Tuesday, December 31, 2019

An Analysis Of Howard Nemerov s The Vacuum - 892 Words

A Husbands Loss ‘The Vacuum’ is a poem that was written by Howard Nemerov. The poem uses the theme of symbolism to convey the relationship between a vacuum cleaner and a widower. The poem can be seen as a symbolic description of the experience he is going through after the demise of his beloved wife. The sentence structure and the type of figurative language requires one to evaluate and analyze the poem effectively to understand the meaning. The line in the poem â€Å"The vacuum cleaner sulks in the corner closet, its bag limp as a stopped lung† (Mays 580) is indicative of the symbolism that his wife was the housekeeper and when her lungs stopped, the vacuum cleaner also stopped, because she was the one that used the vacuum. Nemrov’s poetry shows a consistent emphasis on thought and his poems relate a broad spectrum of emotions and a variety of concerns (Web 1). In ‘The Vacuum’, Howard brings out the emotions of an elderly man after he lost his wife, which ushered him in a life of loneliness and sorrow. The writer used the ‘Vacuum’ pun to distinguish between the obvious homemaking profession of his wife and despair of the obvious grieving by her husband. Nemerov did not use the vacuum cleaner symbol as a primary personification since it could have limited the manner in which he outlined the emotions of the gentleman in the poem. However, the use of the vacuum symbolism was perfect in an elucidating emptiness that was caused by the death of the wife. The author uses the vacuum

Monday, December 23, 2019

Discuss the Impact the Stephen Lawrence Inquiry Has Had on...

Discuss the impact the Stephen Lawrence inquiry has had on the Criminal Justice System? This essay will screen through the changes made in major areas of Criminal Justice System after the Stephen Lawrence Inquiry Report published and attempts to address changes that have already implemented, the supposed and actual outcomes, and effectiveness of these changes in tackling institutional racism mainly based on qualitative academic debates. The murder of Stephen Lawrence, a black British teenager, in a racist attack in 1993, resulted in a detailed inquiry published in 1999 outlining the existence of institutional racism and as many as 70 recommended changes in policies regarding how police should communicate with ethnic minority†¦show more content†¦Apart from periodically publishing stop and search records, supervisors and managers of police force are now required to closely monitor such statistics and take timely actions if something wrong is being observed. Also stricter rule s on stop and search have since been imposed, along with the requirement of police officers writing a detailed report on spot about every single incident which subjects to review seems helpful in improving police conduct (Fyfe 1979; Skogan and Frydl 2004 in Miller 2010). While stop and search practice has been somehow improved, racial discrimination can still be seen in stop and search statistics. The notion of â€Å"Black and minority ethnic groups, particularly black people, have for many years been disproportionately at the receiving end of police stop and search—a fact associated with profound community resentment towards the police† (Bowling and Phillips 2002 in Miller 2010) still largely applies today. Miller’s (2010) analysis indicate that black people are about 6 times more likely to be stopped and searched, while it is about 2 times more likely for Asians. Similar idea is seen in Bennetto’s (2009) report, which draws on police statistics that sho ws in 2009 â€Å"black people are seven times more likely to be stopped and searched than white†, worse than Miller’s analysis with the most recent figures in 2008. No official explaination is provided by Police, but Bennetto (2009) assumes this may be caused by simply discrimination ofShow MoreRelatedHate Crime And The United Kingdom3275 Words   |  14 PagesWhilst hate crime has been represented in the media and legislation for many years, particularly in the US, definitions of the term have been transient and changing. The Home Office issued a report in 2013 which demonstrated to both the public and law enforcement officials the most recent formal definition of ‘hate crime’ in the United Kingdom: â€Å"any criminal offence which is perceived, by the victim or any other person, to be motivated by a hostility or prejudice towards someone based on a personalRead MoreThe For The Home Office3173 Words   |  13 Pagesdefinition of racially motivated vict imisation is â€Å"any incident, including any crime, which is perceived by the victim or any other person to be motivated by a hostility or prejudice, based on a person’s race or perceived race†. The definition of race has been widely contested by different academics such as Omi and Winant (1986) who developed the Racial Formation theory, a theory that claimed that race is something that is fluid, where the racial order is organized and enforced by the continuity andRead MoreEssay on The Rich Get Richer and the Poor Get Prison12486 Words   |  50 PagesUniversity or the same criminal behavior, the poor are more likely to be arrested; if arrested, they are more likely to be charged; if charged, more likely to be convicted; if convicted, more likely to be sentenced to prison; and if sentenced, more likely to be given longer prison terms than members of the middle and upper classes.1 In other words, the image of the criminal population one sees in our nation’s jails and prisons is distorted by the shape of the criminal justice system itself. 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To obtain permission(s) to use material from this work, please submit a written request to Pearson Education, Inc., Permissions DepartmentRead MoreFundamentals of Hrm263904 Words   |  1056 Pagescom/support Your WileyPLUS Account Manager Training and implementation support www.wileyplus.com/accountmanager MAKE IT YOURS! Fundamentals of Human Resource Management Tenth Edition David A. DeCenzo Coastal Carolina University Conway, SC Stephen P. Robbins San Diego State University San Diego, CA Tenth Edition Contributor Susan L. Verhulst Des Moines Area Community College Ankeny, IA John Wiley Sons, Inc. Associate Publisher Executive Editor Senior Editoral Assistant MarketingRead MoreManagement Course: Mba−10 General Management215330 Words   |  862 Pagesrights reserved. Printed in the United States of America. Except as permitted under the United States Copyright Act of 1976, no part of this publication may be reproduced or distributed in any form or by any means, or stored in a database or retrieval system, without prior written permission of the publisher. This McGraw−Hill Primis text may include materials submitted to McGraw−Hill for publication by the instructor of this course. The instructor is solely responsible for the editorial content of such

Sunday, December 15, 2019

How can Wal-Mart Keep Low Prices Free Essays

When Sam Walton opened his first store, the Five and Dime, he had no idea that he would become a success. He started his first store with one vision – to keep prices as low as possible. He knew that by keeping the prices low, his profit would not be as large as his competitor’s but he also knew that he could compensate this by the volume of sales. We will write a custom essay sample on How can Wal-Mart Keep Low Prices or any similar topic only for you Order Now Soon he was opening new stores in other states and its sales reached millions of dollars. At present, Wal-mart is the biggest corporation surpassing its competitors (Jim Hightower) It has over more than a hundred retail stores all over the world making the Waltons some of the richest people in the world. S. Robson Walton is ranked by London’s â€Å"Rich List 2001† as the wealthiest human on the planet having more than $65 billion surpassing Bill Gates. (Jim Hightower) Its present status was however not attained overnight. There were several strategies adopted by Wal-Mart which made it the world’s largest retailer. The first is the use of technology. Wal-Mart was the first to use the Universal Bar Code system. As the largest retailer, Wal-Mart was able to force manufacturers of products to adopt a common labeling called the bar code. The bar code contains details about the product which tells the retailers information such as how many of the said products have been sold and how many are still remaining. This system helped improve the way inventories are done in stores. With the bar code system, retail store owners no loner need to hire employees to conduct the inventory and the inventory system is now more accurate. Another business strategy adopted by Wal-Mart to keep prices low is its adoption of the corporate culture of frugality. The Waltons were very careful about spending their money and they lived a very simple lifestyle. They also demanded frugality from their employees. Frugality is so imbedded in its culture that even the company’s headquarters is located in Arkansas which is very old and looks dull. The executives of the company do not ride in fancy limousines and nor do they reside in expensive hotels. Instead, the executives shared budget-hotel rooms with their colleagues. (Caroline Wilbert) The corporate culture of frugality was manifested in the way the wages of their employees are being paid. It is said that the company pays an average wage of $9. 68 an hour which is definitely not enough for the employees to maintain a decent standard of living. (Gregory Heires) There have been complaints that the said company even compels its employees and managers to work overtime without paying them additional compensation for overtime work. The employees do not have adequate health care insurance and other benefits. Health care insurances are essential especially for employees who are earning barely enough for their daily living. Even if these employees get sick they will get some help from health care providers for their medicine and hospitalization expenses. Research, however, shows that â€Å"Wal-Mart’s health insurance covers 44% or approximately 572,000 of its 1. 3 million U. S. workers. [In comparison, Wal-Mart rival Brown Cole Stores insures approximately 96% of its 2,000 eligible workers. Further, Wal-Mart spends an average of $3,500 per employee for health care, 27% less than the retail-industry average of $4,800. †(â€Å"Wal-Mart†) Wal-Mart adopted an aggressive policy against labor unions. The role of unions in workplaces is very important. They ensure that the employees are given the wages and benefits which the law gives them. It is said that in North America, Wal-Mart has thwarted efforts to create union through aggressive anti-union tactics such as managerial surveillance and pre-emptive closures of stores or departments who choose to unionize. (â€Å"Wal-Mart†) Initially, Wal-Mart advertised the â€Å"Buy American† campaign. However, in order to maintain its low prices, Wal-Mart had to look for other suppliers which offered products for a lesser price than the suppliers in the United States. Eventually Wal-Mart began looking at other countries for the cheapest source of production. In 1995, Wal-Mart said that 6 percent of its total merchandise was imported. A decade later, experts estimated that Wal-Mart imported about 60 percent of its merchandise. (Caroline Wilbert) Today, Wal-Mart is considered the largest importer of Chinese-made products in the world, buying $10 billion worth of merchandise from several thousand Chinese factories. (Jim Hightower) There is, however, a price for the success of this management policy of Wal-Mart. For the company to maintain low prices for its buyers and customers, it has to reduce its expenses in the barest minimum – including wages, benefits, working conditions, supplies and products. As a result, Wal-Mart has been criticized worldwide for its business policies by other business organization, religious organization. Among the issues raised against it are: a) low wages it pays to its employees, cases of union busting, lack of health care and employee benefits, use of foreign labor, discrimination against women, It bears stressing that the current management policy of Wal-Mart is devastating for the millions of its employees worldwide. Though it may have generated employment, it has also created unemployment insofar as the employees of their competitors are concerned. For its existing employees, their working condition is far from being ideal. The purpose of this research project is to prove that it is possible for Wal-Mart to improve the wages and benefits it gives to its employees and at the same time maintain the prices of their products low. The philosophy is clear and definite – Wal-Mart can maintain the low prices of its products without hurting its employees. The persons who will be interested in this research project are not only the employees who will be benefited by the increase in their wages and benefits but also the consumers who desire to ensure that the prices of products in Wal-Mart remain the same. II. I believe that it is possible for Wal-Mart to improve the wages and benefits it gives to its thousands of employees and at the same time maintain the prices of their products low. As proof, I aim to use studies made by economists and researchers. One potential secondary source that will prove the said point is the studies conducted by the Economic Policy Institute which is cited in the article of Emily Kaiser entitled â€Å"US: Wal-Mart Could Hike Pay and Keep Prices Low: Study. † Researchers have also concluded that if only Wal-Mart would reduce its profit margin to about 2. 9%, where it stood in 1997, from the 3. 6% margin it recorded last year that would free up about $2. 3 billion to pay workers without raising prices. † (Emily Kaiser) The primary research tool that could be used for this research is the examination into the Income Statement of the Wal-Mart Inc. These are public documents which could be looked into by any citizen. By examining the company’s Income Statement, we will be able to find out just how much money the company is earning in a year. If a small portion of these earnings will only be equitably distributed, then the employees will experience an improvement in their living condition. Another primary research tool are Internet sources which shows the extent of the complaints, criticisms and suits against Wal-Mart. By looking into the information from these sources, one can conclude that the wealth and success of Wal-Mart was made at the expense of its employees. How to cite How can Wal-Mart Keep Low Prices, Papers

Saturday, December 7, 2019

Independence Auditing Assurance Services †MyAssignmenthelp.com

Question: Discuss about the Independence Auditing Assurance Services. Answer: Introduction: Chris acting in the capacity of LTHs CEO which is an existing client to the given audit company, expresses that board of the company is satisfied with the services provided by the audit company and intends to renew the audit contract subject to one favor which is that Geoff would need to give a speech at the upcoming seminar in a bid to enhance the overall investor interest in the company. Further, Chris also mentions that this is a little in deviation with the policies and conduct of the member firm but the same was insisted b the board to be a necessary condition for the obtaining of audit contract. The threat relevant to the conversation is highlighted in s. 200-6 and known as advocacy threat. As per this threat, the involvement of the audit partner in a promotional event would at large dilute the perceived independence especially in the modern day where instances of collusion between auditors and management have become sizable. While actual independence may not be impacted but with severe erosion of perceived independence, this threat poses a significant challenge to the auditor independence and hence adequate safeguards must be present to avoid Geoff from entertaining such a request (APES, 2010). With a view to continue a smooth relation between the client firm and audit team, Chris extends that LTH, the client intends to provide a voucher for a 14 day trip ti Greek Isles which would be completely sponsored by the client. Additionally, families can also be taken and this is for Geoff and myself. The threat relevant to the conversation is highlighted in s. 200-6 and known as familiarity threat. One of the key circumstances which lead to the onset of the above threat is when the members tend to accepts gifts of material value from the client firm. The threat to independence is significant as outsiders will question so as without reason why the client firm would incur such an expense. Further, even in terms of actual audit independence, failure in accepting this gift is pivotal for ensuring objectivity and considering the material nature of threat, requisite firm and client level safeguards are advisable (APES, 2010). In the new audit team being framed for LTH, one of the new additions is Michael who has been selected by Geoff. When Michael learns about this inclusion, he is obviously very elated and believes that his addition to the team would be quite useful as his father was employed in the capacity of financial controller at LTH. The threat relevant to the conversation is highlighted in s. 200-6 and known as familiarity threat. One of the conditions highlighted in this section relates to family member of one of the audit team members present in a position of significance at the end of the client firm. In this situation, if Michael is continued on the team, it is fair to foresee that conflict of interest would arise considering if any material fault with the financial statements is detected, it may jeopardize the career growth of Michaels father which would restrain him from either noticing any errors or reporting the same to his team. This would in turn lead to a higher audit risk and is counterproductive to the end objective of the audit process and requires to be addressed considering that this is material (CPA, 2013). In the new audit team being framed for LTH, one of the new additions is Annette who has been selected by Geoff. When Annette learns about this inclusion, she is obviously very elated and believes that the audit process would be over quickly considering her involvement in offering taxation and accounting services to LTH till recently (one month back). The threat relevant to the conversation is highlighted in s. 200-5 and known as self-review threat (APES, 2010). It is apparent that considering the nature of services extended to LTH, it is highly likely that during the audit process some of the records, ledgers and financial statements that would need to be scrutinized would have been prepared or checked by Annette during her tenure as employee with LTH. It is unlikely that the same would be critically analyzed in a detailed way using requisite technique as there is a tacit conclusion on her part even before the audit process has started that the books of the company are in order and hence the audit process would get over quickly. Approaching the audit process with such judgments adversely impacts the minimization of audit risk and hence adequate safeguards should be put in place to avoid inclusion of former employees in the audit team of the same company (CPA, 2013). Having identified the applicable threats based on the relevant facts of the conversation, the objective is to erect various barriers to resolve the threat using appropriate safeguards outlined below. A firm level safeguard is appropriate here. Such a safeguard should be based on having a model code of conduct and also the internal policy both of which need to endorse the conduct expected from members as per APES 110 guidelines. Thus, a clause would exist which would deter the audit partner along with any other member to indulge in any such activity which the firm believes would compromise either in terms of perceived or actual independence (Arens et. al., 2012). The appropriate safeguard for managing the auditor independence threat identified above would have to be implemented both at the level of audit firm and also on behalf of the client. As identified above, the model code of conduct and internal policy should derive sanctity from APES and thereby would comply with the practices identified therein. Hence, it would permit acceptance of any material gift from the client with indifference to the underlying intent on clients part. Further, the client firm considering the importance that shareholders and other stakeholders give to the auditor independence, the client must have a policy in place with regards to dealing with external auditors and which must clearly denounce the practices of extending any form of gift unless it has a token value only (Gay and Simnett, 2012). The appropriate safeguard has to be enacted at the level of audit firm. This would involve that all members of the audit firm need to offer a disclosure at the time of assuming employment with the firm. This disclosure should mention the employment details of all immediate members of the family. Additionally, annual disclosures afterwards would need to be submitted in case of any changes in employment status with regards to the employer or the position occupied. In order to further, plug any loopholes, undertaking has to be sought from each member of the audit team in relation to that no family member (close or distant) is occupying any position of significance in the client firm (Leung, Coram and Cooper, 2012). The appropriate safeguard has to be enacted at the level of audit firm. This would involve that all members of the audit firm need to offer a disclosure at the time of assuming employment with the firm. This disclosure should mention their employment details in the past which should include temporary or contractual employment as well. In order to further, plug any loopholes, undertaking has to be sought from each member of the audit team in relation to that they have not had any employment relation with the client firm ever in the past (Caanz, 2016). MSL is a supplier of various equipments and other services to the mining companies. The applicable business risks are discussed below. Demand estimation of spare parts may be inaccurate The company needs to fairly estimate the demand of spare parts as understocking and overstocking both would have negative impact on the overall profitability of the firm. If the firm is overstocked with spare parts, then there would be extra cost of inventory especially for carrying and maintaining the incremental inventory. Further, the suppliers are paid and essentially the money is blocked lying idle caught up in inventory resulting in opportunity costs (Caanz, 2016). On the other hand, if there is less stock of spare parts, then there would be incremental servicing costs coupled with inconvenience to the customers. This is because in accordance to the provided details, the mechanics in order to provide service have to sometimes go to remote locations to service the equipment which might be used at the mining site. It is pivotal that the mechanic must have all the common spare parts required so that there is no delay in providing services or extra logistics cost to ship the spare part to the site of the consumer. Also, the lead time in the process could be potentially high considering that these are imported from global manufacturers (Gay and Simnett, 2012). Incidence of spare parts fraud and related theft Fraud on account of spare parts is highly plausible in the business model of the company. Consider a situation whereby a mechanic goes to a remote location to service a client where the equipment is covered under warranty. The client also has another equipment of the same type which needs a spare part. The client and mechanic work out an understanding whereby the mechanic reports that the equipment under warranty required a replacement of spare part for which no charges were taken while in actuality the spare part is provided at a discounted rate to the client. Additionally, from the storage area, some thefts could also happen considering the value of these spare parts which then could be diverted to the existing clients for gains. Thus, this tends to adversely impact the business profitability especially when insurance cover is lacking in this regard (Arens et. al., 2012). The business risks outlined in section a impact s the audit risk and the associated accounts in the following manner. The components of audit risk related to incorrect estimation of spare part requirement would be detection risk and inherent risk. It is noteworthy that in the context of the spare parts essentially the contribution would be made to two separate accounts namely revenues and expense depending on the underlying situation (Arens et. al., 2013). For instance, any spare part replaced which is covered under warranty would be expense for the company while any spare part replacement for which payment is derived from the client would be categorized as revenues. Thus, distinguishing between the two needs to be done which can be complex especially because even under warranty certain spare parts may not be covered. Hence, an inherent risk exists with regards to recording these properly. Additionally, the auditor may also face a challenging job to figure out the exact schema of identification of spare part which potentially enhances detection risk. The two accounts obviously impacted through these audit risks would be the expense account and revenue account (Caanz, 2016). The possibility of fraud and thefts in relation to spare parts would tend to escalate the inherent risk and control risk. Inherent risk escalation tend to exist since the business practices are such that it provides potential for fraud as has been explained using the example of a client based in remote location. Control risk also exists since it seems that the company lacks the requisite measures to control the above risk which tends to aggravate the overall audit risk (Gay Simnett, 2012). Two accounts that could be materially misstated are the expense account and also the inventory account. Expense account is impacted because in cases of fraud, the mechanic would register the spare part as an expense when ideally it should have been contributed to the profit of the firm. Further, the inventory account misstatement could result on account of theft which go unreported and also there could be potential obsolescence and incremental maintenance cost which might not be reflected appropriately thus causing material misstatement (Leung, Coram and Cooper, 2012). References APES (2010), APES 110 Code of Ethics for Professional Accountants, APESB Website, [Online] Available at https://www.apesb.org.au/uploads/standards/apesb_standards/standard1.pdf [Accessed April 28, 2017] Arens, A., Best, P., Shailer, G. Fiedler,I. (2013). Auditing, Assurance Services and Ethics in Australia, 2nd ed, Sydney: Pearson Australia Caanz, S. (2016), Auditing And Assurance Handbook 2016 Australia, 3rd ed., Sydney: John Wiley Sons CPA (2013), Independence Guide, CPA Website, [Online] Available at https://www.cpaaustralia.com.au/~/media/corporate/allfiles/document/professional-resources/auditing-assurance/independence-guide.pdf?la=en [Accessed April 28, 2017] Gay, G. Simnett, R. (2012), Auditing and Assurance Services in Australia, 5th ed., Sydney: McGraw-Hill Education Leung, P., Coram, P. Cooper, B.J. (2012), Modern Auditing and Assurance Services, 4th ed, New York: John Wiley and Sons

Friday, November 29, 2019

Angelas Ashes Manhood essays

Angela's Ashes Manhood essays In the memoir, Angelas Ashes by Frank McCourt, there are many different ways that he learns how to be a man. Many people in his life influenced him how to be a man, emotionally, spiritually and physically. Some of the ways that they influenced him was good, and others werent so good but it helped shape him into the man he is today. With his loving mom and dad, his Catholic religion, and his friends, he stepped into manhood with dignity and grace. When Frank was growing up, he saw his parents struggle with poverty. Malachy was an alcoholic and Frank saw him drinking away all their survival money. He watched with his innocent eyes of a child when his mom was begged for food, money, and clothing because they were so poor. His mother always wanted him to succeed and put him first before herself because she loved him so much. An example is when he gets the door slammed in his face by the church and she tells him you are never to let anybody slam the door in your face again, do you hear me?(McCourt, pg 290) Angela wanted her son to have the best of the best even though it was more then she could give him so she let him go to America. It must have hurt her greatly watching her eldest son leave her but she knew it was for the best because he would have had a better future there then if he had stayed in Ireland. The Catholic Church influenced Frank because his parents were both very religious and being a Catholic, he had very strict rules to follow or hell end up in hell. When he did something bad, he had to go to Confession and he didnt really like going. It prevented him from doing a lot of sinful actions that he would have done if he didnt know that he would burn in hell whenever he did something bad. Im worn out from being the worst sinner in Limerick. I want to get rid of this sin and have rashers and eggs and no guilt, no torment . . . The priests tell us all the time that Go...

Monday, November 25, 2019

French Absolutism essays

French Absolutism essays In 17th century France, each ruler had very different tactics for gaining and maintaining power. Regardless to the extent of power, each ruler used some absolutist methods in his reign. Although his predecessors are responsible for their own forms of absolutism through politics and war, economics, and religion, Louis XIV was most responsible for the development of the French absolutist state. For many rulers, the situation in which they start already has problems. In 1589, Henry IV inherited the crown and with that, civil wars. The state of France was very weak at the time: terrible harvests and near starvation, great depopulation, and poor commercial activity. At the time of his crowning, nobles, officials, merchants and peasants wanted peace, order, and stability. Henry provided this as a unique ruler who actually cared about his people, which proved important to absolutism because of the trust the people had in their ruler. Henry appointed the devout Protestant Maximilien de Bethune, duke of Sully, as his chief minister. With the effective actions of Sully, public order in France was restored in only twelve years. Besides a small successful war with Savoy in 1601, Henry maintained peace. After the death of Henry IV in 1610, the queen-regent Marie de' Medici headed the government for the child-king Louis XIII and appointed Cardinal Richelieu to the council of m inisters. Richelieu, who became first minister of the crown in 1628, sought the total subordination of all groups and institutions to the French monarchy. This policy was a major factor in absolutism because it gave total power with no opposition to the monarchy. Richelieu prevented the greatest competitor, the nobility, from gaining too much power by reshuffling the royal council. He also leveled castles, which were symbols of feudal independence, and stopped aristocratic conspiracies with executions. In 1634, Richelieu broke France into thirty-two gn...

Friday, November 22, 2019

Introduce word flying fish from Pacific Northwest and Alaska Essay

Introduce word flying fish from Pacific Northwest and Alaska - Essay Example The Gulf of Alaska has continuously grown warmer and this could be as a result of some unusual species of fish within this region. The changes in water temperature have resulted in a reduction in the growth of phytoplankton, which is a main source of nutrients for fish. Both predator and prey are forced to travel long distances in search for food. The vagaries of global weather result in some species falling victims, while others prosper under the changing environmental conditions (Mecklenburg, Mecklenburg, and Thorsteinson 537). Sites of fish jumping from water on the itineraries through these places are relatively common. While some of the fish are on transit to different locations looking for food, others commonly leap out of the water in order to feed on terrestrial insects flying above. Whether a leap or a jump by the fish, they always appear to be flying when one sees them during a cruise. The reasons behind this observation might be unknown, but the element of flying fish remains a reality in the North West pacific and

Wednesday, November 20, 2019

Business in Context LOLO Essay Example | Topics and Well Written Essays - 2000 words

Business in Context LOLO - Essay Example In the future also, this media is expected to play a vital role in its operation. The present business tactic adopted by them is the business to business model. E-business in Qatar Airways has improved gradually and has enhanced their marketing strategies, the marketing mix and also the investment opportunities. The suppliers’ power can also be further improved using the E-business. Besides, it will also help them to evolve better strategies to counter the threat from competitors as well as new entrants in the field. Oracle is the business suite adopted by Qatar Airways to improve its business. During the early years, business operations in Qatar Airways were done manually and there was no role for internet in its business. They have considered E-business as a very risky venture that was difficult and thus avoided its use in business. However, in the recent years they have changed their policy and adopted E-business strategies. Oracle business suite is the platform Qatar Airways adopted as a part of its expansion programme. Supplier power: Presently the supplier power is enhanced in Qatar Airways by the use of internet. In the future Internet will also make it possible for them to produces new and alternative suppliers using search engine technology. â€Å"The internet is also producing new and alternative suppliers of search engine technology.† (Doganis 2001, p.177). Threat of new entrants: Using the internet applications in its business Qatar Airways can through the web itself understand the business of its competitors and analyze which of the market players are likely to pos a threat to their operations. They have been doing this research in detecting their competitors. This internet application is of high utility both in the present and the future days to Qatar Airways. New entrants can be identified through the advertising. Internet has enhanced the advertising capabilities of Qatar Airways and,

Monday, November 18, 2019

Mass Media Assignment Example | Topics and Well Written Essays - 1500 words

Mass Media - Assignment Example (Marx, 1971). Conflict perspective of social change works as a social institution because both classes do struggle, lead class struggle to maintain their power and lowest classes struggle for gaining the income and power but the result is a clash. The outcome of the clash between opposing classes is not a compromise. On the contrary it is a birth of new conflict, one new born of struggle. In this manner, both societies and individuals change. On the contrary functionalist theory is basically based on homeostatic system, that is, assemblage of interrelated elements of society to make an equilibrium state like norms, customs, and traditions. Industries, educational departments, government, family are also the basic elements of society which are interrelated or interdependent. Like government provide education for the children and parents of the children give taxes in return (Wallerstein, 1974). It is the role of the society to fulfill six basic needs that are member replacement, member socialization, production of goods and services, preservation of internal order, provision and maintenance of sense of purpose and protection from external attacks. These needs are in a state of equilibrium with one another and when one changes than other one accommodates. Functionalist perspective also works as social institution because they interlinked the needs of the society. Like the family depends upon the school for the mental growth of their children so that in the future they will get good jobs (cliffsnotes.com, 2012). Interactionism perspective also work as a social institution because through which individual knows how to interact with their teachers, friends, elders and young ones. Through which individual... This essay makes a conclusion that the sociological theories have drastically changed the views of the society like through conflict perspective people knows they have to struggle and work hard for the society as well as for himself. Views of people towards society have become positively changed. Like the small child knows the meaning of competition, he knows he have to compete with other students for getting good marks. Mass media have greater impact on the views of the people like every banker knows he has to open more accounts as compared to other banker. Conflict perspective arises the competition spirit and struggle spirit that is so good for every society. This report approves that have discussed the impacts of the sociological theories that are the impacts of conflict theory is the enhancement of competition between two groups, like in two classes, between students, between two political groups. In this manner whole society has become socially changed. Functionalist perspective also has very positive impacts like through this perspective people could know that every segment of the society is necessary for each other for creating the balance in the society; in this manner society has become positively changed. Like without the religion the kid could be grown socially stable. He should have some religion as well as he also has his proper family for his mental growth. Interactionism perspective also has positive impacts on the society like after this theory people now know interaction is the compulsory element for enhancement of society.

Saturday, November 16, 2019

The Power of Film as Propaganda

The Power of Film as Propaganda The power of film as propaganda reality or myth? Throughout history various persons and administrations in power have attempted to win the hearts and supports of their constituents, often through reframing or reinterpreting historical events in a light favourable to them. This was certainly the case in the Russian Revolution of1917. The Bolsheviks and Lenin, their leader, sought to use film to recast events of the revolution in such a way as to rally and unify the Russian peasantry. Filmmaker Sergei Eisenstein was one of those recruited for the task, and while many government-sponsored films of the time have disappeared into the massive pile of poor quality filmmaking, two of his works in particular, Battleship Potemkin and October, were powerful in framing the Russian Revolution in the eyes of the world and his own people. These works demonstrate the power of film, even those recognised as containing elements of propaganda. Hostility and outbreaks had been building prior to the1917 Revolution, with general dissatisfaction for the Tsarist regime. One such event, a naval uprising in Odessa, was chosen by Eisenstein to show the liberation needed by the working class under the csars, which he considered had been subsequently provided by the Bolsheviks. Historically, the event was a mutiny of the seamen against the officers, and had been a major event in the earlier Revolution of 1905. Commissioned by the Soviet Central Committee to create a film commemorating the twentieth anniversary of the 1905 Revolution, Eisenstein originally planned a sweeping series of eight films, forming a panoramic view of 1905 events. However, when confronted with the communist definition of a workable budget, he quickly reduced the number to one. The film included significant license with the actual historical events of the incident, as Eisenstein and his government backers both made changes to portray the situation in a way supportive of the then-current Bolshevik regime. For example, whilst in reality the sailors were captured and incarcerated, Eisenstein ends the movie with the sailors in a rallying cry of class solidarity, rather than being herded off to prison. Eisenstein also used a variety of cinematic devices to reinforce his theme, regardless of historical accuracy. He staged the slaughter of civilians by the Cossacks on a series of steps in Odessa, undercutting close-ups of guns and faces with scenes of fleeing civilians and attacking soldiers to depict the slaughter of the populace by the czars troops. Overseas the film was a rousing success. European and American viewers and critics alike were impressed with the realism of the film and its filmmaking firsts. Eisenstein was the first to use editing to juxtapose apparently unrelated images, to create rapid and dynamic shifts in rhythm, and to compress and expand physical action rather than function simply as a storytelling device. The newsreel-like style of the film was another innovation praised by foreign critics. Americas National Board of Review reported at the time the faithful reproduction of this historical event by adhering as much as possible to a literal transcription and reproduction of officially documented facts Nothing approaching the reality of these scenes has ever occurred in cinematicsbefore. Interestingly, most American audiences regarded Potemkin as a celebration of freedom and liberation, rather than a support of a particular political agenda(Browne 182). Initial critics, with the exception of Gerstein who briefly mentions the propagandistic nature of the final scene, also viewed the film as historically accurate. Given only the partial and fragmentary information about the Soviet Union, the American agencies of interpretation the journalists and the critics sought to sketch a picture of something very new and unknown and used the figure of Eisenstein and the realism of his film to do so. However, by the late 1920s, critics were reconsidering the propaganda elements in Soviet films. For example, in his profile on Eisenstein in 1928, Alfred Barr openly explained the Russian governments involvement in the Potemkin and filmmaking in general, and the propagandistic elements of the movie. Intellects on both sides of the Atlantic appeared to have been quite taken with the reality of the movie, enough to overlook such elements of propaganda, and praise the Soviet filmmaker for his reality, a stark contrast to the to the fictionality and to t he vulgar artifice of the Hollywood image so despised by many of the intellectual elite. The film was not so well received in Russia. While by the 1930s, the Civil War became something of a focus for the revolutionary myth in Soviet cinema just the way the West was won fulfilled a similar function in Hollywood, at the time of its release Soviet audiences preferred lighter and more conventional faire. The problem was that, as long as Soviet audiences had a choice, they preferred the films that were popular elsewhere in Europe, and were happy with a diet of Hollywood hits or Soviet imitations. In addition, Potemkin featured no central hero with whom audiences could identify; the main character of the movie is best described as the collective masses. While Eisensteins lack of a central character fascinated Western audiences, it dehumanised Soviets, who were uninterested in the Cine-Eyes more perfect visions of reality. Potemkin had to be taken off after only two weeks, to be replaced with are turn of Robin Hood starring Douglas Fairbanks, the film featured before its releas e. While the power of Potemkin as propaganda was far more convincing, at least initially, abroad, Eisensteins next great work, October, enjoyed tremendous success at home and was valuable as a way of reframing the October events for decades. Scholar recognise the inaccuracies and license of the film. Figes, for example, contends October is Eisensteins brilliant but largely fictional propaganda film. Rosenstone also acknowledges both the initial impact and lasting influence of the film.  October  has become and remains one of the best known and most enduring accounts of October so well known that it seems no exaggeration to suggest that more people have probably learned about the Bolshevik Revolution from the film than from any other single source. As October had a much stronger impact on the Russian public, both as a movie and as propaganda, it is important to consider the situation in Russia at the time and how it influenced the films creation and support. The Russian peasantry, accounting for eighty percent of the population, was largely hostile and overwhelmingly illiterate speaking more than a hundred different languages. In addition, peasants as a group were largely politically ignorant, and needed, it was felt by government leaders, to be properly informed. Peasants were inclined to believe naively in every printed word, and therefore open to persuasion from a variety of sources. Lack of vocabulary amongst the group and misunderstandings with speakers sent by the Bolshevik regime to educate them further compounded the communication problem. Furthermore, the peasants had not supported the Bolsheviks coming into power. Immediately after the overthrow in October, in November 1917, the Bolsheviks held an election as they had promised. Unfortunately for them, they were not the most supported party, although no group received a majority vote. The Bolsheviks lost the November 1917 election to the Socialist Revolutionaries, who received forty-four percent of the vote to the Bolsheviks twenty-seven percent. Although they lost, the Bolsheviks nonetheless seized and consolidated power. This left the government as one in need of persuasive means to address its constituents. Not having been elected by the people, it depended largely on the power of the word to establish its authority. The Civil War that occurred following the Revolution necessitated urgent, cheap and effective measures to win over the hearts and minds of the people in whose name the Bolsheviks claimed to govern. In response, Lenin realised the importance of the dyna mic visual propaganda that cinema could offer and set the government on a course of creating propaganda films. Films would serve to not only entertain, but to allow the Bolsheviks to construct their particular utopia out of the ruins of Tsarist Russia. However, By the 1930s, the Party functionaries recognized that the films were not useful propaganda instruments as long as they could not attract a mass audience. Russians clearly preferred Hollywood-type films, and had similar response to government-produced propaganda films as they had to Potemkin, although such works had little of its quality or creativity. Government leaders recognised that their greatest artists, who made experimental, innovative films, could not communicate with the simple people who wanted to be entertained. They developed a new slogan for art in the Soviet Republics, loosely translated as movies for the masses. Experimentation was denounced as formalism, as something alien to Soviet art, and now each film had to be immediately comprehensible even to the least educated. Many artists and writers immediately following the 1917 Revolution also recognised the need to enlighten the peasantry, and the potential for creative media to communicate new life options to them, and initially joined in government efforts. Filmmakers such as Eisenstein and Kozintsev, for example, were determined in their different ways to use their new art form to construct a new Sovietman. However, with the increasing and ever more intrusive censorship, in combination with limitations on creativity and severe punishments for violations of government guidelines, many film producers simply stopped making movies. Whilst the cinema became increasingly popular, movie selection decreased. By the 1930s, foreign films had been banned; Soviet films also decreased. Whilst in the 1920s over one hundred movies were made annually, but this number had dropped to less than forty by the 1930s. Content was for the most part centred on the benefits of the Bolshevik regime and the evils of the Tsarist one. Class consciousness could usually be reduced to an understanding that there were enemies everywhere, that the Soviet was of life was superior, that it was the duty of decent people to participate in the building of socialism, that the primary allegiance one owes is to Soviet society and not to the family. As Kenez wryly notes, if one judged the world entirely on the basis of Soviet films, one might have imagined that the task of Soviet border guards was to keep out all those who hoped to enter. The Bolshevik government needed to rally illiterate masses to its support, whilst the Soviet Republic spanned a gigantic geographical and cultural plethora, and a number of events leading up to the current regime seizing power were morally questionable, at best. The question is whether propaganda films really exerted the influence over the public that many have long held unquestionably that they do. The Soviets certainly committed a surprising amount of scarce resources, although not as much as the filmmakers would have liked, to this novel form of propaganda, recognising the apparent potential of the medium of cinema for powerful, mass, political propaganda. Reeves contends that in many countries, including the UK and Soviet Republic, the power of film propaganda was simply assumed. Through the 1950s,politicians and commentators alike seem to have become only more convinced that the mass media in general, cinema in particular, provided a weapon uniquely capable of effectively moulding the ideology of the masses. Reeves further contends that empirical studies in Britain between the First and Second World Wars are primarily supportive of the power of film propaganda and the media to influence the general populace. Almost without exception int er-war studies stressed their enormous power, using metaphors like hypodermic needle or magic bullet to characterise that power in contrast to the weakness of the mass of people who, whether they liked it or not, received the messages which the media generated. While there have been more recent challenges to these findings, Eisensteins October is widely held to have had a profound impact both on the Russian people and foreigners in shaping their perception and understanding of the Bolsheviks rise to power. Although October was made before the changes to filmmaking of the 1930s, it very much followed the type of movie propaganda scheme the government would later require. The film was commissioned by the Soviet agency in charge of the production and distribution of films, Sovkino, as part of the tenth anniversary celebration of the 1917events. Ever the visionary, Eisenstein first planned to create a heroic epic, spanning from the February 1917 overthrow of the Czar to the end of the Civil War in 1921.Pressures of time (both on the screen and in the production process) led to aversion that covered a smaller slice of the past: from February through October1917. The story the movie tells, and the way it tells that story are surely part of along tradition of explaining why and how the Bolsheviks took power. One might even argue that October had a significant role in creating that tradition. The film neither accurately represents what happened nor entirely fictionalises events, instead combining the two to create a picture in the minds of many of the Revolution. The film opens with the downfall of the Russian Czar in February of 1917.While it overdoes the evilness of the Tsarist regime a bit from an historical standpoint, this presents a strong contrast for the following events. Of particular note is the handling of the July Days protests in July of 1917.The Bolsheviks had assembled over fifty thousand supporters, had surrounded the Tauride Palace, and had taken hostage a representative of the Provisional Government during the protest. Bolshevik leaders truly did decide not to overthrown the government during this time, calming the crowd and a voiding bloodshed. Eisenstein is considered by many scholars to be relatively accurate in his rendition of the July events, although he creates from a decidedly Bolshevik point of view. Eisenstein shows us the masses of marching protesters, the bloodshed on the Nevsky Prospekt, the anger of the middle classes against the lower orders, the Bolshevik speakers calming the soldiers, insisting it is not time to seize power. Similarly, Rosenstone states that historians have little dissent over much of the things that led up to the October events, or how Eisenstein handled them. The February Revolution, he contends, was truly popular and necessary, while the Provisional Government was inept, inefficient, stupid or criminal in its attempt to continue the war. Eisensteins portrayal of Kerenskys handling of the entire situation is alsosupported by historians. Figes states that during the event, Kerensky began to strut around with comic self-importance, puffing up his puny chest and striking the pose of a Bonaparte.Rosenstone notes Eisenstein shows Kerensky as a would-be Bonaparte, by cutting from a close-up of him directly to a statue of Napoleon, and he is hardly the only historian to suggest the prime minister saw himself in that kind of heroic role. Figes and Rosenstone both note that Eisenstein used similar techniques to highlight the ineptitude of General Kornilov. Eisenstein suggests that the attempt to overthrow the Provisional Government was really based on a misunderstanding, exacerbated by Kornliov, who also saw himself as a Bonaparte figure and did not realise that most of those supporting him did so with the hope to use him in the governments overthrow .Eisenstein presents Kornilov as yet another potential Napoleon by cutting from his image to that of the same statue previously linked to Kerensky. The film shows how the generals march on Petrograd is undermined by Bolshevik agitators, who are able to convince the Cossacks of his Savage Division that the Soviet programme of Peace, Land, Bread is not meant just for the worker sof Petrograd but for everyone, including them. It is the ending of the movie, as he did in Potemkin, where Eisenstein takes the greatest license. The movie climaxes with the storming of the Winter Palace, an event that did not actually occur. Indeed the Palace was largely unoccupied by the time of the October events, and any Bolsheviks attacking it would have only had to rebuff a few women and elderly men left to tend to maintenance. While Kerenskys cabinet was inside, they were cut off from the outside and posed no threat. The Palace was taken peacefully, with cabinet members arrested. However, Eisenstein realised the film must have a strong climatic event, and as Lenin had previously used the Palace as an emblem of the Revolution conquering old regimes in the name of the masses, he used a dramatic battle to climax his historical rendition. Many Russian critics at the time were appalled that he had even considered dramatising or reframing such an important event in their history. Additional complaints included Eisensteins omission of the collapse at the front and the growth of the workers movement were also directed at the film.Rosenstone would counter that a filmmaker can never forget the demands of the medium no matter how much you are committed to putting the past on the screen, and no matter how accurate you wish that past to be, the one thing you can never do is to mirror a moment all those moments that have vanished. Even in contemporary viewing of October, however, Eisensteins theme is repeatedly that it was the stupidity and oppression of the Provisional Government, not the political desires of the Bolsheviks, that led to the October 1917 Revolution. It was the desires and action of the masses, not Lenin or a few organising leaders, that led to the governments overthrow. As propaganda, the film has long served to reinforce the validity of the Bolsheviks seizure of power, and therefore to instigate major changes on the Soviet populace. It remains the way many, both in Russia and in Western countries, view the events of 1917, an as such speaks to the effective and lasting power of film as a propaganda device. History can be recast, reinterpreted, expressed in film, and many will believe what they see .Eisensteins work reinforces both independent research and policies ofgovernments worldwide that support film propaganda as a convincing tool. BIBLIOGRAPHY Battleship Potemkin. Dirs. Sergei M. Eisenstein and GrigoriAleksandrov. White Star, 1925. Behind the screen. TheTimes (UK) 18 September 2004: Features, Films 29. Balio, Tino. Eisenstein. 21 May 2005.http://members.tripod.com/~afronord/eisen.html Browne, Nick. Eisenstein inAmerica: The First Phase. Emergences 12.2 (2002): 181-197. Encyclopedia:Propaganda Film.January 2005. 21 May 2005.. Figes, Orlando. The Russian Revolutionand Its Language in the Village. The Russian Review 56 (July 1997):323-345. Figes, Orlando. A Peoples Tragedy:The Russian Revolution 1891-1924. New York: Penguin Books. 1998. Forging the Shipof State: The Bolsheviks in Power. 21 May 2005.. Kenez, Peter. Jewish Themes in StalinistFilms. Journal of Popular Culture 31.2 Spring 1998: 159-169. October. Dirs. Sergei M. Eisenstein and Grigori Aleksandrov. WhiteStar, 1927. Reeves, Nicholas.The Power of Film Proaganda Myth or Reality? Historical Journal of Film,Radio Television 13.2 (1993). . Rosenstone, RobertA. October as History. Rethinking History 5:2 (2001): 255-274. Taylor, Richard.Russian and Soviet Cinema: Continuity and Change, Imperial War Museum,London, 17-19 July 1990. Historical Journal of Film, Radio Television 11.1 (1991). . Taylor, Richard.Soviet Cinema: The Path to Stalin. History Today July 1990: 43-48. The OctoberRevolution of 1917.21 May 2005. . Yangirov, Rashitand Taylor, Richard. Soviet Cinema in the Twenties: National Alternatives.Historical Journal of Film, Radio Television 11.2 (1991)..

Wednesday, November 13, 2019

Creon - The Tragic Hero in Sophocles Antigone :: Antigone essays

Creon -  The Tragic Hero in Antigone There is still a great debate on who is, in fact, the tragic hero in Sophocles’ Antigone. Many hold that it must be Antigone, herself; after all, the play does bear her name. But in actuality, Creon, not Antigone, is the tragic hero. In order to determine whether or not Creon is the tragic hero, one will first have to answer the question, â€Å"What is a tragic hero?† Aristotle, when discussing the nature of such a hero in his theory of drama, states that such a hero is neither purely innocent nor purely evil. This person is usually born high in the ranks of society and must also possess a tragic flaw, which originates from within and usually manifests itself through poor judgment and/or extreme arrogance. The tragic flaw also dooms the character to a ruinous end. Creon, as king of Thebes, is at the top of the social ladder. He thus already meets one of Aristotle’s chief criteria. Yet, not only is he king, he is also human and possesses frailties which qualify him to make serious mistakes and he possesses talents which allow him also to excel. Hence, Creon is neither overly good nor bad. It is also written that the tragic hero’s actions may determine the fates of one or more characters within the tragedy. Appropriately, Creon’s station as king place shim in a position of great power, influence and responsibility. The extent of this power was quite evident when he sentenced Antigone to death for disobeying his proclamation. Now we come to what, if anything, is the single most important component of being a tragic hero. Here we have the tragic flaw. Creon’s tragic flaw was his hubris or his pride and arrogance in the face of divine powers. His downfall began when he denied the basic divine right of burial to Polyneices and was cemented when he condemned Antigone for her opposition to his law. When one closely examines Antigone’s reasons for burying her brother, it becomes clear that she was simply demonstrating her love, honor, and loyalty to her family. Creon - The Tragic Hero in Sophocles' Antigone :: Antigone essays Creon -  The Tragic Hero in Antigone There is still a great debate on who is, in fact, the tragic hero in Sophocles’ Antigone. Many hold that it must be Antigone, herself; after all, the play does bear her name. But in actuality, Creon, not Antigone, is the tragic hero. In order to determine whether or not Creon is the tragic hero, one will first have to answer the question, â€Å"What is a tragic hero?† Aristotle, when discussing the nature of such a hero in his theory of drama, states that such a hero is neither purely innocent nor purely evil. This person is usually born high in the ranks of society and must also possess a tragic flaw, which originates from within and usually manifests itself through poor judgment and/or extreme arrogance. The tragic flaw also dooms the character to a ruinous end. Creon, as king of Thebes, is at the top of the social ladder. He thus already meets one of Aristotle’s chief criteria. Yet, not only is he king, he is also human and possesses frailties which qualify him to make serious mistakes and he possesses talents which allow him also to excel. Hence, Creon is neither overly good nor bad. It is also written that the tragic hero’s actions may determine the fates of one or more characters within the tragedy. Appropriately, Creon’s station as king place shim in a position of great power, influence and responsibility. The extent of this power was quite evident when he sentenced Antigone to death for disobeying his proclamation. Now we come to what, if anything, is the single most important component of being a tragic hero. Here we have the tragic flaw. Creon’s tragic flaw was his hubris or his pride and arrogance in the face of divine powers. His downfall began when he denied the basic divine right of burial to Polyneices and was cemented when he condemned Antigone for her opposition to his law. When one closely examines Antigone’s reasons for burying her brother, it becomes clear that she was simply demonstrating her love, honor, and loyalty to her family.

Monday, November 11, 2019

High School and Teen Pregnancy Essay

A. General Purpose: To inform B. Specific Purpose: To inform my audience on what I see as the biggest challenges young adults face today. C. Central Idea: I will give three reasons as to what I see as the biggest challenges are; the abuse of drugs and alcohol, teen pregnancies, and unemployment. I. Introduction A. More than half of teen mothers never get their high school diploma because they drop out of high school to provide a better parenthood for their child. B. The use of illegal drugs is increasing in young teens. An average age of first usage of marijuana is 14 and alcohol usage can start at age 12. The usage of marijuana and alcohol is now very common in high schools. C. More than 40% of those who have earned their college degree in the last two years are working in a job that does not require their degree. II. A. Teen pregnancy is affecting young adults more each year. 1. Young adults are taught that it is okay to raise a child no matter what age you are. 2. Even though statistics show that teen pregnancies are a negative outcome in their lives, some manage to make it a positive outcome. B. Young adults do not realize the use of drugs and alcohol at young age can cause negative effects on your life. They feel like they are indestructible and immune to the problems that others experience. 1. It is common for teens to experiment the use of drugs and alcohol. The problem is when they get addicted and are moving on to more dangerous drugs. 2. see more:papers on teen pregnancy Teenagers, who are depressed, have low self-esteem, and feel like they don’t fit in will most likely develop a serious drug and alcohol problem. C. Some young adults who are unemployed, are not able to pay their student loans, car payments, and cannot afford an apartment so they have to go back to their childhood bedroom and live with their parents. 1. The unemployment rate in young adults rose significantly in just one month of July 2013 from 16. 4% to 16. 8%. 2. More than 4 out of 5 are now delaying and changing their major life decisions. I. Conclusion Young adults face many challenges every day. I have listed the main three that I consider are the biggest, teen pregnancy, the abuse of drug and alcohol, and the unemployment that young adults are facing today. Some challenges are just part of life and we have to learn how to deal with them, but there are others such as unemployment that we can change. The thing is, it’s not going to change by its self, and we have to do something about it if we want to see a change in the coming future.

Saturday, November 9, 2019

Jane Austens Emma Essays - British Films, Emma Woodhouse, Emma

Jane Austen's Emma Essays - British Films, Emma Woodhouse, Emma Jane Austen's Emma Jane Austen's Emma is a novel of courtship. Like all of Austen's novels, it centers around the marriage plot: who will marry whom? For what reasons will they marry? Love, practicality, or necessity? At the center of the story is the title character, Emma Woodhouse, a heiress who lives with her widowed father at their estate, Hartfield. At the beginning of the novel, she is a self-satisfied young woman who feels no particular need to marry, for she is in the rather unique condition of not needing a husband to supply her fortune. At the beginning of the novel, Emma's governess, Miss Taylor, has just married Mr. Weston, a wealthy man who owns Randalls, a nearby estate. The Westons, the Woodhouses, and Mr. Knightly (who owns the estate Donwell Abbey) are at the top of Highbury society. Mr. Weston had been married earlier. When his previous wife died, he sent their one child (Frank Churchill) to be raised by her brother and his wife, for the now-wealthy Mr. Weston could not at that time provide for the boy. Without Miss Taylor as a companion, Emma adopts the orphan Harriet Smith as a protg. Harriet lives at a nearby boarding school where she was raised, and knows nothing of her parents. Emma advises the innocent Harriet in virtually all things, including the people with whom she should interact. She suggests that Harriet not spend time with the Martins, a local family of farmers whose son, Robert, is interested in Harriet. Instead, Emma plans to play matchmaker for Harriet and Mr. Elton, the vicar of the church in Highbury. Emma seems to have some success in her attempts to bring together Harriet Smith and Mr. Elton. The three spend a good deal of leisure time together and he seems receptive to all of Emma's suggestions. The friendship between Emma and Harriet does little good for either of them, however. Harriet indulges Emma's worst qualities, giving her opportunity to meddle and serving only to flatter her. Emma in turn fills Harriet Smith with grand pretensions that do not suit her low situation in society. When Robert Martin proposes to Harriet, she rejects him based on Emma's advice, thinking that he is too common. Mr. Knightly criticizes Emma's matchmaking, since he thinks that the dependable Robert Martin is Harriet's superior, for while he is respectable, she is from uncertain origins. Emma's sister, Isabella, and her husband, Mr. John Knightly, visit Highbury, and Emma uses their visit as an opportunity to reconcile with Mr. Knightly after their argument over Harriet. The Westons hold a party on Christmas Eve for the members of Highbury society. Harriet Smith, however, becomes ill and cannot attend. During the party, Mr. Elton focuses his attention solely on Emma. When they travel home by carriage from the party, Mr. Elton professes his adoration for Emma, and dismisses the idea that he would ever marry Harriet Smith, whom he feels is too common for him. Mr. Elton obviously intends to move up in society, and is interested in Emma primarily for her social status and wealth. Shortly after Emma rejects Mr. Elton, he leaves Highbury for a stay in Bath. Emma breaks the bad news to Harriet Smith. As of this time, Frank Churchill has not yet visited his father and his new wife at Randalls, which has caused some concern. Emma, without having met the young man, decides that he must certainly be a good suitor for her, since he is of appropriate age and breeding. Another character who occupies Emma's thoughts is Jane Fairfax, the granddaughter of Mrs. Bates, an impoverished widow whose husband was the former vicar, and the niece of Miss Bates, a chattering spinster who lives with her mother. Jane is equal to Emma in every respect (beauty, education, talents) except for status, and provokes some jealousy in Emma. Jane will soon visit her family in Highbury, for the wealthy family who brought her up after her parents had died has gone on vacation. There is some indication that Jane might be involved with Mr. Dixon, a married man, but this is only idle gossip. Mr. Elton returns from Bath with news that he is engaged

Wednesday, November 6, 2019

Banning Guns Would be bad for The Economy Essay Example

Banning Guns Would be bad for The Economy Essay Example Banning Guns Would be bad for The Economy Essay Banning Guns Would be bad for The Economy Essay Essay Topic: Gun Control The assault The US, is home to the worlds highest per capita gun numbers. Gun control has been a matter of constant debate with proponents and opponents putting forth valid arguments to support their positions. Recent incidences of mass shooting have invigorated and emboldened those rooting for a ban on guns especially the assault rifles. Hypocrisy and politics have influenced the whole discussion surrounding the issue of banning guns leaving a vague picture of the real issues that should inform such arguments. In all the deliberations, there are vital aspects that many tend not to acknowledge, are ignorant of or ignore without giving them much thought. One such aspect is the economic consequences of a ban on gun ownership by ordinary citizens. Banning guns has a significant impact on the economy. The firearms industry is a big contributor to the U.S. economy and banning guns would have severe economic consequences. Banning guns will lead to massive job losses in the gun industry. The gun industry employs many people who would be rendered jobless in the case of a shut-down of the sector due to a ban on gun use by private individuals. The last two years alone recorded the creation of over 34000 new jobs most of which offer impressive salaries (Fraser, 2016). Currently, there are about 263223 jobs related to or in the firearms and other ammunition industry. Those working in the sector get to carry home an annual average remuneration package of $ 52220.The industries wages grew significantly from an initial $ 2.4 billion to roughly $ 6 billion in 2016. The economic figures for 2015 indicate that $ 42.96 billion of money pumped into the economy was from the firearms and ammunition industry with $ 5.79 billion of it going to the state federal governments a tax revenue. Given the figures, it is clear for one to see that the firearms and ammunition industry is one that has a huge potential for the econ omy contributing significantly to the countrys GDP (Gross domestic product). Several other industries are dependent on the viability of guns as a market product for their survival. The companies dependent on guns include those that manufacture, sell or distribute sporting ammunition, firearms and ammunition are all vital to the economys well-being. All these industries contribute significantly to the amount of money that government receives in taxes (Fraser, 2016). Gun sports may become a thing of the past in the event of a ban on guns. Money received by event organizers of such sports will be lost. As such, the money pumped into the economy through the sport may be lost. Fees that the relevant states charge for the all gun sport related events will be no longer available. The effect may be a strain on county revenues forcing some of them negatively impacting their service delivery due to financial constraints. The NSSF (National Shooting sports Foundation) noted that in 2011, expenditures on industry equipment were $ 5.3 billion. Firearms account for $ 2.4 billion of the total amount with the figure for ammunition used in rifles, shotguns and handguns standing at about $ 700 million. The remaining figure is filled up by other relevant accessories such as decoys, game calls, telescopes, hand-loading equipment, hunting dogs, components, other shooting and hunting equipment, and the costs associated with them. Sporting hunters spend an annual amount of $ 24 billion every year (Kay, 2010). Most the items that they need are found sports goods shops, pro shops and specialty stores that employ thousands and make a significant contribution to the gross domestic product. The U.S. firearms market supports other economies especially in Europe. About eighty percent of all firearms manufactured for commercial purposes globally are in the hands of American citizens. Many countries are usually keen on attending major firearm industry show to understand the market better. Some of the European economies are quite fragile and rely heavily on Americas goodwill for their stability. Most of them are allies underscoring the need to ensure that the policies adopted in the use do not serve to sabotage their economy. The prosperity of such nations is more beneficial to the Americas strategic interests compared to their failure. Brazil, a South American country is the single largest exporter of firearms to the U.S. The countrys economy is gaining strength as it tries to position itself as one of the fast-rising economies. A ban on firearms in the U.S. will send shocks to the economy and slow down its growth prospects (DiMauro, 2013). Criminal activities are bound to increase with a ban on gun ownership. The knowledge that individuals no longer keep guns with them will be a catalyst for increased criminal activities as many criminals hope to take advantage of peoples inability to defend themselves against an intrusion, burglary, mugging or attack (DiMauro, 2013). Cases of people losing their properties and hard-earned cash are bound to go up. Such losses may mean an inability by those affected to meet their financial obligations and contribute effectively to the nations GDP. Most proceeds of criminal activities tend to go unaccounted for as criminals try to avoid expenditures that may attract the attention of the taxman. The government as usual also stands to lose in such a scenario in the form of uncollected taxes. With an upsurge in criminal activities due to a ban on guns, potential investors may be scared of investing in the economy and opt for safer and more viable destinations. A simple ban will have created a huge economic nightmare for the country and slowed down its economic growth prospects. Areas around the world where the economies have suffered due to the presence criminal gangs that terrorize people and interfere with the economic activities in the have experienced low investor confidence. Before even imagining of placing a ban on guns and other ammunition, there is a need to consider such issues to avoid creating another major problem that has severe economic consequences. Some countries have even seen an upsurge in rings of extortionist gangs that demand a share of the revenues of traders affecting their profitability and as such their viability forcing many of the businesspersons to close shop due to losses (DiMauro, 2013). Gun ownership endears many people around the world to the U.S. as a country. The country is known for its unique culture that supports great freedom for the citizenry. The extent of freedom enjoyed by the citizenry is almost second to none. Gun ownership adds to the whole package that makes the countrys culture the most popular in the world (Kay, 2010). The experience has contributed to the success of many American industries not just from within but also outside the country. The movie industry has been one of the greatest beneficiaries. With knowledge of the freedom of gun ownership in the country, viewers of action movies that depict heroes using guns find the movies as being depictive of the reality on the ground. Actors in possession are not necessarily viewed as criminals like in many other countries. Rather, they are seen as being just like any other person able to defend themselves in the event that the need arises. Such depiction helps in managing peoples expectations as they appreciate scenes that appear realistic. The video games on the market such as Need for Speed thrive due to the existing laws that allow for carrying of firearms. Clearly, the firearms and ammunition industry is a major contributor to the U.S. economy and as such banning guns will be detrimental to the economy. The industry offers numerous and lucrative employment opportunities. Banning guns will lead to huge job losses in the firearms industry. Several other industries rely on the viability of guns as a market product for their existence. Expenditures on gun-related products offer a significant revenue stream for both business owners and the government in the form of taxes. The U.S. firearms market not only benefits the country but also other economies that rely on firearm exports to the U.S. for a considerable proportion of their exports. Banning guns may have the effect of increasing criminal activities, a factor that may cause among potential investors. Law investor confidence means less investment which will certainly slow down economic growth. One cannot underestimate the kind of enthusiasm that gun ownership creates among people from ot her countries towards the U.S. The interest in American affairs and culture helps promote the sales of the countrys products globally. There is a need for relevant stakeholders to reconsider any actions geared towards banning of guns for the sake of the countrys economy. References DiMauro, L. (2013). Gun control. [electronic resource] : restricting rights or protecting people?. Detroit, Mich. : Gale, 2013. Fraser, M. (2016). Politics, Guns, and Money. New Labor Forum (Sage Publications Inc.), 25(2), 102-104. doi:10.1177/1095796016639269 Kay, L. (2010, November 28). Area economy benefits from hunting. Daily News, The (Jacksonville, NC).

Monday, November 4, 2019

Political sciences Essay Example | Topics and Well Written Essays - 1250 words - 1

Political sciences - Essay Example Before the start of the year, Israel and Palestine resumed their armed conflict, killing thousands of innocent civilians on both sides and displacing thousands of people in Gaza Strip. Armed conflicts resumed as Israel and Palestine unleashed their military offensives to weaken each other’s hold to the embattled territory formerly occupied by the Palestinians. Both warring countries sent regular armies and launched paramilitary groups, an action that alerted the international community. As the international community clamored for the pacification of the region, the Israeli government under the regime of its current prime minister Benjamin Netanyahu and the Palestine Liberation Organization under the political leadership of Mahmoud Abbas, have been conducting a number of negotiations to ease the two-party conflict. Based on historical accounts, the Israel-Palestine conflict started when the United Nation intervened, giving the Jewish people the right to the war-stricken territory. This action resulted in numerous wars, which largely involved international actors, particularly the United States. There are a number of reasons why an Israel-Palestine peace accord that would probably result in the end of armed conflict in the region is hard to achieve. In order to understand why regional peace is far from being achieved in the Middle East, it is important to look at the many obstacles that hinder a final and peaceful cooperation between Israel and Palestine and conclusion to the two-party armed conflict. One of the biggest obstacles to a final and peaceful conclusion to the Israel-Palestine armed conflict is the intensifying Israel lobby in the United States. Israel Lobby is a term being used to describe an absurd alliance of groups, organizations and powerful individuals who vigorously attempt to maneuver American foreign policy that is favorable to Israel (Wittkopf & McCormick 87). Instead of bringing peace to

Saturday, November 2, 2019

A Study of Lean Management 2034 Essay Example | Topics and Well Written Essays - 2500 words

A Study of Lean Management 2034 - Essay Example Secondly, value stream is identified as the main source of information for the whole process. Thirdly, lean management assists in assuring that the customers receive the right products. Customers pull is important and hence it is the fourth principle for lean management. Fifthly, through lean management there is continuous improvement in productivity and quality of products (Schonberger, 2007). The report explains the operational process in Toyota and how it has helped the company to prosper in the present market. The different approaches that are undertaken by the company to reduce waste, increase productivity and efficiency are also highlighted in the report. In light of this, the report also gives emphasis on the usefulness of lean management in order to satisfy the customers. The success of Toyota is dependent on its reduction system, which focuses on just-in-time management and continuous improvement. The company has developed decentralised structure; the structure encourages team work and employee participation. It has incorporated techniques such as inventory and supply chain management for producing the high quality automobile. Through these techniques it has increased the competitive edge in a competitive automobile market at international level. The success of the company revolves around achievement of high productivity and employment of unique approaches that can solve problem. Toyota Motor Company manufactures vehicles which are sold in 170 countries. However, the company operates worldwide by partnering with 50 overseas manufacturing companies. It manufactures sells and even exports hybrid, passenger, four-wheel drive, sports and commercial vehicles. Customer satisfaction is regarded as the top priority for the company in a competitive automobile market. It aims at building products, which reflect value and satisfy their needs. The customers are general public who have the desire to own a

Thursday, October 31, 2019

The Social Changes of Song Dynasty in Ancient China Research Paper

The Social Changes of Song Dynasty in Ancient China - Research Paper Example Invention of gunpowder led to the creation of explosive weapons such as grenades, bombs, canons and small rockets. Before the invention of paper, the Chinese made carved characters on bones and tortoise shells. Prior to the song dynasty, printing blocks only contained one page of texts hence every block could only produce a particular page of a book. During the song dynasty, single characters could be engraved on blocks of wood and a single character could be used over and over again. There were huge advances in arithmetic and algebra that led to many mathematical ideas. The inventions served the society by helping in establishment of powerful, unified national organizations that extended over many regions. Printing, paper and the compass provided means of social communication and transportation. Gun powder began to be used as a weapon, gun powder weapons were used abolish the uprising of Li Sun and Wang Xiaobo in the first year of the Northern Song. The four inventions are very closely related to the unified organization of the Chinese feudal society indicating the degree of development of ancient Chinese science and technology. Maritime trade with India and near East was boosted under the song dynasty. Cities with high populations flourished along the southeast coast and principal waterways, trade guilds were established to organize trade and banking and paper currency was developed to replace cumbersome copper currency. Ship building and navigation techniques improved with large vessels using sails and oars coming into use. The magnetic compass came into use in 1119. Under the song dynasty, China got to monopolize trade with Korea and Japan, products were in demand in the whole of Asia, East Africa and Persian Gulf. Prior to this era, Muslim Arabs and Persians had dominated oceanic trade. Printing grew bringing literature and learning to the people. Movable type printing was invented

Tuesday, October 29, 2019

Kant and Descartes Essay Example for Free

Kant and Descartes Essay â€Å"Idealism is the assertion there are none but thinking thing beings. All other things, which we believe are perceived in intuitions, are nothing but presentations in the thinking things, to which no object external to them in fact corresponds. Everything we see is just a construction of the mind. † (Prolegomena). Idealism maintains that there are no objects in the world, only minds. According to idealism, the existence of outer objects is uncertain and ambiguous. Idealism is the group of philosophies asserting that actuality is fundamentally mental, or otherwise intangible. Kant holds the belief that objects only exist as perceptions is fundamentally idealist. The argument begins by making the point: our senses never enable us to experience things in themselves, but only know their appearances. This idea depicts space and time as empty forums to determine how things appear. Kant discusses how math consists of synthetic a priori cognitions, or the ability to provide new information that is necessarily true, and its relation to geometry. Kant believes there is some form of pure intuition innate within us. This innate intuition is what allows us to identify different notions without reference to sense experience. In the opinion of Kant, the possibility of mathematics rests upon the possibility of â€Å"synthetic propositions a priori†. (Prolegomena). There is a priori certainty of geometry. A priori knowledge or justification is independent of all experience. A priori judgments are based upon reason alone, independently of all sensory experience, and therefore are applicable with universality. According to Kant, â€Å"Geometry is based upon the pure intuition of space. † (Prolegomena). We cannot have any perceptions of objects if not in space and time. Kant declares, â€Å"it must first exhibit its concepts in intuition, and do so a priori, in an intuition that is not empirical, but pure. † (Prolegomena). Geometry, as the innate intuition of space, derives from the sequential moments of our innate intuition of time. If space were not built into of our innate composition, two things with all of the same properties would be in every way identical. Space and time are not properties of the objects in things themselves, but rather, qualities of our knowledge of the things. Space and time are referred by Kant as the â€Å"modes of representation†, or â€Å"forms of sensibility†, of objects. (Prolegomena). Kant believes inner experience is all that we can be certain of and that the e? ects can only conclude the existence of the external world has on us. If space and time are subjective, then everything in space and time are subjective. If space and time were things in themselves that we could only understand by reference to experience, geometry and math would not have the a priori certainty that makes them reliable. If space and time do not belong to the things themselves, and we cannot know anything in space and time, then we don’t know the things in themselves. As a result of this, Kant says that appearances are â€Å"That is pure space is not at all a quality of things in themselves but a form of our sensuous faculty of representation, and that furthermore all objects in space are mere appearances†. (Prolegomena). This declaration regarding things being tangible reveals Kant’s view of transcendental idealism, faces the issue of things existing at all, directly. Immanuel Kants most influential contribution to philosophy is transcendental idealism. Transcendental idealism is fundamentally a doctrine about space and time. The idea is we cannot perceive things in and of themselves directly; what we perceive must first be interpreted by our senses, then by our sensibility and understanding. Though Kant has argued that we cannot perceive things in themselves, but only appearances of things, Kant believes intuition, and the senses control our perception. And anything, which we may perceive, is made up entirely of appearances. Kant argues, subsequently, things themselves in some way cause these appearances. Kant maintains that things in themselves, independent of our perception, exist, and that they are the source of what we do perceive. All other things, which we think are perceived in intuition, being nothing but representations in the thinking beings, to which no object external to them corresponds in fact. Representations of our sensibility can be said to be reflections of our mind. Kant makes this claim stating, â€Å"The understanding intuits nothing but only reflects. † (Prolegomena). This proposes the question regarding idealism, because something cannot be fully understood, does it still exist? Unlike Idealism, which generally manifests skepticism, the existence of things is crucial to Kant’s philosophy. However, Kant insists we cannot know anything about these things purely through their appearance. Kant asserts: â€Å"which is unknown to us but is not therefore less real. † (Prolegomena). Kant is claiming this ideal is contrary to idealism. Descartes decided that he could throw all things into doubt except that he was thinking and doubting. This supports the concept of idealism because it emphasizes the centrality or importance of the mind. Descartes, like Plato and Augustine divided his world into two areas. For Descartes the two areas were the cogito and the Deity. Rationalists, like Descartes, aim to escape the confines of the mind by constructing knowledge of the external world, the self, the soul, God, ethics, and science out of the simplest, indubitable ideas possessed innately by the mind. Descartes argued that knowledge came from the mind, or idealism. It was Descartes’s idealism that would force him to his separation of the mind and body. Descartes believes in the ability to deny the existence of the physical world. Kant’s major disagreement with Descartes would be in postulating an existential reality outside of the mind. An object does not depend on a mind perceiving it for it to exist though the mind does depend on the transcendental categories to perceive of those objects in a meaningful way. â€Å".. Desire this idealism of mine to be called critical. But if it be really an objectionable idealism to convert actual things into mere representations†. (Prolegomena) Kant expresses his impulse to change transcendental idealism to critical idealism at the end of this section.

Sunday, October 27, 2019

Reactive Fault Tolerance Strategies

Reactive Fault Tolerance Strategies Abstract Cloud is the buzzword among computational technologies. It has brought a paradigm shift in a way computing is done and data is stored. This cost-effective means of technology has attracted a lot of people towards it and companies are embracing cloud to reduce their operational costs. As grows the popularity so will the challenges. One of the foremost challenges is Fault Tolerance. Fault Tolerance ensures the availability, reliability, and performance of the cloud applications. This paper is mainly focused on the Reactive fault tolerance strategies. Firstly, the paper outlines various faults, errors, and failures in the Cloud Computing scenario. Then, various prevalent reactive fault tolerance strategies are discussed. Lastly, a comparative analysis is done to better understand the application of the discussed strategies. I. Introduction Cloud-Computing is gaining traction due II. Faults, Errors, and Failures 2.1 Faults. Fault is the cause of the system or a component in the system to fail. Faults induce errors into system which hinders the ability of any system to perform as expected and give desired results. An erroneous system ultimately leads towards failure. Fault tolerance is the ability of the system to keep going in presence of one or more faults but with decaying performance. We must thoroughly classify and analyze various kinds of faults, errors, and failures to come up with sound Fault-Tolerance Strategies.   Faults in Cloud Computing environment can be classified as follows. Aging related fault As time passes, these faults show up into the system. These can be further categorized into two types namely Software based aging and Hardware based aging. Once the software starts execution, there is an accumulation of software bugs in the system. Furthermore, the decaying performance of the system hardware makes the system incapable to perform to its requirements. Omission fault This kind of faults occur when the resources in the system dry up and eventually the ongoing processes end up falling short of the resources in terms of storage capacity and computing power. Omission faults are mainly of two types i.e. Denial of Service, where the attacker tries to make the resources unavailable to its intended users by overwhelming the system with too many superfluous requests.   The other type is Disk Space Full, in which the amount of free space required by the applications is no longer available, this leads to node failure? Response faults. Response faults occur when the server gives an incorrect response to a query made by the user. This is further classified into 3 types. Value Faults-If faults at an application level or at lower level in the system are not managed properly, this can cause the individual application or the processor to emit an incorrect value. Byzantine faults- This fault attributes to the erratic behavior of the processor when it gets corrupted. The processor has not stopped working but the results are not predictable. State transition faults- When systems change their states, this kind of fault surfaces. Timing Faults. Synchronization is a key factor when it comes to execution of tasks in a distributed computing ecosystem. There should be time constraints for communication and execution of tasks by the processor. Faults which arise due to poor synchronization are called Timing faults. If the communication or the task execution begins early, then it is called Early fault. If the processor takes a lot of time to execute the tasks and this results in undesirable delay in the communication, then it is called Late fault. Interaction Faults. As the number of services grow in the system along with its complexity, the interaction between the services also increases. This may cause faults which occur due to Policy and Security incompatibilities. Various service providers have different policies and different security protocols. Life Cycle Faults. The service time of an application may expire when a user is trying to use that application. User cannot further access it unless the service becomes active again. This is called as Life Cycle fault or Service expiry fault. 2.2 Errors. Error is the difference between the expected output and the actual output of a system. A system is said to perform erroneously when it starts behaving in a manner that is against its specification and compliance. To study the nature of errors in a cloud computing scenario, a few of them have been listed below. Network Errors. Cloud is a network of remote servers. Hence, we may observe a lot of errors in the nodes and the links which connect these servers.   This kind of errors are called as Network Errors. Mainly network errors can be in the form of three types. Packet Corruption-   As a packet moves from one node to another and traverses across various links, there is a fair amount of chance that it might get corrupted due to the system noise. Packet corruption tweaks the original information and might sometimes go unnoticed.? Packet Loss- If a packet fails to reach its destination, this leads to Packet Loss. The main causes of packet failure are link congestion, device failure, (router/switch) and, faulty cabling. Network Congestion- When the traffic This issue is encountered due to low bandwidth. When the flow of traffic increases on a single path, this may also create network congestion. This issue is very important as it determines the Quality of Service(QoS). Software Errors. Software errors are broadly categorized as memory leaks and numerical exceptions. Memory Leaks- When there is a bug in the software wherein the application uses huge memory to perform the task but the memory, which is no longer needed, is not freed upon the completion of the task. Numerical Exception-A software does a lot of numerical computations which are required by the applications. The applications might sometimes generate issues due to some numerical conversions which raise exceptions. If these exceptions remain unhandled then errors persist in the system. Time Based Errors. These errors arise when applications do not complete their task execution in a time bounded manner. This can be subdivided into three types. Transient Errors- the probability of occurrence is very less. Intermittent Errors- The pattern of these errors is sporadic but observed many number of times. Permanent Errors- These occur more number of times with a deterministic pattern. 2.3 Failures. As said earlier, failures result due to errors. If a system does not achieve its intended objective, then its in a state of failure. Several things can go wrong in a system and yet the system may produce desired results. Until the system produces wrong output, there is no failure?4 To study the nature of failures, following is the list of failures. Node Failure. In distributed systems, such as cloud computing, we see that sometimes resources and nodes are dynamically added to the system. This brings along a lot of uncertainties and the chances of node failure increase. Reliability and availability are the major criteria for nodes to be adjudged as functioning properly. Node failure occurs if a node is not available at any time a node is not present in the system to perform tasks(unavailable) or produces errors while doing computations. Process Failure. Process failure occurs when a process is unable to place the messages into the communication channel and transmit it or a processs algorithm is unable to retrieve messages from the communication channel? Network Failure. Network failures are very serious issues with regards to cloud computing. There is no communication without a network. Network failures occur when there is a link failure, network device failures such as routers and switches, configuration changes in a network. Configuration change or a change in policy of a machine will cause problems to the applications using the resources of that machine and this problem is most likely reason for a network failure.? Host Failure. A host is a computer that communicates with other computers on the network. In the scope of Cloud Computing, hosts are servers/clients that send/receive data. Whenever a host fails to send the requested data due to crashes, host failure occurs. Application Failure. Cloud applications are the software codes that run on cloud. Whenever bugs develop in the codes, application fails to fulfil its intended objective. The errors caused due to this leads to Application Failure. # cloud endure†¦Ã¢â‚¬ ¦ 3. Reactive Fault Tolerance Strategies. Fault Tolerance Strategies in Cloud Computing are of two types, namely, Proactive, and Reactive. Proactive Fault Tolerance Strategies are those techniques which help in anticipating faults and provides preventive measures to avoid the occurrence of faults.   Here, the faulty components in the system are identified and replaced with operational ones. Reactive Fault Tolerance Strategies, are the techniques used to effectively troubleshoot a system upon occurrence of failure(s). Various reactive fault tolerance strategies are discussed below. 3.1 Checkpointing. In Checkpointing, the system state is saved and stored in the form of checkpoints. This taking is both preventive and reactive. Whenever a system fails, it rolls back to the most recent checkpoint. This is a popular fault tolerance technique and placing the checkpoints at appropriate intervals is very important. Full Checkpointing. Complete state of the application in saved and stored at regular intervals. The drawback of full checkpointing is that it needs a lot of time to save and requires huge chunk of storage-space to save the state. Incremental Checkpointing. This is an improvement over the full checkpointing. This method performs full checkpointing initially and thereafter only the modified pages of information from the previous checkpoint are stored. This is much faster and reliable than full checkpointing. Optimized Checkpoint/Restart. The crux of checkpointing lies in how we space our checkpoints. Good number of checkpoints ensure that the application is resilient to failure. However, this comes at the cost of time, space, and causes a lot of overhead. On the other hand, having less number of checkpoints makes our application vulnerable to faults thereby causing failure. It has been seen that cloud tasks are typically smaller than the grid jobs and hence more time sensitive to the checkpointing/restart cost.? Also, characterizing the failures in the cloud tasks using a failure probability distribution function will be inaccurate as the task lengths in cloud tasks depend on the user priority too.? This technique aims at bettering the performance of Checkpointing technique in threefold approach. Firstly, optimize the number of checkpoints for each task. Secondly, as the priority of the task may change during its execution, a dynamic mechanism must be designed to tune the optimal solution in the first step. Thirdly, find a proper tradeoff between local disks and shared disks to store the checkpoints.   The optimal number of checkpoints is calculated by evenly spreading the checkpoints during the execution of the task. The calculation is done without modelling the failures using a failure probability distribution function. A key observation that we make during the execution of cloud tasks is the tasks with higher priority have longer uninterrupted execution lengths in comparison with low-priority tasks. Hence the solution needs to be more adaptive considering the priority of the tasks. Mere equal spacing of the checkpoints will not do in this case. If the priority of the task remains unchanged the Mean Number of Failures(MNOF) remains the same. The position of the next checkpoint needs to be recalculated and its position needs to be changed if the priority factor that influences the MNOF changes during the execution of the task. Lastly, the problem of where to store the checkpoints is addresse d. The checkpointing costs for both local disks and shared disk is calculated and then based upon the costs an efficient choice is made. It is noticed that, as the memory size of the tasks increase, the checkpointing costs also increase. Also, when multiple checkpointing is done, in the local disks, there is no significant increase in the costs, but owing to congestion, there is a significant rise in checkpointing costs. Hence, a distributively-managed algorithm is designed to mitigate the bottleneck problem and lower the checkpointing costs. 3.2 Retry. Simplest of all the fault tolerance techniques. The task is restarted on the same resource upon occurrence of the problem. The underlying assumption behind this approach is that during the subsequent attempts, the problem will not show up.? 3.3 Task Resubmission. A job consists of several small tasks. When one of the tasks is failed, the entire job gets affected. In this technique, the failed task is resubmitted either to the same resource or a different one to finish the execution of the task. 3.4 Replication. Running the same task on several machines which are different locations. This is done to ensure that when a machine fails, the process of task execution is not halted as the other machine takes it up. Replication is further categorized as follows. Semi-active Replication. The input is provided to all the replica machines. The task execution simultaneously goes on in the primary replica as well as the backup replica. However, the primary replica only provides the output. When the primary replica goes down, the backup replica provides output.   This technique uses a lot of network resources as the task is running in simultaneously in all the replicas. VMware uses Semi-active replication Fault Tolerance Strategy. [4.] Semi-passive Replication. This technique has a flavor of checkpointing in addition to replication. The main replica performs the checkpointing operation over the state information. Replication is done by transferring this checkpoint information to all the backup replicas. The backup machines dont have to concurrently execute the task with the primary replica, but its duty is to save the latest checkpoint information. When the primary replica fails, it designates the backup replica to takeover. The checkpoint information is updated with some loss in the execution. This technique uses lesser network resources than the semi-active replication but there is a tradeoff as some of the execution. Also, in this case, whenever the backup fails, the latency is more as the time taken for recovery and reconfiguration when compared with semi-active replication. [ref 3] Passive Replication. The state information is stored in the form of checkpoints in a dedicated backup machine. When the backup fails, the Fault Tolerance Manager, commissions another machine to be the backup. The backup is updated by restoring the last saved checkpoint. The fault tolerance manager uses a priority based scheme while appointing new backups. 3.5 Job Migration. When a task fails in one of the machine, it can be transferred to another virtual machine. Sometimes, if a task in a job cannot be executed due computational and memory constraints, the task is given to another machine to execute. 3.6 Rescue Workflow. A cloud job consists of several small tasks. Upon failure of a task, this method continues the execution of the other tasks. The overall workflow is stopped only when the failure of the task impacts the entire job. [rescue workflow] 4. Comparative Summary of the Reactive Fault Tolerance Strategies. Checkpointing: This technique effectively detects Application Failure. This technique is used when the application size or the task size is too big. Moreover, checkpointing provides efficient resource utilization. Retry: If the problem persists beyond multiple tries, this method is time inefficient. This is used to detect Host failure and Network failure. Task Resubmission: As the job is tried on the same or different resource, this technique is both time consuming and has more resource utilization. This detects Node Failure and Application Failure. Replication: This technique detects Node Failure and Process Failure. As the task is run on various machines, we see more resource utilization here. Job Migration: This technique detects Node and Process failures. This method is time efficient as the task which cannot be executed in a machine is transferred to another. Rescue-Workflow: This method detects Node failure and Application failure. This is a time-inefficient technique.