Monday, September 30, 2019

Impact of Arrival of Television on Electioneering In England Essay

INTRODUCTION The invention of television marked he beginning of a new epoch. The age of information technology made information available at the push of a button. Facts and distortion of facts are the tools of the entertainment industry. Exaggeration is the premise on which the advertizing agency works. It is confluence of the audio visual impact which is one of the most powerful influences that is experienced by the individual. It left no human endeavor untouched .The fate of democracy is determined by the elections. Television was utilized for campaigning of the candidates participating in the election. It brought about a complete revamping of the election campaign. Local issues were sidelined and an emphasis on the national campaign was     the dominant feature of the election process.[1]Mass media had completely mesmerized both the masses and the persons responsible for planning and execution of the election campaign. The recent proliferation of the media channels has led to a depletion of issues that can be aired on these channels .therefore there has been a shift from national to local politics. The impact of the television is not just limited to what is going to be at the forefront but it has led to complete overhaul of the process. The campaigns are more articulate and well planned .The concept of negative publicity has been inducted like it was done never before. The elections are loosing personal touch as there is more emphasis on the how to air the campaign. Consequently the expenditure on the elections is rising partly because of infalation and partly because the campaigns are conducted on grand scale. British Law permits each party to air its programme, policies and agendas on the national channels across England for 20 minutes without paying any tariff for putting it on air. Each party is given a maximum of five repeat telecast. HISTORY OF POLITICAL BROADCAST Political broadcasting started in Britain in 1924 on radio with a20 minute allocation time for each party. it was started on television in 1951.   It was an unpaid time slot of 15 minutes that was allocated to each party. The political broadcasts are regulated by the 1990 Broadcasting Act and the Political Parties, Elections and Referendum Act 2000.The initial directives of the act forbade that the political advertisement should not be purely political in nature. In 2001 general election the   three major political parties were given five chances to broadcast their political campaign where as the minor political parties were given one chance if they were contesting one sixth of the total seats. 5 and 10 minutes of political advertisements were replaced by 2’40†, 3’40† or 4’40†³and a stricture is placed on them so that they should not violate decency and good taste. All the political electoral broadcast by various party are simultaneously aired .These are either preceded or followed by   previews and reviews by the major news paper daily and there fore the messages are a kind of reinforced. Currently there is ongoing debate on whether the system of political broadcast should be completely scraped or it should be revised with a provision of paid commercials. Since time immemorial it has been stated that effective governance is related to whether the voters have made an informed choice. It is privileged class who will try different means to gather information about the party and candidates standing in the election. The masses either do not makes a conscious effort to gather information or they rely on effortless means to gain information about the political parties. What the media is representing can differ. On the one hand it can be balanced objective on the other hand it can be preferential[2] It has been observed that commercial broadcasting system can have ulterior motives as they are there to maximize their benefits. The national broadcasting system is more conducive to producing objective information   Ã‚  about the political parties[3]. Political advertising in England is more party oriented where as in America the emphasis is on the candidate .Lot of attention is being paid to the effect of use of media in the election .It is very difficult to conclusively prove that what results it is going to produce .England is a very old democracy and all the parties have their particular image .Media cannot altogether alter the image of the party   .It can highlight the achievement of the party and it can make the manifesto more lucrative. This premise is in accordance with the earliest studies of the impact of television on the electoral outcomes by Blumler and McQuail.[4] The party campaign through the media is expected to effect the voter turn out. It can bring to the forefront various campaign issues. It can create an enthusiasm for gathering more information about the party programmes.[5]These early studies reflected that voting for political parties were a matter of class and the election campaign served very little purpose. [6]The conservative and the Labour party were dividing the voters on the basis of who did manual labour and who didn’t work with their hands i.e the managers and the employers and the middle class The voters who changed their loyalties from one party to another were primarily for a short term. It has been observed that this faction was to swing back its support to he party which it originally adhered to.   It can be said that these floating voters can be influenced by the televised transmission of the electoral campaign. This can be contended because the labour part lost three elections in a row in 1959 although the class that does manual labour constitute major chunk of the electorate. The material prosperity entailed a spread of the middle class values and hence the conservatives won the election. The messages that are aired during the political campaigns in election are not the only information available to the electorate. The long term memory of the people might be short. That doesn’t mean that the events political debates     press conferences, by- elections etc preceding the election campaign have no consequence. The election campaign through the media is of two kinds. One in which the focus is on the image building or the achievement of the party .The other kind deals with the character assassination of the opponent. If the attack broadcasting is exaggerated and is not substantiated then it can create sympathy for the opponent. The conservative party campaign nick named ‘Demon eye’ of 1997 was counter productive It created an image of Labour as leftwing radicals. The electorate had experience a moderate labour party government under the leadership of Tony Blair. A caricature of Mr. Bust and Mr. Boom was used to depict the economic condition of England .The facts that Britain had experienced a spurt in the economy in 1980 under the leadership of Thatcher. This kind of media campaign has to be used with great caution as it is either counterproductive or it does not have any effect on the target audience. If there are fractions within the party then it can bolster unity among the contending fractions. The persuasive propaganda is more useful and almost all the parties realize that it is the best way to campaign .It pays attention to detailing the ideology of the party. It is oriented on the fact that the achievement of the party is highlighted. Moreover it is presented in manner that it appears more entertaining so as to keep the audience hooked on to it. It can be proved that the parties are more interested in this positive kind of advertisement by looking at the percentage of the campaign allocated to the political advertisement. Negative references were a small and similar proportion of the total literature of all three parties: 8.7 per cent Conservative, 10.4 Labour, 9.8 per cent Liberal Democrat. The televised broadcast of the political party programmes is useful tools because the minor political parties get a chance to make themselves felt. This is true for most of the countries who have democracy and who have televised political advertisement.[7] Even .The liberal democrats were able to make themselves felt through their advocacy strategy. In 1951 the minor parties had around 10% to 3% of the vote share. This vote share increased in the 1997 and almost one fourth of the total share of the vote. There are many reasons for the increase in the vote share of the relatively new and unknown political parties like social class. Education of the voter as it determines whether it is an informed choice or not. Media especially the print media is specially tilted in favor of conservative parties IT was in the I970s that the researches were conducted and it reflected that a change had occurred in the political environment of Britain .The voters were not holding to the rigid class bias of the political parties due to the influence of the television. The other factor that is responsible for this change was the economic affluence in England as that was responsible for mitigating the gap between the rich and the poor.[8]Other researches argue that this doesn’t mean that class politics has changed rather it can be seen as both the parties are going out of favor. Heath et al argue â€Å"analysts have mistaken changes in behavior by voters for changes in their motivation without asking first whether or not the political stimulus they have received is still the same or not. They suggest, for example, that variations in the strength of the class alignment may well reflect changes in the distance between the parties on class-based issues†.[9] The voters are not taking their decisions in vacuum there are certain political and social issues that are motivating the voters to vote for apolitical parties. The short term shift in the voters preference is based on the perception of the competence of the parties,. The parties in power can effectively utilize the print as well as the television in advertizing its achievement .There have been fears that   the hegemony of the media was responsible for the conservatives winning the election as they have the hegemony over the press. It has been time and again proved television is not the sole deciding factor in determining the outcome of the election. The 1980s saw a shift from the national to regional politics .There was a variation in the voting patterns from one region to another. If television has been the main sway in the elections then the entire country should have shown a similar pattern. Local campaign did make a difference The surveys conducted by the Labour party showed that Its percentage of votes was directly related to number of people working for the party [10] Local campaign play an important role in persuading the voters to vote for a particular party. It is very difficult to find out what was the ultimate reason for voting as the preferences of an individual are shaped in the recesses of an individuals mind. Television came second in the list of what influenced the voters of the survey conducted by MORI .The regional television can be utilized to create amore local and specific advertisement for the electorate. This area has yet to be explored by the political party..   The labour party topped the list of frequency of the reference of the constituencies and it made almost 28.7 per cent of sentences referring to local provision. The Conservatives made 16.5 per cent and made the Liberal Democrats 10.2 per cent references to the local issues. This means the elections are by and large fought on national issues which are effectively transmitted through the television. The lab our party has thrice lost elections till 1997. This reflects that though they made more references to the local electoral constituencies they were unable to convert the voters in their favour. CONCLUSION It is seen that the advent of television had completely changed the way in which we look at the different issues .Things which are of relatively lesser importance can be presented in an innovative method .The election process in England has its own peculiarities.   Television didn’t bring about a complete transformation of the election process of Britain. England is one of the oldest proponents of the institution of democracy. The two major parties the lobour and conservatives have their peculiar images .Television cannot completely alter the public perception. The older generation is more difficult to mould as its ideas are set .The televised broadcasting of the party manifesto can be aimed at the youth which is more likely to change its preferences. A perceptible shift is seen in the support base of the two major political parties the Labour party was supported by the people doing manual labour and the conservatives were supported by the middle class. The class distinction was thought to be the basis of the voting pattern. Now this distinction is becoming less and less important as media and economic affluence has reduced the gap between the rich and poor.   The influence of television has backfired on the two major parties .The minor political parties have increased their vote percentage. The major beneficiary is the Liberal Democratic Party. Although it has been the pristine premise that the informed electorate   can lead to the formation of more effective and responsible government .It can be said with certainty that the voters of the present age are more informed but there is difference between having knowledge and judicious use of knowledge..The other aspect of this election scenario of England is that there is no alternative to the present parties on the national level .Even if the voter is aware of the shortcomings of the present parties, he has no choice. The voters have to choose the lesser evil. REFERENCES Blumler, Jay G. and Denis Mc Quail. 1968. Television in Politics: Its Uses and Influence. London: Faber &Faber.n.p Bonham, J. (1954), The Middle Class Vote (London: Faber)pp 56-62 Butler, D. and Stokes, D (1974) Political Change in Britain(2nd. edition) pp54-78(London: Macmillan) Evans, G. Heath, A., and Payne, C. (1999), ‘Class: Labour as a Catch-All Party?’ in Evans, G. and Norris, P. (eds.), Critical Elections: British Parties and Voters in Long-Term Perspective n.p   (London: Sage) Kaid, Lynda Lee and John C. Tedesco. 1993. ‘A comparison of political television advertising fromthe 1992 British and American campaigns.’ Informatologia 25(1-2): 1-12 Kavanagh,   The British General Election of 2001. Basingstoke n.p: Palgrave Macmillan News on Party Images in the 1997 British General Election.’ British Elections and Parties Norris, 2001. Ed. Britain Votes 2001.n.p   Oxford: Oxford University Press. Norris et al .1999; Norris and Sanders 2000   pp 110-120 Sanders, David and Pippa Norris. 1998. ‘Does Negative News Matter? The Effects of Television Semetko , holi .A 1996 The Media In Comparing democracies edited by Lawerence   Le Duc,Richard Niemaand Pippa Norris London:Sage   pp254-279 Seyd, P. & P. Whiteley (2002) New Labour’s Grass Roots: The Transformation of Labour Party Membership, Houndmills: Palgrave Macmillan.pp10-38 Zaller John2003†Anew standerd of the news quality: Burglar alarm Monitorial Citizens†Political communication20 109-130 [1] (Kavanagh, (1970). The British General Election of 2001. Basingstoke: Palgrave Macmillan News on Party Images in the 1997 British General Election.’ British Elections and Parties n,p [2] Zaller John2003†Anew standerd of the news quality: Burglar alarm Monitorial Citizens†Political communication20 pp109-130 [3] Semetko , holi .A 1996 The Media In Comparing democracies edited by Lawerence   Le Duc,Richard Niemaand Pippa Norris London:Sage   pp254-279 [4] Blumler, Jay G. and Denis McQuail. 1968. Television in Politics: Its Uses and Influence. London: Faber &Faber.n.p [5] Norris et al .1999; Norris and Sanders 2000   pp 110-120 [6] Bonham, J. (1954), The Middle Class Vote (London: Faber)pp 56-62 [7] Kaid, Lynda Lee and John C. Tedesco. 1993. ‘A comparison of political television advertising from the 1992 British and American campaigns.’ Informatologia 25(1-2): pp1-12 [8] Butler, D. and Stokes, D (1974) Political Change in Britain(2nd. edition) pp 54-78(London: Macmillan) [9] Evans, G. Heath, A., and Payne, C. (1999), ‘Class: Labour as a Catch-All Party?n.p Norris, P. (eds.), Critical Elections: British Parties and Voters in Long-Term Perspective (London: Sage)n.p [10] Seyd, P. & P. Whiteley (2002) New Labour’s Grass Roots: The Transformation of Labour Party Membership, Houndmills: Palgrave Macmillan pp.10 – 38   

Edward Weston

Edward Weston was one of the biggest figures of twentieth-century photography and one of the most influential. This essay is will Weston brilliance in creating beautiful and neutral views of patterns and ordinary shapes, made him internationally acknowledged (Travis 2001, p. 63). Travis (2001) claimed that over the years Edward Weston style had changed and he developed an ability to make his own life experiences into the fascinating subjects of his art.However, in earlier days, that transformation of Weston works had been obscure to most scholars and enthusiasts because it was very elusive and his main subject taters were still mostly naked human forms and objects from the natural surroundings. He had begun to show hints of moods in his photography. Some viewers found his photographs of tide-pool rocks and cypress trees as painful, saddening. They took the tone of the peaceful ocean after a storm as depressive imagery. A higher level of compositional techniques was starting to show i n Weston work from 1939 to 1940.Masculine curves and feminine components, signs of living and dead, and a contrast of light and shadow in a single frame, embellished the photographs. Nevertheless, as Weston grew past his technical skills, he made images hat held more philosophical meanings and a bigger range of understandings. Some may think that his photographs from 1944 to 1948 reflect very thoughtful and more melancholy atmospheric images, possibly because of the conflicts of his divorce, his four sons' entry into the military and the beginning of his Parkinson disease at that time. The series of landscapes he shot at Point Lobos in 1938 (Fig. ) undeniably mirrored Weston personal life more than any he had produced before (Travis 2001, p. 63). Meadow (1978, p. 55) suggested that, In Weston bibliographic works there was hidden interaction between model and the photographer. Weston made his photographs when his subject emotionally stimulates him. Weston (1939) wrote, â€Å"l am a realist, but not a literalism †¦ â€Å". Weston nude photographs were wonderful because there were trace of the interaction between Weston and his subjects. It is possible that what we see, what we respond to, is almost like the conversation between photographer and his subject.Although, Weston perspective on what he was doing at the time was different. Truth was the only thing he wanted to demonstrate through his work (Meadow 1978, p. 55). Meadow (1978, p. 1) also stated Weston nude works had a spiritual implications to it. It was a very American way of thinking: that nudity was considered good for the body and also for the soul. However. Weston was a true formalist who visualized his prints meticulously. He reduced any chance of movement, alteration or accident during the process of the photo-shoot (Shelley 1976, p. 127).Weston nude photographs are often shown as close-up shots of partial areas separated from the background, instead of being focused on entire objects upfront . There was no inner interpretation in favor of simple aesthetics of the presentation of the flesh. Weston has written in his Daybooks claiming that his creative work, his private life was separate. The diaries include many of his comments revealing frustrations with his momentary type of impressions and feelings (Shelley 1976, p. 127). Many of the images he produced during asses present the same features as the piece he made in 1942 (Fig. ) a naked female figure wearing nothing but a gas mask, leaned against the sofa, her body facing toward the camera. A spacious but old couch is repeating the verticals and the horizontals, and its also filling most of the whole picture.

Saturday, September 28, 2019

World Religions: Buddhism and Christianity

This roadmap of this paper is chiefly twofold. On the one side of the spectrum, it attempts to make a successful presentation of the fundamental nature and key teachings of Buddhism as a particular religious movement. On the other side of the spectrum, this paper hopes to make an equally successful juxtaposition of the salient points relative to the similarities and differences between Buddhism and Christianity. The starting point of this essay will be to firstly lay the foundational elements and fundamental characteristics of the Buddhism faith, as a jumping board from where the succeeding discussions shall be drawn. Secondarily, in order to better place the Buddhism’s teachings within the larger purview of religion as a phenomenon, its comparison with Christianity shall comprise a significant part of the discussions as well. In the process, this paper hopes to establish that there is in fact an array of aspects for both religions which, even when on the surface they appear to be wholly distinct, nevertheless share common strains and resemblances, as far as doctrinal beliefs and ethical norms are concerned. This is a concept of no little importance; for history has been a constant witness to the divisive nature of religious pluralism. On a careful analysis, what this paper hopes to ultimately achieve is not to lay judgment on either the correctness or wrongfulness of any doctrine, as it merely wants to appreciate of the distinctness and uniqueness which defines both Buddhism and Christianity, and all world religions for that matter. Fundamental Tenets of Buddhism Buddhism is a religious tradition believed to be already in place around 500 years before the coming of Christ (Griffiths, 1997, p. 5). The exact location of its initial inception and formation is relatively unknown, inasmuch as the exact time of its emergence remains to be fully determined. But many thinkers believe that the religious movement started from the Indian peninsula, only to be dispersed from the neighboring regions later on. An exact definition of Buddhism may be difficult to identify, as a whole array of versions of Buddhism claim origin and affinity from the force which may be called as the chief inspiration of the religion – Gautama Buddha, also known as Gautama Sakayamuni. Far from being a movement characterized by an universal bond of uniformity or structure, Buddhism is one the few religions in the world which readily embrace diversity from its adherents. In fact, Griffiths would claim that one of the most notable uniqueness of Buddhism lies in its â€Å"very differentiated† character (1997, p. 5). To concretely cite the case in point, one may perhaps discover that the version of Buddhism being practiced in, say, South Asia, may differ distinctively from the one being observed in adjacent states, say, the countries found in South-East Asia. By inference, it is therefore not without good reasons to suppose that Buddhism is a religious movement that neither demand nor teach an adherence to a uniform doctrine to all its followers. As hereinabove hinted, Buddhism takes root from the inspiration and teaching left by its recognized founder by the name of Gautama Sakayamuni, who later on, would be called Gautama Buddha by his followers. At the very least, this is precisely the reason why the religion is named after its founder; since Sakayamuni is believed to be the religion’s supreme exemplification of a life marked by total freedom. It is commonly accepted that Gautama Buddha left a host of teaching pertinent to the methods of meditation as a way to attain a totally blissful existence. This state is called Nirvana. Buddhism, it must be mentioned, is largely about an adherence to a kind of life geared towards the search for enlightenment, as did their founder Gautama. Thus, in view of this, Humphrey believes that this particular religion does not chiefly concern itself with the worship of a Transcendent as an accommodation of a particular â€Å"way of life† (1997, p. 13). In many ways, this is yet another glaring testimony of Buddhism’s peculiarity. Normally, the most fundamental definition of religion – which by the way is accepted for most part by nearly all thinkers – has, one way or another, the element of a belief in a Transcendent as one of the chief conditions to be satisfied. Taylor thus puts it simply: religion is nothing else but a â€Å"belief in a Supreme Being† (cited in McCutcheon, 2007, p. 22). As for Buddhism, many thinkers believe that the element of Transcendence in its core doctrines is not that apparent. Which is why, Williams would contend that Buddhism is a religious movement which is not so much associated with doctrinal beliefs as a â€Å"body of teachings with spiritual benefits (1989, p. 2). In fact, many of Buddhism’s teachings are concerned not really with religious worship as with lifestyle, rituals, devotions and meditations (Mitchell, 2002, p. 1). Buddhism believes reality is always in a constant flux. In other words, it maintains the absolute â€Å"impermanence† of all things (Griffiths, 1997, p. 16). In fact, in the entire corpus of Buddhism’s teachings, one may notice that the theme of impermanence is patently recurrent. Since this religion draws heavily from the fundamental recognition that nothing in the world is ever permanent, it therefore believes that human persons must exhibit a detached comportment in relation to the things of the world. In other words, the more a person appreciates the true implication of diversity and impermanence, in a manner being unattached to all things ephemeral, the more a person is closer to the truth about reality (Williams, 1989, p. 3). Taking cue from this fundamental belief, Buddhism teaches that human life is in a perpetual pursuit of enlightenment against the backdrop of an impermanent world; and this entails being constantly ‘dissatisfied’ by what – read: everything – the world offers (Williams, 1989, p. 34). In many ways, it is only by right of mere inference that one cannot anchor his or her happiness or enlightenment on something that ceases to become as time passes. Thus, the plain admission that reality is in fact impermanent should therefore lead believers to equally recognize that nothing in this world ever satisfies human existence to begin with. Buddhism also acknowledges that reality can sometimes be illusory. Put in other words, Buddhism subscribes to belief that, since things are subjected to a constant flux of change, â€Å"things (therefore) are not what they seem† (Griffiths, 1997, p. 20). To this end, the value of meditation takes concrete shape. Meditation allows a person to enter into the truth that the world cannot satisfy the longing for human contentment and bliss. It is even said that Buddha himself taught that one must always take on the attitude of â€Å"dissatisfaction† even in meditation. In this way, one can therefore sift through the elements which constitute eternal happiness from a world replete with ephemeral things (Mitchell, 2002, p. 33). Through meditation, Buddhism offers a way towards the ultimate state of blissfulness called Nirvana. Through it, one is able to create a standpoint marked by a deliberate renunciation of the world; i. e. , a total freedom from the world. It also has to be pointed out that Buddhism offers a set of belief systems that demands concrete actions as well. The doctrine called the four noble truths for instance essentially begins with the fundamental belief that â€Å"life is suffering† and subsequently demands correlative actions to address it. To concretely cite, Buddhism holds that there are four noble truths in life: namely, (1) life is suffering, (2) the cause of suffering is cravings for pleasure, (3) freedom from suffering is temperance from pleasures, and (4) the way to stop suffering is to practice the eight-fold path which includes, right view, right intention, right speech, right action, right living, right conduct, right mindfulness and right concentration (Mitchell, 2002, pp. 5-47). Buddhism and Christianity: a Juxtaposition It has to be firstly remembered that the task of the succeeding discussion is not to draw a point-for-point correspondence between Buddhism and Christianity. The whole point of comparing and contrasting is the inference of resemblances in either religious themes and moral tendencies of both relig ions in question, while affirming the innate distinctness each of them primarily possess. First, it is noteworthy to cite that both Buddhism and Christianity are religious movements that accede to the authority of their founders who act as the primordial and focal point of their emergence. Buddhism on the one hand sees Buddha as the exemplification of their journey towards a transcendent end. Buddha, while considered not as a divinity, remains to be the only figure of transcendent to whom Buddhism profess a faith. Christianity is pretty much the same; except that the person whom they recognize as its founder – Jesus Christ – is firstly believed to as a divinity. Like Buddhism, Christianity owes its emergence from the life and teachings of its recognized founder. In fact, according to Alister McGrath, â€Å"the precipitating cause of Christian faith and Christian doctrine was and is a man named Jesus† (1997, p. ). Put simply, the belief on the Lordship of Jesus Christ was the primordial force that pushed Christianity to become a distinct religious movement out of the mainline Judaic religion. Second, it is also wise to note that both Buddhism and Christianity believe on an ideal existence apart from this world. Buddhism, as mentioned, relegates a se rious amount of its teachings on meditations, in the hope that such a practice would usher its believers onto a state of complete bliss. Christianity too believes that in state of utterly blissful vision of the Lord, translated into heaven (Sheed, 1957, p. 220). Christians believe that when a person dies, his or her soul can either go to heaven or be condemned to hell. Be that as it may, the belief in the incomparable happiness brought about by man’s â€Å"living contact† with the â€Å"infinite perfection of God†, or the concept of an afterlife still emerges. Third, with equal interest it must also be mentioned that both Buddhism and Christianity place the question of suffering within the very context of their respective belief systems. Buddhism acknowledges that suffering needs to be purged and surpassed by letting oneself become free from the lures of the world. Christianity meanwhile believes that suffering has a place in the faith it professes. While Christianity recognizes the undeniable nature of human suffering, it treats the latter with much profoundness and uniqueness. Christianity does not teach that all sufferings must be purged; instead, it teaches that there are sufferings that must be embraced for the sake of heaven. This is supremely exemplified by Jesus Christ himself; the God-man who, by â€Å"suffering â€Å" in â€Å"His soul and body† on the cross saved the world from its sinfulness (Sheed, 1957, p. 127). By way of contrast though, it needs to be acknowledge that there are certain strains of beliefs that distinguish Buddhism from Christianity in a manner being patent and obvious. One can perhaps note how, first, Buddhism differs from Christianity on account of the belief in a divine transcendence. Christianity believes in a God which is Trinitarian in character. This means Christians profess to a God who comes in three distinct persons – the Father, the Son (who is Jesus Christ) and the Holy Spirit (Sheed, 1957, p. 54). If Christianity has a very concrete way of imaging its belief in a divinely transcendent Being, Buddhism’s belief system, by contrast, cannot sufficiently pinpoint the image of a divine; and a belief in the Supreme Being is highly ambiguous for them. Far more critical, there are even those who doubt if the idea of a Supreme Being is tenable for the Buddhist faith. Griffiths for instance notes that ‘the metaphysics of impermanence’ makes it difficult for Buddhist to conceive of a god, who, at least for Christians, is considered to be enduring, impermanent and most of all, unchangeable (1997, p. 23). Second, briefly it can be cited too that Buddhism differs from Christianity in terms of religious structure. It was previously mentioned that Buddhism does not appear to demand a uniform set of doctrines for all its members to observe. This is why, there are a number of different versions of Buddhism throughout the world. Christianity on the contrary insists on a universal acceptance of its official corpus of teachings. While this does not imply that Christianity does not have its own minority versions, the crux of the matter here is that, Christianity, unlike Buddhism, emphasizes, or, more appropriately insists on the need, for its adherents, to profess in â€Å"one† – i. e. , uniform – set of key doctrinal tenets (Sheed, 1957, p. 140). Conclusion This paper concludes with a thought that firstly affirms the need to recognize the value of Buddhism as a movement distinct and unique on its own. As a religion which has been in place for the longest time in human history, it was learned though the discussions that Buddhism takes root from the life and inspiration lent by its recognized founder, Gautama Buddha. Moreover, it was also learned that Buddhism has long established itself as one of the major religions of the world to date, offering its adherents a doctrine which on the one hand embraces a perpetual dissatisfaction towards all things, and on the other hand longs for a state of complete happiness that can only be found within. By right of mere logic, it is not for nothing that millions of people embrace this faith with much devotion and passion; for its doctrines allow its believers to glimpse beyond the ephemeral affairs of the world. With equal interest, this paper also presented a ponderous juxtaposition of Buddhism and Christianity, and therefore concludes that there are indeed strains of similarities which can be gleaned from between the two religions. Among others, it was learned that both of them recognize authoritative figures as their revered founders – Gautama for Buddhism and Jesus Christ for Christianity. And surely, there are lot more similarities and differences which can be cited to this end. In the final analysis though, this paper further concludes that despite teeming differences, many of the aspects of both religions manifest areas that may be taken as facets for future dialogue and mutual appreciation.

Friday, September 27, 2019

The Battle of Blair Mountain Research Paper Example | Topics and Well Written Essays - 1500 words

The Battle of Blair Mountain - Research Paper Example Most importantly, the company provided houses from which the family could be forcibly evicted in the event of a miner joining unions, being killed or injured. Union activity was monitored by Baldwin-Felts detectives and other coal company agents4. The Mine Wars began in 1912, with the Paint Creek – Cabin Creek strike, demanding company recognition of the UMWA. Further attempts at unionization led to a spate of violence and armed conflict between the miners on one side and state police, mine guards and strikebreakers on the other. The next flashpoint was the Battle of the Tug in Mingo County in May 1920. This exacerbated into a gunfight on May 19 in Matewan between Baldwin-Felts agents on an eviction drive and the town officials led by the mayor and Police Chief Sid Hatfield. The mayor, three townspeople and six detectives were killed. Unionization and company opposition grew increasingly violent, with both sides building up arsenals and engaging in guerilla-like warfare. In re taliation for Matewan, the agency killed Sid Hatfield and his deputy on 1 August, 1920. Hatfield’s murder galvanized the miners and was the direct spark for the Battle of Blair Mountain5. The outraged miners began to gather near Charleston on 7 August. Bill Blizzard, Frank Keeney and Fred Mooney of the District 17 UMWA organized about 600 armed miners for a march though three counties, in order to demonstrate the solidarity of the mine workers and to drive out the company gunmen who continued to harass them. Keeney recruited additional miners over the following two weeks for a 65-mile march to Logan County, the coal company stronghold. At the same time, the Logan Coal Operators’ Association paid Logan County Sheriff Don... This research paper discusses the events of the Battle of Blair Mountain, which was the largest labor insurrection in American history. An understanding of this incident, which is widely acknowledged to be â€Å"the most brutal confrontation in the history of the American labor movement †, requires the study of the background of the coal mining industry in America. The burgeoning iron, steel and railroad industries required coal for their development and coal mining was central to America’s industrial growth. The coal mining industry was highly labor intensive, had hazardous work conditions and yielded relatively low returns on investment. In the race to increase production and profitability, coal companies disregarded safety concerns, resulting in frequent fatal accidents in mines. Growing activism saw the United Mine Workers of America (UMWA) gain a footing in the mines of Pennsylvania and other states by the end of the nineteenth century. The early twentieth century witnessed the attempts of the coal miners of southern West Virginia to unionize in the face of violent opposition. This resulted in The Mine Wars (1912-1922), which culminated in the Battle of Blair Mountain in 1921. The causes of the battle, the confrontation and the aftermath demonstrate that Blair Mountain is a milestone in the American labor movement. Blair Mountain is a symbol of â€Å"freedom of speech and assembly, freedom from the industrial feudalism of company towns, and freedom from the terrorism inflicted by the operators hired gunmen †.

Thursday, September 26, 2019

It has been argued that end-user development has been driven by a Essay

It has been argued that end-user development has been driven by a failure of central information systems departments to develop - Essay Example These nonprofessional software developers would be using new writing formulas, queries, databases and spreadsheets to help them in their work. Another research in 2011 foretold the possibility of nonprofessional developers having created twenty five percent business applications by the end of 2014. As for a fact, the number of computer users has increased, and so has the uses for which they need computers. The software needs of these increasing number of computer users are dynamic, complex and diverse. Professional software developers’ limited knowledge and slow development process hamper their capacity to beat the ever-growing applications backlog. This sparked a desire in computer users to look for ways of modifying, creating and extending software artifact on their own without involving professional software developers. This is what end-user development (EUD) is about (Barrie 2002, p.31). Using end-user development, computer users customize or come up with their own unique interfaces and functionality for their software. An advantage with this is the fact that end users have adequate knowledge of the contexts, needs and change in their individual domains. Besides, allowing end-users to tune software to meet required needs, end-user development has another advantage. Clearly, end-users outnumber professional software developers by far. ... Many end-users who engage in end-user development lack sufficient training in professional programming languages, modeling, diagramming notations, and formal processes of software development (Clarker 2008, p.71). Their short-term and medium-term goals do not give them enough motivation to learn this traditional knowledge. This poses several challenges to those devoted to the course of supporting the end-user development. End-users need to develop processes that have ease of use, easy to learn, and that allows easy integration into end-users’ individual domains. End-user development goes hand in hand with tailoring, end-user software engineering, and end-user programming. An end-user who modifies a computer application to suit his or her contextual need does tailoring. Tailoring allows users to change their interaction with an application together with its functionality. This entails changing the behavior of an application by resetting the parameters of an application so as to change the level of detail of its set of data. Tailoring encompasses end-user programming when an individual manipulates an application so much so as to come up with a complete program (Mahmood 2003, p.43). For example, a person can come up with macros that can help him or her to change set graphical user interface items borne in an application. This can serve to either increase the usability of an application or extend it to have new functionalities. There is research that demonstrates the possibility of frameworks that are component-based, and that would allow easy application tailoring. Professional programming seeks to come up with programs and sell them out to people. End-user programming, on the other hand, seeks to create programs to satisfy the developers’ needs. End-user

A Critical Analysis of the Role of a Teacher Facilitating Children's Essay

A Critical Analysis of the Role of a Teacher Facilitating Children's Development in Speaking and Listening - Essay Example In the process of doing so, the paper discusses several speaking techniques and the role the teacher must possess to facilitate students in the process. The paper begins with the teaching aspects in listening and mentions several mild but powerful techniques, such as the teacher fronted listening technique where the teacher adopts the role of a reader who reads at a pace comprehensible by students, and the turn taking and topic management techniques where the teacher adopts the role of an expert in cognitive psychology. Sometimes the teacher has to adopt a role that encourages the students to explore the capacity of their minds. Several techniques for such a scenario have been discussed at length implying a deeper reflection used to analyze, synthesize, and evaluate (Dawes, 2008). Nowadays, language delay and word poverty are some of the biggest issue being generated in the society, therefore, the paper assess the role a teacher in the speaking up approach as well. In order to inculc ate the art of oracy, the paper discusses techniques that aid the development of a child’s thinking power which must be started from key stage 1. It has been established through the literature that there are many views focused on developing these skills at an early age, for the purpose of which, besides different techniques, the paper highlights the role of teacher as a facilitator and establishes this as of utmost importance. Teaching aspects in Listening After scanning the environment in which the session must be conducted, and collecting the material needed for the process, the teacher must also be well aware of the Key Performance Indicators of his/her job. Below are stated the most common strategies that are needed to instill the art of listening in children as well as the role required by the teacher when these strategies are applied. The teacher fronted listening technique One of the typical roles a teacher adopts when inculcating the art of listening into the students is the activity of listening to stories. For example the teacher selects stories for children that are from level 1 and 2 and contains only a few words unknown. Then the teacher slowly reads the story where each sentence is read at a pace comprehensible by the students. When an unknown word comes, the teacher writes it on the board and reads it twice. In this way, when the word comes again, the teacher quickly points to the board and the students identify it. This technique thus instigates the interest of learners to maintain their interest in what they are listening and also understand what they are listening to. Oral cloze exercises: Developing active listening in students compels the teacher to critically analyze the skills needed by the students and requires efficient strategies adopted by the teacher to meet them (QCA, 2003). One such strategy is the oral close exercise which involves the children to guess the next upcoming words. For example, the teacher starts the story and every 50 seconds stops so that the learners could guess the word without too much interruption in the story. The guess is immediately followed by the answer from the teacher (Newton, 2009). Picture ordering and ‘What is it?’ Technique: Another strategy is the Picture ordering and the ‘what is it’ technique. In the former, a wrong arrangement of pictures is used and the students are forced to use their listening abilities. For example, the students first listen to the description and then replace it with the right order. As for the latter strategy, this technique involves the teachers to describe something where the students have to further identify it.

Wednesday, September 25, 2019

The customers perceived value on the IPhone Essay

The customers perceived value on the IPhone - Essay Example the area, (Sillignakis, 2002) therefore the author now will attempt to identify and analyze customers’ perceived value of one specific type of smart phone -- the IPhone. 1.4. Research objectives The research project will therefore seek to explore and investigate the following: Identify customer perceived value on smart phones. Identify factors that influence the behaviour of mobile phone consumers. Examine the iPhone’s customer value offering. Provide an evaluation of the iPhone’s existing value proposition by comparing and contrasting it against a competitor i.e. Blackberry. 2. Literature review (30%) 2.1. What is customer value Based on Grewal et al, (1998, p.48) and Petric and Backman’s (2002, p.39) notion it can be argued that the iPhone’s CPV is conceptualised in two dimensions i.e. Acquisition and Transactional value. The suggestion is that customers are rational economic decision-makers who process information in order to maximize value (Shet h, 1979)vii; as such, customer value is principally conceptualised as a trade-off between the price of the iPhone and its quality (Holbrook, 2006)viii. Sheth et al (1991)’s â€Å"five Values† conceptual framework questions the economic assumption that consumers evaluate purchase and usage decisions with a calculator-like approach (Holbrook, 2006). Instead Holbrook and Hirschman (1982)ix proposed the experiential approach and introduced new concepts such as feelings, fantasies, and fun (Holbrook, 2006). Rather, consumer decision processes embrace complex motivation that includes both intrinsic and extrinsic values (Holbrook, 2005; 2006)x. Woodruff (1997)xi defines customer value as the emotional bond established between customer and producer after the customer has used a salient product or service produced by that... This research will begin with the explanation of what the customer value is. Based on Grewal et al, and Petric and Backman’s notion it can be argued that the iPhone’s CPV is conceptualised in two dimensions i.e. Acquisition and Transactional value. The suggestion is that customers are rational economic decision-makers who process information in order to maximize value; as such, customer value is principally conceptualised as a trade-off between the price of the iPhone and its quality. Sheth et al’s â€Å"five Values† conceptual framework questions the economic assumption that consumers evaluate purchase and usage decisions with a calculator-like approach. Instead Holbrook and Hirschman proposed the experiential approach and introduced new concepts such as feelings, fantasies, and fun. Rather, consumer decision processes embrace complex motivation that includes both intrinsic and extrinsic values. Woodruff defines customer value as the emotional bond establ ished between customer and producer after the customer has used a salient product or service produced by that supplier and found the product to provide an added value. In other words, customer value is determined by the customer rather than objectively determined by the seller. The consumer behaviour is "The study of individuals, groups, or organisations and the processes they use to select, secure, use, and dispose of products, services, experiences, or ideas to satisfy needs and the impacts that these processes have on the consumer and society.

Tuesday, September 24, 2019

Crime and Passion Essay Example | Topics and Well Written Essays - 500 words

Crime and Passion - Essay Example Recognizing the fact that both positively and negatively disposed persons have their own frustrated needs that are actually motivating them to take different paths in life that they believe would lead hem to attaining the dreams that they have for themselves as well as for those who belong to them. As for this paper, the examination of the different paths that humans take depending on the life background that they have as the enhancers of the values that they utilize as basis of their actions. As for the cases noted in the articles analyzed in this paper, it could observed that the motivation of the humans utilized to reach to the status that they are at present resulted from decisions made from the idealisms that they believe in. The events that took place in their lives brought them to the kind of situation that they are in right now. For instance, in the text from the Sun Tabloid, it could be observed that Zoe, a newly chosen model, who emerged from a competition in Britain, noted that the tragic past that happened to her father brought her to a successful fight towards the fulfillment of her dreams.

Monday, September 23, 2019

Changing Roles of Worker ( Evolution of Management) Essay

Changing Roles of Worker ( Evolution of Management) - Essay Example Focus would be over an article by Lauren Keller Johnson entitled Are you getting the most from your knowledge worker? (2006). Moreover, the paper would revolve around the evolution of management roles particularly from a boss to a coach or player role. In order to explore the shift in roles, the paper would elaborate and describe the roles of the player/coach, how this role is achieved by a manager. Moreover, it would discuss over how the manager identifies knowledge workers without having proper means to identify, measure and quantify knowledge itself. Changing Roles of Workers According to Austin (2006), a knowledge worker is someone who is not hired to do manual work as they are most productive when given the autonomy to work with their skills as they are the workers who are employed due to their deep knowledge over a subject, this quality of the knowledge worker makes them exclusive and diverse from traditional workers. A precise characterization of knowledge workers can be quote d by Davenport in his article â€Å"Knowledge work and the Future of management’ (2001) which states them as â€Å"the workers who contribute in disseminating knowledge such as product development engineers, or the workers whose work revolves around the application of knowledge, such as financial auditors† Furthermore, Austin claimed that with when dealing with knowledge workers, the management is more democratic as opposed to being autocratic and where bosses are more like knowledge managers rather than leaders. This evolving role of bosses is recognized by Davenport as marking eight key trends of the player/coach role these trends include performing tasks themselves rather than only supervising it, replacing the organization of hierarchies by allowing the formation of communities, understanding the nature of the work and devising work design models instead of enforcing them, having a more open approach towards training while discouraging redundancy and demoralizatio n, replacing manual skills by those that contribute in building knowledge, focusing upon invisible performance achievements rather than evaluating visible achievements, promoting a culture of knowledge versus one of ignorance, and finally, nurturing bureaucracy (Wagner, 2002) Often managers fail to recognize the abilities of the workers to become knowledge workers when in actuality, every worker is a knowledge worker as they would be able to, if given the opportunity, assume the roles of player/coach as it was envisaged by the eight trends mentioned earlier. A worker being employed by an organization would be, with the passage of time, adding his or her knowledge into the corporate culture of the organization. The enhanced corporate culture would become a strong aspect for the business as it would help in improving the work practices by adding value to the knowledge base of the organization and helping it function better. The process would bring out the role of a coach/player from a knowledge manager who was initially a knowledge worker in the organization. A vital measure of the efficacy of the knowledge manager is through the relationships that they inculcate and maintain (Serrat, 2008). The management of knowledge workers can only be accomplished by managers who do not only possess the skills of good leaders, but who are equally as competent being team players and followers. It involves progression of talent by influencing skills of knowledge work

Sunday, September 22, 2019

The Idea of Happiness in “I Served the King of England” by Bohumil Hrabal Essay Example for Free

The Idea of Happiness in â€Å"I Served the King of England† by Bohumil Hrabal Essay I Served the King of England by Bohumil Hrabal is a tragicomic novel, a first-person account by Dite, a teenage busboy starting his career in a rural hotel in Czechia. The plot progresses gradually as Dite becomes a waiter and than an owner of a hotel, eventually losing everything except wisdom. The book is structured as a series of picturesque episodes demonstrating people whom Dite meets and situations he gets into during the pre-war period, Nazi occupation of the country and eventually under the communist regime. In this paper I am going to concentrate on one psychological aspect of the novel, namely on the idea of happiness as Dite sees it. At first sight, Dite sees happiness in money and insists on his desire to become a millionaire, however, I will attempt to prove that the actual incentive for Dite’s conduct is desire of respect and recognition. He does not want the entire world to admire him, rather striving to respect of the people whom he himself respects. It is not easy to say whether Dite eventually achieved his purpose, but at the end he at least comes to reconciliation with the surrounding world. In order to prove this point I will refer to the particular parts of the texts as well as to the general plot and spirit of the book. Dite obviously suffers from inferiority complex. He is adulterate, poor and short, so, suffering from all the disadvantages of such situation, he decides to become rich and respected. However, his conduct is often impulsive and determined by his up-to-minute desires. The book can be viewed as a confession of an aged man who analyses his life journey. The language of the book progresses from a naà ¯ve story-telling by a young boy to a considered narrative depicted by older Dite. His priorities can be clearly indicated in every stage of his life. Dite hardly thinks of happiness as itself, for most of his life he rather strives to tread in the steps of the people he meets and whom he deems to be successful. He is â€Å"amazed at how rich people could sit around for the whole evening talking about how just outside the town was a footbridge and right beside the footbridge, thirty years back there was a popular tree and they they’d really get going†[1]. He starts to realize the need of happiness as such at the very late stage of his life, while all his previous existence is a mimicry. Dite’s love for money reveals already in the first scenes of the book. As a busboy he swindles money out of his customers and pretends to be an orphan to get more cash from compassionate passengers on the railroad station. At that he seems to be a cynical person with little moral principles. However, he also has no good example before his eyes, as he has to communicate with drunken customers, heartless master of the hotel and roguish colleagues. So, very early he comes to idea that money rules the world, and in order to be recognized one needs to be rich. He is therefore very proud of â€Å"having money of my own, a couple of hundred a month, and once I even got handed a thousand-crown note†[2]. In this period of Ditie’s life money is an opportunity of self-esteem for him. Very soon it can be observed that money as itself is not a purpose for Dite. He has little idea of how capitals are made and he is not interested in power given by money. What he wants is a luxurious life like that of which he hears from his older pals and like that he finds in Prague. The lavish and careless lifestyle of the pre-war Czech capital becomes his ideal, and he merely wants to enjoy this life in a company of the same playboys. He â€Å"wanted to be surrounded by millionaires†[3]. Being a rather fussy person, Dite becomes lofty when he has an opportunity to remind that â€Å"he is a waiter who served the King of England†. It was not actually the King of England, but an emperor of Ethiopia whom Dite served, but he does not lose an opportunity to brag a little, because this is a moment of his greatest glory. This moment is so important, that Hrabal used it as a name of the book. The narrative is told in the name of old and wise Dite, who, perhaps, realizes the meaninglessness of his claim, so the name is a sharp self-irony. On the other hand, Dite really has nothing more to boast, because serving the King was a point if his highest social recognition, which was so important for young Dite and which is so unimportant for older Dite. Whether consciously or not, Dite attempts to imitate the habits of his neighborhood, and works hard to make enough money to visit a local bordello, of which he hears so much. Further throughout the story relationship with women and sexual intercourses remain to be a strong incentive for him, although his marriage ends with tragedy and disgrace, bringing his to jail, social condemnation and exile. Women are a kind of fatal temptation for Dite, another tool for his self-affirmation and another source of his disappointment. Hrabal uses the story of Dite’s relationships with women as a notable symbol of hic character’s frustration. Dite has a strong desire for women, although this is also rather an attempt to be similar to someone, than his natural need. As an teenage boy he is kin on having at least some woman, yet intercourses with local prostitutes do not satisfy him. Later in Prague he seems to be close to the goal of his life as he marries Lise and makes plans to open his own hotel. This dream would be innocent, in case Lise was not a German activist, and the plot would not develop right before and right after the Munich treaty. German occupation is a turning point in Dite’s life. This is actually the period when his awakening begins. Humiliation by the German authorities, work in the Nazi research institute, and finally Lise’s death during the air raid makes Dite see an another kind of example in the people around him. He really never â€Å"finds the head†[4], and it is somehow his own head. Dite is in fact a â€Å"weathercock†. He hardly cares of the fact that he collaborates with the occupants of his homeland. For him the Germans are just those who are currently on top, and another opportunity to become successful under a new regime. And if he has to prove that he is a â€Å"pure Aryan breed†, and if he has to work on production of even better â€Å"Aryan breed†, and if he is able to make money by selling the precious things confiscated from murdered Jews, so why not? Further events are a sort of punishment for his vagrancies. He loses his wife, he loses hope for luxurious and easy-going life, and he loses even those crumbs of social recognition which he previously enjoyed[5]. Dite’s entire world is ruined, and there is no hope on rebirth. At the second part of the novel Dite becomes that what he was at the beginning – nothing. The illusions of happiness dispel bringing him to the beginning of a new way. Perhaps the entire story is Dite’s attempt of self-analysis. He revisits the situations of his life, trying to imagine how he would have acted in case he would have acted differently. There is no longer opportunity for changing those circumstances, and there is no way back, so the only resort he can afford is fatalistic wisdom in his new calm life in a frontier village, far from all what he previously so estimated. Eventually, he does become a millionaire, at least the name of the book’s last chapter hints this. Yet it is an another kind of richness. His material wealth at the end is a small house, a cat and a goat, but he feels himself richer than he could ever imagine. The unbelievable that came true stayed with me, and I believed in the unbelievable, in the star that had followed me through life, and with its gleam constantly before my eyes I began to believe in it more and more†¦Now that I had been brought to my knees, I realized that my star was brighter than ever, that only now would I be able to see its true brightness, because my eyes had been weakened by everything I had lived through, weakened so that they could see more and know more.[6] It is in this passage where the real nature of happiness in Dite’s view reveals. Having no idea of actual happiness he tries many surrogates, before all of them are ruined and he can smile ironically looking back at his life of a â€Å"person who served the King of England† and here he can just take compassion on that older Dite, who spared his life hunting for delusive mirages. He was just to eager to become successful, too eager to be rich, too eager to be pleased, while happiness was something different. Works Cited: 1. Hrabal, Bohumil. I Served the King of England. Vintage, 1990.

Saturday, September 21, 2019

Playing God

Playing God Playing God What is science? In the nineteenth century many believed it was attempting to play God. During this era new scientific discoveries in Europe were immense, and controversy over them was extreme. Not only did this new movement challenge the principles of Christianity but the belief in God. â€Å"Mary Shelleys Frankenstein through Victor Frankensteins perilous journey shows the destruction behind mans thirst for scientific knowledge and the ethical reasons as to why man should not play God (cite).† Victor Frankenstein attempts to go beyond human bounds and undertake in the greatest mistake of his life. â€Å"Victors experiment created in the name of science holds the key to which Victor believes is his future success (cite).† â€Å"The Accomplishment of his toils† is described as a wretched male figure formed from the corpses of others (Frankenstein, 34). Through his efforts, Frankenstein brings this figure to life, and his desire to succeed and discover impel him to play God. It was the secrets of heaven and earth that [he] desired to learn; and whether it was the outward substance of things or the inner spirit of nature and the mysterious soul of man that occupied [him] (22) (cite.) However, Frankenstein is so deeply captivated with bringing about life that he fails to recognize the moral affects the creature will have on society, and most importantly that there could possibly be an explanation we cant create life unnaturally or be immortal. After the completion of his experiment, Frankenstein begins to recognize some of the consequences when he states, â€Å"how can I describe my emotions at this catastrophe, or how delineate the wretch whom with such infinite pain and care I had endeavoured to form?(34) (cite). Is it not irresponsible and foolish to create life from death, while what is alive is not fully comprehended? When Frankenstein saw his creation and admitted his dissatisfaction, some may ask why he would create such a monster knowing it would definitely not fit into society. The clear explanation would be he fears his own death, thus trying to obtain the knowledge of life to prevent it. â€Å"Frankensteins scientific pursuit is for his selfish means, not for the betterment of society.† Frankenstein remarks by saying, â€Å"The labours of men of genius, however erroneously directed, scarcely ever fail in ultimately turning to the solid advantage of mankind† (34). â€Å"The novel goes on to prove this could be no farther from the truth. By simply addressing the issue that some scientists may be ‘erroneously directed, Frankenstein shows he is considering the ulterior motives of his plans. He is recognizing that his motives may not be for the ‘advantage of man kind, and that this would be simply a bi-product of his creation.† Frankenstein also fails to realize what society would think of his creature and how the creature would be affected by the general public. The creature is sent out into the world with the temperament of man, but entirely lacking the guidance and nurturing that all creatures need. This role playing of God is not what man was intended for, and children are made of a sperm and egg, not the hands of man. Who could handle the responsibility of controlling life? Only a Divine Power could control such an intricate process, and is a responsibility no person could endure. Victor takes many simple things for granted in his life, which are symbolized through the monster. I am alone and miserable: man will not associate with me; but one as deformed and horrible as myself would not deny herself to me (129). All the monster requests is someone to share his life with, to live happily, and be loved; and through these pleasures the monster witnesses happiness. Victors scientific pursuit interferes with his life and ruins his happiness. He loses the desire for companionship because of his endeavors, and though Elizabeth longs for his return, he is too engaged in his work. Frankenstein has an opportunity to be happy, but the monster is never given the chance. â€Å"This presents Shelleys argument that when you allow things such as science to get in the way of your true needs, such as love, you will not live a life worth living. Frankenstein and his monster are both miserable because they both live their life without love.† He solved the most incomprehens ible question, he reached the peak of scientific understanding, he accomplished his goals, yet he is miserable. â€Å"For this I had deprived myself of rest and health. I had desired it with an ardour that far exceeded moderation; but now that I had finished, the beauty of the dream vanished, and breathless horror and disgust filled my heart† (42). Shelley purposely lets Frankenstein accomplish his goal, but she makes a point that if the scientific knowledge of life cant bring happiness then no scientific knowledge can. Victor is so infatuated with completing his task and achieving fame that he fails to realize the lasting affects or consequences of his breakthrough. Shelley makes a valid argument that in many ways, we would all be better off without complex scientific thought: â€Å"Learn from me, if not by my precepts, at least by my example, how dangerous is the acquirement of knowledge and how much happier that man is who believes his native town to be the world, than he who aspires to become greater than his nature will allow (38). Victor advises Walton by declaring, â€Å"Seek happiness in tranquility and avoid ambition, even if it be only the apparently innocent one of distinguishing yourself in science and discoveries (200). This passage evidently discusses Victors selfishness in fulfilling his objective. Shelley argues that scientists who are only seeking fame and fortune do not consider the long term effects and will be considered notorious.

Friday, September 20, 2019

Passive Optical Networks (PON)

Passive Optical Networks (PON) With the popularity of broadband services of the terminal users the demands for bandwidth in the access network is rapidly increasing. Rapid increase of global data traffic and massive deployment of new networks are becoming a key environmental, social and economic issue. The access network consumes about 70% of overall network energy. Passive Optical Networks (PON) has been considered to be one of the most promising solutions for access networks due to its immense bandwidth and low cost infrastructure. Wavelength Division Multiplexing Passive Optical Networks (WDM-PON) provides a solution for having longer and larger capacity networks comparing with existing PON systems which can meet the ever increasing bandwidth demand of next generation ac-cess networks. Moreover, the combination of Orthogonal Frequency Division Multi-plexing (OFDM) and WDM-PON technique is a subject of great interest to increase the system capacity and dispersion tolerance. Coherent detection OFDM method has mor e prominent performance than direct detection method. For the practical implementation of WDM-OFDM-PONs, low-cost Optical Network Units (ONUs) and Optical Line Termi-nals (OLTs) are of most critical importance, in particular, avoiding a wavelength-specific laser source at each ONU. To address this issue, wavelength reuse concepts such as Trav-eling Wave Semiconductor Optical Amplifier, Wideband Traveling wave SOA and Re-flective SOA have been implemented in WDM-OFDM-PON. Among these, RSOA per-forms better than the others. To further reduce the system cost a WDM-OFDM-PON architecture with simplified structure by using Vertical-Cavity Surface-Emitting Laser (VCSEL) as transmitter at OLT and ONU. All these simulations are done using OptiSys-tem 12.0 software. The combination of an exponential increase in bandwidth-intensive applications and customer base, has resulted in the rapid increase of fiber networks in the access network segment in recent years. In terms of fiber access technology, the point-to-multipoint passive topology in the form of the Passive Optical Network (PON) has been proven to be beneficial to both customers and operators. Due to rapid increase of global data traffic and bandwidth demands, massive deployment of new network, is becoming a key environmental, social and economic issue. To address this issue, great effort has been ex-pended on researching the high-speed, cost-effective, flexible bandwidth allocation and future-proof Next Generation Passive Optical Network (NG-PON) system. Among these techniques, WDM based PON systems have attracted a great deal of research and devel-opment interest, due to their capability of providing cost-effective way for increasing the overall bit rate and transmission reach of network s. The access network, also known as the first-mile network, connects the service provider Central Offices (COs) to businesses and residential subscribers. An access net-work is a part of a telecommunications network which connects subscribers to their im-mediate service providers. This network is also referred to as the subscriber access net-work, or the local loop. The bandwidth demand in the access network has been increasing rapidly over the past several years. Active Optical Network (AON), the first based access network has been characterized by a single fiber which carries all traffic to a Remote Node (RN) mainly electrically powered switching equipment such as a switch or a router that is placed close to the end users from the central office. In this AON architecture, later the active node is replaced with a passive optical power splitter/combiner leading to the development of Passive Optical Network (PON). Optical Orthogonal Frequency Division Multiplexing (OFDM) technique has re-cently been a promising technique in access networks due to its high spectral efficiency and robust dispersion tolerance. OFDM, is a form of signal modulation that divides a high data rate modulating stream placing them onto many slowly modulated narrow band close-spaced sub-carriers, and in this way is less sensitive to frequency selective fading. Furthermore, the OFDM is widely considered as one of the strongest candi-date for WDM-based PON system, owing to its unique advantages of superior toler-ance to chromatic dispersion impairments, dynamic provision of multi-granularity band-width allocation both in time and frequency domains. WDM-OFDM-PON, combining the advantages of WDM and OFDM techniques, can provide higher data rate and more flexible bandwidth allocation for end users. Nonetheless, OFDM modulation modules, consisting of high-speed Digital Signal Processing (DSP) chips, Digital-to-Analog Con-verter s (DAC), and E/O modulators, are needed for the generation of optical OFDM sig-nals in WDM-OFDM-PON. These components consume much more energy. Moreover, each OFDM modulation module is fixed for one Optical Network Unit (ONU) group in conventional WDM-OFDM-PON, which causes a rough granularity and wastes a large amount of bandwidth resource since the users do not fully utilize the network capacity all the time. Therefore, it is of great significance to design an energy-efficient and cost effective WDM-OFDM-PON system with high data rates compatible with large num-ber of users. This can be accomplished by using wavelength remodulation methods for bandwidth utilization and VCSELs for cost effectiveness. Objectives of the Project The main objectives of this project are: Simulation and performance analysis of Wavelength Division Multiplexing- Or-thogonal Frequency division Multiplexing- Passive Optical Network (WDM-OFDM-PON) systems for different data rates Simulation and performance analysis of Wavelength Division Multiplexing- Or-thogonal Frequency Division Multiplexing -Passive Optical Network (WDM-OFDM-PON) systems using wavelength reuse by Traveling wave SOA (TWSOA) Wideband TWSOA (WBTSOA) Reflective SOA (RSOA) Simulation and performance analysis of bidirectional WDM-OFDM-PON with dif-ferent transmission length and users using VCSELs Report Outline This report contains six chapters. Chapter 1 gives an introduction about the rel-evance of the project and also convey the main objectives of the project. The second chapter describes about the theories and literature survey of the project. This chapter begins with the basic access networks and describes the various terms relevant to the project. The terms like PON, WDM, OFDM etc are included. Chapter 3 describes the system model for the design. Here explains the basic block diagram representation of the major network technologies used. Chapter 4 explains the simulation procedures, platform used for simulations and details of each section and subsystem in the simulation process. Chapter 5 deals about the results obtained after the simulations and the major inferences got from these results. Sixth chapter concludes the project with findings followed by references section.

Thursday, September 19, 2019

The Prevalent Issues Of Surrogate Parenting :: essays research papers fc

The Prevalent Issues of Surrogate Parenting   Ã‚  Ã‚  Ã‚  Ã‚  Surrogate parenting refers to an arrangement between a married couple who is unable to have a child because of the wife's infertility and a fertile woman who agrees to conceive the husband's child through artificial insemination, carry it to term, then surrender all parental rights in the child. Often, the surrogate mother receives compensation for her services. The final step in the process is typically the father's acknowledgment of paternity and adoption, with his wife, of the child. Through surrogate motherhood, a couple desiring a child need not wait an indefinite number of years for an adoptable baby, as generally happens at the present time. The married couple obtains a child who is the husband's biological offspring- a child for whose existence both husband and wife can feel responsible.   Ã‚  Ã‚  Ã‚  Ã‚  Surrogate parenting is highly controversial by its very nature. Nevertheless, surrogate parenting is attracting wide spread attention as a viable alternative for infertile couples intent on having a child. Contract surrogacy is officially little more than ten years old, although surrogate mothering is a practice that has been known since biblical times. In 1986 alone 500 babies had been born to mothers who gave them up to sperm donor fathers for a fee, and the practice is growing rapidly.   Ã‚  Ã‚  Ã‚  Ã‚  For this reason there are many questions and doubts that arise from this subject. Often there are many legal difficulties that come about with surrogate parenting. In some states the contracts that insure the infertile couple the baby of the surrogate mother mean nothing. This, in turn, can cause huge problems if the surrogate mother were to change her mind about giving up her child. Who has the rights to the child in this awful situation? Surrogate parenting is a wonderful alternative for infertile couples as long as all party's involved are educated on the subject and are fully aware of the pros and cons of this risky business transaction.   Ã‚  Ã‚  Ã‚  Ã‚  Unfortunately laws on surrogate parenting aren't very helpful. Increasing numbers of surrogate custody cases are finding their way into the courtrooms. The most dramatic problem arises when the surrogate mother decides she wants to keep the baby.Whether she decides early or late in the pregnancy, at birth, or after the child is born, the ultimate issue is whether she or the infertile couple have parental rights.   Ã‚  Ã‚  Ã‚  Ã‚  How is the law to respond to this kind of problem? Normally people would agree that a contract is a contract and therefore the infertile couple should be the ones to receive the baby. Unfortunately for some of us more sympathetic people this decision is not that simple.

Wednesday, September 18, 2019

A Comparison of the Culture of Things Fall Apart and Western Culture :: comparison compare contrast essays

The Culture of Things Fall Apart vs. Western Culture Many societies have beliefs rooted deep in ancient religion. Some beliefs include polygamy, polytheism, and patriarchy, or rule by men. One such culture is that of Achebe's Things Fall Apart. Polytheism and polygamy are custom in the clan, and the role of each family member is very defined. The men are overly domineering. The women and children are treated poorly and often beaten. Life in Achebe's Umuofia would seem very different to someone living in modern day America. Chinua Achebe's 1959 novel, Things fall Apart, takes place in the 1890s, just before British colonization. The novel focuses on the nine Ibo-speaking villages of Umuofia, which is Ibo for "People of the Forest." Umuofia is the village in which Okonkwo, Achebe's protagonist, prospers in everything and is able to secure his manly position in the tribe. Now known as Nigeria, this land was a primitive agricultural society completely run by men. Umuofia was known, and as Achebe says, ."..feared by all it's neighbors. It was powerful in war and in magic, and priests and medicine men were feared in all the surrounding country" (11). Perhaps, its most powerful and feared magic was called .".. agadi- nwayi, or old woman it had its shrine in the centre of Umuofia ... if anyone was so foolhardy as to pass by the shrine past dusk he was sure to see the old woman"(12). The people of Umuofia are very devoted to their religion and their magic. These ancient beliefs were believed to give the people some sort of power over their oppressors. One custom of Umuofia that would be very different from Western culture is Polygamy, the practice of having many wives. This custom is practiced in the connected nine villages of Umuofia. In fact, a man's wealth is partially measured by the number of wives he has. A wealthy man described in Things Fall Apart, had nine wives and thirty children. Okonkwo had three wives and eight children. Polygamy is not something many Americans are accustomed to. Western culture teaches that monogamy, as opposed to polygamy, is the proper, accepted form of marriage. Western culture places that morality into it's people, often from youth.

Tuesday, September 17, 2019

Plantar Fasciitis Diagnosis And Treatments Health And Social Care Essay

Plantar fasciitis is one of the most common pes ailments. It has been estimated that it affects about one in 10 people at some clip in their life ( Crawford, Atkins, Edwards 2003 ) . Planter Fasciitis is the most occurring diseases in this modern universe. Plantar fasciitis is really common among people. Around 1 in 10 people will acquire plantar fasciitis at some clip in their life. It is most common in people between the ages of 40 to 60 old ages. However, it can happen at any age. It is twice every bit common in adult females as work forces. It is besides common in jocks. ( beginning at hypertext transfer protocol: //www.patient.co.uk/health/Plantar-Fasciitis.htm ) . Plantar fasciitis is the most common cause of infracalcaneal hurting and histories for 11 % to 15 % of all pes ailments that require professional intervention ( Buchbinder 2004 ) . It occurs in about 10 % of people who run on a regular basis. Incidence of this status peaks between the ages of 40 and 60 old ages ( Buch binder 2004 ) , ( Wearing, Smeathers, Urry et al.2006 ) . It is a bilateral ailment in about one tierce of patients ( Buchbinder 2004 ) . Plantar fasciitis is non gender specific and affects about 2 million of the American population per twelvemonth ( Irving, Cook, Menz 2006 ) . The upset is thought to be multifactorial in beginning with factors such as fleshiness, inordinate periods of weightbearing activity and decreased ankle scope of gesture normally suggested to be involved ( Riddle, Pulisic, Pidcoe, Johnson 2003 ) . A broad assortment of direction schemes have been developed to handle the upset. A systematic reappraisal ( Crawford, Thomson 2003 ) identified 26 different conservative interventions that have been recommended for the intervention of plantar heel hurting. Merely heel tablets, orthoses, steroid injections, dark splints and extracorporeal daze wave therapy have been evaluated in randomized tests. Foot orthoses are a common intervention for plantar heel hurting, neve rtheless due to the fabrication procedure, they frequently require a period of a few hebdomads between the initial audience and publishing the devices. As such, short-run interventions such as supportive taping are used to relieve symptoms during this interim period ( Martin JE, Hosch, Goforth, Murff, Lynch, Odom 2001 ) – the low-Dye ( Dye 1939 ) taping technique being one of the most often used. Foot taping, such as low-dye tape, alters the mechanical map of the pes, diminishing emphasis on the plantar facia and later bring forthing symptom alleviation ( Saxelby, Betts, Bygrave 1997 ) . Most research to day of the month has examined the mechanical effects of the tape on the lower limb. Merely one survey done by Saxelby, Betts, Bygrave in 1997 has evaluated the symptom alleviation offered by low-dye tape, but it had little Numberss of participants and did non include a control group. Those tapes which extended up the leg were known as ‘High-Dye ‘ , while those in the pes were named ‘Low-Dye ‘ . It has been used in the direction of an array of pes pathologies, particularly plantar fasciitis, and its effectivity has been discussed by several workers ( Newell1977, Miller 1977, Subotnick 1975, Van Pelt 1989 ) , although to day of the month grounds has tended to be anecdotal. Taping as an intercession or as portion of an intercession for the intervention of plantar fasciitis has been used for at least 70 old ages ( Dye 1939 ) . A systematic reappraisal measuring the efficaciousness of such intervention schemes has non been found. Therefore, it was considered relevant to reexamine the literature. The purpose of this reappraisal will be to see the effectivity of low dye taping in plantar fasciitis. Background: Harmonizing to Haung 1993, the plantar facia is the major construction that supports and maintains the arched alliance of the pes. This aponeurosis maps as a â€Å" bowstring † to keep up the longitudinal arch. Plantar fasciitis develops when insistent weight-bearing emphasis irritates and inflames the tough conjunction tissues along the underside of the pes. The plantation owner facia is a midst, hempen set of connective tissue. Its beginning is the median plantar tubercle of the calcaneum. It runs along the length of the sole of the pes like a fan, being attached at its other terminal to the base of each of the toes. It is a tough, resilient construction that has a figure of critical maps during running and walking: It stabilizes the metatarsal articulations during impact with the land. It acts as a daze absorber for the full leg. It forms the longitudinal arch of the pes and helps to raise the arch to fix it for the ‘take-off ‘ stage of the pace rhythm. The plan tar facia helps keep the complex arch system of the pes and dramas function in one ‘s balance and the assorted stages of pace. The plantar facia consists of a multilayered hempen aponeurosis ( Kwong, Kay, Voner, & A ; White, 1988 ) that originates from the median tubercle of the heelbone.The plantar facia is composed of three major sets, the sidelong, cardinal, and median. The cardinal set is the strongest and thickest. The median and sidelong sets cover the bottom of the kidnapper hallucis and kidnapper digiti minimi musculuss, severally. The fibres of the cardinal set separate into 5 faux pass near the degree of the metatarsal caputs and so attach to the proximal phalanx via the plantar home base of each metatarsophalangeal articulation ( Schepsis, Leach, & A ; Gorzyca, 1991 ) . Injury of this tissue, called as a plantar fasciitis, is one of the most hard to decide. Plantar fasciitis is a localised infl ammatory status of the plantar aponeurosis of the pes and is reported to be the most common cause of inferior heel hurting ( Schepsis, Leach, & A ; Gorzyca, 1991 ) . Plantar fasciitis represents the 4th most common hurt to the lower limb and represent 8 – 10 % of all showing hurts to athleticss clinics. Rehabilitation can be long and frustrating procedure. The usage of forestalling exercising and early acknowledgment of danger signals are critical in the turning away of this hurt. Plantar fasciitis refers to an redness of the plantar facia. The redness in the tissue consequences in some type of hurt to the plantar facia. Typically plantar fasciitis ults from repeated injury to the tissue where it attaches to the heelbone. Harmonizing to souza Plantar fasciitis by and large presents as â€Å" a crisp heel hurting that radiates along the underside of th e interior of the pes. The hurting is frequently worse when acquiring out of bed in the forenoon. Plantar fasciitis is a painful status of the subcalcaneal facet of the pes ensuing from redness or contracture of the deep facia of the sole with or without calcaneal goad. Plantar fasciitis has been used synonymously with the undermentioned footings: Painful heel syndrome Subcalcaneal bursitis Subcalcaneal hurting Runner ‘s heel Medial arch sprain Harmonizing to Baxter, Plantar fasciitis can happen in smugglers or other jocks who repetitively land on the pes. Plantar fasciitis is an overuse hurt whose incidence histories for 10 % of all running hurts ( Am J Sports Med 1991 ) . Another susceptible group is middle-aged people who spend much clip on their pess. More seldom, the facia becomes inflamed after a individual traumatic event, such as landing incorrect after a leap or running a long hill. The huge bulk ( 95 per centum ) will react to conservative attention and non necessitate surgery. Proper intervention is necessary, nevertheless, to let for continued engagement in athleticss and day-to-day activities, and to avoid chronic harm. Hazard factors: Participants in athleticss that involve some grade of running and jumping, e.g. hoops, tennis, step-aerobics, dancing. Non-athletic people who spend much of each twenty-four hours on their pess. It may look in person who all of a sudden becomes more active after a period of comparative inaction. Runing on difficult land increases the hazard, as does an addition in hill preparation. Worn out trainers increase hazard as they lose their daze soaking up belongingss. Fleshiness increases hazard. There is increased emphasis placed through the facia. Other mechanical hazard factors include level pess ( foots planus ) and holding a high arch ( foots cavus ) . Pregnancy is associated with a impermanent and physiological addition in weight. Hormones besides cause relaxation of ligaments, predisposing to level pess. There may be an association with human leukocyte antigen ( HLA ) B27 associated spondyloarthropathiesres. History: Harmonizing to Bergmann, Heel hurting with the first few stairss in the forenoon and after a period of remainder is the authoritative symptom of plantar fasciitis. The hurting improves with activity but recurs after drawn-out weight bearing, frequently at the terminal of the twenty-four hours. Normally, the hurting is felt in the forepart and underside of the heel, but as the definition of â€Å" plantar fasciitis † indicates, it can be felt in any part of the underside of the pes where the facia is located. Often, patients report that the hurting is preponderantly in the heel but radiates to the arch. If heel hurting is non present, the diagnosing of plantar fasciitis must be questioned. It is of import to find whether the patient ‘s symptoms are acute or chronic. The acute oncoming of symptoms may propose a calcaneal emphasis break, although this hurt besides may be insidious in oncoming. A history of injury could propose an acute plantar facia tear or rupture. Careful history pickings may propose a ground for the oncoming of hurting, which may include recent weight addition or unusual activity, such as get downing a walking or exercising plan or drawn-out standing. Amis and associates found that 70 % of patients who have plantar fasciitis are corpulent. Ailments of combustion and prickling in the pess or heel or both suggest tarsal tunnel syndrome, compaction of the Baxter nervus, peripheral neuropathy, or sciatica. Assorted intercessions used for plantar fasciitis: In general, plantar fasciitis is a self-limiting status. Unfortunately, the clip until declaration is frequently six to 18 months, which can take to frustration for patients and doctors. Rest was cited by 25 per centum of patients with plantar fasciitis in one survey as the intervention that worked best ( Wolgin, Cook, Mauldin, Graham 1994 ) . It is every bit of import to rectify the jobs that place persons at hazard for plantar fasciitis, such as increased sum of weight-bearing activity, increased strength of activity, difficult walking/running surfaces and worn places. Early acknowledgment and intervention normally lead to a shorter class of intervention every bit good as increased chance of success with conservative intervention steps ( Martin, Irrgang, Conti 1998, Reid 1992 ) . Assorted intervention schemes, including orthoses ( Kwong et al. 1988, Gross et Al. 1984, Goulet et Al. 2002, Lynch et Al. 1988 ) , stretching ( Probe et al. 1999, Powell et Al. 1998, DiGiovanni et Al. 2003, Chandler et Al. 1993, Barry et Al. 2002 ) , taping ( Lynch et al. 1988, Scranton et al. 1982 ) , extracorporeal daze moving ridge therapy ( Boddeker et al. 2001, Buchbinder et Al. 2002 ) , laser therapy ( Basford et al. 1998 ) and drug therapy in the signifier of systemic medicine ( Probe et al. 1999 ) , transdermal injection ( Cunnane et al. 1996, Kamel et Al. 2000, Kane et Al. 1998 ) and topical application ( Gudeman et al. 1997, Japour et Al. 1999 ) have been investigated and have shown variable clinical benefit. Taping can be done in many methods but i am more interested in low-dye tape as it is widely used and so i will be discoursing about that technique in item. LOW-DYE Tape: Low-Dye tape is designed to off-load the plantar facia. It is a short term intervention and its off-loading effects vary from patient to patient. However, as a general regulation leave the tape on for a upper limit of 3 yearss, but some might happen it needs to be replaced more often in order remain effectual. If at anytime the tape is uncomfortable, irritates, causes rubing or pins and acerate leafs it should be removed instantly. The tape required is a 1 inch Zn oxide ( stiff strapping ) , most chemist should stock it. Another topographic point to entree it is from www.simplyfeet.co.uk, look under strapping and for Leukoplast ( 2.5cm ) , its costs about ?2.70p per axial rotation ( which should last for 3-4 applications ) How to use the tape 1. The first tape is applied down the outer and interior boundary line of the pes, repetition 3-4 times. Apply adequate tenseness to avoid the tape wrinkling, it needs to be no tighter. 2. The 2nd tape is applied across the bottom of the foot-starting degree with the mortise joint, use the tape across the pes from the exterior to the interior. Over lap the each strap somewhat and maintain traveling until merely before making the ball of the pes. 3. The concluding tape is a procuring tape-apply a piece of tape across the midfoot, at about where the 2nd taping terminals, apply across the top of the pes, but do non encircle the whole pes, as this will be excessively tight. 4. Initially the tape will experience somewhat tight, but this should ease, if it feels uncomfortable at all-remove instantly. Effectss of Low-Dye tape: Offers support for the median longitudinal arch and reduces pronation ( inward peal of the pes ) . Can be used for any status affected by inordinate pronation – Plantar fasciitis, Tibialis Posterior Tendonopathy/Dysfunction, Sinus tarsi syndrome. Literature reappraisal: PF is considered a self-limiting status. However, the typical declaration clip is anyplace from 6-18 months, sometimes longer ( Young, Rutherford, Niedfeldt 2001 ) which can take to defeat on both the portion of the doctor and patient. Most experts agree that early acknowledgment and intervention of PF leads to a shorter class of intervention and greater chance of success with conservative therapies ( Singh, Angel, Bcntk, Trevino 1997 ) . Of the many intervention options available for PF. one of the most effectual is besides the most cardinal – remainder and turning away of worsening activity provides important alleviation. One survey cited remainder as the intervention that worked best for 25percent of PF patients ( Wolgin M. Cook C. Graham C, Mauldin D 1994 ) . Martin et Al. 2001 compared usage orthoses, nonprescription arch supports, and tenseness dark splints in the intervention of plantar fasciitis. Lynch et Al. compared anti-inflammatory therapy, accommodating therapy an d mechanical therapy in the intervention of plantar fasciitis. There are many conservative interventions that are employed to pull off this syndrome. Scientists at the University of Bridgeport Chiropractic College in Calgary, Alberta, conducted an thorough reappraisal of the literature from 1980 to March 2005 on the direction of plantar fasciitis. They concluded that due to legion methodological defects, none of the 15 randomised controlled tests showed once and for all which conservative intervention mode was best for plantar fasciitis ( JCCA ) . Contrast baths ‘ , in which the application of cold and heat to an injured country is alternated, are popularly believed to cut down hydrops ( tissue swelling ) and alleviate uncomfortableness following an hurt ( Sullivan and Anderson 2000 ) . Care of the Young Athlete American Academy of Orthopaedic Surgeons. A spiller of the scientific literature on this subject utilizing Medline exposed merely two articles in this country, and one of the articles was anecdotal in nature, with no strict, controlled testing of the efficaciousness of contrast baths. The other journal article described research carried out at the University of North Carolina in which 30 topics with post-acute sprained mortise joints were assigned to either a cold ( n = 10 ) , heat ( n = 10 ) , or contrast-bath ( n = 10 ) intervention group ( ‘Comparison of Three Treatment Procedures for Minimizing Ankle Sprain Swelling ‘ , Physical Therapy, Vol 68 ( 7 ) , pp1072-1076, 1988 ) . Volumetric measurings of the topics ‘ mortise joints were made in a specially constructed armored combat vehicle, before and after intervention. An addition in the sum of hydrops was really observed with all three interventions, but cold application was associated with the least measure of swelling ; contrast baths were no better than the direct application of heat when it came to commanding swelling. This survey is slightly flawed, since there were no co ntrol persons with whom the individuals using the assorted interventions could be compared. However, the research suggests that there is nil peculiarly advantageous about contrast baths ( particularly when compared with the application of nil but cold ) in the intervention of sprained mortise joints or hydrops in general. Interestingly plenty, there besides does non look to be a individual survey in the scientific literature associating contrast baths with quicker recovery from hurt or with a important lessening in hurting associated with an hurt. Compression is thought to be utile in this stage through tape of the pes. However, while common pattern, there were no surveies found to back up or rebut this claim. But still many researches are being done on utilizing taping presents. Scherer and the Biomechanics Graduate Research Group for 1998 performed a prospective survey in which they treated 73 patients with 118 painful heels with tape, nonsteriodal anti-inflammatory drugs, injections, and stiff orthoses ( 98 % received these orthoses ) . The survey showed that, within 6 hebdomads, about 84 % of the patients had at least 80 % alleviation of symptoms. This survey besides identified a subgroup of 43 heels ( 27patients ) that received merely mechanical therapy with taping or orthoses. Of this group, 90 % had more than 80 % alleviation of symptoms. The writer concluded that mechanical control of midtarsal articulation was the most successful intervention mode for plantar fasciitis. In the recovery stage of rehabilitation, the end is to cut down emphasis on the plantar facia ( J M. ) . Orthotic shoe inserts are thought to supply emphasis alleviation and back up the plantar facia, but a reappraisal of several surveies found them to be inconclusive and contradictory due to methodology, little survey size, or deficiency of long-run followup. There are many conservative interventions which can give better alleviation such as: Frost: Ice massage for over 15 proceedingss for three times a twenty-four hours can give better consequences and diminish the redness. Stretching Heel lifts Supportive places Weight loss Taping Orthotics: Devicess such as gum elastic heel cups, elastic heel inserts can supply alleviation for plantar fasciitis. Night splints: Splints can supply alleviate from plantar fasciitis, but it normally takes more than 12 hebdomads. In an effort to measure the effects of ‘Low-Dye ‘ taping on the pes, eight patients ( nine pess ) with plantar fasciitis were studied utilizing the pedobarograph to look into alterations in pace forms. In add-on, patients completed a questionnaire to measure symptom betterment. Significant alterations between the unfilmed and taped pes were found in regard of force per unit area degrees, countries under the force per unit area clip curves and temporal parametric quantities. The questionnaire revealed subjective betterments in symptoms in eight out of the nine pess studied ( Saxelby, Betts and Bygrave 2004 ) . This article reveals that taping technique can better pace to some extent. The best manner to forestall plantar fasciitis is to understate your hazard factors. Follow the guidelines outlined above for choosing suited and well-constructed places. Progress preparation agendas suitably and work in new environments easy. Keep your calf musculuss strong. Although plantar fasciitis is a prevalent job, small scientific grounds exists refering the most appropriate intercession ( Crawford, Atkins, Edwards 2002 ) . In the book by Rose Macdonald ( 2009 ) , named â€Å" Pocketbook of Taping Techniques By Rose Macdonald † , Functional tape is now recognised as a accomplishment which is indispensable for those involved in the intervention and rehabilitation of athleticss hurts and many other conditions such as musculus instabilities, unstable articulations and nervous control. It incorporates all the basic techniques vital to the pattern of good taping but besides includes chapters on new evidence-based processs written by experts from around the universe. To assistance in the development of these techniques, this pocketbook demonstrates many new methods which may be used as indicated or modified to accommodate the clinical state of affairs. The Key Features in the book are Structured by organic structure part with highly-illustrated descriptions of relevant taping techniques Covers all facets of functional taping New techniques to change musculus activity and proprioception based on scientific grounds. Handy, portable size for easy mention in the field The footing for a systematic reappraisal: Harmonizing to Altmann ( 1999 ) , Systematic reappraisals, in health care, have been described as supplying nonsubjective overviews of all the grounds presently available on a peculiar subject of involvement. Such overviews cover clinical tests in order to set up where effects of health care are consistent and where they may change. This is achieved through the usage of explicit, systematic methods aimed at restricting systematic mistake ( prejudice ) and cut downing the opportunity of consequence ( Higgins and Green 2006 ) . Methodology: Systematic literature reappraisals are a method of doing sense of big organic structures of information, and a agency of lending to the replies to inquiries about what works and what does not- and many other types of inquiry excessively ( Petticrew and Roberts 2006 ) . They are a method of mapping out countries of uncertainness, and placing where small or no relevant research has been done, but where new surveies are needed. Systematic reappraisals are literature reappraisals that adhere closely to a set of scientific methods that explicitly aim to restrict systematic mistake ( prejudice ) , chiefly by trying to place, appraise and synthesise all relevant surveies in order to reply a peculiar inquiry. Definition of systematic reappraisal: A reappraisal that strives to comprehensive identify, appraise, and synthesise all the relevant surveies on a given subject. Systematic reappraisals are frequently used to prove merely a individual hypothesis, or a series of related hypotheses ( Petticrew and Roberts 2006 ) . Systematic reappraisals provide information about the effectivity of intercessions by placing, measuring, and summarizing the consequences of otherwise unwieldy measures of research ( Light and Pillemer 1984, Mulrow 1994 ) . A reappraisal of the grounds on a clearly formulated inquiry that uses systematic and expressed methods to place, choose and critically measure relevant primary research, and to pull out and analyze informations from the surveies that are included in the reappraisal. Statistical methods ( meta-analysis ) may or may non be used. Systematic reappraisals are defined, harmonizing to the Cochrane coaction, as scientific literature reviews aimed at replying clearly formulated inquiries by usage of systematic and expressed methods for identifying, selecting, and critically measuring relevant research, and for roll uping and analyzing informations from the literature included in the reappraisal ( The Cochrane coaction. During a systematic reappraisal, meta-analysis may be used as a statistical tool for analyzing and summarizing the consequences of the included surveies ( Green and Higgins 2005 ) . In order to carry through this map, a systematic reappraisal should: ( I ) present a synthesis of the acquired cognition sing one peculiar clinical inquiry derived from all relevant surveies that are identifiable at one point in clip, ( two ) identify the degree of internal cogency and the subsequent possible systematic mistake hazard associated with the acquired cognition and ( three ) provide recommendations for bettering any identified defect related to internal cogency, for farther research. Owing to go on farther research, systematic reappraisals should besides supply continued updates of their synthesis Quality appraisal: The procedure of measuring the methods and consequences of each survey is frequently referred to as critical assessment, and sometimes as â€Å" measuring survey quality † . In a systematic reappraisal, this exercising aims to find whether the survey is equal for replying the inquiry. Measuring survey quality ( Petticrew and Roberts 2006 ) is frequently used as a stenography to intend â€Å" internal cogency † – that is, the extent to which a survey is free from the chief methodological prejudices ( such as choice prejudice, response prejudice, abrasion prejudice, and observer prejudice ) . Critical assessment of the methodological quality of primary surveies is an indispensable characteristic of systematic reappraisals ( Juni, Altman and Matthias 2001 ) . As a consequence this chapter will see the quality of each of the included surveies through the procedure known as quality appraisal. Any identified reappraisals should be critically appraised for quality utilizing a checklist ( Greenhalgh 1997, Oxman and Guyatt 1988 ) . In general, a good reappraisal should concentrate on chiseled inquiries and the reappraisal methodological analysis should be geared towards obtaining a valid reply. The referees should do a significant attempt to seek for all the literature relevant to the inquiry. The standard for choosing or rejecting surveies should be appropriate so that the included surveies are utile in straight turn toing the inquiry. In add-on, the methodological criterion of these surveies should be high plenty to do the proviso of a valid reply more likely. The procedure of measuring survey relevancy and quality should be unbiased, consistent and transparent. If these procedures are non good documented, assurance in the consequences and illations of a reappraisal is weakened. The reappraisal should clearly expose the consequences of all included surveies foregrounding an y similarities or differences between surveies and research the grounds for any fluctuations. In visible radiation of these consequences, and sing the populations, intercessions and results covered by the reappraisal, it should be possible to do a opinion about the pertinence and value of the reappraisal ‘s findings. Systematic Review Procedure: Scoping reappraisal: A scoping reappraisal involves a hunt of the literature to find what kinds of surveies turn toing the systematic reappraisal inquiry have been carried out, where they are published, in which databases they have been indexed, what sorts of results they have assessed, and in which populations ( Petticrew and Roberts 2006 ) . It may include restricted hunts across a limited figure of cardinal databases, limited to a certain clip period, and possibly restricted by linguistic communication. This can assist be a reappraisal for the intent of pulling up a support proposal, and can assist with gauging how long it is likely to take, and what mix of accomplishments might be needed to transport it out. From the below systematic reappraisal on effectivity of low dye taping in the direction of plantar fasciitis we can see that one relevant survey has been found which involves effectivity of taping in the direction of plantar fasciitis but that differs from the current systematic reappraisal as it did non affect low dye taping which is the cardinal factor of the undergoing reappraisal and this reappraisal is based on lone effectivity of low dye taping and non taping in broader context. Study Selection Criteria: The purpose of survey choice is to place those articles that help to reply the inquiries being addressed by the reappraisal. It is of import that this choice of articles is free from prejudices, which occur when the determination to include or except certain surveies may be affected by pre-formed sentiments ( IOxman and Stachenko 1992, Slavin 1995, Goodman 1993, Clarke and Oxman 2000, Cooper and Ribble 1989, Oxman and Guyatt 1993 ) . It is indispensable that determinations about the inclusion or exclusion of surveies are made harmonizing to predetermined written standards stated in the protocol. Both inclusion and exclusion standards should follow logically from the reappraisal inquiry. If the reappraisal aims to reply a inquiry about effectivity, the inquiry can be framed utilizing a theoretical account called PICO-Population, intercession, comparing, result ( Booth and Fry-Smith 2005 ) . The reappraisal inquiry in this systematic reappraisal will be is low dye taping effectual in the direction of plantar fasciitis? Inclusion Standards: This involves the key points which will be involved while carry oning the systematic reappraisal. Population: Patients holding plantar fasciitis. Adults age 18 and supra. Study designs: Randomised controlled tests quasi-randomised controlled tests Controlled tests Intervention: Low -dye tape. Comparisons: No intervention Orthoses Injections Medicines Ultrasound Results: Primary results: Pain alleviation. Gait betterment Secondary results: Relieve force per unit area points. Reduce swelling if present. Exclusion Standards: This include the points which will be excluded while carry oning the systematic reappraisal. Population: Patients holding other heel strivings or any abnormalcy like limb length disagreement and disablement. And patients who do non come in big age group for illustration kids. Intervention: Other types of taping similar high dye taping and many more. Results: Merely surveies that meet all of the inclusion standards and none of the exclusion standards should be included in a reappraisal. The standards should be piloted to look into that they can be faithfully interpreted and that they classify the surveies suitably. As the inclusion standards finally determine which surveies will be included in the reappraisal, it is inevitable that argument and treatment will take topographic point as to how wide or narrow these standards should be. The pertinence of the consequences of the reappraisal may be reduced when standards are narrowly defined. Identifying the Relevant Literature: The purpose of the hunt is to bring forth as comprehensive a list as possible of primary surveies, both published and unpublished, which may be suited for replying the inquiries posed in the reappraisal ( Goodman 1993, Clarke and Oxman 2000, Counsell 1999 ) . Designation of relevant surveies by a thorough, indifferent hunt scheme is important. This is because the cogency of the reappraisal findings is straight related to the fullness of the hunt used to capture the relevant surveies. The thoroughness of the literature hunt is one factor that distinguishes systematic reappraisals from traditional reappraisals. It is besides of import to guarantee that the procedure of placing surveies is as thorough and indifferent as possible ( Easterbrook 1991 ) . There are many beginnings of information to see, but a hunt of electronic databases is frequently the chief starting point. Accoridng to Dickersin ( 1990 ) , Dickersin, Min and Meinert ( 1992 ) , a scope of cultural, academic, personal and editorial factors play a function in the publication or non-publication of research. As most of the esteemed diaries use English, there may be a inclination for the publication of studies in English by research workers whose first linguistic communication is non English to be linked to the significance of survey consequences ( Egger, Zellweger-Zahner, Schneider, Junker, Lengeler, and Antes 1997 ) . It is of import to be cognizant of the scope of possible prejudices ( Egger and Smith 1998 ) , and to utilize a assortment of hunt methods ( both computerised and manual ) to guarantee as comprehensive and unbiased a hunt as possible. Generating a hunt scheme: It should be clear from the reappraisal inquiry and from the inclusion/exclusion standards what types of surveies need to be identified. Effective searching is a accomplishment and it is extremely desirable to affect an information expert who can plan and put to death sensitive ( and perchance complex ) hunt schemes. Some cardinal beginnings of published and on-going reappraisals The Cochrane Library It has three databases of published and on-going systematic reappraisals: aˆ? The Cochrane Database of Systematic Reviews ( CDSR ) Contains the full text of on a regular basis updated systematic reappraisals of the effects of wellness attention carried out by the Cochrane Collaboration, plus protocols for reappraisals presently in readying. aˆ? Database of Abstracts of Reviews of Effectiveness ( DARE ) Critical assessments of systematic reappraisals non published in the CDSR. These reappraisals are identified by regular searching of bibliographic databases, manus searching of cardinal major medical diaries, and by scanning gray literature. ( DARE is besides available free at hypertext transfer protocol: //www.york.ac.uk/inst/crd ) aˆ? Health Technology Assessment ( HTA ) Database Abstractions of completed engineering appraisals and ongoing undertakings being conducted by members of the International Network of Agencies for Health Technology Assessment ( INAHTA ) and other health care engineering bureaus. ( The database is besides available free at hypertext transfer protocol: //www.york.ac.uk/inst/crd ) Selected Internet sites and indexes ( concentrating on clinical effectivity ) aˆ? TRIP – hypertext transfer protocol: //www.tripdatabase.com aˆ? Health services/technology appraisal text ( HSTAT ) – hypertext transfer protocol: //text.nlm.nih.gov/ aˆ? National Coordinating Centre for Health Technology Assessment – hypertext transfer protocol: //www.hta.nhsweb.nhs.uk/ aˆ? ARIF assessments – hypertext transfer protocol: //www.bham.ac.uk/arif/enqscomp.htm aˆ? NICE assessments – hypertext transfer protocol: //nice.org.uk/nice-web/cat.asp? c=153 aˆ? SIGN guidelines – hypertext transfer protocol: //www.show.scot.nhs.uk/sign/home.htm General databases aˆ? MEDLINE, EMBASE, CINAHL, PsycLIT and others Research workers aˆ? Personal contact with experts in the field Research in advancement aˆ? National Research Register ( NRR ) – hypertext transfer protocol: //www.update-software.com/national/nrrframe. Html. The development of a hunt scheme is an iterative procedure: one effort will seldom bring forth the concluding scheme. Schemes are built up from: a series of test hunts ; treatments of the consequences of those hunts within the reappraisal squad ; and audience with experts in the field to guarantee that all possible relevant hunt footings are covered. Harmonizing to Petticrew and Roberts 2006, the properties of a hunt scheme can be described in footings of sensitiveness or callback ( ability to place relevant articles ) , and specificity or preciseness ( ability to except irrelevant articles ) . Searches with high sensitiveness tend to hold low specificity, in that a big proportion of articles they retrieve are non relevant to the inquiry posed. Sensitivity ( callback ) Sensitivity is the proportion of relevant articles identified by a hunt scheme expressed as a per centum of all relevant articles on a given subject. It is a step of the fullness of a hunt method, i.e. its ability to place all relevant articles on a given subject. Highly sensitive schemes tend to hold low degrees of preciseness and frailty versa. Specificity ( preciseness ) Preciseness is the proportion of relevant articles identified by a hunt scheme expressed as a per centum of all articles ( relevant and irrelevant ) identified by that method. It is a step of the ability of a hunt to except irrelevant articles. Searchs for relevant surveies can be undertaken ab initio utilizing electronic databases ( see below ) , but this alone is deficient. A thorough hunt will normally include hunts in a figure of beginnings of relevant literature. Beginnings of research grounds aˆ? Electronic bibliographic databases aˆ? Reference lists from relevant primary and reappraisal articles aˆ? Diaries, gray literature and conference proceedings aˆ? Research registries aˆ? Research workers and makers aˆ? The Internet. Constructing an effectual combination of hunt footings for seeking electronic databases requires a structured attack. One such attack involves interrupting down the reappraisal inquiry into ‘facets ‘ , such as population, intercessions, results and survey designs ( Counsell 1998 ) . The hunt term used for this systematic reappraisal were as follows: Low-dye taping Plantar fasciitis Management of plantar fasciitis Taping in Plantar fasciitis Effectiveness of taping in plantar fasciitis The group of hunt footings covering each aspect of the reappraisal inquiry should include a scope of textwords ( free text ) in the rubric and abstract of surveies every bit good as any available capable indexing footings that are assigned by the database manufacturer. The concluding hunt schemes will be developed by an iterative procedure in which groups of footings are used, possibly in several substitutions, to place the combination of footings that seems most sensitive in placing relevant surveies. This requires skilled version of hunt schemes based on a cognition of the capable country, the capable headers and the combination of ‘facets ‘ which best gaining control the subject ( Lowe and Barnett 1994 ) . One of import ‘facet ‘ of the hunt scheme can be the survey design ( s ) on which the reappraisal is concentrating, for illustration randomised controlled tests ( RCTs ) . To place published and unpublished RCTs and controlled tests, there are specialist aggregations such as the Cochrane Controlled Trials Register ( CCTR ) and research registries of ongoing tests such as Current Controlled Trials ( Current Controlled Trials Ltd. 2000 ) . Electronic databases: Electronic databases typically contain bibliographic inside informations and ( often ) abstracts of published stuff every bit good as thesaurus-derived indexing footings, which can be used to seek for relevant articles. There are many potentially utile databases and ushers to databases which can be consulted ( Lyon 1991, Armstrong 1993 ) . Some of import databases of research grounds: Medline Bibliographic records and abstracts of biomedical literature from 1966 onwards. EMBASE Records of biomedical literature from 1974 onwards. CINAHL ( Cumulative Index to Nursing and Allied Health Literature ) Records of literature on all facets of nursing and allied wellness subjects. PsycInfo Records of research in psychological science and related behavioural and societal scientific disciplines from 1967.Selected databases with a specific focal pointCCTR ( The Cochrane Controlled Trials Register ) Records of randomised controlled tests and controlled clinical tests in health care identified through the work of the Cochrane Collaboration including big Numberss of records from MEDLINE and EMBASE every bit good as much stuff non covered by these databases. NHS EED ( NHS Economic Evaluation Database ) Structured abstracts of economic ratings of wellness attention intercessions identified by regular searching of bibliographic databases, and manus searching of cardinal diaries. Conference Papers Index Records of conference presentations. Pedro: The physical therapy grounds database. General medical databases such as MEDLINE and EMBASE can be a helpful get downing point in developing a hunt scheme. These databases cover many of the same diaries and the extent of the convergence has been estimated to be about 34 % ( Smith, Darzins, Quinn and Heller 1992 ) .