Thursday, October 31, 2019

Analysis of The Circus by George Seurat Essay Example | Topics and Well Written Essays - 750 words

Analysis of The Circus by George Seurat - Essay Example The essay "Analysis of The Circus by George Seurat" examines the painting of famous artist Seurat. Due to the method’s demand for hard work, prevented its completion despite the published fact that he usually stays by himself working for long hours of the day and through the night on his paintings. The Circus as the title implies is the setting of the picture which shows the ringmaster on the forefront, the joyful dancing of the lady, prancing horse and the clown on his upside-down stunt. The painting depicts the gaiety going in the circus considered to have been a part of his experimentation of colors, as he also considered emotional characters coming out from his former mood of being very formal and static. Created during the years when Paris was still feeling the effects of the Franco-Prussian war, â€Å"The Circus† portrays the other side of the great devastation experienced during this time which recorded 36,000 people who died of starvation when the Germans besieg ed Paris and cut off all food supplies. Despite this fact, France rose to gather great minds from around the world and introduce their expertise and studies. It has been noted that Seurat and other impressionists never portrayed the dark side of the circumstances in France which could most probably be the reason behind the subject of this painting because Seurat would rather leave an impression to his audiences of the joyful pleasures the circus brings. During the time of Seurat, artworks have been a major contribution to the development of the country., attracting peoples from around the world not only in arts but also in other areas like philosophy, Sciences and Mathematics so that France then became the center of information and development. One of the developments produced in this era is what Seurat birthed as the Pointillism mentioned earlier which is also known as neo-impressionism. This was also the time when the ‘salon’, the French Academy of Art controlled the industry, dictating theme and style used in the artworks so that Seurat’s modern approach to his artwork was rejected because it was considered to be against the then generally accepted perception of art and beauty. The salon gave good exposure of artists and their works so it has been a very powerful tool to the success or fall of artists. Seurat was sneered at and his works have been despised by the impressionists but these did not thwart him in pursuing his personal style of performing arts in what he believed he could effectively use. He then joined hands with other artists whose works have also been rejected by the salon and formed an independent body where they coordinated their own exhibits. Contrary to what Seurat experienced with the impressionists, his artwork has been acclaimed by the increasingly educated population in the use of modern concepts. This gave Seurat a platform to continue with his style which he was known for and also to be the father of which, takin g a little following and influencing other successful artists during his time. The ringmaster’s whip and the whiplash is the motif repetitively expressed in

Tuesday, October 29, 2019

Visions of the future Essay Example | Topics and Well Written Essays - 500 words

Visions of the future - Essay Example It is not known how the virus got spread so quickly and why it appeared. At the point the director draws attention to the possibilities of chemical weapon and inability of people to control it. More precisely, he emphasizes the necessity of people to be responsible for scientific advances. In â€Å"Twelve monkeys† the number of victims of the deadly virus is estimated as 5 billion so the major part of the planet population simply disappeared. The life of those who have survived differs greatly from normal. People are forced to live in little bunkers which remind tin boxes deep under the ground without any fresh air and sun shine. They travel with the help of some flying cars in almost complete darkness and smog. They do not see sun, they are unable to grow plants and their life does not promise any improvements in future. Artistic people are usually more sensitive and fatalistic because they often examine such topics as life and death. Terry Gilliam with his apocalyptic vision is not an exception. In his â€Å"Twelve Monkeys† people are deprived of normal and sometimes perceived as habitual things such as ability to move freely and to enjoy nature. Their life reminds survival in jungles with no place for entertainment and simple pleasures. Gilliam probably wanted to show that thoughtless science can be deadly. Scientists now deal with many dangerous chemicals, make and create powerful viruses, experiment with nuclear weapon. One careless decision and the whole humanity may find itself doomed. Probably Gilliam wanted to show the situation similar to Chernobyl Catastrophe, one of the tragedies of that kind, when people are not able to live on the land which was contaminated. And it does not matter whether the reason is radiation or a virus, it is all connected to the scientific experiments. Not accidentally there is another plot line I the movie showing fight

Sunday, October 27, 2019

Introduction To Gay Marriage English Language Essay

Introduction To Gay Marriage English Language Essay The society today tends to stick to what they know and hold on to the familiar. Therefore when something unfamiliar comes along the society resists acceptance, instead they dismiss the issue by denying its existence. Unfortunately, gay marriage is one of the issues that the society has come to refuse to accept and deal with. Maybe, it is because they do not know how to approach it or maybe the issue just took them by surprise and they just need a moment to recover. For whatever reason, the society has chosen to ban gay marriage in Palau. Same sex marriage is new to us all, I completely understand that fact. It was not until recently that we found out that there are certain people that are into liking the same sex. However if we come to think of it, many things regarding marriage, has all, at one point in life, been new to us. In fact when I asked my grandfather, whose name is Kanai Edesomel, what traditional marriage was like back in the old days he said that marriage, traditionally, was mostly arranged. My grandfather went on to say that children back then did not have a say in who they were going to marry. The parents were the ones that chose who their children was going to marry based on a persons character, family background, and how the marriage is going to benefit their own family. Based on what my grandfather told me about marriage in the old days and how marriage is today, I would have to say that Palau has come a long way from arranged marriage. In an article published in the New York Times, William Saletan pointed out how we, members of the society, dont realize how marriage has continuously changed over time, usually in ways so congenial. In the same article William Saletan noted that not only is change part of the tradition but tradition will be part of the change.(Saletan) We, Palauans have slowly broke away from our traditional way in marriage, because whether we realize it or not the world we live in today demands change from us. We are becoming diversely knowledgeable therefore we have to adjust traditions to match the world we live in today and the knowledge we have; and if not adjust traditions we shall make new traditions. In being able to adjust and come up with new traditions we shall become more accepting of same sex marriage. This is all your opinion-not research. We have to stop and consider people in our society who are gay, they are not doing anything wrong; they are just being who they are. Gay cannot help the way they feel. During the 1990s a scientist named Laura S. Allen did an experiment on the human brain. For her experiment, Laura compared the brain of heterosexuals and homosexuals. She came to find that that the hypothalamus, which is the part of the brain that is connected to the sexual drive and function, for homosexuals are bigger that hypothalamus for heterosexual. (Biological Basis for Homosexuality) Therefore, I can say, based on Allens experiment results, that gay people do not choose to be gay; they are born gay. The society should not deny gay people marriage because they think that gay people choose to be this way. I asked a couple of Palauans who are against gay marriag, why they chose to be against it? Most of them said that they think that being gay is not right and people that are gay are sinner. That is why I say that gay people does not choose to be gay, they are born this way. Another study that was done on homosexuals to determine whether they were born gay or not, that is quite similar to Laura Allens experiment also came up with the similar results as Laura Allens experiment. The experiment I am talking about is by Simon LaVay, who also studies both homosexuals and heterosexual brains and compared them.(Biological Basis of Homosexuality) Although, the overall study on whether people are born gay or choose to be gay is inconclusive, there are been evidence shown that gay people were born the way they are, just like experiments I have told you about. We can never know for sure if gay people were born this way or chose the path that they are on. However, if you think about it, no one in their right minds would choose an identity that is descriminated and hated by the society. Now that I have mentioned descrimination let me just tell you that by denying gay people marriage we are descriminating gay people. We are always enforcing equality in our society, and yet we are not treating gay people equally by not allowing them to marry and receive the benefits that any traditional couple will receive when they marry. In the constitution of the Republic of Palau under Article 4, section five it clearly says, Every person shall be equal under the law and shall be entitled to equal protection. The government shall take no action to discriminate against any person on the basis of sex, race, place of origin, language, religion or belief, social status or clan affiliation except for the preferential treatment of citizens, for the protection of minors, elderly, indigent, physically or mentally handicapped, and other similar groups, and in matters concerning intestate succession and domestic relations. No person shall be treated unfairly in legislative or executive inve stigations.(Constitution of the Republic of Palau.1979) By denying gay people marriage we are descriminating against peoples race and believes, if that does not go against the constitution I do not know what does. I all comes down to morality, what do we think is right to do? While deciding we shall consider the changes in marriage throughout the years. At the same time consider that gay people cannot change who they are, just like we cannot change who we are; in changing who we are we are denying ourselves. Also we have to consider the laws that have been set out for our society. Work Cited: Saletan,William The Peculiar Institution.Sunday Book Review(2004):3.The New York Times.Web.26 September 2004. Biological Basis for Homosexuality..Biobasis(2003):7151.Geocities.Web.8 April 2003. The Constitution of the Republic of Palau.Palau Consolidated Lagilation.(1998):Paclii.Web.2 April 1979. Research Evaluation Thoroughness of Research: 4 Extremely thorough, strong thesis supported by research, paper has purpose and not just facts, variety of sources 3 research good overall but some areas need additional research, thesis and research mostly support each other, purpose to research (not just facts) three types of sources 2 Basic research is good, paper has thesis but weak, more facts than purpose, additional research to support thesis needed throughout, two sources used 1 Research is insufficient throughout, very weak or missing thesis, paper mostly facts, insufficient sources Structure and Organization: 4 Information is extremely well organized and easy to understand, correct person used throughout the paper, appropriate transitions used so paragraphs blend together 3 Organization is generally good but some information is misplaced, some error in person, some use of transitions so paragraphs somewhat blend 2 Organization falls apart in several areas but the basic structure of the paper is good, multiple errors in person, few transitions so paper reads fairly choppy 1 Overall structure of the paper is not well thought out causing paper to be unorganized, many errors in person, insufficient or no transitions results in paragraphs not connecting causing choppy reading Development: 4 Excellent introduction with proper thesis placement, each point is clearly identified and explained, strong conclusion which restates purpose, points and has closure 3 Good introduction with proper thesis placement, most points are clearly identified and explained, good conclusion which summarizes and has closure 2 fair introduction which contains thesis, some points are thoroughly explained, while others need development, fair conclusion 1 Weak introduction, most or all points still need a lot of development, poor conclusion causing paper to end abruptly Originality of Voice: 4 Research material has been thoroughly incorporated into the writers own words 3 Most of the paper reflects the tone of the writer 2 A great part of the research material still reflects the tone and style of the original source 1 The research paper reads as if most of it were simply copied from original texts (PLAGIARISM) Citations: 4 Writer has made citations in all areas where they quoted, paraphrased or summarized and effectively sandwiched in 3 Citations were made and sandwiched in effectively for most quotations, paraphrases and summaries, 2 Some citations were made and some attempt to sandwich in 1 No citations were made at all or citations do not fit into original writing Grammar, Mechanics and Spelling: 4 Writer showed care in proofreading; only occasional errors occur 3 Errors are common 2 Paper has multiple errors in every paragraph; sometimes the errors make the paper hard to understand 1 Paper has many errors, making it very difficult to read and understand Works Cited page: title, alphabetized, correct indentation, resources correctly formatted, sufficient number of resources listed, correctly punctuated (4 to 1 points) Format: Format: font size and style correct, 1 inch margins, right side ragged (no justification), title page correctly formatted, paper double spaced, paragraphs indented, reference page correctly titled and formatted, header with last name and page number on top right. (4 to 1 points) Overall Total: *32-29 (A range) Excellent work; well written *28-21 (B range) good; yet additional polish is needed 32=A *20-13 (C range) Fair; effort still needs to be done to finish the 24=B research paper 16=C *12-05 (D range) Poor; all areas of the research paper still need a 8=D lot of work; 4=F *04- 0 (F range) unacceptable; poor attention to rough draft comments, still lacking sufficient research The paper should be mostly written in third person. Only when you discuss personal issues, would you use the first person pronoun. The use of we throughout the paper needs to be changed. Use third person and use nouns more than pronouns. In addition, you have not punctuated the in-text citation properly. Note where the period goes. Your resource page is not correctly formatted either. You also have to be careful not to write your opinion so much. Back up what you say with research.

Friday, October 25, 2019

Essay --

Chris Nguyen Xxxxxx Xxxxxx 27 December 2013 Socialization and Stigmatization of HIV/ AIDS in Developing and Developed Societies: A Comparative Survey of Selected Recent Literature Introduction In the last thirty years the social perception of HIV/ AIDS has changed dramatically in the public conscious. The disease itself has shifted from being a baffling virus in the 1960s and 1970s, to the offensively termed â€Å"Gay-related immune deficiency† or GRID, to finally being termed the Human Immune-deficiency Virus (HIV) and Acquired Immune Deficiency Syndrome (AIDS) by the Center for Disease Control and Prevention (CDC) in the 1980s. Despite scientific advances in modern medicine, the perception of the illness is still highly sexualized and carries a deeply negative stigma, especially in economically developing societies. In this paper I will analyze a selection of current literature to gain understanding of how HIV/ AIDS first came into existence and how it was initially perceived in the public conscious. From this same pool of recent literature I will examine sub-Saharan African societies, specifically cases in Tanzania and South Africa, as well as the socio-politic al context surrounding HIV/ AIDS governance in present-day China. In contrast, I will also draw from an article that discusses stigma experienced by HIV-positive women living in Canada- a developed society. Despite the reams of scientific literature on the subject, public consciousness about living with HIV/ AIDS and preventing its transmission in developing and developed societies remains low. Cultural and Socio-political Perceptions of HIV Infection Modern perceptions of HIV and AIDS are driven by archaic and outdated social stigma that has existed since the discovery ... ...gical sense. Obviously people observe different cultures and norms across all of the world’s societies. In order to address a common problem across uncommon environments, problem-solvers must seek-out culturally appropriate means and methods for confronting any given issue. HIV and AIDS- related stigma is a problem that has plagued social society since the discovery of the illness. Even the most developed societies like Canada are not immune to prejudice and bias. As such, much responsibility falls upon educated people to share the importance of sexual and reproductive health with those who may not have access to the same level of quality education. While history has already written bias and stigma into the lives of those who have lived and continue to live with HIV or AIDS, the phenomenon of bias can be understood. And with understanding comes the hope for change.

Thursday, October 24, 2019

Childhood Essay

Be able to develop positive relationships with children and young people Explain why positive relationships with children and young people are important and how these are built and maintained. Positive relationships with children and young people are important for the child so that they can learn and develop to their full ability. If a child feels comfortable with you they would be more inclined to leave their parents in the morning easier. This makes the parent feel happier – leaving their child with someone their child enjoys being – and makes them feel less guilty about going to work. This also then means they can start to play and interact with other children. Through playing and exploring and socialising the child or young person will then start to participate in more and more activities. A good relationship with the child means you make them feel safe and secure and if the child has positive emotions it is more likely they will stay healthier and not get run down or ill. A positive relationship is also important because it is then less likely that the child will act out and behave negatively. They are less likely to act out and behave negatively if the child has a positive bond with you because you will know them well enough to cater for their wants, wishes and individual needs, therefore they will not feel frustrated or alone and will not need to act out to relieve stress or anger or to gain attention. A positive relationship is important as it helps a child develop confidence at a quicker rate and develop their language and communication skills quicker too. If a child feels comfortable with you they will start to talk to you more, providing you with the opportunity to assess where the child is at developmentally with their speech, language, knowledge and other aspects, and also find out about their personal interests. You can then set activities to help the child to further develop based on what they can already do and ensure the activity will fun for them by incorporating their interests into the activity. This means they can start to develop quicker and with the help of someone they have a positive relationship with. Having a positive relationship with a child will mean you know them well, their personality, their emotions, the little things. Therefor you can easily pick up on a difference in body language to know if there is something wrong, and also you begin to know what facial expression means what and so can address any issues quicker. Also with a positive relationship the child will feel like they can come to you and this is important so that they do not keep anything inside and instead share and resolve the issue so they feel calm again and happiness is essential in childhood. A positive relationship is built through trust. It’s the little things you do that helps you build up a positive relationship with the child. For example: – Giving them praise for doing something good – Giving them a cuddle when they need it – Helping and supporting them through the daily routine – Keeping them safe and feeling secure – having a positive relationship with their parents. All of these are ways to build and maintain a relationship with the child or young person and their career. Children and young people like consistency and stability, they like what they know and as long as you can be or are there for them consistently, and are positive towards them they will begin to form a bond with you. Evaluate own effectiveness in building relationships with children or young people When settling a new child into my room there are a few things I do to make them feel comfortable and hopefully build a positive relationship with them. Firstly, when a child or young person enters the room I always make sure I greet them, making eye contact, saying hello and smiling. I make sure I get down to their level and offer to give them a hug. I try to make the environment they walk into a positive one so they do not feel threatened or intimidated but more welcomed and wanted. I think this is effective as it is becomes a routine they can get used to – seeing me when they walk through the door – and will then instinctively start to say hello back and accept your offer of a hug. I also ensure I am always happy and have a chat with their parent or guardian. I think if the parent and you have a positive relationship the child will pick up on this and start react that way too. I think it’s an effective method to use as they do not see you as ‘the person that takes them away from their parent or guardian’ but instead sees you as a friend of theirs and their parent/guardian. I also find another very effective way to build a positive relationship with a child or young person is to constantly encourage them. Giving them a variety of toys and saying ‘oh what’s this? Would you like to play in the sand? ’ ect. This promotes to them you are fun and want to play with them. Children usually like someone to play with however this is not always effective if the child’s individual preference is to be left alone. In which case it is better to build the relationship by giving them their space, but making sure you are there for them when they need you for example, they are upset and you give them cuddles and/or words of reassurance. We recently had a little girl start and every day she will sit at the breakfast table. For a couple of weeks now I have been smiling at her and asking if she wants to come play. In the past she hasn’t, but by not being too pushy and letting her settle in at her own pace, she has started to smile back and will sometimes gain the confidence to come and join me in playing in the sand for example. Therefore, patience, understanding but persevering too is an effective way to build a relationship with the child, letting them have their own time to get used to you, trust you and like you. A method I use to build a relationship with a child is to just always be in the room paying and having fun. If a new child see’s you having fun playing and the children you are with doing so too they will normally begin to do so to. I think this is effective because the ‘fun factor’ is something I have found no child can resist. Also the fact that you are always there they can get used to you quicker the more you are available to them. If you ask the children or young people questions I find they begin to come out of themselves more, however there is the potential of a language barrier and so the effectiveness of asking question is non-existent. In this case it is effective to learn some of the child’s key words in their language and communication is an effective way of building a bond with a child. If you are seen to be trying the child will recognise this and begin to try to. I have in the past learnt key words in another language and began to say it in their language and then English, this has been effective as they have wanted to learn and hey used to come ad sit with me a lot just practicing these few English words. However, I only found this effective once the child had settled into the setting and was used to being there.

Wednesday, October 23, 2019

Experimental in science Essay

Experiment One: A researcher wanted to test the effect of caffeine on sleep. Fifty students volunteered to participate in the study and signed up for one of two nights. Thirty-three students participated on Tuesday night. They each were given two cups of regular coffee to drink one hour before going to sleep. Seventeen students participated on Wednesday night. They each were given two cups of decaffeinated coffee to drink one hour before going to sleep. Each student was monitored with an EEG (a test that looks at brain function) to record exactly when they fell asleep. Students in the caffeine group took significantly longer to fall asleep. The researcher concluded that caffeine interferes with the ability to fall asleep. 1. What was the independent variable for Experiment One? 2. What was the dependent variable for Experiment One? 3. What components of the experiment were set up properly? 4. How could Experiment One be improved? Experiment Two: A researcher wanted to determine if a new anti-anxiety drug decreased anxiety levels. Three hundred patients were given the new drug and three hundred patients were given a placebo (also known as a â€Å"sugar pill† that does not contain any medicine). All of the patients were told they were receiving the new drug and were monitored for six months. At the end of the six months, all of the patient information was analyzed and the researcher concluded that because the patients given the placebo indicated the same reduction in anxiety as the patients given the new drug, the new drug was ineffective in decreasing anxiety levels. 5. What was the independent variable for Experiment Two? 6. What was the dependent variable for Experiment Two? 7. What components of the experiment were set up properly? 8. How could Experiment Two be improved? 9. Describe how a variable was NOT controlled in one of the two experiments. How might this have impacted the results?

Tuesday, October 22, 2019

Medical Law Example

Medical Law Example Medical Law – Coursework Example Medical law A clinical trial is a behavioral or biomedical research aimed at determining the safest and most efficient treatment for an illness or disease1. Clinical trials are conducted after adequate information has been acquired that satisfies the legal and ethical requirements of the country where the therapy is to be carried out. Biomedical research is purposefully conducted to benefit the patient2. Therefore, while conducting a clinical trial on any person and particularly an aged person, there some ethical concerns to be considered. Trust and fidelity between the medical personnel and the patient is an important ethical recommendation3. The research should be beneficial to the patient, and mitigating or preventing harm. The research should be voluntary and protect human dignity4. It is ethical for the patient to have their personal information treated with privacy including protection from being shared with different people5. It is ethically important to ascertain the philosop hical and historical background of the patient to identify the benefits of the trial and the anticipated risks. While conducting a clinical trial, legal issues are considered which should be in line with the laws of the country6. Liability is a legal issue, the medical personnel is liable for any personal damage that the patient may encounter during the biomedical research, because of lowered dignity and betrayed privacy. The patient should get compensation for health consequences or injury acquired during the research because of underrepresentation or exclusion. Constitutional concerns are legal issues applied while dealing with biomedical research7. The land laws as stipulated in the constitution should be applied, that is human laws should not be abused. The patient consent should be sort and have the fundamental right to choose how and what part of one’s body parts to be used as specimen8.BibliographyBorak T, Ethical And Legal Issues In The Administration Of Clinical Tri als (2009) 41 The Surgical technologistBurns A and Winblad B, Severe Dementia (1st edn, John Wiley & Sons 2006)Chin R and Lee B, Principles And Practice Of Clinical Trial Medicine (1st edn, Elsevier/Academic Press 2008)Cohen I, The Globalization Of Health Care (1st edn, Oxford University Press 2013)Emanuel E, The Oxford Textbook Of Clinical Research Ethics (1st edn, Oxford University Press 2008)Perrey C and others, Ethical Issues In Medical Research In The Developing World: A Report On A Meeting Organised By Fondation MErieux (2009) 9 Developing world bioethicsRockwood K and Gauthier S, Trial Designs And Outcomes In Dementia Therapeutic Research (1st edn, Informa Healthcare 2005)Tereskerz P, Clinical Research And The Law (1st edn, John Wiley & Sons 2012)

Monday, October 21, 2019

Confidentiality in Counseling

Confidentiality in Counseling Counseling describes a method of relating and responding to other individuals with the aim of providing them with an opportunity to explore, discover, and clarify ways of living more satisfyingly and resourcefully (Bond, 2000). It depends on the context in which the word is used to derive the actual meaning. Generally, counseling is a service provided by a trained professional and it is a process that involves a series of steps.Advertising We will write a custom essay sample on Confidentiality in Counseling specifically for you for only $16.05 $11/page Learn More These include identifying the problem that needs to be addressed-such problems could be from the client who needs counseling help, consider the outcome of the decision (to the client and the entire society) understanding the client, assessing ones potential competence (skills that are required to solve the current problem), consideration of ethical standards in relation to the situation. In counseli ng, information shared includes one’s body, mind and thoughts, beliefs, feelings and fantasies (Burnard, 2005) Confidentiality refers to the ethical principle of not revealing information known to a given party to unauthorized parties. This principle ensures secrecy among two or more parties who share information to them. In addition, confidentiality restricts giving information to third parties. Counseling involves so much classified information being revealed by the client. For instance, it may involve confessions and revelations of past and current situations of darkest and very sensitive high profile information of crimes, plans that are underway to achieve a given objective, secrets that could lead to arrests and prosecution by law and other forms of confidential information that should not be allowed to reach a third party. Counseling takes on different forms depending on the situation, such as traumatic experience that has occurred in ones life, or information required on medical, career, legal, spiritual, and emotional situations that have affected a client either short or long-term. In either situation, the information shared between the client and the professional counselor should be kept and treated with the privacy and confidentiality that is deserved with regard to conformity to legal standards that describe confidentiality (Feltham and Dryden, 2006). Both confidentiality and privacy are integrally related. Privacy allows individuals to limit access to information about themselves whereas confidentiality allows individuals to control access of the information they have shared, hence enabling the development of client trust with the counselor (McLeod, 2004).Advertising Looking for essay on psychology? Let's see if we can help you! Get your first paper with 15% OFF Learn More Different groups Counseling involves a variety of different age groups; matters that affects these groups and most of the groups that seek counse ling services tend to assume that whatever they are divulging to their counselor, will be kept confidential for children and adolescents, there are many critical issues that face them, which need that counselors maintain confidentiality in offering their services. The adult clients are assumed rational in providing any kind of information to the counselors. Managing confidentiality in counseling minors tends to be very complex because most of them are frightened and have doubts that the information given out might be divulged to third parties, who might threaten the minors to the extent of causing more harm to them (McLeod, 2004). Ethical dilemma and steps Having a mentally disturbed patient who suffers from paranoia, at this point, the situation needing attention is a description of paranoia, the different forms, and symptoms with the patient and how to calm the effects of paranoia. The therapist decides on the best way possible to handle the patient. The decision made will affect both the patient and other colleagues in different ways-the patient should be informed of the measures to take when certain feelings of anxiety, fear, and or violent reactions come up. The psychologist should contact the patient’s family or friends and inform them about the consequences of the situation. Consultations and information gathering about the issue of paranoia from other professionals, the internet, and medical literatures will enhance the process of decision making by the psychologist, in order to provide best assistance, the psychologist can also direct the patient to another professional colleague who has vast experience on such situation. In such cases, the ethical standard of confidentiality is breached so to allow extensive acquiring and dissemination of knowledge that will be helpful in assisting both the patient and the entire community, but privacy and anonymity of patients situation should be taken into consideration. In order to clearly understand and p rovide solution to the situation, the psychologist should analyze the links between family, behavior, culture, and relevant theories that correlate to the dilemma of the patient.Advertising We will write a custom essay sample on Confidentiality in Counseling specifically for you for only $16.05 $11/page Learn More In most cases, counseling jeopardizes a person’s feelings, rights, position, and judgment. In this situation, the psychologist should prioritize the patient’s dilemma, and consider performance to the best even if it breaches the legalities, provided it does not endanger the patient-community relation. In offering the professional services, the psychologist should consider the role of other aspects in the community towards the decisions undertaken in the entire process, how paranoia is perceived within the cultural, religious, and social contexts, and corrective steps taken should such aspects result into conflicts, by either seeking legal assistance. In case of unexpected results in future, the psychologist should develop alternative courses of action-if for example the services given to the paranoia patient fails, or face prejudice from community, prescription of other professional services should be advised accordingly. The situation at hand should be looked at and advised within a larger perspective in consideration to the effects and those affected by the decision; the process should accommodate and harmonize the perspectives of all the members involved in counseling. All the decisions made by the professional counselor should be undertaken in consideration of personal responsibility to the latter, through reconciliatory means in consideration to ethical code, response, and actions. The possible outcome and the eventuality of the results should be evaluated by the psychologist in terms of the overall action taken in providing counseling services to the paranoia patient and the results, if negative, other ca use of action should be prescribed to correct the situation of either the patient, conflict from society, legal issues, and other areas. The above processes should be followed by the psychologist to ensure that the decision taken in order to assist the paranoia patient does not compromise the safety of all the parties involved. In addition, the services provided help the patient’s life in future; it will ensure that future challenges are overcome in a conflict free environment while guaranteeing better professional services to patients (Pope, Vasquez, 2007, p.111). Challenges facing Confidentiality Sometimes, in the counseling process, not all the information is availed by the client and such information could be needed for different issues to take place. For example, a client who has been severally abused sexually by his/her parents, or a stranger for that matter could hide such information from the counselor due to the relation that exists between the client and the perpetr ator.Advertising Looking for essay on psychology? Let's see if we can help you! Get your first paper with 15% OFF Learn More This hidden information is required by the counselor and medical practitioners to prescribe medication and other measures for the client. Hence, the counselor might opt to get the information from a third party to be able to ensure the success of counseling. Such a situation breaches confidentiality of the information for both parties. Parental consent Parental consent is needed from parent or guardian before entering counseling relationship especially in cases where the minors are considered not to make informed decisions about certain issues. However, their inclusion in the counseling process might restrict some information form the minors and as a result breaching confidentiality of the entire process. Competency (Age limits) – where the client is a minor, an adult has a great influence towards confidentiality. For minors who are seen as irrational in terms of revealing information and making decisions, the confidentiality is not guaranteed to some extent because a third party has to be involved in such a context to reveal or confirm certain information. The competency of age determines the confidentiality of the counseling process. Legal issues Matters concerning the various laws of any given state influence confidentiality in a way; for example, in cases of minor pregnancy, the minor might refuse to inform her parents about the plans for an abortion or even the pregnancy. Thus, if the abortion goes out of hand, the counselor is held responsible by law as for not informing the parents. Moreover, privacy rights influence confidentiality in counseling. Decisions making models Several models are used by counselors to promote the clients welfare depending on the situation at hand. Here, complexity of the situation and information provided by the client would influence the use of a third party. Privileged communication – This refers to the rights that protect clients from disclosing information during legal proceedings without informed consent (Pat, 1998). Confidentiality in various situations is breached, such as where it has involved notifiable diseases and the entire society has to be informed of the disease and its dangers. Other situation involve the births and deaths of individuals by the clients, information given to the police officers due to accidents and or crime, court orders which would require that certain information be made available to third parties, and where the professionals have to share certain information. All these forms result in breaching of confidentiality in any cases of counseling (Palmer, 1997). Benefits of confidentiality The client benefits from confidentiality during the counseling process in that, the client has a secure environment to give a full and frank account of issues pertaining to the problems they are facing. In other words, the client has someone whom he or she can accord trust for counseling services. Confidentiality supports public confidence and trust in both counseling and th e general healthcare services. It expresses mutual respect for the client or patient, and the autonomy of the patient is guaranteed. Confidentiality also guarantees the clients’ beneficence, non-maleficence (no intentions of harming the client whatsoever), justice and equal treatment and fidelity (loyalty, reliability and action in good faith). In certain cases, confidentiality reduces chances of the client being vulnerable to certain risks that may arise if the information revealed is made public and or relayed to a third party. Confidentiality ensures that the clients’ situation is dealt with, however nasty it may look to the client, and hence reduces chances of certain solvable situations worsening and becoming catastrophic in future. Clients are able to access professional assistance without the fear of victimization, and hence the reduction of the guilty conscience in the clients’ lives (Poon, 2003). Conclusion Counseling involves numerous services that are provided to the clients by professional counselors. These services concern and influence a persons taste, beliefs, thoughts, and fantasies. Confidentiality greatly influences the entire process of counseling, as the client and the professional counselor have to build and maintain trustworthy ground of access to information from both parties for the entire process to be successful. Different groups influence the extent of confidentiality during the counseling process, hence resulting into variation of management of confidentiality among the different groups. There are situations where confidentiality needs to be breached in order to get specific information about certain issues, and also to solve and prevent the occurrence of catastrophes in the entire society from the influence of information provided by the client. The clients benefit from confidentiality in many different ways. In counseling, the professionals should adhere and strictly maintain and ensure that privacy and confid entiality of the process is maintained to the latter, as this ensures the success of the counseling process. References Bond, T. (2000). Standards and ethics for counseling in action. London: Sage. Retrieved from https://books.google.com/books?id=yVx3LkOQA8YCpg=PA150dq=confidentiality+in+counsellinghl=enei=XtLDTeb0DtHLswaM9_WHDwsa=Xoi=book_resultct=resultresnum=4ved=0CEEQ6AEwAw#v=onepageq=confidentiality%20in%20counsellingf=true. Burnard, P. (2005). Counseling skills for health professionals. London: Nelson Thornes Ltd. Retrieved from https://books.google.com/books?id=xQIqC-_49wECpg=PA188dq=confidentiality+in+counsellinghl=enei=XtLDTeb0DtHLswaM9_WHDwsa=Xoi=book_resultct=resultresnum=8ved=0CFUQ6AEwBw#v=onepageq=confidentiality%20in%20counsellingf=true. Feltham, C., and Dryden, W. (2006). Brief counselling: a practical, integrative approach. Berkshire: McGraw-Hill International. Retrieved from https://books.google.com/books?id=ak_sybCOn-gCprintsec=frontcover#v=onepageqf=false. McLeod, J. (2004). The counsellors workbook: developing a personal approach. Berkshire: McGraw-Hill International. Retrieved from https://books.google.com/books?id=GpZsUxLdgvYCpg=PA102dq=confidentiality+in+counsellinghl=enei=eDLGTdvuAsXNswbsm7SXDwsa=Xoi=book_resultct=resultresnum=4ved=0CEUQ6AEwAw#v=onepageq=confidentiality%20in%20counsellingf=false. Palmer, S. (1997). Handbook of counseling. London: Routledge. Retrieved from https://books.google.com/books?id=Hloe33OCZqECpg=PA525dq=confidentiality+in+counsellinghl=enei=XtLDTeb0DtHLswaM9_WHDwsa=Xoi=book_resultct=resultresnum=2ved=0CDcQ6AEwAQ#v=onepageq=confidentiality%20in%20counsellingf=true. Pat, L. (1998). Counseling Minors: Ethical and Legal Issues. Counseling and Values, Vol, 42, Issue 3. Retrieved from pc3connect.org/otherdocs/COUNSELING%20MINORS-%20ETHICAL%20AND%20LEGAL%20ISSUES.PDF. Poon, S, M. (2003). Counseling â€Å"for life enrichment faith, hope, and love.† Singapore: All Nations Enterprise Ltd. Retrieved from https://boo ks.google.com/books?id=VJD3mdqSk6oCprintsec=frontcoverdq=counsellinghl=enei=-9bDTa7NJY_CtAbakvHIDwsa=Xoi=book_resultct=resultresnum=6ved=0CFwQ6AEwBQ#v=onepageqf=false Pope, S, K., Vasquez, T, J. (2007). Ethics in Psychotherapy and Counseling. CA: John Wiley Sons, Inc.

Sunday, October 20, 2019

Academic Problems Facing College Students Physical Education Essay

Academic Problems Facing College Students Physical Education Essay Post-secondary education is facing many problems today. One of the most significant issues is that students are not prepared for the academic demands of college, which can lead to dissatisfaction, poor grades and non-completion. Nationally, academic preparedness is deficient (Moore, 2006). Idaho has witnessed this problem and is working to overcome the challenges (Idaho State Board of Education, 2009). College enrollment of young adults in Idaho has seen a slight drop since 1990. In comparison with national averages, a relatively fewer number of young adults in Idaho are enrolled in postsecondary education. Moreover, only 43% of those who matriculate to college are able to successfully complete an undergraduate degree within a period of six years (National Center for Public Policy and Higher Education, 2008). One program post-secondary institutions have embraced in Idaho is dual enrollment, a program that encourages high school students to attend college courses concurrent with high school courses for high school and college credit, also known as dual credit. This study will attempt to examine the effectiveness of the dual enrollment program in Idaho, specifically if participating in dual enrollment affects a student’s first year college GPA, and retention. Statement of the Problem The problem being studied is the mixed findings on the effectiveness of dual enrollment programs in influencing college success among first-time college students. Dual enrollment has been thought of as a viable way to reduce high school drop outs and increase college enrollments. Benefits of the dual enrollment programs are supplementing the curriculum of high schools with college courses (Jacobson, 2005), and exposure to the rigors of college while in high school creates a more successful college student. Despite the presence of outcome studies, too little is known about how dual credit enrolment affects college outcomes among those who matriculate first time to college. Thi s study will attempt to examine the effectiveness of the dual enrollment program in Idaho, specifically, if participating in a dual enrollment program correlates with a student’s first year college GPA and retention. Significance of the Study This study contributes to the lack of literature on dual credit programs and their impact of college success. The purpose of this study is to determine whether participation in dual enrollment courses in high school affects the academic experiences of first-time freshen. Institutions now encourage students to co-enroll in postsecondary institutions for credits. In fact, dual credit courses are among the most popular educational programs today. The benefits of dual credit enrollment are well-established in institutional literature. The main benefit of dual credit enrollment is that high school students has a higher likelihood of matriculating into college immediately after high school graduation and towards successful completion of a post secondary degree. Institutions will benefit from this study because it will provide data that could inform practice and implementation of dual credit programs. School administrators can be more adequately informed of how outcomes of dual credit courses are mediated by variables such as gender, ethnicity or socioeconomic status. The data from this study can be used to inform decisions related to how dual credit programs can be made more effective. This could provide basis for changes in the design or implementation of dual credit programs to become more accessible and more conducive for all.

Friday, October 18, 2019

Last Night I Sang to the Monster Assignment Example | Topics and Well Written Essays - 250 words

Last Night I Sang to the Monster - Assignment Example In the rehab centre, Zach is placed in Cabin number 9 together with two other older roommates, he is confused and angry. At first Rafael who is 53 years old and a 28 years old drug addict hates Zach. However with time and the help of group therapy sessions and late night talks, Zach manages to create a good relationship with his companions. Despite all the depression, Zack is determined to get over his monsters and lead a normal healthy life. Zach’s voice in the novel is very powerful and represents hope and sadness which makes him a survivor despite being through unbearable pains and abuse. Zack has immense inner strength and the undefined love of others, which portrays him as resilience to the human spirit. Through Zach, teen readers have realized the youth suffer and also go through painful experiences but it is healthy to cry and need love. At times, I have realized that psychological healing is greatly affected by grief and memories. This calls for a lot of support and encouragement from all around for a successful psychological healing to be

Cellphone Essay Example | Topics and Well Written Essays - 750 words

Cellphone - Essay Example As the West has imbued items with value and importance, centering much of one’s life on materialism, the cell phone has become an extension of personal identity through connectivity to people and services that organize, make more efficient, and allow for personal expression. The home phone was an instrument through which people would communicate to one another when at home, people staying at home near the phone and waiting when they expected an important call. Communication though telephone usage was limited to within a confined space, which was only slightly expanded with voice mail and additional services, and the invention of the cordless phone. Still, the nature of a telecommunications experience was within the home. The cell phone, on the other hand, increased the space in which telecommunications could take place. Through ever increasing expanses, which have now reached worldwide, an individual can have a phone that will let them contact others from almost any space. Meanwhile, the cell phone as a device became smaller and smaller. According to Gancarz, â€Å"Cell phones have†¦pushed the small is beautiful tenet† (202). The idea is to provide a lightweight, highly portable device that can manage one’s whole life. Thus, not only have they expanded the space in which telecommunications can take place, but made each device a personal item with individual family members each having their own cell phone. With the development of text messages communications changed to a system of short phrases with high use of abbreviations. Through text messaging, the way in which communications was accomplished changed dramatically, instantaneous written phrases in which a whole new language has emerged replacing longer forms that required waiting time and responses. Where e-mails required patience, text messages are most often an interactive communication that is almost

The differences between macroeconomics and microeconomics Essay

The differences between macroeconomics and microeconomics - Essay Example For example, the objective of study microeconomic theory is to understand the factors related to the optimal allocation of resources whereas, the objective of macroeconomics is to study the factors related to employment and development of scare resources in the economy. Although microeconomics objective is to focus on individual units in the economy and macroeconomics objective to focus on entire economy, both of these fields are contributing to the study of economy and individual behaviours in the economy. The difference between microeconomic theory and macroeconomic theory is that microeconomics focuses on the economic behaviours of individuals including business firms, consumers and resources owners whereas, macroeconomics focuses on economy as a whole and deals with aggregate levels of output, economy, national income and prices (Salvatore, 2006, pp.8). According to Professor G. Thimmaya (cited in Jain & Khanna, 2010) the core difference between the two fields is that price is th e major determinant of problems in microeconomics whereas, income is the major determinant of problems in macroeconomics. In other words, the decisions taken in microeconomics are primarily based on price such as factors of production whereas, the decisions made in macroeconomics are based on income such as total consumption and total investments. Wessels (2006, pp.101) argues that in macroeconomics, the economy is studied as a whole whereas in microeconomics, the economic actions of people including individual firms and the individual households are studied. Wessels explains the difference between the two branches of economics. He argues that if in microeconomics the function of... This essay presents a modern theoretic analysis of the differences and similarities between microeconomics and macroeconomics. Various differences between macroeconomics and microeconomics are identified in the essay however; the primary difference is related to aggregation and objective of the two fields. Both these fields are strong interrelated and concepts and theories of microeconomics are necessary to study concepts in macroeconomics. Economics is the examination of mankind in the normal business of life; it analyses the actions of individuals and society which are closely associated with the achievement and utilisation of needs of well-being. The two branches of economics are microeconomics and macroeconomics. These two fields differ in their scope and objective. The core difference between the two fields is that price is the major determinant of problems in microeconomics whereas, income is the major determinant of problems in macroeconomics. Both subjects have different objectives. The objective of study microeconomic theory is to understand the factors related to the optimal allocation of resources whereas, the objective of macroeconomics is to study the factors related to employment and development of scare resources in the economy. Microeconomics and macroeconomics are substantially related with each other. Major chunk of modern macroeconomics theory involves the applications of microeconomics because the aggregate outcomes in macroeconomics are usually rooted from the decision making theories of consumers and firms

Thursday, October 17, 2019

International Money and Finance Essay Example | Topics and Well Written Essays - 1000 words - 1

International Money and Finance - Essay Example ompany name â€Å"Sunbelt Rentals.† Sunbelt Rentals has 358 facilities across the United States, and functions primarily in the commercial construction market. The company’s annual report from 2010 provides clues on the exchange rate risks. The operating statistics on the number of rental stores and staff strength provide a comparative view of the performance of the Ashtead Group for both Sunbelt Rentals and A-Plant in the years 2009 and 2010 respectively (Ashtead Group Press Release, 2011). Ashtead Group exposure to exchange rate risk develops from translation risk, which emerges from most of the company’s assets, liabilities, income, and costs being written in U.S. dollars. The changes in the comparative value of Pound Sterling and the U.S. dollar impact on the financial strength and functioning of the company. All of the company’s debt is shown in U.S. dollars in order to secure the revenue stream, hedging against the translation effect erupting from the shift in the dollar exchange rate. The company pays dollar interest on its debts to reduce the impact of any shift in the dollar exchange rate on its income (Moffett et al., 2009, p. 260, Ashtead Group Annual Report Accounts, 2010). Movement in the exposure of the company against the Pound Sterling or other currencies can create significant transaction exposure. Higher levels of exposure can affect the firm’s short-term cash flow and therefore may force the firm to borrow in order to meet its short-term cash requirements (Moffett et al., 2009, p. 253-255). Until the 31st of October, 2010, all company debts were shown in U.S. dollars and nearly 80% of the value of the company’s net assets was also in dollars. It proved to be a robust hedge against currency fluctuations. It reduces the impact of exchange rate fluctuations as interest is paid through dollars, thus reducing the effect on pre-tax profits and income. Based on the latest currency mix of Ashtead Group’s profits and dollar debt levels, in

Liberty of Conscience and Individuality Essay Example | Topics and Well Written Essays - 1750 words - 1

Liberty of Conscience and Individuality - Essay Example He might have put much focus and contribution in his own country for his fellow countrymen, but this has influenced leadership of nations across the globe. The liberty of every person is an essential factor for governance; as one is able to demand their right as well as play a role in the way they are governed by freedom of speech and demonstration. In this essay am solely going to expound on what Mill advocated for in his quest for liberty in his country as its written in his book On liberty. Mill had a strong believe on the liberty of an individual and had his strong points to back his reasoning at such a time when many governments were transitioning and locked out any idea of a person trying to criticize or influence other citizens. One of his greatest opinions was on the fact that there should be different experiments of living. This was based on the fact that human beings are flawed in their way of acting and reasoning, but this should not be a determinant of what they could be permitted to do or not to do. He argued that opinions of any individual should be done in action as long they did not interfere with the lives of others around them. To him as long a person’s opinions could be freely formed and expressed, so should be his actions on the same opinion. According to Mill societies had to factor this opinion in action the same way they had considered it just as an opinion. He stated that if an individual chooses to follow his opinion in what he/ she believes is right, they should be allowed to put into action. Actions meant that an individual could do whatever he/ she values to be right and justified as long as they never complicate the lives of others around them. According to Mill, the process of taking opinions into another level which was action had to be acceptable by the fact that a number of characters about an individual are not likely to harm others around him/

Wednesday, October 16, 2019

The Politics of Research Essay Example | Topics and Well Written Essays - 1000 words

The Politics of Research - Essay Example Sheila Dow has gathered several economists to review Card and Krueger's important work Myth and Measurement: The New Economics of the Minimum Wage, and what is more important than what any of these individual reviewers has to say is the collective impression left by the reviewers: the politics of research play a far larger role than do the numbers themselves. Finis Welch is left calling for an entirely new set of standards to govern the process of economic research and interpretation (Dow 2002). Several of the reviewers in this article refer to the design of what Card and Krueger call their "natural experiments" designed to see how an increased minimum wage would affect employment. One of the primary arguments against an increase in minimum wage has been that employers would be forced to reduce their workforce numbers to accommodate the higher wage - or to raise prices to such a degree as to render the increased wage negligible. Card and Krueger find as their conclusion that this argument is not true - they conclude that the effect on employment of a higher minimum wage is almost nonexistent. Charles Brown (who, coincidentally, believes that a 10% increase in the minimum wage would decrease employment by 1%) criticizes Card and Krueger's methods, saying that their time window for measuring effects of an increased minimum wage is too short, and does not consider other factors, such as sunk and capital costs (Dow 2002). By contrast, Richard Freeman, who views the minimum wage as one palliative for this "era with rising inequality," agrees with the use of a short time window, because "[e]mpirical analysis of quantitative responses to price incentives is most convincing over periods during which the structure of the economy, technology, and so on can safely be viewed as fixed"(Dow 2002). And so even one's opinion of statistical methodology, it seems, is related to one's prevailing opinion about the topic at hand. If one wants to write a paper that has a certain result, the temptation will soon arise to allow the statistical analysis to provide only a particular answer. Paul Osterman makes note of an analysis that Card and Krueger conducted using past research. According to their study, not only have past economists decided not to publish papers about the minimum wage that would contradict the prevailing argument about the danger to employment numbers, but even within papers that were published, they have "simply [ignored] findings that were inconsistent with the point the authors wanted to make" (Dow 2002). Of course, this manipulation and misuse of data is exactly what Finis Welch accuses Card and Krueger of doing in their own book: after dissecting Card and Krueger's studies and finding them too statistically insignificant to support a hypothesis, he asks, "Are these the kind of data that you would recommend as the basis for national policy"(Dow 2002). In addition to flaws in the design and implementation of particular research methods, this selection of reviews also provides insight to the inherent biases that the reviewers themselves bring to

Liberty of Conscience and Individuality Essay Example | Topics and Well Written Essays - 1750 words - 1

Liberty of Conscience and Individuality - Essay Example He might have put much focus and contribution in his own country for his fellow countrymen, but this has influenced leadership of nations across the globe. The liberty of every person is an essential factor for governance; as one is able to demand their right as well as play a role in the way they are governed by freedom of speech and demonstration. In this essay am solely going to expound on what Mill advocated for in his quest for liberty in his country as its written in his book On liberty. Mill had a strong believe on the liberty of an individual and had his strong points to back his reasoning at such a time when many governments were transitioning and locked out any idea of a person trying to criticize or influence other citizens. One of his greatest opinions was on the fact that there should be different experiments of living. This was based on the fact that human beings are flawed in their way of acting and reasoning, but this should not be a determinant of what they could be permitted to do or not to do. He argued that opinions of any individual should be done in action as long they did not interfere with the lives of others around them. To him as long a person’s opinions could be freely formed and expressed, so should be his actions on the same opinion. According to Mill societies had to factor this opinion in action the same way they had considered it just as an opinion. He stated that if an individual chooses to follow his opinion in what he/ she believes is right, they should be allowed to put into action. Actions meant that an individual could do whatever he/ she values to be right and justified as long as they never complicate the lives of others around them. According to Mill, the process of taking opinions into another level which was action had to be acceptable by the fact that a number of characters about an individual are not likely to harm others around him/

Tuesday, October 15, 2019

Collective Consensus Theory Essay Example for Free

Collective Consensus Theory Essay Social norms can be defined as The rules that a group uses for appropriate and inappropriate values, beliefs, attitudes and behaviors. These rules may be explicit or implicit. Failure to stick to the rules can result in severe punishments, the most feared of which is exclusion from the group. A common rule is that the some norms must frequently be displayed; neutrality is seldom an option. Here I include other norms, which are as follows: a. ) Injunctive Norms – These are behaviors, which are perceived as being approved of by other people. b. ) Descriptive Norms – The perceptions of how other people are actually behaving and whether their behavior is accepted or not. c. ) Explicit Norms written or spoken openly. d. ) Implicit Norms not openly stated (but you find out when you trespass them). e. ) Subjective Norms How we will behave with others who valued us. f. ) Personal Norms – Knowing our standards about our own actions. By exploring social norms and inequalities, let me be more specific, about the Americans Inequalities in American society have become so institutionalized that we rarely recognize most of them on a daily basis. Some are glaringly obvious: the privileges of the elite, the boss ability to come and go as he pleases- but these inequalities are sustaining, obvious, and dont hurt as much because we are conditioned to accept them Some inequalities change as certain circumstances change. The type of social stratification I wish to discuss is ever changing, weve all experienced it, but have we all noticed it? We like to think we live in a classless, multicultural society where everyone is treated equally. Frankly we are deluded. Of course there are classes, and not everyone is treated equally. The classes in our world are based on race, ethnicity, education and politics. Of the phenomenons of social stratification is social inequality, which is the distribution of resources dividing society into rank, grades, family, religion and education. These divisions should not occur in our society, but it is the sad truth that it does. Ethnicity is different to race as ethnicity is a distinct cultural definition which people identify with as customs, family patterns and religion. The sociologist, Max Weber, defines ethnic groups as human groups that entertain a subjective belief in their common descent because of physical type or of customs or of both or because of memories of colonialisation or migration. The biggest problem that arises in race and ethnic relations is prejudice, which is born out of pre-judgment and lack of knowledge. The Sociological causes of prejudice are: 1. It draws together people who share it; superiority is important. This is an element of Emile Durkheims Collective Consensus Theory. 2. Competing for resources. It is easier to get things if you can write others off as less deserving. 3. We can project onto others, who we think are lesser than us, those parts of ourselves that we dont like. The prejudices against those we think are different have negative consequences such as limiting our vision of the world. But far worse is its effect on society; it leads to discrimination and the consequence of discrimination is inequality. For Karl Marx, inequality was seen as a dichotomy based on the relations of production and the concept of class is the basic indicator of inequality. Weber saw inequality as three abstracted mechanisms of power; class (economic power), status (social prestige power) and party (political power). Whichever way it is described, inequality is found everywhere, between class, in education, health, occupations and power and within classes with sex, age, ethnicity and religion. However, there is hope in the end, for people can be socially mobile, which is the movement of people between social classes. Societys idea is that if you work hard enough you will move up in society, but this is not always true. People can move downwards in the social scale, or may start on the bottom and stay there because they do not have the same access to education as others may have. These people have less opportunities than others yet they are looked down upon because they are not upwardly mobile. How can people move up socially if they are not on an equal playing field to begin with? As long as people continue acting the way they do, inequality and racism will exist. Education is the key, and while older people may be set in their ways and may not be willing to change their views, we must educate the children, who are are future. Children must be taught that all people are equal and that thinking otherwise is wrong. For it is wrong. We were all created equal. Man made us not so. As per my view, when we live in a society were abiding by social, personal, or subjective norms, which are laid out for social and societal living is of utmost significance; I tend to stick to those norms and also inculcate the same things to people who are not aware of them. Man is a social animal, who needs to be trained to adapt different changes in societal environment. He has to abide by the norms laid out by the society to be accepted socially and morally, or else he/she is treated as a aborigine or uncivilized.

Monday, October 14, 2019

The Role of a Quantity Surveyor

The Role of a Quantity Surveyor Quantity Surveyors are also widely known as construction economist or cost manager. They are known as one of the professional advisers to the construction industry. As an advisory, Quantity Surveyors estimate and monitor all construction cost thought the whole development process which is shown as below:- In each phase there consists of many stages. Quantity Surveyors are also involve with tax depreciation schedules, replacement cost estimation for insurance purposes and if necessary intervention and negotiation. Quantity Surveyors are mostly employed as consultants to the clients on major building and construction projects. In the development process Quantity Surveyors tend to work closely together with architects, projects owner, accountants, insurance underwriters, lawyers and judges and also with all levels of government authorities. These are the stages in each phase:- However, the Quantity Surveyors mainly involved themselves from the feasibility stage of a project to the completion of the construction period. Inception Phase During the inception phase, clients instructions are given to Quantity Surveyors. Also, Quantity Surveyors will advise the client on the need to obtain statutory approvals and of the duties of the client under the CDM regulations. After they received information about the shop lots from the client, then they will visit the shop lots and carry out an initial appraisal. Appraisal The appraisal stage is the first stage in the development process which involves both identifying the clients requirements and the possible constraints on development. Studies will be undertaken to enable a client to decide on whether to proceed and if so which procurement route should be selected, on the basis of the outcomes required. In the other words, Quantity Surveyors will carry out studies to determine the feasibility of the Clients requirement. Strategic Briefing The strategic briefing stage, which is done by or on behalf of the client, identifies the key requirements and constraints involved. It identifies the procedures, organizational structure and the type and range of consultants to be used. It is important during this early part of the process to consider a range of issues that are going to determine whether the project has any chance of coming to fruition. Feasibility and Viability At feasibility stage, Quantity Surveyors use their knowledge of construction methods and costs to advise the owner on the most economical way of achieving his or her requirements. They may use techniques such as Cost Planning, Estimating, Cost Analysis, Cost-in-use Studies and Value Management to establish and control a project budget. Accurately determining the construction cost at project inception is the key to setting an achievable budget and assessing project feasibility. This is available for any proposed development including subdivision, construction, refurbishment or maintenance concept. Construction Phase During construction phase, Quantity Surveyors are called on to fairly value Progress Payments at regular intervals. They will also value changes to design or quantities which may arise by reference to appropriate Bill of Quantities rates. The contractors Quantity Surveyor/contract administrator will have prepared claims for progress payments and additional work. Mobilisation Mobilisation is the award of the building contract to the successful firm and the formal appointment of the contractor. During mobilisation, Quantity Surveyors provide production information as requested for the building contract and for construction of the shop lots. Construction to Practical Completion Construction to Practical Completion is the stage when the contractor commences the work on the shop lots. Throughout this stage, formal written instruction order are given to the contractor for changes in the design and valuation of the partially completed works are prepared and agreed for the purpose of interim payment certificates. Quantity Surveyors will make visits to the works in connection with the Architects design and provide further information reasonable required for construction. Upon completion, the formal signing over the project to the responsibilities of the client is made. Assessment, preparation and negotiation of the final account statement with the contractor, completes the projects construction financial status. When construction is completed, Quantity Surveyors can produce depreciation schedules of the various project components and advise on realistic insurance replacement costs. In the case of construction disputes the Quantity Surveyors are often called on as an expert witness, and some quantity surveyors act as arbitrators. Both the contractors and owners quantity surveyors will be involved in this. Finally, on completion the contractors hand over the building to the developer. Usually a defects liability period is written into the contract, and the contractor remains liable for repairs for a specified period. Finally, all outstanding payments will be settled and the building will be, hopefully, put into its intended use. Occupation Phase After Practical Completion After Practical Completion is one of the stages during occupation phase. One of the main tasks of Quantity Surveyors is to ensure that the project can be completed to the specified quality, the calculated costs and within the appreciate time scale. Besides that, they have to identify defects, make final inspections and also settle Final Account. Demolition Phase Demolition phase is the final stage in a projects life cycle. It may also a possible new beginning of the life cycle on the same site. In addition to new projects, Quantity Surveyor s also uses their skills in refurbishment of old buildings, alterations to existing buildings and insurance replacement estimates. In public authorities Quantity Surveyors maintain cost statistics on a state or nation-wide basis, and there are opportunities for academic careers in the building disciplines. Design Phase When this shop lots project approaches design phase, Quantity Surveyors involve themselves a lot in this phase. Outline proposals, detailed proposals, final proposals, production information, tender documentation and tender action are the stages in design phase. Outline Proposals As this stage progresses towards finalized plan, comparison and preparation of several alternative schemes are done in order to determine the general approach to the layout, design, and construction. Quantity Surveyors have to closely collaborate with all the members of the design team and the clients. An approximation of construction cost on shop lots is provided by Quantity Surveyors. Therefore, the Quantity Surveyors must maintain close contact with contractor as well as other professionals such as Architects and Engineers in order to determine the cost suggestion of the alternative proposals as they are prepared. Detailed Proposals At this stage, the shop lots design is getting more settled with more details which are contributed by all members of design teams. This detailed proposal is derived from the outline proposal. The specification, method of construction, and the preparation of a cost plan are critically examined. The cost plan prepared by the Quantity Surveyors shows the proposed distribution of costs over the elements or components of the shop lots. All the relevant design information such as ground floor plan, roof floor plan and ground beam details of the shop lots is collected. A detailed report regarding the design and the cost plan can be submitted to the clients before the detailed proposal is developed. The cost estimation, including both initial and future cost, of the shop lots is provided by the Quantity Surveyors. Final Proposals The detailed design of shop lots is finalized at this stage in order to move to the end of a set of final tender documentation. A variety of ideas from the members of design teams contribute greatly to final outcome. A fully estimation of cost on shop lots is prepared by Quantity Surveyors to provide clients with a possible tender price and cost checks for specific items in order to confirm that the cost required for the items is not over budget. Providing accurate cost estimation is crucial in this stage because there might have any changes in the design which will result in abortive work. Production Information Production information is prepared for tender purposes. The preparation of final drawings, schedules, and supporting specifications on the shop lots will be now preceded by the architects, engineers, and quantity surveyors. Preliminary tendering procedures is determined by Quantity Surveyors during this stage in order to prepare a list of potential main contractors, enquiries to sub-contractors and suppliers, invitation to tender, and information to tender documents. Tender Documentation At this stage, Quantity Surveyors play an important role to ensure that the project is carried out smoothly. The tender documents such as condition of contracts, specification, drawings and Bills of Quantities (BQ) are going to be finalized. These tender documents are provided by Quantity Surveyors to contractors, clients, and sub contractors for tender purpose. Quantity Surveyors prepare and collect the tender documents in adequate details to enable tenders to be attained. The role of Quantity Surveyors in this shop lots project is to ensure all the drawings, schedules, and specification particulars are correct. The BQ are designed principally as tendering documents, yet a valuable aid is also provided to the pricing of variations and computation of valuations for interim certificates. Besides, BQ which is prepared by Quantity Surveyors provides a good basic for cost planning and help in identification of work to ensure the cash flow in a correct way. The Quantity Surveyors also hav e to prepare the Prime Cost Sums and Provisional Sums of the shop lots. If there has an argument between clients and contractors regarding their interest on the shop lots, the Quantity Surveyors appear to solve this kind of conflicts. Tender Action The main purpose of the tender action is to choose the appropriate contractor to carry out construction work diligently. Various methods, which the client and his adviser may use to obtain offers, are covered in tendering procedures. The tendering procedures are divided into two parts which are open and selected tendering. In open tendering procedure, any firm that may be interested in this shop lots construction project is being invited through the press advertisement to submit a tender. On the other hand, the selected qualified contractor is contacted based on the financial background and other features in the selected tendering procedure. The Quantity Surveyors will ask the opinion of the selected contractor. Quantity Surveyors will also recommend the most suitable contractor to the client. The contractors who have more experiences in shop lots construction project are the first choice to be selected. This stage typically is approached about one month before the tender documents a re circulated. Conclusion The existence of Quantity Surveyors are getting more and more important in the construction field such as building construction , heavy construction or civil construction and industrial construction. Basically, Quantity Surveyor is the person who is responsible for figuring out just what a building is going to be cost and in some cases for making sure that the construction costs and production are managed as efficiently as possible such as the shop lots that in mentioned in Question 1. Shop lots are one of the examples of the commercial development. In order to build shop lots, millions of dollars which is depend on the client need is needed. Quantity Surveyors should be aware that the materials price of some important materials such as cement, iron, ready mix and others will always changes. Besides acts as the financial overseer of a particular project, Quantity Surveyors translate the plans into detailed costs. Quantity Surveyors also help to minimize the time scales, the costs of a project and enhance value for money, while still achieving the required standards and quality. Through negotiation, successful Quantity Surveyors can save large amounts of money for the companies th ey work for. In the current economic climate, where the construction industry is booming and construction companies are under increasing pressure to meet the needs of developers, and given the shortage of personnel, it is no surprise that Quantity Surveyors have expanded their role in this way. However, this practice must be monitored closely to prevent the integrity of the profession ever being called into question. Besides, Quantity Surveyors also must be flexible to any kind of work conditions such as site and office. For example, Quantity Surveyors are not only required to help the client in calculating the costs for a projects such as shop lots, they still need to go to site to ensure that the job had be done by the contractor according to the agreement that had be done before passing the project to the contractor. This can avoid contractual disputes to happen. In construction and development projects where the watch word is VALUE FOR MONEY , the Quantity Surveyors must be involved from the inception phase to . Last but not least, it is a truth that Quantity Surveyors professional skills are highly respected and often achieved top managerial status.

Sunday, October 13, 2019

one day :: essays research papers

The Hunt of a Lifetime   Ã‚  Ã‚  Ã‚  Ã‚  It was the day after Christmas and I was practicing with the goose call I’d opened the morning before. The phone rang and I yelled, â€Å"I got it,† to my mom as I ran to pick it up. â€Å"Hello;† I answered secretly wishing that it was a girl from school. My butterflies settled as the reply I got was â€Å"sup dude,† It was my friend Jon, he wanted to know if I could come over and shoot his new .22. I went and asked my mom if I could. She agreed to give me a ride as long as I picked up all the wrapping paper that was left scattered from the morning before. It was the fastest I’d ever moved as I ran about picking up every scrap of paper that I could find. Mom finally approved my clean up job, and we were off to Jon’s.   Ã‚  Ã‚  Ã‚  Ã‚  As we pulled into his driveway Jon ran out to meet us, .22 in hand, he was ready to shoot. I hopped out and thanked my mom for the ride. We decide that our best chance of finding something to kill would be at Jon’s family farm. Jon went in to get some bullets and before long we were headed across the neighbor’s field on Jon’s four wheeler. We got to the farm and parked the four wheeler by the shop. There was a twisting gravel road that led to the creek and fields below. We began walking down the road and as we rounded the last corner I grabbed Jon by the shirt and pulled him back. â€Å"Geese,† I whispered into his ear. He nodded in understanding, and we both slowly poked our heads around the corner. We looked at each other and turned silently, heading back to the shop. We immediately found Ken, Jon’s dad and told him what we had seen. We asked if he would take us hunting the next morning. He thought about it for a bit, but decid ed he needed to work. We called my dad, hoping that he didn’t need to work. He told us that he needed to work too. Jon and I sat down on a bench in the shop, bummed out that we weren’t going to get to go hunting. After a while Ken was walking by and turned, saying, â€Å"hey you guys are responsible enough, why don’t you go hunting by yourselves.

Saturday, October 12, 2019

Russo-Japanese War Essay -- essays research papers fc

Russo-Japanese War At the turn of the century, Russia was the largest nation in Europe, both in terms of population and land area. It also had a powerful army and navy, which in addition to its vast territory made it almost unthinkable for any nation to attempt to wage a war against it. Why then had Russia not only been defeated, but suffered tremendous and uneven casualties compared to the Japanese in the Russo-Japanese War? This loss, which later had dire consequences for the Russian empire, occurred because of inadequate preparation, poor leadership, and simply bad luck which plagued the Russian military forces in the Pacific.   Ã‚  Ã‚  Ã‚  Ã‚  Prior to the construction of the Trans-Siberian Railroad, â€Å"Russia held a position inferior to that of China in the Far East,† it’s efforts characterized by â€Å"haphazard measures of colonization, unstable means of communication and passive diplomacy.† However, at its completion, Russia had a means of deploying a significant military force in Manchuria. Manchuria, of course, was home to the nearly ice-free Port Arthur; Russia’s other naval ports were frozen for a large part of the year. In addition, â€Å"control of Port Arthur gives [Russia] a large measure of control over the water approaches to Peking.† Moreover, by controlling the southern coast of Korea, â€Å"Russia would not merely possess a truly ice-free, and the best naval port to be found in East Asia, but also at last feel secure in Manchuria and complete her Far Eastern design of absorbing Korea and China and pressing down toward India.† At the same time , â€Å"for Japanese, too, Port Arthur possessed importance beyond its strategic significance, fought for and won as it had been by their troops in the Chinese War and then wrestled from them by the Europeans.† The Boxer Rebellion of 1900 was used by Russia â€Å"as a welcome pretext for taking outright possession of most of Manchuria, as a preliminary to turning it into an additional Russian province.†

Friday, October 11, 2019

Hilarious Flaws

Hilarious Flaws BY Fana-Rashld Karrie Yusefzad English 12 Instructor Wilder 6 November 2013 Whether it is via film, late night television shows, newspapers, comics, or literature, satire is tound virtually everywhere. Satire reminds and teaches us as humans to laugh at ourselves every once In a while, as well as directs us to acknowledge and accept our own imperfections as we strive to become perfect people Satire helps us ds humans take d step back and see what life Is truly about.Late night television shows such as Saturday Night Live, which has been on television since 1975, are reated Just to satire humanity. actors make Jokes out ot polltlcal and social situations on the weekly segment Weekend Update. These Jokes, wherever they are from, help us understand who we are and who we want to be It allows us to celebrate the life that we live, no matter how bad It can get, In fact making the situation humorous may even make it easier to handle.Geoffrey Chaucer's The Canterbury Talesâ⠂¬  celebrates and satires humanity, especially the â€Å"everyman†, in his story he included to characters in particular, one representing the best of humanity and the other illustrating the worst Chaucer ractically Idolizes the Knight, who represents everything us humans aspire to be. â€Å"He was of sovereign value in all eyes. And though so much distinguished, he was wise and In his bearing modest as a maid. He never yet a boorish thing had said In all his life to any, come what might; he was a true, perfect gentle-knight. (Chaucer 69-74) Chaucer says that though the knight had been through so many brave and amazing situations, from Alexandria to Prussia, fought against the Turks, and In Granada, he had never once been over confident: he remained as modest as one ould be. The Knight symbolizes everything good In a human, Chaucer does not satire him at all; however, it is the complete opposite with the Pardoner. The Pardoner symbolizes the lowest a man could get, he chea ts, he steals, and he lies all for the benefit of himself.Chaucer narrates that â€Å"he had the same small voice of goat has got. His chin no beard had harbored, nor would harbor, smoother than ever chln was left by barber. I Judge he was d gelding, or d mare. † Chaucer describes the Pardoner as a mare because making fun of others is one of many ways of making urselves teel better, yet still a way to see that all humans are flawed. Similar to Chaucer, Seth Meyers of Saturday Night Live does a great, hilarious, yet interesting way of satiri7ing others, making us feel better as humans, and still show us how to celebrate life.Not only does he satlrlze politicians, but he also finds d way to satirize common people. In a recent episode of Saturday Night Live he states â€Å"A man In Hawaii came face to face with a shark while surfing survived by punching the shark in the face, meanwhile saw a cockroach in the bathroom and now I shower at he gym† (SNL S39 E4) Examples such as this one show that humans make funny decisions, yet It still finds a way to celebrate life because the guy lived and the people but still makes fun of himself.Humans are flawed, and it is better and easier to satire the flaws, rather than try so hard to become perfect. Satire is seen every day, everywhere, whether it is television, literature, movies, comics, newspapers, etc. It is a great way to show the flaws, but helps all of mankind to aspire to become better people as well as celebrate the unperfected yet beautiful life we have.

Thursday, October 10, 2019

Relationships in the 1600

Relationships in the 1600 BY Disher84 Ryan Disher 5th hour Due October 18th, 2013 16th Century era of Male and Female Relationship My essay is over Male and Female relationships during the 16th century. In my essay I will be able to tell you what their relationship is based on, How the relationship works, and I will compare some characters from the story Hamlet in my essay also. This essay is full of facts so sit back and enjoy the ride! During the 1600s women were treated as inferior compared to the men who were superior. Women were expected to clean, cook, and tend to the children.Also During his era men argued that women were not capable of higher thinking because a woman's skull is smaller than a man's skull. Another statement that was said, women have wider hips which means there naturally supposed to be mothers. Overall woman were treated poorly and were not treated fair in the relationship either. In the play Hamlet Claudius and Gertrude, Claudius wants to remain King and in o rder to do so he must please Gertrude and show love to Hamlet in front of Gertrude, but behind her back he plots to kill Hamlet.Another good topic is how their relationship works out. During the 1600s women n the upper class were often set up to marry very young. Women of the middle class usually waited till there mid twenties to get married so they had enough money for a household. Women that did not marry were forced to learn some sort of trade to carry on their lives. Child birth was one of the most important things of being a woman, Although men weren't expected to be there while in labor. The woman's family, friends, and mid wife were there for her though.Woman in the upper class who didn't want to breast fed often had other mothers do it for them called wetnurses. Some relationships worked out great and well others didn't go as lanned. In this time, the male was almost always the one who brought in money for the family. Although there were times where the female brought in the bigger chunk of cash. Compared to our current time, where we go to work and then go home; Back then they might of worked right out of there own home and didn't know the ditterence between work lite and tamily lite.It was always tamily lite and they never experienced anything different. In comparison to the story Hamlet, all of Hamlets family had royalty and were most definitely the upper class. People may ask did there relationships work in the 1600s? ell they did, and they didn't. It wasn't a guarantee that they would be together forever. William Shakespeare did not believe in woman having a say in anything. Then there's feminists which say that woman have every right to be treated equal and they can have there own say in what they want to do, who they want to be with, and what there kids do.As a Male(father) you could decide who you married, what your wife did, and what you wanted your children to do. In the 1600s families were bigger and closer than today, the reasons why is bec ause such high death rate of infants because lack of technology and medicine. Which meant that families came together on the farm to help everyone out. Also religion played a major role back than, very often back then the only book in the house was a bible and that's what children used to learn how to read. Another fact about Shakespeare's time is that, once a boy turns 8 he no longer has to listen to his mother.The ideal woman was believed to be a virgin and a faithful wife. Female honor and social respectability were tied in closely to sexuality that death was often presented if the woman was not a virgin. There are so many different relationship views and gender views, and it has all changed as time went n. Some similarities are that men are still usually considered the â€Å"Man of the House†, but there are woman that are very independent and who can do anything and everything them self. Children are expected to respect/obey their parents, Boys carry on the family name.Al though now a day, Females if they would like to keep there maiden name they can keep it; back than if you said that people would of looked at you and thought you were as crazy as Hamlet, for seeing a ghost. Relationships back than were often between man and woman, you were frowned upon if you were with the same sex. The â€Å"Royal† and the â€Å"Elite† were the only type of people that were able to have more than one relationship. If you were born of Royal nature or Elite you were among the few that could have side partner relationships.This reasoning is because those types of classes were the only people that had the time, the money, and the energy to fool around. Middle class people might have had affairs but not as often as the upper class did. Which this problem also leads to having kids with your side partner and also syphilis was considered a rich person disease back then, because they were the only one who, like I said had the time, the oney, and the energy to â€Å"Get Around†. Some might say that Shakespeare cheated on his wife, because he was gone and there were no records of him for a few years.Shakespeare was married to Anne Hathaway, who was eight years older than him. They had there first child on May 26th, 1583 whose name was Susanna. Then 21 months later Anne had gave birth to twins, named Hamnet, and Judith. After that they had no more children and remained married until 1616 when he died. He bought a fine house for his family in Stratford after his only sons death, Hamnet at the age of 11 died in 1596. Shakespeare was buried in Holy Trinity Church in Stratford, where Anne later Joined him in 1623.He had lived apart from his wife and children, except every once in while ne would visit them tor at least a decade. Shakespeare was a very well professional writer of his time and has been remembered for centurys. I hope that you have learned a lot from my essay, and you found it very interesting. My only hope is that you were able to walk away from this paper knowing something new, that you hadn't before. My name is Ryan Disher and this is my essay over Male/Female relationships during the 1600s.

Wednesday, October 9, 2019

Actions that the MLRO of BCD should take

Introduction A Money Laundering Reporting Officer (MLRO) is an officer within a firm or practice that has been nominated to make disclosures to the National Crime Agency (NCA), formerly the Serious Organised Crime Agency (SOCA), under the Proceeds of Crimes Act (POCA) 2007 and the Terrorism Act (TA) 2000. It is provided under Regulation 20 of the Money Laundering Regulations 2007 that if an MLRO receives an internal disclosure of suspected money laundering or terrorist financing, they are required to consider the disclosure and decide whether the grounds of suspicion are sufficient enough to pass the disclosure onto NCA (Ellinger et al; 2011: 98). Since the MLRO of BCD Bank has received an internal money laundering suspicion report from Christian, they will be required to consider whether the matter should be passed onto NCA. Given that Radovan Rankovich (RR) is allegedly wanted by the authorities in the Ukraine for criminal actions against the state, and has received a recent transfer of ?15 mil lion from a Corporate Service Provider in Cyprus, it is likely that this would warrant a disclosure to NCA for investigation. In accordance with this, the MLRO will be required to file a Suspicious Activity Report (SAR) with NCA and subsequently liaise with them to deal with this matter accordingly (Ellinger et al; 2011: 97). Part 7 of POCA makes it a requirement for banks to make a disclosure to NCA if they reasonably suspect that a person is involved in money laundering (s. 329). If the MLRO fails to make such a disclosure then he or she may be found criminally liable under this Act for a failure to disclose (s. 331). This is because a person commits an offence under s. 329 if they; acquire, use or have possession of, criminal property. Since a bank would fall within the scope of this section, it is possible that BCD Bank would be subject to criminal proceedings if they failed to take the appropriate action and thus make the relevant disclosures. If the MLRO does not believe that the grounds of suspicion are sufficient to report the matter to NCA, then the MLRO will be required to make further inquiries (International Monetary Fund, 2011: 65). Once the MLRO has made a report to NCA, the report will be ‘protected’ under s. 337 so that nothing in the report shall be taken to breach any restriction on the disclosure of information. Given that BCD Bank may have engaged in money laundering by allowing RR’s transactions to take place, they may have a defence under s. 338 if they make demonstrate that they made the disclosure as soon as possible. Similar provisions also apply under th e TA if the person is also suspected of terrorist financing. As Christian has received a text message stating that RR is wanted by the authorities in the Ukraine for criminal actions against the state, it is likely that the MLRO will also be required to comply with the provisions under the TA for a reasonable suspicion of terrorist financing. An obligation to report under the TA will therefore arise which means that the MLRO will be required to disclose the identity of RR, any information that relates to the matter and the whereabouts of the laundered property. There are two different types of report that may be made by the MLRO, namely protected reports and authorised reports. A protected disclosure is made by a person during the course of their trade, profession or employment. This type of disclosure is generally made by a person who is carrying our professional activities. An authorised disclosure is made by a person who is about to commit a prohibited act or has already committed a prohibited act (Bastable and Yeo, 2011: 108). Since the bank has already dealt with the property that is suspected of being laundered, it is more appropriate for an authorised disclosure to be made. The MLRO will also be required to obtain consent from NCA under ss. 335 and 336 to determine whether Christian can action any further transfers out of RR’s account. This will be done by making a ‘consent report’ to NCA, which will then block any transactions for seven working days. If NCA gives consent to the MLRO, the MLRO will then be able to give consent to Christian to carry out the transactions (Bastable and Yeo, 2011: 108). If NCA refuse consent, however, the proposed transactions will be frozen for a further 31 days, unless consent is granted during that period; R (on the application of UMBS Online Ltd [2007] WL 1292620. The Risks and Issues for the Bank This particular issue regarding RR is likely to be problematic for the BCD Bank as they will want to act in the best interests of their customer, namely RR, so that they remain in business with them whilst at the same time they are required to fulfil certain obligations imposed upon them by law. Because BCD will be required to disclose their suspicions even if RR has not acted in a criminal manner, this will have a damaging effect upon RR’s reputation and as put by Hislop (2009); â€Å"absent bad faith, little more than a â€Å"bad feeling† can trigger a banks disclosure obligations under POCA 2002, with in some cases catastrophic commercial consequences for the customer and a damning of his hitherto â€Å"good name† in the business community.† If the banks suspicions are incorrect, this can be significantly detrimental for RR. As such, the bank will need to be careful that they are striking a balance between the interests of RR with its duties to disclose . In the recent case of SHAH and another v HSBC private bank (UK) Ltd (2009) EWHC 79 (QB) the implications Part 7 has upon the rights of the individual and the banking business was clearly highlighted. Here, it was demonstrated that where a bank makes a SAR in respect of a suspicious transaction, they may not be provided with protection if the customer decides to challenge the banks suspicions in the future. This is so, despite the fact that a criminal offence may have been committed if the bank failed to make such a disclosure. Customers will have a right to challenge the banks suspicions with the bank then being required to prove that the suspicion was reasonable. It may be difficult to determine how the bank can justify making a disclosure since it was made clear by the court in this case that â€Å"the defendant must think that there is a possibility, which is more than fanciful, that the relevant facts exist. A vague feeling of unease would not suffice.† The bank will therefore be taking a risk in many any disclosure, especially this one since it will have to be shown that the text message was sufficient enough for a disclosure to be made. Furthermore, even if the circu mstances do render a disclosure justified, the bank’s decision may still be challenged which can be costly and time consuming. In K Ltd v National Westminster Bank plc [2007] 1 WLR 311 it was noted by the Court that; â€Å"to intervene between a banker and his customer in the performance of the contract of mandate is a serious interference with the free flow of trade. But Parliament has considered that a limited interference is to be tolerated in preference to allowing the undoubted evil of money-laundering to run rife in the commercial community.† Therefore, even though such a disclosure may interfere with the relationship between the bank and RR, such interference will be necessary if it will be likely to prevent money laundering from taking place. The bank needs to be clear that an interference of RR’s account is appropriate on the circumstances, since a frozen bank account for a period of time has in the past been considered a ‘grave injustice’ in the case of Squirrell Limited v National Westminster Bank plc (Customs and Excise Commissioners intervening [2006] 1 WLR 637. Here, the customer’s funds were frozen resulting in the customer being unable to afford the legal fees it would cost to challenge the decision. Therefore, if RR’s funds were frozen, which subsequently prevented RR from challenging the decision; it is unlikely that this would be deemed appropriate by the court. In accordance with this, it has been said that the test for suspicion is â€Å"a purely subjective matter† ( Medroft, 2010: 190). The decision as to whether the suspicion is reasonable will therefore depend upon whether Christian actually believed that the transaction was suspicious. If it cannot be found that this is the case, the interference cannot be considered justifiable and a breach of the customer’s human rights may also be established as in K Ltd. The bank will therefore be required to consider whether ‘reasonable grounds’ do actually exist, having regard to the elements constituting market abuse offences (Hudson and Hutchinson, 2009: 1). There are many inherent risks that are associated with disclosures and as such, it is vital that the bank is aware of its exact rights and obligations. In SHAH the court found that the bank did not act in an unreasonable manner which is likely to be the case in the instant situation. As such, it will most likely be difficult for RR to show that the bank had not acted in good faith. However, it could be argued that there was an unreasonable delay by the bank to make the disclosure under s. 338(2). As a result of this, the bank could be exposed to liability for breach of its duty of care (Medroft, 2010: 190). Whether this is acceptable remains an arguable subject but as expressed by Benjamin (2007: 62); â€Å"here the objective is not informed consent to risk but combating crime.à ¢â‚¬  Accordingly, it is therefore generally accepted that a bank’s interference will be justified on public policy grounds. The bank will still be subjected to many risks when making a disclosure, nonetheless, and must therefore consider whether the consequences of making a disclosure can be justified (Ellinger et al. 2010: 114). In addition, if the bank decides to make a disclosure, they must be careful not to allow the customer to find out as they can be found liable for ‘tipping off. This is another issue that may arise since a customer could become aware that a disclosure has been made simply due to the fact that their account has been suspended. It could be said that the bank is in a difficult situation as whatever option it takes, sanctions may still be imposed. As one judge noted in Governer & Company of the Bank of Scotland v A Ltd [2000] Lloyd’s Rep Bank 271, 287; â€Å"the bank may commit a criminal offence if it pays or if it refuses to pay.† Furthermore, if the bank makes a disclosure based on its suspicions, which later turn out to be unfounded, the bank risks civil liability for breaching its contract with its customer (Ellinger et al: 2010: 114). This is because the bank will have frozen the customer’s account which would have prevented payments from being made in and out of the account. Because the banks have a significant burden imposed upon them when it comes to dealing with money laundering, some attempt has been made to ensure that banks acting in good faith will not face criminal liability. For example, it was held by the court in C v S [1999] 2 All ER 343 that â€Å"it would not normally be an abuse of process to prosecute a bank which was doing no more than obeying a court order for disclosure.† Still, it is necessary for the bank to consider all of the risks before considering whether to make a disclosure or not. Overall, it is necessary on the facts for the MLRO of BCD Bank to make a disclosure to NCA since it does appear that the suspicions are reasonable. This is based upon the transaction of ?15 million that was made recently as well as the text message that Christian has received. Whilst the bank would be required to examine the potential issues with disclosing such information and freezing the account of RR this appears necessary and in the public interest. It will most likely prevent money laundering activities from taking place and will ensure that Christian, the MLRO and the bank are complying with their obligations. References Bastable, G., and Yeo, N., (2011). Money Laundering Law and Regulation: A Practical Guide, Oxford University Press. Benjamin, J., (2007). Financial Law. OUP Oxford. Ellinger, E. P., Lomnicka, E., and Hare, C., (2011) Ellinger’s Modern Banking Law, (Oxford University Press. Ellinger, E. P., Lomnicka, E., and Hare, C., (2010) Ellinger’s Modern Banking Law. 5th Edition. OUP Oxford. Hislop, D., (2009). ‘Banks, SARS & the Customer’ 159 New Law Journal 1099, Issue 7380. International Monetary Fund., (2011) Banking and Insurance, Business & Economics. Medcroft, N., (2010). A Banker’s Liability for Damages Arising from Compliance with PT 7 POCA’ 4 Journal of International Banking and Financial Law 227, Issue 4. Medcroft, N., (2009). Refusing to Execute Payment Instructions Where a Bank Suspects Money Laundering. 4 Journal of International Banking and Financial Law 190, Issue 4. Hudson, D., and Hutchinson, K., (2009). Suspicious Transactions Reports: Reporting Obligations of Financial Institutions in the UK. Complinet, [Accessed 07 June, 2014]. Cases C v S [1999] 2 All ER 343 Governer & Company of the Bank of Scotland v A Ltd [2000] Lloyd’s Rep Bank 271, 287 K Ltd v National Westminster Bank plc [2007] 1 WLR 311 R (on the application of UMBS Online Ltd [2007] WL 1292620 SHAH and another v HSBC private bank (UK) Ltd (2009) EWHC 79 (QB) Squirrell Limited v National Westminster Bank plc (Customs and Excise Commissioners intervening [2006] 1 WLR 637