Thursday, October 31, 2019

Journal Essay Example | Topics and Well Written Essays - 250 words - 26

Journal - Essay Example s not just limited to developed countries who have traditionally been more favorable towards women in careers; typically more male-centric areas of the world like India and China are also showing massive improvements in the way that women are treated in the workplace and their access to jobs and education. However, it must be noted that there are still areas for improvement, despite the fact that the arena has changed so much for the better. Women still do not make as much as men overall (men make $23.4 trillion compared to a female $10.5 trillion) which means that their power and access to some things may be limited. However, it is noted by Foroohar et al (2009) that this may be because it will take a while for the elder women who make less money to retire and allow younger women with higher standards of education and economic prospects to take their place. This is again, proof that women are in a much stronger economic position than they have been previously and that this effect will continue to be seen across the globe. There is also evidence that economic conditions, whilst not necessarily excellent for women in the developing world, will continue to improve as households get more access to technology (like television) and see other countries attitudes towards female economic

Tuesday, October 29, 2019

Confucian Ethics Essay Example | Topics and Well Written Essays - 2000 words

Confucian Ethics - Essay Example Confucius, the founder of Confucianism believed on a golden rule based on the belief that people should do unto others, what they would like to be done unto them His ethical code was based on humanity, love, and morality. Rather than being based on religious beliefs, Confucianism is based on a system of social and ethical principles. In East Asia, Confucianism touches on all aspects of life (Slote and De Vos 5). These include the family, education, society, and government. Although Confucianism has most of the times been grouped together with other religions such as Christianity, Islam, Hinduism, Buddhism, Taoism, and Judaism, it is not a systemised religion. According to Slote and De Vos, â€Å"a viable way of life for so many and for so long, Confucianism has sometimes been viewed as a philosophy and sometimes as a religion† (5). ... Confucius stressed that despite the fact that strict observation of traditional rituals is important, a devoted spirit and a sincere heart are even more important. He found no value in performing rituals, while a person was inhuman or lacked humanness. According to him, taking a keen look at person’s actions, motives, and preferences, then his or her real character is revealed and cannot be concealed. Confucian ethics revolve around associations among human beings. The philosophy mainly â€Å"revolves around family relationships, especially around the relationships between parents and children, between elder and younger brothers, and between husband and wife† (Yao 32-33). The Confucian belief is based on the grounds that fulfilment or responsibilities in these relationships should be done with a complete and genuine heart. However, despite revolving around the family, the Confucian moral philosophy is not restrained within the family, but also the society. Emphasis is p laced on the family because it is the foundation of peace around the world and order in the society. According to Yao (33), the Confucian â€Å"logic is that the family is the basic unit of the human community and that harmonious family relationships will inevitably lead to a harmonious society and a peaceful state†. The virtues of leaders within their families are very vital and determine how they rule organisations and a nation, since the basis of their actions, motives, and preferences is found within their family units. This consequently has an effect on a whole nation. A ruler who has intense love and devotion for his relatives, parents, friends, wife, and children is humane to the common people in the society and treats them with honour and consideration. Such kinds of rulers are

Sunday, October 27, 2019

Revolutions of 1848 and 1989

Revolutions of 1848 and 1989 The Revolutions of 1848 and 1989 had causes that were similar and different from one another, because they both started from the want to get rid of the old governmental system and replace it with a new one in sovereign states. However, one had food shortages that contributed the other did not. The revolutions 1848 were largely democratic in nature, with the aim of removing the old feudal structures and creating independent national states[1]. 1989 revolutions were to put an end to communism and create separate states in the process. In 1848 food shortages with the lower classes influenced the uprisings but not in 1989. The origins of these two events were very similar but 1848 had more influences then 1989. The 1848 and 1989 revolutions both stemmed from economic problems, but the cause of the problems were different between the time periods.   The economic conditions hurt the working class badly in 1848. A series of reforms were rejected by the monarchies, therefore pushing the working class to revolt into a revolution to change the government to better the conditions of the people[2]. In 1989 the same issues were going on however, the difference was the government of the Soviet Union had proposed reforms of economic policies, but they werent helpful to a lot of people due to the governments lack of resources[3]. The revolutions of 1848 and 1989 both came from the same issues economically, but had different causes. These two revolutions were in different locations, because one was western Europe and the other was eastern Europe. The revolutions of 1848 going across Europe included Germany, Italy, and France. In 1989 revolutions spread across eastern Europe which included countries like Estonia, Romania, Yugoslavia, and Lithuania. The citizens in these countries wanted virtually the same thing despite occurring on different sides of the continent. The location of these two revolutions were different but they wanted the same thing. These two revolutions fought for the belief in the same political ideology of democracy, but the revolutions of 1989 strived for it more than the revolutions of 1848. 1848 was fueled by the ideas of liberalism and democracy as was 1989. The two had different priorities when it came to this ideology. These ideas were a direct result from the ideas of the Enlightenment, such as the rights and the security of the constitutional rights the people were entitled to. The working class sought to gain more power in the revolutions of 1848[4]. The people not just the working class wanted to gain independent power from the Soviet Union during the revolutions of 1989. These two revolutions believed in democracy, but the revolutions of 1989 put a lot more weight on that than the 1848 revolutions. The major problem that led up to the revolutions of 1848 and 1989 were the tensions forming between societal superior and inferior groups or classes of people, but one was between non-governmental groups and the other was between governmental and non-governmental. The working class had major issues dealing with survival in poverty. In 1848 people of a higher-class status had or were taking resources that led to them being in that situation. The people of the lower class were of course angry about this and wanted change. In 1989 the government was the one withholding resources from the people because of shortages. Unrest occurred as a result and the people demanded change. The 1848 and 1989 revolutions resulted from tensions between social status groups, but between non-governmental groups and governmental and non-governmental. The outcome of the 1848 and 1989 revolutions had nations going in different directions than before, because the directions they chose had full participation from the people that supported the revolutions. In 1848 the industrious response to the growth of the population was parallel to the new population size after its revolution.[5] More people from rural areas were found moving to the cities to find work in the new industries that were created. In 1989 there was a growth of people in political parties that people supported. Even though most of them failed to meet the needs of the people, the idea of different parties was supported by the people[6]. The results of these revolutions went in different ways, but were still supported by the people. Despite originating from the same issues the revolution of 1848 and 1989 had different results, because the people of each country in the two revolutions went into different directions soon after they ended. Through each of the revolutions of 1848 and 1989 all of the countries had one major component in common, the struggling of the working class. The working class went through hard times the most during these two time periods, facing poverty and death itself. Both revolutions had people that pushed for change for the betterment of their countries. Tensions rose between the classes as well as between people and their government. The results of the 1989 revolutions was different, because it was a more prosperous ending for the people economically and politically than the 1848 revolutions. The revolutions of 1848 and 1989 both started from the same issues but they however started to go in different directions and resulted to the revolutions having completely different outcome from each other. [1] Stearns, Peter N. 1848: The Revolutionary Tide in Europe. Vol. 1. New York : W.W. Norton , 1974. Print. [2] Stearns, Peter N. 1848: The Revolutionary Tide in Europe. Vol. 1. New York : W.W. Norton , 1974. Print. [3] Sony, Ronald Grigor. Empire Falls: The Revolutions of 1989. The Nation. N.p., 28 Oct. 2009. Web. 20 Dec. 2016. [4] Stearns, Peter N. 1848: The Revolutionary Tide in Europe. Vol. 1. New York : W.W. Norton , 1974. Print. [5] Stearns, Peter N. 1848: The Revolutionary Tide in Europe. Vol. 1. New York : W.W. Norton , 1974. Print. [6] Sony, Ronald Grigor. Empire Falls: The Revolutions of 1989. The Nation. N.p., 28 Oct. 2009. Web. 20 Dec. 2016

Friday, October 25, 2019

Essay --

Dividend News for 2013 When the budget deal was agreed upon for the beginning of the year, this included rates on dividends. Qualified dividends, including capital gains, for individuals in the 25%, 28%, 33%, and 35% income tax brackets will continue to be taxed at 15%. Individuals making more than $400,000 in taxable income or couples making more than $450,000 will see their rate rise to 20%. Individuals in the 10% and 15% brackets as before will have a zero tax rate. Charles Farrell, chief executive of Northstar Investment Advisors LLC had stated that these tax rates for this year were pretty consistent. If they had been higher, investors probably would have been favoring non-income producing assets. Although, taxes on dividends will continue to rise for individuals making incomes above $200,000 or families making income above $250,000 due to the new Medicare tax (Ruffenach, 2013). The Patient Protection and Affordable Care Act of 2010 increased tax rates in 2013 for upper bracket taxpayers by 3.8% (Eyde n, 2013). This 3.8% tax applies to net investment returns which covers capital gains, interest, certain annuities, and dividends. So, many families will pay around 18.8% which includes 15% plus 3.8%, plus state taxes. For others who are the high wage earners will pay tax on dividends around 23.8% which includes 20% plus 3.8%. About 80% of companies in the S&P 500 pay dividends. Some of these companies include Exxon, IBM, Apple, Chevron, and Procter & Gamble (Ruffenach, 2013). Dividends are crucial to long term returns. Looking back on the past 100 years, dividends accounted for about 50% of an investor’s total return. The other 50% is from price appreciation or capital gains. If an investor were to cut dividends out of their por... ... 2013). The Bottom Line The dividend tax rate discussion continues to be an argument in board rooms, think tanks, and in Washington (Flannelly, 2013). There has been much controversy whether or not dividends and capital gains should receive preferential tax treatment. The rates of taxation on dividends and capital gains have always been progressive, perhaps for the fairness of the overall economy (Eyden, 2013). As an individual investor, it does not matter what dividend tax rates are, because attractive returns can be realized. Although there is some clarity to the short term future of dividend tax rates, it will be a surety that this will change sometime down the road. With a discussion about the history, the news, the theory, and data about dividend tax rates, this can help with some uncertainty and insight of dividend taxes (Flannelly, 2013).

Thursday, October 24, 2019

Global Ethical Position Of Bp Commerce Essay

In a 2006 interview with ProPublica after the Prudhoe Bay spill, published in Fortune BPs main executive of American operations, Robert Malone, said â€Å" There is no uncertainty in my head, what happened may non hold broken the jurisprudence but it broke our values. Corporate societal duty is merely a responsibility of attention which an administration owes to its stakeholders and the environment in which it operates. Hodgetts et at ( 2006, p65 ) states that: â€Å" Corporate societal duty ( CSR ) can be defined as the actions of a house to profit society beyond the demands of the jurisprudence and the direct involvements of the house. Pressure for greater attending to CSR has emanated from a scope of stakeholders, including civil society ( the wide societal involvements in a given part or state ) and from nongovernmental administrations ( NGOs ) . These groups have urged MNCs to be more antiphonal to the scope of societal demands in developing states, including turn toing concerns about working conditions in mills or service centres and go toing to the environmental impacts of their activities. † Harmonizing to Stewart Broome the Director of Business Ethical motives at BP, BP operate under planetary criterions through its usage of advanced engineering, safe working conditions and operational procedures, safer operational patterns for the protection of the environment in conformity with planetary ethical criterions. However, contrary to BP ‘s ethical place the undermentioned incidents have occurred within the last five old ages which resulted in the loss of lives, devastation of the environment, and marine life.Lustgarten ( 2010 ) reported that:A BP ‘s refinery explored in Texas, March 2005 this resulted in the decease of 15 workers and the hurt of 170 others. Probes determined that BP ignored its ain protocols in the operation of the tower and that the company ‘s warning system was besides disabled. BP accordingly pleaded guilty to federal felony charges and was fined more that $ 50 million by the US Environmental Protection Agency. One twelvemonth subsequently 4,800 barrels of oil leaked into the Alaskan snow through a hole in the company ‘s grapevine at Prudhoe Bay. It was reported by Fortune that BP failed to look into the grapevine in 2002 even though they had been cautioned to look into the grapevine in 2002, they failed to make so. As a consequence a $ 12 million mulct was imposed on BP for a misdemeanor misdemeanor of the federal Water Pollution Control Act. It was subsequently determined by a Congress commission, that BP had ignored chances to forestall the spill and that â€Å" Draconian † cost-saving steps had led to short cuts in its operational projects. BP ‘s most recent incident, on the 20 April 2010 what was confirmed sealed on 19 September 2010 resulted in the decease of 11 individuals. Though the company has investigated the possible causes of the oil spill on the Gulf of Mexico given its path record in the yesteryear there is a deficiency of warrant that such calamities would non go on once more. The households of the workers who died have filed cases impeaching BP of carelessness. Reviewing BP ‘s operations it appears that BP should revisit its planetary ethical place as it relates to the safety of its work force and the environment. It seems that the proper steps and strategic execution of procedures are non being adhered excessively. BP should take the necessary stairss to guarantee the proper care of rigs, regular wellness and safety preparation of staff, proper care of works and equipment to forestall incidents and accidents.The deductions of their trade name and sellingThe universe over the past 20 old ages or so hold become more environmentally painstaking and caring towards prolonging, continuing and keeping the environment. The BP trade name has been affiliated with saving of the environment. BP.Com stated: â€Å" The systems, criterions and engineerings we apply to minimise our environmental footmark. † In giving its operations to responsible planetary leading the company was able to better its repute and increase its bottom line. As a consequence, BP ‘s fiscal position has been sound as stated by Dailyfinance ( 2010 ) stated: â€Å" Due to higher oil monetary values, BP ‘s first one-fourth 2010 net incomes were $ 6.08 billion compared to $ 2.56 billion in the first one-fourth of 2009. † The BP trade name captured a big portion of the mark market this was a contemplation of the company ‘s success. For 16 back-to-back old ages BP individuality as Amoco was rated the best crude oil trade name by consumers and they besides enjoyed one of the three highest trade name trueness reputes for gasoline in the US this was comparable merely to Chevron and Shell. However, the BP trade name is now perceived as socially and environmentally uncommitted to the planetary environment in which they operate and as a consequence there will be â€Å" fall-out † from the BP trade name and its merchandises. John Kleine executive manager of the BP Amoco Marketers Association ( 2010 ) stated: â€Å" Some BP gas station proprietors in the United States want to drop the BP name and return to the Amoco trade name to retrieve concern hit by public choler over the Gulf of Mexico oil spill catastrophe. The worst seaward oil spill in U.S. history fouled beaches from Texas to Florida, lay waste toing the Gulf seashore fishing and touristry industries. Some environmental groups called for a boycott of BP gas Stationss. † Due the negative impact of that the company ‘s operations has on the environment they are traveling to be individual who would reject the BP trade name. Kleine ( 2010 ) stated: â€Å" The BP spill has had a psychological impact on distributers. He described it as a clip of crisis and triageaˆÂ ¦.That truly comes from being concerned about their concern, their support, their investing, seeing every twenty-four hours the intelligence that would be given to do you believe that the concern is traveling to worsen. † Johansson ( 2006, p11 ) stated that in planetary selling it is indispensable that selling activities are coordinated and integrated across geographical lodgers. Merchandises are standardize, packaging of merchandises are uniformed with indistinguishable stigmatization in a figure of states. JOHANSSON ( 2006, p15 ) states that: â€Å" Global trade names are trade names that are available, good cognize, and extremely regarded throughout the universe ‘s market. Examples include Swatch, Mercedes, Nestle, Coca-Cola, Nike, Mc Donald ‘s, Sony and Honda. † BP can be compared to the instance of planetary company Nike and the allegations of child labor, insecure working conditions and inhumane conditions of work. Though Nike ne'er admitted straight to any incorrect making they did nevertheless, raise the minimal hiring age from 16 to 18 old ages, improved the conditions of work and the company even created a place of a frailty president for corporate and societal duty. The universe may mostly comprehend BP as an irresponsible company non presently taking caring for the environment, its workers and the planetary community at big. BP ‘s company image as it relates to the environment, Marine and wildlife is tainted due to the figure and badness of oil spills, particularly given the length of clip about five months ( September 2010 ) which it took for the well to be sealed. The public appears to hold lost trust and religion in BP ‘s ability to carry on its operations in a mode which is safe for their workers and the environment in which it operates. Non-governmental groups would clamor for stricter control and harsher punishments for companies through their operations. The fishing industry, mostly little concerns, along the seashore expressed concerns that they may be taken for â€Å" a drive † due to BP ‘s hold in covering with their claims for losingss, after what has been considered the worst natural catastrophe in recent times. There is the urgency for stricter statute law by authoritiess which would guarantee that companies that operate in their state follow wellness and safety policies harmonizing to the Occupational Health Safety Act. Failure by any company to implement safer working conditions and operations can merely weaken the company ‘s image and present a menace to the endurance of the company. Persons would seek alternate merchandises and services from other companies which in its production and fabrication phases are non harmful but safer to the environment. PERREAULT ( 2005, p256-257 ) stated that: â€Å" Brand rejection means that possible clients wo n't purchase a trade name unless its image is changed. Rejection may propose a alteration in the merchandise or possibly merely a displacement to aim clients who have a better image of the trade name. Get the better ofing a negative image is hard and can be really expensive. † Global clients dissatisfied with trade name image can ensue in consumers globally rejecting the trade name which would finally impact BP ‘s net incomes.What planetary selling scheme should they follow now?In reappraisal BP has a â€Å" up- hill † conflict to reconstruct its bruised repute through its acceptance of an international civilization of safety for their workers and the environment. Fredrx, ( 2010 ) argues that: â€Å" BP may hold plugged the leak in the Gulf Oil spill, but the harm done to its trade name will take old ages to repair. A new selling industry study released Wednesday shows the British oil company has tumbled off a list of the universe ‘s top 100 trade names. † It is extremely recommended that BP strengthen its trade name unity through corporate societal duty and planetary ethical behaviour, which would pull clients one time once more to the BP trade name. By signaling to its stakeholders it is committed to run intoing its moral duties and outlooks beyond what they are required to make by statute law leting for the buy-in to the BP trade name. It is indispensable at this clip the BP re-strategize its operations to ‘regain ‘ its image of an environmentally friendly â€Å" green † crude oil company. Therefore, it would be prudent for BP to reconstitute the company and its direction construction. Freeman et at ( 2007, 6 ) stated that: ( painstaking trade names, †¦ intend trade names that see socially responsible behavior as an built-in portion of what they do, instead than as an attention deficit disorder on. †¦ .conscientious trade name proprietors are human-centric and transparent, focused on making positive alteration in the universe ( non merely on understating the negatives ) and cognizant of the demands of all stakeholders. † To retrieve rapidly it is of important importance that BP focuses its resources and attending on issues of safety. The assignment of Mr Robert Riley to the place of Head of Safety and Operational Risk, Competency and Capability Development was as a direct consequence of his 10 twelvemonth reign at the caput of BP Trinidad without incidents and accidents. The company wants to further a civilization on nothing accidents in their planetary operations. Paul, ( 2010 ) stated that: â€Å" In this new function Riley will describe to Bly and will take BP ‘s worldwide attempts to develop industry taking quality and rigour into BP ‘s operations, peculiarly as it relates to safety and operational hazard. aˆÂ ¦As a effect of the spill BP established a new Safety and Operation Risk unit to let functionaries to step in in all of BP ‘s proficient activities. † This move was necessary to cover with the concerns from the planetary environment sing the issues of safety in BP ‘s operations which resulted in the oil spill of April 2010. Their purpose is to standardize BP ‘s planetary safety and operational unity to a degree which would extinguish accidents and incidents go forthing negative impacts on the environment. Mr Riley was hence given this assignment to assist reconstruct the image and repute of BP as an environmentally caring company, since Mr Riley while he take BPTT had zero incidents. Johansson ( 2006, p537 ) stated: â€Å" Global public dealingss is a signifier of indirect publicity of merchandises and services that focuses on making good will towards the corporation as a whole. The corporate communications staff at central offices and its opposite number in the assorted host states serve as boosters of the corporation to assorted stakeholders interested in the company ‘s foreign enlargement † It is of import that rigorous policies on the Occupational Health and Safety Act are decently implemented and enforced. The Company ‘s image has to alter reflecting that they are an environmentally painstaking company. Therefore this is an effort by BP to reconstruct its trade name and image. Their image has to alter to one which is socially, ethically and environmentally witting. The spill of April 2010 has surely impacted negatively on BP ‘s image as a â€Å" green † company. It is of import that they return to the company ‘s vision and develop and implement schemes which would enable the company to cover with its image and trade name rebuilding. â€Å" The 1000000s of gallons of oil that have spilled into the Gulf of Mexico are more like an epidemic, one that we will be contending for months and even years.A But do no error: A We will contend this spill with everything we ‘ve got for every bit long as it takes.A We will do BP wage for the harm their company has caused.A And we will make whatever ‘s necessary to assist the Gulf Coast and its people recover from this calamity. † In the wake of the spill it would be advisable to BP to redrand its advancing the â€Å" new † company as a more human-centric and environmental painstaking company. BP would besides be advised to work with its stakeholders to guarantee such a catastrophe ne'er happensAFour possible ethical stance BP can followResearching Corporate Strategy, Seventh Edition A © Pearson Education Ltd 2005Word count: -2049

Wednesday, October 23, 2019

Importance of nutrition during the Infancy and Toddler-hood period Essay

Children are a blessing from God and it is therefore important that we ensure that those bundles of joy are well taken care of. Infants are generally taken to be children from birth to around one year, and it becomes therefore important to give them utmost care since they are at their most vulnerable stage in life. This care should not only be confined to attention and love but most importantly should be the focus of what and how best to feed the infant. Scientists have expressed their belief that what we feed our infants might have drastic consequences later in life. These consequences include such conditions as diabetes and obesity and the rampant rate of obesity in developed countries might just be a reflection of the inability of parents to feed their children’s appropriately (Fallows & Kingham, 2005). Doctors have stated categorically that child4ren should be fed milk only during the first six months of their lives and it should be noted that faulting this wise counsel could risk the health of these infants in the future. Breast milk contains all the vital nutrients that an infant need in order to grow and appropriate vitamins to boost his/her immune system top fend off diseases. It is important to note that while it is advisable to feed the infant using breast milk, infants could also be fed with formula as a supplement of breast milk. There are many reasons why many mothers choose to use formula to feed their babies. Some simply find out that breastfeeding does not work for them either for psychological or practical reasons. The demands of life that leads to very busy lifestyles work against the need for mothers to be with their children full time and formula simply happens to be a better alternative. However, there are still those who express their breast milk in feeding bottles and the milk is fed to the infant by someone else who is available to care for the toddler (Ward, 2009). Infants usually need to feed eight to twelve times in a day since they are growing rapidly and the proteins inside the milk are a vital component for this growth. For those with infants who sleep a lot, it is advisable to wake them regularly in order to feed the since failure to do so might hamper their growth. It is also recommended that parents take their babies to the clinic to have them weighed and observed to ensure that they are growing in a healthy manner and acquire vital information about how best to take care of their babies. There are signs to observe during the sixth month to signify that the infant is ready to start being weaned. This include such period when the baby can sit up, baby does not reject the food put in its mouth, can pick up food stuffs and stuff it into the mouth and an increased appetite for milk. Babies should be weaned slowly with a meal per day and it is important to continue breast feeding at least till one year. Some of the food which one can feed and infant include cereals, soft fruits, rice and vegetables that can be crushed. However, around 10 months infants are ready to be introduced to adult foods but such a transition should be handled with utmost care. As the baby becomes a toddler a period which lasts from between 12 months to 24 months, his food needs increases. During this period the toddler starts to walk and he requires increased proteins for growth and energy foods to sustain his activities. At this period toddlers may change their eating habits due to changes in growth patterns. Moreover, toddlers become choosy when it comes to certain foods and it is nothing to do with illness. Again, parents needs top be careful about the food they feed the infants and toddlers since some of them might be allergic and impair the health of this babies. They should therefore make a point of seeking information diligently about how best to feed their children (Papalia, Wendkos & Duskin, 2007). References Fallows,C. & Karen Kingham, K. (2005). Baby & Toddler Food. Murdoch books. Papalia, D. , Wendkos S. & Duskin, R. (2007). A Child’s World: Infancy through Adolescence:11th Ed. McGraw-Hill Ward, E. (2009). What to Feed Your Baby and Toddler. Retrieved May 17, 2009 from http://children. webmd. com/guide/what-to-feed-your-baby-toddler.

Tuesday, October 22, 2019

Chiang Kai-Shek Essays - Republic Of China, Chinese Christians

Chiang Kai-Shek Essays - Republic Of China, Chinese Christians Chiang Kai-Shek Chiang Kai-shek Chiang Kai-shek, also known as Chiang Chung-cheng, was the son of a middle-class wine merchant who lived in the village of Chikow in Chekiang Province. When he was fourteen years old, following the Chinese custom of that time, he was arranged to be marry by his mother (the brides name is not mentioned). His bride and he did not see each other until his walk down the aisle. He did this without complaints only to please his mother. Once he was married he met his brides parents, as was tradition. Due to Chiangs bad temper, the meeting ended in arguments between Chiang and his brides father. Once home he tried to keep his mind off of the marriage and concentrated more on what kind of man he wanted to become. He dreamed of becoming a soldier. He saw adventure in a military career and felt comfortable with the demand for authority, order, and strength. Though his family objected and hoped for him to study law, he went off to Tokyo Military Staff College in 1907. There he became a follower of the revolutionary leader Dr. Sun Yat-sen. This encouraged him in 1911 to take part in the revolt that established the Chinese Republic. In 1917 when Sun established the Guangzhou government, Chiang was his military aide. Sun sent him to the USSR to study Russia military methods and was more than willing to go. He got a good response from the people there. Not only did they give him advice but they also sent thirty or so military men as help. One of these men, named Michael Borodin suggested that they start a military academy in China. They placed it in Whampoa and named it the Whampoa Military Academy. Their main goal was to demand and deserve respect. Once opened they received 1,500 applicants. It planned to register only 300. Sun began to encourage Chiangs participation in the Nationalist party. After Sun died in 1925, Chiang became a powerful figure in the it and in 1926 took command of the Nationalist army. This was called the Northern Expedition, entering into Shanghai, Hankou, and Nanjing. Chiang initiated the long civil war between the Nationalist government and the Communists.. This was ended in 1936 by General Chang Hsueh-liang who hoped to unite in defense of the approaching Japanese. Many felt that unity could not be achieved unless Chiang were removed as commander-in-chief even before the expedition was completed. To avoid such humiliation, he resigned from his position. He issued a public statement to the newspapers. It said, I am willing to sacrifice my position in order to assist the unification of the party and to make possible the accomplishment of the chief objective of Kuomintang. With Chiangs mind no longer focused on the political issues he could now focus on himself. He decided to ask a young woman named Mayling Soong to marry him. He was no longer married to his childhood wife and now wanted a companion. First he had to get the approval of Mother Soong. She disagreed with his age and religious beliefs but eventually, happily gave her approval for their marriage. On December 1, 1927, they were married in the Soongs Shanghai home. Chiang continued with his political mission with Mayling at his side. Her knowledge and beauty helped him through his journey. Soon after his marriage Chiang gained back command of the Kuomintang army and continued heading north. In 1928 his army reached Peking and being the chief of the Nationalist party, he became head of the Republic of China. After many years and many hard battles he finally made peace with Japan. In the process he was elected Chinas president in 1943 and reelected in 1948. When the Communists won control of China in 1949, Chiang escaped to Taiwan and set up a Nationalist China government there. Chiang was reelected in 1954, 1960, 1966, and 1972. He died on April 5, 1975 after being ill since 1972 and left his official duties to his son, Premier Chiang Ching-kuo. After reading this book I am more understand of the struggles that China has had to face. Before this I did not even know who Chiang Kai-shek was. Now I know

Monday, October 21, 2019

Racial Identity and Religion

Racial Identity and Religion Introduction Cultural differences can be explained using multicultural concepts that may include racial identity and religion. These two concepts can summarize the behavioral norms in both a single cultured and a multicultural society. Both concepts are important in enhancing the development of co-habitation in the contemporary fast growing world.Advertising We will write a custom research paper sample on Racial Identity and Religion specifically for you for only $16.05 $11/page Learn More Multicultural concepts do also come in handy in societal development especially when they tackle the subject in question on an interaction perspective. This is because development does not take place in single isolated variables. They take place in totality. This work gives a brief but comprehensive discussion of the two multicultural concepts which are quite significant in the understanding of cultural differences. Racial Identity It should be noted that the genesis of ra cial concepts is closely related to the classification of human beings. Many racial theories have attempted to demarcate and elevate one particular social group from others, thereby justifying the oppression and exploitation of certain ethnic groups who are presumed to be inferior. The inferiority concept here refers to the level of intelligence, degree of morality, physicality of the individuals in the social group and culture of the social group (Fedelina and Guido-Dibrito, 1999). As a result, there was the institutionalization of enslavement of Africans by the whites. Another act that is related to racialism is the terrorism committed against particular groups. Racial identity is the subjective sense of an invigorating sameness and continuity. The concept is known to interact closely with the social class, culture, gender and other biological factors. Racial identity takes on many forms. The concept begins during the early stages of childhood development and develops rapidly amon gst groups so visibly recognized by race. Such messages are conveyed through metacommunications which are subtle and often unspoken messages that are learned early in life and reinforced without the aid of spoken words. Thus, it may not emanate from the teachings of parents. This is pretty evident especially in racially integrated schools. In such schools, there are racially homogeneous eating areas in lunch rooms. The unspoken rule in these lunch rooms is that boundaries must not be violated. Thus, whites eat with whites; blacks eat with blacks, Hispanics with Hispanics and so forth. This instance explains the fact that even without parents verbal teachings on racial orientations, racialism can still be conveyed implicitly in racially segregated housing patterns and socioeconomic relationships.Advertising Looking for research paper on cultural studies? Let's see if we can help you! Get your first paper with 15% OFF Learn More As an individual matures, he or she develops a personality that is informed by social and moral attitudes, behaviors, and feelings. It should be noted that social and personality developments are strongly intertwined with racial presumptions that are learned through copying (Fedelina and Guido-Dibrito, 1999). This habit is internalized and further enhanced by the need to conform the prevailing racial norms so that the individual’s characters are socially acceptable. It is quite disheartening to understand that racial segregation still has its roots in the modern society. In places where race is still a powerful divider, sociocultural backgrounds and ethnical similarities do not matter a lot even if it is within the particular social group. The reality of sociocultural and ethnical similarities is quite irrelevant in such situations. A good example is the relationship between the Whites and the Blacks in America. Their cultural similarities are so obvious to people living outside the United States. However, racial spheres still exist and it is the major tool that obfuscates the two races. Religion Religion is the culture of a belief in a deity or a superior being that is believed to control natural phenomena among those who practice it. Religion concerns with nature and life’s purpose especially when viewed in the perspective of creation and a holy being (Culture and religion, 2010). Religion is actually a wide subject that requires extensive research concerned with the development of personalities in a multicultural society. There are so many religions at present and they include Islam, Christianity, Judaism, Shinto, Buddhism, Hinduism and Jainism among many others. The above are just the major religions. Otherwise, there are many other religions whose beliefs are practiced by fewer numbers of the population. In a multicultural society, it is quite difficult to enhance specific religious convictions. In the western society, for example, Caucasian, Afro-Caribbean, South Asian an d Chinese people jostle every street. The presence of these people comes along with different cultural and religious backgrounds. Such kinds of society are usually faced with the problems of decisions on how to adjust to make their own ways. Such people may insist upon many religious beliefs as essential tools for the satisfactory livelihood of the entire community in question. Thus, there must be a visible line that distinguishes between religion and culture is such a pluralistic society (Culture and religion, 2010).Advertising We will write a custom research paper sample on Racial Identity and Religion specifically for you for only $16.05 $11/page Learn More It is here that pluralism must take effect so as to take care of the various modes of freedom. These forms of freedoms include the freedom to believe or not to believe, and the freedom to conform or not to conform. Also in this system lies the freedom from the domination of one religious group. Religi ous beliefs are taught to children and enhanced through internalization and the need to maintain the individuality and character of the religion. Some people tend to be exclusivists by thinking that only their religion is right. Integration plays a major role in the adaptation and acceptance of different religious groups. It is through integration, adaptation and acceptance that a particular religious group may secure homes, incomes, and amenities together with other different groups. In many urban multicultural societies, religious affiliations have continued to diminish in use as a benchmark for public decision making. The act of assimilation in exclusivist societies is quite difficult taking into consideration that most of these societies come from rural backgrounds. Exposure to different religious beliefs other than ones own is a factor that plays a big role in acceptance of the other religions. However, it should be noted that integration of particular religious groups is quite different from assimilation. Assimilation is not easy when dealing with enhancement and maintenance of a particular religion. However, integration is quite easy because it comes along with acceptance that means trust. As it is well known, trust is not a threat to the society as a whole. Conclusion Many racial theories have attempted to demarcate and elevate one particular social group from others, thereby justifying the oppression and exploitation of certain ethnic groups who are presumed to be inferior. Racial identity is the subjective sense of an invariant sameness and continuity. The concept is known to interact closely with the social class, culture, gender and other biological factors. On the other hand, religion is the culture of a belief in a deity or a superior being that is believed to control natural phenomena among those who practice it. In a multicultural society, religion requires integration to develop the culture of acceptance and adaptability.Advertising Looking for research paper on cultural studies? Let's see if we can help you! Get your first paper with 15% OFF Learn More Reference List Culture and religion, (2010). Culture and Religion: Thoughts on Religion. Retrieved from cultureandreligion.com/html/thoughts_on_religion.html Fedelina, A., Guido-Dibrito, F. (1999). Racial and Ethnic Identity and Development. New Directions For Adult And Continuing Education. No. 84. Web.

Sunday, October 20, 2019

American Civil War - American Civil War Eastern Theater 1863 to 1865

American Civil War - American Civil War Eastern Theater 1863 to 1865 Previous: War in the West, 1863-1865 Page | Civil War 101 Grant Comes East In March 1864, President Abraham Lincoln promoted Ulysses S. Grant to lieutenant general and gave him command of all Union armies. Grant elected to turn over operational control of the western armies to Maj. Gen. William T. Sherman and shifted his headquarters east to travel with Maj. Gen. George G. Meades Army of the Potomac. Leaving Sherman with orders to press the Confederate Army of Tennessee and take Atlanta, Grant sought to engage General Robert E. Lee in a decisive battle to destroy the Army of Northern Virginia. In Grants mind, this was the key to ending the war, with the capture of Richmond of secondary importance. These initiatives were to be supported by smaller campaigns in the Shenandoah Valley, southern Alabama, and western Virginia. The Overland Campaign Begins the Battle of Wilderness In early May 1864, Grant began moving south with 101,000 men. Lee, whose army numbered 60,000, moved to intercept and met Grant in a dense forest known as the Wilderness. Adjacent to the 1863 Chancellorsville battlefield, the Wilderness soon became a nightmare as the soldiers fought through the dense, burning woods. While Union attacks initially drove the Confederates back, they were blunted and forced to withdrawal by the late arrival of Lt. Gen. James Longstreets corps. Assaulting the Union lines, Longstreet recovered the territory that had been lost, but was severely wounded in the fighting. After three days of the fighting, the battle had turned into a stalemate with Grant having lost 18,400 men and Lee 11,400. While Grants army had suffered more casualties, they comprised a lesser proportion of his army than Lees. As the Grants goal was to destroy Lees army, this was an acceptable outcome. On May 8, Grant ordered the army to disengage, but rather than withdrawal towards Washington, Grant ordered them to continue moving south. Battle of Spotsylvania Court House Marching southeast from the Wilderness, Grant headed for Spotsylvania Court House. Anticipating this move, Lee dispatched Maj. Gen. Richard H. Anderson with Longstreets corps to occupy the town. Beating the Union troops to Spotsylvania, the Confederates constructed an elaborate set of earthworks in the rough shape of an inverted horseshoe with a salient at the northern point known as the Mule Shoe. On May 10, Col. Emory Upton led a twelve regiment, spearhead attack against the Mule Shoe which broke the Confederate line. His assault went unsupported and his men were forced to withdrawal. Despite the failure, Uptons tactics were successful and were later replicated during World War I. Uptons attack alerted Lee to the weakness of the Mule Shoe section of his lines. To reinforce this area, he ordered a second line built across the salients base. Grant, realizing how close Upton had been to succeeding ordered a massive assault on the Mule Shoe for May 10. Led by Maj. Gen. Winfield Scott Hancocks II Corps, the attack overwhelmed the Mule Shoe, capturing over 4,000 prisoners. With his army about to be split in two, Lee led Lt. Gen. Richard Ewells Second Corps into the fray. In a full day and nights fighting, they were able to retake the salient. On the 13th, Lee withdrew his men to the new line. Unable to break through, Grant responded as he did after Wilderness and continued moving his men south. North Anna Lee raced south with his army to assume a strong, fortified position along the North Anna River, always keeping his army between the Grant and Richmond. Approaching the North Anna, Grant realized that he would need to split his army to attack Lees fortifications. Unwilling to do so, he moved around Lees right flank and marched for the crossroads of Cold Harbor. Battle of Cold Harbor The first Union troops arrived at Cold Harbor on May 31 and began skirmishing with the Confederates. Over the next two days the scope of the fighting grew as the main bodies of the armies arrived on the field. Facing the Confederates over a seven mile line, Grant planned a massive assault for dawn on June 3. Firing from behind fortifications, the Confederates butchered the soldiers of the II, XVIII, and IX Corps as they attacked. In the three days of fighting, Grants army suffered over 12,000 casualties as opposed to only 2,500 for Lee. The victory at Cold Harbor was to be the last for the Army of Northern Virginia and haunted Grant for years. After the war he commented in his memoirs, I have always regretted that the last assault at Cold Harbor was ever made...no advantage whatever was gained to compensate for the heavy loss we sustained. The Siege of Petersburg Begins After pausing for nine days at Cold Harbor, Grant stole a march on Lee and crossed the James River. His objective was to take the strategic city of Petersburg, which would cut the supply lines to Richmond and Lees army. After hearing that Grant crossed the river, Lee rushed south. As the lead elements of the Union army approached, they were prevented from entering by Confederate forces under Gen. P.G.T. Beauregard. Between June 15-18, Union forces launched a series of attacks, but Grants subordinates failed to push home their assaults and only forced Beauregards men to retire to citys inner fortifications. With the full arrival of both armies, trench warfare ensued, with the two sides facing off in a precursor to World War I. In late June, Grant began a series of battles to extend the Union line west around the south side of the city, with the goal of severing the railroads one by one and overextending Lees smaller force. On July 30, in an effort to break the siege, he authorized the detonation of a mine under the center of the Lees lines. While the blast took the Confederates by surprise, they quickly rallied and beat back the mishandled follow-up assault. Previous: War in the West, 1863-1865 Page | Civil War 101 Previous: War in the West, 1863-1865 Page Civil War 101 Campaigns in the Shenandoah Valley In conjunction with his Overland Campaign, Grant ordered Maj. Gen. Franz Sigel to move southwest up the Shenandoah Valley to destroy the rail and supply center of Lynchburg. Sigel began his advance but was defeated at New Market on May 15, and replaced by Maj. Gen. David Hunter. Pressing on, Hunter won a victory at the Battle of Piedmont on June 5-6. Concerned about the threat posed to his supply lines and hoping to force Grant to divert forces from Petersburg, Lee dispatched Lt. Gen. Jubal A. Early with 15,000 men to the Valley. Monocacy Washington After halting Hunter at Lynchburg on June 17-18, Early swept unopposed down the Valley. Entering Maryland, he turned east to menace Washington. As he moved towards the capital, he defeated a small Union force under Maj. Gen. Lew Wallace at Monocacy on July 9. Though a defeat, Monocacy delayed Earlys advance allowing Washington to be reinforced. On July 11 and 12, Early attacked the Washington defenses at Fort Stevens with no success. On the 12th, Lincoln viewed part of the battle from the fort becoming the only sitting president to be under fire. Following his attack on Washington, Early withdrew to the Valley, burning Chambersburg, PA along the way. Sheridan in the Valley To deal with the Early, Grant dispatched his cavalry commander, Maj. Gen. Philip H. Sheridan with an army of 40,000 men. Advancing against Early, Sheridan won victories at Winchester (September 19) and Fishers Hill (September 21-22) inflicting heavy casualties. The decisive battle of the campaign came at Cedar Creek on October 19. Launching a surprise attack at dawn, Earlys men drove the Union troops from their camps. Sheridan, who was away at a meeting in Winchester, raced back to his army and rallied the men. Counterattacking, they broke Earlys disorganized lines, routing the Confederates and forcing them to flee the field. The battle effectively ended the fighting in the Valley as both sides rejoined their larger commands at Petersburg. Election of 1864 As military operations continued, President Lincoln stood for reelection. Partnering with War Democrat Andrew Johnson of Tennessee, Lincoln ran on the National Union (Republican) ticket under the slogan Dont Change Horses in the Middle of a Stream. Facing him was his old nemesis Maj. Gen. George B. McClellan who was nominated on a peace platform by the Democrats. Following Shermans capture of Atlanta and Farraguts triumph at Mobile Bay, Lincolns reelection was all but assured. His victory was a clear signal to the Confederacy that there would be no political settlement and that war would be prosecuted to end. In the election, Lincoln won 212 electoral votes to McClellans 21. Battle of Fort Stedman In January 1865, President Jefferson Davis appointed Lee to command of all Confederate armies. With the western armies decimated, this move came too late for Lee to effectively coordinate a defense of the remaining Confederate territory. The situation worsened that month when Union troops captured Fort Fisher, effectively closing the Confederacys last major port, Wilmington, NC. At Petersburg, Grant kept pressing his lines west, forcing Lee to further stretch his army. By mid-March, Lee began to consider abandoning the city and making an effort to link up with Confederate forces in North Carolina. Prior to pulling out, Maj. Gen. John B. Gordon suggested a daring attack on the Union lines with the goal of destroying their supply base at City Point and forcing Grant to shorten his lines. Gordon launched his attack on March 25 and overran Fort Stedman in the Union lines. Despite early success, his breakthrough was quickly contained and his men driven back to their own lines. Battle of Five Forks Sensing Lee was weak, Grant ordered Sheridan to attempt a move around the Confederate right flank to the west of Petersburg. To counter this move, Lee dispatched 9,200 men under Maj. Gen. George Pickett to defend the vital crossroads of Five Forks and the Southside Railroad, with orders to hold them at all hazards. On March 31, Sheridans force encountered Picketts lines and moved to attack. After some initial confusion, Sheridans men routed the Confederates, inflicting 2,950 casualties. Pickett, who was away at a shad bake when the fighting started, was relieved of his command by Lee. The Fall of Petersburg The following morning, Lee informed President Davis that Richmond and Petersburg would have to be evacuated. Later that day, Grant launched a series of massive assaults all along the Confederate lines. Breaking through in numerous places, Union forces forced the Confederates to surrender the city and flee west. With Lees army in retreat, Union troops entered Richmond on April 3, finally achieving one of their principle war goals. The next day, President Lincoln arrived to visit the fallen capital. The Road to Appomattox After occupying Petersburg, Grant began chasing Lee across Virginia with Sheridans men in the lead. Moving west and harried by Union cavalry, Lee hoped to re-supply his army before heading south to link up with forces under Gen. Joseph Johnston in North Carolina. On April 6, Sheridan was able to cut off approximately 8,000 Confederates under Lt. Gen. Richard Ewell at Saylers Creek. After some fighting the Confederates, including eight generals, surrendered. Lee, with fewer than 30,000 hungry men, hoped to reach supply trains that were waiting at Appomattox Station. This plan was dashed when Union cavalry under Maj. Gen. George A. Custer arrived in the town and burned the trains. Previous: War in the West, 1863-1865 Page Civil War 101 Previous: War in the West, 1863-1865 Page | Civil War 101 Meeting at Appomattox Court House While most of Lees officers favored surrender, others did not fearing that it would lead to the end of the war. Lee also sought to prevent his army from melting away to fight on as guerrillas, a move that he felt would have long term harm for the country. At 8:00 AM Lee rode out with three of his aides to make contact with Grant. Several hours of correspondence ensued which led to a cease fire and a formal request from Lee to discuss surrender terms. The home of Wilmer McLean, whose house in Manassas had served as Beauregards headquarters during the First Battle of Bull Run, was selected to host the negotiations. Lee arrived first, wearing his finest dress uniform and awaited Grant. The Union commander, who had been suffering a bad headache, arrived late, wearing a worn privates uniform with only his shoulder straps denoting his rank. Overcome by the emotion of the meeting, Grant had difficulty getting to the point, preferring to discuss his previous meeting with Lee during the Mexican-American War. Lee steering the conversation back to the surrender and Grant laid out his terms. Grants Terms of Surrender Grants terms: I propose to receive the surrender of the Army of N. Va. on the following terms, to wit: Rolls of all the officers and men to be made in duplicate. One copy to be given to an officer designated by me, the other to be retained by such officer or officers as you may designate. The officers to give their individual paroles not to take up arms against the Government of the United States until properly exchanged, and each company or regimental commander sign a like parole for the men of their commands. The arms, artillery and public property to be parked and stacked, and turned over to the officer appointed by me to receive them. This will not embrace the side-arms of the officers, nor their private horses or baggage. This done, each officer and man will be allowed to return to their homes, not to be disturbed by United States authority so long as they observe their paroles and the laws in force where they may reside. In addition, Grant also offered to allow the Confederates to take home their horses and mules for use in the spring planting. Lee accepted Grants generous terms and the meeting ended. As Grant rode away from the McLean house, the Union troops began to cheer. Hearing them, Grant immediately ordered it stopped, stating he did not want his men exalting over their recently defeated foe. End of the War The celebration of Lees surrender was muted by the assassination of President Lincoln on April 14 at Fords Theater in Washington. As some of Lees officers had feared, their surrender was the first of many. On April 26, Sherman accepted Johnstons surrender near Durham, NC, and the other remaining Confederate armies capitulated one by one over the next six weeks. After four years of fighting, the Civil War was finally over. Previous: War in the West, 1863-1865 Page | Civil War 101

Saturday, October 19, 2019

Operational Research & the Decision Sciences Essay

Operational Research & the Decision Sciences - Essay Example While this will be based on the latest decision making tools and methods, all available options should be considered as input to the operation research model adopted for a particular case.......................(1) All business organizations would expect their executives to have enhanced decision-making capability to lead the business from the front on a gainful and productive basis. Operation research is the powerful tool to achieve this. While there are many professional tools and software available to help the business leaders for better decision making, Operation research is unique as it considers only the specific inputs and data that is applicable for a particular challenging problem, while considering the best options and information which is most beneficial for the organization. Hence, the operation research professionals customize each solution, that is unique and tailor made for the imposing challenge. When the available choices are many and it is difficult to work on a particular option, the optimization technology is adopted for minimizing the risks involved, eliminating the unworkable options, while finding the best choice available. This relates to the collection of huge data concerned with the imposing challenge; categorize this data into various degrees of risk involving groups, while finding the connected information, about each group. This method helps in comparing the risk management of the data collected and comparing each group This leads to testing of many options and conclusions for reaching the best solution possible...............(2) When a process is not working efficiently due to non decision making ability at the ground level for day to day operations, there is a need to employ operational research techniques for improving the overall efficiency of the effected process, which in turn can result in better functioning of related processes in the operational chain. This will finally help in the improvement

Friday, October 18, 2019

Northern Ireland Between 1963 and 1972 Essay Example | Topics and Well Written Essays - 2000 words

Northern Ireland Between 1963 and 1972 - Essay Example This particular time period is one of the most important in regards to the entire history of the competing forces between the Unionists and the Nationalists and even in regards to Northern Ireland overall, and in order to understand why the British government was so ineffective during this time, there are several key issues that need to be discussed in regards to this matter. By addressing and examining different people's points of view, as well as integrating somewhat of a personal opinion, we will be able to not only answer the argument of why the British government was so ineffective in this regards, but also the things that they should and could have done in order to best mend relations between these competing forces. Furthermore, we will be addressing the issue of why there was only a political initiative being tabulated after all of this, in the year 1973, and why it was not done before this, as it certainly should have been. This is what will be dissertated in the following. Between the years of 1963 and 1972, there was much turmoil that took place in Northern Ireland, particularly in regards to the competing forces of the Unionists and the Nationalists. ... The Troubles is a term which is used to basically describe the era that is in discussion here, however the Troubles actually initialized in the early 1920s. It is a term which is used to describe "the latest installment of periodic communal violence involving republican and loyalist paramilitary organizations, the Royal Ulster Constabulary (RUC), the British Army and others in Northern Ireland from the late 1960s until the late 1990s ending with the Good Friday Agreement on April 10, 1998".2 Although the Troubles are considered as having truly initialized during the late 1920s, they really did not become acknowledged as to have had begun until the year 1968, when there was widespread rioting and public disorders all over Northern Ireland that had broken out at the marches of the Northern Ireland Civil Rights Association (NICRA). This was one of the main times when the British government should have stepped in and really done something to arbiter these competing forces however they in a sense basically stood by and did nothing. There are a few different reasons that can be used to explain why this is, and one in particular is the fact that they were afraid. Basically, although the Nationalists (Catholics) made up the majority of the population even at that time, it was the Unionists (Protestants) who tended to be richer and more powerful, however when the NICRA group ended up launching a peaceful civil rights campaign in the year 1967, they were "seeking a redress of Catholic and Nationalist grievances within Northern Ireland. Specifically, they wanted an end to the gerrymandering of electoral constituencies that produced unrepresentative local councils (particularly in Derry City) by

SE Asia Basin History project (South China Sea Platform and South Essay

SE Asia Basin History project (South China Sea Platform and South China Ocean Basin) - Essay Example Geologically, the nearly 3.5 million square kilometers area is primarily surrounded by a series of sedimentary successions which are highly rich in petroleum resources (IHO, 1998). According to many experts, South China Sea platform and ocean basin has a complex geologic structure comprised of folded fundament dating back to the pre-Cambrian period, Indo-china period and Herynina periods. The rhomboid shaped marine basin is largely confined by crustal structure fractures, lithospheres as well as massive tectonic belts. This paper presents the history of the South China Sea basin including its stratigraphic columns and dissects as well as the history of its deposition. South China Sea basin is locacated at a junction of three major tectonics namely; the Eurasian,Pacific-philippine and the India-Australian plates. The basin lies on top of a continental self that was drowned during the ice age. According to many experts, the oceanic as well as the stretched continental crusts that are presently underlying the South China Sea basin have always experienced a series of tectonic movements since the Cenzoic times. The basin is located within the juncture area of the Indo-Australian, Eurasian and Pacific plates and the Regional Plate Tectonic events have played crucial roles to control the formation plus evolution of continental marginal basins. It is widely speculated that the basin may have been formed by underlain by continental crust before it was affected by rifting and subsequently overprinted by forearc structural setting after the initiation of subduction. For example, the evolution of the region may have been as a result of a collusion of the Eurasian and Indian plates, the northward drifting of the Australian plate as well as the westward subdution of the Pacific continental plate during the Cenozoic period as shown in figure 1 below. With regard to its crustal structure, the basement of the basin

Research Topics with Explanation Assignment Example | Topics and Well Written Essays - 250 words

Research Topics with Explanation - Assignment Example uld be changed to factor in the changes that have occurred over the past two decades since the law was passed to meet the needs of employees (Glynn, 2013). As such, the appropriate audiences that are targeted by this discussion are the employees, the employers and the legislatures who are responsible for making the laws. Certainly, although Americans workers have benefited from the law, it should be changed to incorporate the changes that have occurred in the past years since the signing of the act into law as will be demonstrated in the paper. The issue of tax has often been characterized by the strong debate. In 2012, President Obama proposed that the tax rate on earnings above $250,000 be raised (McArdle, 2012). Accordingly, I have chosen this topic because the tax is an issue that is of great concern to all American workers. Whenever a tax is raised or reduced, it affects Americans workers directly, thus a need to understand the effects of any changes in the tax proposal (Kasprak, 2012). This discussion will be addressed to the stakeholders who are impacted with the tax proposals, including the American middle class, lawmakers and the public at large. Accordingly, the paper will analyze the impacts that raising the tax on earning above $250,000 will have on the Americans who earn above this amount and its overall effect on the U.S. economy. According to American law, a criminal defendant can only be convicted of an offense when all the jurors agree and vote guilty as charged (Mackenzie, 2013). This ruling was handed by the Supreme Court in 1972 in which the court found that the 6th Amendment requires that unanimity in the countries federal courts (Jones, 2010). However, I found this topic interesting to study because it highlights the controversy between the federal and state courts since some state courts do not require unanimity in a criminal conviction. Therefore, studying this topic can be of value to the state and federal courts, the convicts, and the

Thursday, October 17, 2019

Domestic Dogs Essay Example | Topics and Well Written Essays - 1000 words

Domestic Dogs - Essay Example Domestic dog is morphologically distinct from all other canids except its close relatives, the wolf-like canids. The earliest burial remains of a domestic dog are 14,000 years old and were found in Bonn-Oberkassel, Germany. Despite their many shapes and sizes all domestic dogs, from Newfoundlands to pugs, are members of the same species-Canis familiaris. Although they have domestic temperaments, these dogs are related to wolves, foxes, and jackals. Many of the behavior traits and body movements or positioning can be applied universally to all canids for example ear positioning, tail positioning, raised hackles, etc. There is considerable similarity between dogs and wild canid species; many wolf-like canids cannot be distinguished from domestic dogs of equivalent size. However, all dogs are consistently separated from fox-sized, wild canids by subtle but evolutionarily significant differences in olecranon, metapodial, and scapula morphology. Second, in domestic dogs the pattern of sta tic allometry is nearly identical to that of ontogenetic allometry. This finding can be attributed to simple heterochronic alterations of postnatal growth rates. Talking about wolves, they have a fairly sophisticated communication system--in both body language and verbal language. They use their whole bodies when communicating. North American Wolves are extremely social animals and live in groups called packs. The packs can vary in size, usually according to the abundance or dearth of prey. For example, the wolf packs of Alaska's Denali National Park preying primarily on moose can number into the twenties; but in Minnesota, wolf packs typically number under ten. In some packs, there is one male or female wolf called the "omega". This wolf lives on the fringes of the wolf society and is usually the last to eat, sometimes going without if food is scarce. The link between the Domestic Dog and the Wolf is therefore a matter of scientific classification in Zoology. Interestingly the recl assification of the dog in 1993 meant the inclusion of Lupus to the scientific classification and therefore signifying the link between the dog and the wolf. Domestic Dogs share many of their characteristics with their wild relatives. Pack animals eat meat. Dogs too are able to eat raw meat if given to them and it's called the raw diet, territory issues marking their scent, communicating using physicality, play fighting etc. Essential difference between Domestic Dogs and their wild relatives is that of genetic information. Some other trivial differences are that dogs tend to howl less and bark more. Dogs are also domesticated as they are friendly towards people. A domestic dog when subject to wild environment will get acclimated and become wolf-like. As far as physicality is concerned, some of the attributes are tail & ear carriage, vocal communication - barking, howling, hunting, pack mentality & hierarchy, mating & litter rearing. Dogs were probably the first tame animals. They ha ve accompanied humans for some 10,000 years. During this time we have, in some respects, genetically engineered (by selective breeding) so that they can become useful as working dogs. For Example the Bernese mountain dog was bred for draft work, the Boxer for bear fighting and the Mastiff as a war dog. Apart for the

Hazardous waste management Essay Example | Topics and Well Written Essays - 250 words - 3

Hazardous waste management - Essay Example In line with this, it is common place for industries to reclaim, or recover spent solvents such as acetones from waste products. In addition, industries reclaim some metals from hazardous waste materials from industrial facilities to recover metals such as lead, which is the most reclaimed metal from industrial waste (EPA, 2013). It is essential to point out that recycling of hazardous waste does not only involve the aspect of reclaiming useful products from waste materials. However, industries also reuse the waste that they produced in their manufacturing processes. For example, industries that deal with smelting of zinc reuse the hazardous waste products they produce during the processing of zinc. In this regard, these industries return the emission control dust into the furnace that was primarily smelting the zinc (EPA, 2013). In effect, these industries reuse this waste product and ensure that the hazardous waste does not pollute the environment. On the other hand, it is vital to point out that hazardous waste products can be used directly into the land, which makes the land fertile, or incorporated into other products that make fertilizer (EPA,

Wednesday, October 16, 2019

Domestic Dogs Essay Example | Topics and Well Written Essays - 1000 words

Domestic Dogs - Essay Example Domestic dog is morphologically distinct from all other canids except its close relatives, the wolf-like canids. The earliest burial remains of a domestic dog are 14,000 years old and were found in Bonn-Oberkassel, Germany. Despite their many shapes and sizes all domestic dogs, from Newfoundlands to pugs, are members of the same species-Canis familiaris. Although they have domestic temperaments, these dogs are related to wolves, foxes, and jackals. Many of the behavior traits and body movements or positioning can be applied universally to all canids for example ear positioning, tail positioning, raised hackles, etc. There is considerable similarity between dogs and wild canid species; many wolf-like canids cannot be distinguished from domestic dogs of equivalent size. However, all dogs are consistently separated from fox-sized, wild canids by subtle but evolutionarily significant differences in olecranon, metapodial, and scapula morphology. Second, in domestic dogs the pattern of sta tic allometry is nearly identical to that of ontogenetic allometry. This finding can be attributed to simple heterochronic alterations of postnatal growth rates. Talking about wolves, they have a fairly sophisticated communication system--in both body language and verbal language. They use their whole bodies when communicating. North American Wolves are extremely social animals and live in groups called packs. The packs can vary in size, usually according to the abundance or dearth of prey. For example, the wolf packs of Alaska's Denali National Park preying primarily on moose can number into the twenties; but in Minnesota, wolf packs typically number under ten. In some packs, there is one male or female wolf called the "omega". This wolf lives on the fringes of the wolf society and is usually the last to eat, sometimes going without if food is scarce. The link between the Domestic Dog and the Wolf is therefore a matter of scientific classification in Zoology. Interestingly the recl assification of the dog in 1993 meant the inclusion of Lupus to the scientific classification and therefore signifying the link between the dog and the wolf. Domestic Dogs share many of their characteristics with their wild relatives. Pack animals eat meat. Dogs too are able to eat raw meat if given to them and it's called the raw diet, territory issues marking their scent, communicating using physicality, play fighting etc. Essential difference between Domestic Dogs and their wild relatives is that of genetic information. Some other trivial differences are that dogs tend to howl less and bark more. Dogs are also domesticated as they are friendly towards people. A domestic dog when subject to wild environment will get acclimated and become wolf-like. As far as physicality is concerned, some of the attributes are tail & ear carriage, vocal communication - barking, howling, hunting, pack mentality & hierarchy, mating & litter rearing. Dogs were probably the first tame animals. They ha ve accompanied humans for some 10,000 years. During this time we have, in some respects, genetically engineered (by selective breeding) so that they can become useful as working dogs. For Example the Bernese mountain dog was bred for draft work, the Boxer for bear fighting and the Mastiff as a war dog. Apart for the

Tuesday, October 15, 2019

Internet safety securityn privacy Essay Example for Free

Internet safety securityn privacy Essay Introduction Microsoft has established partnership with American Academy of Pediatrics (AAP) in order to ensure online safety of children. This program provides guidelines for family safety and to protect children from developing psychological disturbances on social issues. AAP has a vast number of pediatricians in U. S. and it has second place as largest physician organization in the world which is promoting health and welfare to all children. Microsoft company which is a giant in computer software predicts that future generation of children required to possess extensive knowledge about Internet whereas, it should be lead by limitations of dos and don’ts on Internet browsing, which if not guided results in adverse impact both for parents and children. In this effort, AAP records a total of 96 million of school-age children per year and apart from promoting health care, AAP would also provide Internet safety measures for children. â€Å"We are pleased to see that the AAP and its members are striving to make Internet safety education a part of routine clinical care for children, (Adrienne Hall, Senior Director of Trustworthy Computing at Microsoft) Microsoft has several guidelines for each age group. Viz. , using family contracts, 10 things to teach kids, computer security tips for students, steps to improve family’web security, minimizing risk from online predators, a bank of tips and tools to help parents and a video to teach kids how to be safe online. In fact there are many points that have to be noticed by children before entering online surfing. First and foremost, parents must be present while children are online and secondly, identify the purpose of surfing such as whether it is for the purpose of education, online games, chatting, shopping or for any other purpose. Thirdly, encourage children to enter through search engines, explaining the importance of finding good sources of information for education purposes, or directly by having an accurate web site address / URL . This enables children to click on a particular link that is required for further information. For instance, children above the age of 6yrs usually are quick to learn about online skills and enjoy playing online games. In such case, parents must take initiative to find a web site which contains free online games which are both educative and entertaining viz. , math games, puzzle games, doll games and many other sport games. Parents must explain that by typing â€Å"online games† in google search engine a plethora of games websites are displayed which are good and entertaining for children. Children are very smart than parents, with the fact that anything explained once is remembered and from the very next minute, children pick up so fast in learning concepts. Therefore, it is the responsibility of parents and teachers to teach online safety measures to children for the health and benefit of children. Step by step guidance is what is required for children instead of blackboard teaching. Teaching through videos, online training are some of the best methods to teach children how important it is to tread safely on Internet. There must be a friendly and warm atmosphere at the time of parents participation with children while teaching internet skills. Many a times, children do not agree or parents disagree with the online surfing. In such instance, rules must be framed as a formal contract that would be signed by both parents and children. In this manner, children would be compelled to listen to what parents teach about online skills. Apart from this open discussion, also brings good results with the fact that, when parents ask questions about Internet surfing, children get encouraged and begin to provide a great amount of information which enables parents to realize whether children are entering any unacceptable web areas or zones. There are quite a danger zones that harm children to the developing personality especially, information on weapons, forbidden web sites for children age and above all harmful images that trigger the emotions of innocent kids. Even chatting rooms have to be checked by parents, with the fact that at times, net friends provide false age and false information whereby children begin to build friendship with the above age group and ultimately fall prey as a victim to the net criminals/hackers. Children are even motivated to disappear from parents and especially in western world, parents suffered a great loss for not being aware of Internet in the primary stage of its launch. With some of these negative effects, Microsoft has even designed a code of conduct that must be signed between parents and children which is reproduced as below: â€Å"Online code-of-Conduct Contract. I will: Talk with my parents to learn the rules for using the Internet, including where I can go, what I can do, when I can go online, and how long I can be online ( ___ minutes or ___ hours). Never give out personal information such as my home address, telephone number, my parents work address or telephone number, credit card numbers, or the name and location of my school without my parents permission. Always tell my parents immediately if I see or receive anything on the Internet that makes me feel uncomfortable or threatened, including e-mail messages, Web sites, or even anything in the regular mail from Internet friends. Never agree to meet anyone in person that I have met online, without my parents permission. Never send pictures of myself or other family members to other people through the Internet or regular mail without first checking with my parents. Never give out my Internet passwords to anyone (even my best friends) other than my parents. Not do anything online that could hurt or anger other people or that is against the law. Never download, install, or copy anything from disks or the Internet without proper permission. Never do anything on the Internet that costs money without first asking permission from my parents. Let my parents know my Internet logon and chat names, listed below: _____________________ _____________________ _____________________ _____________________ Name (child) _______________________ Date ____________ Parent or guardian _______________________ Date ____________ Several hours of browsing may also be harmful to the sensitive eyes of children which is why there should be a protective screen on computer monitor, otherwise there is every possibility of backache, development of eyesight, and even dark circles around eyes. It is important to take note here that children should be instructed to blink eyes every second and staring at web sites while playing games or visiting web sites without blinking eyes, causes lot of eye sight problems. Conclusion Internet is truly benefiting to children wherein children are educated at a fast pace as never before through blackboard teaching whereas measures of care would yield good results. Reference Protect your family : Beyond the basics, Prevention guidelines Accessed January 28, 2008 http://www. microsoft. com/protect/family/guidelines/default. mspx.

Monday, October 14, 2019

The Malaysian Tobacco Industry

The Malaysian Tobacco Industry CHAPTER 1 The Malaysian tobacco industry is a copious industry which comprehends leaf production and curing, product manufacturing to product marketing and distribution. Tobacco is the countrys most widely cultivated non-food crop (British American Tobacco Malaysia). Malaysia is not considered as a large tobacco leaf producer by world standards. Neither is a major contributor to the Malaysian economy. However, tobacco farmers are used politically by the tobacco industry. According to a study conducted by Ernst and Young in June 2005 for the Confederation of Malaysian Tobacco Manufacturers, the industry contributes extensively to the countrys economy with more than 190,000 people depending on it for employment in 2003. Tobacco production has increased due to a rise in the demand for tobacco from cigarette manufacturers. (See Table 1.0) 1.1 Impact of Tobacco Use Cigarette demand has long been a crucial issue and has become especially prominent in the wake of the recent colossal settlements between government and cigarette companies ( Huang and Chin, 2006). According to the press statement by the Minister of Health, the Hon Dato Chua Jui Meng on Tobacco Control in Malaysia on 7th November 1996, cigarette smoking is an avoidable addiction which hold responsible for a massive 25% of all deaths in Malaysia. Smoking is a deadly and expensive pastime which is dangerous to both smokers and the second hand smokers (Costa and Mossialos,2006). Studies showed that 30% of cancer deaths and 90% of chronic obstructive pulmonary disease in Malaysia were associated to smoking (The Star). According to World Health Organization (WHO), tobacco is going to be the biggest cause of death in the world if current pattern of smoking continue, with no changes in cessation rates or significant declines in initiation rates by 2020. There are more than one billion smoke rs in the world and 5.4 million people were killed by tobacco use a year. Moreover, smoking is not only destroying the health of the smoker but it is also an economic burden. These include primarily direct or indirect medical costs to the smokers and also productivity losses. Indoor places where smoking is allowed will incur a higher renovation and cleaning costs. The management will have to pay a lot to maintain the cleanliness in the workplaces. Furthermore, it increased the risk of fire and may acquire higher insurance premiums. Since the first report on tobacco by Surgeon General was released in 1964, awareness relative to the negative effects of tobacco use has increased. Smoking cigarettes during pregnancy can cause impromptu miscarriage, underweight babies and premature delivery. Most importantly, it will also cause sudden infant death (SID) syndrome. At the same time, it is also very dangerous for the people who do not smoke but breathing in a smoke-filled room. Second-hand smoke is a major source of indoor air pollution which can damage the health of both the children and adults. There are almost half of the worlds children breathe second-hand smoke today. In recent times, the smokers are increasing from day to day (See Table1.1). Despite of all the negative effects, smokers dont seem to be affected by the side effects. Teenage smoking is a severe problem in Malaysia and according to the World Tobacco Marketfile, the number of youth smokers are increasing (See Table 1.2). The risk of youth commencing tobacco use by socio-demographic, environmental and personal factors is increasing. Family with low socioeconomic status is an example of socio-demographic factor. There are more young people who smoke nowadays because tobacco products are easily accessible and available everywhere. Young people who are lack of parental guidance will be easily influenced by peers. These are the examples of environmental risks factor. While personal risk factors include low self-esteem and the belief that tobacco use provides an advantage which can help them to reduce stress. People who get older should understand the danger of smoking better than the youth . They should be able to experience the side effects if they have been smoking for quite some time. Some people may not be aware of the specific health risks of tobacco use as they are not exposed to the side effects. If the smokers are aware of the dangers of tobacco, most want to quit. 1.2 Governments Regulation towards Cigarette Demand The Malaysian government has done various efforts and implemented regulations restricting people to smoke. Government policy is divided into price and tax measures; and also non-price measures such as Protection from exposure to tobacco smoke; Regulation of contents of tobacco product; Regulation of tobacco product disclosures; Packaging and labelling of tobacco products; Education, communication, training and public awareness; Tobacco advertising, promotion and sponsorship; and Tobacco cessation (Zain, 2007). National Tobacco Control Program is one of the strategies taken to reduce tobacco use. The general objective of this program is to provide comprehensive support and assistance to help smokers quit smoking. The programs include legislative control; health promotion and public advocacy; tobacco tax policy; smoking cessation services; research, monitoring and evaluation; multi-sectoral collaboration and capacity building. In legislative control, under the section on the Prohibition on Tobacco Product Advertisement of Control of Tobacco Product Regulations 2004 restricts printing, publishing or distributing of any tobacco product advertisement. It bans on cigarette advertisement on television and radio. Health warning messages are placed on every cigarette pack to raise peoples awareness. Furthermore, government has legislated smoke-free policy in Malaysia to curb smoking. There is total ban on smoking in government meetings. Places like health and educational facilities, governmental offices, public transport, shopping complex, cinemas and places of worship are smoke-free zone. Besides that, health promotion and advocacy covers campaigns such as Tak Nak Campaign; Healthy Lifestyle Campaign; Kempen Nafas Baru Bermula Ramadhan; World No Tobacco Day and also events by other agencies. On top of that, government also introduce excise duties on imported cigarette and further increase in sales and import tax . Increase tax will reduce the consumption on cigarettes without negative impact on revenue. At the same time, National Smoking Cessation Program was introduced to provide comprehensive support and assistance to help smokers to quit smoking. Under this program, it helps to inform and educate the smokers regarding the advantages of quitting smoking. Government has created a lot of awareness program to help people to quit smoking and the most effective strategy to reduce smoking is raising the price of the cigarettes. So as all these efforts and accumulation of knowledge are done, the demand for cigarettes and smoking should be reducing. 1.3 Problem Statement Tobacco use in Malaysia has escalated over the past years in spite of the numerous health warnings. Despite the various implementations of mass anti-smoking campaigns by the government, smoking is still a popular activity among the people. In the past there is a lot of domino effect of smoking leading to health problems yet it can seem surprising that some people still choose to smoke. Tobacco users still continue with it in pursuance of the risks or the expense because smoking is a habit hard to break for the reason that it contains an addictive drug called nicotine. In addition to that, the effect will be amplified this time around as the price of cigarettes increase simultaneously. Subsequently, the price affects the middle and lower income group of wage earner adversely because smoking is an expensive activity. The rising of cigarettes price will cause them to be overburdened by the rising living cost. People start smoking for a variety of different reasons. Although most of the people is aware that smoking is dangerous and harmful to the people around them but there are still 40-50 new smokers created everyday and the smoking popularity among the youth are increasing. There is about 9 out of 10 smokers start before the age of 18 years old (See Table 1.2). Most of the youth started to smoke as an act of rebellion and also because of peers pressure. The teenagers may not be conscious about the effects but it will become apparent later on in their life. Furthermore, survey has shown that the trend of young female smokers is increasing at such an alarming rate. According to the statistics by Healthy Living, it shows that there are 22% of smoker ages around 18 to 24 years old, 22.8% of smoker ages around 25 to 44 years old, 21% of smoker ages around 45 to 64 years old and 8% of smoker ages above 65 years old. 1.4 Research Question The questions arise in this study is: Will the people above the age of 65 years old decrease the consumption of cigarettes? Will the implementation of the government policy towards the cigarettes reduce the number of smokers in Malaysia 1.5 Objectives of the Study The general objective of this study is to determine the demand for cigarettes. More specific, this study tends to Determine the price and income elasticity towards the demand for cigarettes. Determine the impact of demand for cigarettes on aging population. 1.6 Significance of the Study This research on the aging population is important in the attempt to reduce the overall demand for cigarettes in Malaysia. This study will test the level of awareness of population of Malaysia on the impact of smoking between different age groups. Most of the diseases caused by tobacco use will only be noticeable when the users reach the later stage in life. This study will justify why policy makers should take into consideration people of all age groups when coming up with new policies regarding tobacco use, instead of focusing only on the younger population. CHAPTER 2 LITERATURE REVIEW This chapter is to review the existing literature on the demand for cigarette. There is a large volume of published studies describing the price and income elasticity on cigarette consumption. Furthermore, there is also a large and growing body of literature has investigated the effects of taxes and anti-smoking regulations on the demand for cigarettes. So far, there are only a few studies regarding the relationship between aging population and the consumption of cigarette. 2.1 Theoretical Studies of Demand for Cigarettes The law of demand is an important law in microeconomic theory. In theoretical economics, economists develop models to explore economic activity and outcomes. Reliable statements about economic behavior enable the prediction of probable effects of specific actions. The law of demand is an economic law that states that, all other factors being equal, as the price of good increases, demand for the good will decrease. This law summarizes the effect price changes have on consumer behavior. The negative relationship between price and quantity demanded is caused by two reasons. One of the reasons is the income and substitution effects. Income effect means that for a lower price product, a consumer can buy more than they could at the higher price point. Other similar products now seem more expensive compared to the lower priced product is the substitution effect. The second reason is the diminishing marginal utility for the inverse relationship between price and quantity demanded. Consumers get less satisfaction from each additional unit of product they consume over a specified period of time. They will only continue to buy if the price is reduced at each point. By increasing the real price of tobacco, a tax increase has colossal potential to be an effective policy lever to decrease tobacco consumption. The impact of taxes on tobacco consumption depends on the extent to which changes in taxes are reflected in tobacco prices and the responsiveness of consumers to changes in prices. People tend to reduce their consumption on tobacco use as the price increase. The demand functions show that cigarette consumption is related to the price of cigarettes, prices of related goods, income, and individuals tastes. A general conclusion from the precious studies is that tobacco prices and the demand are inversely related. Marshall illustrated the law of demand with both a table and a demand curve by assuming that the period of time is sufficiently short to justify a ceteris paribus assumption. 2.2 Empirical Studies of Demand for Cigarettes Several studies conducted have reported that there is an inverse relationship between the price and cigarette consumption and positive effect of income. Franke (1994) reveals that Granger Causality is significant from price and income to cigarette consumption in the United States. No significant change is observed in the estimated demand elasticity which occurred during the period studied. In order to test a model of the demand for cigarettes in the United States from the period of 1961 to 1990, he uses quarterly data and multiple analyses. The outcome of the study illustrates a positive effect of income and negative effects on price. Likewise, Zheng, Zhu and Li (2008), in a separate study also finds that there is indeed a positive income elasticity but negative cigarette price elasticity based on the best fixed-effects spatial-temporal model. They construct a demand equation to study on the elasticity of per pack cigarette price and per capita disposable income in 2008. This is done by considering the cigarette demand in a spatial panel of 46 states of the United States over a period of 30 years which ranged from 1963 to 1992. They then propose a new spatial panel model and implement a fully Bayesian approach for model parameter inference and prediction of cigarette demand at future time points using the Markov chain Monte Carlo (MCMC) algorithms. Chaloupka et al. (2002) examines data from documents of the tobacco industry to discover what tobacco companies know of the impact that cigarette prices has on smoking among youth, young adults and also adults. They assess on how this understanding would affect their pricing and price related marketing plans. The tobacco company documents provides velar evidence on the consequence of change in cigarette prices on cigarette smoking habits, relating how tax and other increases in price led to significant decline in smoking, predominantly among the younger people. They conclude that future efforts towards tobacco control which targets to increase prices and limit price related marketing efforts are critical in achieving reductions in tobacco use and public health toll caused by tobacco. This view is supported by Fernà ¡ndez et al. (2004) which shows that between the period of 1965 and 2000, there is indeed an inverse relation between the prices and consumption of cigarette in Spain, wh ich indicates that involvement at the economic level, for instance real increases in price may have an important public health impact in control of tobacco. Correspondingly, Gallus et al. (2006) present a similar study to determine the influence that cigarette prices has on tobacco consumption in Italy. A survey is conducted on 3050 individuals aged 15 and above which suggests that prices had an intermediate to high influence on cigarette consumption in the young. Younger people as well as less educated smokers are more susceptible to an influence of prices. They conclude that cigarette prices have substantial influence on tobacco consumption in the younger people. On the contrary, Raptou et al (2005) argues that cigarette demand is extremely insensitive to changes in price. They employ data collected via questionnaires which was administered by personal-in-home interviews and estimate a two part model of cigarette demand (Cragg, J. G. B Some Statistical Models for Limited Dependent Variables with Application to the Demand for Durable Goods, Econometrica, 39, 5, 1971, pp. 829Y44). They conclude that cigarette price measures would not affect cigarette demand. However, it is discovered that smoking restrictions in workplace areas as well as educational establishments, and also most of the psychosocial variables will affect the demand of cigarette. According to Huang and Yang (2006), current estimates of the income elasticity to cigarette demand have shown a troubling result which is nearly zero or sometimes negative income elasticity. They engage in a four-regime panel model (dynamic fixed effect) which is use to predict the function of cigarette demand within the United States with intentions to investigate the nonlinearity embedded in the cigarette demand structure. They apply a multi-regime model to 47 states using data from 1963 to 1997. They claim that there is a nonlinear relationship between personal income and cigarette consumption. Evidently, as income rises, cigarette has become an inferior good. The results from the four-regime model suggest that income elasticity is negative when per capita income is greater than US$ 8,568 but become is positive though insignificant when income is above US$ 18,196. In the income ranging from US$ 8,568 and US$ 18,196, the income elasticity is significantly negative. There is a nonli near relationship which prevailed for the price elasticity. Furthermore, Martinez, Mejia, and Estable (2008) claims that the demand for cigarettes in Argentina over the long term is influenced by the changes in real average price and real income of the cigarettes in Argentina. They analyse the data based on monthly time-series data between the periods of 1994 to 2004. The results that they obtain show that when the prices are increased at 120%, a maximum of revenues from the cigarettes tax can be attained and also there is a big effect on the reduction of the total consumption of cigarettes within the country. Similarly, Abedian (2000) also states that there is an inverse relationship between the price and consumption of any good which include cigarettes. This negative relationship is further affected by other factors such as income levels and the degree of addiction. He argues that increasing tobacco consumption is a problem faced in a developing country and it could bring harm to the people. He also argues that there are no adverse economic consequences following such policy framework. In 2000, Joni Hersch in his studies states that smoking behavior relates to the changes in price, which is not unlike many other economic commodities. He finds that a higher price would reduce demand for cigarettes in both men and women with regard to smoking participation and cigarette consumption levels, with elasticity ranging from -0.40 to -0.60. In distinction to other studies, he finds that the price elasticity is alike for both men and women. Income also has negative effects on smoking behavior. He also states that excise tax policies can dissuade smoking, but their effects will be largely restricted to the low income segment of the population. This finding suggests that there might be constructive responses by smokers to informational efforts which warn about the dangers of smoking and also the environmental tobacco smoke poses to others, especially when it is a member of ones household. Further observations suggest that increase in taxes also play an essential role in reducing cigarette consumption. Following recent years, there has been a growing amount of literature on higher prices that result from increased tax leading to significant reductions in cigarette smoking. A recent study by Chaloupka et al (2010) which performs to supply empirical evidence on the consequence of the cigarette excise tax structure towards three outcomes which are the government revenue, cigarette prices, and cigarette consumption. A cross-sectional time-series data for 21 European Union (EU) countries is composed from year 1998 to 2007 out of various data resources. The estimates suggest that the greater reliance on the ad valorem excise tax leads to lower average cigarette prices and larger price gaps between premium and low-priced cigarette brands. In addition, these impacts from the tax structure are smaller in more concentrated or less competitive markets. They also propose that a la rger reliance on a specific tax will have a greater impact on cigarette smoking, but the impact lessens with the growth of manufacturers market power. In view of this, Peng and Ross (2009) estimates the Ukraine population in its sensitivity to prices of cigarettes and the cigarettes affordability using the macro level data with the aim to compute the efficiency of cigarette tax policy. They use a monthly time-series data from 1997 to 2006 in Ukraine to estimate the generalized least square (GLS) model with an AR(1) process. The result shows that the cigarette price is not significantly associated with legal domestic sale of cigarette. Higher household income and more active outdoor advertising have positive and significant impact on cigarette sales. There is also a positive relationship between the affordability for cigarette and legal domestic cigarette sales. Increasing the cigarette excise tax by 10% would increase the price of cigarettes by 3%. This shows that cigarette tax policy can be used to regulate cigarette price in Ukraine. The people are found to be relatively insensitive to cigarette prices and cigarette taxes, even t hough of low magnitude, but the effect of cigarettes affordability is significant statistically. Similarly, Lee et al. (2005) concludes that price elasticity of cigarettes is approximated to be less than one, which implies that the tax will have some result in reducing cigarette consumption, although it will also generate further tax revenues. Moreover, Hidayat and Thabrany (2010) study the demand for cigarettes in Indonesia using a myopic addiction model and uses it to analyse the price elasticity of cigarette demand. They use an aggregated panel data structured from three waves of the Indonesian Family Life Survey over the period of 1993 to 2000. They claim that the short run and long run price elasticity of cigarette demand are estimated to be at -0.28 and -0.73 correspondingly. Price increases have a significantly negative impact on cigarette consumption. Increasing cigarette prices via excise taxes can control tobacco use and thus raise government revenue. They then conclude that excise taxes are more likely an efficient tobacco control rather than a key source of government revenue in the long run. Besides that, Lee (2008) conduct a study which analyses the readiness of current smokers to stop the smoking habit or reduce the consumption of cigarettes when experiencing an increase in tax of NT $22 per pack, which is a consequent rise of 44%. Lee uses cross-sectional study on 483 valid questionnaires conducted during a telephone survey from April to July 2004, targeting current smokers aging 15 years and above, around the 23 major cities in Taiwan. The methods that he uses to measure the elasticity in cigarette demand are the Tobit regression model and also the maximum likelihood method, and estimation results shows a price elasticity of -0.29 following the 44% increase in the cigarette price. Interestingly, the most significant response to the increase in price was found among women, smokers with low salary, smokers who are only moderately addicted, and smokers who purchase low priced cigarettes. Lee concludes that the smokers are relatively insensitive to a hike in cigarette pr icing, since the prices of cigarettes are low in Taiwan. Thus, a marginal increase in cigarette tax would consequently reduce cigarette consumption and thus also increase the cigarette tax revenue of the government and the income of cigarette merchants effectively. This result is consistent with the findings of previous studies by Townsend (1996) and Sissoko (2002) which reflects that the price has a major effect on cigarette consumption and consequently diseases caused by smoking, especially in low income groups. Progressive rise in cigarette tax rates offer a powerful contribution to policy for reducing cigarette consumption and generating extra government revenue. Consequently, when Ross and Al-Sadat (2007) evaluate income elasticity and the price on cigarette demand and also the effect of cigarette taxes towards cigarette demand and cigarette tax revenue within Malaysia, they find that income is positively connected to cigarette consumption. A 1% rise in real income boosts cigarette consumption by 1.46%. They use time series regression analysis for 1990 to 2004 applying the error-correction model. The per-capita consumption of domestic and imported cigarettes is calculated using the excise tax and import duties collected by the Malaysian government and the size of the adult population which are aged above 15 years old. The model estimates that a rise in cigarette excise tax from RM 1.60 to RM 2 per pack will effectively reduce cigarette consumption in Malaysia by 3.37%. They conclude that taxation is an effectual means for reducing cigarette consumption and deaths linked to tobacco while bringing up the revenue for the Malaysian government. According to Huang, Yang, and Hwang (2004), future cigarette consumptions will depend entirely on tax share, price and income elasticity of remaining heavy smoker. They use a panel unit root test to calculate the demand for cigarettes over the period of 1961 to 2002 for 42 states including Washington D.C. The cigarette data in this study is obtained from The Tax Burden on Tobacco published by the Tobacco Institute. They find that price and income elasticity are approximately -0.41 and 0.06. Other than that, a decrease in tax elasticity leads to decreasing price elasticity, and smaller tax shares seems to be interconnected to declining tax elasticity. This study shows an interesting implication, whereby cigarette consumption is a normal good to transfer payment recipients and wage earners, which however is an inferior good to the elderly population and stocks owners. In 2002, Hu and Mao examine a policy dilemma in China on public health against the tobacco economy through added cigarette tax. In order to analyse the impact of tobacco consumption and production towards government revenue and also to the entire economy, they use published data from 1980 to 1997. Imposition of cigarette tax increase will have a significant impact in generating extra central government revenue and reducing cigarette consumption. Therefore, increasing additional tax on cigarettes will be beneficial to the Chinese government from both the financial and public health perspective. Levy, Cummings, and Hyland (2000) use a simulation model to evaluate the effects of taxes on the smoking rate and smoking induced deaths. The method they use in their study projects the number of smokers and smoking attributable deaths from a baseline year of 1993. They find that increase in taxes is to reduce the percentage of the total population that smokes. Youth groups experiences greater effects. The effects of a tax hike tends to increase over time as younger individuals who are more responsive to price increase grows older, but federal and state taxes on cigarettes are currently set at a fixed amount per unit. Moreover, the price of cigarettes falls comparative to the purchasing power of the population as wages increase. These effects grow over time and lead to a substantial savings in lives and health care cost. Lanoie and Leclair (1998) investigate the relative ability of two anti-smoking policies which are taxes and regulations, in inducing a decline in cigarette consumption and in providing incentives to quit smoking. Based on a Canadian data over the period of 1980 to 1995, the results show that cigarette demand react to taxes with the elasticity of -0.28, not regulation. This result implies that the policies are both acting in a corresponding fashion to influence the incidence of smoking. In addition to that, Galbraith and Kaiserman (1997) analyses Canadian cigarette taxation and consumption within the period of 1980 and 1994. During that period, there is a large price rise and decline, and a dramatic increase in the consumption of the contraband tobacco products. In their study, they examine the elasticity of legal cigarette sales and total sales which include contraband with respect to the price of legal cigarettes and various other factors. They conclude that price elasticity regarding demand towards cigarettes tends to increase in absolute value over time, making taxation an increasing strong instrument with which to influence smoking behavior. In considering untaxed sales as well, it becomes clear that the sensitivity of total cigarette sales to the taxation instrument is much lower than would otherwise appear, and has fallen obviously. According to Meier and Licari (1997), a rise in federal tax is more successful than increases in state taxes in reducing tobacco use. Cigarette consumption drops when labels with health warnings were added. They use a pooled time-series analysis from the period of 1955 to 1994 with 50 states as units of the study. The effect of excise taxes on cigarette consumption for numerous different models and econometric techniques is asset to analyse the usefulness of state and federal taxes in bringing down the consumption of cigarettes and estimate the effect of government health warnings. Their study also shows how warnings and taxes interact. Tobacco control programs also has some impact towards the consumption of cigarettes as stated by Farrelly, Pechacek and Chaloupka (2003) that increase in tobacco control program expenditures reduce cigarette sales. Additionally, in reviewing the evidence on the effectiveness of comprehensive tobacco control programs, the recent Surgeon Generals Report on Reducing Tobacco Use concludes that comprehensive tobacco control programs work. Although these studies consistently suggest that state tobacco control programs decrease tobacco use, these studies can easily be confounded by changes in excise taxes, cross-border sales, and other factors. Nevertheless, Leu (1984) reveals that anti smoking advertisements in Switzerlands mass media has a significant permanent effect on cigarette consumption. It is a powerful instrument to reduce cigarette consumption. He claims that extended publicity, following the 1964 US Surgeon Generals Report, accompanying various tax increases which preceded by a public vote on an advertising ban for tobacco products, helps reduce consumption permanently by a total of 11%. It is also supported by Keeler et al (1993) who examine the impact of income, taxes, prices, and anti smoking policy on the consumption of cigarettes in California. They use a monthly time-series data throughout 1980 to 1990. He also declares that the effect of the increase in tax in the long run will be to decrease cigarette consumption. Anti-smoking regulations decreases cigarette consumption, and thus, it shows that consumers behave consistently with the model of rational addiction. CHAPTER 3 METHODOLOGY This chapter is to describe on the methods used in this study and the collection of data. It also explains the procedures used in collecting the data and the measurement of the variables. Thus, it provides a summary of expected result of the study. 3.1 Data types A time series data is used for the empirical analysis in this study. The data is collected annually over the period of 1998 to 2008. The types of data obtained are real price of cigarette, real income per capita, cigarette consumption, and also the aging population. 3.2 Data Source The secondary data is collected from the previous studies by other researchers. Mainly, the sources of data are from Departme