Saturday, August 31, 2019

Microchips in Humans Essay

In today’s society, technology continues to find new ways to protect our children and families. Several devises have already been developed to track children when they are away from home. These devises work by GPS signal to track the movement of the child and are worn externally or are imbedded in an item of clothing. There are also GPS devices already approved for implantation in humans. VeriChip was the only Food and Drug Administration-approved human-implantable microchip for use in medical purposes (DHHS pg. 71702-71704). These developments have sparked a debate over whether we should consider implanting microchips in humans for tracking and safety reasons and not just medical purposes. Today there are microchips implanted into pets for tracking purposes yet they do not have a GPS signal and only work once the animal is found and not to track their location. These same kinds of devises may be offered in the future for humans. Our government should never allow microchips to be implanted in humans for any purposes much less mandate their use. External tracking devices currently available have the capability to track children for safety without the need for implanting a microchip in the body. This kind of tracking device would serve no purpose in tracking the child’s location. As stated in this article: Chip implants would be of little use in tracking a missing child as readers only have a limited range (Lane par 14). The FDA believes that a person’s overall health may be affected by tissue reaction, movement of implanted chip, failure of transponder, among many other complications. In addition, it is clear that there are many risks involving implantation of these devise (DHHS pg. 71702-71704). The FDA also has a waiver to be signed that releases them from any liability in regards to these devises, not to mention they are also currently conducting research to see if these devices can cause cancer in the patient implanted with these microchips. Today there are microchips ready for implantation into humans but at what cost to our health? We already know that these devises pose several health risks and are a direct violation to human rights. However, what we do not know about the effects of these devises may be far more dangerous than anticipated. Imposing a law to mandate these devices in the future could be far more costly to society then we will ever know. Some say these devises will be  good for medical patients however; there are many other ways to track ones medical history without implanting a foreign object into the body. There are too many side effects associated with this devise, which frankly is unnecessary and not needed for any real purpose, other than for tracking of an individual every move at any given time. Personally, I do not want that kind of power given to anyone. The opposition on the other hand believes that these devises will be good for medical patients. However; there are many other ways to track ones medical history without implanting a foreign object into the body. Currently there are medical I.D. bracelets to alert health care providers to any emergencies without the need for implanting mic rochips. Implanting microchips in humans also raises the question to the right of privacy as well as health concerns related to implantation. Our right to privacy is defined as the right to one’s freedom of intrusion. If all humans were implanted with microchips, there would be no such thing as privacy as we now know it, not to mention the invasiveness of the surgery for implantation. The continuing presence of the microchip within the individual must also be taken into account when considering our human rights. In combination with the surgery, the implant represents a permanent intrusion of our privacy. With an implanted microchip, your brain is hotwired into a computer that has a GPS tracking systems to monitor your movements, every minute of every day, for the rest of your life. Just imagine how creepy that really sounds. The concept of privacy for anyone implanted would never exist again. To protect our privacy, we need to better understand its value and the purpose it serves. Privacy is understood as an important barrier that gives us space to develop an identity that is separate from the supervision, assessmen ts, and values of our society. Privacy is crucial for helping us manage all of the pressures that shape the type of person we are in society. Privacy is also used as the groundwork to protect our other fundamental rights. If our right to privacy were compromised then our other rights would soon faultier as well. To implant microchips into human being seems to be a clear case of intrusion of our bodies and our lives. Another reason our government should not allow microchips implanted in humans is that it would serve no real purpose except to track our movements and why should anyone have that much power over any individual. We need to consider the bigger picture as stated in this  article: Imagine what the government could do with this kind of technology. If it wanted to, it could use this technology to track literally every movement and behavior of everyone at any given time (Slavo par 15). Personally, this technology even being considered in our society should be a crime. The government should not allow or mandate implantation of microchips in humans for any reason. There are many reasons why these devises should not be implanted but instead should be outlawed. These devices not only pose a health risk to patients but also violate our rights to privacy. I have stated many reasons why the government should not allow microchips to be implanted in humans, not only is it morally, ethically and logically wrong but it would also serve no real purpose other than tracking our movements which should never be allowed. Personally, I do not want anyone to have that much power over me and neither should you.

Friday, August 30, 2019

Dementia awareness

Explain what is meant by demtia: Dementia is a term that is used when the brain is affected by different diseses or conditions. Describe the key functions of the brain affected by dementia: The key functions of the brain affected by dementia are- processing information,language,memory,ability to make sound Judements. Explain why depression, delirium and age related memory impairment may be mistaken for dementia: They may be mistaken for dementia because the symtoms are simular eg ild cognitive impairment, apathy, confusion, poor memory, low concentration.Understand key features of the theoretical models of dementia Outline the medical model of dementia: Expert control, dependency upon experts denial of personhood, not recognising the social context, distinction between normal and pathological, individualisation of behaviors, blaming the individual, tratment of the illness. Outline the social model of dementia: Interaction of biological and social factors, importance of communities an d social etworks, role of socio-economic factors, political factors, recognition of personhood, effects of empowerment.Explain why dementia should be viewed as a disability: Dementia should be viewed as a disability because people who have dementia are at risk of harm, and are vunerable Know the most common types of dementia and their causes List the most common causes of dementia+ their symptoms: Alzheimers disease: causes- changes in chemistry and structure of the brain, death of brain cells, signs and symptoms- memory loss related to recent events,familiar aces, confusion about time of day, familiar objects and faces, finding the right word.Lewy body dementia: causes- development of lewy bodies inside the nerve cells, degeneration of brain tissue, signs and symptoms- memory loss, problem solving, confusion and delirium, servere phychotic symtoms such as persistant hallucinations. Vascular dementia: causes- effects of a stroke+a series of small strokes, signs and symptoms- memory loss dizzyness, slurred speech, effects movement, rapid+shuffing steps, leg/arm weakness, loss of bowel/bladder control.Fronto- temporal dementia: causes- accumulation of proteins, development of pick bodies, signs and symptoms- lack of insight, inability to emphasise, changing or inappropriate behaviour, loss of inhibitions, development of compulsive rituals. Risk factors- age related eg, higher blood pressure, changes to nerve cells, DNA cell structure, body repairs itself slower. Prevalence rates : people with medical history like downs syndrome, hiv, and peoples lifestyles eg- excess alcohol, lack of exercise, inappropriate diet.Understand tactors relating to an individuals experience ot dementia Describe now ifferent individuals may experience living with dementia depending on age, type of dementia, and level of ability and disability: Every individual with dementia are going to experience it different, because everybodys health situations are different, age, location, social n etworks, some may have support from friends and family and some may be alone, Behaviour of others: Behaviour of others can make a difference for someone with dementia eg, care workers, colleages, managers, speech therapists, support groups.If having this support will make the individuals experience better than without the support. Dementia awareness Some of these things old be symptoms of dementia but they could Just be a memory Impairment. 2. 1 The medial model of dementia feels that it is more important to treat the disease rather than the person. It focuses on the impairment as the problem and seeks to create dependency. The social model of dementia focus' on the individual. And try's to ensure the person's capabilities are maintained. By learning about each person, the care and support can be designed appropriately for the individual's needs. 2. 3 Dementia should be classed as a disability because as the disease progresses, the more support the individual needs.They could be unaware of the medication they need to take, ensure that they are eating/drinking. Maintaining personal hygiene. Each individual with dementia is different so they needs the care and support to maintain a good life. 3. 1 Alchemist's. Vascular dementia- when the oxygen doesn't reach the brain. ; Eely Bodies. Front-Temporal Dementia. 3. 2 & 3. 3 Signs and symptoms of Alchemist's are: Minor memory problems Trouble saying the right words. Disorientation Mood swings Behavior changes The risk factors for Alchemist's are: Age- most people are 65+ and likelihood doubles every 5 years. ;Genes (heredity) Signs and symptoms of vascular dementia are: Difficulties with completing tasks. Memory loss Mental confusion Low attention span Wandering in the night Stroke like symptoms The risk factors for vascular dementia are: Increasing age History of heart attacks, strokes or mini strokes. High cholesterol and blood pressure Diabetes Smoking Signs and symptoms of dementia in the Eely bodies: Visual hallucinations Delusions Muscle stiffness Slower movements Shaking and trembling Problems sleeping Risk factors for dementia in the Eely bodies are: Dementia in the Family history your risk of getting it.Signs and symptoms of Front-temporal dementia: Aggression Compulsive behavior Being easily distracted Lack of interest of washing themselves. 3. 4 Preval ence rates for dementia in the UK are: 40-64 years: 1 in 1400 65-69 years: 1 in 100 70-79 years: 1 29 80* years: 1 in 5 4. 1 Everyone who has dementia is an individual and will be at different stages of their dementia. An older person with Eely bodies' dementia may need more assistance with everyday life tasks than an older person with Alchemist's. This could be because how much they can do with the disease they have.A person with Eely bodies' mental may need assistance with eating and drinking than a person with Alchemist's as they can't hold cutely because their body shakes but the person with Alchemist's will be fine eating and drinking. A younger person with dementia may have different interests to someone who is 82 and has dementia. The support should be there to meet everyone individual needs. 4. 2 Other may act well to a person who has dementia because they know what is up with the person and has some knowledge and understanding. A person who has no understanding of dementia could have wrong Judgments and assumptions of a person with dementia. Dementia awareness Explain what is meant by demtia: Dementia is a term that is used when the brain is affected by different diseses or conditions. Describe the key functions of the brain affected by dementia: The key functions of the brain affected by dementia are- processing information,language,memory,ability to make sound Judements. Explain why depression, delirium and age related memory impairment may be mistaken for dementia: They may be mistaken for dementia because the symtoms are simular eg ild cognitive impairment, apathy, confusion, poor memory, low concentration.Understand key features of the theoretical models of dementia Outline the medical model of dementia: Expert control, dependency upon experts denial of personhood, not recognising the social context, distinction between normal and pathological, individualisation of behaviors, blaming the individual, tratment of the illness. Outline the social model of dementia: Interaction of biological and social factors, importance of communities an d social etworks, role of socio-economic factors, political factors, recognition of personhood, effects of empowerment.Explain why dementia should be viewed as a disability: Dementia should be viewed as a disability because people who have dementia are at risk of harm, and are vunerable Know the most common types of dementia and their causes List the most common causes of dementia+ their symptoms: Alzheimers disease: causes- changes in chemistry and structure of the brain, death of brain cells, signs and symptoms- memory loss related to recent events,familiar aces, confusion about time of day, familiar objects and faces, finding the right word.Lewy body dementia: causes- development of lewy bodies inside the nerve cells, degeneration of brain tissue, signs and symptoms- memory loss, problem solving, confusion and delirium, servere phychotic symtoms such as persistant hallucinations. Vascular dementia: causes- effects of a stroke+a series of small strokes, signs and symptoms- memory loss dizzyness, slurred speech, effects movement, rapid+shuffing steps, leg/arm weakness, loss of bowel/bladder control.Fronto- temporal dementia: causes- accumulation of proteins, development of pick bodies, signs and symptoms- lack of insight, inability to emphasise, changing or inappropriate behaviour, loss of inhibitions, development of compulsive rituals. Risk factors- age related eg, higher blood pressure, changes to nerve cells, DNA cell structure, body repairs itself slower. Prevalence rates : people with medical history like downs syndrome, hiv, and peoples lifestyles eg- excess alcohol, lack of exercise, inappropriate diet.Understand tactors relating to an individuals experience ot dementia Describe now ifferent individuals may experience living with dementia depending on age, type of dementia, and level of ability and disability: Every individual with dementia are going to experience it different, because everybodys health situations are different, age, location, social n etworks, some may have support from friends and family and some may be alone, Behaviour of others: Behaviour of others can make a difference for someone with dementia eg, care workers, colleages, managers, speech therapists, support groups.If having this support will make the individuals experience better than without the support.

Thursday, August 29, 2019

What makes art art

Art is any form of self-expression. Art is something that is created that entertains, inspires, educates or makes a person feel something good, bad or unexplainable. Art is whatever the artist does or makes in which they deem to be art whether it is of value or not. There is a wide variety of art, some that people wouldn't imagine as art, but a true artist sees art in every creation. Art is everywhere and in everything I see. Art is not Just a painting, poem, drawing or a ballet. When I think of art I think of something somebody does to release their feelings.Different people express art in various ways. For example, someone who writes a love letter because they are unable to express their feelings through touch or emotion. Is this art? Watching Michael Jordan drive down the court and slam the ball. He was recognized for his unique ways for a reason. So, is this art? Making music, any type of music whether it is appealing to your ears or not. Is this art? All of these things are art to me. Art does not have to be beautiful or make you feel good to be defined as art; it is an expression of emotion.We are all artists in my eyes because we are all able to feel and create. All of life is art to me. When I think about art, its creator and the meaning of the creation I think the content is more Important then the context. I don't necessarily need to understand when and why it was created to form my opinion on whether or not I enjoy it. I like to find my own meaning and form my own opinion without knowing the background of the art. After I form my opinion I do like to research and find the artists meaning to see If I understood their expression without having it outlined.As an example I would like to reference Edward Sinkhole's piece, History as a Planter. Before doing any research on this piece I noticed the feet which I thought represented history and movement, the sign notating war I thought about struggle, and the plant, which I was perplexed until I did a little research. The plant Is a wondering Jew. So I was partially correct. From what I found out doing some light research, this piece of art Is symbolic of the way the artist views the history of the Jewish struggles.Art Is everywhere you look and such a huge part of our everyday, ring to explain a true definition Is almost Impossible or overwhelming. There Is Intentional art and accidental art. There are famous artists and artists as us. Take a look around you, everything you see Is art, and everything you see Is designed by someone. Yes, machines make things for us, but someone designed that piece or even designed that machine used to make that piece. Now, take another look around you. What Isn't art? Of the creation I think the content is more important then the context.I don't research and find the artists meaning to see if I understood their expression without trudge, and the plant, which I was perplexed until I did a little research. The plant is research, this piece of art is symbo lic of the way the artist views the history of the Jewish struggles. Art is everywhere you look and such a huge part of our everyday, trying to explain a true definition is almost impossible or overwhelming. There is intentional art and accidental art. There are famous artists and artists as us. Take a look around you, everything you see is art, and everything you see is designed by you.

Wednesday, August 28, 2019

Los Recuerdos del Provenir de Elena Garro. (En Espanol) Essay

Los Recuerdos del Provenir de Elena Garro. (En Espanol) - Essay Example Igualmente se sabe que la iglesia tomo la decision de oponer resistencia a las medidas impuestas por el gobierno. Sin embargo, las hostilidades por parte del sector oficial no solo tuvieron un efecto considerable en la vida de las personas dedicadas a la iglesia, sino que causo que el pueblo se sintiera ofendido y amenazado. Estos sentimientos los llevo a defender a una institucion que jugaba un rol de cierta importancia en el pais. El origen de la guerra cristera se debio a un numero de medidas tomadas por los gobernantes de Mexico durante el periodo que siguio a la Revolucion mexicana, cuando el general Plutarco Elias Calles habia tomado el poder. Entre las medidas promulgadas se encontraba la separacion entre la Iglesia catolica y el Estado. Adicionalmente, a esta institucion religiosa se le impidio desempenar ciertos roles dentro de la comunidad y se suprimieron un gran numero de sus derechos. En el libro Los recuerdos del porvenir la comunidad de Ixtepec se entera de las medidas tomadas por el estado una manana ? el grito de los voceadores de los diarios anunciaba la suspension de los cultos religiosos atraveso las calles del pueblo, se introdujo en los comercios, penetro en las casas y puso en movimiento a los habitantes ? (Garro 157). La suspension de las ceremonias religiosas es una de las tantas medidas amparadas por dos nuevas constituciones. La primera constitucion, por ejemplo, le prohibio a la iglesia poseer propiedades inmobiliarias y la segunda le permitio al estado decidir el la cantidad de iglesias y sacerdotes en cada region. Los sacerdotes no podian realizar su labor: ? el pueblo se encuentra cortado de los sacramentos, no se puede bautizar a un nino, no se puede contraer matrimonio, confesar, comulgar. Se tiene que morir como perro callejero, sin queja, tras una vida miserable ? (Meyer, XII). En la historia, el gobierno envia a soldados a que cierren por la fuerza todas las iglesias e impedirles la entrada a los habitantes del pueblo. En la historia, se puede apreciar que los militares estan dispuestos a prohibir la entrada a la iglesia por medio de la violencia, como si los ciudadanos fueran el enemigo: ? bajo los almendros quedaron mujeres con las cabezas rotas a culatazos y hombres con las caras destrozadas a puntapies ? (Garro 162). Estas acciones son un ejemplo de intimidacion desmedida que afecta a todos los ciudadanos que osen dar su apoyo a la iglesia y constituye uno de los elementos detonantes del movimiento cristero. No contentos con el uso de la violencia contra el pueblo indefenso, los militares hacen del conocimiento publico que por ley ellos tienen el deber de apresar a los miembros del clero y, hasta se podria decir, que la vida de los padres y curas corria peligro. En la novela, uno de los personajes expresa que el padre Beltran habia desaparecido ? la gente decia que habia decidido darse a la fuga aunque se ignoraba la direccion en la que se habia dirigido. Otros personajes decian que el padre estaba detenido en Ixtepec y que los militares pensaban matar lo cualquier noche ? (Garro 164). Es obvio que las acciones del gobierno habian un estado de incertidumbre, angustia y, mas tarde, ultraje entre los ciudadanos. Saber que un personaje tan cercano a la comunidad se habia esfumado no era un buen presagio. Se elaboran muchas conjeturas pero mas adelante uno de los person

Tuesday, August 27, 2019

Case Study - The Scent of Difference Essay Example | Topics and Well Written Essays - 750 words

Case Study - The Scent of Difference - Essay Example Reference should be made primarily to the self-efficacy theory of Bandura (Steers et al. 2010, p.295). The above theory is based on the view that ‘motives are meaningful only if they are given to individuals who believe that they are able to succeed’ (Steers et al. 2010, p.295). In the specific case, Indian workers believe that they can respond to the demands of the work, as much as their American counterparts but their salary is too low so that there is no incentive for Indian workers to keep their performance at high levels. In other words, Indian workers believe to their capacities in regard to the tasks assigned to them but they are not treated fairly. If Indian workers would not feel confident for their skills they would have no problem with the highest rewarding of American workers. Therefore, self-efficacy in the particular case leads to the development of tensions between the two social groups, Americans and Indians. Another theory that would help to understand t he tensions appeared in Source One would be the theory of Reasoned Action, as developed by Fishbein and Azjen in 1980 (Larson 2009). The particular theory promotes the idea that the actions of each individual are highly influenced by the plans he had made in advance but also by his beliefs in regard to the action involved (Larson 2009). The above condition is commonly known as behavioral intention, showing the interaction between the human behavior and the intentions/ attitudes of each individual (Larson 2009). In the specific case, the managers of the organization have fired the American workers because they were old and were compensated with high salary. Therefore, the particular decision has been resulted by the plans of the firm to reduce its costs without taking into consideration the risks involved with the appearance of a new culture in the workplace. In this context, the theory of Reasoned Action can be used for highlighting the emphasis by the firm’s leaders on the a chievement of a particular target, the reduction of costs, and the lack of any concern for the potential cultural conflicts in the workplace. At this point, reference should be made to the social identity theory which states that in order for a social group ‘to achieve a positive social identity a group must be distinguished from other groups in regard to certain positive values’ (Tajfel 2010, p.209). If there are no such values, then tensions will appear between the particular group and the other social groups in its environment. It should be noted that conflicts among social groups are most likely to be caused because of the following two reasons: a) differences in culture and traditions, b) conflicting interests (Tajfel 2010, 302). In other words, because of the important differences in regard to the social identities of the two social groups, of Americans and Indians, tensions in Source One can be characterized as unavoidable, unless appropriate actions would have b een taken by the firm’s managers and leaders The Intergroup Contact theory of Allport (1954) could be also used for explaining tensions in the workplace. The specific theory proposes the idea that ‘there can be no harmony within a group if the intergroup contact is low’

Safety in Aircraft Maintenance Term Paper Example | Topics and Well Written Essays - 1750 words

Safety in Aircraft Maintenance - Term Paper Example Because of the huge size of an aircraft and the various electronic, electrical and mechanical hazards associated with different parts of a plane, it becomes a norm to take preventive measures for the safety assurance of ground personnel’s. Safety needs to be addressed in many aspects of aircraft maintenance including aircraft engines, fuel systems, electrical wirings, Non destructive testing and assembly of parts. The preventive measures that need to be taken have also been highlighted. Everyday millions of passengers fly by air to reach their desired destinations. Air flight has become the fastest, convenient source of transportation and perhaps safer in some respects as compared to other modes. Together with the safety of passengers flying on an aircraft, the aviation industry is also concerned with the safety of those associated with the maintenance of aircrafts. Maintenance of aircrafts requires a lot of effort, together with appropriate measures of safety in handling high pressures, electronic equipments and surveying the engines. These tasks require large numbers of skilled engineers and technicians (Xavier, 2005). Apart from maintenance of frameworks and body, other maintenance safety precautions need to be taken while performing checks for leaks, structural damages and internal electrical systems (BTEC National) Maintenance of an aircraft is essential to ensure that the aircraft flies with the standards set for it and that no anomaly occurs in between its flight. Aircraft maintenance demands high technology and numerous people like mechanics, engineers and experts to ensure safety and efficiency of the plane. Aircraft maintenance safety is directed by some set standards and precautions which need to be taken by workers maintaining the plane. A â€Å"safety management system† established by the â€Å"International Civil Aviation Organization† works on this very aspect of safety in aircraft maintenance (Herrera, I.A & Hovde.

Monday, August 26, 2019

Enterprise systems Essay Example | Topics and Well Written Essays - 1750 words - 1

Enterprise systems - Essay Example Advanced analytics Furthermore, due to the development of enterprise systems and its functionalities, all the market analyst and correspondents join together to give new names for enterprise systems. The names that are suggested mainly are â€Å"enterprise commerce management† or â€Å"ERP II† (Fingar, Kumar and Sharma). 2 Purchasing Concepts and Organization in SAP The purchasing process in SAP starts with the warehouse sub process. If we take an example of Reynolds Corporation the process of purchase requisition is created and moves forward to another sub process called as purchasing. The purchasing sub process establishes and transmits the purchase order. The purchase order is than received by the warehouse sub process of Reynolds Corporation that initiates the function called as material receivables. Moreover, after this function, the purchasing process enters in the accounting function of Reynolds Corporation. Likewise, the accounting function received the invoice and sends the payment (Stewart 2005). Reynolds Corporation position to gather the profit from information flows that are present inside and outside the firms. This can be done by integrating bonus procedures along with a main financial system. On the contrary, some of the organizations are deploying enterprise systems functionalities as no company ever reported to completely finish implementing enterprise systems procedures (Becker et al. ). ... For Reynolds Corporation, the below mentioned values must be operational: Integrate enterprise systems is combined and synchronized along with the organizations significant data and procedures. This is done to utilize the system to connect with the procedures related to the organization and customers. Optimize best enterprise systems software’s are normalizing to give high performance and compete with the organizations significant procedures and strategies. The term â€Å"Informate† is used when the information is transformed into work in any organization. The transformation of data as mentioned in enterprise systems is done by information that is rich in context and information that allow analysis of business and facilitates decision-makers to numerous work forces. If we are talking about enterprise systems, many organizations do not implement it to its optimal level. Likewise, by constructing the rare technical components of Reynolds Corporation, it can only provide a limited value. Relatively, the research highlights the significant advantages not only for Reynolds Corporation that is in process of processing the raw components and entitles itself for the ownership to meet the distinctive vision of the organization. After placing the preconditions of cost and time, the prediction of the model that demonstrates the perceived value from enterprise systems for Reynolds Corporation emphasis on three main features that are mentioned below: 2.1 Integrate On the value scheme of integration, enterprise systems were originally formed. An enterprise system certainly recommends the assurance of incorporation through centralizing information that is operational in a habitation from where it will be

Sunday, August 25, 2019

Nursing research Essay Example | Topics and Well Written Essays - 750 words

Nursing research - Essay Example However, the hospital cannot involve the four nurses in the pediatric ward, which consequently requires the identification of one nurse who has extra training on children care. The identified nurse will be given the responsibility of equipping nurses with skills to assess, manage, and control pain in children. In addition, the pain nurse will provide the pediatric ward nurses with the skills to incorporate parents during pain management in order to provide personalized care. Resources required for proposed change In order to achieve successful implementation of any program, or proposed change, it is essential to allocate adequate resources that supported the implementation of the proposed change. In line with this, the fundamental resources required to implement this proposed change are not financial in nature, but they revolve around the availability of human resources in the hospital. In this case, the hospital requires a pain nurse who has pediatric training in order to handle the lead role of pain management in the hospital’s pediatric ward. On the other hand, the nurse requires the resource of time to train nurses in the pediatric ward and equip them with the skills required to assess, manage, and control pain in children. In line with this, financial resources will play an essential role in providing the materials required for training. Methods for monitoring solution implementation A program that is not monitored during its implementation can fail to achieve its objectives. In line with this, it is important to monitor a program in an approach that was effective and efficient in order to take corrective measures and promote the likelihood of achieving success. As the person responsible for this program, I will engage my mentor and the pain nurse in the monitoring process. In this case, my mentor and I will gather data from the nurses in the pediatric ward using a questionnaire that tested the efficacy of the program in the processes of assessing, managing, and controlling pain in children in this ward. Through a comparative analysis of this data, we will be able to identify the areas in the program that required improvement in order to promote the quality of care in patients. Conversely, I will ask the pain nurse to keep a record of the incidents that she witnesses as pediatric nurses manage pain in the wards. In effect, I will identify practices that required correction and develop approaches that corrected these approaches together with the pain nurse who will engage in the implementation process. Theory of planned change McNiff developed an eight-step model of action research that was instrumental in the implementation of this planned change. Primarily, the theory of planned change begins with a review of a nursing practice that identifies the change required. In this case, the review identified the need to manage pain in the hospital in an effective approach. Subsequently, the theory proposed a visualization of the way f orward, which provides the vision for developing the program with the fifth step involving the implementation of this program while using the action aid developed. During the process of implementation, it is important to engage in the process of monitoring the progress of the implementation process with the monitoring process providing corrective approaches that require evaluation. These approaches should be continuously implemented in order to achieve the

Saturday, August 24, 2019

Case study Example | Topics and Well Written Essays - 500 words - 104

Case Study Example Consequently, the liver is stimulated to produce more glucose into the blood system so as to provide more energy for muscles (Pino, p.15) Coagulation refers to the process in which blood changes from liquid to a gel. Coagulation will in turn result in homeostasis and stops blood loss from a damaged vessel. Coagulation profile refers to an analysis of the various components that assist in blood clotting. These substances include Prothrombin time, Activated Partial Thromboplastin Time, Thrombin Time, Fibrinogen, and Fibrin Degradation Products. All this substances have a healthy percentage or value, and deficiency of an element may result in coagulation complications (Blood disorders Para 12). It may either be internal or external. Rapid blood loss occurs in persons suffering from anaemia. It results in losing large amounts of blood. It leads to a drastic fall in blood pressure and a reduction in bodies oxygen supply. These problems may lead to a heart attack. Chronic blood loss occurs where a patient loses small amounts of blood from their body organs within an extended period. Rapid blood loss is treated by blood transfusion while chronic blood loss may be treated with the intake of iron supplements usually tablet for several months Several complications may occur during the treatment of bone fractures with the risk of complications varying with the type of bone fracture. In the case of Mr. Liu in the case study, some of the complications may include the development of pneumothorax, respiratory compromise or even frail chest due to the multiple rib fractures. Observations should always be made to make sure it either an open fracture or closed fracture. The skin should be checked if its intact. Radiography results are reviewed thoroughly as a single break is easier to treat than a comminuted fracture. Capillary refill is also checked, if they are no p[resent pulses the patient might have serious internal problems. Sharp bone

Friday, August 23, 2019

English Essay Example | Topics and Well Written Essays - 2500 words - 2

English - Essay Example Following the technological era, the same stories have been used to warn on the dangers of the technology. Technology has been glorified by many since it has been a means of solving some of the problems that could be difficult or even impossible to be done by mankind. Indeed, looking at the history of mankind from the industrial revolution and the Renaissance period, there is no doubt that technology has been very handy in the driving for the changes and success that is evident today. In this essay, however, I will argue that even though technology is a good thing, it has to be approached with caution, as it can break down our ways of life in a manner that may be irredeemable. Some of the literatures that will be used in the essay include; Do Androids Dream of Electric Sheep? By Philip Dick, this literature will be used as a main material. It shows how androids interact with human and through their analysis of the dangers of technology is done. Another important literature to the discussion is Neuromancer by William Gibson and finally The Crying of Lot49 by Penchon Thomas. This three literature will form the basis of the discussion while some other texts may also be used to justify the discussion. Technology is the use of the available materials and knowledge to adapt to the environment. This is done by using the materials and knowledge as instruments and processes that provide the humans with a superiority over the environment he lives in. Therefore, Technology can refer to nonfigurative structures present, which include language among others which is an effort to organize and put in systematics in the human reality and therefore become an instrument used to explore the environment through communication and therefore compete effectively. The aspect of completion indicates the presence of evolutionary framework, where all forms of life are in competition for

Thursday, August 22, 2019

Dissemination of Data Essay Example for Free

Dissemination of Data Essay Freemantle and Watt (1994) suggest dissemination is the mechanisms and strategies by which specific groups become aware of, obtain, and make use of information. This definition introduces the notion of targeting specific groups with information that may be relevant, but also highlights the necessity of such groups being able to make use of the information once received. A goal of the researcher according to Pellecchia (1999) should be â€Å"to disseminate the findings, thereby adding new knowledge to the field†. Researchers have an array of presentational styles and formats to choose from that best fit their research purposes (Sandelowski, 1998) but the key point is to choose the most appropriate method for displaying particular research findings (Saldana, 2003). In paying attention for the above research, the most popular way to reach desired target audiences is to give a paper or show a poster in lobby influential individuals through conferences, seminars or meetings, write press articles for publications that are read by policy-makers, send a targeted mailings containing relevant findings and recommendations in the form of a newsletter, letter or leaflet and by using visual and multimedia formats such as DVD’s can enhance the impact of research findings however, the costs associated with multimedia production can be higher than other methods of dissemination. Freemantle N, Watt I (1994) Dissemination: implementing the findings of research Health Libraries Review; 11: 2, 133-137. Pellecchia LG (1999) Dissemination of research findings: Conference presentations and journal publications. Topics in Geriatric Rehabilitation; 14: 3, 67-79. Sandelowski, Margarete (1998). Writing a good read: Strategies for re-presenting qualitative data. Research in Nursing and Health, 21(4), 375-382 Saldana, Johnny (2003). Dramatizing data: A primer. Qualitative Inquiry, 9(2), 218-236. Research Design -1500 Methodology refers to the philosophical framework, the fundamental assumptions and characteristics of a human science perspective van Manen (1997). It is the theory behind the method, including the study of the method one should follow and why. To answer the research question, this study was guided by the philosophy of hermeneutic phenomenology that sought to address the experiences of women regarding reconstructive surgery. According to Rossman and Rallis (1998), phenomenology pursues to develop an understanding of lived experience. The first-hand report or description of one’s experience of the phenomenon is central to the understanding of the phenomenon. The focus of a phenomenological study according to Patton (1990) lies in the descriptions of what people experience and how it is that they experience. The goal of phenomenological research is to describe and identify precisely the essence of a person’s lived experience in relation to what is being studied and not to develop a model or describe a grand theory (Oiler, 1982). Phenomenology, as a research method, is a rigorous, systematic investigation of phenomena which approach is descriptive, retrospective, in-depth analysis of a conscious lived experience, which is everyday experiences that are real and true to the individual. Every time a participant’s view is expressed, the researcher may see the interpretation as an answer to the question that is being asked (van Manen, 1997). Thus, the conversation has a hermeneutic orientation â€Å"to sense-making and interpreting of the optic that drives the conversation†(van Manen, 1997, p.98). The adoption of hermeneutic phenomenology was based on several factors. Since the objective of the study was to determine how satisfied women are with the reconstructed breast after surgery. Hermeneutic principles facilitated the interpretation and meaning of these women’s experiences and took into account the influences of social factors. It acknowledges that understanding is influenced by both internal and external factors, and is guided by language which leads to the creation of new meanings or understanding through dialogue (Vis, 2005). Hermeneutic phenomenology involves the process of interpretation and the interaction between the researcher and the participants, requiring the researcher to be reflective, insightful, sensitive to language and open to new experiences (van Manen, 1997). It afforded the opportunity to explore and gain better appreciation of the researcher‟s cultural heritage, which enriched the depth of interpretation and understanding of the phenomenon. Sample The study was conducted at the Spire Cardiff Hospital, which caters specialist cancer care within Wales. Nurses and psychosocial professionals identified the potential participants who met the eligibility criteria and provided the researcher with their telephone numbers. The researcher approached identified participants during clinic visits or contacted them by telephone to introduce herself and provide a detailed explanation of the study. Ten participants will be recruited since there is a limited number of women that have undergone breast reconstruction within the specified year. A number of eight to ten sample size was appropriate for a phenomenological study (Morse, 2000; Starks Trinidad Brown, 2007) and achieved the goal of obtaining a varied, rich and deep understanding, or essence, of their lived experience (Creswell, 1998). The specific criteria for selecting the participants include women who received any type of breast reconstructive surgery due to breast cancer, who are older than 18 years of age, can speak and write English, and had no history of major mental illness, and those who have received breast reconstructive surgery from last year (2011) up to this year (2012). Purposive sampling will be used in this study. Verbal consent was obtained from those willing to participate in the study. Thereafter, an interview was scheduled at a mutually suitable time at the hospital or the participant’s home at which time written consent was obtained following review of the consent form. The consent form was written in English and describes the study and its objectives, outlines the potential risks and benefits to participants, as well as the safeguards to maintain confidentiality of data. The consent form also advises participants they may withdraw from the study at any time without compromising their clinical care. Data Collection Data collection consisted of patient demographic profiles and audio-taped face-to-face interviews which were subsequently transcribed. A semi-structured interview guide was constructed to facilitate data collection; the questions were partially derived from existing psychosocial literature on the concept of self-identity (Mathieson Stam, 1995) and modified for the purpose of this study. These questions were constructed to seek meaning and significance of a phenomenon (van Manen, 1997). The interviews were digitally audio-taped and transcribed. Each interview lasted about 1 – 1  ½ hour. In hermeneutic phenomenology, an interview serves as a vehicle to explore, gather and develop a conversation with the participants to gain an understanding of the meaning of the lived survivorship experience (van Manen, 1997). According to van Manen (1997), the art of the researcher in a hermeneutic interview is to keep open the question of the meaning of the phenomenon and as well to keep the researcher and the participant oriented to the idea of being questioned. As Gadamer (1975) states, â€Å"The art of questioning is that of being able to go on asking questions, i.e. the art of thinking† (as cited in van Manen, p.330). In keeping with the hermeneutic inquiry, the interview began with a broad question which asked each participant to describe what it was like around the time of breast cancer diagnosis. Thereafter, the researcher sat back and listened, allowing the participants to tell their story and the process to evolve. Following the hermeneutic circle of questioning, the researcher went back and forth, deconstructing and reconstructing meanings, while paying particular attention to not only what was said, but also and more importantly, to what was not said to uncover the true essence of the experience (McConnell-Henry et al., 2009a). Additionally, the researcher introduced ideas and concepts expressed from one interview to the next to validate common or varied themes. Attention was directed to whole or overall meanings, and at the same time, the whole or overall meanings were examined by its parts (van Manen, 1997). Field notes and memos were recorded immediately following each interview, with notations on the location of the interview, the participant’s home environment, as well as participant’s body language, facial expressions and emotional responses, such as tone of voice and affective changes observed during the interview. The researcher’s impressions and feelings during the interview and preliminary thoughts on emerging themes and theoretical assumptions were recorded in a reflexive journal. Nvivo 2.0 qualitative software was used for coding of the data. Descriptive statistics (mean, median, SD) were calculated for all demographic variables. Data analysis was conducted based an inductive iterative approach. In qualitative research, a transcript is necessary to achieve the research goal of capturing participants‟ reconstruction of their lived experience in their own words (Sandelowski, 1994) and to complement the level of analysis involved (Drisko, 1997). Sandelowski (1994) believes that a transcript becomes the researcher‟s raw data by preserving the interview event and which could be utilized for member checking and expert peer review. If the focus of an analysis is to provide an in-depth description of the knowledge, attitudes, values, beliefs or experiences of an individual, or a group of individuals, then a lengthier and more extensive text is required for the transcript. The interest of researchers goes beyond identifying patterns and salient themes; they also seek to demonstrate variations in the way a phenomenon is framed, articulated and experienced, as well as the relationships within and between particular elements of such a phenomenon (MacLean, Meyer, Estable, 2004). As the aim of this hermeneutic phenomenological research was to gain a deeper understanding of women’s feeling after breast reconstruction, every effort was made to capture not only spoken words but also the emotional content of the interviews. Transcripts were transcribed verbatim and included mispronunciations, grammatical errors, vernacular expressions, intonations, slang, and emotional sounds; these were denoted in the transcripts as [crying softly], [laughing softly] or [sounds like nervous laughter] (MacLean et al., 2004). Attention to the expression of idioms is particularly important in phenomenology as they are born out of lived experience (van Manen, 1997). To improve understanding of the content and affect of the interviews, transcripts included contextual information such as silences or pauses in conversation and background noises, as well as inaudible segments, which were documented in the transcripts as [cannot hear] or [inaudible] (MacLean et al., 2004; McLellan, MacQueen, Neidig, 2003). Interviews conducted in English were transcribed verbatim by an English-speaking transcriber, The researcher clarified and verified the English transcripts against each interview and made changes as required. For accuracy and quality control purposes, spot-checks were conducted on all transcripts and translated transcripts (McLellan et al., 2003). Preparation for data analysis begins by orienting oneself to the phenomenon (van Manen, 1997). To accomplish this, the researcher emerged herself in the data by listening to each tape purposefully and reflectively, paying attention to each participant‟s human existence. While listening, the researcher mentally re-lived the interview process; Multi-layered readings allowed a wholistic feeling of the „big picture‟ and ensured no aspects of the phenomenon were omitted. The researcher individually coded all the transcripts. During the readings, significant phrases, sentences and statements were highlighted and coded, with particular attention paid to recurrent images, repeated words, metaphors or analogies, and contradictions and transitions in the narratives (Ryan Bernard, 2003); emerging themes were categorized according to the four structures of the lifeworld. Interpretation and meanings were proposed for each statement employing words as close as possible to those voiced by the participants. Common themes were integrated into the four existential structures that describe the phenomenon , thereby generating a clear structured cognitive framework of the emergent themes; a distinction was made between incidental themes versus essential themes(van Manen, 1997). Constant comparison of the text was undertaken to identify negative cases and compare thematic patterns and commonalities that characterized the phenomenon being studied, and to explain individual variations within each interview as well as all interviews as a whole (Thorne, Kirkham, OFlynne-Magee, 2004). Phenomenological investigation entails the art of sensitivity to the subtle undertones of language; this requires the researcher to be a true listener to attune to the deep tonalities of language that normally fall out of the range of accustomed hearing (van Manen, 1997). Data Analysis 5.3.1 Thematic Analysis This study employed thematic analysis to describe and interpret the internal meaning structures of lived experience or lifeworld. In qualitative research, thematic analysis is the most common approach for data interrogation (Creswell, 1998). According to Luborsky (1993), the significant benefit of utilizing thematic analysis is its direct representation of an individual‟s point of view and descriptions of experiences, beliefs and perceptions. In phenomenology, themes, or existential themes, are viewed as the structures of experience and often described and interpreted within the structures of the four existentials of lifeworld lived space (spatiality), lived time (temporality), lived body (corporeality), and lived relation (relationality) as the means to ground human experience (van Manen, 1997). In other words, recognizing how and where the data was to be categorized thematically not only helped to integrate the themes into a structured meaning, but also provided a clear structured cognitive framework for the researcher and the reader to understand the textual data (Vis, 2005). Unlike quantitative research which seeks causal determination, prediction and statistical generalization of findings, the aim of a naturalist, constructive and interpretative inquiry is to solicit rich illumination, understanding and extrapolation from the data generated (Hoepfl, 1997; Polkinghorne, 1989). The issues of validity and reliability are just as important in qualitative studies as in quantitative research to establish truth-value; in qualitative investigations, however, validity and reliability are achieved through the concepts of credibility, transferability, dependability and confirmability (Guba Lincoln, 1985). For hermeneutical research, the multiple stages of interpretation that allow patterns to emerge, the discussion of how interpretations arise from the data, and the interpretive process itself are critical ways to ensure rigor (Koch, 1995).Rigor was further enhanced by having two English transcripts randomly selected and reviewed by the thesis supervisor (CW) and a committee member (DH). They each read the transcripts to verify coding accuracy, reviewed the extracted statements as well as the formulated meanings and themes, and provided additional interpretation of the coded data as necessary. In this study, trustworthiness was addressed through reflexivity, prolonged engagement, interdisciplinary triangulation, negative case analysis, peer debriefing/support and audit trail (Padgett, 1998). Prior to detailed discussion of the techniques employed to establish trustworthiness, I pause to acknowledge the current debate and tension regarding the appropriateness of applying quantitative terminology to establish rigor in qualitative research (Golafshani, 2003) . While prolonged engagement, triangulation and negative case analysis are acceptable techniques to establish rigor in qualitative research (Guba Lincoln, 1985), there is, however, an acknowledged need for qualitative researchers to define the meanings of these techniques within the paradigm (Babour, 1998). Therefore, interpretation of the techniques applied in this hermeneutic phenomenological research is explained. Ethical Considerations Ethics approval was sought and obtained from the Research Ethics Board to conduct the thesis research at Spire Cardiff Hospital. Administrative ethics approval was also sought and obtained from the Office of Research Ethics in Wales for thesis research. Participants who met the inclusion criteria were contacted by the researcher to introduce the study, provide written details of the investigation and obtain their consent to participate in the study. The consent form in English described the study and its objectives, the potential risks and benefits to participants, and the safeguards to maintain confidentiality of data. The consent form also advised participants that they could withdraw from the study at any time without compromising their clinical care. The risk to the participants in this study was limited to possible psychological or emotional discomfort when sharing their experiences; in such cases, the interview would be suspended and participants offered the option of continuing or terminating the interview, as well as a referral to the Spire Cardiff Hospital Psychosocial Oncology and Palliative Care Program for professional support. Benefits of the study are its contribution to both the development of culturally sensitive psychosocial/supportive care interventions and the knowledge-building process regarding the women’s experiences after breast reconstruction. To protect the confidentiality of participants, an identifying number was assigned to digitally recorded interviews. All patient identifying information was deleted before they were forwarded to a secured e-mail account for transcription. To ensure security, digital audio recordings were stored in the researcher’s locked office and transcribed data password protected. Participants were assured that their decision to participate, or not would in no way affect their follow up or future treatment and care at the hospital. Participants were referred to another breast site social worker for psychosocial care as appropriate. van Manen, M. (1997). Researching lived experience: Human science for an action sensitive pedagogy (2nd ed.). London, Ontario: The Althousen Press. Oiler, C. (1982). Phenomenological approach in nursing research. Nursing Research, 5, 49-63. Vis, J.-A. L. (2005). Exploring the lived experience following trauma: A hermeneutic phenomenology study. Unpublished Dissertation, University of Calgary, Calgary, Alberta, Canada. Morse, J. (2000). Determining sample size. Qualitative Health Research, 10(1), 3-5. Starks, H., Trinidad Brown, S. (2007). Choose your method: A comparison of phenomenology, discourse analysis, and grounded theory. Qualitative Health Research, 17(10), 1327-1380. Creswell, J. W. (1998). Qualitative inquiry and research design. Thousand Oaks, CA: Sage Publications. Mathieson, C., Stam, H. J. (1995). Renegotiating identity: Cancer narratives. Sociology of Health Illness, 17(3), 283-306. McConnell-Henry, T., Chapman, Y., Francis, K. (2009a). Husserl and Heidegger: Exploring the disparity. International Journal of Nursing Practice, 15, 7-15. Sandelowski, M. (1994). Notes on Transcription. Research in Nursing Health, 17, 311-314. MacLean, L., Meyer, M., Estable, A. (2004). Improving Accuracy of Transcriptsin Qualitative Research. Qualitative Health Research, 14(1), 113-123. Drisko, J. W. (1997). Strengthening qualitative studies and reports: Standards to promote academic integrity. Journal of Social Work Education, 33(1), 185-197. McLellan, E., MacQueen, K., Neidig, J. L. (2003). Beyond the Qualitative Interview: Data Preparation and Transcription. Field Methods, 15(1), 63-84. Ryan, G. W., Bernard, H. R. (2003). Techniques to identify themes. Field Methods, 15(1), 85-109. Thorne, S., Kirkham, S. R., OFlynne-Magee, K. (2004). The analytic challenge in interpretive description. Retrieved November 12, 2008, from Http://www.ualberta.ca/~iiqm/backissues/3_1/pdf/thorneetal/pdf Luborsky, M. R. (1993). The identification and analysis of themes and patterns. In J. Gubrium A. Sankar (Eds.), Qualitative Methods in Aging Research (pp. 189-210). Thousand Oaks, CA: Sage. Hoepfl, M. (1997). Choosing qualitative research: A primer fpr technology edcuation researchers. Retrieved April 2, 2008, from http://scholar.lib.vt.edu/ejournals/JTE/jte-v9n1/JTEv9n1.pdf#page=49 Polkinghorne, D. E. (1989). Phenomenological research methods. In R. S. Valle S. Halling (Eds.), Existential Phenomenological perspectives in psychology (pp. 41-60). NY: New York: Plenum Press. Guba, E., Lincoln, Y. S. (1985). Naturalisitc Inquiry. Newbury Park, CA: Sage Publications, Inc. Koch, T. (1995). Interpretative approaches in nursing research: The influence of Husserl and Heidegger. Journal of Advanced Nursing, 21, 827-836. Golafshani, N. (2003). Understanding reliability and validity in qualitative research. The Qualitative Report, 8(4), 597-607. Padgett, D. (1998). Qualitative methods in social work research. Thousand Oaks, CA: Sage Publications, Inc. Babour, R. S. (1998). Mixing qualitative methods: Quality assurance or qualitative quagmire? Qualitative Health Research, 8(3), 352-361. Levine, E. G., Eckhardt, J., Targ, E. (2005). Change in post-traumatic stress symptoms following psychosocial treatment for breast cancer. Psycho-Oncology, 14, 618-635. Smith, M. Y., Redd, W. H., Peyser, C., Vogl, D. (1999). Post-traumatic stress disorder in cancer: A review. Psycho-Oncology, 8, 521-537. Kornblith, A. B., Herndon, J. E., Weiss, R. B., Zhang, C., Zuckerman, E. L., Rosenberg, S., et al. (2003). Long-term adjustment of survivors of early-stage breast carcinoma, 20 years after adjuvant chemotherapy. Cancer, 98(4), 679-689.

Wednesday, August 21, 2019

Ib Theatre Ri Noh Costume Essay Example for Free

Ib Theatre Ri Noh Costume Essay Noh is known as the classical lyrics drama of Japan. Noh is a combination of serveral dance and drama forms that came before it. (Noh and Kyogen) It embraces the peoples love for the religious and cultral traditions that involve the mix of Japanese Dengaku and Sarugaku (which is a mix between a style of dance and mime). (Noh and Kyogen) Noh is fundamentally a symbolic theatre that focuses on the representation and appreciation of ritual traditions and the appreciation of culture. A tradtitional romantic play in Noh theater is Hanjo (Lady Han). The story of Hanjo is about a yujo named Hanago that works in an inn. A man named Yoshida no Shosho came into the inn for the night on his journey east. Hanago and Yoshida no Shosho fell in love and exchanged fans before he leaves for his journey. After Shosho is gone Hanago becomes nicknamed Hanjo becuase of her deranged and obsessive love for Shosho with the only memories of him being his fan. In this love story, the fans are a representation of the giving of their hearts to one another (connecting to the plot of which this story was derived from); in which the only memory that the women has of her lost lover is the fan. Throughout the play Hanjo constantly has Shoshos fan in her posession and the more she waves the fan in the play, the more deranged she becomes thoughout the play. (Keene) One of the main aspects of Noh theater is the use of masks and to a Noh actor, the mask gives the actor behind the mask the responsibilty to be the living embodiment of the qualities he is called upon to represent. Toki) The masks in No theater that are commonly usedare the masks that were created between the fourteenth century and the seventeenth century and are prefered to be used in a performance rather than modern mask for the modern mask lacking in origionality compared to the classic. (Toki) In Noh theater, generally the Shite (main actor/ protagonist) actor is the only actor masked in the play, but in certain instances the Shitez-zure (assistant of the Shite) will also wear a mask but only when representing a female character. Toki) Even though the Shite is the only actor to be wearing a mask, the Shite will not wear a mask when representing a character in a earthly or a realistic piece of work and theatrical make-up is rerely and often not used during Noh performances. (Toki) The most common masks that are used are masks that represent female characters. The female mask are used to represent women of all ages and symbolize at times the beauty of the women or the ghost/ spirits of dead women. Toki) Different masks are used to represent the three main type of women, which are catagorized by age. (Toki) Young women are represented by ko-omote, magojiro, and waka-onna; the middle-Aged women are represented by Shakumi, Fukai, and Zoh; and finally the Old women are represented by uba and rojo. (Toki) Yet on occasion the Hannya mask is used in order to represent the vengeful women and conveys negative expressions and attitude. (Toki) When it comes to the costume design for Noh performances there are four different catagorities that the costumes can be organized into: costumes that are worn as undergarments, those worn over the under garments, costumes resembling skirts, and costumes that divide the actors upper section and the lower section of the body. (Toki) A Shite costume with five layers and outer garment of brocade creates an imposing figure on stage that can be even more imposing when a red or white wig is added. (Toki) A very typical gown style worn by women is the Karaori, which is woven with threads of gold, silver and other colors. Toki) Like most costumes in Noh theater, the use of color is major in determining the characters in the play. (Toki) Using red in the color scheme of any of the costume is best fit for a young character. (Toki) The most common costume for woman characters is the kinagashi (worn flowing), as well as the most common way of wearing kimono. (Toki) The outer robe over the under robe hanging from the shoulds to the ground and tied at the waist. (Toki) Another costume in Noh theater is the nuihaku (embroidery, foil) that can be used for both male and female characters. Komparu) A short-sleeved robed with a gold-foil or a silver- foil woven into the costume and embroidery, taking on the style of the satin-weave base. (Komparu) This costume is worn in the style of the koshimaki and includes the aslpects of being draped down from the waist, also resembling the nugi-sage. (Komparu) The nugi-sage (removed and draped) is a costume that will often symbolize a women that is mad. The right sleeve of the outer robe is removed and draped down the back, representing the decaying mind state of the women that is becoming mentally unfit. Komparu) Karaori (Chinese Weave), even though being influenced by the woven style of Chinese clothing is a good representation of Japanese Noh costumes. (Komparu) The robes can be manipulated in order to classify the different characters. It could either include the traditional color red in order to represent the young women characters or can be used without red in order to symbolise the middle-aged and older characters. In order to create the representation of a womens skin, resort to the surihaku (foil applique). Komparu) Using the same style of the short-sleeved nuihaku with the gold-foil or silver-foil being woven into the costume with red indicates that the character is a woman. (Komparu) Another critical representation of women characters are the styles of katsura (wigs) supported by the katsura obi (wig bands). (Komparu) The narrow bands are long strands that are tied around the outside of the wig and are left hanging down the actors back. (Komparu) The bands still include the aspects of the gold-foil or silver-foil with the choice of red or not. The koshi obi (hip bands) can be used for both male and female characters. (Komparu) This resembles the mizu-goromo or is used with nuihaku in the style of koshimaki (draped from the waist). (Komparu) This costume is wrapped around the hips over a three quarter length. The tradtional styles of wigs that are used to indicate women character are the katsura, which is generally tied back or can be lengenthed to be the naga-katsura- (long wig) by attaching the long hair to a small square cloth and tied onto the actors head then rearranged for the performances. Other styles include the kasshiki-katsura (the religious wig), the midare-bin (untidy or disordered wig), and the uba-katsura (old womans wig). (Komparu) For the costume design for Hanjo there are certain aspects from each of the traditional costumes that could come together to create a beautiful costume along with conveying ,the character, Hanjo going mad without her lover, Shosho. The most fitting costume style would be the mugi-sage (removed and draped), which is generally known for symbolizing the concept of a mad woman with the disordanized and rugged look of the right sleeve of the outer robe slipped of and left to hang down the back of the character. The colors of the robe would include the same aspects of the nuihaku and the surihaku with the silver-foil woven into the fabric and the traditional red to indicate that the character is a young woman. The headress of Hanjo would include the idare-bin (disheveled tresses) style of wig in order to help convey the slow affect of Hanjo becoming mad without her lover; and the traditional katsura obi (wig band) with a red trim will support the headress itself and the concept of a female character. For props, Hanjo will hold bamboo grass in her hand which symbolizes a mad women. Along with the bamboo grass, Hanjo will hold a fan that will be a representation of Shoshos fan that she recieved and will be used to be waved more rapidly to symbolize Hanjos madness.

Tuesday, August 20, 2019

Development of Controlled Drug Delivery for Animals

Development of Controlled Drug Delivery for Animals INDUDTRIAL CHALLENGES : The production of, controlled release drug delivery technologies are same, both in, humans and animals, but, the reasons for developing them are not same. In humans and animals, the controlled drug delivery permits safe, effective and easy handling for the user. In humans, to develop a drug into long acting one, the reasons to be considered are, less dose frequency, more patient compliance and to improve the well being of the patient. However, in animals to develop a drug into long acting one, the reasons to be considered are, minimum animal handling, low cost of treatment and small time for the administration of the drug. In human field, main focus is on the health of the patient, but, in animal arena, main focus is on the low cost of treatment, easy administration by the farmer and minimum animal handling. In veterinary industry, these reasons challenge the production of controlled drug delivery technologies. (1). The challenges in a veterinary drug industry, for the development of controlled drug delivery for animals are small commercial market, low profits and money spent on the research is less. The price of the finished product depends on the selection and price of the excipients, polymers, methods used for manufacturing and marketing team responsibilities (1). The major challenge is cost of the finished product and it depends on the method of design, type of excipient and polymer used and how many excipients used during the formulation (1). Marketing team responsibilities is another challenge. Poor marketing is responsible for decreased efforts to develop a new product (1). Another challenge is farmed animals. There are, large number of physiological differences between the species and within the species. One example for physiological difference is body weights, Beef cattle weighs 266-641kg, dairy cows weighs 600-700 kg and sheep weighs 54-66 kg. Animals, throughout their life cycle shows different weights. Due to these differences, dosage forms should be developed with different strengths and volumes. Due to this challenge scientist faces a problem, whether dosage is to be developed per animal or weight of the animal. If the dosing per animal is considered, the challenges are measures of drug safety. If the dosing is as per the body weight, the challenge is design is design of a flexible delivery technology that covers wide range of animals and the animals that are growing. An example is, CIDRÂ ® intra vaginal inserts for sheep, pigs and cattle. The intra vaginal inserts for sheep and cattle are having same shape, but, different in size. These inserts for pigs are different in shape compared to sheep and cattle. Basically, same technology is used for the preparation of these three inserts. (1). Another challenge is, drug or residues exist in the food. To overcome this challenge wide absorption, distribution, metabolism and excretion (ADME) studies are conducted and also characterization techniques are developed. These studies, depends on the cost of the final product. In veterinary industry, new polymers and excipients for controlled release are rarely used. (1). Another challenge in the veterinary industry, is administration of dose. In animal field, the dose should be administered manually, for this suitable applicators are to be designed. The designed applicators should facilitate easy use by the end user (1). The challenges faced by the veterinary industry are many. The developed products must have safety, stability and efficacy. These profiles are built into each product and additional challenges are also to be addressed i.e. the presence of residual drug at the site of administration. Safety profiles are applicable to both animals and users. For efficacy profiles different breeds, different seasons and different geographical locations are considered. Chemical stability of drugs is major challenge. Farms lack areas for the storage of pharmaceuticals. Physical stability of the drug is another challenge. Farmers show less interest towards efficacy profile, how to use, method of administration, residual drug in the tissue etc. scientists should improve the features like method of administration, acceptable safety and efficacy profiles and during the storage drug should not be altered. (1). Another challenge is influence of delivery technique on the environment. The new delivery technology should not show any impact on the ecosystems. (1). Major challenge in the near future is reduction of carbon compounds for the development of drug delivery technologies, because, carbon dioxide and methane are considered as green house gases. In the future, specialized controlled release dosage forms will be developed (1). Another challenge is market. Identification of need is one and another is identified need that can bring profits that are spent on research. For the well being of animal health, several products are used, they are, feed additives, pharmaceuticals, vaccines and nutraceuticals. The challenges associated with these products are different physicochemical properties and different formulation approaches. In the last decade, less money is spent on the research. In UK, 1986, 70% of veterinary products are introduced into the market for live stock, but, 45% of sales were reported in 2008. However, companion sector had grown to 52% in UK, due to increased use of vaccines and novel medicines. The companion animal industry is employing formulation scientists, those are having experience in human product development rather than formulation scientists, who is a farmed animal specialist (1). Regulatory needs is the future challenge. Manufacturing GMP requirements are same for the final products, both in, animal and human arenas. (1). In recent times, the curious challenge is seen in farms of certain species like swine and chickens. If these farms do not buy the new products developed by the pharmaceutical companies, they are showing less interest for the investment. This type of challenge is seen in USA (1). INDUSTRIAL OPPURTUNITIES :- Now a days, several opportunities are there for veterinary pharmaceutical industry. Compared to market of the human pharmaceuticals, veterinary pharmaceutical products is shorter. By taking this advantage, employing an experience team, quickly complete the development activities. Due to the short time for the market, income comes quicker, more profits can be achieved before patent expires (1). Availability of animals for research, rather than humans is another opportunity. In food producing animals, ADME studies are conducted at early stages, which help in the formulation development. This kind of opportunity favours the experimentation on target species (1). Human drugs are first tested on animals ( dogs ), this creates an opportunity for veterinary industry. Due to this, pharmacological data of a particular drug is available. In companion animal market, this data is useful in reformulation of human serotonin selective reuptake inhibitors and monoamine oxidase-B for anxiety and cognitive disorders for dogs (1). The clinical trials, that are done on animals also provides data of environmental assessment, for the development of formulation. This data helps in understanding of degradation process of the drug due to temperature, pH and light (1). At present, veterinary market lacks new APIs, however, some reports are showing that new compounds are reaching the market. The existing drugs life can be increased by developing controlled release drug delivery technologies (1). Reference (1) Rathbone M, Brayden D. Controlled release drug delivery in farmed animals: commercial challenges and academic opportunities. Current drug delivery 2009;6 (4):383-390.

Mothers in William Shakespeares The Tempest Essay -- William shakespe

Mothers in William Shakespeare's The Tempest Although Miranda’s mother and Sycorax never actually appear in The Tempest, their memories occupy a precarious position in Prospero’s will to power. Prospero invokes the memory of Miranda’s mother to legitimize his lineage, yet feels threatened by the control she exerts over it. His narration deftly erases his wife’s presence from Miranda’s memory, rendering him the sole purveyor of his daughter’s imagination. Prospero employs a discourse which affirms maternal authority through the denial of female sexuality. He negates the legitimacy of Sycorax’s matriarchy by constructing Sycorax as not only an evil witch, but also an unchaste mother. Such a discourse opposes Caliban’s claim to the island while justifying Prospero’s usurpation of power. Although Miranda recalls having four or five female attendants, she has no memory of a mother. Indeed, Prospero alludes to his wife only once during his recount of the events which forced him from Milan to the island: Prospero: Twelve years since, Miranda, twelve years since, Thy father was the Duke of Milan, and, A prince of power – Miranda: Sir, are not you my father? Prospero: The mother was a piece of virtue, and She said thou wast my daughter; and thy father Was Duke of Milan, and his only heir and princess no worse issued. (1:2:52-58) Miranda’s unwitting question provokes a strange response from Prospero. He admits to relying on his wife’s word that Miranda is his daughter. In doing so, he reveals his alienation from Miranda’s birth and the possibility of illegitimacy. Miranda’s mother’s power to bear children exerts a threatening cont... ...ief invocation of Miranda’s mother asserts the purity of his lineage, yet also divides Prospero’s parental authority. In suppressing his wife’s presence, Prospero emerges as Miranda’s sole guardian, fashioning his daughter into his most prized possession. Prospero constructs Sycorax as an unchaste witch (foiling his construction of his own wife) in order to enslave Caliban and prevent him from polluting Miranda’s body. Although Prospero overpowers Caliban with magic that is unrivalled in Sycorax’s absence, he cannot silence Caliban’s claim to the island via a matriarchal lineage. His rhetoric literally bastardizes Sycorax’s dynasty, but is not convincing enough to remove the shadow of doubt cast by Caliban’s matriarchal discourse. Sycorax’s memory emerges as point of contention, compelling readers to question Prospero’s narrative, and thus his claim to power.

Monday, August 19, 2019

America’s Foreign Policy and the Cold War Essay -- American History Go

America’s Foreign Policy and the Cold War The role of America at the end of World War II was where the origins of policing the world originate. America had been engaged in a very costly war in terms of dollars as well as lives. But, despite the expense the United States came out of World War II better than any other nation that was involved. The Second World War was a battle between the Allied and Axis Powers. The Allied Powers consisted of the United States, Great Britain, the Soviet Union, China, and France. This war was seen as the fight against Nazi Germany, and therefore resulted in a majority of the battles fought on German and Russian soil. The aftermath left the Soviet Union in bad shape. Close to twenty million Russians had died fighting the war, which accounted for about eight percent of their population. Conversely, none of the fighting was done on American soil, and while the United States suffered in terms of casualties it was nothing compared to the loss Russia had endured. Because the war would not end until t he Axis Powers fully surrendered to the Allied Powers, the United States was forced to use the first atomic warfare in history. The atom bomb would later serve as America's greatest possession. Stalin, the Premier of the Soviet Union had always distrusted the American and English intentions. Because of Stalin's aggression and attitude pertaining to Soviet influence on Europe, the postwar stance on Russia had turned into a standoff. This became the origin of the Cold War. The Cold War, seen as a battle between communism and capitalism, was "in reality a more complex struggle over a broad range of ideological, economic, and strategic issues." Over the next several years the United States would spend more money on military and defense than ever before. Several measures were taken to ensure that the same mistakes at the end of World War I would not be repeated. The first in a series of measures was a postwar conference involving President Truman and the Soviet Foreign Minister, V.M. Molokov, where Truman controlled the entire meeting and basically scolded the Soviet's for not honoring agreements on Poland. Truman "told the Russians just where the got off and generally bossed th e whole meeting." This symbolized America's strong-arm stance against communism and signified the position we would hold throughout the Cold War. The next ... ...rying to get across. Because he saw the country from the inside Kennan also believed the United Sates should " pursue a policy of firm containment†¦at every point where the Soviets show signs of encroaching upon the interest of a peaceful and stable world." This opinion and idea of the relationship between the United States and Russia should have been widely accepted by Americans. They backed this idea of aggressive behavior, rather than a passive approach to the Cold War. Conversely, postwar liberal such as Henry Wallace, "a Progressive Party leader, continued to seek cooperation with the Soviet Union and defended the participation of Communists in their organizations." These ideals were quickly silenced. The American majority, being extremely anti-communist, felt relations with the Soviet Union should be harsh and firm. This period introduced American dominance in foreign policy. The ideals of personal freedom and opportunity were the driving forces behind Western philos ophy throughout the Cold War. Not only were these principles showcased, they were set as the benchmark of equality for the human race. Bibliography: COMPTONS ENCYCLOPEDIA COLD WAR;1989 JAMES CORNWELL

Sunday, August 18, 2019

Wet Seal :: essays research papers fc

Wet Seal started as a bikini shack in Newport Beach, CA in 1962. By the mid 1980’s they were known for offering trendy clothes to the most fashionable customers in Orange County. Wet Seal sold the right merchandise at the right time, and by 1995 they had enough capitol to buy 237 Contempo Casual stores from the Neiman Marcus Group.   Ã‚  Ã‚  Ã‚  Ã‚  When Wet Seal went public in 1996 they realized they needed a marketplace for 20-35 year old females with a more contemporary look. With that thought, then CEO, Kathy Bronstein, created Arden B. The venue was named after her daughter. Also in 2001, Wet Seal Inc., felt the need for a venue just for the â€Å"tween market,† girls five to 12 years old. They bought out 18 Zutopia store units from Gymboree, Inc. The store also expanded in 2001 by buying a majority of the Contempo Casual stores, and later merged web sites with Contempo Casuals that created one of the largest junior driven sites in the country.   Ã‚  Ã‚  Ã‚  Ã‚  As like every retail organization, Wet Seal Inc., has seen the best and worst during their years in business. With the 9/11 tragedy and other natural disasters, the nation’s economy had seen better days. Wet Seal Inc. stuck it out with Kathy Bronstein behind the wheel, and in late 2001 sales increased into the double digits, and stock was up 61% for the year. A vendor partner stated, â€Å" She’s one of the greatest merchants I know in the industry...she lives, eats, and breathes this junior business.†   Ã‚  Ã‚  Ã‚  Ã‚  After two years of plummeting sales, and comments that they’ve â€Å"lost touch with the thrifty, fashion obsessed teens,† Wet Seal Inc. hired a new chief executive, Peter Whitford.   Ã‚  Ã‚  Ã‚  Ã‚  Peter Whitford was the former president of Walt Disney’s Disney Store operations. He also brought a talented team with him that included fashion designer, Victor Alfaro, and a teen-marketing expert, Anne Kallin Zehren. To get good output for their new line, Zehren came up with an idea to hire 11 stylizers to speak freely about Wet Seal fashions. â€Å"We’re having fashionable teens help us out,† Zehren states, and also adding that she hoped to recruit 50 stylizers by the end of the year. The stylizers are supposed to appear in ads, and add more appeal to the new clothing line.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Marketing experts agreed with the idea of hiring every day girls as fashion muses, but they also stated that Wet Seal has to be really committed to this new idea.

Saturday, August 17, 2019

My Reasons for Majoring in Business Essay

Why I majored in business? For numerous reasons, I majored in business, some common and others personal. All of my reason shared a goal and that is to graduate with a degree in order to enhance the quality of my life with a successful and fulfilling career. My common reasons for deciding to major in business will most likely be similar to many other students. Those reasons are that the business major had a perceived lower degree of difficulty to complete then that of other majors. The major also offered many different minors that I could pursue, thus giving me a variety of choices. Being that it is the largest major at most universities it offered the most classes at various times, which made making a schedule semester to semester that would fit into a busy life with work easy for me. Finally, the business major offered the best potential for securing a job upon graduation because of the broad scale of jobs out in the “real” world. On a more personal level, I chose the business major because I love business. I love the concept of capitalism, competition, making money from ideas, hard work, other peoples money, leading others in a common goal and achieving that goal, gaining success by incorporating all of these concepts. I have always wanted to be important, to be a boss, to be an owner of a company which I love going to everyday and to do this a degree in business was exactly what I needed. The business major was a logical first step towards this and so I chose to study business here at the University of Massachusetts in Lowell. It wasn’t till coming here that I chose to minor in marketing and finance in order to create a well rounded foundation and with graduation coming in May I don’t regret it.

Friday, August 16, 2019

The British-German naval rivalry as a contributing factor to the start of World War One

Introduction One the main arguments that have been presented in order to understand the reasons for the beginning of World War One revolves around the growth of military capabilities in the European continent in the period leading up to the start of the conflagration. Among the immediate causes cited for the beginning of hostilities was the naval rivalry that unfolded between the United Kingdom and Germany, particularly in the 1960-1914 period (Churchill, 1923: 119). Upon the establishment of the German Kingdom in 1871, Britain was in possession of the biggest naval forces in the world (Kelly, 2011: 20). In order to entrench the position of Germany in the European political order, Emperor Wilhelm II launched a strategy that was centred around extending the projection of power of the German High Seas Fleet (Clark, 2012: 116). This policy was seconded by the German Imperial Naval Office which, under the stewardship of Admiral Alfred Von Tirpitz, became an influential force in expanding the countryà ¢â‚¬â„¢s naval fleet to 2/3 of the size of the Royal Navy (Von Tirpitz, 1920: 134). This essay argues that the British-German naval rivalry contributed the advent of the First World War due to the fact that it compelled London to enter the conflagration in order to maintain the balance of power in the European political order and to preserve its commercial interests in the wider world. These became seriously threatened by the expansion of German naval capabilities. The first part of the essay outlines the historical and geopolitical circumstances involved in the British-German naval rivalry. Particular attention is given to the way in which the United Kingdom reacted to the decision of the German Empire to extend its sea power to the wider world as well as the geopolitical implications involved in the decision to resist the expansion of Germany’s naval capabilities. The second part of the essay examines the way in which those considerations were brought to bear in the decision to enter World War One.The British-German naval rivalry during the period leading u p to the First World WarThe plan for the expansion of German naval capabilities responded to the geopolitical situation that was taking place in Southern Africa in the context of the Boer War (Weir, 1992: 81). When British forces invaded Transvaal at the end of the nineteenth century, plans were put in place in order to place a blockade on Germany, catering for the possibility that the imperial forces may try to intervene in the conflict (Kelly, 2002: 1048). This move would have potentially resulted in severe dislocations to the German economy, which depended on foreign raw materials and markets for its continued expansion (Kelly, 2011: 29). The extension of German naval capabilities was therefore geared towards securing the conditions for the country’s long term economic growth (Grey, 1925: 17). From a technical standpoint, the launch of HMS Dreadnought in 1906 exacerbated the intensity of the German-British naval race. The Dreadnought became the first battleship that opera ted a synchronised main battery (Churchill, 1923: 188; Weir, 1992: 39). In addition, it also possessed the highest speed of any other vessel commissioned for military service due to the fact that it ran on steam engines (Wilson, 1985: 55; Lambert, 2002: 22). It is worth mentioning that the naval hegemony possessed by the United Kingdom became a more costly exercise with the rise of Germany and other revisionist states in the late nineteenth century (Neilson, 1995: 99; Kelly, 2011: 46). This state of affairs had prompted the United Kingdom to adopt the ‘Two-Power standard’, which provided that the British naval forces had to be at least as powerful as the next two strongest navies (France and Russia) (Clark, 2012: 122; Steinberg, 1985: 59). In the period leading up to the advent of the First World War there was a great deal of popular support in both countries for a continuation of the policy of naval expansion. It is worth mentioning that in spite of the race for expanded naval capabilities, British sea power had been severely curtailed by the eve of the First World War. (Von Tirpitz, 1920: 136) There are a number of observations that can be made in order to explain this occurrence (Kelly, 2002: 1055). To begin with, Britain was under severe financial constraints due its ever decreasing share of word trade and political unrest at home, marked by the demands for social justice exerted by the trade union movement and the Labour Party (Weir, 1992: 33; Kelly, 2011: 190). In addition, the expansion of the American Navy as well as the efforts of the German Naval Office to extend the country’s sea power contributed to the diminished capacity of the Royal Navy to project its capabilities in the wider world. In spite of these developments, it is safe to argue that the United Kingdom had the greatest naval power upon entering World War One (Grey, 1925: 23). Furthermore, the country ensured the continuation of its relative superiority in the sea by entering into an alliance with Russia and France, geared towards counterbalancing the emerging central bloc constituted by Germany, Austria-Hungary and Italy (Wilson, 1985: 59). The Entente Cordiale, signed between Britain and France in 1904, came about as a result of the willingness of the German Empire to enlarge their commercial reach to the wider world, particularly in Africa where both nations had substantial colonial interests (Von Tirpitz, 1920: 130; Clark, 2012: 124). The establishment and preservation of a German colonial system was to be carried out through the expansion of the nation’s naval capabilities (Lambert, 2002: 25). The British Foreign Office was aware of the grand geopolitical designs of the German Empire. Some of its most prominent members distinguished a distinct revisionist stance on the part of Germany, which they likened to the hegemonic drive of France’s Napoleon a century earlier (Grey, 1925: 44). The preservation of naval superiority and the establishment of political alliances with like-minded nations were conducive to abandoning the policy of neutrality in European affairs and to engage in an act of balancing agai nst Germany (Clark, 2012: 144). The threat of a German revisionist drive was outlined by Eyre Crowe, an official at the Western Department of the British Foreign office, in his famous memorandum of 1907. Crowe emphasised the need to maintain naval supremacy in order to preserve the freedom of the seas and international commerce, ‘In proportion as England champions the principle of the largest measure of general freedom of commerce, she undoubtedly strengthens her hold on the interested friendship of other nations, at least to the extent of making them feel less apprehensive of naval supremacy in the hands of a free trade England than they would in the face of a predominant protectionist Power’ (Crowe, 1907). The British diplomatic establishment was aware of the dangers of a revisionist Germany for world peace. At the same time, there was an expressed preoccupation with the possibility that the extension of German naval resources may result in a diminution of British sea power (McDermott in Kennedy (ed.), 1979: 81). This is what transpires from a statement made to the House of Commons in 1911 by Sir Edward Grey, British Foreign Secretary, ‘Germany is rightly proud of her strength. She is building a big fleet. Surely it is natural and obvious that the growth of that fleet must raise apprehensions, or at least make other nations very sensitive to apprehensions, lest the Power which is becoming strong should have aggressive designs towards themselves. I do not believe in these aggressive designs. I do not wish to have it interpreted in that sense, but I think it must be realised that other nations will be apprehensive and sensitive, and on the lookout for any indications of aggression. All we or the other neighbours of Germany desire is to live with her on equal terms’ (Grey, 1911). The geopolitical implications of the rise of Germany were tied to the establishment of a naval network capable of sustaining the growing commercial influence of the nation in the wider world. However, it should be mentioned that in 1912 the German Chancellor, Theobald von Bethmann Hollweg, approached the British authorities in order to put an end to the naval race between the two countries (Kennedy, 1983: 120). The Chancellor’s approach might have been motivated by the need to overcome the increasing isolation of Germany in the European political order. The British authorities responded by sending Richard Haldane, the Secretary of State for War, to negotiate the terms of the detente with Imperial Germany (Grey, 1925: 33). However, this mission failed due to the German proposal to accept the naval dominance of the United Kingdom in return for London’s neutral stance in the case of a general conflagration and the assurance that the Berlin would not be branded as the aggre ssor (McDermott in Kennedy (ed.), 1979: 86). The visit of Lord Haldane to Berlin revealed some of the geopolitical concerns regarding the revisionist stance adopted by Germany (Kennedy, 1980: 60). Winston Churchill, who had been a member of the Liberal Cabinet, argued that whilst for Germany the maintenance of naval capabilities was a ‘luxury’, for Britain it a was a ‘necessity’ (Churchill, 1923: 144). Here we see an attempt by a prominent British politician to downplay the importance of the construction of naval resources on the part of Germany (Kennedy, 1980: 67). This was done in order to reinforce the notion that British naval superiority was a feature of the European and international political order that was not to be challenged (Kelly, 2011: 173). As we will see in the next section, the geopolitical considerations pertaining to the possibility of German supremacy in the continent constituted a significant factor in the British decision to enter into the First World War (Epkenhans, 2008: 122). The impact of the British-German naval rivalry in London’s decision to enter into the First World War In regards to the outbreak of hostilities, it should be argued that the arms race that took place between the United Kingdom and the Germany drove both nations to enter into the war (McDermott in Kennedy (ed.), 1979: 99). Additionally, the inimical interests of the Russian and Austro-Hungarian Empires in the Balkans made their participation in the war inevitable. France embarked upon the pursuit of war as a consequence of the invasion by the German forces and its alliance commitments to Russia (Kennedy, 1989: 91). It could be posited that one of the most salient aspects of World War One is constituted by the British participation in the war in order to balance the revisionist drive of the German Empire. From this perspective, the British entry into the war may be regarded as an attempt to maintain an equilibrium of forces in the European political order. This balance of power was tilting towards Germany in a decisive manner, since the country adopted the decision to build up its nava l resources that severely threatened British supremacy at sea (Clark, 2012: 132). There is an established consensus on a segment of the scholarship that is centred on the idea that the United Kingdom had become increasingly wary about the intention of the German imperial government to increase its naval capabilities (Massie, 1991: 20). The Reichsflotte Doctrine, propounded by Admiral Tirpitz, revolved around the notion that Germany was impelled to prop up its naval resources in order to be able to inflict damage to the Royal Navy in case of a war (Kelly, 2002: 1037). However, it should be mentioned that in 1912 the German Chancellor, Theobald von Bethmann Hollweg, approached the British authorities in order to put an end to the naval race between the two countries (Kennedy, 1983: 120). The Chancellor’s approach might have been motivated by the need to overcome the increasing isolation of Germany in the European political order. The British authorities responded by sending Richard Haldane, the Secretary of State for War, to negotiate the terms of the detente with Imperial Germany (Grey, 1925: 33). This would force the United Kingdom to enter into an alliance with Germany. However, it may be stated that the position of the United Kingdom was one of the defiance, preferring the option of entering into the First World War in order to prevent the possibility that Germany may achieve geopolitical supremacy in the European continent and a broader projection of power into the wider world (Epkenhans, 2008: 101). During the decade that preceded the advent of World War One, the United Kingdom made considerable preparations in order to cater for the eventuality of hostilities against Germany (Kennedy, 1980: 109). In addition to the signing of diplomatic treaties with France and Russia, the United Kingdom also entered into an alliance with Japan, in order to devote their attention to the emerging geopolitical scenario in the European theatre (Modelski and Thompson, 1988: 19). The acceleration of the naval race that took place during the 1908-12 period left an indelible impression on the mindset of British foreign policy makers (Clark, 2012: 141). The shift from a naval to an army doctrine by Germany in 1812 did not assuage tensions between the two countries, as it became another instrument to exert potential domination over the British allies: France and Russia (Massie, 1991: 50). Some alternative explanations to Britain’s entry into World War One gyrate around the idea that London did no t just seek to contain the naval prowess of Germany but to attain a situation in which the other competitors would see their sea power diminished (Kennedy, 1989: 133). For example, the Russian Empire, which had experienced significant economic growth in the last two decades before the war, could have potentially threatened British interests in India (Kennedy, 1980: 11). The British Raj could not have been defended by its tiny armed forces in case of an overland Russian invasion. This prompted London to seek an alliance with Russia, which was duly effectuated in 1907 (Steinberg, 1973: 201; Kennedy, 1983: 50). From this perspective, confecting a German naval threat would be conducive to reassuring France and Russia that only the Royal Navy could provide an equilibrium of forces in the seas (Massie, 1991: 56). Therefore, the British-German rivalry also has to be assessed in the context of British diminution of power due to the rise of revisionist powers such as Japan and Germany (Kelly, 2002: 1036). In addition, the rise of the United States as the largest economy in the world also played into the geopolitical considerations of British foreign policy makers on the eve of World War One (Modelski and Thompson, 1988: 21).The antagonism regarding the naval race between the United Kingdom and Germany has to be appraised in the context of the actual erosion of British power (McDermott in Kennedy (ed.), 1979: 93). Consequently, British policy revolved around the principle of avoiding the rise of a naval competitor that could threaten its imperial possessions, rather than a revisionist power that could attain supremacy in the continent (Epkenhans, 2008: 55). It could be stated that the strategy that led to British entry into World War One was centred around the maintenance of naval supremacy through the introduction of ships that would be able to rise to the challenge of an attack against any of Britain’s imperial possessions (Kennedy, 1989: 139). It was known at the time that Germany did not pose an immediate threat to British Empire. However, the United Kingdom was compelled to enter into World War One in order to prevent a situation in which a victorious Germany would be in a position to reconfigure the geopolitical map through the accumulation of naval forces with France and Russia (Steinberg, 1973: 199; Neilson, 1995: 55). G erman supremacy in the European continent would have eventually resulted in naval dominance by an entente between Germany and the vanquished powers (Kennedy, 1983: 88). The British-German naval rivalry was a significant factor in Britain’s entry into World War One due to the potential ramifications of a German victory in the continent, rather than as a response to its potential supremacy over the European continent (Kelly, 2002: 1034). Conclusion By way of conclusion, it should be noted that the naval rivalry between the United Kingdom and Germany exerted a significant amount of influence in the decision to enter into the First World War. Prompted by Berlin’s accumulation of naval resources, the United Kingdom attempted to preserve its relative superiority in the sea by forging an alliance with Russia and France (Clark, 2012: 155; Steinberg, 1985: 59). This was geared towards counterpoising the looming threat constituted by the associative framework between Germany, Austria-Hungary and Italy. The Entente Cordiale originated from the need to counterbalance the German Empire’s to commercial and military reach into the wider world, especially in regions where both France and the United Kingdom had substantial colonial interests (Churchill, 1923: 213). The British political establishment was well aware of the geopolitical constructs of the German Empire, which was compared to the hegemonic drive instigated by Napoleon in the early part of the nineteenth century (Steinberg, 1973: 196; Kennedy, 1989: 129). It may be argued that the motivations that led to British entry into the First World War were centred around the need to preserve naval supremacy through the retrofitting of the Royal Navy’s capabilities in order to fend off the challenge of an attack against any of Britain’s imperial possessions (Epkenhans, 2008: 81). For all the reasons to be cited above, it could be concluded that the United Kingdom entered into the First World War in order to avoid a situation in which German supremacy in the European continent would result in an eventual naval alliance between Germany and its former enemies (Neilson, 1995: 61). Consequently, the British-German naval rivalry was an important factor in London’s decision to enter into World War One, as the potential geopolitical implications of a German victory would have involved an eventual threat to British possessions overseas. These were to be defended at all costs. Even at the expense of entering into a war that diminished the standing of the United Kingdom in world affairs and which did not manage to sort out the position of Germany in the European political spectrum. Bibliography Churchill, W. (1923) The World Crisis, 1911-1914, T London : Thornton Butterworth Limited Clark, C. (2012) The Sleepwalkers: How Europe Went to War in 1914, London : Vintage Crowe memorandum, British Foreign Office, 1/1/1907 – germanhistorydocs.ghi-dc.org/pdf/eng/603_Percept Germ For Policy_107.pdf – Accessed on 15/5/2014 Epkenhans, M. (2008) Tirpitz: Architect of the German High Seas Fleet, Lincoln, NE : Potomac Books, Grey, E. (1925) Twenty-Five Years, 1892-1916, London: Hodder & Stoughton Kelly, P., Strategy, Tactics, and Turf Wars: Tirpitz and the Oberkommando der Marine, 1892-1895, Journal of Military History, Volume 66, Issue 4, (2002), pp. 1033–1060 Kelly, P. (2011) Tirpitz and the Imperial German Navy, I Bloomington, IN: ndiana University Press Kennedy, P. (1989) The Rise and Fall of the Great Powers, London: Vintage Kennedy, P. (1983) The Rise and Fall of British Naval Mastery, London: Macmillan Education Ltd. Kennedy, P. (1980) The Rise of the Anglo-German Antagonism: 1860-1914, Amherst, NY : Prometheus Books Lambert, N. (2002) Sir John Fisher’s Naval Revolution, Columbia, SC: University of South Carolina Press McDermott, J. (1979) The Revolution in British Military Thinking from the Boer War to the Moroccan Crisis in Kennedy, P. (ed.) War Plans of the Great Powers, 1880-1914, London : George Allen and Unwin Massie, R. (1991) Dreadnought: Britain, Germany, and the Coming of the Great War, New York, NY : Ballantine Books Modelski, G. and Thompson, W. (1988) Seapower in Global Politics, 1494-199, London : MacMillan Press Ltd., Neilson, K. (1995) Britain and the Last Tsar: British Policy and Russia 1894-1917, Oxford : Clarendon Press Steinberg, J. (1985) Yesterday’s Deterrent: Tirpitz and the Birth of the German Battle Fleet, London : Viking, Steinberg, J., The Tirpitz Plan, Historical Journal, Volume 16, Issue 1, 1973, pp. 196–204 Von Tirpitz, A. (1920) My Memoirs, London: Hurst & Blackett, Ltd. Weir, G. (1992) Building the Kaiser’s Navy: The Imperial Navy Offi ce and German Industry in the Von Tirpitz Era, 1890-1919, Annapolis, MD: Naval Institute Press, Wilson, K. (1985) The Policy of the Entente: Essays on the Determinants of British Foreign Policy, Cambridge Cambridge University Press,