Monday, September 30, 2019

Hamas, hezbolla and islamic jihad Essay

Hamas is an Islamic resistance movement formed in 1987 to fight for Palestinian occupied land of Gaza strip, West bank and east Jerusalem. However, its initial creation was to destroy Israel and form a Palestinian Islamic state. It is highly known for its suicide bombings and other violence against Israeli military facilities and civilians. Despite these, Hamas has performed various social, military and political activities having provided social and welfare services, such as schools and hospital facilities to Palestinians. It dedicates much of its funds to the welfare, cultural and educational services, which are meant to influence Palestinians so as get their support in their military actions against Israeli. Most of these funds originated from OPEC countries such as Kuwait, Iran, and Saudi Arabia etc. Hezbollah or party of God is a political and paramilitary organization found in Lebanon. It was formed during the Lebanese civil war as the army of Shia followers and they were trained, organized and financed by Revolutionary Guards of Iran. Its main aim of creation was to put to an end Western colonialism, punish the phalaghists and develop a political Islamic nation in Lebanon. To many Western countries, it is considered a terrorist group after being connected to Beirut bombing in 1983, but to Arabian and Islamic countries it is viewed as an organization opposed to Western ideologies and policies. More so, it is highly popular in Lebanese and of them in support of its activities as to them it is legitimate organization. It receives its training, financial and military support from Iran. The organization has its leaders in Lebanese Government, a radio station and a satellites television as well as social and welfare programs such as provision of health and educational facilities. In addition, it is believed to be one of the first Islamic groups to use suicide bombing, assassination and kidnapping of foreigners so that they grievances could be attended to; but later on, they turned to military actions such as firing of missiles etc. Islamic Jihad refers to religious wars, which are declared by Muslims whenever they feel like their Islamic religion is being attacked or threatened. The Islamic groups or organizations have no big difference between them, as they were created to fight for certain grievances or policy changes those they felt inappropriate to the Islamic society. In most cases, they wage terrorist attacks and wars against their opponent without regard for the innocent citizens. They actions are out of desperation and bitterness, given the fact they have to rely on other Arabic and Islamic nations for military and financial support. Without these aid, they have no other way to let world know their grievances and that is why they have to use each and every opportunity to ensure that they point is home, even if its suicide bombing. They differ in terms of their location, financial and military powers, and possibly, their grievances. For instance, Hezbollah is more powerful in terms of its political, economic and social influence than Hamas, this can be attributed to the fact that it is highly effective in its tactics and its policies. The radical groups pose a very big danger to the United States, due to the fact they have a well trained and organized network of their dedicated army strategically positioned waiting for any chance to hit the Americans. These has been portrayed clearly in their current effort to bomb United Kingdom, though one may believe that they are enmity is focused towards Israel. Nevertheless, the fact remains that U. S. support is biased towards the Israelites hence the enmity. At the same time, Muslims believe in religious wars so to them war is part of their religion, hence when they kill a person in the name of protecting their religion they believe there is a reward. Lastly, the fact they are financed by other Islamic and Arabian countries implies that they have the means and the capabilities of attacking the U. S. For instance, Hezbollah was able to defeat Israel with the help of Iran out of Lebanon, and considering that, there is Muslim unity that it is just a matter of what believes. These forms their network which highly in detectable even with the most accurate detecting gadget. Before any negotiations are made, there are several factors, which should be considered: the inducement to commit a terrorist attack is highly determined by the result of a certain terrorist operation, hence the attack that has notably positive impact for the groups are highly and that is the only time when a negotiation is initiated. The Kurdish occupied territories of the Middle East came under the governance of indigenous Kurdish chiefs during the middle era, though they never formed a unified government. However, from 14th century the territories were incorporated to the Ottoman Empire. The incorporation of the Kurdish occupied regions of turkey of eastern Anatolia into turkey angered many Kurds and ended up in a long running war where many people lost their lives. There were major Kurdish conflict in the territory and it was declared a no go zone for foreigners by Turkish authorities for its military use in the year 1925 and 1965. However, turkey first president undertook serious actions to curb the Kurdish cultural and political activities, and this trend followed closely under his successors. For instance, a number of regions were put under martial law to curb the activities of Kurdistan workers party (PKK), and this resulted to severe violent guerilla warfare. This caused much of the country be evacuated and a number of Kurdish inhabited villages destroyed and various judicial execution carried out by both turkey and Kurdish. Since 1999, the state of affairs has cooled down with the abduction other PKK leader Abdullah Ocala, and with the European Union encouragement for official tolerance of Kurdish cultural actions. There are countries that have stake in the Kurdish, turkey and Iraq conflict. These include members of European Union and the western states like U. S, U. K. etc.

Sunday, September 29, 2019

Personality Assessment Instruments Essay

Personality Assessment instruments are comprised of theories and techniques to measure an individual’s personality traits. The traditional psychoanalytical theories provide a framework for understanding negative behavior as well as concepts that predict future behavioral outcomes. Because of the possibility of predictive personality traits, career counselors and organizations have used personality assessment instruments to screen possible employers for qualification. In addition, personality assessment instrument have also been used to detect disordered personalities or other unresolved issues that cause negative behavior patterns in an individual. In this paper I will discuss three Personality Assessment Instruments widely used in measuring an individual’s personality; Myer-Briggs Type Indicator, Rorschach Inkblot Test and self help books. I will discuss the validity, comprehensiveness, applicability and cultural utility of these personality assessments in also examine the strengths and weaknesses of why some work and some do not. The strength and weaknesses of each personality assessment instrument is key in understanding which instrument is â€Å"appropriate† to use. Myer-Briggs Type Indicator Largely based on Carl Jung’s Theory of Personality, The Myer-Briggs Type Indicator (MBTI) was created by Katherine Cook Briggs and Isabel Briggs Myer, during WWII to evaluate personality types to know where to place women entering the industrial workforce. The MBTI would assess women for jobs they were best qualified for. Seeing how successful the MBTI was in placing women in the workforce, today it is still used as an assessment instrument by career counselors and organizations for team building (McCaulley, 2000). The MBTI is a self-report, forced-choice questionnaire. The letters represent the respective personality types which have 16 unique possible outcomes. The test has about 100 questions with only two choices to pick from. MBTI divides an individual’s personality into four areas (McCaulley, 2000); 1. Extraversion (E) or Introversion (I) . Sensing (S) or intuition (N) 3. Thinking (T) or feeling (F) 4. Judging (J) or perceiving (P) This scale is an important factor in determining the dominant, auxiliary, tertiary and inferior behaviors of the individual (McCaulley, 2000). Each individual is measured by the four-letter type formula. Each group of letters reveals the dominant function of the individual and followed by the auxiliary. Each of the 16 combination of letters explains the person’s personality and what area they best function in. Rorschach Inkblot Test Hermann Rorschach, Swiss psychiatrist, created ill-defined designs on paper using ink. After much trial and error, Rorschach settled on 10 inkblot cards used to show to patients and illicit a response. It was determined that different patients in a particular psychiatric group gave different responses. The test was created to understand the mind of an individual. During the assessment, the patient is shown a card and is expected to explain the thoughts that come to mind when analyzing the card (Cervone, 2010). The test-giver waits to see the type of response that comes from the patient. And the question of how the patient responds or perceives the inkblot determines the type of personality the patient may have. If the patient’s response matches the inkblot structure’s intended meaning, then the patient’s thoughts are geared towards their reality. If the patient’s response does not correspond with the inkblot then the patient is perceived to have a dysfunctional personality. Self-Help Books Widely popular, Self-help books are a great way for a person to understand psychological disorders and possible treatments. There are a variety of books written by scholars and psychologist who have done extensive work in their area of expertise. Many people who are skeptical about going to therapy choose self-help books as a way to self-administer treatment (Redding et. al, 2008). The problem people face when relying on these books for help is that there is no discussion to make sure that the person understands what they are reading. Also, the books cannot assess the person to see if they can help the person like the MBTI and Rorschach Inkblot do. There is no way to measure if the specific book can help the person. Personality Assessments: from Theory to Practice In this next section I will examine the validity, comprehensiveness, applicability and cultural utility. Throughout my research I have discovered that some critics have argued that each of these personality assessment instruments have weaknesses that do not support what it claims to produce. Others critics have shown the strengths’ in these widely used personality assessment to be applied in various cultures that have shown consistent scoring. Validity One of the most widely used personality assessment instruments is self-help books. They are easily accessible by most people seeking to resolve psychological issues. However, it is difficult to say if what the writer proposes to be a solution works effectively for the reader (Redding et. al. , 2008). The problem with the validity of self-help books is that not all are written by professional psychologist. Often people are faced with serious psychological disorders that they wish to resolve on their own as opposed to therapy (Redding et. l, 2008). Another issue with self-help books is that they do not test people to see if they have applied the information coming from the book to the area in their life where they face challenges nor can it pinpoint the exact disorder a person is dealing with. I would have to say that the Myer-Briggs Type Indicator holds the most validity out of the three personality assessment instruments and is the most favored. The MBTI has been tested and based on the 16 different possible personality types most people have fallen under one of the combinations. The MBTI follows the theory of personality traits by Carl Jung. Jung’s theory distinguishes two dichotomous pairs of cognitive behavior: extraversion and introversion (McCaulley, 2008). The MBTI has been shown to be successful in determining an individual’s personality that fits a specific career or in organizing groups for team building. On the other hand, when a person has been assessed using the Rorschach inkblot test, disordered personality can be revealed thru extensive testing. The validity of the Rorschach inkblot test as but argued that there is a bias in the testing because Hermann Rorschach’s training was in psychoanalytical theories. Another problem that arises with the Rorschach in examining its validity is the scoring of the test. Many of the scorers give a higher score to the test taker if their response matches those of previous scorers (Sendin, 2010). Comprehensiveness Self-help books focus on an areas in an individual’s life such as alcohol addictions, Attention Deficit Disorder, How to deal with a Break-Up. And while the books can be informative the theory behind the solution must be examined. Most self-help books are written in the opinion of the author writing the book. Some of these opinions may not be in accord with the reader’s background so it is difficult to say if the reader is able to comprehend what the author is conveying (Redding et. al, 2008). It also depends only what the reader is looking for. If the reader is open to alternative solutions as opposed to traditional one then the book will help but because a person is not tested on the self-help books they are reading it is hard to determine how comprehensive the book is. MBTI has 16 possible personality types that this world-wide instrument uses to address issues faced by individuals, groups and family counseling that are challenged with communication, career planning, learning and life -long development (McCaulley, 2000). When assessing an individual’s personality not only is this helpful in career counseling but also when determining why individuals or family members are having communication problems. Applicability Self-help books can be easy to understand. Some of the methods are broken down in simple steps that anyone can apply. However, if one wants to assess the type of personality that can handle a certain job the Myer-Briggs Type Indicator is more appropriate to use. This assessment instrument has been used by career counselors and employers to match individuals to specific studies or industries (McCaulley, 2008). I would not recommend using the Myer-Briggs Type Indicator when assessing an individual’s personality for disorders. The Rorschach Inkblot has been a successful instrument in examining the mind of a person (Cervone, 2010). However, the Rorschach inkblot was constructed according to Hermann Rorschach’s training in psychoanalytical theory. Cultural Utility Each culture is made of its own belief system and traditions. What applies in one culture may not necessarily apply in another. Some assessments can be used in most cultures and give the same results across the board. However, not all cultures will accept the theories behind the assessment. The issues that I have noticed in researching the MBTI and Rorschach Inkblot test is that in applying to different cultures there has been challenges faced by psychologist. For one, psychologists have not had extensive training in cultural diversity. Nor have they had training in language. Most ethnic low income groups have had poor health service in which there has been a misdiagnosis due to language barrier (Dana, 2000). Also to consider are groups who come from another country and have different views on the mental health system. For example, in administering the MBTI and Rorschach Inkblot test to Russian Jews challenges are faced because of their cultural belief. Russian Jews are highly suspicious of mental health professionals and find it difficult to believe that community health agencies do not have ties to the government (Dana, 200). As a result, they deny any mental health issues. The fear that exists with Russian Jews is because of the way they saw the Soviet Government force people to commit to a mental health institute (Dana, 2000). Consequently, self help books have been successful in reaching a mass audience because books have been published in various languages. Conclusion As you can see Personality Assessment Instruments have been very useful in helping to examine an individual’s personality for career choices, in team building and examining a disorder. However, specialist have has revealed their weaknesses and show that these instruments cannot be applied in any situation without further investigation. Each personality assessment instrument is unique with it’s own characters. In order to be able to better serve the mental health industry only a particular assessment can be used for a specific analysis.

Saturday, September 28, 2019

Impossibility of Auditor Independence

The Impossibility of Auditor Independence Intentional collusion of auditors and their clients is is not the major cause of Audit integrity. Most of the times, auditors find it difficult to become objective. In 1992, Phar-Mor, Inc. drugstore in the United States seeking a court protection from corruption failed a court case. The previous auditors, Coopers & Lybrand, Phar-Mor's failed to state inventory inflation and manipulation of finanicial that lead to overstating of $985 million earnings in a period of three years. The judges found Coopers ; Lybrand answerable for fraud to the joint investors.The attorney for one investor argued that â€Å"this sends a strong signal to the accounting community that investors take very seriously the role of audited financial statements and rely on them for their integrity. â€Å"‘ The investors who successfully sued Coopers & Lybrand contended that Gregory Finerty, the Coopers & Lybrand partner in charge of the Phar-Mor audit, was â€Å"hu ngry for business because he had been passed over for additional profit-sharing in 1988 for failing to sell enough of the firm's services. â€Å"‘ Analysist, argue that Independence of audit was hindered by relationship with the management.Unjustified certification of financial statement like The Phar-Mor case are of many cases where auditors have been held responsible. Investors in the MiniScribe Corporation maintained that auditors were at least partially responsible for the now-defunct company's falsified financial statements; at least one jury agreed, holding the auditors liable to investors for $200 million. In the U. S. financial reporting of savings and loan crisis has led to lose of millions of dollars by audit firms settling lawsuits and out-court suits making them collapse.The accounting profession claim that plaintiffs unjust actions are aimed looking for a convenient â€Å"deep pocket† towards recovery of their unplanned business decisions. The accounting p rofession’s role in financial reporting has experienced low reputation by investors and lenders. How could auditors not see that so many of their savings and loan clients were about to fail? How could a prominent auditing firm with a reputation for integrity overlook such large misstatements in Phar-Max H. Bazerman is the J. Jay Cerber Distinguished Professor of Dispute Resolution and Organizations at the J.L. Kellogg Graduate School of Management, Northwestern University. Kimberly P. Morgan is a certified public accountant and a Ph. D. candidate at the Katz School of Business, University of Pittsburgh. Ceorge F. Loewenstein is professor of economics, department of social and decision sciences, Carnegie Mellon University. First, the auditor-client relationship greatly influences opinions made about financial statement by auditors . Even the most professional auditors find it almost inevitable to maintain independence with the current audit procedures.Imagine situation where p rofessionals deliberate their duty without prejudice at all times. For example doctors treating patients without expecting salary. Teachers in schools guiding learners selflessly. However, teachers, doctors or judges are motivated by their own gains making them vulnerable to impartial judgments and not necessarily corrupt. Auditing mandated to provide direction to shareholders and stakeholders posses big losses in case it fails to detect malpractice in financial statements preparation. The management hire, mandates and even suck auditors.Therefore, auditors serve the interests of their employer hence seem bias. The American Institute of Certified Public Accountants (AICPA) states in its Code of Professional Ethics: â€Å"In the performance of any professional service, a member shall maintain integrity, shall be free of conflicts of interest, and shall not knowingly misrepresent facts or subordinate his or her judgment to others. . . . Members should accept the obligation to act in a way that will serve the public interest, honor the public trust, and demonstrate commitment to professionalism. ‘ The code of ethics acknowledges to some extent compromise on integrity and objectivity of the profession. Several parties including stakeholders, business advisors, lenders and financial institutions depend on financial statements to aid in their decision making. The management strives to maintain the reputation of the company. However, temptation to give over-ambition plans and objectives drive the management to give false information about the financial position of the company. This serves to attract external potential customers and takeholders. Financial reporting suffers from unqualified auditors. Reliability, accuracy and objectivity matter a lot in financial statements. Financial statements investigation requires generally accepted standards in accordance with International Standards of Auditing. Unqualified auditors usually communicate wrong presentations about the truth and fairness of accounting. Furthermore, independence cannot be possible in intellectually. Normally, misstatements occur during presentation as auditors interpret the data.Accidentally, false judgment enters the audit reporting without conscience. In the process of reporting and analyzing financial statements false information may be relayed as well. One’s role in presentation of information plays a vital role in terms perception, interests and preference. This subjective factors manipulate facts altering fairness and justice. Inaccurate interpretation of data leads to misleading conclusions. People fall into the trap of distinguishing between personal interests and morality.The rewards participants get in the exercise expose them to difficulty in liberating themselves from bias. In many circumstances, auditors consider the people who might be hurt by their independent opinion on the financial statement. The potential people to be affected by the report may b e close associates with the audit. This may make them give false verdict about the fairness of the statements. On the other hand pointing misstatement ruins close relationships and in the event lose friends, contract and employment.Auditors reappointed periodically get used to the company’s mediocre in preparation of financial statements. In the event auditors ignore small errors and frauds in the institution. Auditor often adjusts statements reporting. People mislead to rationalize a judgment that is consistent with their own interest. People justify their inaccuracy and one sided judgment about balances through manipulation of data. Serious sanctions and even hefty charges may result. On the contrary, emerging trends auditing promotes independence in the current world.First, competitiveness increase in audit firms. Also dire results of losing a client and increased advantages of cordial relations with the client. Competitiveness Previously, junior auditors basic wage rate w ere at a ratio of four times the cost of the employee. Nowadays when a firm engages in corrupt reporting this amount may fall. In highly competitive markets, audit firms often accept losses audit fees in the initial years in order to â€Å"buy† the company. The client may be retained for a longer period by accepting heavily discounted fees.In the current period audit firms treat clients with great regard. Today, clients can be lured intensified competition among audit firms takes place within and without. These rules of audit business and implications in market share determine profits and even effects of losing a client in a negative audit. . Second, big partnerships such as tax and consulting firms grow rapidly due to audit. Not only do the auditing profession generate profit but also serves as a consultancy agency. In many cases, a Firm's audit client gets consultancy services from the same firm.Notably, the consulting client benefits a lot from the consultancy than from th e audit. Therefore, the views about the accounts also poses a risk on the consultancy service. On the same vein, the integrity of the reporting can be at risk too. Actually, involvement in both consultancy and audit further posses questions on whom the auditor is accountable to and working For. Focused on the obvious conflict of fulfilling responsibility to external users versus the financial benefits of pleasing the client.This conflict is typically viewed as a moral trade-of f on the auditors Face. The larger problem, however, is not with the auditors' morality, but with limitations in the way that they process information. Thus independence remains a problem For even the most moral, honest auditor. Despite the auditors' best efforts to place the external users' interests For the above the client's and to maintain objectivity, they may be unable to overcome cognitive or psychological biases that make them arrive at marginal decisions in the client's favor.The larger problem facing society is that there is good reason to believe that auditors will unknowingly misrepresent facts and will unknowingly subordinate their judgment due to cognitive limitations. While audits are done for external criitics, the negotiated relationship between the auditor and the client creates them. Both the auditor and the client benefit From auditors' self-serving bias. We believe that the auditing profession and external users of financial statements should actively seek fundamental changes in the current structure of the auditing relationship.Observers of the profession have suggested various possibilities, such as prohibiting a firm that conducts a company's audit from simultaneously providing other services for that client, prohibiting audit Firms From providing any related services, having external bodies appoint auditors or set fee structures, requiring companies to periodically change auditors, increasing oversight of auditing practices, or, the most drastic, having governmen tal agencies rather than the private sector conduct audits.While we do not know that any of these suggestions would be optimal, we believe we have made a convincing case for reform of the current auditing relationship. External users pay a huge price for the flaws in the current structure of audit. Work cited 1. Adapted from M. Murray, â€Å"Coopers & Lybrand Is Found Liable by Jury to Investors,† Wall Street Journal, 15 February 1996, p. A-8. 2. Adapted from M. Pitz, â€Å"J'-‘O' Finds Phar-Mor s Auditors Negligent,† Pittsburgh Post-Cazette, 15 February 1996, pp. A1-A6. 3. American Institute of Certified Public Accountants Code of Professional Ethics, 1988. 4. W . Burger, U. S.Supreme Court: 1984, United States v. Arthur Young & Co. , US Supreme Court Reports, IG April 1984, 79 L Ed 2d, 826-838. 5. J. C. Robertson, /! W/>/>/g-(Homewood, Illinois: Irwin, 1990). 6. E. Waples and M. K. Shaub, â€Å"Establishing an Ethic of Accounting,† Joumalof Business Ethi cs, volume 10, 1991, pp. 385-393. 7. C. E. Jordan and J. G. Johnston, â€Å"Auditor s Independence: A Proposal to the Profession and the Public,† The Woman CPA, volume 49, July 1987, pp. 3-9. 8. D. M. Messick and K. P. Sentis, â€Å"Fairness and Preference,† Journal of Experimental Social Psychologf, volume 15, 1979, pp. AMi-A'iA. 9. K. A.Diekmann, S. M. Samuels, L. Ross, and M. H . Bazerman, â€Å"Self-interest and Fairness in Problems of Resource Allocation,†/O; »7M/ of Personality and Social Psychology (in press). 10. D. M. Messick, â€Å"Equality, Fairness, and Social Conflict,† Social Justice Research, voune 8, 1995, pp. 153-173; and D. M. Messick and A. E. Tenbrunsel, eds.. Codes of Conduct {New York: Russell Sage Foundation, 1996). 11. L. Thompson and C . Loewenstein, â€Å"Egocentric Interpretations of Fairness and Interpersonal Conflict,† Organizational Behavior and Human Decision Processes, volume 51,1992 , pp. 176-197; C . Loewenstein, S. IssacharofF, C.Camerer, and L. Babcock, â€Å"Self- Serving Assessments of Fairness and Pretrial Bargaining,† Journal of Legal Studies, oV vtll, 1993, pp. 135-159; L. Babcock, G. Loewenstein, S. Issacharoff, and C. Camerer, â€Å"Biased Judgments of Fairness in Bargaining,† American Economic Review, volume 85, December 1995, pp. 1337-1342. 12. K. Jenni and G. Loewenstein, â€Å"Explaining the Identifiable Victim Effect,† Journal of Risk and Uncertainty (forthcoming, 1997); D. M. Messick, and M. H . Bazerman, â€Å"Ethical Leadership and the Psychology of Decision Making,† Sloan Management Review, volume 37, Winter 1996, pp. 9-22; and L. Babcock and G.Loewenstein, â€Å"Explaining Bargaining Impasse: Th e Role of Self-Serving Biases,† Journal of Economic Perspectives (in press). 13. SeeG. Loewenstein andj . Elster, Choiceove>- 7/>H(? (New York: Russell Sage Foundation Press, 1992); G. Loewenstein, â€Å"Behavioral Decision Theory and Business E thics: Skewed Ttade-offs between Self and Other,† in Messick and Tenbrunsel (1996). 14. See J. C. Corless, R. W. Bardett, and R. J. Seglund, â€Å"Psychological Factors Affecting Auditor Independence,† The Ohio CPA Journal, volume 49, Spring 1990, pp. 5-9. Reprint 3848 94 BAZEHMAN ET AI,. SLOAN MANAGEMEN T REVIKW/SUMME R 1997

Friday, September 27, 2019

International Relations Theory and the Environmental Crises Research Paper

International Relations Theory and the Environmental Crises - Research Paper Example The main ecological challenges of the deterioration of the physical health of the environment are still not analyzed in the context of a full-fledged ecological crisis. Let us start analysing the critical situation of our physical environment through various warning signs that emanate from nature including the warming of global climate, thinning of the stratospheric ozone shield, accelerating loss of biodiversity, acidification of freshwater lakes, soil erosion, desertification, and many others (Laferriere & Stoett, 1999, p. 3), IR theorists have remained unable to concentrate on the upcoming environmental crises. The study of the environmental crises in relation to the IR can be initiated by understanding the notion that the underlying causes of ecological degradation are political and wherever they are not, are followed by the human consequences of natural disasters. Many theorists believe that such 'attacks on nature' indicates a commitment to material growth and state power, which requires the systematic control and use of human and non-human nature. Therefore IR theory tells us that 'Positivist' theories are most likely the ones to replicate IR epistemology and are aimed to a limited extent to consider the methods adopted by the natural sciences.This way we see that examining the congruence between realism and environmental crisis requires an appraisal of key realist assumptions and recommendations, and hence of their likely implications for the state of the world. The concept of security that is produced in the classic realist texts of the immediate post-war period is clearly dependent on the container schema. However, it is equally clear that the compelling nature of the realist discourse is dependent not on one single schema and derived metaphors, but on a densely interconnected network of schemas and metaphors which are not static but have their own inferential dynamics (Beer & Hariman, 1996, p. 209). That means realism supports all kinds of power seeking techniques inclusive of all weapons of mass destruction. If we analyze the environmental crisis in the light of Darwinian studies of evolution, it is clear that we would find a solid basis which supports both 'realist' theories of international relations and 'rational choice' approaches throughout the social sciences (Masters, 2004). IR policy suggests that if a policy is perceived as a strict response to international structure, it is to argue that there need be no direct connection between a realist perspective in international affairs and one's particular ideological affinity in the 'domestic' sphere. This has been a controversial argument made about Hobbes which represents either realism's greatest strength or its greatest weakness, depending on one's interpretation.

Thursday, September 26, 2019

The Impact of Technology on Experimentation and Popularity Essay

The Impact of Technology on Experimentation and Popularity - Essay Example As the study stresses music or visual art, there is an evolution which can be seen. This begins with the concept of the handicraft, such as seen in the oil paintings, sculptures or other types of natural art pieces. This is also seen in the acoustical sounds of music that are often noted with performances. Each of these has an aesthetic value that is used within the art and which was important in the values of society and culture in past times. Today, the integration of technology has changed the expression as well as the aesthetic value. The evolution is one which now integrates different techniques, sounds and ideas, specifically because of the ability to add in technology and to relate to the ways in which it can express the main ideologies that are a part of both the artists’ viewpoint and the concept which is valued through the spectator or listener. According to the paper findings the concept of technology as a part of the evolution of art is one which relates to the ideology of Collingwood, specifically with the aesthetics theory. According to this specific theory, the artist evolves different ideals because of the relationship to aesthetics. When an artist sees specific ideals within society, such as images, there is a direct relation to the concept of what is considered as beautiful and what should be represented in different forms of art. The concept of music has moved from the idea of aesthetics that are based on acoustics, such as through classical forms of music. However, in the early 1900s, electronics began to be a part of the experimentation with musical instruments as well as with various composers. By the 1950s, recording studios, electronic guitars and other electronic instruments were at the forefront of music. Rock and roll, country and other forms of contemporary sounds began to arise with the ideology of popular music. As these continued to form, there was also a different sound which was heard, mixtures of instruments that differed from the acoustical sounds and a growing popularity of both recordings and live performances with various musicians. The impact which technology had not only led to the making of music with technology, but also was associated with mass consumption of the music because of the new and popular sounds which were available to everyone both inside and outside of a performance (Theberge, 1997: 9). As popular music has continued to arise within culture and society, it has also led into a different way of associating with expression and the way in which music is heard. Combining art and technology

Social Policy Bachelor Essay Example | Topics and Well Written Essays - 2000 words

Social Policy Bachelor - Essay Example However 'secondary education for all' did come about after a fashion under the 1944 Act. Education in Britain as changed greatly since World War II, mainly due to the 1944 Education Act, which made secondary education free and compulsory until the age of 15 years. The views taken of education and its importance in national, economic and political terms have varied a great deal since then with each new government: there have been many good intentions but too few initiatives taken to achieve the ideal system. Unfortunately this means that, unless you are white, male, middle class and non-handicapped, the institution of the school may not be very helpful to your development, and your days at school may be remembered as a time of prejudice, frustration and lost opportunities. The immediate post-war period in Britain constituted a new way of thinking about public and private life. There were many promises heralding a better life for everyone, including the provision of free, compulsory secondary education: public education came to be seen as a 'bastion of national recovery' ( Gosden, 1983). Three types of school were suggested: grammar, technical and secondary modern with grammar schools continuing to be seen as superior and biased towards middle-class boys. The 1959 Crowther Report recommended raising the school leaving age to 16 years, the introduction of comprehensive school and a new exam below GCE level -- however, these moves towards equal opportunities were not completed until the 1970s. Similarly, the 1983 Newsom Report argued that pupils of below average ability should receive a greater share of resources, and recommended improved teacher training. From the 1960s onwards, education was seen more and more in the context of economics an instrument of national interest rather than personal fulfilment. Education became more and more under central (and parental) control in the 1980s -- the 1980 Education Act made it no longer the duty of LEAs to provide free school meals, and introduced parental scrutiny and choice. The second half the 1980s saw a restructuring, and the unashamed acknowledgement that the market was the new cornerstone of education Key aims were now to keep output constant and affordable, to remove LEAs as a source of education policy making, and to replace effectiveness with efficiency. The 1988 Education Act is a set of 'compromises and interventions' (Ball, 1990): it sets out the National Curriculum (fine in principle, but unfair in practice), more power to school governers, and the possibility of 'opting out' of LEA control by individual schools. Another area in which young people are not given the chance to fully develop their potential is that of Special Educational Needs (SEN), defined by the 1988 Education Act as a 'learning difficulty which calls for special educational provision to be made'. Judiciary system The development of education policy in Britain includes concept of 'educational disadvantage' since the 1950s, the comprehensive reorganization of secondary education in the 1960s and 1970s, the change in ideas on education in the 1980s and 1990s, and New Labour's policies. Political ideologies have shaped social policy of United Kingdom since 1945. The political party system, dating from the 17th century, is an essential element in the working constitution. Several parties win seats in

Wednesday, September 25, 2019

Project Manager to develop a project plan for 2. ASEAN Ministerial Assignment

Project Manager to develop a project plan for 2. ASEAN Ministerial Conference in Singapore for ASEAN leaders - Assignment Example On 9th January 2013, H.E. Le Luong Minh has been appointed as a secretary general of the ASEAN ministerial conference (2ASEAN Secretariat, 2014). In order to highlight the structure of the ASEAN leaders it can be asserted that the Chairperson is selected among the ASEAN countries in every year. Recently, during 2014 the 24th ASEAN ministerial conference has held in Nay Pyi Taw, Myanmar. ASEAN ministerial conference is planned to be held in Singapore. In this regard, as project manager, the responsibility of seeking that plan of conducting the conference in Singapore is done in an effective manner (Council of the European Union, 2010; Economist Intelligence Unit, 2002). In this assignment, an analysis of the internal and external environment of Singapore is conducted. Apart from this, the assignment will also highlight the strength and weaknesses of the ASEAN ministerial conference in Singapore along with its opportunity and threats. Accordingly, appropriate strategic options are formulated with the aim of accomplishing the objective of conducting the conference successfully. Economic activity is performed on diverse geographical regions within the globe. Owing to its widespread operations, Singapore faces several threats from the political ground, particularly in terms of instability associated with the political condition of the nation. Thus, in order to conduct an ASEAN ministerial conference, a close monitor should be made for determining political threats, which can adversely affect the conferences and the ASEAN leaders conducting the meeting (Lucintel, 2014; Ha & Coghill, 2006; Government of Singapore, 2005). The economic condition of Singapore is bright, as major industries have contributed towards the ’Gross Domestic Product’ (GDP) of Singapore. Apart from this, most of the organizations have emphasized business expansion, which has assisted in maintaining the growth of its

Tuesday, September 24, 2019

News media Research Paper Example | Topics and Well Written Essays - 500 words

News media - Research Paper Example The principle of this article was to make clear to the public about the dangers of meat product consumption. In addition, it would arouse the government to introduce activities that could tame unscrupulous meat packagers and processors. In this sense, this article is intended for responsible entities such as the USDA. It is also projected to the public and institutions such as public schools. For the public, it is vital that they assess the credibility of restaurants and retail houses. On the other hand, the government should attain information about the potent of the current food industry for respective reactions. This is a NY Times piece that was published in the month of October and in the 2009. New York Times is an approved entity that specializes in various kinds of informative articles. They range from investigative reports to reactionary opinions. According to New York Times, Moss is a Pulitzer winning journalist that has been specializing in investigative and informative pieces. In this sense, his pieces would be mostly objective and vent oriented. Mr. Moss has a high level of credibility since he specializes in food industry. His Pulitzer price was based on the E.Coli virus report about Stephanie’s situation. Since 1994, the government banned grocers and meat companies from beef that carries the virulent strain of E.Coli (Moss 1). The scientific name of the virus relates to 0157:H7. It came into public focus in 1994 because of an outbreak which resulted into the deaths of four children. In spite of its age since the 1994 scare, many individuals still sicken of this deadly pathogen. In spite of Ms. Smith’s extreme reaction to E.coli strain, it is discernible that the system was lousy in its meat safety procedures (Moss 1). This is exemplified in the trace of her infection through corporate records and interviews. This makes beef consumption a dangerous

Monday, September 23, 2019

Impact of an Education on the Economy of the States Essay

Impact of an Education on the Economy of the States - Essay Example Economists measure the prosperity of a country depending on the number of the educated populace because success is dependent on the education of a state. The educated populace in a country sets the pace for development that students who are still in schools need to follow. They set standards that students should meet so that the state obtains a high-quality education. Through this, most state result to have a productive population. This is evident in countries that are economic power yet they lack natural resources like gold, copper, or oil. The educated populaces in a state act as trendsetters in developing skills and knowledge through educating the rest of the population on the importance of education. This is evident in recent days because it has seen an expansion of sectors concerned with education. The number of schools and universities has significantly increased due to the influence of the educated populace. The educated peoples act as teachers and lecturers in classes that deal with technology advances. Education is possible to contribute to technology change and capabilities in countries industry. From a study, it was clear that educational level and skills of workers relates to the rate of technical change of a firm in a positive way. It will encourage an increase in education level and prosperity of a country (Bourguignon, Elkana and Pleskovic 21). Education in many countries has paved the way for innovation in various sectors. Innovation in research, training, and different areas is inclined to improve by having good and quality education. It will persuade many people to pursue an education in many countries. Innovation in health, agriculture, and the technology sector has encouraged students to continue their ambitions to become productive people in the society driven by their interest in having a prosperous country.

Sunday, September 22, 2019

Parliamentary reforms in the nineteenth and early twentieth centuries Essay Example for Free

Parliamentary reforms in the nineteenth and early twentieth centuries Essay How far would you agree that fear of popular hostility was the main reason why governments enacted parliamentary reforms in the nineteenth and early twentieth centuries? The reform movement first started to achieve mass support in the 1760s; during the years of the French Revolution it even appealed to the members of the anti-reform Whig party but as war with France started, the authorities feared revolution as had happened in France and so used repressive measures in a bid to stamp out these new ideas. It was in 1815 however that the reform movement began to become more significant when widespread unemployment attracted the masses to the idea of reform. But as conditions improved during the 1820s the pressure for reform decreased as Cobbett said, I defy you to agitate a man on a full stomach. The reform movement was not unified nor was it on a national scale. There were different groups urging for changes the most extensive of these were the radicals, such men as Robert Paine. They campaigned for universal male suffrage, annual parliaments, equal electoral districts, a secret ballot, the payment of MPs and the abolition of property qualifications for MPs. There were some more radical that others however and along with little agreement on what should be the best policy of reform they had little success on parliament. There were also calls for reform from more moderate radicals and members of the Whigs that called for measures for more limited reform such as disfranchising the worst of the rotten boroughs and giving representation to larger towns. The lack of reform prior to the 1832 Act can be explained by the lack of unity of the reformers and their less that significant support in the country but more importantly the Tories anti-reform majority in parliament and the small number of pro-reform Whigs and radicals. The economic slump of 1829 and an increase in poor harvests caused unemployment and distress for many working class families and thus made them more susceptible to reformist ideology. This period saw the reform movement revived by such radicals as Cobbett and Hunt; the BPU, a reform organisation was also founded by Thomas Attwood which provided a pressure group aligning the lower and middle class people this provided the opportunity for others to be created throughout the country during 1829-30 with the middle and working classes increasingly cooperating together; the combination of the two provided a class alliance that the Tories were fearful of. The death of the pro-Tory King George IV necessitated a general election in which the Tories majority was heavily reduced and the continuation of Wellingtons government became uncertain with the increase of Whig seats. This was due to the pro-reform attitude of the country especially within the counties and open boroughs. The election saw the return of Henry Brougham in a seat for Yorkshire; he was more popular in the country than any Whig leader and had promised to initiate parliamentary reform. With the reform movements continued support, other agitation began to emerge in the country. The Swing Riots of Southern England involved burning hayricks and breaking machinery which they blamed for reducing employment for farm workers. Although easily suppressed, the Whigs, worried of unrest and encouraged by the Tory decline, announced their intention to introduce reform legislation in the Commons; Wellington however continually expressed his belief that the existing system possessed the full and entire confidence of the country. In November 1830 the defeat of the Tory government in the Commons brought an end to their 20 years of rule. This opened the door to the Whigs who had already expressed intention in reforming parliament who formed a minority government. The Whigs aim of producing this legislation was a measure large enough to satisfy public opinion but to also provide resistance to further innovation and to uphold the authority of the Aristocracy and the existing Whig government. Although they wanted to remove the most blatant abuses, they were heavily concerned with preserving as much as possible the social and political status quo. Their strategy was to remedy the grievances of the middle classes thereby gaining their support and dividing the middle-working class alliance of the reform movement which posed huge problems for the government of left unresolved. The Bill made no concessions to the radicals and working classes meaning that post-reform agitation would almost certainly continue. During the Bills progression through parliament, agitation continued. Political unions organised demonstrations, riots occurred in Nottingham and Bristol and further violence seemed possible. This extra-parliamentary agitation only strengthened the Whig governments determination in passing the Bill. When King William IV refused to create more Whig peers to carry the Bill through the Lords, Grey resigned and Wellington took office again. This resulted in the Days of May where nationwide protests and demonstrations made some fearful of revolution; reformers also threatened an economic crisis by withdrawing gold from the banks to stop the Duke, go for gold. With Wellingtons failure at forming a government, and the huge public opinion in favour of reform, the King had no choice but to create these necessary peers the Tory majority in the House of Lords however conceded and the Bill was passed. It can therefore be seen that although reform was intended by the Whigs, there was still fear of an uprising that could have swayed members votes, especially in the Commons. Further parliamentary reform was inevitable the Whigs had recognised the huge public opinion in favour of reform and were now in a majority in the House of Commons. Lord Althorp even warned Grey in 1833 that without popular measures, the Reform Act will lead to revolution. It is therefore clear that the fear of uprisings was still apparent to many even after the Act was passed. Although the next Reform Act wasnt passed until 1867, there was still popular agitation in the country. This especially came from the Chartist movement whose demands would have essentially made Britain into a democracy; their demands were however ignored by parliament largely based on the fact that anti-reformer Palmerston was in charge for much of the period between the Acts. With an increasing number of reform legislation being passed both social and economic the country was becoming more democratic and with this came factors in determining parliamentary reform. As well as radical demands for reform continuing, a new factor of party political opportunism was also present it was in the Conservative parties own interests to pass the Second Reform Act. As had happened prior to the 1832 Act, 1866 saw economic problems which increased social discontent and fuelled the calls for reform this is evident in the huge surge of membership to the Reform Union and Reform League. In 1866 both organisations one middle class, the other working started working together, creating the same threat that the Tories had feared back in 1830. It was the Liberal party that introduced the first Bill to parliament, with them seeing the opportunity in enfranchising selective members of working class who were already in favour of the party. The radicals backed the Bill but believed that the measure was too limited; many right-wing Liberals however thought the opposite that the Bill would enfranchise too many of the working class. The Conservatives saw the opportunity of the split ideology and the Liberal party and worked with the right-wingers in defeating the Bill in June of 1866; the Liberal government resigned, giving way to a minority Conservative administration. Despite his own parties opposition to reform, Disraeli introduced his own reform Bill based purely on self-interests in gaining the support of the proposed boroughs to be enfranchised. Moreover, Disraeli also claimed that he intended to destroy the present agitation in the country. As well as party political interests, agitation was still ongoing with radicals and organisations pushing for reform. A peaceful demonstration by the Reform League in London had erupted in violence in July 1966; this, along with further riots, convinced many MPs on the need for reform. Disraelis Bill introduced in March 1867 was more moderate than the Liberal one before it, with the intention that those who opposed the last Bill will accept this one. Rather than it being defeated, Disraeli was willing to make the Bill even more radical than the one prior it was their certainty that redistributing seats would return a Conservative majority that made members within the party support the Bill, along with the radical MPs. It can therefore be seen that self-interests of parties was the main factor in bringing about the Second Reform Act rather than agitation in the country, which was the case during the 1830s. Calls for a secret ballot had been apparent since the late eighteenth century, it was even considered during the Reform Bill in 1831. It wasnt however agitation that led to the Ballot Act of 1872, it was the election of 1868. Violence, corruption and intimidation had occurred as in every election prior but what was surprising was the publicity the election received with journalists commenting on the extent to which violence was a factor. The government set up a committee in 1870 to look into this with their report favouring a system of secret voting. Although the Conservatives apposed such a measure, they saw the opportunity in getting radical support so pushed ahead with the Bill. Intimidation still continued even with an increased electorate and secret voting it simply meant that candidates had to spend more to win over the voters. Secret voting did however mean that voters would not necessarily vote for the candidate they had received money from; this, along with radical calls for reform, urged governments of the time to act. The 1883 Corrupt and Illegal Practices Act passed with both Conservative and Liberal support it limited the expenditure of elections (fell by three-quarters in the 1885 election) and in turn reduced corruption and violence. It was parties interests saving them the huge expense of elections that again prevailed over agitation to pass reform. After the 1867 Act, most politicians had accepted that further parliamentary reform was inevitable, even if they didnt support it. It was therefore important to ensure that reform was in the parties interests, as had occurred in 1867. It was again party self-interests that determined the Third Reform Act Gladstone agreed to support moderate reform believing he would gain popularity in the country. A Liberal Bill was introduced in 1884 with the Conservative majority of the House of Lords, led by Salisbury, believing that although an extension of the county franchise would be beneficial to the Liberals, a redistribution of seats would prevent them from gaining a sufficient majority. By this time conflict had reappeared again, not regarding reform but the abolition of the House of Lords. The riots that followed were not on the same level as in 1832 and the government had little to worry about. There was no significant extra-parliamentary pressure for reform, it was the parties acting in self-interest for themselves in trying to pass the Bill that really counted. A compromise was finally reached the Arlington Street compact in which both parties got what they wanted the Liberals an extension of the franchise and the Conservatives the redistribution of seats. With each successive Act making the House of Commons more democratic, the House of Lords remained essentially aristocratic, with many radicals proposing the upper House be reformed. There were repeated calls for the House to be abolished, especially during the Liberals Home Rule Bill, which was thrown out by the Lords. The election of 1906 produced a Liberal majority of over 200 seats, with the Lords still a Conservative stronghold poised to block key Liberal measures in the following years. The Parliament Bill was introduced in 1910, but the Lords were reluctant to pass such a measure that would removed their power of veto. Liberal Prime Minister Asquith therefore urged the King to create more peers to secure a Liberal majority insisting that there was a serious state of unrest among the middle classes that could lead to harming the crown. The Bill was reintroduced to Parliament with the House of Lords finally accepting the proposals in August 1911 rather then see the House swamped by Liberal peers. The 1911 Parliament Act can therefore be seen as very little to do with agitation in the country and more of the fact of the increasing hostility between the Liberal government and the Conservation Lords. Although the electoral system was now more representative of the people than ever before, there were still huge numbers of people who were denied the vote women for example made up half of the population but still had no proper political voice. The system was therefore still criticised, with the Liberal party calling for further reform including manhood suffrage and the abolition of plural voting. It was from the womens suffrage movement that significant pressure on parliament after 1885 emerged. Parliament found it increasingly difficult to ignore calls for reform from organisations such as the National Union of Womens Suffrage and the Womens Social and Political Union, both of which held demonstrations and were increasing in popularity. They began more militant activities including vandalism and attacks on MPs which only helped to alienate potential supporters, it was in fact the more moderate groups that found the greater success. Once again it came down to party politics with the Liberal party in 1905 believing that enfranchising women on the same basis as men would create a majority middle-class, who were more than likely to vote Conservative. The reform movement virtually disappeared during the outbreak of the war, which reinforces the claim that the Fourth Reform Act passed in 1918 was a result of the parties, and not extra-parliamentary pressure. The Liberals and Labour both supported universal male suffrage by now, with the Conservatives apposing the idea at first but hoping such enfranchised men would vote Conservative. Women were also partly included in the act not because of suffragette pressure, but because before the war a majority of MPs favoured extending the vote to them as long as it was in their parties interests. It can therefore be seen that virtually no agitation or pressure was put on parliament during the time leading up to the 1918 Act, it was simply due to the self-interests of the parties with each benefiting from a particular aspect of the Bill.

Saturday, September 21, 2019

Careless Human Environmental Destruction

Careless Human Environmental Destruction For many reasons the human race could be called a blessing. Great advanced in technology, medicine and even the fact we are the most sophisticated species on the planet. Are we a gift to planet Earth, or far from it? With cast amounts of pollution and destruction of the planet, not to mention unthinkable acts of violence and hate that has been going on since the beginning of time. Are we really as sophisticated and important as we have led ourselves to believe? Are we any better than any other creature because we are more technologically advanced? Is the human race a blessing? Humans have destroyed and endangered more species on our planet than any other species or group, with our continuous pollution and lack of respect for out own environment. One area of the world affected by our careless habits is our coastlines and the marine habitats that vast amounts of species rely on. These particular areas of the world are being destroyed because humans dont seem to care as long as they make a couple of dollars in the process. Oil spills like the one in the Prince William Sound on the coast of Alaska and Hawaiian sea turtles and their many troubles with humans are just some examples of human carelessness and the consequences that the environment, particularly marine wildlife incur, which often are fatal. I chose this particular subject because I find the ocean and its unique and rare inhabitants to be interesting. Every coastline has its one unique species and no two areas are the same. I wanted to learn more about how humans are destroying the habitats of these unique creatures. I found that all species are in someway being threatened by human dominance and carelessness. From the common flounder or sea star you can find when you walk across the beach to a rare fish like the coelacanth (prehistoric fish that was believed to be extinct until one was caught off the coat of Madagascar by a local commercial fisherman until in the 1950s). The ocean can be a calm and loving but can easily turn into a vicious killer within seconds. All of these things are what I find so interesting about the ocean. I wanted to find out why people can continue to destroy it even though they know the effect of their actions. I guess some people are ignorant and just dont care if they destroy the things that m ake our environment so beautiful. One example of our careless destruction of our environment is the Exxon Valdez oil spill off the coast of Alaska in 1989. The Prince William Sound still shows signs of the oil spill tem years later. Most species have recovered since the spill, but many are still suffering. The Harbor Seal and herring are just two who are vital to the survival of all the species in the area. Herring are the main source of food for many species in the area, including humans. (Mitchell, p.98) The ecosystem is gradually recovering from the spill, says Molly McCammon, an Executive director of the Exxon Valdez Oil Spill Trustee Council, but it will never be the same as it was twenty years ago. The Exxon Valdez Oil Spill Trustee Council was founded to oversee the use of nine hundred million dollars to the area by the government after settling with the Exxon Company for one billion dollars in criminal and civil damages. One serious problem in the aftermath of Exxon Valdez is the decline of herring. (The tabl e shows the chave in populations of Prince William Sound before and after the Exxon Valdez spill.) Even more disturbing than the fact herring arent recovering as well as other species like them is the fact they were on the decline before the accident. This was a major issue because herring are the center of the ecosystem in the Sound. Many biologists now believe that over fishing of the herring has contributed to their decline. The Pacific Herring is just one species of the area, but if you see how important that one species is to the ecosystem of the Alaskan coast than you begin to see how important all species are to their particular habitats. This is just one example, but if you take a species out of its environment, then a chain reaction would occur, hurting the species around it. Another species that biologists are beginning to study wit the money received from the Exxon Valdez settlement is the Alaskan Salmon. The oil spill has left the Alaskan Salmon on the decline until recently, but still the species is reeling. The last two years have been extremely positive for the Alaskan Salmon population, stated one Alaskan biologists. But her concerns were more focused on the salmon offspring, which had been effected by the spill. Fry, as seen in the left vial, were damaged by the oil. The fry still come in contact with oil when oil pockets seep into some intertidal spawning streams. These pockets are like mines, says Jeffrey Short, a scientist with the National Marine Fisheries Service. Scientist discovered the oil caused genetic defects in salmon. Many species in the Prince William Sound are still recovering from the spill. This is just one spill and you can see the devastation it has made upon its ecosystem. This has been called one of the worst oil spills in his tory. But you can imagine there has been numerous spills that are almost as areas might never fully recover from the spill on their ecosystem. The devastation of an oil spill is just one of many causes of marine destruction that humans are guilty of. Many other species suffer from damaged habitats. Another example of humans destroying their environment and the unique species that live there is Hawaiian Sea turtles. The turtles are becoming endangered because of loss of habitat. The overwhelming presence of humans in the turtles habitat is making is harder for turtles to find areas where they can lay their eggs. The loss of nesting sites if hurting the reproduction of sea turtles because unpopulated beaches are becoming harder to find. Sea turtles have an affinity for certain beaches and when they cannot lay their eggs there they have to find new areas which can take time. Other reasons why the turtles are being threatened are pollution of the ocean and netting. Pollution in the form of debris is killing turtles. They can ingest the plastic debris and it makes it hard to get the nourishment needed from the food they eat. Netting is another killer of turtles. Fishing nets set out by commercial fisherman are a definite killer of sea turtles in the Hawaiian Islands. (http://www.tur tles.org/marines). Erosion of beaches also hurts the sea turtle population. The lack of beach force turtles to lay their eggs in a smaller area. When humans try to stop or reduce erosion it disturbs the turtles even more. Sea walls, canals, jetties, and sandbagging are all things that are used by humans to stop erosion, but they are hurting the turtles more than they are helping them. They need dry land in order to lay their eggs and these structures are deducing land even further. Fibropapilloma Tumors are a serious threat and are beginning to show up on turtles in Hawaii and other areas with large numbers of sea turtles. They were first seen in turtles around 1930, but it wasnt until 1980 that the tumors began to show up in epidemic proportions. The green turtles were the only known species to have the tumors, but it has recently been discovered in other turtle species. The most effected areas of the world are Hawaii, Florida, and Australia. (http://www.turtles.org/threats.htm) All of these threats to turtle population are hurting their hopes of survival. But people out to help the sea turtles such as Denise Parker who works with a marine turtle program in Honolulu, Hawaii, have worked hard and the population of marine sea turtles has actually been on the rise in recent years. The turtles population is coming up from endangered and threatened to a safe number, but that isnt far enough for many who care about the turtles. They continue to help increase the population because they know they would begin to decline again if they didnt have any help. Many groups such as the Marine Turtles Research Program and the National Marine Fisheries Service are helping to restore the turtles in Hawaii. There are also many individuals whose work with the sea turtles have helped in preserving them and their natural environment. One of these people is Ken Nichols. Nichols is a supporter of turtles and he is trying to make the people aware of the environment in the Hawaiian Is lands. He feels that the most important thing we can do is conserve the wilderness and beaches from expansion. We need to educate people about the turtles especially children. When asked about how we can save the environment and the habitat of turtles as well as other species Nichols said, This is obviously a difficult task as the human population continues to grow, which means we are constantly expanding into wild areas which support bio-diversity of all types. I believe the greatest task is education of children and more efficient use of the existing areas we are using. These two ideas, are good examples of how the human race destroys the environment around them. We continue to hurt our wildlife, but there are people out there to fight against the pollution and destruction caused by large corporations and businesses. The Endangered Species Act of 1973 has helped tremendously in the battle for survival of species like the turtles in Hawaii as well as other threatened and endangered species of out planet. (http://www.fws.gov/r9end.com). This act prohibits the further destruction or death of the species. By the Endangered Species Act, citizens of the United States are prohibited from taking an endangered or threatened species, declared by the U.S. Fish and Wilidlife Service, from its environment whether on United States soil or in its waters. Punishment if caught breaking the lwas instead in this act are as follows; 25,000 dollars if caught violating the rules listed above, 12,000 forknowingly participating in the importing or exporting of such species . Any person who otherwise violates any provision of this Act, or any regulation, permit, or certificate issued hereunder, may be assessed a civil penalty by the Secretary of not more than $500 for each such violation. (http://endangered.fws.gov/esa.html) Although this act is a great step towards the restoration of threatened and endangered species many feel the act isnt worth the money. A proposed amendment to the Endangered Species Act threatened many aspects of the project. The proposed amendment was an attempt to undermine the project of funding and political support. The amendment to section 403 of the Endangered Species Act would literally wipe out many of the endangered species protected by this bill. The sea turtles of Hawaii wouldnt stand a chance if the amendment would have passed, said supporters of the Endangered Species Act and endangered species around the world, We cant just let them take back what we have worked so hard for. Shrimp nets alone kill 55,000 turtles a year in the Hawaiian Islands. (http://www.turtles.org/threats). If the Endangered Species Act is undermined where will these endangered species turn? Some senators who support the amendments to undermine the act are back in congress for a second term and many feel the amendments to the Endangered Species Act will be brought up again and re-voted. (http://www,turtles.org/threats). Senator Slade Gorton was one supporter of the bill to undermine the Endangered Species Act. Are these accusations of inhumanity and lack of care for nature completely true about Senator Gorton? On Senator Gortons web site (http://senate.gov/~gorton), he shows his compassion for nature. A letter thanking him for his help on saving trees and several streams in his home state of Washington from the Sierra club was one such article bringing up questions of whether he was so bad. Others seem to think otherwise, but it is hard to tell without actually knowing him or all his work. Many other laws and acts have been implemented to stop the decline in population of many endangered and threatened species. One it the Marine Mammal Act, which protects the many species in our oceans. The Clean Water and Clean Air acts were also adopted to help protect these endangered species from human threats. One example of how humans have hurt many different species of animals is pesticides, especially the pesticide DDT, which was used in World War II to keep insects away from soldiers. After the war, the pesticide was brought back to the United States and used very carelessly. DDT seeped into the streams and contaminated almost every species that ate fish or other animals that had been infected with DDT. From the contaminated fish the pesticide went up the food chain and began killing off the bald eagles. After the substance DDT was nationally banned in 1973 the bald eagle has begun to make a comeback like most of the other species affected by our carelessness. (Discovery, The Bald Eagle). Just because the Bald Eagle is the symbol of our country does that mean we have more of an obligation to protect it than the sea turtles? Hopefully we will be able to stop the amendments one more time, but if they are made what will happen to the animals that depend on it? We have the obligations to protect these animals. We have placed them in this situation and it is our fault many of these species are endangered today. We cannot continue to let them slip away if we can do something about it. Many organizations are trying to keep these laws in place. Others who feel that our money should go to more worthy causes, even though we personally are responsible for the decline in many species. I think we need to support the laws that are in effect as of right now and try to get better funding for the organizations that are already in place. We dont need new laws, we need to support and help fund the ones we already have. The U.S. Fish and Wildlife Service is one of the big organizations that helps protect the endangered species as well as helping to educate and fund other small organizations that can do their part as well. It may not be easy to get funding for programs like the U.S. Fish and Wildlife Service, but we can achieve this goal if we work hard. A good example of how we can help to preserve our endangered wildlife is we can implement a tax that will provide money to these programs. We can add a tax to companies who contribute to the destruction of our environment. For example, if a company produces pollution they should be forced to pay a tax. We can place a standard tax for all companies and corporations who do this or we can base the amount owed by the amount of pollution or amount of destruction caused by the corporation on the environment. For companies that we are unable to tell how much exactly contribute to the destruction of the environment, we can require a base sum. A starting base sum could be five hundred dollars a year for all the companies who contribute to the destroying of the Earth. We can assemble a committee of U.S. Fish and Wildlife agents to assess the amount of pollution a company produces and then a fitting cost for that pollution. It might take a little while to put this proposal into effect. If we anticipated the slow advancement of passing the law in congress it would take six or seven years to implement this law. It wouldnt take a lot of money, but definitely some money would be required. It would take several thousand to advertise if it wasnt donated by a company who felt strongly about the issue at hand. I would think an estimate of about $500,00-60,000 dollars would easily cover the expenses of advertising, salaries for workers and any other expenses. Donations and fundraisers would be used to accumulate enough money to get the support of the people. When I discussed my proposal with my friend, she felt that it was a good idea and that the organizations like the U.S. Fish and Wildlife Service need the money to study and set up programs to save endangered species and these programs need money. She felt it would be hard to get the bill passed because congressmen have ties with big corporations that pollute and they wouldnt have to pay fees. So most likely the proposal would be stopped. Although she didnt see the bill being passed she said that if we accumulate enough money to advertise and get the support of the people, congressmen would be forced to vote for the bill or they might not be reelected. If she has strong feelings about this subject, Im sure the majority of this society is concerned about the environment and about our future. We need to try and get funds for programs and organizations that help endangered and threatened species. Many organizations rely on donations and money from supporters. We need to find ways to get more money for these programs and the proposal of taxes on companies who pollute is just one possibility. Everyone contributes to the destruction of the environment and we all have to do our part to help the species we are killing off. Species like the Pacific Salmon, who were threatened by the Exxon Valdez oil spill of 1989. As well as other species like the sea turtles in Hawaii who were on the verge of extinction until a recent turn around because of help from organizations and individuals. Individuals who take the burden upon their shoulders and make it their business to make up for all the people who could care less what happens to their environment. We need to protect our environment form the people who seek to destroy it for money and success. I think the beauty of the ocean is worth saving. Every creature and every unique species is a creature worth saving. We dont have the right to kill those who arent as smart or sophisticated as us. They have just as mush right to the Earth as we do. We dont have the right to over fish herring in Alaska or cut down all the trees in rain forest s just for money and the profit these resources create.

Friday, September 20, 2019

Description of the Minnesota Multiphasic Personality Inventory

Description of the Minnesota Multiphasic Personality Inventory The Minnesota Multiphasic Personality Inventory (MMPI) is a standardized questionnaire designed to bring forth a wide variety of self-descriptions scored to give a quantitative dimension of an individuals level of emotional adjustment and approach toward test taking. The MMPI has been known as the leading personality inventory, most psychologists who conduct assessments as part of their clinical and consulting practice utilize this test. The widespread use of this test is accredited to several features ranging from its straightforwardness in scoring and administration, a straightforward response format that is essential for research design, a large item pool, many useful purposes and functions, and many practically established correlates. Psychologists make diagnostic and treatment decisions, through MMPI, it has been employed in inpatient and outpatient mental health facilities. It has been used by psychologists in clinical setting to evaluate the existence of psychological components in physical issues and to aid in predicting responses to a variety of therapy and treatment. Starke R. Hathaway and J. Charnley McKinley developed the MMPI in 1939 at the university of Minnesota. It was developed initially because of their vision of an instrument that could assist in evaluating patients during routine psychiatric case workups and could precisely determine the severity of their disorders. Hathaway believed the MMPI might aid researchers in assessing the usefulness of new treatment interventions by allowing methodical matching and evaluation of the participants. The MMPI was constructed using the criterion keying method also known as the empirical method of inventory construction. (Archer, 1997) The criterion keying method is utilized by testing with two or more groups of participants. One group serves as the criterion group, this group has evidence of the defining trait, diagnosis or characteristic that test is intended to evaluate, and the other group/groups serve as a comparison group, where there is no evidence of the characteristics or diagnosis under evaluation. Responses of the criterion and comparison group are compared, and items are then selected for inventory membership that empirically demonstrate significant differences in response frequency. (Archer, 1997) Hathaway and McKinley began their construction of the MMPI by creating an extensive item pool from which various scales could be constructed, the item pool consisted of a variety of statements from different sources, ranging from previously established scales of personal and social attitudes, clinical reports, case histories, psychiatric interviewing manuals and personal clinical experience. (Groth-Marnat, 1997) the result of extensive exclusion and amendment were 504 statements, these statements were balanced between positive and negative wording, and were developed to tap into a broad area of an individuals life. The 504 items were divided into twenty-five content areas. These included items related to general medical and neurological symptoms, the clinical scales ranged from hypochondriasis, depression, hysteria psychopathic deviate, paranoia, schizophrenia, etc to scales to social introversion etc. An additional 55 items thought to be related to masculinity-femininity were later added, and 9 items were subsequently deleted to achieve the final pool of 550 items. (Nichols, 2001) The format of the inventory was first person declarative statements, composed of basic phrasing based on contemporary word-frequency tables. The responses were limited to true, false or cannot say. (Nichols, 2001) The population consisted of normals(Nichols) who were selected to contrast with the pathological criterion groups (N=724) ranging from the age of 16 to 65 referred also as the Minnesota normals(Groth-Marnat, 1997), the sample was closely representative of a typical group of individuals from the Minnesota population, as indicated through the 1930 census. The scales were cross-validated by selecting a different group of normals and contrasting their responses with a new group of clinical patients; so that the items and scales would be valid for differential analysis in clinical setting. Hathaway and McKinley were interested in the fact that participants amend the impression they made on the test due to different test taking positions and opinions; hence the created several scales that could identify the different types and magnitudes of various test-taking attitudes which could invalidate the clinical scales. They developed four scales: the cannot say scale (?) was simply the total number of unanswered statements; If amount of questions was high it would reduce the overall validity of the MMPI profile. The lie scale (L) was developed to indicates the examinees efforts to place himself/herself morally and culturally under an favorable light a create an favorable impression. The infrequency scale (F) is used to assess the inclination of individuals to claim highly unusual attitudes, opinions, and behaviors that are classified as an component of psychopathology. The correction scale (k) assesses the examinees degree of psychological defensiveness (Groth-Marnat, 1997) t his is considered the most important validity scale. Practical evaluation of the MMPI The MMPI can be administered to an individual who is above the age of 16, with an average sixth-grade reading level. As mentioned above an individual above the age of 16 is permitted to take the test, but adolescent norms needs to be addresses. Standard instruction are given prior to the test, test instruction are given regarding the nature and purpose of the test, and what it is designed to evaluate, and how the results will be used. Administering of the MMPI can be viewed as a relatively easy undertaking, and hence many practitioners tend to overlook vital elements that influence the participants test-taking attitude and would eventually lead to invalid results. Prior to the administration, scoring, and interpretation of results, the administrator should highlight the importance and consequences of the test in a serious manner to the test-taker, often the administrators do not high light the importance of the test to decrease performance anxiety. A clear elucidation oh how the resu lts are significant and how it is going to be used will increase cooperation. Interpretation of data is an important and vital part of the MMPI; the collected is useful in supplying information about attitudes toward assessment, cooperation, cognitive/ideation, mood and affect, conflict areas, coping styles, diagnostic consideration and treatment recommendation The interpretation of the scores was based on the principle that a participant attains a raw score on each scale based on the number of items that they identified in the scored direction. The raw scores are then later converted to T scores, with a mean of 50 and a standard deviation of 10. The interpretation of the test can be done in three ways, first using the validity indicators, this is the first step in interpreting any personality profile; which is establishing the validity to assure the subjects cooperativeness in taking the test. MMPI has been established as having the most comprehensive validity indicators (Goldstein, 2000) among all established personality inventories and assessments. Secondly interpreting results involve Configural Interpretation (code type), this is due to the intercorrelations amongst scales and also the overlap amongst the similarities of clinical syndromes, evidence has been attained indicating several MMPI scales tend to increase together, therefore, interpretations of scales should depend on the elevations of other scales in the personality profile. Third and final approach to interpreting the results is content bases interpretation. The principal followed in the content interpretation relies on the assumption that the participant when answering test items is reacting and responding with honesty and sincerity to the MMPI. Accordingly the content of the MMPI may represent a vital source of information that cannot be accessible through empirical test-interpretation. Technical evaluation The reliability analysis of the MMPI indicate that its has moderate levels of temporal stability and internal consistencyà ¢Ã¢â€š ¬Ã‚ ¦ all MMPI scales are quite reliable, with values that range from a low of .71 to a high of .84. (Groth-Marnat, 1997) many studies have reported inconsistency in some of the scales; many argue that the scales of the MMPI show instability in the test scores that are to be anticipated. This is mainly due to the psychiatric population since the effects of treatment or stabilization in a temporary crisis situation is likely to be reflected in a patients test performance. (Groth-Marnat, 1997) To cross-validate the scales, participants of the criterion and the control groups were administered the items. To qualify as cross-validated, a scale had to distinguish the criterion group from the control group at a 0.5 alpha level significance. Another issue that has surface about the MMPI is about the construction of the scales. The intercorrelations between most of the scales are relatively high, which is primarily due to the extensive amount of item overlap. Occasionally, the same item will be concurrently used for the scoring of a few other scales, and hence most of the scales have a relatively high percentage of items similar to other scales The problems associated with the reliability and scale construction have led to hurdles and speculation on the validity of the MMPI. MMPI has been commended about its strict psychometric properties that present complications, but it has been adequately compensated by its intensive validity studies Development of the MMPI-2 and MMPI-A Problems concerning the MMPI were mainly about the growing issues related to scale construction, insufficiency of a standardized sample and problems with the item pool. The original norm had inadequate representation of the minorities and hence was redundant in making conclusions about and with current test-takers. In 1982, the university of Minnesota instigated a major research in effort to revise, update, improve, and restandardize the MMPI. Its main goals were to delete the redundant, questionable, and problematic items. Maintain the efficacy of existing validity; clinical and different widely utilized scales of the test. Develop a representative sample, Develop new, revised norms for the MMPI and the development of new scales. The MMPI was updated and restandardized and the new version was released in 1989; 46 years after the original MMPI was published. The revised MMPI-2 differs from the older MMPI in various ways; the T scores that the subject obtains are usually not as deviant as those from the previous version. In addition, the T scores designed to produce the same range and distribution right through the established clinical scales. The practical result is that T scores of 65 or greater are considered to be in clinical scale range; also the percentile distributions are consistent throughout the different type of scales. The test booklet itself contains 567 items, but the pattern has been changed so that the previously established scales (the 10 clinical and 3 validity scales) can be derived from the first 370 items. The proceeding 197 items provide different content, supplementary scales. A number of new and revised scales have been included along with new, revised, adjunctive procedures of test vali dity, separate measure of masculinity and femininity and 15 other additional content scales measuring unambiguous and specific personality traits and factors. (Groth-Marnat, 1997) The MMPI-2 shares a lot of psychometric property with the original MMPI. The median split-half reliability coefficients for the MMPI and the MMPI-2 are in the .70s with some coefficients as high as .96 but others much lower. Median of the test-retest coefficients range from a low .50 to .90; when one observes the basic higher-order factor structure; the MMPI and the MMPI-2 are extremely reliable, with coefficients running as high as .90. The MMPI and the MMPI have been criticized due to the item overlap and this issue was not confronted in the revision of the original MMPI, as the goal was to retain all the original scales. Another criticism associated with the MMPI and MMPI-2 is the imbalance in the way the items are keyed(Kaplan Saccuzzo, 2009). the MMPI and the MMPI-2 strongly emphasize the importance of taking the participants demographics into account when interpreting profiles. The MMPI-A was published for the sole interest of creating an instrument for adolescents, with a normative sample depicting the broad teenage population. This occurred because MMPI produced different scale elevations for adolescence than for adults. This resulted in the construction of different sets of recommended norms for use with adolescent populations. To counter argue that the MMPI is too long, especially for adolescent, the MMPI-A contains 478 items, there by shortening the administration. (Groth-Marnat, 1997) Significant features of the MMPI include descriptive and diagnostic information about the personality profiles, flexible administration and scoring. The most important feature of the MMPI is its validity scales; and it has been translated and published into over 20 languages The most needed amendment of the MMPI apparently has been a major accomplishment; the majority of psychologist, researchers, and clinicians have supported its utility and practical value resulting in its rising popularity among them. The MMPI serves to assist in distinguishing the normal from abnormal groups; specifically the test was designed to help aid in diagnosis and evaluation of major psychiatric or psychological disorders.

Thursday, September 19, 2019

Analysis of Group Work Essay example -- Group Team Project Teamwork Pa

Analysis of Group Work In the APS module, we have been allocated into different groups, and my group number is 48, our tutor is Barbara Allan. The contact numbers of the members were given and we were asked to finish a project on a team basis by using the information we learnt in this module. 2. Working process and group development ======================================== Initially I was really excited about this group work. As a foreigner, this was a good opportunity to practice my communication skills and group working skills. Consequently, I tried to contact our members by sending text messages and arranged the first informal meeting by the following week. Bass and Ryterband indicated that as "initial development of trust and membership" (Martin, J, 2002, P.191): when people meet up at first time, they always try to build trust and confidence to each other in order to prepare for the future work. Based on Belbin's the nine-team roles theory, my group was dominated by certain people who took the responsibilities, such as our coordinator and secretary. The rest of us were team worker, and responsible for researching and another member did the Website. Obviously, my group member built awareness of the group's aims and shared goals. In addition, every member also knew their established roles within the group and acted accordingly. Ideally, this should have been accomplished in the "storming' stage" of group formation. (Martin, J, 2002, P.192) The title of this project was "the impact of terrorism on tourism in UK." After we had decided, the title was separated into many parts and everyone needed to do one. My ... ...ficult to arrange the time for meeting, so we used Email instead. We needed to send our research to the secretary, and she completed the whole report. 7. Conclusion ============= I think our group did not perform very well, although we finished the project and worked as a group. In the future group work I think I will become more activity. Hopefully, I can be braver to explain my own opinion and more tending to communicate with others. The key areas for future improvement would be clearer definition of targets and objectives and time management to ensure that we can reach a higher standard of group work. Bibliography 1) Martin, J (2002) "Organisational Behaviour" Thomson Learning, London. 2) Laurie J Mullins (2002) "Management and Organisational Behaviour" Pearson Education Limited, Essex.

Wednesday, September 18, 2019

Anne Bradstreet - Feminine but Feminist Essay -- essays research paper

As a female in a highly patriarchal society, Anne Bradstreet uses the reverse psychology technique to prove the point of her belief of unfair and unequal treatment of women in her community. Women who wrote stepped outside their appropriate sphere, and those who actually published their work frequently faced social censure. Compounding this social pressure, many women faced crushing workloads and struggled with lack of leisure for writing. Others suffered from an unequal access to education, while others were dealing with the sense of intellectual inferiority offered to them from virtually every authoritative voice, that voice usually being male. Bradstreet was raised in an influential family, receiving an extensive education with access to private tutors and the Earl of Lincoln's large library. She was part of an influential family who encouraged her writing and circulated it in manuscript with pride. That kind of private support did much to offset the possibility of public disappr oval. Bradstreet believed that women in her society were treated unfairly, and that gender should be insignificant. In her "Prologue" she addresses conflict and struggle, expressing her opinion toward women's rights, implying that gender is unimportant and male dominance is wrong. Bradstreet asserts the rights of women to learning and expression of thought, addressing broad and universal themes. The "Prologue" has a humble tone with slightly hidden surprises, containing a mut...

Tuesday, September 17, 2019

The Importance Of Fire Safe Shelter Environmental Sciences Essay

1.0 IntroductionPresents, high rise edifice has become the icon of the metropolis. Many tall edifice are constructed to carry through the increasing demand of commercial and residential development. Millions of people stay and work in tower block edifice due to population and economic has been increased. Fire safety has been concern to protect their life and belongings. To guarantee the safety of the edifices and their users, the safety system and equipment should parallel with the criterion of demands and has a good execution of safety direction. Although high-rise edifices are provided with the most sophisticated safety characteristics, confidence of safety to constructing users is still questionable. Therefore, fire safe shelter has been introduced to supply better fire safety design in tower block edifice. This survey has been developed with the purpose to reexamine the importance of fire safe shelter design in tower block edifice and to overview the current fire safety design on tower block edifice, and giving recommendation to better the pattern. The methodological analysis is conducted the survey included literature reappraisal, analysis of consequences and informations aggregation. The procedure of informations aggregation is collected toward the primary informations by carry oning questionnaire studies to the respondents at the selected edifices instance surveies and from the writer & A ; acirc ; ˆâ„ ¢s observation. From the survey, it was found that how the fire safety shelter integrates in fire safety design to protect the civilian in the edifices.2.0 Issue Statement:In recent old ages, fire onslaught in high rise edifice has become the common issue which cause many civilian deceases and injured. Civilians are remaining in high rise edifice unable to get away because they are excessively high from the land. The fright of the civilian besides caused the job which makes them unable to get away. Although fire exigency issue are provided, it is ex cessively slow for civilian stayed in high top of the edifice to get away. The opportunity of them to get away is low. Another job is hard for fire combatants to make the upper floors. For illustration, the highest fire truck ladder can be reached in many metropoliss merely can widen to the eight floors. In order to snuff out fire above that point, fire combatants must mount up many of stepss which carry along fire hosieries and other heavy equipment. High-rise edifices are designed to be safe. When come to many civilian stay at tall edifice, exigency response is become more hard to evacuate civilians out of the edifice. What tallness is considered tower block? A tower block is defined as any edifice above 15 m or four floors in tallness or whichever is more. All tower blocks are required to supply fire protection agreements prescribed by the National Building Code ( NBC ) and the National Electricity Code ( NEC ) . These include a fire flight, fire pump and storage armored combat vehicle at the land degree, lift, lightning protection device, fire dismay, asphyxiators, etc. There are many instances related to fire incident. For illustration, the incident go on on Twin Towers of the World Trade Center in New York City wholly collapsed merely over one hr after fires raged in them upon the clang of two aeroplanes into them on 11 September 2001. This entire incident caused 2795 dead. The causes of edifices prostration was the terrible weakening of the supporting strength of the towers ‘ steel-based supporting construction under utmost heat. Besides, the high-rise flat fire in Shanghai on15 November 2010 has become attending for people around the universe. This incident has taken 53 people and injured 70 casualties. This incident happen cause by the flicker during welding work. Furthermore, there is another fire incident happen in Busan on October 2010. Based on the study, there are no casualties were reported as most occupants were dispersed after the fire broke out. Fire combatants rescued 31 occupants, four of casualties were sent to the infirmary f or intervention. Based on the probe, people suspect the cause happen from the fire started at the refuse room on the 4th floor which is extremely flammable wall stuff and strong air currents seemingly fuelled the fire. Based on incidents have been highlighted, the fire safety design needs to be considered more critically for all the high rise edifice.3.0 Research Question:1 ) What is the shelter design demand for high rise edifice? 2 ) The consciousness of residents about fire safe shelter.4.0 Purposes:The purpose of this research is to entree the demand for fire safety means in high rise edifices.5.0 Aim:1 ) To detect how best to better fire safety by utilizing fire safe shelter. 2 ) To suggest solution on how to incorporate the fire safety design in high rise edifice.6.0 Scope:This research will discourse the design of shelters to protect against fire onslaught. The design of such shelters requires attending to jobs such as the figure of residents remaining or working in such edifice and besides the high of the edifice will impact the design of shelter. The introducing of this fire safety system can take to better protection in order to cut down hazard of danger from residents. Besides, the counter steps for high rise edifice fire besides need to be considered to cover with big hazard as follow, 1. Protection against fire and fume 2. Emptying 3. Fire-fighting 4. Protection against prostration7.0 Proposed MethodologyIn order to accomplish the aims have been stated, the research will be carried out in measure by stairss. First of all, place the aims and range needed for this research. Second follow by carry oning literature reappraisal about issue on fire incident happen in high rise edifice and the map of fire safety shelter presently utilizing on tower block edifice. This procedure will assist in better apprehension on the research subject and incorporate the cognition to the proposed topic. Besides, professional interviews with the designer and applied scientist besides will be conducted related to the fire safety shelter in safety design. Question checklist will be provided in item to forestall any missing inquiry during interview. Furthermore, questionnaire study besides will be conducted towards the respondents remaining in tower block edifice. The consequence will be collected and proceed to roll up the consequence and behavior analy sis. Final will be provided a presentation based on the analyzed information and besides the concluding study include the decision and recommendation.