Monday, September 30, 2019

Barron V Baltimore

Among the original decisions handed down by the United States Supreme Court, some gave limitations to the power of the Federal government, others expanded upon the rights of the Federal government, and still others differentiated between the powers granted to the Federal government versus the powers granted to the individual states.It is among this final group that the decision in Barron v.  Baltimore belongs, as it was a decisive moment for the court to very clearly comment on the separation of regulations reserved for the states as well as the regulations more appropriately assigned the Federal government. Decided in 1833, the decision is far-reaching and continues to impact American law and society in the present day.Although the decision in Barron v. Baltimore impacts primarily the Fifth Amendment, the passage of the Fourteenth Amendment expands on both the interpretation of the Fifth Amendment as well as the holding in Barron v.Baltimore. The major player in this case, John Ba rron, was a wharf owner in the state of Maryland. Barron enjoyed a profitable enterprise utilizing the deepest waters on the coast of Baltimore, until activities by the city began to impact his business. In 1815, Barron alleged that the City of Baltimore â€Å"diverted the flow of streams while engaging in street construction†, creating â€Å"mounds of sand and earth near his wharf, making the water too shallow for most vessels†.(Wikipedia, 2007) Because it was the activities of the city of Baltimore that impacted his trade and not natural erosion, Barron felt legally wrong and brought suit against the city seeking damages for loss of business due to his ships not being able to flow freely into and out of his wharf due to decreased depth of water. The City of Baltimore disagreed with the allegations of John Barron, and instead stated in court that they were simply conducting the activities necessary to maintain their city as was their right.According to the first volum e of the American Law Encyclopedia, Baltimore, as a city, was modernizing in 1815, and their updates included â€Å"building embankments, grading roads, and paving streets†. (American Law Encyclopedia, 2007) Because those modernization activities included diverting small waterways, and because a series of natural rainstorms filled those diverted waterways with dirt, the flow of water led to the buildup of silt at the emptying location of the waterways, which was the wharf owned by John Barron.A local court, upon hearing the case, found that Barron had indeed been wronged by the City of Baltimore, and awarded damages in the amount of $4500, to compensate for business lost. The City of Baltimore was greatly displeased by this decision, in that it indicated that they had purposefully taken use of the land (water) owned by Barron and used without compensation, when, in fact, the filling of his wharf with silt was an unfortunate by product of modernization activities being conduct ed inland.Upon appeal, â€Å"a Maryland appellate court reversed† and thus the pendulum swung back to Barron to move the case forward. (American Law Encyclopedia, 2007) Barron did so by appealing to the United States Supreme Court, who heard the case on a writ of error. The decision handed down by the United States Supreme Court in the case of Barron v. Baltimore represented one of the first occasions of review for the Fifth Amendment to the United States Constitution. According to the website entitled Common Sense Americanism, â€Å"the primary question before the Court was whether the Fifth Amendment to the U.S. Constitution could be made to apply to the states†. When written and ratified shortly after the Constitution was itself written and ratified, the Amendments were widely understood to apply to the Federal government and its actions and reach, as the actions and reach of the State governments were provided for by the Tenth Amendment as well as state legislation . However, in the case of Barron v. Baltimore, Barron sought to have the Fifth Amendment cross applied to have a local entity held accountable to the same standards.The portion of the Fifth Amendment so highly relevant to this case states â€Å"nor shall private property be taken for public use, without just compensation†. (U. S. Const. , Amend. V) The decision by the local court clearly thought that by assigning compensation, the Fifth Amendment was thereby satisfied; the state court disagreed in stating that the Fifth Amendment did not apply. The United States Supreme Court held simply that â€Å"Barron had no claim against the state under the Bill of Rights because the Bill of Rights does not apply to the states†.(McBride, 2006) The rationale used by the court in coming to this blunt conclusion was explained by McBride, saying that the tenants of the Constitution applied only to the government the Constitution creates – that is, the Federal government. Becaus e state governments had been afforded the right to create individual state Constitutions, they need instead be held to the standards created within those documents. In a decision written by Chief Justice Marshall, the case is dismissed for want of jurisdiction, because the same limitations and responsibilities assigned the Federal Government are â€Å"not applicable to the legislation of the States†.(Barron v. Baltimore, 1833) The holding of Barron v. Baltimore remains applicable to the present day because of the precedent set in separating the responsibilities of the state and Federal governments. In McCulloch v. Maryland, the precedent set limited the ability of a state government to impose restrictions on the Federal government. In Gibbons v. Ogden, the precedent set limited the role played by state governments in interstate commerce, reserving those powers instead to the Federal government. But in Barron v.Baltimore, a decision written by the same Chief Justice as the two prior cases, the precedent seemed to differ, in that instead of imposing a Federal standard and Federal actions upon local communities, the Court instead distinguished between state and Federal powers and stated that the actions of a local entity could not be held to the same standards set for a Federal entity. Thirty-five years after the decision rendered in Barron v. Baltimore, the Fourteenth Amendment to the United States Constitution was passed.The first provision of this amendment very closely mimicked the Fifth Amendment, but notably leaving off the final wording regarding compensation for use of land. Whereas the Fifth Amendment states â€Å"no person shall†¦be deprived of life, liberty, or property, without due process of law; nor shall private property be taken for public use, without just compensation†, the Fourteenth Amendment states â€Å"No State shall†¦deprive any person of life, liberty, or property, without due process of law; nor deny to any perso n within its jurisdiction the equal protection of the laws†. So while the holding in Barron v.Baltimore eventually influenced the creation of the Fourteenth Amendment, compensation for the use of land is notably left silent. Despite that, the long-lasting legacy of Barron v. Baltimore is that despite an initial holding of the inapplicability of Federal regulations on state or local entities, it lead to the laying of groundwork for currently followed precedents that the states are now held to similar standards as the Federal government, due to the passage of the Fourteenth Amendment. References Barron v. Baltimore. 32 U. S. 243 (1833). Barron v. Baltimore. (2007). American Law Encyclopedia, Vol 1.Retrieved March 30, 2007 from http://law. jrank. org/pages/4681/Barron-v-Baltimore. html. Barron v. Baltimore. (2007). Wikipedia. Retrieved March 30, 2007, from http://en. wikipedia. org/wiki/Barron_v. _Baltimore. Common Sense Americanism. (2007). Barron v. City of Baltimore. Retrieved March 30, 2007 from http://www. csamerican. com/SC. asp? r=32+U. S. +243. McBride, A. (2006). The Supreme Court The First Hundred Years Landmark Cases Barron v. Baltimore. Retrieved March 30, 2007 from http://www. pbs. org/wnet/supremecourt/antebellum/landmark_barron. html. U. S. Const. , Amend. V. U. S. Const. , Amend. XIV.

Study On Biomass Power Plant Environmental Sciences Essay

Power coevals from biomass stuff is going one of the most promising options to the established power workss based on fossil fuels such as coal or natural gas. Biomass Ok, so, biomass is defined as any organic stuff derived from workss, that is available on a renewable footing. These stuffs are by and large known as biomass feedstocks and include: Wood: from forestry fixingss ( foristri – the scientific discipline of caring for woods, and the trees and other workss that grow in them ) or from wood treating systems ( production of wood merchandises, such as mush and paper, building stuffs ) . Energy harvests which are harvests grown specifically for energy applications. Agricultural residues ( residius ) residues from agribusiness reaping or processing. Municipal Waste ( miunicipal ) which is residential, commercial, and institutional post-consumer waste such as waste paper, composition board, nutrient waste. And besides Animal Waste from farms and animal-processing industries. The production of electricity from biomass is described as a C impersonal engineering because when a new works is turning, it absorbs carbon dioxide from the ambiance to make glUcose utilizing energy from the Sun. When this works stuff is burned or decomposed by microorganisms the carbon dioxide is released back to the ambiance. These procedure is known as C rhythm which maintain the atmospheric CO2 degrees and has happened since there have been workss on Earth. Fossil fuels such as coal and gas are besides derived from biological stuff ; nevertheless this stuff absorbed CO2 from the atmosphere many 1000000s of old ages ago and when the dodo fuels are burned, this carbon dioxide is released to the ambiance increasing the natural atmospheric concentrations. The critical difference between biomass and fossil fuels is one of clip graduated table. There are presently two chief procedures used in power workss for the production of electricity from biomass: and they are direct burning and gasification. Direct burning is basically the incineration of dry biomass in the presence of air to bring forth heat. Gasification is a thermochemical transmutation of biomass at high temperature ( 700A °C to 1000A °C ) in the presence of a limited sum of O into a combustible gas which is called syngas and is a mixture composed of chiefly carbon monoxide ( CO ) and H ( H2 ) – C monoxide, H, C dioxide and methane. Now let ‘s see how these procedures are integrated into the biomass power workss. So in the first procedure: The heat produced by direct biomass burning in a boiler can be used to bring forth electricity utilizing a steam turbine in the same manner as in a coal-burning power works. This is a diagram of a typical biomass steam power works. The biomass is collected and taken to the power station. At the power station the biomass is fed into the boiler where it is burned. The heat from firing the biomass is used to boil H2O which generates steam that turns the turbines. The turbines are connected to generators. The generator spins and the mechanical energy is converted to electrical energy. Biomass is renewable as it is a C impersonal beginning of energy. When a works is designed for working merely with biomass it is called dedicated biomass power workss. However, biomass can be burned with coal in bing coal power workss. These are called co-firing workss and are one of the most cost-efficient agencies of change overing biomass to electricity at big graduated table. This method makes usage of the bing substructure of the coal works and therefore it reduces the entire investing. The different co-combustion design constructs are shown in this figure. Co-firing can be direct, with biomass and coal being fed into the same boiler, or indirect, where a pre-treatment like gasification is carried out prior to the burning in the chief unit. In parallel burning, biomass and coal burning are separate and the boilers are connected merely on the steam side. Presently most biomass electricity coevals is based on burning. The graduated table of operation is a really of import factor for the efficiency. The efficiency tends to be in the scope of 18 % to 33 % in systems bring forthing from 10 to 50 MW. The maximal efficiencies could make about 45 % in big graduated table workss bring forthing more than 100 MW. In co-firing workss, efficiency of 39 % can be reached. Now let ‘s speak about gasification in biomass power workss. A typical diagram of a biomass gasification procedure combined with power coevals is shown in this figure. In this illustration, biomass is first dried and so injected into the gasifier. The ensuing biogas is purified in a cleansing system. The purified biogas is so utilized in the conventional Combined – Cycle Gas Turbine ( CCGT ) power works, to bring forth electricity. The biogas produced in the gasification procedure can besides be used in burning engines ( 10 kilowatt to 10 MW ) with efficiency of 30 % -35 % . At larger graduated tables ( & gt ; 30 MW ) , where gasification-based systems are coupled with combined gas and steam turbines the efficiency increases up to about 45 % . There are two others procedures which can be used to bring forth electricity from biomass but they are still in a pre-commercial phase. The first of them is Pyrolysis which is a thermochemical decomposition of organic stuff at high temperatures 325A °C to 500A °C in the absence of O, bring forthing gas and liquid merchandises that could be used in power coevals units or upgraded to transport fuel. This procedure besides produces a carbon-rich residue called biochar and one of the of import facets of biochar is that it is a natural fertilizer that can be used to better dirts quality, which can potentially increase energy harvest productiveness. The 2nd one, anaerobiotic digestion is a natural biochemical procedure in which microorganisms interrupt down the organic stuff, in the absence of air, to bring forth biogas ( chiefly a mixture of around 60 % methane and 40 % C dioxide ) . Anaerobic digestion is a procedure suitable for utilizing wet biomass, organic waste or carnal waste to bring forth power coevals on site. There are a figure of engineerings that support the transition paths of biomass feedstocks into energy. Drying is the most important because High wet content needs to be reduced to increase the net calorific value of the biomass, besides to cut down conveyance costs, and to better burning efficiency and the overall economic sciences of the procedure. Biomass such as agricultural and forest residues can be left in tonss on the harvest home site for deceasing, but particularly in humid climes, or parts with heavy snow autumn, this will non be sufficient to acquire to really low ( & lt ; 20 % ) wet content. Covering biomass hemorrhoids with rainproof sheets is a common step that helps accomplish low wet content and avoids decay of the biomass. In some instances, biomass feedstocks need to be actively dried before transition into utile energy. This can be executable from an economic and environmental point of position if waste heat is used, but to utilize fossil energy for drying biomass is questionable from both an economic every bit good as sustainability point of position. Pelletisation and briquetting Both pelletisation and briquetting are commercially available engineerings to automatically compact biomass. Low quality wood is the major feedstock for production of wood pellets, whereas briquetting is normally used to distill agricultural residues. Pellets are frequently used for long-haul conveyance of fuels for big graduated table usage, for illustration for co-firing in coal discharged power coevals workss. Cleaning The gas obtained from gasification contains drosss and particulates that need to be removed before utilizing it in power workss, because these contaminations can lend to eroding, corrosion, and loss of strength in the gas turbine constituents. Conventional methods for taking contaminations from biogas typically rely on chemical or physical cleansing processes runing at temperatures of 38A °C or less. When cooled to this degree, about all of the steam nowadays in the syngas condenses and the contaminations are removed. But so the gas has to be reheated. So, this procedure is non effectual for gas power workss and that ‘s why there is another engineering that is comparatively new and is called Hot gas killing where the cleansing procedure is carried out at high temperature, so that cut down this efficiency loss and better the gasification works ‘s commercial viability. The disadvantages of the hot gas killing engineering are that operational experience is limited, it has higher costs, and it adds complexness to the procedure ; nevertheless, it is considered to be the technologically more advanced pick for new dedicated biomass workss. BECSS CCS engineering is chiefly discussed in the context of avoiding CO2 emanations from dodo fuels, but the this could besides be used in bioenergy transition workss. The thought behind bioenergy with CCS ( BECCS ) is that capturing and hive awaying the CO2 emitted during bioenergy coevals provides the possibility to take â€Å" impersonal † Carbon dioxide from the ambiance, therefore supplying negative emanations. CO2 impersonal procedure Clean and dependable power beginning if sufficient biomass is available Way to dispose waste stuffs that otherwise would make environmental hazards. Social and economic impacts are besides of import factors in the overall impact of bioenergy production. Bioenergy deployment has considerable possible to make employment in the agricultural and forestry sector and along the supply concatenation, and therefore to profit rural communities. This facet is peculiarly of import in developing states, where much of the population depends on agribusiness for their support. In these states, bioenergy frequently provides energy in rural countries, and there is considerable possible to heighten this function by bettering the efficiency of bioenergy usage and making new, sustainable supply systems for biomass feedstocks. Main barriers confronting enlargement of biomass for power coevals are high costs, low transition efficiency and feedstock handiness. As any new engineering, biomass power coevals requires presently in most instances some degree of fiscal support. In the long term, bio-power potency will depend on engineering progresss and on competition for feedstock usage, and with nutrient production for cultivable land usage. Long-distance transit reduces economic and environmental attraction of biomass. Hazards associated with extended usage of biomass relate to intensive agriculture, fertilisers and chemicals use and biodiversity preservation. Certifications that biomass feedstock is produced in a sustainable manner are needed to better credence of public wood and lands direction. The usage of energy from biomass day of the months back to the first clip a fire was lit from the burning of wood. Prior to the industrial revolution, biomass was used for all of our energy demands. Up until the 1880s wood was used for 91 % of all our energy requirements.A 1890. Coal began to displace wood used in steam coevals. 1980s. High oil monetary values and dependance created new involvement in biomass energy, biomass power workss were built in North America and a big biomass power industry rapidly developed in California. By 1985, California had 850 megawatts of installed biomass power capacity. 1990s. Governments take a greater involvement in utilizing renewable energy, such as biomass, to diminish nursery gases and other emanations. 2000. A study of 133 states by the International Energy Agency shows that the biomass portion of entire energy ingestion is 10.5 % Presently, bioenergy electricity is chiefly generated through steam power coevals, including co-firing workss. Electricity supply from biomass has been increasing bit by bit since 2000 and in 2010 biomass provided around ( 280 TWh ) 1.5 % of universe electricity production. Power coevals from biomass is still concentrated in developed states, but for illustration China and Brazil are besides going of import electricity manufacturers in peculiar from agricultural residues thanks to back up programmes. The theoretical accounts established in these states could besides go a feasible manner to advance bioenergy electricity coevals in other non-OECD states with similar conditions.†¦Harmonizing to the International Energy Agency roadmap, universe bioenergy electricity coevals will increase by more than 10 times from around 290 TWh in 2009 to 3100 TWh in 2050 and could supply around 7.5 % of universe electricity coevals, compared to 1.5 % today. The usage of biomass for power coevals v aries between parts, depending on biomass handiness, transition costs, and the handiness of alternate low-carbon energy beginnings. China histories for the largest portion ( 920 T Wh ) of entire bioenergy electricity coevals in 2050, followed by OECD Americas ( 520 T Wh ) . Other parts besides have considerable coevals degree in 2050 such as OECD Europe ( 370 T Wh ) , Other Developing Asia ( 570 T Wh, of which 250 TWh in India ) , Eastern Europe and former Soviet Union ( FSU ) ( 280 TWh, of which 170 TWh in Russia ) and Central and South America ( 240 T Wh, of which 190 TWh in Brazil ) , some ( e.g. Eastern Europe and FSU, China ) get downing from a really low footing.†¦

Saturday, September 28, 2019

Alcohol Use Disorder

Alcohol use disorders are among the most prevalent mental disorders worldwide and rank high as a cause of disability burden in most regions of the world. (Grant et al. , 2006)The following paper discusses the recent research findings and essential features based on the content of diagnosis, assessment and treatment. Diagnosis The DSM-IV-TR classifies drug disorders into substance use disorders (substance dependence and abuse) and substance-induced disorders (substance intoxication, substance withdrawal, induced delirium, anxiety, depression, psychosis and mood disorders). Sometimes it is difficult assessing patient’s psychiatric complaints because heavy drinking is associated with alcoholism can co-exist with, contribute to or result from several different psychiatric syndromes. (Shivani, Goldsmith & Anthenelli, 2002) In order to improve diagnostic accuracy, distinguishes among alcohol-related psychiatric symptoms and signs, alcohol-induced psychiatric syndromes and independent psychiatric disorders that are commonly associated with alcoholism emerges to be essential. Patients’ gender, family history, and course of illness over time also should be taken into account. Alcohol-related psychiatric symptoms and signs Heavy alcohol consumption directly affects brain function and brain chemical and hormonal systems known to be involved in many common mental disorders thus can manifest itself in a broad range of psychiatric symptoms and signs. (Koob, 2000) And this usually the first problem which brings the patients seek help. The symptoms vary depending on the amount of alcohol used, how long it is used and how recently it was used as well as patient’s vulnerability to experiencing psychiatric symptoms in the setting of consumption. For example, during intoxication, smaller amount alcohol may produce euphoria whereas larger amount may produce more dramatic changes in mood. Alcohol also impairs judgment and aggressive, antisocial behaviours that may mimic certain externalizing disorders such as ASPD. Alcohol-induced psychiatric syndromes The essential feature of alcohol-induced psychiatric syndromes is the presence of prominent and persistent symptoms, which are judged- based on their onset and course as well as on the patient’s history, physical exam, and laboratory findings to be the result of the direct physiological effects of alcohol. Given the broad range of effects of heavy drinking may have on psychological functioning, these alcohol-induced disorders span several categories of mental disorders, including mood, anxiety, psychotic, sleep, sexual, delirious, amnestic and dementia disorders. Alcoholism with comorbid, independent psychiatric disorders Alcoholism is also associated with several psychiatric disorders that develop independently of the alcoholism and may precede alcohol use and abuse. One of the most common of these comorbid conditions is ASPD, and axis II personality disorder marked by a longstanding pattern of irresponsibility and violating the rights of others with alcohol. (Stinson et al. , 2006) Assessment The three major purposes for a comprehensive assessment are to determine a diagnosis, devise a treatment plan and to make appropriate referrals. The assessment should provide a clinical picture of the client’s personal level of functioning, history, presenting problems, family and social context in the client’s life. It is very important that the assessment process requires the gathering of comprehensive, accurate information, for a valid diagnosis and appropriate treatment. – It is vital that the counsellor needs to collect valid and reliable information. Both formal diagnosis, as listed in the Diagnostic and Statistical Manual of Mental Disorders (APA, 1994) and informal diagnosis, if the client has had therapy in the past can be made. – Comprehensive assessment is essential in designing a treatment plan. The more information provided concerning the etiology, functioning level and prognosis of the problem, the better the treatment plan. – Comprehensive assessment also provides information in order to made appropriate referral. The counsellor may decide to provide treatment solely or in conjunction with some other drug treatment specialists. Generally there are three categories of assessment measures: subjective data and physiological data. -Subjective data To collect information of demographics, family and living situations, mployment, education, drinking history (including development of the drinking problem and current drinking) and the effects on the subject’s cognitive, psychosocial, behavioural and physiological functioning. (Aalto & Seppa, 2005) For example, some questionnaires focus on problems caused by alcohol consumption, the Alcohol Use Disorder Identification Test (AUDIT) (Saunders, Aasland, Babor, de le Fuente, & Grant, 1993) There are ones with diaries focussing on the quantification of alcohol consumption, such as quantity-frequency, time-period or time-line follow-back methods. Webb et al. , 1990) More recently, a low level of response (LR) to alcohol (the need for higher amounts to have an effect) is a genetically influenced characteristic that is both found in populations at high risk for future alcoholism and that predicts alcohol related life problems in future. This Self-Rating of the Effects of Alcohol (SRE) questionnaire asks for estimate of number of drinks required to produce each of four effects at different times in their lives. Miller, Thomas, & Mallin, 2006) In addition, the survey included the Alcohol Use Disorders Identification Test-C (AUDIT-C), a three-question alcohol screening test adapted from the original AUDIT developed by the World Health Organization for use in primary health care. The AUDIT-C is a simple, reliable screening tool that focuses on the frequency of drinking, quantify consumed on the typical occasion and the frequency of heavy episode drinking. (Bush, Kivlahan, McDonnell, & al. , 1998) Again, there is no such perfect measure that SRE was found to be biased and not able to identify high functioning middle-age women. Schuckit, Smith, Danko, & Isacescu, 2003) The difficulty with these specific questionnaires is that people who drink alcohol in general tend to neglect or underestimate their alcohol consumption. (Koch et al. , 2004) The accuracy of these measures is based on the patient's awareness of and willingness to acknowledge his or her pattern and level of alcohol use as well as negative effects of drinking. At least some individuals who drink excessively will fail to do this. (Allen & Litten, 2001) – Physiological data Comparing to subjective data, physiological data can overcome the subjectivity, underestimation in particular thus provides more precise and objective information about the drinking issue. It includes general medical and psychiatric history and examination. This is conducted through screening of blood, breath or urine for alcohol used, further on laboratory tests for abnormalities that may be accompanied acute or chronic alcohol use such as gamma-glutamy-transferase (GGT) or mean corpuscular volume (MCV), a measure of the average size of red blood cells. These may also be used during treatment for potential relapse. GGT is the most commonly used biochemical measure of drinking. However, it is not clear how much drinking is actually needed to cause GGT levels to elevate. And MCV tends to miss more alcoholics than GGT as MCV may be elevated by a variety of conditions other than heavy drinking such as non-alcoholic liver disease, smoking, advanced age or use of anticonvulsants etc. Thus applying the usual cut-off points for these tests, GGT turns out to have a low specificity whereas MCV shows a low sensitivity. This may lead to a gross misunderstanding with the patient and unnecessary further testing. Carbohydrate deficient transferring (CDT) has been recently approved as a marker for identification of individuals with alcohol problems as well as an aid in recognizing if alcoholic patients in treatment have relapsed. CDT and GGT appear to validly detect somewhat different groups of people with alcohol problems. GGT may best pick up those with liver damage due to drinking, whereas CDT seems to be related to level of consumption with or without liver damage. It should be kept in mind that biomarkers do not identify women or adolescents with alcohol problems as they do for male or adults in general. (Similarly, self-report screening tests are also generally less able to detect alcohol problems) (Allen & Litten, 2001) Previous studies showed that over 80% of internists and family clinicians report that they usually or always ask new outpatients whether they drink alcohol. Less than 20% of primary care physicians routinely use validated self-report alcohol screening instruments (e. g. CAGE questions or AUDIT) Fewer than half ask about maximum alcohol consumption on one occasion. Alcohol biomarker laboratory tests are rarely used. Reasons given by clinicians for not following recommended alcohol screening guidelines range from lack of time, to insufficient knowledge and skills, to pessimistic attitudes about the ultimate benefits of screening. A current study conducted by Miller, et al. , (2004), they found that approximately 60% of clinicians surveyed frequently screen patients for alcohol use with quantity/frequency and CAGE questions. This is comparable to the incidence of screening found in previous studies. (Miller, Ornstein, Nietert, & Anton, 2004)Miller, et al. 2006) further found that over 90% of patients were in favour of screening and guidance about alcohol use and very positive about the use of biological alcohol markers. These findings suggest that physicians and clinicians may be convinced that patients are open to alcohol screening and would not be offended by it. Heavy drinkers may have more of a tendency to be embarrassed by such questions but there is no evidence they would be object to screening. The majority of patients would also be willing to receive alcohol biomarker blood tests, if their physicians and clinicians deemed such tests necessary.

Friday, September 27, 2019

Illegal Immigration can be curbed by enforcing existing immigration Essay

Illegal Immigration can be curbed by enforcing existing immigration laws, repealing birthright citizenship, and requiring proof - Essay Example In the decades that followed, the number of immigrants entered USA presented a trend of continuous increase; in 1977, 1 million immigrants from Mexico entered USA (Reed 25). It is clear that appropriate measures need to be developed towards the elimination of illegal immigration across the country. These measures should not be considered as an opposition to human rights but rather as an effort to secure the quality of life of citizens. Moreover, appropriate criteria should be used for judging the provision to immigrants of American citizenship. The measures taken for the control of illegal immigration across USA would include the introduction of mechanisms for enforcing existing immigration laws (especially ‘the Personal Responsibility and Work Opportunity Act of 1996 and the Illegal Immigration Reform and Immigrant Responsibility Act of 1996’ (Koven & Gotzke 142)), the repealing of birthright citizenship and the provision of right to apply for social services only to th ose who can prove their citizenship. The above issues are discussed in this paper referring to the literature that has been published in this field. It is assumed that the plans promoted in USA for the control of illegal immigration are important but they are not appropriately monitored; as a result, these plans often fail to address effectively the specific problem. It is assumed that it is not a problem related to the lack of legislation but rather to the lack of effective cooperation among the authorities involved in the relevant processes. In accordance with Anderson (2010) the control of illegal immigration in USA has been proved to be quite difficult; in the context of the above finding, authorities in USA have tried to focus on those forms of immigration that would be easier controlled – reference is made to the legal immigration (Anderson 215). For this reason, the measures developed for the control of illegal immigration in USA may affect legal immigrants also, a pro blem, which needs to be appropriately addressed; however, the above problem should not prohibit the authorities from enforcing the current immigration laws, as such practice would benefit the illegal immigrants across the country. At this point, the following issue needs to be highlighted: under certain terms, immigration laws are not enforced in US because of the existence of a series of interests depended on illegal immigration; the most indicative example of such case is the entrance of illegal immigrants in the workplace. Illegal immigrants cannot ask for normal wage – in terms of its level; in fact, their wage is lower compared to the average wage of employees in a similar job position. As a result, employers prefer illegal immigrants, a fact that makes the entrance in the workplace for citizens and legal immigrants even more difficult (Weissinger 203). The above phenomenon is so extended that the enforcement of immigration laws across the country has become quite proble matic. However, no signs seem to exist regarding the limitation of the above problem. In fact, in a relevant research it has been revealed that the immigration agents across USA are about 2,000 – while the illegal immigrants in USA have been estimated to 11.5 million (Gaines & Miller 124). In accordance with Wepman (2007) the lack of effective enforcement of immigration laws in USA leads to the following assumption: existing illegal immigrants across the country ‘face little or no risk of removal once they entry the country’

Thursday, September 26, 2019

Finance Growth Essay Example | Topics and Well Written Essays - 2500 words

Finance Growth - Essay Example Such decisions consist of allocation of the resources of the firms with carefully laid out plans to recoup the initial investment as well as adequate returns in the form of cash flows or other benefits that are expected to be generated during the economic life of the asset or investment. It is hard to reverse such capital budgeting decisions without severely disturbing an organization economically or in any other manner. Therefore it becomes critically important for any firm to make its capital budgeting decisions after a systematic and careful analysis of all associated risks and issues. But it must be noted that the capital budgeting decisions are many sided analysis. The process of this analysis involves estimation and forecasting of the current and future cash flows and the economic evaluation of alternative projects on hand. "Since in reality the cash flow estimations take place in a non-deterministic environment, full of complex interplay of conflicting forces, an exact descrip tion about cash flows is virtually impossible"(Chandra Prakash Gupta). Therefore it becomes important that the firm attempts to develop procedures and techniques that help the firm to make a meaningful analysis and evaluation of all the alternatives available in its hands before any decision is taken to invest money in any of the projects. This also makes the decisions of capital budgeting risky and difficult to retrieve. Capital budgeting is primarily concerned with fairly large investments in long-term assets. The assets may be tangible like property, plan, and equipment or intangible like new technology, patents, or trademarks. Irrespective of the nature of the assets, the capital expenditures have two characters; one is that they are meant to be a long term investment and secondly their benefits or cash flows are expected to be spread over many years. These characteristic features make the capital expenditure decisions very important for a firm. The capital expenditure decisions since have a considerable impact on the organization's future cash flows there is a considerable

Controversial issues in education Literature review

Controversial issues in education - Literature review Example This group thinks that spiritual and ethical teachings play a significant role in schooling as it is contributing to the behavior of students in a positive way. The prayers and belief can help them in different stages of lives and therefore there is a need of religious motivation in our students. The other group of people who are not supporting prayers in schools think that organizing prayers that are against the children’s religious belief and can create confusion in the children’s mind about their religious beliefs, and therefore to avoid such matters prayers should be kept away from the public schools. According to a law in US, organizing prayers in school is considered illegal. Another controversial issue is whether sexual education should be a part of educational curriculum or not. This is the most challenging issue faced by different educational institutions around the globe. I think that the children should be given proper sexual education by their schools so that they can make accountable and decent decisions. However some people think that this knowledge should be provided by their parents, but in most cases parents are not comfortable while sharing this information with their children. By providing the children with sexual information they can deal with the stresses related to different sexual activities and can make responsible decisions. Therefore sexual education is made a necessary part of our education system to avoid young pregnancies and sexually transmitted diseases (Curtis, 2008). Another important issue related to education is whether uniform should be mandatory in schools. According to a research, uniforms should be mandatory for all the students as it represents the school’s image and esteem. The school uniform eliminates the gap between financially advantaged and disadvantaged students and it has been reported that 65% students

Wednesday, September 25, 2019

Conditioning and habit Research Paper Example | Topics and Well Written Essays - 1500 words

Conditioning and habit - Research Paper Example The responses that come up if practiced elaborately lead to habits which become subconscious responses elicited by an individual. There are many instances in our life where in we acquire so many new things. These experiences form a very important part of us and also determine to a very large extent how we analyze and assimilate the new information with the existing knowledge base that we have. Examples of such instances are a child learning a new language with a help of his grandmother, or perhaps a girl who has just started to ride on a two wheeled bicycle. Another example could be that students reacting with a particular response in presence of authority. All these instances tell us that we â€Å"learn† certain things and hence we acquire the knowledge that is coming our way to benefit us in the present or in the coming future. Michael and Modell (2003) define learning in their book Active Learning in Secondary and College Science Classrooms: A Working Model for Helping the Learner to Learn as a change in behavior that results from the learner’s interaction with the environment. There are some important things that have to be understood when we talk about learning. These form the basis for a concrete understanding about the concept at hand. All kinds of learning happen on the basis of the foundation made by already acquired skills and concepts. Whatever we come across, we take in the information as a raw data and then we incorporate the data into the concepts of the innate knowledge base that we have and learn new things. We can also illustrate another fact from the aforementioned premise that if the prior knowledge base is faulty, the acquisition and assimilation of the new concepts and schemata will be compromised. This leads to learning of information that is not accurate and taking into consideration all the aspects interplaying between the stimulus and the response (Fox, 2005). Of all the things we learn, we divide the whole information int o two definitive parts. These parts can be understood in terms of â€Å"what† we learn and â€Å"how† we learn. The process of acquiring both these concepts is also different. An example to illustrate this can be a preparation of Thai cuisine recipe. In this example, we note that there is a set particular group of ingredients to be used for the recipe to taste as it really should and it also entails a set particular way to make the dish. We need to learn the ingredients as well the way to go about mixing them together, differently in order to truly do justice to the cuisine at hand. The â€Å"what† of the learning phenomena is termed as declarative learning and the â€Å"how† are termed as procedural learning. Acquiring declarative knowledge entails a sound building of mental representations or models. These models form the crux for knowing the exact constitution of the things that make up a task and hence guides us with the way to perform the task in an effective manner. The manner with which the task is to accomplished has to be learned in standard way. This standard way is exactly the way which is reliable and valid. Therefore, to acquire such a standard process, practice is very important. This practice should be coupled with timely and appropriate feedback. By feedback, we actually mean that an appropriate response should be accompanied with every action that we perform (Jarvis, 2005). If the response is painful or aversive we tend to forget the

Tuesday, September 24, 2019

In cold blood pt.2 Essay Example | Topics and Well Written Essays - 500 words

In cold blood pt.2 - Essay Example They are lodged in separate jail cells in the same building. During the course of next rounds of questioning, the evidence is put forth. The sets of footmarks taken at the scene of crime are similar to those of two pairs of shoes in the possession of the two accused. In panic, Dick breaks down and names his friend of the murders. The people of Holcomb take the developments of the case leading to the arrest of two men stoically. They have doubts whether they are to be blamed for the murders exclusively. Truman Capote writes about their mixed feelings, â€Å"Some day they’ll get to the bottom, and when they do they’ll find the one behind it. The one wanted Clutter out of the way. (231) Once the detectives succeed in creating confusion between the two accused on the basis of the evidence in their possession, they have achieved the obvious. Both the accused become suspicious about each other and wish to save one’s own skin and escape from the clutches of law. Look a t the plight of Perry en-route to Garden City when Dewey, the Chief Investigator, mentions to him the episode of the bicycle chain killing. In cold†¦.2 Perry concludes that Dick has made a clean slate of the issues. He panics and makes a detailed confession and avers that of the four Dick is responsible for two killings. The sequence of events was: The duo reached River Valley, being sure that Clutter kept a safe with 10 thousand dollars.

Monday, September 23, 2019

DB 6 Research Paper Example | Topics and Well Written Essays - 750 words

DB 6 - Research Paper Example Deposits refer to clients’ money that are kept with the bank while borrowings are cash and cash equivalents that a banking institution may borrow from other sources such as other commercial banks and the Federal Bank (Union Bank, 2011). Liabilities of a magazine publisher, like those of a newspaper publisher, are however diverse and can be explored in terms of current liabilities and long term liabilities. Current liabilities of the form of business organization are creditors, accrued payroll, prepaid subscriptions, accrued expenses, and outstanding taxes. Portions of long term debts and lease liabilities that falls due in a given accounting period also form part of the publishers’ short term liabilities. Long-term liabilities for the form of business include â€Å"long term debt and capital lease obligations,† â€Å"pension benefits obligations,† â€Å"post retirement benefits obligations† among other long-term commitments (New York Times, 2012, p. 55). Current liabilities of a departmental store such as Macy’s departmental stores however include â€Å"short term debt,† â€Å"merchandise accounts payable,† â€Å"accounts payable and accrued liabilities,† â€Å"income taxes and differed income taxes† and outstanding taxes while long term liabilities are long term debts, outstanding taxes and other forms of long term liabilities (Macy’s, 2012, F-5). Borrowings and outstanding taxes are the common types of liabilities for the three forms of organizations while accounts payable, accrued expenses, accrued liabilities and long-term debts are common elements among magazine publishing organizations and departmental stores. Deposits are however unique for a banking institution while prepaid subscriptions are unique for a magazine publishing organization’s balance sheet and merchandise accounts payable is unique among departmental stores (Union Bank, ; New York Times, ; Macy’s, ). Project 2: A report for Alcenon’s management The Corporation leases a large percentage of its operational assets. The choice to make operating leases as opposed to capital lease has aimed at keeping lease debts out of the organization’s balance sheet in order to attain low debt rations in financial reports. Alcenon is currently negotiating a 10-year-lease on an asset whose anticipated useful life is 15 years. Terms of the lease requires ten annual lease payments at $ 20000 per year. The first installment is due at the beginning of the lease term and the value of the leased asset is $ 135180. There is no provision for transfer of title to the lessee and no provision for bargain purchase. Decision into accounting for the lease as an operating lease must however be based on accounting and legal provisions that the management must be informed of. This report explores relevant provisions to accounting for the lease and makes recommendations to the management. Accounting co ncepts for professional and legal regulation of accounting for asset lease differentiate between capital lease and operating lease and knowledge of the differences must be identified before the corporation classifies the lease. One of the factors that the management should consider is the lease duration relative to the asset’

Sunday, September 22, 2019

The History of Nasa Essay Example for Free

The History of Nasa Essay NASA has done many amazing things. From putting the second man in space to putting the first and second man on the moon. NASA truly has a great history. Project Mercury was the first American human spaceflight program. It’s goal was putting a human into orbit around the Earth. And they wanted to do it before the Soviet Union. Though they were not able to do that before the Soviet Union, they still put a human into orbit. Alan Shepard became the first American astronaut aboard Freedom 7. Project Mercury was the start of many great things. Project Gemini’s objective was to develop space travel skills. This would help in the Apollo missions with the goal of landing a man on the moon. Gemini missions would be able to carry two men. Gemini 3 was the first manned mission in the Gemini program. Nicknamed Molly Brown, Gemini 3 completed the 7th manned spaceflight in the United States and the 17th manned spaceflight overall. The main goal of this mission was to test the new, maneuverable Gemini spacecraft. While in space, the crew fired the thrusters to change the shape of their orbit, slightly shift their orbital plane slightly, and drop to a lower altitude. Some firsts achieved by this mission were: two people flew on an American spacecraft together, and this was the first manned reentry where the spacecraft produced enough lift to change its touchdown point. Gemini 4 was the second manned spaceflight in Project Gemini. Gemini 4 circled the earth 66 times in four days which made it the first American flight to approach the 5-day flight of the Soviet Vostok 5. Although that was great, the greatest accomplishment of this mission was when White made the first spacewalk by an American. White floated free outside the spacecraft for about 20 minutes. Both of these accomplishments helped America overcome the Soviet Union’s early lead in the Space Race. Gemini 5 was also an important mission. This was the mission where the US beat the Soviet Union’s record of 5 days for the longest amount of time spent in space on August 26, 1965. L. Gordon Cooper, Jr. and Charles Conrad, Jr. spent almost 8 days in space beating the record by over 2 days. Gemini 7 included Jim Lovell and Frank Borman On December 4, 1965 Gemini 7 blasts off for space. While they are in space, Gemini 6 is waiting by the launch pad while Gemini 7 waits in space. Some problems occur with Gemini 6 but are resolved in less than 3 days. Gemini 6 launches into space on December 15. Gemini 6 and 7 are planning to fly just inches apart from each other in formation. They fly in formation for 270 minutes, 3 orbits around  the earth. After this, Gemini 6 returns home. Gemini 7 must complete their 2 week mission and then they returned home. This was NASA’s longest mission in space at the time. On June 3rd, 1966 Gemini 9 launched into space. Gene Cernan had to test out a new jetpack but by the time he got it on he was too exhausted to fly with it. Buzz Aldrin was the next to attempt a space walk. Aldrin succeeded and spent more that 5 hours walking in space. Because of Apollo 1, America lost some good men. Ed White, Gus Grissom and Roger Chaffee were all killed during a simulation. There was fire due to a spark in the wire which caused oxygen to catch on fire. They were not able to get the door open fast enough and these three men were all killed. Apollo 7 then takes their mission with a redesigned and much safer capsule. Apollo 11 has to be one of the most important missions of all time. Apollo 11 included Neil Armstrong, Buzz Aldrin, and Michael Colinn. Their goal was to walk on the moon and they succeeded. Neil Armstrong took the first step on the moon. 15 minutes later Buzz Aldrin became the second man on the moon. The two men spend just over two hours on the moon. With the huge goal of walking on the moon completed, NASA now needs to learn more about the moon. Apollo 12 spent about 8 hour just collecting moon rocks. They ended up collecting 75 pounds of moon rocks. NASA is testing a new shuttle. On february 18, 1977 the space shuttle takes off and lands successfully. There were 31,000 thermal tiles on the shuttle when it took off to protect it. But when it landed they discovered many tiles had fallen off. NASA must develop efficient models before they can actually use the shuttle for missions. After 4 years of testing, the shuttle is finally ready. The first shuttle mission took with it John Young and Bob Crippen. Something that everyone was worried about was that once the rocket boosters were lit, the shuttle was committed to flight. But everything was fine. On April 12, 1981 it took off, orbited the Earth 36 times and landed safely. Crista McCaliff was a social studies teacher and was going into space. On January 28, 1986 the Challenger took off for space, but it never made it.  The Challenger blew up only 73 seconds after lift-off at 67,000 feet in the air. This was the first time NASA lost astronauts in a mission. No spacecraft flew until two years later. Hubble is a super powered telescope that was put into space. Only when it got into space did they realize that it had a big problem with the mirror. Also, there were problems with the solar panels. Without those, Hubble wouldn’t work. After these problems, they sent a repair crew into space. They fixed the problems and Hubble was open for business. Next up, the International Space Station. Russia carried up the first part of the space station in November, 1998. In December the first part that NASA built goes up. The two parts connect in space. The estimated cost for the International Space Station was $170,000,000,000. On January 16, 2003 Columbia is scheduled for lift-off. They make it into space fine but what nobody knows it that something hit the craft during take-off and made a hole in the craft. This wasn’t a big problem until re-entry when the hole caused the craft to explode taking the astronaut’s lives with it. NASA has done many amazing things over the years and they will continue to do many more. These events were some of the most important things to happen in the history of spaceflight and exploration.

Saturday, September 21, 2019

The Types Of E Commerce

The Types Of E Commerce Emergence of internet over the past few years has changed the trends of business world at exponential rate. Now world has become a Global Village which means what used to be a single physical market place located in one geographical area has now become a border-less marketplace, attracting customers and businesses from all over the world. It provides businesses with many advantages for instance setting up an online business is less costly since it doesnt require physical infrastructure for a shop, a business can operate 24 hours a day, 7 days a week and 365 days a year, these long working hours helps businesses generating more profits. It also offers businesses to try new product lines and marketing strategies in cost effective way. The biggest advantage of online business is that even small businesses can compete with international corporations since consumers cannot figure out the actual size of firm. E-commerce can be defined in different ways: E-commerce refers to various online commercial activities focusing on commodity exchanges by electronic means, internet in particular. Zheng Qin (2009) , Introduction to e commerce, Page 7 E-COMMERCE refers to the paperless exchange of business information using electronic data interchange, electronic mail, electronic bulletin boards, electronic funds transfer, world wide web, and other network-based technologies. E-COMMERCE, The Cutting Edge of Business , Second Edition (2005) by Kamlesh K Bajaj and Debjani Nag E-COMMERCE is the use of telecommunications and computers to facilitate the trade of goods and services E-commerce by S. Pankaj (2005) page 3 Types of E-commerce There are Four Main Types Of E-commerce Model: 1) Business to Business (B2B) B2B can be define as commerce transactions between businesses, such as transactions between a wholesaler and retailer. 2) Business to Consumer (B2C) As discussed in class lecture, B2C refers to a commerce transaction between business and individual rather then a company or Businesses selling to the general public for example Dell computer which sells directly to general public through website. 3) Consumer to Business( C2B) C2B is a reverse form of business to consumer, in C2B the commerce transaction take place between consumer and business, for instance Elance.com, which allow individuals to place their requirements on a website within hours companies review the project and make bids on a project then consumer review the bids and select the company with most suitable bid. 4) Consumer to Consumer (C2C) C2C is simply a commerce transaction between consumer to consumer, manay auctions webistes allow consumers to interact with other consumers to buy and sell all sort of items for example Ebay.com, Amazon.com. Above mentioned types of E-commerce clearly shows that electronic commerce is becoming the back bone of transactions at every level for both businesses and consumers. The impact of this emerging trend has changed the fundamentals of supply chain management by redefining the way in which consumers select, purchase and use products and services. E-commerce has also provided companies with opportunity to work more closer to customers what we call consumers intimacy which allow companies to shape their innovation process with changing demand of consumers. Classifications of Business-to-Consumer (B2C) E-Commerce: As described by Deborah Morley Charles S. Parker(2010) With the business to consumer model, businesses sell goods or services to individual consumers. The B2C model was one of the first major types of e-commerce business models to be defined and implemented using the Web. Some example of B2C businesses include Amazon.com, Walmart.com, Overstock.com, and BestBuy.com. There are two main types of B2C E-Commerce: 1) Direct Sellers Direct Sellers are those companies which provide products or services directly to consumers. The important factors that contribute towards the success of B2C e-commerce are Direct Selling experience and consumers database. There is a limit to amount of information that can be communicated through catalogs but internet offers a powerful medium by which direct sellers can provide consumers with thousands of products with detailed description and high-quality visuals. Example: Dell Computers 2) Online Intermediaries Online intermediaries are companies that facilitate transactions between buyers and sellers and receive a percentage of the transactions value. For examples Internet Service Providers( ISP). Supply Chain Management An electronic alternative to the traditional paper chain, providing companies with a smarter, faster, more efficient way to get the right product to the right customer at the right time and price. Combines the power of the Internet with the latest technology, enabling participating suppliers to access up-to-date company information and enabling companies to better manage and track supply and demand http://www.geemultimedia.com.au/glossary.asp IMPACT OF E-COMMERCE ON AIRLINE INDUSTRY: The blessings of Internet have been observed the most by Airline Industry and as a result of it Airline ticket sales now comprise of the largest portion of all product sales made online. This is because e-ticketing is beneficial for both the airlines as well as the travelers. Traditionally the only options available to a passenger were either to buy tickets from a travel agency or from airport. But now with the advent of Internet, airlines have used tool like e-distribution system. An airlines costs can be divided into following two parts: Direct Operating Costs- which includes aircraft, its fuel and salaries of the staff Indirect Operating Costs- which is the distribution cost. The direct operating cost will remain more or less fixed while there is room for saving on indirect cost. This is where e-commerce can play an important role by integrating all business units and efficiently managing logistics. The major components of indirect cost for airline industry includes Sales office, Reservation system ,Travel agent fees,Ticketing fees Promotion and advertisements. Previously, airlines payed commissions to travel agents for selling their tickets, in addition money was also spent on setting up of sales office and staff salaries. Extra capital was used for printing and issuing of tickets. To cut down the operating cost airlines had to turn to e-ticketing to limit their sales offices and reduce their dependency on sales agents. Every airline has now setup their own website offering online booking facility. This also allow Airlines to promote different marketing strategies through web site which gives them more chance to attract new customers. Through the use of e-commerce and development of websites airlines has integrated all the parties involve in a business process for instance tourism business industry can link up with airline website using the integrated information system so that they can get the real time data through share database about the customers booking for their hotel along with the airline tickets. Online sells has also extended the business hours for airlines since customers can do online bookings round the clock and thus throughout the year. While passengers have the luxury of scheduling their own flight in a matter of few clicks saving both time and money. Conclusion: E-commerce has revolutionized the business models. Trading online enables businesses to reach much wider audience while cutting the costs of traditional retailing methods. It also provide businesses with long working hours and minimum human capital. E-commerce allows businesses to better understand and meet the demands of customers, working more closely with them by managing databases, resulting in better supply chain management activities and efficient logistics. E-commerce has also changed the way customers learn , select, purchase and use products and services, providing them with more personalized experience ever and by cutting the middle man out businesses have provide consumers with fast processing and close interaction with company.

Friday, September 20, 2019

Overview of the Culture in the Philippines

Overview of the Culture in the Philippines Andy Kristian Gorgonio, Billy Redick, Reece Camacho The Philippines is a country rich in culture, history, economy, and government. The Philippines is filled with culture, practices, and ways of respect that some westerners may find odd and weird. The history of Philippines is filled with occupations, freedom, facts, etc. The economy of Philippines once successful until the Filipino Downfall in the 60s. Before the late 15 Century had no real religion except for the Visayans until the Spanish when the brought the Spanish Inquisition. The Government was complicated from Visayan Kingdom Era (Visayan is the Major Tribe which was similar to the Eastern Government System like Chine (China at the Time), Kingdom of Korea [Gyeorgary Era], and Empire of Japan), to Spanish Philippines, to Republic of Philippines, to American Territory of Philippines, to Japanese State of Philippines, to Republic of Philippines. The Philippines is filled with amazing information. In the Philippines, we have many stories and signs of respect to offer. The Philippines has few folk tale stories with lessons, White Street Lady is completely covered in white drapes standing on the side of a road and if you dont stop for her, you will see red eyes right before you die, lesson, be kind, Duende or Filipino Version of leprechaun, give him food and in a few days youll find his pot of gold,lesson, be nice and youll be rewarded, and lastly, Filipino Version of Mermaid, it will be the most beautiful person youve ever seen, but come to close and shell pull you into the water and drown you until you die, she will then eat your remains, lesson, dont get caught up will lust and beauty, it will consume you, (In this Case, Literally). We also have our ways to show respect such as Blessing Elders, Praying before eating, and taking off your shoes before entering a house. During eating, we eat like a normal American except for the fact we eat rice in every meal. Culture is an impo rtant and vital thing in an average Filipino and a Filipino Identity. The economy of the Philippines is a quite disappointing story. Once the Philipines freed itself in 1945, right after (WW2) was the wealthiest country in all of Asia. Korea was rebuilding from the Japanese and a crisis is brewing between Communist North and Capitalist South, China is going through a civil war, and Japan was rebuilding from the war and paying for the war to the allies, the others are still colonies or going through a independence war (Indochina[Vietnam, Cambodia, and Laos], British Raj [India, Pakistan, Bangladesh and Myanmar/Burma], British Malay[Malaysia], Dutch Indonesian [Indonesia]. It continued to prosper becoming the first Asian Nation to have a public International Airport and invented many things and prospered until the end of Marcas Reign in the 70s. Now people say Marcus was a dictator but thats not true, after him corruption went through the roof crashingÂÂ   the industries and then Singapore, China, S. Korea, Japan, Hong Kong, and Taiwan quickly took its place and continued to fight until the 4 remaining formed the Four Asian Tigers, Japan, South Korea, Taiwan, and Singapore. However a man similar to Marcus named Deturte, some experts say with him, Corruption has gone down by a huge margin and soon join the Asian Tigers. The Filipino Government changed many times especially in the past 100 years. It started before the Spaniards, the biggest tribe was the Visayan Kingdom(Visayan is the Major Tribe which was similar to the Eastern Government System like Chine [China at the Time], Kingdom of Korea [Gyeorgary Era], and Empire of Japan) Philippines became the Spanish Colony of Philippines. Then after an independence war which Created the Republic of Philippines the Philippines was quickly surprised when their previous ally ,US, said that they were part of the US and had the Philippine-American War which made the Philippines a US Territory this made the Republic of the Philippines into the American Territory of the Philippines. The US promised to release the Philippines in 1940 but was delayed to a little thing called World War 2. In 1945 after the war the Philippines was independent again as a Democratic Nation. The Philippines is a beautiful, independent, and free nation. We mustnt forget our culture for that is where we came from, no matter what the culture.ÂÂ   May Pearl of the East live in prosperity and freedom til the end of time like how it has been. The country is filled with rich culture and history.

Thursday, September 19, 2019

Night in William Shakespeares A Midsummer Nights Dream Essay examples

Night in William Shakespeare's A Midsummer Night's Dream One of the recurring themes throughout Shakespeare’s A Midsummer Night’s Dream is the time of day during which the play’s major action takes place: night. This being the case, there are certain words that are directly linked to this theme that appear numerous times throughout the script. Four such words are â€Å"moon,† â€Å"moonlight,† â€Å"moonshine,† and â€Å"lunatic.† Each comes from a feminine root that serves to identify the women in the play as prizes to be won and controlled. It becomes clear when looking up the term â€Å"moon† in the Oxford English Dictionary that the word is associated with the feminine. â€Å"In poetry,† for instance, â€Å"the moon is often personified, always as female†¦Ã¢â‚¬  (1050). It is important to note that the play upsets traditional cultural customs in this regard, for â€Å"May was the time of female fertility over which the moon presided, but the play begins with an image of lunar age and sterility, a ‘dowager,’ a ‘cold fruitless moon’† (Paster and Howard, â€Å"Popular Festivals†¦Ã¢â‚¬  93). It is possible that Shakespeare applied such images intentionally to make it clear to his audience that the women in this play are not as free as the May Day festivities might make them out to be. The female fertility that is expressed freely in Shakespeare’s blend of May Day and Midsummer’s Eve is outside of the controlled realm of marriage. Instead of the un restrained women that both holidays celebrate, however, Shakespeare bookends the play with a woman tamed by a man. In the first scene, the moon is spoken of by Theseus and Hippolyta as a measurement of time when Theseus announces, â€Å"†¦four happy days bring in / Another moon: but, O, methinks, how slow / This old moon wanes! She linger... ...more. Works Cited Brown, Lesley, ed. The New Shorter Oxford English Dictionary. 5th ed. Oxford: Clarendon, 1993. ""moon," "moonlight," "moonshine," and "lunatic"." Shakespeare Concordance. 23 Feb. 2006 . Paster, Gail Kern, and Skiles Howard. "Female Attachments and Family Ties." A Midsummer Night's Dream: Texts and Contexts. Ed. Gail Kern Paster, and Skiles Howard. Boston and New York: Bedford/St. Martin's, 1999. 192-264. ---. "Popular Festivals and Court Celebrations." A Midsummer Night's Dream: Texts and Contexts. Ed. Gail Kern Paster, and Skiles Howard. Boston and New York: Bedford/St. Martin's, 1999. 89-99. Shakespeare, William. "A Midsummer Night's Dream." A Midsummer Night's Dream: Texts and Contexts. Ed. Gail Kern Paster, and Skiles Howard. Boston and New York: Bedford/St. Martin's, 1999. 1-86. The Oxford English Dictionary. 2nd ed. 1989.

Wednesday, September 18, 2019

The Writings of John Updike :: Biography Biographies Essays

The Writings of John Updike      Ã‚  Ã‚  Ã‚  Ã‚   John Updike's Rabbit books tell the story of a man whose life is in constant turmoil. Harry "Rabbit" Angstrom's downward spiral started the day his senior basketball season ended. Rabbit was a basketball jock; he knew nothing else. He married his high school sweetheart more out of convenience than love and worked in the same printing press as his father. Rabbit couldn't face the working world, couldn't face his parents, and couldn't face his wife and son. He was constantly caught somewhere in the middle ground between righteousness and sinful pleasure. Rabbit's mind was constantly wandering, searching for something he could hold on to, something that would remain constant through the thick and thin of life. He needed another basketball.    Rabbit's life is the perfect model for a case study on how not to live. Anything appealing that entered his mind, he did it. Rabbit cheated on his wife, ignored his mother, was unaffected when his wife left him, took up with an eighteen year old girl when he was well into his thirties and did not attempt to hide any of it from his twelve year old son, Nelson. Rather than getting tough when times were hard, Rabbit ran. He ran from a pregnant wife, Janice, from Nelson who was then twelve, from employment, from his parents, from everything. Rabbit practiced the opposite of perseverance. When life wasn't going well, Rabbit simply moved on to something else.    Rabbit matters because he was so wrong. Our thoughts often mimic Rabbit's actions. But Rabbit takes the heat for us. His twisted, perverse life shows us that the choices he made were the wrong ones. Not to imply that he was in any way godly, but like Jesus, Rabbit suffered for our sins. How many times do we find ourselves bored in life, wishing that we could just move on to something else, give up and start over? Each time we do, we can remember Rabbit. Rabbit reminds us that without work, life is not fulfilling. He shows us that you can't start over, that you can never leave your life behind.    Rabbit shows us that we have to live with our mistakes, that we can't just act like they never happened. Rabbit tries to run, but he can't. He reminds us that people don't just forget and move on.

Tuesday, September 17, 2019

Ancient Discoveries: Troy Essay

This report covers a brief historic background on the discovery of the Hisarlik site of Troy; Heinrich Schliemann (refer to figure 1.), its discoverer and his methodologies whilst excavating the site. It focuses primarily on his second campaign, the most famous of the five- and his lack of scientific archaeological structure whilst excavating, rather using philological and relative dating methods; mistakes as a result of careless excavations, and the legacy it has left on history and archaeology of Troy till this day. As a child, Heinrich Schliemann had an obsession with Homer’s epic cycles/poems the Iliad and the Odyssey. After cornering the market at the age of 41, he became a millionaire and retired from merchantry to pursue his love of archaeology, committing to proving the actual historicity of the â€Å"Trojan War† and the Homeric city of Troy. (Refer to figure 2.) Schliemann had a good idea of where to begin looking. In 1868, Schliemann journeyed to Greece and Asia Minor in search of the lost city, travelling north-west Turkey to examine both mounds Bunarbashi and Hisarlik. Because, according to Greek myth, the general Agamemnon collected his force in Aulis, a site on the eastern shores of Greece, Troy must have lain to the east of Greece. The Iliad mentioned that Mount Ida was visible from the walls of Troy, but from Bunarbashi the mountain could not be seen. There were also a number of topographical discrepancies such as, the distance from the sea being eight miles where Schliemann approximated from the text that it should not be more than four. Using geographic clues from his copy of the Iliad, Schliemann discovered another hill near the village of Hisarlik that seemed to fit Homer’s description. Schliemann’s decision to excavate at Hisarlik was confirmed after incurring a preceded theory by British archaeologist, Frank Calvert that Hisarlik was indeed the ancient city of Troy. Calvert had been working on the mound for over 20 years and had acquired half of the hill but lacked in finances to pursue further investigations on the site, so he decided to confide his archaeological findings with Schliemann, gaining collaboration with the rich benefactor in uncovering Troy. (Refer to figure 13.) The exact location of Troy (or Ilium) was lost after 400 B.C., and over the centuries the site was buried under many layers of earth, however fortunately preserving the site for its future excavations. Schliemann was to excavate Hisarlik during five separate campaigns: Mycenae (1876-78), Ithaca (1878), Orchomenus, Boeotia (1881-82), and Tiryns (1884-85); but it was the second one of 1871-1873 which proved to be famous. Ruins were uncovered soon after the excavation began at Hisarlik. Nevertheless, Schliemann was perplexed by the complexity of the mound, whose stratification resulted in the discovery of four superimposed towns (later excavations revealing nine cities). (Refer to figure 3.) To get to the supposed level of Homer’s Troy, Troy II, he dug vast trenches through the entire mound, unceasingly demolishing later structures and crucial historical evidence- his reason being that he thought it was built later than Homer, and was therefore in the way. Schliemann mentions employing large numbers of local labourers on the site, which varied from 80-125 men at a time using crude pickaxes, spades, and wheelbarrows to dispose of â€Å"intervening rubble†. On his way through the mound he destroyed the foundations of a large building. Completely ignoring all the layers which clearly revealed a variety of different settlements, he continued to dig- removing an estimated 325,000 cubic yards of earth. (Refer to figure 4.) Priam’s Treasure (refer to figure 5.) consisted of 8700 pieces of golden pendants, earrings, bracelets, rings, diadems, cups, salvers, cauldrons, vases; however Schliemann’s account of finding the treasure unfortunately is believed untrue. His fixation to reach what he considered to be â€Å"the real troy† was so intense as to render him cataloguing some of the more interesting finds even if his dating was totally wrong. Subsequent checks of dates/events do not support Schliemann’s claims. For example, Priam’s alleged Treasure was assigned to Troy II, whereas, we now know from Wilhelm Dà ¯Ã‚ ¿Ã‚ ½rpfeld’s later excavations that King Priam would have reined Troy VI or VIIa, which occupied hundreds of years later. (Refer to figure 6.) Unlike many of his scholarly contemporaries, Heinrich Schliemann regarded the stories of the ancient Greek poet Homer as being literally true. He used this as the basis of dating all artefacts obtained from the dig, essentially using philology as a method of relative dating. In an analogy to philological methods, he used the term â€Å"comparative archaeology† to his system as early as 1880, pointing out in a letter: â€Å"In its way comparative pottery is as important as comparative philology.† His diaries, such as Troja, (refer to figure 7.) reveal detailed records containing sketches and accounts of all the finds- geological, botanical, and meteorological observations. However, Schliemann worked in an era when archaeology was mostly treasure-hunting. Only some of the most advanced archaeologists were beginning to understand that excavation is a destructive process- It must be done slowly and carefully, while recording detailed information, to learn as much as possible. When Schliemann began excavating, there was no accepted practice existed for archaeological fieldwork. Stratigraphy had been observed and understood in the Danish peat bogs, the Jutland barrows, and the prehistoric Swiss Lake dwellings, but Hisarlik was the first large dry-land man-made mound to be dug. Schliemann was no pioneer of the rudimentary scientific archaeology and did not adhere to a scientific method when carelessly excavating Troy. Later on as his career progressed, he eventually enlisted the help of specialists such as Rudolph Virchow (pathologist, anthropologist, pre-historian, biologist), Archibald Sayce (linguist), Max Mà ¯Ã‚ ¿Ã‚ ½ller (German philologist and orientalist), and Wilhelm Dà ¯Ã‚ ¿Ã‚ ½rpfeld. Wilhelm Dà ¯Ã‚ ¿Ã‚ ½rpfeld, a famous architect can be accredited for teaching Schliemann archaeological method, specifically how to dig stratigraphically at Troy, majorly assisting with Troy’s stratigraphical dating methodology (and after Schliemann’s death was able to determine that Troy VI, not Troy II was most probably Homer’s Troy). Ironically, Dà ¯Ã‚ ¿Ã‚ ½rpfeld joined the team around 1882, once Schliemann had already mass-destructively excavated Troy layer-by-layer from top through to bottom. It was then that Schliemann realized that he had gone too far because the settlement at the Hisarlik site predated Troy II by 1,700 years, however all in vain as irreversible damage done to the stratigraphy meant the loss of its multiple cities. A popular tourist attraction, this can still be seen today in Turkey at the ruins of Troy where walls from different historical periods have been excavated. (Refer to Figures 8 and 9.) Many other archaeologists followed Schliemann, conducting more methodical and scientific excavations of lands surrounding the Aegean. Recent archaeology of the classic civilizations of Europe has concentrated on the lives of common citizens. American archaeologist David Soren, for example, led a research team in the 1980s in southwestern Cyprus. Soren and his team reconstructed the events of a powerful earthquake that struck the Roman port of Kourion in AD 365. Soren’s team uncovered collapsed buildings in which entire families had been buried in their sleep. Despite Schliemann’s controversial reputation as a fraudulently cunning and amateur archaeologist among historians, his discovery and excavations of Troy has left a legacy on historians and archaeologists today. More importantly, Schliemann revived the lost interest in Ancient Greek societies and was one of the first popularisers of archaeology. With his books and dispatches to The Times, the Daily Telegraph and other papers he kept the world informed and excited by his archaeological discoveries as no one had done before. (Refer to figure 14.) Most scholars considered Homer’s stories of the Trojan War to be just Myths. (Refer to figure 12.) By excavating Hisarlik, Schliemann successfully disproved them; although his work raised more controversy over the existence of troy and the authenticity and historicity of Homer’s Epic poems/cycles among historians [i.e. Michael Woods] (refer to Figure 11.). This has lead on to a legacy of excavations to be held at Troy till this day (Refer to Figure 10.) including those of Dà ¯Ã‚ ¿Ã‚ ½rpfeld, Carl Blegen, and Manfred Korfmann who all proved evidence of occupation/activity on the site from findings of skeletons, helmets, bronze weaponry as described in the Iliad; with the help of University knowledge and more advanced technology which helped draw conclusions of more accurate stratigraphy dating of the cities and artefacts. If the Trojan War is accepted as an authentic event in history, there are many opinions divided over the subject of the wooden horse leading to Troy’s downfall. Cline, a Bronze Age scholar, has suggested that the Trojan Horse could have been a reference to an earthquake, since Poseidon- the sea god also known as â€Å"Earth-shaker†- had the horse as his particular animal. (Refer to figure 16.) As mentioned earlier, Schliemann worked in an era when archaeology was mostly treasure-hunting, but he had successfully demonstrated the value of archaeology for historical purposes, being the first person to test an ancient myth by excavating an archaeological site. He discovered Homeric Troy as well as a citadel that existed long before homer- a prehistoric Bronze Age civilisation in Turkey. Prior to that, historians only recognised 4 empires: Greece, Rome, Egypt, and Babylon-Assyria. Schliemann discovered two new civilisations which lengthened the perspective of history; nearly discovering a third, situated in prehistoric Crete. Because of his errors and mistakes, archaeologists are more wary of archaeological methods of excavation and have improved in preserving/conserving sites whilst excavating. Another contribution to archaeologists was his very careful observation of pottery. In the 1800s, objects such as pottery were only important for display in museum show cases. But Schliemann insisted that pottery, even fragments of unpainted coarse ware, constitute as a historical document/clue. He realized value of pottery for chronological and stratigraphical questions. In an 1873 newspaper, Schliemann wrote â€Å"At any place, where there have been human settlements, we find lots of potsherds, which are far more durable than city-walls or fortification-walls†¦They give us two termini for the date of the enclosing walls: they can neither be older than the oldest potsherds, nor later than the latest.† For example, most historians and archaeologists of the time believed the city of Troy never existed and among the few that did, most deemed Bunarbashi-located a few miles inland from the Aegean sea as the location. Schliemann, not only argued this using philological comparison to the Iliad, but also proved that Bunarbashi could not be the site of troy, because of potsherds-he found no potsherd older than the fifth or 6th century BC. Ancient Greek historians placed the Trojan War variously in our 12th, 13th, or 14th century BC: Eratosthenes to 1184 BC, Herodotus to 1250 BC, and Duris of Samos to 1334 BC. The legacy of Troy has since prompted Hollywood’s â€Å"long love affair† with the ancient world- inspiring the genre of the â€Å"sword and sandal epics†; and continues to be a popular subject that many Hollywood directors attempt to interpret and reconstruct- despite the highly inaccurate facts regarding characters and the series of events plot development. However, they remain imbedded in our mass media and popular culture; varying from 1950s-1960s classics like that of Ben Hur, Cleopatra, Spartacus, The Ten Commandments or the more contemporary editions such as 2004 make Troy starring the likes of Brad Pitt, Eric Bana, Rose Byrne, and Orlando Bloom. (Refer to Figure 15.) In conclusion, Heinrich Schliemann’s discovery of Troy served as a stepping stone in what we know as modern archaeology. He uncovered Troy of Homeric legend and found a new world of recovered history. But the question of if he really did find Homer’s city of Troy, no one can know for sure. Whether or not it is, Schliemann definitely won himself a place in history as the â€Å"father of archaeology’- and his excavations at Troy are still widely studied by many students; who learn from his mistakes in crude methodology as well as adopt his romance for the lost city (or cities) of troy.

Monday, September 16, 2019

James Joyce †A Little Cloud (in: Dubliners) Essay

A Little Cloud has not generated significant critical debate, despite Warren Beck’s unorthodox interpretation of the denouement in 1969. Chandler’s relationship with his son – not with his wife Annie or journalist/ friend Gallaher – could be the crucial, epiphanal element of the story – Joyce portraying a father who is just beginning to ‘learn [†¦] what the heart is and what it feels’ (A Portrait 252), a man whose conscience is awakened, despite his flaws. However, scholars have generally agreed that the ineffectual protagonist abuses his infant son and refuses to take responsibility for his own shortcomings. The story ends with the following paragraph: ‘Little Chandler felt his cheeks suffused with shame and he stood back out of the lamplight. He listened while the paroxysm of the child’s sobbing grew less and less: and tears of remorse started to his eyes.’ (81) Though it’s likely that Chandler is genui nely sorry for having frightened his son, most Joyceans insist that the protagonist cries out of self-pity, that his ‘epiphany’, if he does experience one, is egocentric – of a man who may dream and suffer but who will never ‘produce’. Except for Beck, many veteran Joyce scholars affirm that A Little Cloud develops the famous ‘paralysis’-theme and that it complements, in tone and circumstance, the other pieces which precede the final story, The Dead. Walzl believes that ‘The Dead seems to reverse the pattern of increasing insensibility that Dubliners other-wise traces’ and that no one prior to Gabriel, the protagonist, ‘undergoes a com-parable change or has such an enlightenment’. Similarly, Ghiselin suggests that A Little Cloud fits into the over-all schema of Dubliners by representing the sin of envy. Ruoff asserts that the story ‘describes a would-be artist’s pathetic failure to transcend a narrow existence of his own creation’, and Bernard Benstock’s inter-pretation mentions that Chandler ‘regresses to adolescent self-pity’. Indeed, all focus on Chandler’s ‘sloth, his cowardice, his self-delusion, and his final rage and humiliation’ assert that he is ‘shamed, not ashamed’. But what with Joyce’s use of ‘remorse’? Probably the most important reason for assuming that Chandler is not enlightened by his experience involves several of Joyce’s own statements. A Little Cloud was written in the early months of 1906, when Joyce was 23 and the father of a six-month-old son, Giorgio. But In 1904, speaking about Dubliners, he had told a friend that he wanted ‘to betray the soul of that hemiplegia or paralysis which many consider a city’ (Letters 55). Another frequently quoted letter asserts, ‘It is not my fault that the odour of ashpits and old weeds and offal hangs round my stories’ (Letters 63-64). The combination of ‘paralysis’ and ‘odour’, then, while justified by many details in the works themselves, may have also clouded our perception of scattered, positive sensations which some of the pieces generate. As Gillespie argues, ‘The opinion that this [negative] attitude dominates the final form of the stories [†¦] oversimplifies Joyce’s emotional attitude toward his country and unjustly circumscribes the artistic potential of the work’. Similarly, Garrison observes that ‘Joyce’s explicit statements concerning his artistic intentions in Dubliners are not very useful as a basis for interpretation’. Although Joyce’s defense of his work provided us with an opportunity to clarify his intent, it probably was not meant to narrowly limit or define our reactions as readers. If Joyce at least partially intended the final story, The Dead, as a tribute to the more positive aspects of Dublin culture (Letters II 166), it is not unreasonable to discern a hint of this attitude in A Little Cloud. Joyce once told his sister, ‘The most important thing that can happen to a man is the birth of a child’, and since his only son and first-born child was about six months old when A Little Cloud was begun in the early months of 1906, life circumstances are relevant to this discussion. But such issues do not necessarily help us interpret the story, for Joyce might, after all, have been drawing a portrait of an unfit father. Reviewing the story’s link to A Portrait of the Artist as a Young Man while examining information about the young writer should enrich our understanding of his state of mind, reveal key similarities and differences between Joyce and his protagonist, and test the validity of an alternate reading of this story. In general, Chandler’s disposition is melancholic, ‘but it [is] a melancholy tempered by recurrences of faith and resignation and simple joy’ (68). He is fastidious about his appearance and, probably, careful about his work even though he finds it ‘tiresome’ (65). Joyce also emphasizes Little Chandler’s shortcomings throughout the story. He lives in a ‘little house’, reads by a ‘little lamp’, drinks ‘small whiskies’, displays ‘childish white front teeth’, and is given ‘short answers’ by his prim wife. Joyce invites us to imagine an ordinary man, still capable of a dream, but ruled by circumstances and his own, considerable inadequacies. Joyce employs important imagery which firmly links this story to central Joycean themes: ‘[T]he thought that a poetic moment had touched him took life within him like an infant hope [†¦] A light began to tremble on the horizon of his mind. He was not so old–thirty-two’ (68, emphasis added). Linking ‘infant hope’ with ‘a light’ so early in this story hints at Joyce’s lifelong interest in the ‘consubstantiation’ of father and son as well as procreation in the literary sense (Ulysses 32, 155). By the time Joyce wrote A Little Cloud, both physical and artistic generation had become realities. Of course, the reader soon realizes that Chandler won’t succeed, despite his ‘soul’, for he is not original and hopes to capitalize on popular trends, although he realistically admits that ‘he will never be popular’ and hopes only to ‘appeal to a little circle of kindred minds’ (68). Recalling Joyce’s claim in 1904 that only ‘two or three unfortunate wretches [†¦] may eventually read me’ (Ellmann 163) offers an interesting echo. The location of Chandler’s poetic ‘mood’ is also relevant, for it may be based on one of Joyce’s own experiences. A similar incident occurs at a pivotal point in A Portrait. In Chapter 4, Joyce presents a rare interaction between the protagonist, Stephen Dedalus, and his brothers and sisters during the family tea. Structurally, this scene occurs at an important juncture. Immediately preceding the epiphany of ‘profane joy’ which Stephen experiences on the beach while watching a girl wading, this episode also follows the interview with the religious director of his school, after which Stephen decides not to become a priest. As he walks home to a squalid, over-crowded house, interesting parallels to A Little Cloud occur. Like Chandler, he crosses a bridge, symbolically connected to opposing attractions, but clearly, like Chandler, moving toward a new possibility. Stephen notices a shrine to the Virgin which is ‘in the middle of a hamshaped e ncampment of poor cottages’ (162). Unlike Chandler, however, Stephen does not romanticize the image, for he actually lives here, and he laughs to think of the man ‘considering in turn the four points of the sky and then regretfully plunging his spade in the earth’ (162). Without even a hint of rain, the man must begin work. The cloud image in this scene of Portrait is intentionally delayed. Stephen, the university student, then enters his home and finds his brothers and sisters seated at the table. He realizes the contrast between his privileged position as the eldest son and theirs: ‘The sad quiet greyblue of the dying day came through the window and the open door, covering over and allaying quietly a sudden instinct of remorse in Stephen’s heart. All that had been denied them had been freely given to him, the eldest: but the quiet glow of evening showed him in their faces no sign of rancour.’ (163) After one of his sisters, who is as nameless as Chandler’s son, tells him that the family has once again been evicted, her similarly unnamed little brother begins to sing. The others join in, and Stephen thinks, ‘They would sing so for hours [†¦] till the last pale light died down on the horizon, till the first dark nightclouds came forth and night fell’ (163). But Joyce does not end Stephen’s musings on a negative note, just as he does not seem to end A Little Cloud with a protagonist who pities himself more than his screaming son. Stephen remembers ‘that Newman had heard this note also [†¦] giving utterance, like the voice of Nature herself, to that pain and weariness yet hope of better things which has been the experience of her children in every time.’ (164). Despite their circumstances, the children sing. Faced with the guilt of primacy, the oldest son is forgiven by his brothers and sisters. Again, Stephen’s vision is superior to Chandler’s. He will retain the mood of this experience, be more receptive to future encounters, and sustain an ethos which will allow him to reject home and family to pursue an artist’s life, perhaps with a family of his own making. Stephen is an artist; Chandler only longs to be one. However, in a collection of stories which includes a series of married men who beat children (Mr. Hill in Eveline, Farrington of Counterparts, and Old Jack of Ivy Day in the Committee Room), Chandler faces the truth about himself after merely shouting at his son. His experience prepares us for Gabriel’s, just as the family tea prepares us for the strongest epiphany of Portrait. And, although Joyce would work as a clerk in Rome a few months after mailing A Little Cloud off to the publisher and felt superior to his fellow employees who ‘were forever having something wrong with their testicles†¦ or their anuses’, Chandler, unlike them, is fastidious about his manners and appearance and at least longs for an artist’s life. The first portion of A Little Cloud also reminds us of Joyce’s sentimental, poetic temperament while living in Paris as a medical student from December 1902 until April 1903, wh en he was called home because of his mother’s illness. Stanislaus reports, ‘He told me that often when he had no money and had had nothing to eat he used to walk about reciting to himself for consolation, like ‘Little Chandler’ in Dubliners, his own poems or others he knew by heart or things he happened to be writing then.’ (My Brother’s 231-21) All three have an opennesss to life and desire and are willing to ‘struggle against fortune’. Through the encounter with Gallaher, Chandler appears provincial, timid, curious about ‘immoral’ sexual practices, but he definitely emerges as the better human being, and inches the reader toward sympathy. We can safely assume that, whatever Chandler’s weaknesses, Joyce had an even lower opinion of Gallaher, letting Chandler considering himself superior ‘in birth and education’. (75) Unlike O’Hara, a character in the story who fails because of ‘boose’ and ‘other things’ (70), Chandler is abstemious, employed, married, and a parent (unlike most of the Irish middle class, which was experiencing tremendous economic hardships and either postponed marriage or abandoned it altogether). On the other hand, the reader experiences Gallaher’s inflated ego and patronizing attitude toward ‘dear dirty Dublinâ€⠄¢ and toward his friend. Incapable of the kind of wit which might successfully redeem his position, Chandler is ultimately defeated; however, our sympathies lie not with the victor but with the young clerk and father. Gallaher may have had the ability to ‘fly by [the] nets [†¦] of nationality, language, religion’, an aim to which the protagonist of Joyce’s next major work aspires (A Portrait 203), but he is little more than a bragging, rude scribbler in the worst Swiftian sense. A new notion in the Dubliners tales is that escape from Ireland does not necessarily equal salvation. ‘If you wanted to succeed you had to get away’, Little Chandler thinks, echoing the thoughts of the boy in An Encounter (‘real adventures . . . must be sought abroad’). And yet Gallaher, who got away, has succeeded in only the most superficial sense. Despite having seen London, Paris and heard talk of Berlin, he is shallow, boorish, and alone. The story reveals that Chandler, however remote from being either a poet or the ‘old hero’ which Gallaher initially calls him, remains physically and morally the more appealing character. Still, Chandler himself probably feels anything but heroic, and during the gap between scenes, we imagine him returning, deflated, to his family. Like the dog viewing his reflection in the pond, Chandler drops his bone in envy of Gallaher’s, preferring the exotic narrative not of his own experience. His mood at the beginning of the final scene in the story is reflective, self-pitying, and, ultimately, enraged. However, the intensity of his son’s suffering (‘If it died!’) and the coldness of his wife’s accusation eventually result in unselfish shame and genuine contrition. Chandler’s dreams complement, not dominate, his daily world. Allusion was a serious business in Joyce’s creative paradigm. Despite the irony of a ‘candle-maker’ or ‘candle-seller’ as a failed artist, Little Tommy Chandler’s tears suggest that he has turned from the worship of a false god (Gallaher and, perhaps, Romanticism) to the true religion of hearth and home through the unconscious intervention of his son as savior, as ‘little lamb of the world’. The final clause of the story, ‘tears of remorse started to his eyes’, is precise. Joyce does not write ‘tears of self-pity’; nor does he promote ambiguity by merely saying ‘tears started to his eyes’. When Chandler ‘back[s] out of the lamplight’, he passes the torch to the next generation, genuinely contrite. Unlike Gallaher, Stephen Dedalus, and Joyce himself, Chandler will remain in Dublin, return to his daily tasks, and pay off the furniture. Yet, he may also foster the growth of an artist. He is, indeed, ‘a prisoner for life’, but the prison walls offer the hope of graffiti, for the child represents creativity as well as responsibility, and the story offers an early treatment of a central Joycean theme.