Wednesday, October 30, 2019

Scientific research on the causes of homosexuality Paper

Scientific on the causes of homosexuality - Research Paper Example Genetically speaking, it has been discovered that antibodies in the womb can attack the Y chromosome in an unborn male, causing him to be gay. This normally happens when a woman already has several, several, meaning two or three, â€Å"straight† male sons; her body just builds up an antibody to carrying males, and these antibodies attack the Y chromosome in the unborn male, making him homosexual (Independent). For every prior male brother who is â€Å"straight†, the chances of the next male becoming gay later in life, increases by one third (Independent). This study, conducted by Canadian scientists in 2006, proves that homosexuality in men is of a biological nature and nothing else. Gay men are â€Å"created† (Independent) meaning; they are born with a genetic predisposition to homosexuality. Thus proving that homosexuality is not a choice, but completely biological, even before birth (Independent). Also, it is common that most homosexual males have reported the same feelings concerning their identities and such during childhood. Many say that they â€Å"felt different† at an early age and often had to defend their masculinity (Handbook). They also reported that from a very, very young age, they did not take interest in the same games, toys, clothing, etc. as other â€Å"straight† males their age, and also felt an overwhelming attraction to the same sex, even from as early as 2 to 5 years old (Handbook). These young males reported that they often enjoyed playing with toys made for the opposite sex and also enjoyed wearing clothes of the opposite gender as well. The males said they did not take much of an interest in masculine games, such as sports and â€Å"boy† toys. â€Å"My cousin, who is now an openly gay, nineteen year old male, always collected Barbie dolls,† says Bessie Cherry, an award-winning journalist from Tennessee. â€Å"It was always a question ‘if’ my cousin was going to be gay or no t. He loved to play with toys of the opposite sex, often carried a purse, and wore girls’ jeans and shoes. He was always very interested in things that boys his age were not, like collecting antique dishes and such. He never wanted to play football, like the rest of his male cousins his age. He never wanted to play with ‘boy’ toys, such as trucks and cars; it was always Barbie dolls and ‘girly’ things that he chose to play with instead. When my cousin became a teenager, he was so handsome that so many of the girls his age wanted to date him; but, he wasn’t interested in ‘girls’. He tried to commit suicide, then came out of the closet and told the family he was gay at age fourteen (Cherry).† Suicide contemplation and attempts are very common among young gay adolescent males (Handbook) because they struggle with their sexual identities and feelings thereof, associated with the gay male complex and inferiority they feel for bei ng gay in a society where it’s not always accepted. â€Å"My cousin said that the last thing he wanted was to be ‘gay’ (Cherry). He said it was so hard for him to tell his family that he was gay that he would rather be dead. My aunt said that she believes that homosexuality is also genetically inclined because she knows that her son would never choose to be gay, and that

Monday, October 28, 2019

Improving Health and Wellness in Students Essay Example for Free

Improving Health and Wellness in Students Essay Rising consumerism is a problem that has a profound effect on children today.   Children and adults watch television and are inundated with commercials that urge viewers to buy the latest technological gadgets that replace outdoor activities and exercise.   As well, the latest candy, ice cream, and other unhealthy products are cast in between cartoons that capture children’s attentions and their parents are pressured to please their children and buy them material objects to satisfy them rather than engaging them in healthy activities and studying much of the time. Many parents are working and have little time to spend with their kids, sitting in front of the television together or encouraging kids to quietly play with their gadgets (play stations, computers, and others), so parents can relax may become the norm.   To make up for this lack of involvement many parents guiltily give in to children’s whims and buy them candy and unhealthy food, to save time â€Å"fast-food† replaces a healthy dinner and that much needed time at the dinner table to interact and be involved in their childrens lives. An efficient school program would not only target the youth, but their parents, as well then.   â€Å"Operation Pause the PlayStation† will be aimed at educating parents and children separately on issues involving obesity and other unhealthy behaviors.   It is probable that parents of children, who are not obese, will be less receptive and unlikely to come to these after-school classes. But, it is postulated this involvement program will be less receptive if it were labeled as a program for troubled kids.   Therefore this program will have the contingency that children will not be able to pass to the next grade level unless parents attend (this is fitting as the program should be implemented at the end of the school year before children have summer break and may be more sedentary and involved in unhealthy activities without the benefit of healthy school lunches and physical education). Therefore, parents and children should attend at least three classes that tackle these problems.   Class one should tackle the â€Å"McDonaldization of Society† and demonstrate that busy working families do not mean to do their children harm when settling for fast food, but that fast food is unhealthy and can lead to obesity and/or unhealthy learned behaviors that will follow children into adulthood. â€Å"Giving in† to children and buying them unhealthy food to fill the void that is left from lack of quality time, should also be addressed.   Most importantly, the lack of parental involvement in school activities due to rushed lifestyles should be addressed.   This class will be a sort of forum, as well, not meant to single out any parent, but an opportunity for parents facing the same kinds of strain to network with one another and see that they can be part of a healthy solution. Class two should encompass the overuse of technical gadgets (including television) that interfere with healthy activity.   Teachers of these classes that can be taken from high school level health classes and may choose films or other forms of media that deal with these issues to show that, in a sense, these parents and their families are â€Å"victims† of consumerism. Outside of class, more and more children are watching more and more TV, to the point that they are watching approximately 40,000 TV commercials annually. (The CEO of Prism Communication notes, â€Å"They aren’t children as much as what I like to call ‘evolving consumers’† (Heiner, 2006). Deconstructing these facts that lead to sedentary and possibly unhealthy behaviors in children from a larger, systemic base will, also, help parents to realize that they are not being singled out, but instead part of a consumer culture that demands this type of behavior. While the parents are involved in the first two classes, high school level physical education and health teachers should teach the children about food pyramid and what different foods do to help the body grow and be strong.   They should, also, focus on different exercise techniques that are fun and help to keep children in shape.   The two courses should help children to begin to think beyond McDonald’s and PlayStation and the children will take what they learn and teach their parents. This is what class three should be revolving around, a fun and light-hearted end to the requirement.   Here students will tech their parents what they have learned as far as healthy eating and a better overall lifestyle.   The parents will, most likely, appreciate that their children are making an effort to improve their lifestyles and will continue where the classes left off.   Additionally, there should be representatives from various summer camps and programs that are inexpensive , so that even children in poverty could attend.   The YMCA, Boys and Girls Club, and other organizations should promote what they have to offer at this time and, hopefully the summer will serve as a break from studies, but a beginning to more healthy behavior. In conclusion, problems with obesity and unhealthy behavior are systemic.   We live in a consumer culture that causes both the old and young to sometimes believe that having â€Å"things† is essential.   Hurried lifestyles, as well, from long work hours, and especially in single-parent households may lead to turning to â€Å"fast food† and a lesser interest in school activities.   Competing with friends to have the most up-to-date technology may lead to parents having pressure put on them to provide these unnecessary gadgets and relaxing may start to take the form of television watching or other technological time.   These problems are not unique to any one group, but all parents and all children are at risk.   â€Å"Operation Pause the Playstation†, should help change attitudes on this. References Heiner, R. (2006).   Social Problems: An Introduction to Critical Constructionism.   New York: Oxford University Press. Insidehighered.com.   Advanced Placement Still Ascending.   (2007). Retrieved February 18, 2007 from       http://www.insidehighered.com/news/2007/02/07/ap.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Leone, Peter Drakeford, William.   Alternative Education: From a Last Chance to a Proactive Mode. (1999).   Reprinted with permission of The Clearing House: Volume 3, Number 2, November/December 1999: The Helen Dwight Reid Educational Foundation. Published by Heldref Publications, 1319 18th St. N.W. Washington, D.C. 20036-1802. Copyright 19.   Retrieved February 18, 2007 from http://www.edjj.org/Publications/pub_06_13_00_1.html. Payne, R.   (1996).   A Framework for Understanding Poverty.   p. 59.   Highlands: aha! Process, Inc.

Saturday, October 26, 2019

Internal Medicine :: Medicine College Admissions Essays

Internal Medicine As I grew up in the town of Vallabh Vidyanagar (India), I always had the ambition to become "doctor". As a young schoolboy, my family members encouraged and motivated me to follow my dreams. When I was a child, my grandmother suffered from Heart Failure secondary to Mitral Stenosis. I remember watching the doctors examine her using the "Stethoscope" and I became curious as to what they were listening. I always wanted to put the earpieces in my ears. As I moved to secondary school, my elder sister went on to medical school, and she would often discuss anatomy with her friends at home. This served to heighten my curiosity about the human body. Later I followed in my sister's footsteps and joined medical school. My interest grew deeper when I began to dissect the cadaver. I enjoyed it so much that I used to go to the lab during my lunch break hours. With physiology and biochemistry, I learned how complex and integrated the human body is. Pathology, microbiology and pharmacology together gave me a fundamental understanding of the human body in diseased state. As I began my clinical rotations I found them all interesting; however, medicine always was a favorite of mine. In my final year of medical school, I presented a case study about "Mitral Valve Stenosis with Regurgitation". Among the listeners was my professor, who is also the Chief of the Department of internal medicine. At the end of my presentation, he asked me a few questions about my case study and concluded the session with words of praise. He stated that I was thorough in my history taking and examination and that I analyzed the patient's condition perfectly. I think that it was this personal interest in medicine that has always motivated me to attain excellent marks in Medicine. During my clinical rotations, I saw that internist must be well versed in subspecialty areas such as cardiology and critical care. In addition, the internist must be an expert in the essentials of primary care medicine that incorporates an understanding of disease prevention, wellness, substance abuse, mental health and other non internal medicine subjects. When I was posted in ICU during my internsh ip, my consultant was treating an HIV positive patient for an extended period of time through many ups and downs. I understood then that the internist not only needs extensive knowledge and skill in diagnosis and treatment, but also humanistic qualities of integrity, sensitivity, empathy and compassion.

Thursday, October 24, 2019

A Natural-Resource-Based View of the Firm

There has been an active debate among management scholars concerning the relative importance of internal firm capabilities (e.g., Galbraith & Kazanjian, 1986; Peters & Waterman, 1982; Prahalad & Hamel, 1990) versus environmental factors (e.g., Hannan & Freeman, 1977; Pfeffer & Salancik, 1978: Porter, 1980, 1990) to sustained competitive advantage. Evidence suggests, however, that both internal and external factors are crucial to competitive success (Fiegenbaum, Hart, & Schendel, In press; Hansen & Wernerfelt, 1989).In fact, many recent contributions attempt an integration of the internal and external perspectives under the banner of the â€Å"resource-based† view of the firm (e.g., Barney, 1991; Wernerfelt, 1984). Resource-based theory takes the perspective that valuable, costly-to-copy firm resources and capabilities provide the key sources of sustainable competitive advantage.Without question, the resource-based view has generated a productive dialogue among previously isola ted perspectives (Conner, 1991). However, this theory (like its more limited internal and external predecessors) still contains one serious omission: It systematically ignores the constraints imposed by the biophysical (natural) environment (e.g., Brown, Kane, & Roodman, 1994: Meadows, Meadows, & Randers, 1992).Historically, management theory has used a narrow and parochial concept of environment that emphasizes political, economic, social, and technological aspects to the virtual exclusion of the natural environment (Shrivastava, 1994; Shrivastava. & Hart, 1992: Stead & Stead, 1992).Given the growing magnitude of ecological problems, however, this omission has rendered existing theory inadequate as a basis for identifying important emerging sources of competitive advantage. The goal of this article is, therefore, to insert the natural environment into the resource-based view–to develop a natural-resource-based view of the firm.Accordingly, the first section of the paper revi ews resource-based theory, highlighting the relationships among firm resources, capabilities, and sources of competitive advantage. Next, I discuss the driving forces behind the natural-resource-based view–the growing scale and scope of human activity and its potential for irreversible environmental damage on a global scale.The natural-resource-based view is then developed with the connection between the environmental challenge and firm resources operationalized through three interconnected strategic capabilities: pollution prevention, product-stewardship, and sustainable development. Propositions are then developed connecting these strategies to key resource requirements and sustained competitive advantage. The article closes with suggestions for a future research agenda.THE RESOURCE-BASED VIEWResearchers in the field of strategic management have long understood that competitive advantage depends upon the match between distinctive internal (organizational) capabilities and c hanging external (environmental) circumstances (Andrews, 1971; Chandler, 1962: Hofer & Schendel, 1978; Penrose, 1959).However, it has only been during the past decade that a bona: fide theory, known as the resource-based view of the firm, has emerged, articulating the relationships among firm resources, capabilities, and competitive advantage. Figure 1 provides a graphical summary of these relationships and some of the key authors associated with the core ideas.The concept of competitive advantage has been treated extensively in the management literature. Porter (1980, 1985) thoroughly developed the concepts of cost leadership and differentiation relative to competitors as two important sources of competitive advantage: a low-cost position enables n firm to use aggressive pricing and high sales volume, whereas a differentiated product creates brand loyalty and positive reputation, facilitating premium pricing.Decisions concerning timing (e.g., moving early versus late) and commitmen t level(e.g., entering on a large scale versus more incrementally) also are crucial in securing competitive advantage (Ghemawat, 1986: Lieberman & Montgomery, 1988).If a firm makes an early move or a large-scale move, it is sometimes possible to preempt competitors by setting new standards or gaining preferred access to critical raw materials, locations, production capacity, or customers.Preemptive commitments thus enable firms to gain a strong focus and dominate a particular niche, either through lower costs, differentiated products, or both(Ghemawat, 1986; Porter, 1980). Finally, Hamel and Prahalad(1989, 1994) have emphasized the importance of â€Å"competing for the future† as a neglected dimension of competitive advantage.According to this view, the firm must be concerned not only with profitability in the present and growth in the medium term, but also with its future position and source of competitive advantage. This view requires explicit strategizing about how the fir m will compete when its current strategy configuration is either copied or made obsolete.The connection between firms' capabilities and competitive advantage also has been well established in literature. Andrews (1971) and, later, Hofer and Schendel (1978) and Snow and Hrebiniak (1980) noted the centrality of â€Å"distinctive competencies† to competitive success.More recently, Prahalad and Hamel (1990) and Ulrich and Lake (1991) reemphasized the strategic importance of identifying, managing, and leveraging â€Å"core competencies† rather than focusing only on products and markets in business planning.The resource-based view takes this thinking one step further: It posits that competitive advantage can be sustained only if the capabilities creating the advantage are supported by resources that are not easily duplicated by competitors. In other words, firms' resources must raise â€Å"barriers to imitation† (Rumelt, 1984).Thus, resources are the basic units of an alysis and include physical and financial assets as well as employees' skills and organizational (social) processes. A firm's capabilities result from bundles of resources being brought to bear on particular value-added tasks (e.g., design for manufacturing, just-in-time production).Although the terminology has varied(Peteraf, 1993), there appears to be general agreement in the management literature about the resource characteristics that contribute to a firm's sustained competitive advantage.At the most basic level, such resources must be valuable (i.e., rent producing) and nonsubstitutable (Barney, 1991: Dierickx & Cool, 1989). In other words, for a resource to have enduring value, it must contribute to a firm capability that has competitive significance and is not easily accomplished through alternative means. Next, strategically important resources must be rare and/or specific to a given firm (Barney, 1991; Reed & DeFillippi, 1990).That is, they must not be widely distributed wi thin an industry and/or must be closely identified with a given organization, making them difficult to transfer or trade (e.g., a brand image or an exclusive supply arrangement). Although physical and financial resources may produce a temporary advantage for a firm, they often can be readily acquired on factor markets by competitors or new entrants. Conversely, a unique path through history may enable a firm to obtain unusual and valuable resources that cannot be easily acquired by competitors (Barney, 1991).Finally, and perhaps most important, such resources must be difficult to replicate because they are either tacit (causally ambiguous) or socially complex (Teece, 1987; Winter, 1987).Tacit resources are skill based and people intensive. Such resources are â€Å"invisible† assets based upon learning-by-doing that are accumulated through experience and refined by practice (Itami, 1987; Polanyi, 1962). Socially complex resources depend upon large numbers of people or teams en gaged in coordinated action such that few individuals, if any, have sufficient breadth of knowledge to grasp the overall phenomenon (Barney, 1991; Reed & DeFillippi, 1990).The strategic significance of firms' resources and capabilities has been heightened by recent observations that companies that are better able to understand, nurture, and leverage core competencies outperform those that are preoccupied with more conventional approaches to strategic business planning (Prahalad & Hamel, 1990).However, a firm's commitment to the existing competency base also may make it difficult to acquire new resources or capabilities. Put another way, the resource-based view may lead to an organization that is like the proverbial â€Å"child with a hammer†- everything starts looking like a nail. Technological discontinuities or shifts in external circumstances may render existing competencies obsolete or. at a minimum, invite the rapid development of new resources (Tushman & Anderson, 1986) .Under such circumstances, core competencies might become â€Å"core rigidities† (Leonard-Barton, 1992). In this article, I argue that one of the most important drivers of new resource and capability development for firms will be the constraints and challenges posed by the natural (biophysical) environment.

Wednesday, October 23, 2019

SOP for International Business Management in Fleming College

Pursuing a post Graduate in International Business Management is a dream, a goal and often a path to a future career. For inc, it is also a responsibility that I owe to myself and a commitment I have to-others. I have realized in the tOday's world that originality is ofte-n sacrificed for time and money. ] want to fully explore the knowledge of Ex p-orts,Imports and Business Management, fully expand on-the insights that it provides and_get my career started. Choosing IBM (International Business Management) as'a career would help launch ray career with a decent business. hich involves interacting with people_ I like to communicate with poople, act like a mediato. r, and solve their problems whether it may relate to rec rui ti ng or dealing with employees. I would like to oversee the business of managing people in an organization. Basically. I am a Mathematics Major. Majority. of my courseivork included fundamentals, derivation, evolutioniproblems and solutions. International Business Mana. gemcnt was on6d lily favorite subject. It is this liking for the subject, which inclines me,toTursue a Post Graduate diploma in International Business Management in your college.Business Management Study Guide Moreover, it is highly in demand in today's modern and competitive world. As a International Business professional has become:important part:of successful company with a-wide-variety of responsibilities. I would consider myself fortunate enough, if. I get to become a part of the team. Additionally, I strongly believe teamwork I choose International Business Management because the current need of the present and the future depends on the placements of business in the right direction. Your program with its,tlexibility and strength of curricultirmand couisework would allow me to further my understanding in this interdisciplinary approach to these complex of business issues that people face daily in their work environment. I am confident I can enhance the scholarly debate in the discipline of conflict resolution. â€Å"We live only once, but if we live right, once is enough†. The same truth applies to one's career decision because the career you choose is going to live with you through out your life and the education you perceive was, is and will be you're most loyal friend and which will help you achieve your career goals. Moreover, education is an investment that will reap rich dividends in the future ; will never go a waste. So one has to make wise career decisions in life for which he may not have to repent in the future. International business management refers to the effective management of business transactions that are to be performed across various countries. This is done to satisfy the objectives of people and organizations. Thus a firm should he aware of various issues while entering foreign markets. There are key political, cultural, social, legal and environmental issues that every organization must fully cover to ensure the smooth running of its business in foreign shores. Failure to do so may lead to may obstacles. It is always effective to take a proactive measure while conducting business in foreign markets. MY interest towards International Business and the knowledge gathered through college at my Master's in Business administration created a passion towards business field education tempted inc to act as a entrepreneur . Since we had only few specialization in my campus j could take only Finance and Marketing. I was first exposed with sales nature were i could find lots of customer relationship activity. At present am fit in Axis Bank Pvt Ltd as a Officer. I realize it is tough for a returning student; however. I do not believe in quitting. Lastly. I always want to succeed. Success here is twofold. First, it is personal success for me in the program. Next, it is my commitment to give you my very best, by learning International Business Management theory and taking it to the classroom and beyond. If I am accepted. I am sure you will not be disappointed. You will find me to be a committed and capable student and an enthusiastic advocate of business.

Tuesday, October 22, 2019

Flaws of Contagion Essays

Flaws of Contagion Essays Flaws of Contagion Essay Flaws of Contagion Essay In 2011 , the blockbuster, Contagion, was released, featuring several prominent actors. In summary, the movie is the story of a father who loses his wife and son to a completely brand new virus. This new virus, dubbed MOVE-I, originated from a bat in Hong Kong. The bat bit a fruit then dropped it into a pigpen infecting the pig that consumed the fruit with the bats virus. While pig was prepped to be cooked, the chef touched the pigs mouth, getting virus on his hand and shakes the hands of woman, Beth, making her patient zero for MOVE-I . The disease then spread to others who mom In contact with Beth or Beets belongings. After the CDC realized the existence of this virus, they promptly started researching It. After several days of research, clients were able to determine that the virus was 15 to 19 kielbasas In length and containing six to ten genes, typical of a paramours containing genes from bats and pigs, which attach to receptors found on cells In the respiratory and the central nervous system. The virus is seemingly able to be contracted through the respiratory tract, but kills the host by making its way to the brain and causing encephalitis. The vaccine for the virus was developed by first growing the virus in fetal bat cells in culture, propagating and isolating, and finally inoculating rhesus monkeys with attenuated and dead forms of the virus. Out of desperation for working vaccine, after observing one monkey surviving during the vaccination trials, one of the researchers injected herself with the tested vaccine given to the surviving chimp. By doing so, she skipped the entire clinical trials portion of developing vaccines and had the vaccine abstracted to be mass-produced. : While this movie was more scientifically accurate then most other movies, there are still several aspects of the movie that seem incorrect. One aspect of the movie that stood out to me as incorrect was what the virus was considered to be. According to one of the researchers, the virus was described to have the physical qualities of a ovoviviparous. This statement itself is already inaccurate since a virus genome should not defer so much between the viruses infects a host. Though there may be a wide range of genomic size across the entire ovoviviparous family, the strain of virus hat Infects a host should not differ as much. In addition, while physically the virus may resemble a ovoviviparous, it seems to have the pathological effects of a ovoviviparous, oblivious, and influenza combined. The virus Is highly contagious (a trait of avariciousness), yet kills the host quickly (common for oblivious), has a short Incubation period (traits of Influenza), and seems to cause encephalitis from entering through the respiratory tract (as seen by Influenza associated encephalitis). It Is extremely unlikely for a virus to exalt pathological effects of three different mammals of viruses at the same time. For a virus to have the traits of three different families viruses, they virus can no longer be considered a paramours. In fact this virus seems to relate more to oblivious because of the high lethality and transmissible of the virus. In addition to the unlikely identity of the virus, the origin of virus seems just as spread to a pig and then to humans, which mimic the transmission route of the Hander virus, which is part of the ovoviviparous family. While the route of transmission seems credible, it is who is infected first that isnt. According to the movie, the first person to be infected is the wife, Beth. However, in reality she would not be the first become infected. If contracting the virus is as simple as touching the pigs mouth, the farmer raising the pigs or the butcher the operators of the slaughterhouse that kills the pig should be infected first. The farmers are dealing with the pigs much more closely and the operators at the slaughterhouse are constantly being exposed to blood and other bodily fluids of the pig and so they should have a bigger change of becoming infected first as opposed to Beth. This is similar to the case of Hander virus, where the farmers were the first ones to become infected. However, if the virus has a high mutation rate, designing a possible vaccine for, it is extremely difficult. For example, designing the yearly flu shots can be somewhat of a guessing game. Scientists look at the global strains of influenza and make a prediction as to which strains will be prevalent the coming winter and then create a vaccine for those strains. Sometimes they are able to predict it well, other time they are not. This vaccine must constantly be updated or changed because the virus itself mutates so past vaccinations are no longer effective. Obtaining the perfect vaccination for highly immutable virus, like in the movie, is nearly impossible. In addition, the researcher would have to test the vaccine that she created more times before even thinking about injecting it in a human. The only basis that the researcher had that the vaccine worked was that one monkey survived with that vaccine. Normally, a vaccine needs to be tested on many more monkeys to see if it is truly viable. In addition, clinical trials are necessary to see how the general populace will react to the vaccination. Just because the vaccine works in animals does not mean that it will work the same in humans. Thus more tests are needed to ensure the quality of the vaccine. Lastly, after the Cutter Laboratories Incident, during which the vaccine made for polio actually caused polio itself, more stringent laws would have passed to require researchers to find the possible side effects of the vaccine. It would be terrible to have a repeat of the Cutter Laboratories incident for a lethal virus like MOVE-I.

Monday, October 21, 2019

Water Scorpions, Family Nepidae

Water Scorpions, Family Nepidae Water scorpions arent scorpions at all, of course, but their front legs do bear a passing resemblance to scorpion pedipalps. The family name, Nepidae, derives from the Latin nepa, meaning scorpion or crab. You dont need to worry about being stung by a water scorpion – it has no stinger. Description Water scorpions vary in shape within the family. Some, like those in the genus Ranatra, are long and slender. These are often described as looking like aquatic walkingsticks. Others, such as those in the genus Nepa, have large, oval bodies, and look like smaller versions of giant water bugs. Water scorpions breathe by means of a caudal respiratory tube formed from two long cerci that extend to the waters surface. So regardless of the body shape, you can recognize a water scorpion by this long tail. Inclusive of these respiratory filaments, water scorpions range in size from 1-4 inches long. Water scorpions capture prey with their raptorial front legs. As in all true bugs, they have piercing, sucking mouthparts, hidden by a rostrum that folds under the head (much like you see in assassin bugs or plant bugs). The water scorpions head is narrow, with large side-facing eyes. Although they do have antennae, its difficult to see them, as theyre quite small and located beneath the eyes. Adult water scorpions do have developed wings, which overlap when at rest, but dont often fly. Nymphs look much like adult water scorpions, though smaller, of course. The respiratory tube of the nymph is considerably shorter than in the adult, particularly in early stages of molting. Each water scorpion egg bears two horns, which are actually spiracles that extend to the waters surface and provides oxygen to the developing embryo. Classification Kingdom – AnimaliaPhylum – ArthropodaClass – InsectaOrder – HemipteraFamily - Nepidae Diet Water scorpions ambush their prey, which includes other aquatic insects, small crustaceans, tadpoles, and even small fish. The water scorpion grasps vegetation with its second and third pairs of legs, just below the waters surface. It sits and waits for a potential meal to swim by, at which point it straightens out its hind legs, pushes itself forward, and grasps the animal tightly with its front legs. The water scorpion pierces its prey with its beak or rostrum, injecting it with digestive enzymes, and then sucks up the meal. Life Cycle Water scorpions, like other true bugs, undergo simple or incomplete metamorphosis with just three life stages: egg, nymph, and adult. Typically, the mated female attaches her eggs to aquatic vegetation in the spring. The nymphs emerge in early summer and undergo five molts before reaching adulthood. Special Adaptations and Behaviors The water scorpion breathes surface air but does so in an unusual way. Tiny water-repellent hairs under the forewing trap a bubble of air against the abdomen. The caudal filaments also bear these tiny hairs, which repel water and hold air between the paired cerci. This allows oxygen to flow from the waters surface to the air bubble, as long as the breathing tube is not submerged. Because the water scorpion breathes air from the surface, it prefers to stay in shallow waters. Water scorpions regulate their depth using three pairs of special sensors on their bellies. Sometimes referred to as false spiracles, these oval sensors are attached to air sacs, which are in turn connected to nerves. Any SCUBA diver can tell you that an air sac will be compressed as you dive deeper, thanks to the forces of water pressure which are amplified at depth. As the water scorpion dives, the air sacs become distorted under pressure, and nerve signals send this information to the insects brain. The water scorpion can then correct its course if it inadvertently dives too deep. Range and Distribution Water scorpions can be found in slow moving streams or ponds throughout the world, particularly in warmer regions. Globally, scientists have described 270 species of water scorpions. Just a dozen species inhabit the U.S. and Canada, most of which belong to the genus Ranatra. Sources Borror and DeLongs Introduction to the Study of Insects, 7th edition, by Charles A. Triplehorn and Norman F. Johnson.Lecture notes, Entomology for Teachers course, Dr. Art Evans, Virginia Commonwealth University.Water Scorpions, Northern State University. Accessed February 19, 2013.Water Bugs and Water Scorpions, Fact Sheet, Queensland Museum. Accessed online February 19, 2013.Family Nepidae - Water scorpions, BugGuide.Net. Accessed February 19, 2013.Guide to Aquatic Insects and Crustaceans, Izaak Walton League of America.

Sunday, October 20, 2019

Avoid Over-Fertilizing Your Trees

Avoid Over-Fertilizing Your Trees Well-meaning homeowners who want to stimulate growth or promote health in their landscape trees often feed them with fertilizers. Unfortunately, too much of a good thing can have the opposite effect and can actually harm your trees. In normal landscape soils, many trees require no feeding at all, and if you do feed them, its critical that you use the right fertilizers in the right ratios.   The Right Fertilizer With the Right NPK Ratio Trees are usually grown for the appeal of their green foliage, so the best fertilizer is one with a relatively high ratio of nitrogen, which promotes green growth. Unless your soil is deficient in potassium or phosphorus (a soil test can tell you this), fertilizers for trees should have a high nitrogen number in the N-P-K designation.   A good choice is a fertilizer with an N-P-K (nitrogen-potassium-phosphorus) ratio of 10-6-4, preferably in a slow-release formulation.  Slow-release formulations are usually non-liquid products that use granules that are released gradually into the soil.   Although balanced fertilizers, such as 10-10-10 products, can be helpful for many flower and vegetable gardens when used with discretion, such fertilizers can have a bad effect when applied to the soil beneath trees. Excessive amounts of these nutrients can create too much mineral salt in the soil, which will harm the beneficial soil microorganisms  necessary to healthy trees.   Stay at less than .20 pounds of nitrogen per 100 square feet of root zone application area, depending on tree species and size. Any time you exceed this recommendation, you will create a situation for on-site contamination or the potential for runoff pollution into lakes and streams. Extreme contamination of soil can harm the site for a very long time. The Effects of Excessive Fertilization on Trees You can actually kill a tree if you apply too much fertilizer. Applying high levels of quick- release nitrogen can burn the roots when applied to the soil and can burn the foliage when applied as a foliar spray or drench. And if the fertilizer contains too much potassium and phosphorus, it creates excessive soil salts that trees may be unable to tolerate.   The most common ways to over-fertilize a tree include: Over-use of fertilizers that contain an equal ratio of all three essential nutrients (nitrogen, potassium,  and phosphorus)Applying more fertilizer than the standard recommended application rate suggestsUsing fast-release rather than time-release fertilizers Any or all of these mistakes will increase the chance of root damage to your tree. Too much fertilizer introduces toxic salt levels that not only harm the tree  but also make the site unsuitable for future planting.   Symptoms and Treatment for an Over-Fertilized Tree Symptoms of a tree that has been over-fertilized include: A crust of fertilizer visible on soil surface beneath the tree drip zone (the area of the ground beneath the spread of the branches)Yellowing, wilting, and browning on the trees foliage, starting at tree leaf tips and marginsA tree that starts to drop leaves before dormancy  begins.   The tree may survive and the site can be much improved if you do a fairly simple, three-part treatment as quickly as possible: Remove the dying or wilting leaves, if you have any, to reduce fertilizer remnants in the tree itself.Water the fertilized area of the soil thoroughly to a flushing point. Copious supplies of water will be necessary to flush excess fertilizer from the soil.  Cover the critical root zone with a natural plant-based mulch- preferably composted leaves and grass.  Perform a second water flush over the composted mulch.

Saturday, October 19, 2019

Short answer Essay Example | Topics and Well Written Essays - 500 words

Short answer - Essay Example A deep understanding of the theory of international systems is therefore relevant to determine what are the policies enforced in conflict situation that may ran counter with domestic politics (Karns and Mingst, 2009). Spatial models for international disputes and theoretical concepts that could be key for cooperative resolution of issues (Bueno de Mesquita, 2010; Karns and Mingst, 2009). War causes devastation of properties and loss of untold number of lives; it costs billions of money in a territorial dispute, resource utilization, and due to revolution waged by people who wanted to change and democratize the system (Karns and Mingst, 2009). War in itself is a mirage of injustices and human rights violations as innocent civilians are stripped and subjected to indignity in the evacuation centers and in a perpetual flight for security and safety (Karns and Mingst, 2009). Experiences bared how war violated the fundamental and constitutional rights of all human beings. In a Hegelian doctrine of dialectics, the sad and traumatic experiences of war inspire people, and advocates from states and non-states for collaborative peace work to intercede for conflict resolution through meaningful dialogues and adoption of humanitarian principles for peace-building and conciliation efforts (Karns and Mingst, 2009). The peace-building efforts will include the need for accountabilit y and effective global governance (Karns and Mingst, 2009). The global economy is characterized by the interdependency of nations in the maximization of resources through liberalized trading and exchanges of goods based on the purchasing power of nations. International commerce and liberalization of economy, as initiated by the Group of Twenty (G20) paved for a peaceful era when territorial expansion done through war in the medieval era is replaced with economic trading and commerce as the alternate economic-politics (Goldstein and Pevehouse, 2012).

Three Network Topologies Essay Example | Topics and Well Written Essays - 500 words

Three Network Topologies - Essay Example Here the first topology we use for our company is BUS: The bus topology is frequently referred to as a "linear bus" for the reason that the computers are linked in a straight line. This is the easiest and mainly common technique of networking computer. By this our company’s whole computer is connected to main server so that whole data can be seen on main server.1 Next the second topology we use is STAR: In the star topology, wire sections from every computer are linked to a centralized part that is called a hub. Signals are broadcasted from the transmitting PC throughout the hub to all PCs on the network. This topology invented in the early on days of computing while computers were linked to a centralized mainframe workstation. This topology we use for the connecting the whole organization to our main server. So that any message from any PC can be deliverer to each PC on the network.2 The 3rd topology we use for our company is RING: The ring topology attaches computers on a sole circle of wire. Dissimilar the bus topology, there are no ended ends. The signals tour about the circle in one way and go by from side to side every computer, which be able to take action as a repeater to increase the signal and drive it on to the subsequently computer. The breakdown of one computer can have a crash on the whole network. This topology we use for our company to only in case of transmitting any information that we want to reach on every PC. By this information or any error report can be circulated to whole network.3 Here I will present the performance, reliability, cost and effectiveness criteria of our company for the selection of topology. We avoid using the mesh topology because it is more costly and we have lot of workstation so that we can not afford a very complex net of wires, so these only three topologies that are BUS, RING, and STAR are used by us in our company. The cost of these three for implementing point of view is less than the mesh topology.

Friday, October 18, 2019

Federal and State Governance Essay Example | Topics and Well Written Essays - 7500 words

Federal and State Governance - Essay Example An analysis of the nature of the crimes in both states provides may provide insights to the differences in policies. The incidence of violent crimes as well as recidivism in California is higher while Texas shows lesser recidivism and significant higher prison population. According to Kaplan and associates (2002), Texas' law shows greater inflexibility in the use of incarceration as a penal measure citing that the nature of crime in the state historical justifies the application of such measures. Given that the United States follows a federal system of government, each state is given the privilege to formulate and implement its own legal codes which include criminal justice programs. This is meant to allow individual states to develop criminal and penal statutes that correspond to individual or unique crime trends that may greatly differ from state to state (see Appendix A). There are times that policies and perspectives used differ between states depending on the perspectives, policies or by the nature of the crime committed (Pillsbury, 1989). This is not to imply that crime is one state is more acceptable in another and only a variance in the manner by which the act is assessed and addressed (Jones and Newburn, 2005). In such a system, federal statu... sure that independent criminal justice programs do not impair constitutional rights, contravene federal legislation or create conditions that will prevent equitable application of the law (Peak, 2006). In effect, though state perspectives and policies on crime and punishment may differ significantly, there are criteria or range of acceptability for the policies that each state is to implement. This also reinforces the order in policies and subsequently order in society as well. It should be noted as well, that though the criminal justice programs in California and Texas may differ significantly, they have a common purpose of preventing crime and victimization, maintaining order and security and supporting federal objectives and policies. Conflicts or inconsistency with federal policies or that of other states are also not designed to undermine another state's authority but rather are individual trends or modes in that state or the federal government's criminal justice program (Hepburn, 1986). Furthermore, the availability of channels to mitigate and resolve conflicts, federal courts including the U.S. Supreme Court, signify that there is states are a part of a system that has established operations and procedures to establishing order and even harmonize policies. Community Policing Community policing initiatives have gained support in an effort to develop greater social participation in securing communities. In general there has been indication that efforts have had a measure of success but Matthews and Pitts (2000) point out that sustaining such this outcome requires the development of long-tern programs. These programs range from the development of operations and procedures, establishment of channels of command and responsibility and public education. In a similar

Concerns for the Future of Our Society Essay Example | Topics and Well Written Essays - 500 words

Concerns for the Future of Our Society - Essay Example Our major issue in the world is that we are not doing too well with our reputation in other countries. There are many news items and movies that are telling how we are no longer the "superpower" that we once were and how other countries are not seeing us as "good people" anymore. We need to change that because if we are to move forward in the world and help other countries, we have to learn to work with other cultures. Our greatest hope for the future will be to find a way to get along instead of destroying the sanctity of other countries. We don't have the right to go into other countries and try to force them to do what we say. We have to learn to work with them through understanding their ways and helping them to understand ours. I hope that in the future, well be able to sit together and find ways to work from the common ground. There are a lot of important issues in our world today and AIDS Awareness is one of them. Although people are able to live longer with this disease than they were in years past, it is still a concern. HIV/AIDS isn't just in our country or in Africa anymore but it is all over the world. According to Avert, an International AIDS Charity, "Russia has the largest HIV epidemic in Europe and accounts for around two-thirds of the cases in Eastern Europe and Central Asia Regions". According to the same agency, says that "it is estimated that about 2.5 million people in India are living with AIDS." When I think about this I wonder why we haven't found some kind of cure for this disease. AIDS Awareness has worked for some people and the new incidences of AIDS have decreased in many areas, but the fact still remains that it is of epidemic proportions. Although we have talked to people and informed them of the dangers of unprotected sex, many still engage in the practice.     

Thursday, October 17, 2019

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

NURSING - Essay Example A muscle is a vital type of soft tissues found in every organ of an animal’s body, the cells in a muscle of myosin, protein and acting all of which are vital in influencing the shape and size of an organ thus the entire organism (Blakey 77). Among the most vital muscles in the human body that enhance movement is the skeletal muscle. The skeletal muscle is responsible for the upright posture of humans. It connects bones through tendons, which act as levers thereby enabling movement. During a jog, both the arms and the legs move systematically. The lifting and dropping of the limbs during a jog arises from the ability of the skeletal muscles. The tendons in both the leg and the arm lift various parts of the limbs at the various synovial joints. Synovial joints foster the movement of various body parts in humans. Such are the most common types of joints in humans. A joint is a point in the body where two bones meet. Synovial joints have a slimy lubricant that enhances the efficiency in the contact of the bones in humans. Such joints as the elbow and the knee are among the most vital synovial joints that facilitate the movement of a body (Barnett 121). The synovial fluid requires adequate supply of blood from the arteries that share the anastomosis at the joint. Jogging engages the joints thereby heightening their activity. The heightened activity in turn increases the flow of blood through the arteries to the synovial fluid in the joints. Such is a desirable occurrence that enhances the functionality of the joints since they the synovial fluid replenishes itself thus keeping the joints functional. Regular jogging facilitates an adaptation tendency. The arteries expand thereby supplying the synovial fluid with adequate blood . This in turn enhances the production of the fluid thereby reducing the chances of people suffering from any form of joint aches breakages especially in old age. Among the movements at the joints in a

Shopping Bags Case Study Example | Topics and Well Written Essays - 2000 words

Shopping Bags - Case Study Example The company has traditionally held the view that new acquisitions are as close to Barcelona as possible because logistics costs can be kept down. Opening new stores so far away from Mercadona’s central location is a huge risk and has the potential to backfire. The reason why Mercadona chose to expand to these coastal towns is that competition is fierce in Barcelona and there is not much room for growth. Mercadona sees Cartegena, Albacete, etc. as open for competition between market competitors was small. Mercadona’s main rivals in these areas are independent grocers, traditional stores, and only a few hypermarkets. Many of the large chains have stayed away from these low population areas because the target market is much smaller than it is in Barcelona. Mercadona used to primarily operate as a warehouse and distributor. The company’s efficiency of its logistic system allowed it to offer lower prices than many of its competitors. However, this strategy has been re fined over the past few years and the company is now officially a retailer. Instead of targeting consumers on the low end, Mercadona now focuses on high quality products and has also diversified its range from standard food and beverages. A company going through this kind of change would expect to take a few years to readjust to a new marketing strategy, and the company’s income statement shows that this is the case. Although sales were healthy at 300,000,000 Euros, the cost of goods sold is 246,000,000. This figure makes up more than 80 percent of sales, which does not leave a high gross margin and leaves even less for profit. After operating costs and amortization is accounted for, the company is left with a net profit of 480,000 Euros, discounting interest and taxes. While the company is not in the worst financial shape possible, the sharp focus of its marketing strategies and objectives has taken its toll on the company. Mercadona’s main rivals such as Dia, Caprabo , and Valvi all made before-tax profit of 4 percent on sales, yet Mercadona made less than one-third of a percent. If Mercadona wants to compete better within the hypermarket industry, then it needs to find some way to reduce its cost of goods sold. It would not be logical to try and increase sales because the company is already selling at the high end of the market and so prices are already relatively high. The only thing that the company can do is to find a way to reduce production costs so that its gross profit margin and net profit are higher than the present figures. In order to achieve this, Mercadona needs to concentrate on the stores that it has now, particularly in Barcelona, and try and consolidate the gains that it has already made. The one positive thing about the company’s current position is that at least it has stores further down the coast, whereas many of its main rivals are yet to expand to those areas. Still, Barcelona offers the largest market and a signif icant number of sales, so this is where Mercadona needs to focus all of its energies on for the time being. 2. In this case I can see three main segments that are interlinked: those within walking distance of the company’s stores, housewives who cook every day, and the working class. Because parking is limited in the city of Barcelona, there are very few car spaces available for shopper to park their cars. As a result, many of the company’

Wednesday, October 16, 2019

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

NURSING - Essay Example A muscle is a vital type of soft tissues found in every organ of an animal’s body, the cells in a muscle of myosin, protein and acting all of which are vital in influencing the shape and size of an organ thus the entire organism (Blakey 77). Among the most vital muscles in the human body that enhance movement is the skeletal muscle. The skeletal muscle is responsible for the upright posture of humans. It connects bones through tendons, which act as levers thereby enabling movement. During a jog, both the arms and the legs move systematically. The lifting and dropping of the limbs during a jog arises from the ability of the skeletal muscles. The tendons in both the leg and the arm lift various parts of the limbs at the various synovial joints. Synovial joints foster the movement of various body parts in humans. Such are the most common types of joints in humans. A joint is a point in the body where two bones meet. Synovial joints have a slimy lubricant that enhances the efficiency in the contact of the bones in humans. Such joints as the elbow and the knee are among the most vital synovial joints that facilitate the movement of a body (Barnett 121). The synovial fluid requires adequate supply of blood from the arteries that share the anastomosis at the joint. Jogging engages the joints thereby heightening their activity. The heightened activity in turn increases the flow of blood through the arteries to the synovial fluid in the joints. Such is a desirable occurrence that enhances the functionality of the joints since they the synovial fluid replenishes itself thus keeping the joints functional. Regular jogging facilitates an adaptation tendency. The arteries expand thereby supplying the synovial fluid with adequate blood . This in turn enhances the production of the fluid thereby reducing the chances of people suffering from any form of joint aches breakages especially in old age. Among the movements at the joints in a

Tuesday, October 15, 2019

Journal entry (economics topic) Essay Example | Topics and Well Written Essays - 250 words

Journal entry (economics topic) - Essay Example erefore, given that in times of economic crisis there is decreased tax revenue it became important to establish measures to resolve decreased revenues as a result of decline in profits, incomes, consumptions or increase in tax evasion (Ramona, Ionut, & Cristian, 2011). VAT has also increased its relevancy to bridge the gap that government have in national debt. VAT is administered effectively and has enabled some country reduce their national debt without raising the direct taxes on capital and labor (Ramona, Ionut, & Cristian, 2011). Therefore, VAT has been a powerful tool that enables economies address the macroeconomic issue such as unemployment and investment without disrupting the operation of a country. In conclusion, the government may increase or decrease the charge on VAT to address the economic crisis of the day rather than resulting to other measures to increase tax receipt. However, there are macroeconomic consequences with little severity compared to other alternative ways of raising revenue. VAT has become one the largest indirect tax and considered as a tax for the future. It is successful and does not burden one source only as it is shared among producers and users (Ramona, Ionut, & Cristian,

Monday, October 14, 2019

Tangibility and intangibility of humanity Essay Example for Free

Tangibility and intangibility of humanity Essay In my artwork which is done in clay I attempted to portray how high and low culture can be merged in a sculpture. My intention for this piece was to portray a character normally found in fiction, and; attribute it with features that express human emotion. Looking at my piece one could easily say that the bust portrayed is that of a non-existent creature, such as an alien or a gargoyle. However, in portraying my theme, I intentionally gave the sculpture a downcast expression as seen in the hollow and downturned eyes as well as the bowed position of the bust. Here, I would like to portray the contrast between the tangibility and intangibility of humanity where the intangibility is represented by the existence of imaginary or self-inflicted states as I would like to portray in the creature and the tangibility which is represented by the human emotions in the piece. In doing this I believe I was able to achieve what Jeff Coons tried to achieve in many of his artworks where he tries to represent two levels of culture and society in a singular artwork to establish the link between the concepts and ideas. For instance, in his piece â€Å"Rabbit† he is able to express the merging of two diametrically opposed concepts, novelty and value. The mere fact that the artwork is done in metal but is of a common object, an inflatable bunny, makes the artwork representative of two different social spectrums. This is what I wanted to achieve in my artwork. I can say that I was able to achieve this in my piece by taking something out of fantasy and using this to portray the very real emotions of humanity. The effect is an apparent fusion between the two concepts which all the more makes it interesting. What my artwork represents is not however strange or foreign except for the fact that there are no fantastical creatures in real life. What it is representative of is the very real phenomenon of derivation of emotional instability or the lack of it from the existence of unreal of fictional situations. This concept is quite common among people of high society who believe in one thing but portray another. So, in effect the merging of the high and the low of culture could be easily expressed in my artwork as the apparent and the real – what can be seen but is not real and what cannot be seen but is real and genuine. This same concept is portrayed by Koon in his artwork of Michael Jackson and his pet monkey – this is an illustration of how a piece, while featuring two very famous figures or household names, actually represents two layers of society and even satirizes the contrast between Jackson and the monkey on a more intimate level. In addition to the features of my artwork that I mentioned I would also like to mention the reason why I intentionally gouged out a line that runs from the forehead down to the chin. While this particular feature seems to present the creature as a humanoid hybrid between man and ape, which all the more makes it a fusion of two cultures, the line also makes obvious what normally are imaginary lines in anatomy. This makes the piece more verbose in its portrayal of the tangible and the intangible. I used these features in my artwork because I consider genuineness in emotion a component of high culture and the concealment of these emotions in fantasy a component of low culture. I am aware though that the piece I did is not as articulate as I expected it to be, but in more ways than one, it expresses what I want to convey to my viewers. Another aspect that I would like viewers to take notice of is the medium and what is portrayed using the medium – I portrayed a fantastical creature using a mundane medium making an even stark contrast between the heights of fantasy and the lows of reality.

Sunday, October 13, 2019

Art Museum Visit Reflection Paper

Art Museum Visit Reflection Paper Visit to the Metropolitan Museum of Art at New York City Last week I visited the Metropolitan Museum of Art at New York City. This museum, also known as The Met is a huge building with nineteen departments and around two billion art pieces stored and displayed in its art galleries. The main art gallery of the museum, i.e. The Met is one of the largest galleries of the world There are several categories of art works displayed in different portions of the museum. The main categories and collections of the art works displayed at the museum are American art, Ancient Near Eastern art, American decorative arts, Asian art, Egyptian art, Greek and Roman art, African art, South American art, art related to arms and armory, European art, Islamic art and religious collections. The art works include various forms, though paintings and sculpture are the main forms. Collections comprising weapons and armory, musical instruments, costumes and building interiors are some other important art forms at display in the museum. Visit to museums has always been a pleasant experience for me. Museums open doors to a world of fantasy. By entering the doors of a good museum, it is possible to close off the doors of mind to the harsh realities of the real world for a while. Visit to a museum is akin to visiting a fairy land. It is a wonderful and refreshing experience to see the relics of past from such close proximity. I have particularly been interested in paintings. A painting is nothing less than an incarnation of the imagination of the painter. The manner in which an artist brings the lifeless canvas to life by using strokes of his or her brush is amazing. It is a life created by the artist using nothing more than few mundane objects like a brush, colors, oil or water and a canvas. Religious art works have always intrigued me a lot due to my interest in comparative study of religions and the collection at the Met was a treat for my eyes. I had a chance to observe many beautiful and mesmerizing artworks at the museum but at the moment I will discuss the following three artworks, since the memories of these artworks are still fresh in my mind due to the strong impact made by them: Madonna and Child Enthroned with Saints Stoclet Madonna Temple of Dendur Madonna and Child Enthroned with Saints were done by Italian painter named Raphael. Raphael belonged to the High Renaissance era of art. This form of art was patronized by Pope Julius II and Italy was the focal point of this era and Michelangelo, Leonardo de Vinci and Raphael were the prominent artists This is a conservative piece of art and it was painted by Raphael when he was about twenty one years old. This painting as the name depicts, shows Saint John, Saint Peter and Saint Paul with Madonna and the child. Raphael had painted this work for the convent of SantAntonio which was held at Perugia. On the desires of the nuns, Raphael painted this work in a very conservative manner and the painted shows Saint John and the Christ fully clothes in this work. Considering that it was an early work, this work has a strong influence of Raphaels teacher Perugino. A significant feature of this piece of art is the fact that there is only one panel of any altarpiece created by Raphael in the Un ited States and apart from this work there is no other similar artwork by Raphael in any American museum.. This art piece was completed in year 1504 and oil and gold have been used as medium on a wooden base. The second piece of art is also about Madonna and child Christ. It is a painting as well. This piece shares another commonality with Raphaels piece in terms that it has also been painted by an Italian artist. This piece was painted by Duccio di Buoninsegna in the medieval era. The medium used by Duccio for this painting is tempera and gold on a base of wood. This painting was bought by the Metropolitan Museum of Art for a cost of around forty five million US dollars and it is reportedly the costliest purchase of this museum. Surviving works of Duccio are very rare and this is the reason for the high value of this painting. This painting is known as Stoclet Madonna due to the fact that the name of the family which privately owned this paiting before its acquisition by the museum was Stoclet. The year of completion of this painting is around 1300 A.D and portrays the child Christ and the Virgin Mary only. Significant feature noted in this painting was the simplistic portrayal of the ch ild and the mother and use of rounded forms. The third artwork which I want to write about in this narrative is not a painting but a temple. This temple was gifted by the government of the Republic of Egypt to United States in 1978. The original location of this temple was around Aswan dam on the river Nile. This temple was endangered by submersion due to construction of the dam and hence it was dismantled from its original location to save. In the 15th century BC, Egypt was ruled by a Roman governor named Petronius. This temple was built by Petronius in dedication to ancient Egyptian goddess Isis and her brother Osiris. Emperor Augustus of Rome commissioned this temple. The structure of the temple is made of sandstone and the temple has various engravings and carvings depicting the religious symbols of the Roman-Egyptian era of the 15th century BC. Base of the temple shows carvings of lotus plants and papyrus. These symbols are associated with river Nile and river Nile in turn was religiously a symbol of life for the ancient E gypt in a similar manner as river Ganga is a religious connotations for Hindus in India. The most prominent theme that is repeated in the temple is the carvings of the forms of goddess Isis, her brother Osiris and their son Horus. Another striking feature is graffiti scribbled in English that were left by the visitors when the temple was in its original location.

Saturday, October 12, 2019

Heart of Darkness and Lord of the Flies :: comparison compare contrast essays

Heart of Darkness and Lord of the Flies    Seldom are works as brilliantly written as Conrad's Heart of Darkness or Golding's Lord of the Flies.   There are effective comparisons and contrasts between the two novels. The novels deal with many similar issues and contain many of the same themes.      Many of the themes present in Heart of Darkness and also present in Lord of the Flies.   Both novels deal with the theme of civilization versus savagery.   Also, both novels imply that every man has a heart of darkness or an evil that is usually drowned out by the light of civilization. However, when removed from civilized society, the raw evil of untamed lifestyles within his soul will be unleashed. For example,   in the Heart of Darkness the main character Marlow journeys up the Thames river and as he gets further away from civilization, the more he journey's into a heart of darkness.   A darkness where societal morals no longer exist and savagery has taken over.   In the Lord of the Flies the boys in the novel are stranded on an island and the longer they stay on the island and are absent from civilization the more savage like they become.         Another similarity between the two novels is that the parallels between the protagonists and the antagonists are quite similar.   Both the novels have a character who willingly gives into his heart of darkness, and a character who sees the savagery of those who are consumed and fights to return to civilization.   For example, in the Heart of Darkness Kurtz gave into his heart of darkness and let his evil tendencies take over.   He was a one point a man who values morals but gave into his evil side when removed from civilization.   Marlow on the other hand also journeys away from civilization but he does not let his values deteriorate such as Kurtz.   In Lord of the Flies Jack gave into his evil side and becomes savage like, and begins turning against the ones who were his friends.   Ralph on the other hand was not as easily consumed by his evil side.   Until his death, Ralph   realized the savagery of the others especially Jack.

Friday, October 11, 2019

Lebanon’s Social Problems Essay

Lebanon is a very beautiful country and an important destination for tourism. Lebanon or as the bible called it once â€Å"The land of milk and honey†. Beirut is the capital of the country and it’s also nicknamed â€Å"Paris of the East†. Famous people are originally half Lebanese such as the well known Columbian artist â€Å"Shakira†. There are five countries which surround Lebanon which are: Turkey, Syria, Jordan, Cyprus & Palestine (Israel). Several problems started to appear in Lebanon. In 1943-1948 after France got out from Lebanon the Christians took the balance of power in the country while Muslims haven’t much of a power back then, this caused some tensions between those two. The tension reached its limit in 1975 when a radical Christian group attacked a bus full of Palestinians and killed them. After this incident, some vengeful attacks were made as a respond for the Christians actions which led to more hate and no trust at all between Muslims and the other group. After seven years, exactly in 1985 The Israeli army invaded Beirut to remove the Palestinians Liberation Organization as they said. All those wars and conflicts and wars in the city and in the country in general led to very serious and sad results. Between 150-200 thousand people were killed while 300 thousand were wounded, that goes for the human cost but as for the economic cost was very heavy and it actually was paralyzed for many years which stroke hard to the whole country. The peace has finally come in 1989 which put off the furious flames of war. In the recent days, Lebanon began to recover from that savagery conflict which led to nothing but destruction and sadness. People came back to their homes after they left it because of the war. The buildings which were affected by the conflict are restored by the help of some other countries. The most important thing that tourism is finally revived and people now can enjoy everything in Beirut after the horror the city lived in the past several years. Tourists can relax and enjoy Skiing on the mountains, taking sunbath on the beach and also swim in the blue sea.

Thursday, October 10, 2019

Of Kind and Cruel Fates Essay

Irony, in its essence, is the humor of contradiction. It is contradiction, in the sense that where we would expect events to lean on one way, events instead completely take the opposite direction. A crude example would be where a string of freak accidents occur at a factory where the manager is showing off to his potential clients that his company is â€Å"accident-free†. Irony is humorous because if one saw it with impartiality, one would find it funny. Having a car accident right after a road is â€Å"improved† to avoid further accidents, would be funny. To study irony further, one could study an average person’s sense of humor. While as a child, he may delight in the curiosities of the environment, eventually he becomes adjusted to seeing it everyday, and eventually his enjoyment of it fades. Humor takes on a different characteristic for him. There is the slapstick comedy, where he finds the antics of the performers as funny and absurd, and there is the situational comedy, where he finds funny ordinary people falling to ridiculous situations. The common thread to this humor is that it attacks at something. Whether it is to ridicule a person behaving out of the social norm (as the slapstick), or to ridicule a person’s belief or principle that is generally viewed as absurd (the parody), the higher the degree of abuse at the object of humor, the funnier. Irony, then, is humorous in the sense that it attacks something, through its contradiction. As an impartial viewer, we may find funny things that we know to be true as envisioned by the ironic set-up, but which is obscured in the minds of those who are involved in the irony. Humor moreover has intrinsic values it seeks to instill to its impartial witnesses, and consequently irony occurs as some way to inform the viewer of a cosmic lesson. We can delve in this further through the study of three stories, Tartuffe, The Princess of Cleves, and Nathan the Wise. There are several ironic situations that occur throughout the play Tartuffe. The story revolves around a household scandalized by having its head (the father) entertain and welcome as part of the family a man who openly and vocally shows his displeasure at what he deems as vices borne by the various members of the family and the house. One of the first ironic situations occurs with the son, Damis, who hides in the room while Tartuffe has a private conversation with his mother, Elmire. His intention is to unmask Tartuffe to his father as a hypocrite and get him out of the house (Moliere, 39-46). When he finally sees evidence of the man’s scandalous behavior towards his mother and reveals it to his father, not only does his father not believe (owing to the hypocrite’s skillful use of words), but has Damis instead kicked out and even encourages Tartuffe to continue his scandalous behavior towards his wife, in order to spite his family (47-51). The humor in the situation centered on how big a fool the father was to believe in Tartuffe’s virtue, and an even bigger fool not to see the truth when it is right in front of him. This is further stressed in the next ironic situation, where after Orgon (the father) finally realizes the extent of his friend’s deceit, he tries to tell his mother, who was also fooled by the hypocrite. For all his protestations she does not believe him until she sees it herself (Moliere, 68-71). The irony is that where he once ignored the loud protests of his family, likewise his mother does not believe him, even for his loud protests. The final ironic twist, however, turns out for the good as the hypocrite Tartuffe, having been unmasked and set his plans for revenge, intrigues on the King and plans to have them all arrested, only to have him as the object of arrest, as the King was â€Å"wise† to his intrigues (77-80). The play has these alternating reversal of fortunes, and its ironic humor attacks two things: that blind faith without reason in open Virtue is folly, and that any malice masked in virtue never remains unpunished. A more tragic tale of irony is that of the Princess of Cleves. Introduced to a court as Madam Chartres, she wins the affection of the Prince of Cleves, who endeavor to marry her despite the protests of his father; she falls, however for someone else, the Duke Nemours (Lafayette, 15-17). The story then centers around him trying to find the opportunity to confess his love, and she, now married, desperately tries to stave off his affections while suppressing hers. We do not see the irony unfold until the very end: the Princess anguishes over her affection for the Duke throughout her marriage, but following the death of her husband suddenly she has a change of heart and is convinced that her husband was a far better man than the Duke (101-107). It is only after the husband dies and they finally have an opportunity to be together does she decide not to be with the Duke. The irony here attacks the notion that love borne from adulterous intention will eventually bear fruit. It might have been attack towards the growing acceptance of the public towards the notion of infidelity, (almost every character is involved in an affair with someone else) and their giving it idealistic fervor. The Princess of Cleves, despite the best of her intentions, continued to bear her love to someone else, and pined for that other person, and consequently, in her husband’s death she realized her folly too late, and chose to suffer the rest of her life in that guilt. Nathan the Wise has such a complicated string of ironies, that one who skims through even the slightest of details would not appreciate the ironies that eventually occur. Originally, the story of the Jewish merchant Nathan centered around the Muslim conqueror Saladin trying to fool him out of his money—and this tale has found itself in the pages of Boccaccio’s Decameron. Nathan answers so skillfully that ironically it was Saladin who was put to shame by his own question and humbled before the Jew (Lessing, 90-97). This story is, however, expanded by Gotthold Ephraim Lessing, and this encounter between the Egyptian conqueror and the Jew becomes the main theme. The tale then revolves around a Templar, who was pardoned by Saladin for the reason that he resembled the conqueror’s brother (Lessing, 36); the consequences of his rescue of a Jewish maiden (and subsequent encounter of the grateful surrogate father Nathan), and the intrigues of the Patriarch who would have him either kill Saladin or turn over Nathan, who he found had raised a Christian child to the Jewish faith (the same Jewess he rescued) (37-40). The irony, from an impartial point of view, might have been to some degree absurd. The Templar, in almost the fashion of Oedipus, tries desperately to seek the truth, and unmask what he sees in his prejudice as malice committed by the Jew Nathan (Lessing, 109-127). And, also in the fashion of Oedipus, not only does he discover that the girl he was trying to save (and hope to marry) was his sister, but Saladin who he would have killed had he agreed to the Patriarch, was his uncle after all (165-172). The irony also hits Saladin, as his pardoning the Templar Conrad because he looked like his brother, redounds to the truth that Conrad was his brother’s son. While the ironic twist might seem ridiculous to the trained eye, in the sense it fits to the lesson first imparted by Nathan to Saladin: that all men are equal before God, regardless of Faith. This is a happier chide at the Medieval sensibility of hostility between Faiths. Irony is humorous, because we find that the contradiction it creates makes sense. We might have felt our sensibilities offended when we saw that the Princess of Cleves did not end up with the Duke Nemours, but the cosmic twist was to show to us that infidelity was wrong. We would have preferred that the Templar should have instead ended up marrying the Jewess, but the irony was there to impart the lesson that prejudice has, after all, no place in the world. We sometimes do not find ironic circumstances that funny, as if we lived the life of Duke Nemours or became as aghast as the Templar Conrad. But eventually, we will learn that the contradiction was to impart to us that our plans may go completely the other way, because they may not have been right in the first place. And, the wiser we become to this truth, the more we will realize that irony, though it might strike sad for us, has a reason. The better we accept this, the more we will be prepared to just take a step back, take a view of the bigger picture, and laugh. WORKS CITED Lafayette, Madame de. The Princess of Cleves. New York: Project Gutenberg. 27 Sept. 2008 . Lessing, Gotthold Ephraim. Nathan the Wise. New York: Page, Curtis. Project Gutenberg. 01 Mar. 2003. . Moliere, Jean Baptiste. Tartuffe. New York: Project Gutenberg. 26 Oct. 2008. .

Contract Formation

Part A Contracts are an integral part of business and everyday life, and are fundamental to construction as the industry relies on the formation of contracts for business agreements. â€Å"Contracts are based on the idea of a bargain, where each side must put something into the bargain. A contract may be defined as ‘an agreement which is binding on the parties’† (Galbraith, 1998, pg78). There are a number of key components which must be present in the formation of such contracts. Firstly, there needs to be an initial offer made by one party for the formation to begin. An offer exists when one party effectively declares his readiness to be bound by a set of terms without any further negotiation† (Galbraith, 1998, pg79). It is interesting to note also that there is generally no requirement that the offer be made in any particular form, it may be made orally, in writing or by conduct (McKendrick, 2007, pg33). The exception to this is with speciality contracts s uch as the sale of land or estates or when deeds are formed between parties giving them twelve years liability instead of the six on simple contracts, and are frequently used within construction (Owen, 1998, pg47).However there is a fine line between what constitutes an offer, and an invitation to treat. â€Å"An invitation to treat is simply an expression of willingness to enter into negotiations which will lead to the conclusion of a contract at a later date† (McKendrick, 2007, pg33). There is much confusion between the two, as shown in the cases of Gibson v. Manchester City Council [1978] and Pharmaceutical Society of Great Britain v Boots Cash Chemists (Southern) Ltd [1953].An example of an invitation to treat in construction is the tendering process, in which the employer will invite contractors to make an offer based on the project information, which the employer can then choose to accept to form a binding contract. In terms of the enforcement of contract law, when case s are examined McKendrick (2007, pg32) states â€Å"the courts adopt the ‘mirror image' rule of contractual formation, that is to say they must find a clear offer which is matched by an equally clear acceptance†.Acceptance is also defined as â€Å"an unqualified expression of assent to the terms proposed by the offeror† (McKendrick, 2007, pg43). Therefore a contract can only be legally binding if the offer includes clear terms and is declared to the offeree, with communication of a clear and firm acceptance to be bound by these terms given back to the offeror. These two factors combined culminate in the agreement of the contract. However contract formation is rarely simple, and often the offeree will wish to introduce their own terms to the agreement as part of the negotiations, communicating this back to the offeror.This is known as a counter offer. Galbraith (1998, pg80) points out that â€Å"the offer – counter offer situation arises frequently in busi ness where each side in the negotiations may be trying to make the contract on the basis of their own ‘pro forma' standard documents. This gives rise to what us known as battle of the forms† The battle of the forms scenario succinctly defines the rules of offer and acceptance, in that any counter offer destroys the original offer making it irretrievable, with agreement of contract resulting when the last offer is accepted by the offeree.An example of this is evident in the case of Butler Machine Tool Ltd v Ex-Cell-O Corp [1979]. It is also important that there is an element of certainty to the terms of the contract, with the parties expressing their agreement in a form sufficiently certain for the courts to enforce (McKendrick, 2007, pg57). If there is an element of vagueness in the terms of the contract, it could be judged there is no valid contract at all, an example being the vague use of the term ‘hire-purchase' in the case Scammell v Ousten [1941].However if t he parties have contracted with each other previously, it could be deemed as stated by Owen ( 1998, pg55) â€Å"a previous course of dealings will control some of the matters not expressly agreed in the present case, e. g. the amount of pay which could be the same as that paid on a prior occasion†. One particular problem in construction is the ‘letter of intent', widely used between employers and contractors as a form of pre-contract agreement. Following on from the tendering negotiations, Adriaanse (2010, pg55) writes â€Å"the purpose of a letter of intent is to express an intention to enter into a contract at a future date†.These are the result of failing to negotiate on certain terms in time for the project start date, and are introduced to allow the commencement of work, keeping within the projects' completion target. As these are often not legally binding contracts they cause disputes in the future if one of the parties does not carry out their duties, as i n British Steel Corporation v. Cleveland Bridge & Engineering Co. Ltd (1981). Owen ( 1998, pg50) writes that â€Å"all simple contracts must have consideration given by each party to the other as the price of each other's promises.It may take the form of money, goods, services, promises not to sue etc. † For example party A must receive something from party B, in return for party A providing something to party B. However McKendrick (2007, pg88) states that â€Å"consideration must be sufficient but does not need to be adequate†, meaning for example something must be offered to the other party in return to satisfy the rules of consideration, but does not need to be of an equal value as shown in the cases Chappell & Co Ltd v Nestle Co Ltd [1960] and Thomas v Thomas [1842].Consideration given also cannot be past, stated by Owen ( ) in that â€Å"you cannot make a contract in which one person promises to do something for another in exchange for a consideration which has a lready been performed†. This is clear in the cases of Lampleigh v Brathwait [1615] and Roscorla v Thomas [1842].Consideration is of huge importance in the construction industry, as Adriaanse writes this is due to â€Å"a number of factors such as the length of the contractual chain stretching beyond the parties to their subcontractors and suppliers, as well as the system of competitive bidding meaning one party may under-price the cost of the work, raising the possibility that one party may wish to renegotiate the agreement†. This can lead to the question of whether consideration was given when the contract was formed and whether the party is legally entitled to expect renegotiation to occur.However even when consideration has been given by parties and agreement reached this does not mean there is an enforceable contract in place. For a contract to be valid there must also be present the intention of all parties to enter legal relations with one another. Galbraith (1998 , pg91) explains there are two categories, â€Å"commercial arrangements where the parties are presumed to have intended to create a contract, and family, domestic and social arrangements where they are presumed to have not†.In the field of construction only the former is relevant, where the courts would initially look at a case between the parties and presume an intention to enter a contract exists. Conflict can occur when one of the parties seeks to rebut the presumption, in which the party will need to show evidence no contract was intended. An example of such a rebuttal is the case of Rose and Frank Co. v. Compton Bros where it was indicated the written document drawn up was merely a ‘gentleman's agreement' and not a legally binding contract (Galbraith, 1998, pg92). The legal capacity of the parties to enter into a binding agreement also must be present.Minors under the age of 18, and the mentally incapacitated are not able to enter into contracts to protect them fr om their own inability or inexperience (McKendrick, 2007, pg348). Companies are deemed to have full capacity to enter into legal contracts and are not restricted in any way. In conclusion, in order for the formation of a legally binding contract to occur there must be an offer from a party which is followed by acceptance from another party. Certainty must exist within the terms of the agreement, and due consideration must be given by both parties for the price of the promises received.The intentions of all parties to enter into legal relations must be present, as well as the capacity to qualify as valid party to the agreement. Part B a. ) When determining if there is a legal contract agreed between two parties there needs to be examination of whether the key elements of contract formation have been satisfied. In the case of Caroline v. A. W Electrical, the question is if at any point an offer was accepted and therefore a contract agreed between the two parties on the terms given. Wh en A. W Electrical placed the advertisement in the newspaper for the ZR250 Smart Television at ? 80 via mail order, this is a clear invitation to treat and should not be classed as an offer. As discussed in part A, an invitation to treat is where a party will indicate they wish to enter into negotiations which may lead to receiving an offer and an agreement if they choose to accept. Advertisements are a prime example of an invitation to treat as they are an indication of what goods or services that party may be willing to negotiate over, with the price of ? 480 an estimate to invite offers. Subsequently when Caroline saw the advertisement and sent in a cheque for the ? 80, this equates to an offer being made to A. W Electrical. As Galbraith (1998, pg79) states â€Å"an offer exists when one party effectively declares his/(her) readiness to be bound by a set of terms without any further negotiation†. Caroline has effectively done this by sending the cheque for the amount on th e advertisement, the terms being if she gives ? 480, A. W Electrical will send the item without any further negotiation if they accept Caroline's offer. Due to the nature of the terms, A. W Electrical will be judged to have accepted if they go ahead and send Caroline the ZR250 Smart Television.As explained in part A above, there needs to be communication of a clear and firm acceptance to be bound by these terms given back to the offeror. This will be deemed to be communicating via accepting by conduct, in which their actions equates to acceptance of the terms. However instead of sending Caroline the ZR250 model, A. W Electrical sent a ZR200 and a letter the following day with a cheque for ? 80 explaining the ZR250 was not available and unless Caroline returned the item within two weeks they would assume she was satisfied with the deal. A.W Electrical have not accepted Caroline's offer, but introduced a counter offer which is binding to their terms and not Caroline's. As explained by McKendrick (2007, pg43) â€Å"a purported acceptance which does not accept all the terms and conditions proposed by the offeror but which in fact introduces new terms is not acceptance but a counter-offer, which is then treated as a new offer which is capable of acceptance or rejection†. Due to not being able to reply as she was departing on a two week holiday, upon her return Caroline returned the item with a note explaining it was not what she ordered, however A.W Electrical refused to accept the item or provide any further refund as she had not returned the item within two weeks. This raises the question whether Caroline did actually accept the offer by not returning the item within two weeks. For this to be enforceable, the law of contract needs to govern that acceptance by silence is a valid form of coming to agreement. Galbraith states (1998, pg82) â€Å"the rule that acceptance must be communicated means that silence cannot usually amount to acceptance† This ma y mean that in the context of this case, Caroline did not accept the offer made by A. W Electrical and therefore is not bound by the terms.However, full clarity on the matter can be taken from a case law example of Felthouse v. Bindley [1862], where it was judged accepting by silence cannot equal a clear communication of acceptance, unless it is totally clear the offeree intended to do so. In Caroline's case, it is most definitely not clear she wished to accept, due to A. W Electrical not providing the item she requested on the terms given in her original offer. Therefore, there was no contract formed between the two parties as at no point an offer was accepted, rendering the contract void and no terms binding on either party. . ) If however we were to assume a contract was formed between Caroline and A. W Electrical at the point the two week period elapsed, there would be terms binding and these can be separated into two types, express terms and implied terms. McKendrick (2007, pg1 84) explains that â€Å"express terms are the terms agreed specifically by the contracting parties and implied terms are those not specifically agreed but which are implied into the contract by the courts or by Parliament†. The express terms of Caroline’s contract included the price being ? 00 for a ZR200 television given that she sent a cheque initially for ? 480 with an ? 80 cheque sent to Caroline with the item, and that A. W Electrical reserve the right to repair or replace the goods at its discretion if any dispute over the quality of goods were to arise. The implied terms of the contract will include elements of the Sale of Goods Act 1979, which will enforce A. W Electrical to adhere to certain conditions relating to the quality of goods and defects, and the description of the goods sold. S. 4(2) of the Act states there is an implied condition that goods supplied under the contract are of satisfactory quality. This is clearly contradicting the express term made b y A. W Electrical regarding the right to repair or replace the goods, however in order to protect consumers rights the Unfair Contract Terms Act 1977 means that implied terms cannot be excluded in contracts with consumers (McKendrick, 2007, pg205). Therefore the express term is not valid in the contract, and A. W Electrical have broken this implied term by stating this.Furthermore the Sale of Goods Act 1979 s. 13(1) states an implied condition that goods sold by description shall correspond with the description. The advertisement was for a ‘smart’ television however the item provided to Caroline did not possess any ‘smart’ features, therefore this term has been broken due to the item not matching the description advertised. In relation to the right to return the item, when Caroline sent this back to A. W Electrical they refused to accept stating the two week period has passed.We are assuming the contract came in effect and was accepted by Caroline’s silence at the end of this period however the Consumer Protection (Distance Selling) Regulations 2000 s. 10 and s. 11(1-2) explains she has the right to a seven day cancellation period starting from the date the contract was concluded, expiring seven days later. This is another implied term of the contract A. W Electrical have broken in refusing to accept the returned goods. c. ) There are remedies available to Caroline in order to resolve the fact A. W Electrical have broken the terms of the contract.The main issue to her is she is not able to return the television either in exchange for the model she asked for, or for a full refund. This breach of contract is likely to be classed as a breach of warranty, where a warranty is a term in the agreement not fundamental to its existence and therefore the contract cannot simply be terminated due to the breach. However Caroline could recruit the services of a lawyer or solicitor to take legal action against A. W Electrical in the form of a specific performance order, which will require A.W Electrical to perform their primary obligations under the contract (McKendrick, 2007, pg451). This would enforce the implied term from the Consumer Protection (Distance Selling) Regulations 2000. Caroline could also contact the Office of Fair Trading to make a complaint, which could lead to an application to the courts for an injunction against A. W Electrical, ultimately resulting in the same effect of enforcing the contract (Office of Fair Trading, 2012). Bibliography Reference list Adriaanse, J. (2010). Construction Contract Law (3rd ed. Basingstoke: Palgrave Macmillan. Davenport, A. , Galbraith, A,. Stockdale, M. , Wilson, S. (1998). Galbraith’s Building & Land Management Law For Students (4th ed. ) Oxford : Butterworth-Heinemann 1998. McKendrick, E. (2007). Contract Law (7th ed. ) Basingstoke : Palgrave Macmillan 2007. Office of Fair Trading. (2012). Relevant Legislation – The Office of Fair Trading. Retrieved 28 November 2012, from http://www. oft. gov. uk/about-the-oft/legal-powers/legal/#. ULY4v8UTDwM. Owen, S. (1998). Law For The Construction Industry (2nd ed. ) Harlow : Longman 1998. Cases Gibson v.Manchester City Council [1978]. Pharmaceutical Society of Great Britain v Boots Cash Chemists (Southern) Ltd [1953]. Butler Machine Tool Ltd v Ex-Cell-O Corp [1979]. Scammell v Ousten [1941]. British Steel Corporation v. Cleveland Bridge & Engineering Co. Ltd (1981). Chappell & Co Ltd v Nestle Co Ltd [1960]. Thomas v Thomas [1842]. Lampleigh v Brathwait [1615]. Roscorla v Thomas [1842]. Rose and Frank Co. v. Compton Bros [1925]. Felthouse v. Bindley [1862]. Statutes Sale of Goods Act 1979 Unfair Contract Terms Act 1977 Consumer Protection (Distance Selling) Regulations 2000