Wednesday, December 25, 2019

Speech On Lady Felon Has Made Mistakes - 1143 Words

Lady Felon has Made Mistakes but Trying to move Forward Lady Felon has Made Mistakes but Trying to move Forward Dear Mr. Mayo, This letter is finding it s way to you today because thru out this journey I ve been venturing alone I fortunately asked Google the right question, browsed the Internet tapping in the direction to find you, or possibly just a higher power. Whatever it was that has lead me to this path I m taking my opportunity to finally find someone who can guide me in the direction I needed to be in months possibly years ago. My name is Kandy, I am as of 01/06/2015 convicted felon Ãâ€"7, I by the grace of God was fortunate enough to be blessed to keep my nursing license. Yes, I am a licensed practical nurse 10 years, 11†¦show more content†¦I believe strongly in working as a team, doing whatever it takes to get the job done, I m humble and learn quickly, if I don t know something I ll bust my tail to figure it out, compassionate, silly, friendly, outgoing, energetic, intelligent, professional. 100% adult /woman enough to admit that I admit only naming my hood qualities but know that I have many bad as does the rest of the human race, but I conduct myself in a respectful professional manner. I know there s a time and an place for everything and can admit when I m wrong, as well as right my wrongs proudly. Lastly I m genuinely a good person that made mistakes, who s life got the best of for a minute, but I am sober 4 years 79 days since 11/01/11. I will help any and everyone I can always have everyday of my life. Before this letter I had been do ashamed and humiliated that I fell off from heart ache, too proud to ask for help, wanted to fix my life quickly quietly before it all came out. However, I m broke and struggling while bringing my children to suffer with me. So my story doesn t end here, this is one step towards my success story no matter the outcome. Your an amazing man to do any of this, from my travels down this path I now have a desire and passion to do what you are doing, to help change things to where a mistake doesn t mean a life sentence no matter what your

Tuesday, December 17, 2019

The Christian Worldview - 1359 Words

In such a complex and chaotic world, possessing a worldview that is practical can be essential to well-being and satisfaction. Without a cohesive framework with which to process the world around us, life can become discouraging and meaningless. Among a plethora of worldviews, Christianity is distinctive and singularly addresses many questions that come to the forefront concerning our existence and the universe. Unfortunately, many â€Å"who see themselves to be Christian really don’t understand even the basics of the faith they profess† (Stackhouse, 2002, p.43). This paper provides a construct for the Christian worldview, produces evidence to support Christianity as a viable lifestyle, and outlines noteworthy practices to living out Christianity. God According to the Christian worldview, God exists in a unique form known as the Trinity. This defines God as a singular being with three distinct persons: the Father, Son, and Spirit. Each person has a unique role: the Father is the Sovereign Creator (Psalm 103:19, New American Standard Bible); the Son is the Messiah and the firstborn over all creation (Colossians 1:15, NASB); and the Spirit is an Intercessor and Helper (John 14:26, NASB). All three persons comprise the single figure of God. This concept, while complex, is pivotal to the Christian worldview as one begins to analyze the overarching message of the Gospel. Another vital principle within Christianity is the notion of a personal God. God cares about his creation and isShow MoreRelatedChristian Worldview Essay Paper1121 Words   |  5 PagesChristian Worldview Paper – Second Draft Christine Reiter CWV 101 – Christian World View 11/25/2012 Dr. Jim Uhley My Worldview My worldview is formed by my relationships, challenges and choices I have made, environmental surroundings and my family influence, all which have impressed on me my views of the world. According to Merriam-Webster’s Learners Dictionary, the definition of â€Å"Worldview† is â€Å"The way someone thinks about the world†. Although this simple phrase seems to the point, itRead MoreWorldview : A Christian Worldview1578 Words   |  7 Pagesdiscussed the different worldviews that an individual may have. This class has taught me that a worldview is how an individual understands the world and their place in it. â€Å"A worldview consist of what a person believes to be real and true, what a person values, how a person makes decisions, and what forms a person’s desires, longings, and goals† (Fuller, Lecture One). An individual’s worldview is the motivating force behind their every emotion, decision, and action. A worldview is what helps an individualRead MoreThe Worldview Of The Christian Worldview955 Words   |  4 Pagesword worldview means how an individual view the world around them. A worldview is a complete system of how we perceive the world and process it. According to Waddell (2014), â€Å"a worldview is a foundational set of assumptions to which one commits that serves as a framework for understanding and interpreting reality and deeply shapes one’s behavior.† The worldview of an individual is usually influenced by the person’s cultural background, life experiences, and upbringing. The Christian worldview is underRead MoreChristian Worldview : A Worldview864 Words   |  4 Pages â€Å"What is a worldview? A worldview comprises one s collection of presuppositions, convictions and values from which a person tries to understand and make sense out of the world and life. A worldview is a conceptual scheme by which we consciously or unconsciously place or fit everything we believe and by which we interpret and judge reality. A worldview is, first of all, an explanation and interpretation of the world and second, an application of this view to life.† (Dr. John MacArthur, May 2006)Read MoreThe Christian Worldview1217 Words   |  5 PagesThe Christian Worldview is very widely known in today’s society. This religion has many strong beliefs about the creation of the world and what waits for believers in the afterlife. Psalms 111:10 gives a good idea of the foundation of the Christian worldview by saying. â€Å"The fear of the Lord is the beginning of wisdom; all who follow his precepts have good understanding. To him belongs eternal praise.† (Ne w International Version). The Christian worldview has very specific beliefs and expectationsRead MoreNon Profit Analysis Essay7109 Words   |  29 PagesAnalysis Project Liberty University Penny LeBaron Busi 602 Carlson Hurst Part 1: Christian World View According to Del Tackett’s article on the Focus on the Family website, a person with a Biblical world view â€Å"believes his primary reason for existence is to love and serve God† (Tackett, 2012). Barna Research Group asks the following questions to determine if a person has a Biblical worldview: â€Å"Do absolute moral truths exist? Is absolute truth defined by the Bible? Did Jesus Christ liveRead MoreThe Christian Worldview1920 Words   |  8 PagesThere are many components that make up a worldview. The stance a person takes on topics such as God, humanity, Jesus, and restoration can all make up their belief system. These beliefs can effect a person’s actions, thoughts, and how they chose to live their life. The Christian worldview is based on there being only one God, a God-centered purpose for humanity, the actions and work of Jesus Christ, and the journey to salvation. Taking the same position on these topics will lead to a life being livedRead MoreBibli cal Worldview And The Christian Worldview1295 Words   |  6 PagesBiblical Worldview in Romans It is an important factor in a Christian’s life to have a biblical worldview that coincides with God’s beliefs. A Christian cannot grow in their relationship with God with just their own understanding and knowledge. They must surround their framework of beliefs and ideas on God’s word and what he calls his children to live their life accordingly. That is why Paul’s letter to the Roman church is such as significant demonstration of the Gospel and the Christian Worldview andRead MoreChristian Worldview1594 Words   |  7 Pages Let us ponder about how other religions worldviews relate to the Biblical worldview. There are three main areas or types of worldviews, Pantheists (Hinduism, Buddhism), Secularism (naturalism), and Theism (Christianity, Islam, Judaism). I will answer 5 basic questions on just one of the non-Christian worldviews and then compare it to the Biblical worldview. Part one will be about Buddhism and part two will compare Buddhism and the Biblical worldview. The questions to be answered are: 1.Read MoreChristian Worldview : A Christian Perspective1490 Words   |  6 PagesA Christian Worldview A Christian worldview is one that is complicated and composed of themes. These themes, and history of Christianity, can help a person comprehend what living through a Christian worldview is like. Some of these essential themes are: God speaks into the chaos, God is one and incomprehensible, Jesus is the messiah, Jesus is God, and God is not Santa Clause. These are themes that make up Christianity and help set it apart from other religions. â€Å"In the beginning

Monday, December 9, 2019

Exclusion Clause And Vicarious Liability †Myassignmenthelp.Com

Question: Discuss About The Exclusion Clause And Vicarious Liability? Answer: Introducation The main issue of the case is to decide the real position of the Qantas Airlines and whether there is any breach of contract present in between the Airbus Corporation Limited or not. The provision of the contract law will be applicable here. In the case of a contract, the contracting parties are bound by law to abide by the provision of law and the conditions of the agreement. It is important to maintain the rules of the contract properly to secure the interest of the contracting parties. However, the rule is that all the conditions need to be stated clearly in the contract and if any of the rules are stated in such a manner that cannot be seen properly, he will get certain benefit regarding the same. One of such benefit is the Exclusion clause. It has also been stated under the law that the law of contract is based on the offer and acceptance. In this case also the rule regarding the exclusion clause will be imposed on the party. The law of contract is not possible without offer and acceptance. There are certain provisions mentioned under the law that until the offer is accepted by the other party there will be no contract exist. There are certain provisions mentioned under the law of acceptance. It is a fact that acceptance must be depending on free consent and there should not be any chance to coerce the person of Crave out the acceptance illegally. It has been stated under the case law of Donoghue vs Stevenson that in case of any offer there should be acceptance for each and once the offer is accepted the offer has to pay attention to the acceptor. It has been mentioned under the case law of Riches v Hogbrn[1] it has been held that a party who accept the offer made by the offer should accept the same in such a way or manner that is created by the offer or that is encrypted in the mind of the offeror. In Wakeling v Ripley[2], it was held that a contract could be legally binding only use there is a valid offer and acceptance to the offer. In the case of Grauco[3] it has been held that once the person accept all the requirements made by the offer, he shall be restricted by Court to claim further. The reason behind the same is that it is presumed when a person give his consent over such issue, it has derived by way of free consent. It is stated under the law that when an offer has been made and the parties who accept the same could not able to add certain extra benefits under the conditions of the offer. If there is certain proof regarding the method that the acceptor has added extra provisions under the contractual rules and if the offeror could not able to understand its meaning and without the understanding he signed the contract then the transaction would not be considered as a valid acceptance or a valid contract. In Chapelton v Bary Urban District Council[4], it was held that there are certain limitation regarding the contractual liability and there is a profession mentioned under the contract law regarding the exclusion clause. There are certain provisions mentioned under the contract law to determine the legality of the legal effect of the contract. It has been mentioned under the act that after the offer is made a person who accepts the same, shall be made on the way where there is no classes of coercion and undue influence or fraudulent way. It has also been stated that if the additional term is not known to the parties to the contract or any of the parties to the contract the towns will be excluded from the contractual agreement. The main objective of the exclusion Clause is that is in a contractual agreement there is certain provisions regarding the contract law that are not expected to be there under the control agreement. It is to be understand that if any of the position has made or included or added in the conditions of the contractual agreement it is the duty of the person who has decided search terms brought into the mind of the other party. Is the same principle has not been followed up properly the validity of the contract should not be possible. The relevant case law regarding the exclusion clause can be Causer v Browne[5]. In Interphoto Picture Library v StillettoVisual Progrm[6], it has been held that after the contractual agreements and the terms of such agreement has been made no other conditions should be added with the agreement. If such terms are added it is said violate the principles of contractual law and hills make the contract void. The level of the contract law is civil in nature and therefore if any breach has been made regarding the contract act or the conditions of the contractual agreement, the aggrieved party has every right to claim damages from the liable party. In addition to the fact of claiming damage the address party me also sick from the earliest party such compensation then they had to face regarding the addition of the provision. Application In this present Case it is to be seen whether there is a valid offer and acceptance to the matter and whether there is any extra positions added under the contractual agreement or not. It is stated under the fact of the case that one Qantas made a contracting agreement for the period of 545 days. The contract is made under this case for the delivery of certain goods. All the necessary facts of the requirements made clear by the offer and the acceptor had agreed to provide all the requirements and therefore and acceptance has been made regarding the same. It is a common fact that once an offer is getting accepted the contract is formed as legally. It is a fact that after the acceptance of the offer made by the Qantas Airlines, the Airbus company has send a large number of documents and an additional conditions were made by the Airbus company. The Airbus Company has failed to make the first party know about the additional statements and therefore the case extract the profession of the exclusion clause of the contractual law. The requirements made by the Qantas Airlines that the Airbus company will provide them a high quality video entertainment system that must be hold 36 channels and there should be engine of good quality[7]. How was Earth after the contractual sub subject has been prepared and the first party of the contract started to using it has come to the knowledge of the party that the video system can hold 34 channels only and therefore the first party had to face serious monetary injury regarding the same. Therefore, it can be said that the Airbus company is liable under the exclusion clause as it was failed to make the additional provision knowledgeable for the first party and as a result of that the first party had to face severe business injury and therefore the Qantas Airlines can claim damage from the Airbus company for the Loss. The main issue of this case is whether the Frank can make the contract valid regarding the present scenario or not. The case is based on the vicarious liability where the main objective is the principal is liable for the act of the agent. The subject matter of the case attracts the principle of law of agency. Certain principles of miss representation of facts are also attracted in this case. It is a common principle that if a contract is made based on certain false statement Ben the law restrict the parties and invalidate the contract on the basis of misrepresentation of fact. The case regarding the misrepresentation has been proved in Eddington v Fitzmaurice[8]. The term miss representation of fact is differed from the puffery regarding the nature and character. In case of puffery, certain self exaggeration has been made and they have no legal significance as decided by the court in Dimmock v Hallet[9]. On the other hand miss representation can be take place in the contract where the contract is made based on false statement. Misrepresentation takes place well the other party to whom the misrepresented facts are delivered accept the same with a believe that the outcome of the facts will be beneficiary for him. A party that certain facts on Mr presented to them has decided it in the case of Hill versus Rose that it is enough to establish the fact and they had relied upon the misrepresented facts. In Lockhart v Osman[10] it was decided that a claim for misrepresentation can only be made when one party did not know about the true nature of the statement and the decision to accept the or misrepresented fact is not affected by the prior knowledge regarding the facts. The miss representation of fat helps the intending party to induce the other party in the contract and cheat them by involving their names in the contractual agreement. However, it is to be bored in mind that Silence could not be taken as an acceptance to the representation of fact. In Derry v Peek[11], it was held at fraudulent misrepresentation is made when the party who accepts then is represented facts knew the outcome of the facts and after knowing the facts they have not made any prudent decision or steps and sign the contract civil agreement based on the misrepresented facts. It is to be decided by the court that in case of fraudulent misrepresentation the party cannot claim any damage for their loss. The second problem regarding the case is based on the principle of agency. Certain exception present under the law of contract regarding the liability of the principal for the acts of the agent. The principal is known as the Vicarious liability. The case was established in the Pioneer Mortgage v Colombus Capital Pty Ltd[12]. The case is divided into two parts- at the first part, Gamma is a sales person and attempt to sell the dishware to one of her relative. The price that were fixed for the same $350. However, she had misrepresented the fact to the owner of the shop and told him that customer does not agree to pay more than $300. Believe the fact, Frank, the owner, agreed to sell the dishwasher at a price of $300. Later on, however, he came to know that there are customers who will pay $350 for the dishwasher. Therefore, in this case, Gamma misrepresented Frank and he can claim damage from her. In the second case, Bob was an employee under Frank and during his work, Bob had done something wrong and Frank suspended him for the same. after fired from the job, Bob sold 10 washing machine to Angela. Angela paid the money through online and then Bob fled away. When Angela asked for the machine, Frank told that Bob do not work there anymore. Conclusion: It either is to be stated that the principle of vicarious liability will apply here and Frank has to pay Angela the money or has to hand over the machine. Frank is bounded by the contract made between Bob and Angela. Reference: Appleman, John Alan, Jean Appleman, and Eric Mills Holmes.Contract Concerns: Reinsurance Contract Formation, Validity, And Judicial Construction. Vol. 14. Appleman on Insurance Law and Practice, 2016. Bourgeon, Jean-Marc, and Pierre Picard. "Fraudulent claims and nitpicky insurers."The American Economic Review104.9 (2014): 2900-2917. Causer v Browne (1952) VLR 1 Chapelton v Barry Urban District Council (1940) KB 532 Derry v. Peek (1889) 14 App Cas 33 Dimmock v Hallett (1866) LR 2 Edgington v Fitzmaurice (1885) 29 Ch D 459. Gergen, Mark P. "Negligent misrepresentation as contract." (2013). Hill v Rose [1990] VR 129 Interphoto Picture Library v Stiletto Visual Programmes Ltd (1988) 2 WLR 615 LEstange v Graucob (1923) 2KB 394 Lockhart v Osman [1981] VR 57 Murphy, Sharon M. "Sudden and Accidental Exception to the Pollution Exclusion Clause in Comprehensive General Liability Insurance Policies: The Gordian Knot of Environmental Liability, The."Vand. L. Rev.45 (1992): 161. Riches v Hogben [1986] 1 Qd R 315 Tabcorp Holdings Ltd v Bowen Investments Pty Ltd [2009] HCA 8 Tarr, Julie-Anne. "Insurance contract disclosurean uncertain balance."Insurance Law Journal26.2 (2015): 109-121. Thornton v Shoe Lane Parking Ltd (1971) 2 QB 163 Wakeling v Ripley (1951) 51 SR (NSW) 183 Watteau v Fenwick [1983] 1 QB 346 Young, Derek, et al. "A framework for incorporating insurance in critical infrastructure cyber risk strategies."International Journal of Critical Infrastructure Protection14 (2016): 43-57 [1] Chapelton v Barry Urban District Council (1940) KB 532 [2] Causer v Browne (1952) VLR 1 [3] Derry v. Peek (1889) 14 App Cas 33 [4] Dimmock v Hallett (1866) LR 2 [5] Edgington v Fitzmaurice (1885) 29 Ch D 459 [6] Interphoto Picture Library v Stiletto Visual Programmes Ltd (1988) 2 WLR 615 [7] Appleman, John Alan, Jean Appleman, and Eric Mills Holmes.Contract Concerns: Reinsurance Contract Formation, Validity, And Judicial Construction. Vol. 14. Appleman on Insurance Law and Practice, 2016. [8] Lokhart v Osman [1981] VR 57 [9] Tabcorp Holdings Ltd v Bowen Investments Pty Ltd [2009] HCA 8 [10] Lockhart v Osman [1981] VR 57 [11] Tabcorp Holdings Ltd v Bowen Investments Pty Ltd [2009] HCA 8 [12] Bourgeon, Jean-Marc, and Pierre Picard. "Fraudulent claims and nitpicky insurers."The American Economic Review104.9 (2014): 2900-2917.

Sunday, December 1, 2019

Mental telepathy toK essay Essay Example

Mental telepathy toK essay Paper Since ancient times there have been countless myths about specially gifted people who can use their minds potential in a much higher and advanced level than the rest o the common human minds. It is said that these people use this special skill called telepathy, which can be used only by the gifted ones, at least thats what the majority of people think, but in my opinion, this statement is not really correct, well, at least not precise! At all times there have been these individuals with telepathic skills who fundamentally change the lives of many other people for example, Nostradamus, who predicted many disasters such as both World Wars and the twin tower disaster in the United States. I actually think that these so called prophets of whom many people think as divine messengers of higher powers are actually simple mutants that have more developed minds because of the evolution. These people have grown to a level where their minds can connect to the different dimension where all of the essential information of future is accessible. Since our brain usage potential is less than 10 %, I believe that it is only a matter of time till we evolve to the level of these special ones or even higher. There actually is no such special skill its just that the majority of worlds population is not ready for an option like foreseeing the future or digging into our own sub consciousness to find the true purposes of our lives or other answers. Todays worlds nations are too busy trying to raise the economics in a different level, fighting wars, stealing from other nations. It is all about money today even religion today is a way to earn money. We will write a custom essay sample on Mental telepathy toK essay specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Mental telepathy toK essay specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Mental telepathy toK essay specifically for you FOR ONLY $16.38 $13.9/page Hire Writer If people realized that wealth of their sole nation or power over something is not the main goal today, then our mind would reveal us its true purpose as an instrument to reach the database of ultimate knowledge. The real example is the ancient civilization of Atlantis (the civilization died because of a natural disaster which caused the island of Atlantis to sink into the ocean) who were mentally advanced apart from the rest of the world at that time they isolated from everyone around them. There is information that they communicated through thoughts and had even contacts with life forms from outer space. I think their minds were more developed because they simply had different values in this world and they thought in a different way. I think our minds are like clay which needs to be formed to create a final shape I mean, todays world keeps worrying mainly about wealth our mind is in the same little shape all the time but if everyone thought about sharing the material and moral values with the rest of the world, and thought about unifying into one major nation whos goal would be peace, unified moral development and harmony with nature our minds would transform into a much more larger, more developed and much more gracious shape . This proves that there is no such thing as the mental telepathy the evolution of the brain will be just a result of prophylactic thinking in the right direction (or a result of a simple random mutation at the moment). I could call a random person who can use the potential of his own mind (usually less than 10 %) a telepath, but only a primitive one. That way anyone could be called a telepath but this way the word would lose its own meaning. Mankind is just rookies who are yet to learn to use their most important instrument properly.

Tuesday, November 26, 2019

Learn About the Distant Dwarf Planet Pluto

Learn About the Distant Dwarf Planet Pluto Of all the planets in the solar system, the tiny dwarf planet Pluto captures peoples attention like no other. For one thing, it was discovered in 1930 by astronomer Clyde Tombaugh. Most planets most planets were found much earlier. For another, its so distant no one knew much about it. That was true until 2015 when the New Horizons spacecraft flew by and gave gorgeous close-up images of it. However, the biggest reason Pluto is on peoples minds is for a much simpler reason: in 2006, a small group of astronomers (most of them not planetary scientists), decided to demote Pluto from being a planet. That started a huge controversy that continues to this day.   Pluto from Earth Pluto is so far away that we cant see it with the naked eye. Most desktop planetarium programs and digital apps can show observers where Pluto is, but anyone wishing to see it needs a pretty good telescope. The Hubble Space Telescope, which orbits Earth, has been able to observe it, but the great distance didnt allow a highly detailed image.   Pluto lies in a region of the solar system called the Kuiper Belt. It contains more dwarf planets, plus a collection of cometary nuclei. Planetary astronomers sometimes refer to this area as the third regime of the solar system, more distant than the terrestrial and gas giant planets.   Pluto by the Numbers As a dwarf planet, Pluto is obviously a small world. It measures 7,232 km around at its equator, which makes it smaller than Mercury and the Jovian moon Ganymede. Its much larger than its companion world Charon, which is  Ã¢â‚¬â€¹3,792  km  around.   For a long time, people thought Pluto was an ice world, which makes sense since it orbits so far from the Sun in a realm where most gases freeze to ice. Studies made by the New Horizons craft show that there is indeed a lot of ice at Pluto. However, it turns out to much denser than expected, which means it has a rocky component far beneath the icy crust.   Distance lends Pluto a certain amount of mystery since we cant see any of its features from Earth. It lies an average of 6 billion kilometers from the Sun. In reality, Plutos orbit is very elliptical (egg-shaped) and so this little world can be anywhere from 4.4 billion km to just over 7.3 billion km, depending on where it is in its orbit. Since it lies so far away from the Sun, Pluto takes 248 Earth years to make one trip around the Sun.   Pluto on the Surface Once New Horizons got to Pluto, it found a world covered with nitrogen ice in some places, along with some water ice. Some of the surface appears very dark and reddish. This is due to an organic substance that is created when ices are bombarded by ultraviolet light from the Sun. Theres a great deal of fairly young ice deposited on the surface, which comes from inside the planet. Jagged mountain peaks made of water ice rise up above flat plains and some of those mountains are as high as the Rockies.   Pluto Under the Surface So, what causes ice to ooze up from underneath Plutos surface?  Planetary scientists have a good idea that theres something heating the planet deep within the core. This mechanism is what helps pave the surface with fresh ice, and shoves up the mountain ranges. One scientist described Pluto as a giant, cosmic lava lamp. Pluto Above the Surface Like most other planets (except Mercury) Pluto has an atmosphere. Its not a very thick one, but the New Horizons spacecraft could definitely detect it.  Mission data show that the atmosphere, which is mostly nitrogen, is replenished as nitrogen gas escapes from the planet. Theres also evidence that material escaping from Pluto manages to land on Charon and collect around its polar cap. Over time, that material is darkened by solar ultraviolet light, too.   Plutos Family Along with Charon, Pluto sports a retinue of tiny moons called Styx, Nix, Kerberos, and Hydra. Theyre oddly shaped and appear to be captured by Pluto after a gigantic collision in the distant past. In keeping with naming conventions used by astronomers, the moons are named from creatures associated with the god of the underworld, Pluto.  Styx is the river that dead souls  cross to get to Hades. Nix is the Greek goddess of darkness, while Hydra was a many-headed serpent. Kerberos is an alternate spelling for Cerberus, the so-called hound of Hades who guarded the gates to the underworld in mythology. Whats Next for Pluto Exploration? There are no further missions being built to go to Pluto. There are plans on the drawing board for one or more that could go out this distant outpost in the solar systems Kuiper Belt and possibly even land there.

Friday, November 22, 2019

Biography of Indias Indira Gandhi

Biography of Indias Indira Gandhi Indira Gandhi, prime minister of India in the early 1980s, feared the growing power of the charismatic Sikh preacher and militant Jarnail Singh Bhindranwale. Throughout the late 1970s and early 1980s, sectarian tension and strife had been growing between Sikhs and Hindus in northern India. Tensions in the region had grown so high that by June of 1984, Indira Gandhi decided to take action. She made a fatal choice - to send in the Indian Army against the Sikh militants in the Golden Temple. Indira Gandhis Early Life Indira Gandhi was born on November 19, 1917, in Allahabad (in modern-day Uttar Pradesh), British India. Her father was Jawaharlal Nehru, who would go on to become the first prime minister of India following its independence from Britain; her mother, Kamala Nehru, was just 18 years old when the baby arrived. The child was named Indira Priyadarshini Nehru. Indira grew up as an only child. A baby brother born in November of 1924 died after just two days. The Nehru family was very active in the anti-imperial politics of the time; Indiras father was a leader of the nationalist movement  and a close associate of Mohandas Gandhi and Muhammad Ali Jinnah. Sojourn in Europe In March 1930, Kamala and Indira were marching in protest outside of the Ewing Christian College. Indiras mother suffered from heat-stroke, so a young student named Feroz Gandhi rushed to her aid. He would become a close friend of Kamalas, escorting and attending her during her treatment for tuberculosis, first in India and later in Switzerland. Indira also spent time in Switzerland, where her mother died of TB in February of 1936. Indira went to Britain in 1937, where she enrolled at Somerville College, Oxford, but never completed her degree. While there, she began to spend more time with Feroz Gandhi, then a London School of Economics student. The two married in 1942, over the objections of Jawaharlal Nehru, who disliked his son-in-law. (Feroz Gandhi was no relation to Mohandas Gandhi.) Nehru eventually had to accept the marriage. Feroz and Indira Gandhi had two sons, Rajiv, born in 1944, and Sanjay, born in 1946. Early Political Career During the early 1950s, Indira served as an unofficial personal assistant to her father, then the prime minister. In 1955, she became a member of the Congress Partys working committee; within four years, she would be president of that body. Feroz Gandhi had a heart attack in 1958, while Indira and Nehru were in Bhutan on an official state visit. Indira returned home to take care of him. Feroz died in Delhi in 1960 after suffering a second heart attack. Indiras father also died in 1964  and was succeeded as prime minister by Lal Bahadur Shastri. Shastri appointed Indira Gandhi his minister of information and broadcasting; in addition, she was a member of the upper house of parliament, the Rajya Sabha. In 1966, Prime Minister Shastri died unexpectedly. Indira Gandhi was named the new Prime Minister as a compromise candidate. Politicians on both sides of a deepening divide within the Congress Party hoped to be able to control her. They had completely underestimated Nehrus daughter. Prime Minister Gandhi By 1966, the Congress Party was in trouble. It was dividing into two separate factions; Indira Gandhi led the left-wing socialist faction. The 1967 election cycle was grim for the party - it lost almost 60 seats in the lower house of parliament, the Lok Sabha. Indira was able to keep the Prime Minister seat through a coalition with the Indian Communist and Socialist parties. In 1969, the Indian National Congress Party split in half for good. As prime minister, Indira made some popular moves. She authorized the development of a nuclear weapons program in response to Chinas successful test at Lop Nur in 1967. (India would test its own bomb in 1974.) In order to counterbalance Pakistans friendship with the United States, and also perhaps due to mutual personal antipathy with US President Richard Nixon, she forged a closer relationship with the Soviet Union. In keeping with her socialist principles, Indira abolished the maharajas of Indias various states, doing away with their privileges as well as their titles. She also nationalized the banks in July of 1969, as well as mines and oil companies. Under her stewardship, traditionally famine-prone India became a Green Revolution success story, actually exporting a surplus of wheat, rice and other crops by the early 1970s. In 1971, in response to a flood of refugees from East Pakistan, Indira began a war against Pakistan. The East Pakistani/Indian forces won the war, resulting in the formation of the nation of Bangladesh from what had been East Pakistan. Re-election, Trial, and the State of Emergency In 1972, Indira Gandhis party swept to victory in national parliamentary elections based on the defeat of Pakistan and the slogan of Garibi Hatao, or Eradicate Poverty. Her opponent, Raj Narain of the Socialist Party, charged her with corruption and electoral malpractice. In June of 1975, the High Court in Allahabad ruled for Narain; Indira should have been stripped of her seat in Parliament and barred from elected office for six years. However, Indira Gandhi refused to step down from the prime ministership, despite wide-spread unrest following the verdict. Instead, she had the president declare a state of emergency in India. During the state of emergency, Indira initiated a series of authoritarian changes. She purged the national and state governments of her political opponents, arresting and jailing political activists. To control population growth, she instituted a policy of forced sterilization, under which impoverished men were subjected to involuntary vasectomies (often under appallingly unsanitary conditions). Indiras younger son Sanjay led a move to clear the slums around Delhi; hundreds of people were killed and thousands left homeless when their homes were destroyed. Downfall and Arrests In a key miscalculation, Indira Gandhi called new elections in March  1977. She may have begun to believe her own propaganda, convincing herself that the people of India loved her and approved of her actions during the years-long state of emergency. Her party was trounced at the polls by the Janata Party, which cast the election as a choice between democracy or dictatorship, and Indira left office. In October of 1977, Indira Gandhi was jailed briefly for official corruption. She would be arrested again in December of 1978 on the same charges. However, the Janata Party was struggling. A cobbled-together coalition of four previous opposition parties, it could not agree on a course for the country  and accomplished very little. Indira Emerges Once More By 1980, the people of India had had enough of the ineffectual Janata Party. They reelected Indira Gandhis Congress Party under the slogan of stability. Indira took power again for her fourth term as prime minister. However, her triumph was dampened by the death of her son Sanjay, the heir apparent, in a plane crash in June of that year. By 1982, rumblings of discontent and even outright secessionism were breaking out all over India. In Andhra Pradesh, on the central east coast, the Telangana region (comprising the inland 40%) wanted to break away from the rest of the state. Trouble also flared in the ever-volatile Jammu and Kashmir region in the north. The most serious threat, though, came from Sikh secessionists in Punjab, led by Jarnail Singh Bhindranwale. Operation Bluestar at the Golden Temple In 1983, the Sikh leader Bhindranwale and his armed followers occupied and fortified the second-most holy building in the sacred Golden Temple complex (also called the Harmandir Sahib or Darbar Sahib) in Amritsar, the Indian Punjab. From their position in the Akhal Takt building, Bhindranwale and his followers called for armed resistance to Hindu domination. They were upset that their homeland, Punjab, had been divided between India and Pakistan in the 1947 Partition of India. To make matters worse, the Indian Punjab had been lopped in half once more in 1966 to form the Haryana state, which was dominated by Hindi-speakers. The Punjabis lost their first capital at Lahore to Pakistan in 1947; the newly-built capital at Chandigarh ended up in Haryana two decades later, and the government in Delhi decreed that Haryana and Punjab would simply have to share the city. To right these wrongs, some of Bhindranwales followers called for an entirely new, separate Sikh nation, to be called Khalistan. During this period, Sikh extremists were waging a campaign of terror against Hindus and moderate Sikhs in Punjab. Bhindranwale and his following of heavily armed militants holed up in the Akhal Takt, the second-most holy building after the Golden Temple itself. The leader himself was not necessarily calling for the creation of Khalistan; rather he demanded the implementation of the Anandpur Resolution, which called for the unification and purification of the Sikh community within Punjab. Indira Gandhi decided to send the Indian Army on a frontal assault of the building to capture or kill Bhindranwale. She ordered the attack at the beginning of June  1984, even though June 3rd was the most important Sikh holiday (honoring the martyrdom of the Golden Temples founder), and the complex was full of innocent pilgrims. Interestingly, due to the heavy Sikh presence in the Indian Army, the commander of the attack force, Major General Kuldip Singh Brar, and many of the troops were also Sikhs. In preparation for the attack, all electricity and lines of communication to Punjab were cut off. On June 3, the army surrounded the temple complex with military vehicles and tanks. In the early morning hours of June 5, they launched the attack. According to official Indian government numbers, 492 civilians were killed, including women and children, along with 83 Indian army personnel. Other estimates from hospital workers and eyewitnesses state that more than 2,000 civilians died in the bloodbath. Among those killed were Jarnail Singh Bhindranwale and the other militants. To the further outrage of Sikhs worldwide, the Akhal Takt was badly damaged by shells and gunfire. Aftermath and Assassination In the aftermath of Operation Bluestar, a number of Sikh soldiers resigned from the Indian Army. In some areas, there were actual battles between those resigning and those still loyal to the army. On October 31, 1984, Indira Gandhi walked out to the garden behind her official residence for an interview with a British journalist. As she passed two of her Sikh bodyguards, they drew their service weapons and opened fire. Beant Singh shot her three times with a pistol, while Satwant Singh fired thirty times with a self-loading rifle. Both men then calmly dropped their weapons and surrendered. Indira Gandhi died that afternoon after undergoing surgery. Beant Singh was shot dead while under arrest; Satwant Singh and alleged conspirator Kehar Singh were later hanged. When news of the Prime Ministers death was broadcast, mobs of Hindus across northern India went on a rampage. In the Anti-Sikh Riots, which lasted for four days, anywhere from 3,000 to 20,000 Sikhs were murdered, many of them burned alive. The violence was particularly bad in Haryana state. Because the Indian government was slow to respond to the pogrom, support for the Sikh separatist Khalistan movement increased markedly in the months following the massacre. Indira Gandhis Legacy Indias Iron Lady left behind a complicated legacy. She was succeeded in the office of Prime Minister by her surviving son, Rajiv Gandhi. This dynastic succession is one of the negative aspects of her legacy - to this day, the Congress Party is so thoroughly identified with the Nehru/Gandhi family that it cannot avoid charges of nepotism. Indira Gandhi also instilled authoritarianism into Indias political processes, warping the democracy to suit her need for power. On the other hand, Indira clearly loved her country  and did leave it in a stronger position relative to neighboring countries. She sought to improve the lives of Indias poorest  and supported industrialization and technological development. On balance, however, Indira Gandhi seems to have done more harm than good during her two stints as the prime minister of India. For more information on women in power, see this list of Female Heads of State in Asia.

Thursday, November 21, 2019

Development of a new product Essay Example | Topics and Well Written Essays - 3000 words

Development of a new product - Essay Example From this research it is clear that the modern world has witnessed tremendous developments in all fields of life in the wake of fastest technological advancements, which have modified the very scenario of lifestyle in general. The advanced countries are considered to be the beneficiaries of globalisation, though every nation has taken advantage from this process. Although these advancements have brought marvellous comforts in human life, yet work hours have observed a constant increase, and leisure hours are shrinking swiftly. Since the rise of the Information Age, the concept of the office has not been confined to the four walls of the building of work place any more. Rather, people remain busy at work on computer on holidays too at home. As a result, the maintenance of equilibrium between work and life is becoming a dream only, and holidays are also being spent in the completion of professional tasks and assignments. â€Å"If workers of the modern times were overworked, those of the post modern times are not only overworked but also over managed, employers appearing eager to try the â€Å"flavour of the day† in order to increase the financial performance of their companies†. Imbalance in lifestyle can be witnessed in the unevenness of diet, which adversely affects the health of the workers. At this precarious state of affairs, there is an urgent need for developing and presenting a perfect and hygienic liquid diet that could immediately restore the energy level, which is lost while spending time in different professional, personal and domestic activities at offices, fields, residences and playgrounds. Keeping in mind these challenging factors, Ailasia Inc. has launched a new drink that would be helpful in restoring the energy level of the individuals particularly during their work hours, and would not let them feel tired or exhausted. Hence, the drink, Energy-R, will increase the work proficiency of the industrialists, consultants, workers and managers alike, and will lead them make progress in their business or career. Statement of the Problem The management only hires the services of intelligent, brilliant, healthy and fit personnel and workers, which can pay extra heed to their organisation. If the work force appears to be exhausted and inefficient, it would become almost impossible to meet with the targets and achieve the goals determined by the management of the organisation. Since an overwhelming majority of a population is involved into economic activities in one way or the other, there is an immediate need of an energy boosting supplement for improving their work efficien cy. Hence, Energy-R will serve as a wonderful drink for the people working at any place for the recovery of their energy level, and the product will suddenly capture the attention of millions of people even outside the UK. This drink may be an excellent antidote to the problems and changes caused by the Information Age. Research Aims and Objectives It is a fact that is beyond dispute that economic prosperity is always dependent of the diligence and commitment to one’s work, which is only possible provided people are efficient and are able to spend more time at work than others for their individual and collective progress. With the increase of the use of computers at the office and lengthening of the work day, people have less energy to be productive. It follows that one way to increase the amount of economic success stories is through the use of a powerful energy drink. The next section focuses on the objectives of the study followed by a section on literature review. Based o n the literature reviewed, the fourth section would analyse the data collected for the present study. The fifth and the final section would consist of a conclusion and suggestions and would point out the appropriate marketing

Tuesday, November 19, 2019

Final exam (take home) Essay Example | Topics and Well Written Essays - 2000 words

Final exam (take home) - Essay Example be allowed to bring about the absolute freedom of opinion and sentiment on practical, speculative theoretical scientist or moral subjects (Bennet, 2008). The freedom of expression is indispensable in attempting to drive different viewpoints to their logical conclusions as opposed limiting them because of the social embarrassment they may cause. This argument is inspired in part by the fact that in the attempt to save face, certain comments or opinion that are considered to be in bad taste tend to be discouraged without being objectify considered. Nevertheless, despite the bold claims, he proposes that there should be some rules to govern the action of politicians, which he refers to as the harm principle (Bennet, 2008). On the face value, one may imagine that Mill is agitating for people to have leave to use their opinions to cause others harm perhaps by inciting them to violence. While the argument has merit in that supports the freedom of expression, his insistence that all opinions should be tolerable lacks moral ground given that some of the opinions can cause harm even if they are not carried out. For example, if someone voices an opinion that Jews deserved to be victimized in the Holocaust through print media or in a paper, which Mills would consider acceptable, it would probably have a negative psychological effect on survivors or their families. Clearly, although the contention for freedom of speech is well intended, if pursued to its logical conclusion, it would be very misleading. Ultimately, those who defend the right to Mills version of freedom of speech often find it difficult to support their position when it is proved that this freedom even in the abstract can harm others. However, he makes a very valid point in stating that dissenting voices should never be silenced since as history has proven in many occasions, the fact that an opinion is held by many people does not necessarily make it correct. By emphasizing that all opinions should be

Sunday, November 17, 2019

Blood Donation Srs Essay Example for Free

Blood Donation Srs Essay The system will consist of CIS Alumni Home page with five selections. The first selection is to fill out a survey. The questions on the survey will be created by a designated faculty member. The survey will ask the Alum questions concerning their degree, job experience, how well their education prepared them for their job, and what can the CIS department do to improve itself. This information will be retained on the departmental server and an e-mail will be sent to the designated faculty member. The second selection is to the Entries section. There are two choices on this page. One choice is to add a new entry. A form is presented to the Alum to be filled in. Certain fields in the form will be required, and list boxes will be used where appropriate. A password typed twice will be required of all new entries. The second selection of the Entries page is to update an Alum entry. A form will be presented allowing the Alum to enter their year of graduation and then to select themselves from a list. A password will be required before the information will be presented to the Alum to be updated. The third selection is to search or e-mail an Alum. A form will be presented requiring the requested Alum’s year of graduation. The requesting Alum will search a table to see if the requested Alum is in the database, and if so non-sensitive information will be returned. At this time the Alum can select to e-mail the Alumnus or search for another Alumnus. If the Alum chooses to e-mail the Alumnus a form will be presented for the message to be entered with the sending Alum’s name and e-mail. The message, with all necessary information will be forwarded to the requested Alum. The e-mail address of the requested Alum will not be seen by the sending Alum as a privacy measure. All pages will return the Alum to the CIS Alumni Home Page. 2. 3. 1. Use Case: Access Alumni Home Page [pic] Figure 2 Access Alumni Home Page Brief Description The Departmental Web Server is waiting on an Alum to connect. Initial step-by-step description For this use case to be initiated, the alum must be connected to the Internet and connected to the University Web Server. 1. The Alum connects to the University Web Server. 2. The Alum selects the Alum link on the CIS home page. 3. The University Web Server passes the Alum to the Alumni Home Page. Reference SRS Use Case: Alum Chooses Survey [pic] Figure 3 Alum Selects Survey Brief Description: The Alum chooses to fill out a survey. Initial step-by-step description: For this use case to be initiated the Alum must be connected to the Internet and on the CIS Alumni Home Page. 1. The Alum selects the â€Å"Fill out a survey† link. 2. The Departmental Server returns the survey form. 3. The Alum fills in the form. 4. The Alum clicks submit. 5. The Departmental Server retains information in the database designated faculty member will be notified. 6. The Departmental Server returns the Alum to the Alumni Home Page. Reference SRS   Use Case: Create New Entry [pic] Figure 4 Alum Selects Create a New Entry Brief Description: The Alum chooses to create a new entry on the Entries page. Initial step-by-step description. For this use case to be initiated the Alum must be connected to the Internet and on the CIS Entries page. 1. The Alum selects the â€Å"Add a New Alum† link. 2. The Departmental Server returns the â€Å"Add a New Alum Form. † 3. The Alum fills in the form. 4.

Thursday, November 14, 2019

The Coal Miners in France During the Second Empire Essay -- World Hist

The Coal Miners in France During the Second Empire In this paper I will explain why revolt by the labor against capital in Second Empire France failed. To explain the situation, I will use Marx's theory of capital accumulation as he presents it in {Capital}. Also important in the theoretical description of this phenomena is the role of tradition and the way its restraints deviate from those of the economy in this French society. Based on this description I will discuss how the function of management is enforced by the economy and traditions inherent in a society. From these considerations I will suggest additional elements and relationships necessary for social relations change to transcend the institutional conditions in which they exist. Terminology relevent to a theoretical account of an event is given by Talcott Parsons in {The Structure of Social Action}. Here, action is described as a system that may be divided into unit acts. The unit act consists of four elements. First there is an agent, or actor. Second, the act has an end which is a future state of affairs or goal towards which the action is oriented. Third, there is a situation where the trends of develop- ment differ from the end towards which the action is oriented. The situation is composed of two elements; the conditions are that which the actor cannot manipulate in accordance with his end, and the means are that over which he does not have control. Finally there is a relation between these elements; where a situation allows alterna- tive means to the end, the course is selected from the normative orientation of the actor. (Parsons, 1968: 44) In order to account for the interrelationships in the historical event ... ... change. Events will subsequently no longer happen but attain meaning in the light of the source that the charismatic element advocates. This change in normative orientations relative to the change in other elements of the process must be reflected in the ideology. The ideology of social change may not simply be a reiffication of the old in a reactionary form. The substance of the ideology, in being a response to the divergence caused by the economy and polity, must be such as to transcend that which came before it. This final condition, specifying the relations between elements necessary for revolutionary change, may only be derived in a society which is neither an organic, composite whole nor one of random atomistic ends. Rather, the society must be one where the normative orientation for mediating between conditions and means is one of consensus.

Tuesday, November 12, 2019

Christian University Essay

This essay is a review of the book Shiloh- In Hell Before Night written by James Lee McDonough. James Lee McDonough was born on June 17, 1934 in Nashville, Tennessee. It is here that he spent his childhood. Regarding his education, the author attended Lipscomb High School. He received his higher education at David Lipscomb College where he attained a BA degree in 1956. He later went to M. A Abilene Christian University where he attained an M. A degree in 1961. The author received his PhD from the Florida State University in 1966. He was to be appointed as a Professor of History, a post he held in Lipscomb, Pepperdine and Auburn universities. Currently, he is a retired professor of history at Auburn University. The author was lauded by the Army for his role in furthering knowledge in military history and has received many accolades for his efforts in military history scholarship . Besides Shiloh- in Hell before Night, the author has written many other books. These include Chattanooga – Death Grip on the Confederacy, Five Tragic Hours; Stones River- Bloody Winter in Tennessee, Nashville; The Western Confederacy’s Final Gamble and War in Kentucky: from Shiloh to Perryville. His other books which are still in print include Sky Riders; History of the 327/401 Glider Infantry, ‘War so terrible’: Sherman and Atlanta and The Battle of Franklin. Moreover, he has written more than 30 articles, and reviewed close to seventy books . Shiloh- in Hell before Night was published by the University of Tennessee Press in 1977. At the time of writing the book, the author was a scholar at the David Lipscomb College in Nashville, Tennessee where he was a history professor. Having attained all the academic qualifications mentioned, he was well qualified to write the book. In this book, the author has used both primary and secondary sources. He makes great use of primary sources when he lets the participants in the war narrate their experiences. Among the primary sources which the author has utilized include recollections, letters and personal diaries of the combatants. For instance, the personal diaries of Thomas Lovemore, Samuel Watkins, Clarence Buell, William Tecumseh Sherman, R. F Learned and Braxton Bragg are utilized. Regarding secondary sources, the author cites writers who have made contributions on related subjects such as D. W. Reed, Shellby Footes, Lloyd Lewis and John Duke. He also cites magazine articles such as the Richmond enquirer, Chicago Times, and New Orleans Daily Picayune. Other secondary sources which the author has made use of include personal diaries, letters and official records. This book is an attempt by the author to provide an overview of the battle of Shiloh. This battle took place in 1862 at Shiloh near the border between Tennessee and Mississippi and was a defining moment in America’s Civil War. The action begun in February 1862 when the Union Army pushed the Confederate Army, which was led by General Albert Johnston at that time, compelling them to surrender most of Tennessee. Major General Ulysses Grant was the commander of the Union Army and come spring, he assembled a 40,000 strong force close to Pittsburg Landing just next to the Tennessee River. The intention of the Union Army was to attack the rail intersection of Corinth, Mississippi, which was an important infrastructural facility. Before they could attack however, they were ambushed by the Confederates who attacked them when they were close to the Shiloh Church. This event occurred on April 6th, 1862. The total number of Confederate troops who made the march were no less than 44, 000 and were led by Johnston and General P. G. T Beauregard. As the author writes, the element of surprise worked well for the Confederates as they were able to repulse the Union Army’s right flank by one and a half kilometer after battling for three hours. However, the Union Army withstood the assault and its left flank remained largely unmoved. The area of action where the Union forces withstood the confederate attack was called the ‘Hornet’s Nest’. By late evening, Johnston lay dead, having been injured on the leg. Beauregard assumed control of the Confederate Army upon the death of Johnston and called off the action later in the day. The Union Army got reinforcements later during the night. The reinforcements were led by Major General Don Carlos Buell and Lew Wallace. Beauregard turned down pleas by General Nathan Bedford Forrest that the Confederates attack when he saw the arrival of the reinforcement. With the reinforcements, the Union Army was able to repulse the Confederates and Beauregard surrendered before evening and retreated to Corinth. The battle of Shiloh was costly as it led to the deaths of more than 23,000 people. This book is important as it was the first scholarly attempt at describing the battle of Shiloh. It redefined the way people viewed the battle, what with its treatment of aspects deemed to be controversial. In a major departure from the prevailing thoughts, the author asserted that the death of Johnston did not in any way influence the outcomes of the battle. Additionally, he avers that there was no respite whatsoever following this death. Another major assertion which the author makes is that Beauregard’s decision to halt the attack was the right one and that, contrary to the dominant thought; the Confederates did not have any real opportunity on the evening of April 6th. What’s more, the author posits that the arrival of the reinforcements led by Buell did not have any noticeable impact on the outcome of battle on the first day. The author also asserts that the main activity of the entire battle was the conflict at Hornet’s Nest. He avers that Grant was able to erect the last line of defense at Pittsburg Landing primarily because the Sunken Road was able to withstand the Confederate offensive. The author does not stop there as he holds Braxton Bragg responsible for the Confederates’ inability to pry open the Hornet’s Nest. This, as he explains, was occasioned by Bragg’s inability to assemble the 18,000 troops required to mount the offensive. The purpose of the author is to provide an accurate, irrefutable and personalized rendition of the battle of Shiloh. Through this book, he hopes to give the reader an overview of the events preceding and occurring during, and immediately after the 48 hour battle. By and large, it can be said that the author achieved this purpose. He wades through the occurrences, giving reasonable explanations which rationalize such controversial questions as what made the Union Army to be ambushed in surprise. The author also provides judgment on whether Beauregard exercised judicial restraint when he halted the battle on the first day. He gives us sneak previews on what went into the preparations of both sides, discuses the personalities and experiences of the generals and shows us what was done wrong. The author also delves into the role of the Confederate and Union generals, assessing the various command decisions and returning judgment on the leadership ability. Through all these, he achieves his purpose as the reader is able to understand what happened, why it happened, when it happened, where it happened and most importantly, how it happened.

Saturday, November 9, 2019

How Accurate Was the Term Era of Good Feelings in the United States

In the 1800’s following the war of 1812, the term commonly applied to that era in the United States was known as the â€Å"era of good feelings†. While the United States was growing in several different aspects, such as politically, socially and economically, and changing as a country, there are several key factors that denote this term, and nullify its meaning. While the changes were significant, and the United States evolved at an exponential rate after the war of 1812, the accuracy of the term â€Å"era of good feelings† is way off, and the United States was anything but experiencing an â€Å"era of good feelings†. Following the war of 1812, growth occurred primarily economically, politically, and socially for the United States. These changes indicated symbolize development, expansion of both land and industry, and a sense of unifying nationalism within the citizens of the United States. Although Nationalism seemed to unify the nation, there was more of an underlying indication of a much larger problem, Sectionalism. Sectionalism is a relation to a geographic area. So whereas people could have felt patriotic towards the United States, they related more towards the region they lived in and not the country they were a part of. This sectionalism also indicates a difference in the economic, social and political stances of regions such as the North and the South, and the â€Å"era of good feelings† continued to simply widen that gap. Economically, the United States was experiencing growth. But looking further into sectionalism, there are two completely different growths present in the northern United States and the Southern United States. In the north, following the war of 1812, a rapid expansion occurred in the industry of the north. Technological advances such as the textile mills, and factory workers and the increase in the amount of factories in the North helped create a gap in the economy of the north itself. A lower class, comprised of the workers, got low wages and produced high quantities of product, and the middle class, who were the businessmen and managers. This rift created a class system which benefited the middle class as well as the Northern United States as a whole, as a free market economy developed and increased. Although this was increase throughout the United States, this economical situation occurred primarily in the North, and much less in the south. In the south, the economic increase was much different. Because of the large amounts of plantations and farms in the south, new land was needed so that the crops that had dried up the soil could continue to grow and the economy can continue to benefit. This growth in land and economy indicates that the economic benefit in the south came from crops and agricultural might, rather than industrial. These differences help identify that the â€Å"era of good feelings† and the nationalism that is implied is incorrect and inaccurate, as people have more of a connection towards the land that they make their money on, which implies sectionalism. Politically, the â€Å"era of good feelings† was extremely off. Even before the war of 1812, there had always been a major difference in the political parties and systems of the government. A major difference in this coming from extremely opposing ideologies of the parties and the lack of unity between the two. The difference between the parties is also present in Document C, which shows two different party tents during the fourth of july. Whilst the people are generally happy, the party tents show that the difference is quite evident, and especially how only one of the tents has an American flag flying above it. This difference helps show the gap in political unity and the disagreement between parties. Also, many parties were so discontent with the others, that one (the new England federalists) offered to secede from the Union so as to follow their own system. This shows that the â€Å"era of good feelings† only helped widen the gap between parties, as more and more minor parties came into existence. Socially, The United States was anything but experiencing an â€Å"era of good feelings†. The country was experiencing major problems as the south and the north fought for the Missouri compromise. The north, wanting a free state, fought for Missouri to be free. The south, wanting more power, wanted Missouri to be a slave state. The geographical differences indicate less of a feeling of nationalism and an extreme version of sectionalism. This is also evident in Doc F, â€Å" A geographical line, coinciding with a marked principle, moral and political, once conceived and held up to the angry passions of men, will never be obliterated; and every new irritation will mark it deeper and deeper†. This quote by Thomas Jefferson emphasizes the difference between the North and South. The usage of the term a geographical line only seems to magnify the situation that the United States is in. If anything nationalism isn’t even implied in the document, and the idea of sectionalism strikes itself deep in the line, indicating that the problems between the North and the South is not just a coincidence. It is because of increasing tensions and a lack of unity between the two regions. This rift clearly indicates that the â€Å"era of good feelings† is not only extremely inaccurate, but also opposite of what actually is occurring, which is an increasing divide in the country, as sectionalism continues to increase geographically, and socially. â€Å"The era of good feelings† is anything but a good feeling for the United States. The 1800s provide a turbulent earthquake that splits the nation economically, politically, and socially. The most common indication of this is the ever increasing difference in between the North and the South, which would culminate in 1861 with the deadly civil war that would leave about 620,000 Americans dead.

Thursday, November 7, 2019

About PACs or Political Action Committees

About PACs or Political Action Committees Political Action Committees, commonly called PACs, are organizations dedicated to raising and spending money to either elect or defeat political candidates. PACs typically represent and advocate for the interests of business and industry, labor or ideological causes. Under current campaign finance laws, a PAC can contribute no more than $5,000 to a candidate committee per election- primary, general or special. In addition, PACs can give up to $15,000 annually to any national political party committee, and $5,000 annually to any other PAC. Individuals can contribute up to $5,000 to a PAC or party committee per calendar year. All PACs must be registered with the Federal Election Commission (FEC) in order to seek and accept contributions. According to the Federal Election Commission, a PAC is any entity that meets one of the following conditions: An authorized committee of a candidateAny club, association or other groups of persons that receives contributions or makes expenditures, either of which aggregate over $1,000 during a calendar yearA local unit of a political party (except a state party committee) that: (1) receives contributions aggregating over $5,000 during a calendar year; (2) makes contributions or expenditures either of which aggregate over $1,000 during a calendar year or (3) makes payments aggregating over $5,000 during a calendar year for certain activities that are exempt from the definitions of contribution and expenditure Where PACS Came From In 1944, the Congress of Industrial Organizations, the CIO part of what is today the AFL-CIO, wanted to help President Franklin Roosevelt get re-elected. Standing in their way was the Smith-Connally Act of 1943, which made it illegal for labor unions to contribute funds to federal candidates. The CIO went around Smith-Connally by urging individual union members to voluntarily contribute money directly to the Roosevelt campaign. It worked very well and PACs or political action committees were born. Since then, PACs have raised billions of dollars for thousands of causes and candidates. Connected PACS Most PACs are directly connected to specific corporations, labor groups, or recognized political parties. Examples of these PACs include Microsoft (a corporate PAC) and the Teamsters Union (organized labor). These PACs may solicit contributions from their employees or members and make contributions in the PACs name to either candidates or political parties. Nonconnected PACS Nonconnected or ideological PACs raise and spend money to elect candidates from any political party who support their ideals or agendas. Nonconnected PACs are made up of individuals or groups of U.S. citizens, not connected to a corporation, a labor party or a political party. Examples of nonconnected PACs include groups like the National Rifle Association (NRA), dedicated to protecting the 2nd Amendment rights of gun owners and dealers, and Emilys List, dedicated to protecting the rights of women to abortion, birth  control, and family planning resources.   A nonconnected PAC can solicit contributions from the general public of U.S. citizens and permanent residents. Leadership PACS The third type of PAC called leadership PACs are formed by politicians to help fund the campaigns of other politicians. Politicians often create leadership PACs in an effort to prove their party loyalty or to further their goal of being elected to a higher office. Under federal election laws, PACs can legally contribute only $5,000 to a candidate committee per election (primary, general or special). They can also give up to $15,000 annually to any national party committee, and $5,000 annually to any other PAC. However, there is no limit to how much PACs can spend on advertising in support of candidates or promote their agendas or beliefs. PACs must register with and file detailed financial reports of monies raised and spent to the Federal Election Commission. How Much Do PACs Contribute to Candidates?   The Federal Election Commissions reports that PACs raised $629.3 million, spent $514.9 million, and contributed $205.1 million to federal candidates from January 1, 2003, through June 30, 2004. This represented a 27% increase in receipts when compared with 2002, while disbursements increased by 24 percent. Contributions to candidates were 13 percent higher than this point in the 2002 campaign. These changes were generally greater than the pattern of growth in PAC activity over the past several election cycles. This is the first election cycle conducted under the rules of the Bipartisan Campaign Reform Act of 2002. How Much Can You Donate to a PAC? According to campaign contribution limits established every two years by the Federal Election Commission (FEC), individuals are currently allowed to donate a maximum of $5,000 per year to a PAC. For campaign contribution purposes, the FEC defines a PAC as a committee that makes contributions to other federal political committees. Independent-expenditure-only political committees (sometimes called super PACs) may accept unlimited contributions, including from corporations and labor organizations. Following the Supreme Courts 2014 decision in McCutcheon v. FEC, there is no longer an aggregate limit on how much an individual can give in total to all candidates, PACs and party committees combined.

Tuesday, November 5, 2019

10 Misspelled Words That Get Me Down

10 Misspelled Words That Get Me Down 10 Misspelled Words That Get Me Down 10 Misspelled Words That Get Me Down By Maeve Maddox NOTE: Any spell-check program ought to catch most of these for you. However, the wisest course is to master them yourself. For fun, I did a search for the incorrect version of nine of the ten. I didn’t bother with Number 7 because both its and it’s are valid spellings. The number of hits for the misspellings is shown in parentheses. Some refer to intentional misspellings on English sites like this one, but not all. 1. argument (arguement 730,000) The verb is argue, but the noun is argument. 2. calendar (calender 29,600,000)   The register on which you schedule your appointments is spelled calendar. Yes, there is a specialized term spelled calender that refers to paper production, but I doubt that it accounts for millions of uses. 3. cemetery (cemetary185,000,000) There are three e’s in cemetery. Nary an a in sight. 4. definite (definate 539,000) Think, finite, infinite, infinity. Look at all those i’s. No a’s anywhere in definite. 5. finally (finaly 1,450,000) The adjective is final. The adverb is finally. Double that l in finally. 6. forty (fourty 783,000)   One less than five is spelled four. One more than thirty-nine is spelled forty. 7. its (possessive adjective) The problem with this habitual misspelling is that both its and it’s are English spellings. It’s is a contraction of the words â€Å"It is.† Its is a possessive adjective, like his. The best advice is to spell out â€Å"it is† when that is your meaning. You cannot rely on grammar/spell checkers to catch this one. Indeed, Word often advises me to write â€Å"it’s† when the context calls for its. 8. separate (seperate 31,700,000)   Take the word by syllables: sep-a-rate. Yes, we pronounce it [sep-uh-ret], but we spell it sep-a-rate. Look for â€Å"a rat† in sep.a.rat.e. 9. tragedy (tradgedy 212,000) The g in tragedy is soft. The e makes the g soft. No extra d, please. 10. truly (truely 62,600,000)   The adjective is true. The adverb is truly. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Common Mistakes category, check our popular posts, or choose a related post below:Wether, Weather, WhetherConnotations of 35 Words for Funny People40 Synonyms for Praise

Sunday, November 3, 2019

The Image of the Rural Pride as it Relates to the American Identity Essay

The Image of the Rural Pride as it Relates to the American Identity - Essay Example Land ownership shifted from the elite who held the yokes of servants in the feudal system to that of the common man who either staked his claim or was given land on which his pride and his sweat coaxed out a living. In using the imagery of farms and rural life to express idealism, artists have made a commentary on what it means to work the land and the identity that this image creates in relation to that of American life. As a consequence, those same images have been used to relate the disappointments and changing ideals that have grown. The concept of the rural landscape or representation is not always defined by the image of a happy or successful representation of American rural life. In Grant Wood’s work American Gothic, one interpretation is to see a savagery in the faces of the farmer and his wife, their lives so cruel and harsh that they live with that impressed upon their faces. Charles Demuth resented his surroundings so much that his artwork was representative of that same hard lined concept which produced the idea that rural life was unacceptably harsh. The Rural Aesthetic One of the most iconic pieces of art in the American portfolio is that of American Gothic by Grant Wood. The image of the harsh and sober farmer, his wife looking at him with the barest disdain combined with a hint of respect, suggests both a satirical look at rural life, contrasted with a respect for the stoic and harsh nature of such a life. Corn (1998) argues that the work is not based on satire, but on the way in which Wood was raised, his background informing the aesthetic that he has adopted. As well, Wood, according to Corn (1998), had an aesthetic that was reflected in hard lines. Through the examination of the Midwestern lifestyle, he associated the difficulty of rural work to that of the hard line. Corn (1998) quotes Garland who defines the concept of the Midwest through the representation provided through hard lined works, which gave them the aspects of being †Å"rural, raw and tough – as hard ‘edged’ (p. 397). The work, American Gothic, is one of the most recognizable paintings done in the 20th century. It is often referred to as the â€Å"American Mona Lisa† because of its wide use in pop culture iconic works of advertising and social referencing, and because it is associated with American Art in a very central and meaningful way. Critics of the work often assign it to being either regional or satire, both which the artist believes diminishes his intentions with the work. Wood resented the idea that the painting represented specifically Iowa, the work having a more universal representation of the American farmer and not representative of Iowa. The criticism of satire also did not seem to fit the painting. According to Seery (2002), â€Å"the farther the critic lived from the Midwest, the more predisposed he or she was to read the painting as satire or social criticism† (p. 121). In fact, the painting was depicted as vicious by art historian Mathew Baigell who framed his interpretation as â€Å"a ‘vicious satire’ that depicts the couple as savage, exuding ‘a generalized, barely repressed animosity that borders on venom†

Thursday, October 31, 2019

Summary and reflection Essay Example | Topics and Well Written Essays - 250 words

Summary and reflection - Essay Example Even though the topic of the film was a contentious one, I found the movie to be insightful because I never considered some things to be racist. The most common one of these is when the white police officer manhandles a black woman on the pretext of possible drug use. There are many things in our daily lives that we do not recognize as being racist, even though many times they are. I most identified with Cameron, the husband of the black woman who was strip-searched, because he had to face a difficult dilemma. On the one hand, he could have prevented the police officer from assaulting his wife. The likely outcome would have been that he would be arrested. But, what he actually did was nothing at all. I would have done the same as him because police officers have the authority to do anything that they want because they are the law. I think that the director could have focused less on the divisions between white and black people because there are also many other cultures that can be racist. The characters in the movie were very stereotypical and I do not think that this helps ongoing racial

Tuesday, October 29, 2019

Developments in european & pacific rim trade Essay

Developments in european & pacific rim trade - Essay Example However we there can be several exceptions to this first rule - which is the first article of the General Agreements on Tariffs and Trade (GATT) - such as for example giving developing countries special access to a market or raising barriers against products being produced unfairly in other countries. The second part is the National treatment: treating foreigners and locals equally meaning that locally-produced goods should be treated equally when compared to imported goods once the imported goods have entered the national market. The same thing has also to be applied for services, trademarks, copyrights and patents. The second principle of WTO favors the lowering of trade barriers meaning customs duties and tariffs and measures such as import bans or quotas that restrict quantities selectively. Since the creation of the GATT, there have been eight rounds of trade negotiations to progressively abolish these barriers, the undergoing ninth round being the Doha Development Agenda. The predictability of international trade will guarantee a continuous stability. Therefore WTO encourages its members not only to lower trade barriers but also not to raise new barriers. When a country opens its market for products or services, it is considered as binding its commitment. However a country can change its bindings but only after a round of negotiation. With this principle WTO insists on the point that the organization i... WTO allows tariffs and some form of protectionism. Its true aim is to establish an environment with the help of specific rules to favor fair trade. These rules are for example the rule of most favored nation, national treatment or rules on dumping and subsidies. Encouraging development and economic reform Finally, WTO's last principle encourages development through flexibility for developing countries to implement WTO rules and special assistance and trade concessions in favor of these developing countries. (World Trade Organization, Principles of the Trading System) However as much as we can consider these principles being the best ground for efficient and fair trade, the reality is otherwise as we can see through the example of the Multi Fibre Agreement On January 1st, 2005, the Multi Fibre Agreement (MFA) expired. The MFA was a measure taken regarding the world trade of textiles and garment from 1974 to 2004 which imposed quotas on the amount that developing countries could export to developed countries. The WTO admitted that the MFA was a special regime outside the GATT rules and that WTO members have committed to remove those quotas by 1st January 2005 When the quotas from a country like China was reached, importers turned to less competitive suppliers located in countries that had spare export quotas and whose only advantage was low wage. Today, the less competitive developing countries are not called as back up because countries willing to import textile can only be supplied by one and only exporter, the most competitive: China. The importance of China in the textile market has not its boundaries set within developing countries. Since the beginning of 2005,

Sunday, October 27, 2019

Effect of Politics on Health Care Policies

Effect of Politics on Health Care Policies How Have Political Ideologies Helped to Shape Policy in the Healthcare Arena Introduction During the late 19th and early 20th Centuries welfare and the provision of healthcare was dominated largely by a laissez-faire approach. Many people in Britain lived in impoverished and unsanitary conditions. By the time of the Boer War (1899-1902) nearly a third of all troops suffered from malnutrition and they were judged unfit to serve. This information was used by social reformers as evidence that Government ought to provide health and welfare services that were an improvement on those which existed at the time (Moore, 2002). Since then policy making has been shaped by the ideology of the Government that is in power. Different ideologies are associated with different political parties, the ones referred to in this paper are associated with Liberal and Labour Governments, Tory Government and New Labour. The ideological underpinnings of these political parties are respectively, social democratic, new right thinking and the third way. This paper will attempt to show how such ideolog ies have helped to shape policy in healthcare, beginning with social democratic policies which produced the 1942 Beveridge Report and laid the foundations for the British welfare state (Walsh et al, 2000). Post-War Social Democracy Social democracy is made up of a number of different strands but its policies are most closely associated with Labour Governments but is often subscribed to by most Liberal Democrats and some Tories. The Post-War Labour Government saw the Welfare State as central to society and one of the things that promoted social cohesion. Thus the ideologies of post-war Labour Governments are the basis of the British Welfare State (Giddens, 2001). The post-war Labour Government believed in universal welfare provision, where a high standard of welfare is available to all those who need them. This system results in what is known as an institutional model of welfare. Central to this approach is an understanding of healthcare as of a high standard, comprehensive, and available to all. Giddens (2001) notes that this kind of provision was based on the ideas of the economist John Milton Keynes and meant that Government was involved at all levels of people’s lives. The post-war welfare state was formed on an understanding that there would be full employment. The 1942 Beveridge Report recommended the introduction of a system of National Assurance. Under this system everyone paid a part of what they earned to the Government and theoretically this would finance the welfare benefits they obtained. The National Health Service grew out of the publishing of by In 1946 Anuerin Bevan introduced a National Health Services Bill from which grew the National Health Service. Underlying this was the idea that healthcare and hospitalisation would be provided free at the point of access. The National Health Service, which was established in 1948, became the envy of the Western world as people received free primary care from their local GP, free medicine, free eye and dental care and free hospitalisation. By the 1950s however, it was becoming impossible to sustain a completely free service and the Government were forced to introduce some charges for prescription s, spectacles and dentistry. This was largely due to the fact that the demand for healthcare exceeded Government resources to pay for it. The NHS lurched from one financial crisis to the next because the demands on it were so great (Walsh et al, 2000). Moore (2002) maintains that until the late 1970s British social policy was dominated by this approach which opposed radical change and believed that the best way to achieve a more just an equal society was over a period of time. However, the post-war government had not envisioned rising unemployment and reduced tax revenues. The Social Democratic approach has been criticised as being paternalistic and elitist, telling people that the state knows what is best for them. This approach has also been accused of creating a dependency culture rather than allowing people to think for themselves. This was a central argument of the New Right. The New Right Approach The Tory Government that was voted into office in 1979 argued that under the previous Government state services had become oppressive and inefficient. New Right thinking lay behind the Government’s policies, which in turn influenced its critique of Social Democratic policies and the welfare state. New Right approaches emphasise the role of the private sector in service provision. The incoming Government was concerned with the spiralling costs of welfare, particularly the health service, and the fact that people relied to heavily on Government services. Universal provision had created a nanny state a welfare dependency. Thatcher argued that it was preferable to provide services through the market, through charity, or through family members. Personal responsibility and self-reliance were the core values promoted by the Tories. The New Right Approach concentrated on lifestyle and its physical and mental effects thereby placing responsibility for the state of an individual’ s health on their own shoulders (Giddens, 2001). The new Government introduced market principles into the health service. Instead of doctors and patients, the term healthcare providers and clients were introduced. In theory this was supposed to give people more choice over the type of care they received, in practice it was a roll back of services. Stiglitz (2002) maintains that rather than increasing user choice the system actually gave the Government more control over people’s lives and allowed them to monitor take up of services to cut costs. In order to control spending on health competing NHS Trusts were introduced. This meant the growth of a two tier system within the Health Service and the introduction of private care (Walsh et al, 2000). The Conservatives also began a process of deinstitutionalisation, closing geriatric wards and psychiatric hospitals, discharging people into the community. In 1990 the Community Care Act was introduced. Means and Smith (1994) have argued that this Act did anything but care, †¦the term community thus enables the continuous construction of an idyllic past of plenty and social harmony which acts as an immanent critique of contemporary social relations. Thus the call by politicians and policy makers to replace present systems of provision with community care feeds into this myth by implying that it is possible to recreate what many believe were the harmonious, caring and integrated communities of the past (Means and Smith, 1994:5). The New Right approach to policy making has been criticised at a number of levels and some research studies e.g. Howarth (1999) found that since 1991 the mortality rates in some local authority areas have risen by 40% and are thus significantly higher than the national average. When New Labour came to power they continued the critiques of welfare dependency and introduced further reforms. Their approach is not yet fully developed but is known as the Third Way. The Third Way Approach Dean (2003) maintains that when New Labour came to power in 1997 they did not break with New Right approaches. Blair maintained that they were offering a third way, that broke with the old left and agreed with some of the Conservative policies. New Labour ministers have argued that new policies are needed to cope with poverty and inequality and to improve education and health. Blair’s Government argue that the state cannot provide everything and people need to be ready to help themselves more. The Government will however, provide funding and opportunities for people to help themselves. New Labour have continued using market principles in healthcare and have introduced a system which accounts for the number of cases that a hospital trust deals with. Its healthcare policies also involve using the private health system to cope with the overflow work that comes from the NHS (Moore, 2002). New Labour still hold to the view that the introduction of market principles into the healthc are system will result in greater efficiency and better care. Critics have argued that the inequalities under the Conservatives have continued under New Labour and there is now a postcode lottery within healthcare i.e. where a person lives determines the amount and quality of healthcare that they receive. In response to this the Government set up Health Action Zones in 1998. By 1999 these were focussed on underprivileged areas where the health of the population was thought to be particularly poor. Health Action Zones are based on the principle of inter-agency working i.e. health is not simply a matter for the NHS, voluntary organisations, GPs and housing and social services all play a part in promoting health. The Government also introduced NHS Direct, a telephone help service that people can contact when they are not clear what to do about a health problem. In some areas there are walk in health centres staffed by nurses, they deal with minor health problems and take some of the load off of AE departments. (Moore, 2002). Some critics argue tha t Third Way policies benefit the better off at the expense of the poorer members of society.(Alcock, 1997)..It is also argued that Third Way polices are not sufficiently though through and therefore appear indistinct. Conclusion This paper has looked at the ways in which political ideology shapes policy making. It has focussed on policy making in health because this is still a hotly debated topic in both the media and in the public arena at large. Social democrats believe in universal welfare provision but the idea is based on full employment and that is no longer a viable concept. New Right thinking is against such total provision and believes that individuals need to be more self-reliant. Third Way policies use a combination of approaches but in practice much of the policy making is virtually indistinguishable from that of the New Right. Clearly these ideologies do have an effect on policy making, but more importantly they have an effect on the lives of British people. While there were many weaknesses in the Social Democratic approach it seems to be the general view that health services have deteriorated considerably with changing ideologies. 1600 words References Alcock, P. 1994 â€Å"Back to the Future: Victorian Values for the 21st Century† in Murray, C. 1994 Underclass: The Crisis Deepens London, IEA Dean, H. 2003 â€Å"The Third Way and social welfare: the myth of post-emotionalism† Social Policy and Administration Vol 7 Issue 7 p.695 Giddens, 2001. 4th ed. Sociology. Cambridge, Polity Press Howarth, C. 1999 Monitoring Poverty and Social Exclusion 1999 York, Joseph Rowntree Foundation Marsh, Keating and Eyre et al 2000 2nd ed. Sociology: Making Sense of Society Essex, Pearson Education Means, R. and Smith, R. 1994 Community Care, Policy and Practice London, Macmillan Moore, S. Scourfield, P. Sinclair, S. Burch, S. and Wendon, B. 3rd ed. 2002 Social Welfare Alive Cheltenham, Nelson Thornes. Stiglitz, J. 2002 Globalisation and Its Discontents New York and London: WW Norton Company Walsh, I ed. 2000 Sociology: Making Sense of Society. Edinburgh, Prentice Hall.

Friday, October 25, 2019

Identity in Sylvia Plaths The Bell Jar Essay -- Plath Bell Jar Essays

Identity in The Bell Jar      Ã‚  Ã‚  Ã‚  Ã‚   A sense of individuality is essential for surviving the numerous emotional and physical obstacles encountered in daily life. A unique identity is perhaps one of the only true characteristics that defines an individual and is definitely a key principle for understanding and responding to one's atmosphere. In the "Bell Jar," Esther battles not only a deteriorating mental stability, but also a lack of a sense of individuality. Esther is a young, sensitive and intelligent woman who feels oppressed by the obvious social restrictions placed upon women, and the pressure she feels regarding her future. Undoubtedly these emotional burdens result not only in Esther's social and intellectual isolation, but also her impending mental breakdown. Clearly, Esther is deeply troubled by the hypocritical and often vicious world encompassing her, and feels overwhelmed and powerless to break free of her inner world of alienation. Instead of firmly establishing a genuine sense of self , Esther adopts and scrutinizes the images and personalities of the women in her life, which neither fit nor reflect her legitimate character.    Throughout the novel Esther is faced with numerous possibilities regarding her future aspirations. Although she is an extremely perceptive and bright woman, Esther has no sense of imminent direction, and instead imagines herself becoming and achieving an abundance of successes simultaneously. Upon meeting her boss, Jay Cee, Esther is immediately impressed with her flourishing balance of a career and marriage, and begins to imagine herself attaining similar achievements:    "I tried to imagine what it would be like if I were Cee...Cee, the famous editor, in an office full of p... ... The Feminine Identity. Twentieth Anniversary Edition. New York: Norton, 1983. Nizer, Louis. The Implosion Conspiracy. New York: Doubelday, 1973. Plath, Sylvia. The Bell Jar. 1963. London: Faber, 1966. ---. The Journals of Sylvia Plath. Ed. Ted Hughes and Frances McCullough. 1982. London: Anchor-Doubleday, 1998. Radosh, Ronald, and Joyce Milton, eds. The Rosenberg File: A Search for the Truth. 1983. New Haven: Yale UP, 1997. Rich, Adrienne. "Compulsory Heterosexuality and Lesbian Existence." Signs: Journal of Women in Culture and Society 5 (1980): 631-60. Rep. In Adrienne Rich's Poetry and Prose. Ed. Barbara Charlesworth Gelpi and Albert Gelpi. New York: Norton, 1993. 203-24. Stevenson, Anne. Bitter Fame: A Life of Sylvia Plath. London: Viking-Penguin, 1989. Wagner-Martin, Linda. Sylvia Plath: A Biography. New York: Simon, 1987.