the SUS law in London that led to the Brixton disturbances in 1981. The mounting complaints led to SUS being a major issue reviewed by Lord Scarman. The subsequent report (The Scarman Report) recommended the replacement of SUS. SUS was repealed and then replaced with a new power of stop and search (SAS) in the Police and criminal Evidence Act (PACE) of 1984. Section 1 of PACE allows the police to stop and search any person or vehicle when the officer has reasonable grounds for suspecting that stolen or prohibited articles will be found. The police are permitted to carry out a full search of the person including anything they may be carrying or any vehicle they are in. PACE was implemented in order to clarify the circumstances in which people could be stopped and searched as well as building in safeguards for the individuals concerned. The introduction of PACE was the first time legislation that had been introduced to properly consolidate what had become a disparate range of powers in respect of the use of stop and search by British police officers. In addition the introduction of PACE could have been accelerated by the report of the Royal Commission on Criminal Procedures (1981) which had recommended improved stop and search powers. Also the Scarman Inquiry specifically said that the way in which stop and search had been carried out had contributed towards the level of tension in Brixton. In Lord Scarmans concluding comment he quoted that; The state of law is, however, a mess, as the Royal Commission on Criminal Procedure has shown The PACE powers allow for searches to be carried out on the basis of reasonable suspicion. Additionally, police officers retain the ability to carry out voluntary or non-statutory searches. As Bland, Miller and Quinton (Home Office: 2000) remarked: In practice this (PACE) was an extension of powers. The Royal Commission on Criminal Procedure recognised the need to balance this extension with safeguards to protect the public from random, arbitrary and discriminatory searches (p 6) Stop and searches carried out under PACE must be carried out in accordance with the Codes of Practice, Code A. From April 2006, following Section 61 of the Macpherson Report, the recording of stops became a requirement for all police forces. In a recent report by the National Implementation for the Recording of Stops, Michael Shiner with the assistance of Nisrine Mansour, Eleanor Stokes and Athina Vlachantoni (Home Office, 2006) suggest that the implementation of compulsory recording of all stops will improve police accountability to the public and will protect the officer from false allegations and misrepresentation from public encounters. It is hoped by the Police Federation that the recording of stops will promote better two-way communications between the police and the public. The National Implementation for the Recording of Stops commissioned by the Stop and Search Action Team undertook valuable research into police attitudes, training, leadership, data capture, community engagement, accountability and engagement (Police Federation 2006, p 3). The report was an honest but blunt appraisal of how many within the force feel about stop and search. One of the big concerns was the slur officers felt on the reputation of the force being linked with institutional racism. A common strand throughout was the issue of disproportionality and officers attitudes towards it. Quite evident was the lack of common understanding at all levels of this term except that it is feared. However, officers are keen to emphasise the value of stop and search as a policing tool needed for communitys safety and protection from crime and anti social behaviour. It is one of the best examples of intelligence led policing and the easiest way of targeting persistent offenders and infiltrating crime hot spots. However studies have shown that many stops are not recorded at all. This is only a breach of the law if the PACE powers are actually exercised and if the suspect is searched or arrested (Sanders Young, 2000; ch.2) 2.2 The Code of Practice (Code A) The most controversial area of stop and search law (or even police law generally) is the definition of reasonable suspicion. Code of practice (Code A) defined what reasonable suspicion should mean in the practical sense of the use of stop and search. In para 2.2, the Code states: Reasonable suspicion can never be supported on the basis of personal factors alone without reliable supporting intelligence or information or some specific behaviour by the person concerned. For example, a persons race, age, appearance, or the fact that the person is known to have a previous conviction, cannot be used alone or in combination with each other as the reason for searching that person. Reasonable suspicion cannot be based on generalisations or stereotypical images of certain groups or categories of people as more likely to be involved in criminal activity, (Code A para.2.2). (The latest version of the Codes of Practice came into effect on February 1, 2008, (SI 2008/167) but it does not make major changes to the existing Code A). The term disproportionate is used in the Code (Code A, par. 5.3). This is unfortunate as it has negative connotations and is synonymous with mistrust. The Codes (Code A Section 5) introduce a responsibility on supervisors to monitor and detect any disproportionality in the searches their officers conduct. The Home Office and Chief Officers readily admit they do not understand the term and yet are determined to judge police officers by it. The term proportionate would be more appropriate and implies a considered and necessary uses of stop and search powers. Furthermore, it seems that additional research should be commissioned into the many complex issues surrounding analysis of stop and search, in particular of street populations. In the aftermath of the Macpherson Report and following recent changes to PACE one would expect the service to provide additional and focussed training. It is apparent that the new safeguards introduced by PACE have failed to fulfil their goals of preventing the misuse of the concept of reasonable suspicion and the abuse of the stop and search power (McLaughlin and Muncie, 2001). Bland, Miller and Quinton ( Home Office, 2000 ) noted that : Research has pointed to the difficulty, in practice, of making a clear distinction between PACE searches and those involving consent. An early evaluation of the impact of PACE in one force highlighted confusion about the distinction at both policy and operational level. There was evidence that some officers used consent to avoid the requirements of PACE for reasonable suspicion and that public consent was often given when ignorant of the right to refuse ( p 7) The Metropolitan Police Authority commissioned a community evaluation of the implementation of Recommendation 61 of the Stephen Lawrence Inquiry in Hackney (Stop and Search, 2004). The evaluation was carried out by a black-led community organisation, the 1990 Trust. In this study, the police were told to record all stops and searches whether consensual or not, but not include those carried out under the terrorism legislation. A major concern of respondents in the study is that of not being given reasonable reasons for a stop. Existing research has shown that being given a reason for a stop is important to the public. In the Hackney study, over 86% of the respondents said that they had been told or had found out the reasons for the stop or stop and search. However, and more importantly, on further examination, over half (57%) of the respondents thought that the reason given for the stop was false. Being given an unconvincing reason for a stop was potentially as frustrating as being given no reason at all. For some respondents, it was tantamount to an insult to the intelligence of the person being stopped. The re

Tuesday, August 20, 2019

The Secret That Exploded :: essays research papers fc

The Secret that Exploded by Howard Morland   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"The Secret that Exploded† written by Howard Morland is a non-fiction book based on his findings on the H-bomb. Howard dedicated his life to finding out the secret of the H-bomb and releasing his findings to the public who have been in the dark since the beginnings of the Manhattan Project. The book goes through everything he went through from when he became an airforce pilot to him becoming involved in radical groups to him fighting the government in court for freedom of press. His book goes through everything he had to do to get the information he needed to find out the secret of the H-bomb. Howard felt that if â€Å"He would attack secrecy; if secrecy could be dismantled, then the opponents of nuclear weaponry would have a fighting chance. (pg.50)† He wanted to break down the secrecy of the government and give the radical groups that were against the bomb a chance to get there views heard around the U.S. and possibly bring a stop to the nuclear arms race. Howard thought that the â€Å"secret of the H-bomb could be the centerpiece of the secrecy structure and that if he could crack it he could bring down the whole secrecy structure.(pg.50)† This is what he wanted and he wanted all of the secrets that the government has been keeping from the public to be revealed so that the public could know what was going on and not be in the dark.   Ã‚  Ã‚  Ã‚  Ã‚  Howard knowing that finding the secret would be near impossible moved on in his journey and visited every major nuclear manufacturing sight in the U.S. that he knew about. On his journey he encountered problems with security. The government has bottled up the secret by giving security clearances to anyone who knew the secret. These people could not tell anyone anything that was deemed classified and they could get in very big trouble if they did. Howard had to get by this by asking questions that would bring back answers that wasn’t classified material but the information that he needed. Howard got so good at asking questions that he eventually put together all the information he found out from all of his sources and put together his version of the H-bomb. This version was so near accurate that the government wanted to classify it so that Howard could not publish it in the The Progressive magazine. Howard and The Progressive took the government to the Supreme court where the government dropped their case because the info that they wanted to contain had already leaked out to the public. Howard and The Progressive got what they wanted and earned