Monday, September 30, 2019

Araby Symbols

Joyce introduces astonishing symbols in the short story Araby. Some of the symbols we talked about in the class were religion, dark, blind and other more. Specifically, Joyce expanded on symbolic imageries to set a particular scene in The North Richmond Street. With attention to, the priest became the symbol for the unknown narrator in the story. The narrator is currently residing in the dead priest’s house. According to James Joyce in Araby, â€Å"Air, musty from having been long enclosed, hung in all the rooms, and the waste room behind the kitchen was littered with old useless papers. The narrator is exploring the house while thinking about his friend’s sister. Singularly, the room is very old and definitely doesn’t smell good. It smells like a prison. It’s almost like a prisoner was trapped in jail and had died there. Correspondingly, the religion was criticized, looked upon like a jail, and a negative factor. In addition, the priest was a kind person from inside because he had donated his house, money, and furniture to his sister. For the time being, the narrator is eradicating in the room and he finds books. The following books are about religion and exploration. The priest was a innovative person. On the other hand, the priest had died just like his rusty bicycle-pump in the garage. In any case, the majority of the people are compared to the town because all of the kind people were gone. In the long run, a question comes to mind, how can Dublin become a better city? All of the good people are gone. To sum it up, the priest was represented the essential past. Furthermore, on the facade of the story another symbol is light. According to Joyce in Araby, â€Å"When were returned to the street, light from the kitchen windows had filled the areas. By definition light is something that makes things visible. Light is the ultimate hope and savior from the dark. Above all, the story continues and light is illustrated more often. â€Å"Some distant lamp or lightened window gleamed over me. †The symbol darkness was described often in the story too. The dark and blind street is the symbol of Ireland. Exclusive of, immediately the light takes the position of the country’s brighter future. Nevertheless, the light came from the kitchen window. Therefore, Joyce signifies gloomy future for his country.

Sunday, September 29, 2019

Concept Comparison and Analysis Across Theory Essay

Nursing has evolved into a science. Like other scientific disciplines, the practice of nursing is guided by nursing theories. According to Julia George, â€Å"practice is based on the theories of the discipline that are validated through research† (George, 2011, p. 7). The major shift in theoretical thinking in nursing is said to occur in the 1960s when the focus in nursing shifted from simple problem/need and functional role, to the relationship between nurse and patient (George, 2011, p. 10). The aim of this paper is two-fold: First, I will compare and analyze the concept definition of care (caring) across Dorothea Orem’s self-care theory and Madeleine Leininger’s theory of culture care theory. Second, I will present the concept statement, metaparadigms, philosophies, and conceptual model of Dorothy Orem’s self-care theory and discuss where and how Orem’s self-care theory can be applied to nursing. I will explore the major concepts and assumptions of Dorothea Orem’s self-care theory and Madeleine Leininger’s culture care theory, and compare and analyze the two theories in terms of the similarities and differences. The concept of care (caring) is a core concept common to many nursing theories. Boykin and Schoenhofer in presenting their theory of Nursing as Caring maintain that caring is the moral imperative for nursing (see George, 2011, p. 11). Dorothea Orem’s self-care theory and Madeleine Leininger’s culture care theory both focus on patient care. I can easily identify with both theories. As a practicing nurse, my personal philosophy is that nursing is about caring; this apart, Orem’s and Leininger’s theories are not as abstract as some of the theories. Both theories can therefore be still be used by the nurses who are not in academia to guide and improve their practice. Orem’s theory focuses on the key concept of self-care. According to Orem’s theory, every individual adult has the capacity for self-care. â€Å"Self-care implies that when they are able, individuals care for themselves. When the person is unable to care for himself, the nurse provides the assistance needed. For children nursing care is needed when the parents or guardians are unable to provide the amount and quality of care needed† (George, 2011, p. 114). I find Orem’s theory to be logical. There are certain situations when one is ill and does not require a nurse. For example, most people do not immediately go to the hospital with the common cold. In this case they take care of themselves. When a health problem arises for which â€Å"self-care† is insufficient to take care of the situation, one has to seek the attention of the â€Å"nurse† who compensates for this deficit. According to Orem, a nurse is needed when someone needs nursing care because of inability to care for oneself. The environment is to foster and maintain nurse therapeutic relationship between nurses and patients, to determine when someone needs help or assistance, attention to patient response, giving direct aid to individuals and families and collaboration with other health professionals. The â€Å"nurse† according to Orem can be a parent or another human, family or community, not necessarily a health care nurse. As outlined in her theory, there are three interrelated actions or measures used to provide self-care. The first is the Universal self-care requisites; this is self-care that is holistic and includes the need oxygen, water, food, elimination, activity, and rest, to prevent trauma and other necessities of life. The second type is the developmental self-care requisites; this is self-care that should be undertaken in accordance with human growth and development. The third type is the health deviation self-care requisites; this self-care carried out because of health problem or disease prevention and health promotion (George, 2011, p. 116). Orem’s concept of â€Å"self-care† theory seems to have a universal appeal. In a sense one can say that Orem is not just referring to individuals who are sick. For example, new-born babies need nursing care not necessarily because they are sick but because they are unable to â€Å"self-care† for themselves and the parents typically might not be able to provide the quality of specialized care needed at birth; nursing care is therefore needed for the first couple of days and then the parents can take over the care until the child becomes a self-caring individual. Orem defines nursing as â€Å"the provision of self-care which is therapeutic in sustaining life and health, in recovering from disease or injury, or coping with their effects† http://www.faculty.ucc.edu/nursing-gervase/orem. Madeleine Leininger, like Orem, sees the importance of the element of caring in the profession of nursing. As Leininger puts it, â€Å"care (caring) is essential to curing and healing, for there can be no curing without caring† http://www.Madeleine-leininger.com. The term †transcultural nursing† is used to refer to humanistic and scientific knowledge and practices that focus on assisting individuals, families and communities to maintain or regain health and to deal with disability, dying or other human conditions in a culturally respectful and beneficial manner http://www.Madeleine-leininger.com. Leininger’s theory of transcultural care theory is derived from the disciplines of (cultural) anthropology. Key concepts in this theory include cultural diversity (the differences between and among the various cultures) and cultural universality (the common elements or similarities found in various cultures). While she was working as a nurse, in a child guidance home Leininger observed recurrent behavioral differences and eventually concluded that the differences had a cultural base (George, 2011, p. 405). Leininger’s cultural care theory aims to provide culturally congruent nursing care through â€Å"cognitively based assistive, supportive, facilitative, or enabling acts or decisions that are mostly tailor-made to fit with individual’s, group’s, or institution’s cultural values, beliefs, and lifeways† (Leininger, M. (1995). Transcultural nursing: Concepts, theories, research and Practices. New York: McGraw Hill, Inc., p. 75). Leininger uses the four nursing metaparadigm differently in her theory. For example, she uses the concept to refer to families and groups or communities; health is not limited to nursing. Leininger’s Culture Care Theory views nursing as a transcultural, humanistic and scientific care discipline and profession with the central purpose to serve human beings worldwide. â€Å"Whereas it is important to look at a patient as a whole person from a physiological, psychological, spiritual, and social perspective, it is also important to take a patient’s culture and cultural background into consideration when deciding how to care for that patient. For example there should be no when attending to people from other minority cultures such as gay, lesbians, and trans-gender individuals. Nurses, when using this theory, can recognize and understand cultural similarities and differences to influence the person’s health status. In essence the theory assumes that nurses who understand, value, and practice culturally competent nursing care are more effective and capable of achieving positive outcomes in the healthcare of their patients. The theory assumes that culturally nursing care will occur when the patient’s beliefs and value systems are carefully incorporated the patient’s nursing care plan. From the above outline of Madeleine Leininger’s culture care theory and Dorothea Orem’s self-care theory one can see that both theories see (patient) care as the central focus of nursing. Both theories are very practical; one can even describe them as â€Å"empirical.† The two theories do differ in one very important focus: Leininger focuses on culture to influence health, whereas Orem focuses on the self (self-care) to keep the body healthy and functioning. It is evident that both theories have undergone some significant revisions over time. In this section, I will shift the focus of the discussion of where and how Leininger’s cultural care theory may be best applied to nursing practice. The Transcultural theory considers the component of culture as an important factor that needs to be included when planning the care of the patient. For family assessment, the theory can serve as basis and guide in evaluating the different factors that need to be assessed in the family. In application of transcultural theory in family assessment there are three points that need to be considered. First, the nursing care should incorporate the cultural backgrounds of the family by appropriately doing culture and background interview to the family Second, the family nurse should incorporate the inquiry on health beliefs, heath patterns, and practiced superstitions and beliefs that propose significance to the health condition of the family. Finally, the nurse needs to incorporate the most suited interventions that called for by the clients for care modalities and health care interventions (e.g. hospital, clinician, family, herbalist, etc. The use of transcultural theory in family assessment further enhances the nursing care being administered to the patient http://www.Madeleine-leininger.com. In terms of application, one can see certainly where exercising cultural sensitivity as advocated by the culture care theory would lead to better rendering of healthcare and faster recovery. The theory raises a number of serious questions. For example, how does one handle emergency situations? Giving the current nurse-patient ratios in hospitals and the vast array of cultures that nurses are likely to encounter, especially in a county hospital like the one in which I work? This apart, communication and language is a hallmark of any culture; does Leininger culture care theory implies that nurses should begin to attempt to render service to patients in the patient’s native language? These are questions that we might not have answers for at this point. Here is where philanthropic organizations like Sigma Theta Tau International (STTI) and the Joanna Briggs Institute can continue to support further research into nursing theory and health education that would help bridge the gap between nursing research and clinical practice. REFERENCES: Leininger M. (1991). Culture care diversity and universality: A theory of nursing. New York: National League for Nursing Press. George, Julia B. (2011). Nursing theories: The base of professional nursing practice 6th edition. Pearson Education, Inc. Leninger M, McFarland M. Transcultural Nursing: Concepts, Theory, Research, and Practice; 3rd ed., McGraw-Hill Professional; New York, 2002. Websites: http://www.Madeleine-leininger.com. http://www.faculty.ucc.edu/nursing-gervase/orem. http://www.joannabriggs.org http://www.nursingsociety.org http://www.faculty.ucc.edu/nursing-gervase/orem

Saturday, September 28, 2019

Current Practice in Project Management an empirical study written by Essay

Current Practice in Project Management an empirical study written by Diana White and Joyce Fortune - Essay Example This essay presents that out of the 995 questionnaires sent to the respondents who belonged from 620 organizations from both public and private sector, only 236 returned for further processing. The data analysis revealed that out of the 16 project types, information technology projects dominated the scene with 25 percent followed by business or organizational change projects with 14 percent. Almost 37 percent of the projects were being carried out for a client organization and the rest were for the host organization. Finance, insurance, and banking sector represented the most number of projects, however, when it came to client organizations transportation, and communication organizations were at the top of the list. The survey appeared to be highly skewed towards large organizations because 66 percent of the respondents identified themselves working for organizations with more than 1000 employees. Most of these projects were huge because a considerable percentage of these projects ha d hundreds of people directly involved. Only 47 percent of the respondents had the title of â€Å"project manager†, however, almost 63 percent did confess regarding managing the project. 43 percent and 33 percent of the respondents stated that they were the main decision makers and they were involved in the decision making process. There was great deal of diversity when it came to project duration because there were projects that lasted only less than 6 months and there were projects, which were stretched out over a period of more than 61 months. (White & Fortune, pp. 2, 2002). Almost 65 percent of these projects were of the duration of 6-24 months. Over 85 percent of the respondents that it was fair for them to classify their projects as successful with six or seven ratings at a scale of 1 to 7 with seven bring highly successful. Budgets, schedule and client requirements were top three criteria for measuring the success of projects. The research also attempted to explore the side effects, whether desirable or undesirable which emerged during or due to the project. Increased business/sales opportunities and greater knowledge of the business were the top two desirable side effects.

Friday, September 27, 2019

Wi-Fi Protected Access Research Paper Example | Topics and Well Written Essays - 1000 words

Wi-Fi Protected Access - Research Paper Example WPA is seriously focused among researchers for providing the best solutions in this field. Wi-Fi Protected Access (WPA) is beneficial for home based users, as well as business users. The formal certification is required in the field of wireless LAN communication so making the security at the highest level that is essential. In the organizations, the use of authorized access is essential for developing a connection between users. The secured connection is maintained by the organizations and authorized access is allowed. The WPA is also equally important in a home and small offices, because sharing of data is always confidential for personal home users and in SME (Small and Medium Enterprise). In a home based and small offices the Wi-Fi connection always asks for secure type of password for authorized access (Wi-Fi Alliance, 2014). The AES (Advanced Encryption Standard) is introduced for making the protection towards hardware. The three different stages of security the novel IEEE 802.11b standard, Wi-Fi Protected Access (WPA), and the IEEE 802.11i protocol. The Wi-Fi Alliance is established with the sub-part of the standard 802.11i and introduces the Wi-Fi Protected Access (WPA). The IEEE 802.11 b composed of stages, the address filtering process of Ethernet MAC (Media Access Control), Service Set Identifiers (SSID), and the Wired Equivalent Privacy (WEP) (Mathews and Hunt, 2007) There are solutions available that can secure the wireless LAN. Virtual Private Network (VPN) is one of the solution that is applied. A Virtual Private Network (VPN) provides a secure connection by having the services of Frame Relay, Virtual Circuits (VC) and Asynchronous Transfer Mode (ATM). The IP/Multiprotocol Label Switching (MPLS)-based VPNs are latest technology in Virtual Private Network (VPN). Different types of protocols are used for making enable the protection in VPN. Wired Equivalent Privacy (WEP) is another solution for having secure and reliable

Thursday, September 26, 2019

Global MBA Operations Management Essay Example | Topics and Well Written Essays - 1500 words

Global MBA Operations Management - Essay Example (Hammer). The obvious reason for such failure has often been cited as the lack of developing operating performance metrices and other systems and procedures which can ensure the consistent and reliable operational performance of the firms. It is also because of this reason that it is now considered that the modern organisations need to concentrate more on the operational performance of the firms in order to remain more competitive as well as flexible in nature so that they can easily withstand the external shocks. In order to achieve the efficiency in the operational performance, firms need to concentrate on different functions of organisation like marketing, customer services, manufacturing etc. This will allow them to re-engineer the processes properly and achieve the desired level of efficiency in their operations. However, improvements in the operational performance largely depend upon the development of an effective operating performance measurement system therefore any initiative to bring in a culutre of performance improvement would largely depend upon how successfully an organisation set up its performance measurement system. This paper will attempt to discuss the development of performance measurement system by taking into account the nature of the ... From its very nature, the activities of the firm are diverse in nature therefore it requires the management of different internal and external players in different contexts each time we deal with them. It is also important to discuss here that we face a different and complex challenge in terms of managing different aspects of our operations into a completely new and radical way in order to ensure consistency in our operations. However, in order to face the competition effectively and to become more resilient and flexible, we need to implement operational performance standards which match that of the international quality standards such as ISO 9001:2000. This would also require us to improve different aspects such as resource management, business development, and client delivery etc. We also need to manage subcontractors therefore it becomes more complicated when it comes to managing the performance of the firms, working for your organization to ensure compliance with the already set standards of the firm. Performance Management & Measurement It is often argued that the use of automation and information technology to boost the results and operational performance of the firms has not yet yielded the results which were expected. (Hammer). It is therefore believed that the firms do not only need to automate but also take into account the softer side of the operational performance in order to achieve the desired results. One of the basic problems behind the failure of the organizations to effectively measure the operational performance is the fact that the existing systems tend to measure the performance of personnel rather than processes thus ignoring various aspects of performance management. (Hammer, The 7 deadly sins of performance

Wednesday, September 25, 2019

Spirituality of Miccosukee Indian tribe Research Paper - 1

Spirituality of Miccosukee Indian tribe - Research Paper Example These spirit animals are often seen in a vision quest that each Native American do when they are young. This vision quest is a time for fasting and prayer and the youth hope to see their totem animal that also becomes their guardian (Gold, 2007). The Florida Seminoles and the Miccosukee believe in a Great Spirit or the Breath Maker who is in charge of making and maintaining life (â€Å"Religion of..†, n.d.). The meaning of life is very important to the Miccosukee because they acknowledge that everything is a part of their environment. All life is important. In the old days, when they hunted, they asked the spirit of the animal that was being killed, for forgiveness (â€Å"Religion of† , n.d.). The Miccosukee would also pray to a spirit of a tree before cutting down the tree. The Miccosukee may state that their strength comes from their religion and the fact that they have not adopted the Western ways. Because they are unique in keeping their customs and history, they would also see their matrilineal foundation as being important to their strength. For Native Americans, everything is spiritual and everything has a presence anywhere in the earth (Johnson, 2007). The sweat lodges and shamans are very important to Native Americans and healthcare. Shamans often help with health issues in the tribe because they understand how to interpret dreams and oversee many rituals that take place within the tribe (Johnson, 2007). The sweat lodge is one of the ways that Native Americans are able to keep balanced with the spirit world and with the creator (Garrett, et al., 2011). For Native Americans, the concept of balance means that they will have balance in mind, body, and spirit â€Å"with the natural environment† (Garrett et al., 2011, p. 318). On the spiritual level, the sweat lodge is also done for transformation and renewal of the spirit. In contrast to the way Westerners believe, the concept of transformation traditionally will be done in the presence of family and

Tuesday, September 24, 2019

Reading and literacy journal articles Essay Example | Topics and Well Written Essays - 750 words

Reading and literacy journal articles - Essay Example To make matters worse, secondary students are given very complex material that is way beyond their reading levels. An example is that most high school textbooks for the tenth through twelfth grad levels are written at the seventeenth grade level. It is to be noted that students with learning disabilities reading at fourth grade level could not understand textbooks reading at their current tenth-grade levels, how much more those written above it? The article gives brief overviews of the articles included in the issue. Mostly, it dealt with investigating the etiology of reading problems and explaining reasons why some students at secondary level are encountering reading difficulties. It also offers probable solutions in the form of various reading frameworks and the mediation of technology. It also discusses the importance of going back to basics to correct whatever reading difficulties were developed in hastily by-passing some essential concepts and skills in learning to read. Skilled readers were given much opportunity and a variety of strategies to learn reading and comprehension. This article highlights the need for the integration of such in a high quality secondary curriculum. The unfortunate fact reported by surveys and studies that many adolescents are developing reading difficulties at present has prompted educators to come up with ways to step up reading and comprehension skills in schools. Competent, caring and qualified educators have been called upon to implement some techniques and strategies developed by competent

Monday, September 23, 2019

Contribution of Motivation in Reducing Employee Turnover in the Essay

Contribution of Motivation in Reducing Employee Turnover in the Banking Sector - Essay Example In turn employees expect fair pay, good working conditions, proper tools and equipments, secure career, fair treatment, advancement training, power, as well as involvement in making decisions amongst many other needs (Nandanwar, Surnis, and Nandanwar, 2010: p9). Expectations from both employees and employers vary with organization and individual thus the burden experienced by top management in ensuring that there is no conflict of the interests and needs. Addressing employees’ expectations requires understanding of employee motivation. Employee motivation is one aspect of human resource management with its main function being uplifting the morale and spirit of work amongst employees (Sara, Katharina, and Sverke, 2009: p4). Uplifted spirit and morale enhance meeting of set targets, objectives, aims, goals, and standards while at the same time following established rules and regulations. Notably, employee motivation reduces movement in an out of an organization (Wilson and Madse n, 2008). In fact, employee motivation enhances retention of individuals within a firm hence reduction of employee turnover, which has so far proved to be very costly in terms of time and other resources. Banking industry is a very sensitive sector as it deals with customers’ money and other valuables. ... Within this proposal, research aims and objectives coupled with an overview of the literature to be used in the final dissertation is provided. Moreover, this dissertation proposal outlines the proposed research plan, which will include overall research strategy, underlying assumptions, research methodology, critical discussions, and conclusions. Aims of the Study Based on the above introduction, the major aims of the proposed dissertation are improvement-related. Particularly, these aims can be listed in the following chronological list. i. Identifying various aspects of employee motivation. ii. Identifying factors resulting into differential employee needs hence motivation. iii. Finding out relationship between motivation and employee turnover in the banking sector iv. Identifying how motivation reduces employee turnover in banking sector Objectives of the Study i) To identify the role of motivation in reducing employee turnover in the banking sector ii) To understand how motivatio n reduces employee turnover in the banking sector Research Questions i) How are employees in the banking sector motivated? ii) What determines employees’ motivation in the banking sector? iii) How do employees respond to motivation in the banking sector? iv) How does motivation contribute to reducing employee turnover in banking sector? v) Is motivation the major factor in reducing employee turnover in the banking sector? Chapter 2: Overview of the literature According to Rynes, Gerhart, and Minette (2004: p1), contrary to expectations of some employers contemporary employees do not place much emphasis on financial rewards. As a result, many employers have found motivation of employees very difficult despite reviewing of their financial rewards upwards (Emery and Oertel, 2006: p2). It

Sunday, September 22, 2019

Growing effects of violence in Sports Essay Example | Topics and Well Written Essays - 1250 words

Growing effects of violence in Sports - Essay Example The author posses the historical context of the article by discussing how children emulate professionals in the sport, and always find a way of displaying their affection and love for the game. Research about the author indicates that he is a sport journalist; therefore, the credibility of the article is not in doubt. This is mainly due to the knowledge of the game, facts and issues surrounding the article. The author displays an air of professionalism in the way he presents the facts of violence in the game and in the National Hockey League (NHL), which indicates that the author is credible. The author comes across as knowledgeable and fair since he does not lay blame on one party, in fact, the author tries to analyze and apportion the blame for the effects that violence in hockey has on children. The author blames both the parents, who let their children be exposed to the violence, and the media, who glorify the actions of violent players. From an analysis of the article, it is evident that the main aim of the author is to convince parents that violence in sports, especially hockey, really exists, and the parents should exercise caution when exposing their children to such sports (Davidson). This aim is evident from the warnings that the author puts across for parents to counsel their children and only allow children to view age appropriate content. The article is a persuasive essay that tries to indicate that violence has a real influence on the psychological growth of children, and parents should look out for these influences. The article also seeks to inform the audience that violence in sports is increasing, and the group most affected in society is the children and teens. The author also seeks to point out the results of the violence in the sport, which is done by quoting facts from past incidents. The intended audience in the article is obviously parents of teenagers and children who allow their children to be exposed

Saturday, September 21, 2019

Zimbabwe’s Present (Post Z$) Economic Recovery Programmes Essay Example for Free

Zimbabwe’s Present (Post Z$) Economic Recovery Programmes Essay Introduction The beginning of 2009 marked the end of over a decade of economic decline in Zimbabwe. The economic indicators decline cut across all key sectors, despite Zimbabwe’s rich resource endowment. Inflation, initially at 100 percent annually between 2001 and 2006, increased to over 1500 percent (McIndoe, 2009). According to IMF estimates, real GDP growth recorded a cumulative contraction of 48% (nearly 5% per year) between 2000 and 2009. Agriculture value added contracted by 86% during the period 2002-2008. Gross national income per capita in 2008 was estimated to be US$360 (compared to sub-Saharan Africa average of US$1,428), making it one of the poorest countries in the world (African Development Bank, 2010). The poverty rate which was already on an increase since 1995 (42 percent) was recorded at 63 percent in 2003 and was estimated to be over 70 percent in 2010 (African Development Bank Group, 2011). According to the economic policy reform proposals announced by the coalition government formed in February 2009, other symptoms of the economic crises as negative GDP growth rates, low productivity capacity, loss of jobs in the formal sector, food shortages, massive deindustrialization and general despondency (STERP, 2009). This paper uses ‘developmental state theory’ as a basis of assessing economic reform policies proposed and currently being implemented by the Zimbabwe’s coalition government after the demise of the Zimbabwe dollar (Z$) in 2009. The paper considers STERP in March 2009, Medium Term Plan (MTP) in July 2010, and the Three Year Macro-economic Policy and Budget Framework 2010-2012 (STERP II) in the context of this economic theory with a view to assessing the extent to which they bring Zimbabwe closer to the key elements of a develop-mental state. This is taken from the premise on which these policies are anchored. For example, the sixth point in STERP says: â€Å"STERP is an emergency short term stabilization program, whose key goals are to stabilize the macro and micro-economy, recover the levels of savings, investment and growth, and lay the basis of a more transformative mid-term to long-term economic program that will turn Zimbabwe into a progressive developmental State,† STERP, 2009: point no. 6) The paper begins with a summary of the key elements of the economic reform proposals. It then looks at the key elements of a developmental state after which it assesses the extent to which Zimbabwe’s key reform proposals would enable it to meet the minimal requirements of a develop-mental state. The paper concludes by offering an assessment of the chances of success for the economic reform measures. Key elements of Zimbabwe’s economic reform measures All reform programs are anchored on economic stabilization, increasing productivity and turning Zimbabwe into a developmental state. In the key policy pronouncements announced in STERP (February 2009) and the Medium Term Plan, Government of Zimbabwe (GoZ) had two principal objectives. First, it set out to use domestic savings and foreign finance to carry out public investment projects and to mobilize and channel scarce resources into areas that can be expected to make the greatest contribution towards the realization of long term economic objectives. These include measures â€Å"to stabilize the macro and micro-economy, recover the levels of savings, investment and growth, and lay the basis for transformation from mid-term to long-term economic programs that will result in economic growth and reduction of poverty levels. In so doing, the reform programs, as espoused in article 3 of the September 2008 Global Political Agreement (GPA) seek to address the key issues of economic stabilization and national healing, whilst at the same time laying the foundation of a more comprehensive and developmental economic framework. The second is to ensure that economic policy (e.g. taxation, industrial licensing, the setting of tariffs and the manipulation of wages, interest rates and prices) stimulates direct and in some cases control private economic activity to ensure harmonious relationship between the desires of private business operators and the social objectives of government policy. Some of the key features of the policies include the adoption of a cash budgeting system; use of multiple currencies as legal tender and adoption of the rand as a reference currency; and the dismantling of foreign currency controls among other measures. Theoretical framework A starting point in exploring the theory of a developmental state is the ‘developmental state’ literature that gained currency following the phenomenal economic performance of the East Asian countries in the 1970s. Meredith Woo-Cumings (1999: 1) describes the theory of develop-mental state as the explanation for the East Asian industrialization. This theorizing represents one of the first attempts to integrate government and private sector decision making. Earlier theorists such as Downs (1957) had noted a trend in economic theorizing which treated government action as an exogenous variable determined by political considerations that lie outside the purview of economics. The earlier view represented a carryover from the classical premise that saw the business as a self regulating mechanism. Any government action beyond maintenance of law and order was seen as undesirable interference. Edigheji (2005) has analyzed a number of variations of the literature on the developmental state and notes two strands of theorizing. The first set of theories focus exclusively on the developmental goals of the state (e.g. Castells, 1992). These theories argue that state is developmental when it establishes as its principle of legitimacy its ability to promote and sustain development (understood as the combination of steady and high rates of economic growth and structural change in the productive system) both domestically and in its relationship with the international economy. Thus a developmental state is seen as one which is able and willing to create and sustain a policy climate that promotes development by fostering productive investment, exports, growth and human welfare (Ponk, in Edigheji, 2005). The second strand of theorizing looks beyond the objectives to focus on the institutional characteristics of the state and draws attention to the ideological character of the development state. Mkandawire (2001) has referred to this as the ‘state-structure nexus’ that enable the state to be able to achieve growth and development while others cannot. A premium thus has to be placed on the institutional/organizational configurations of the developmental state. This is primarily because what sets a developmental state apart from others is that not only is it able to clearly set its development objectives; it also establishes institutional structures in order to achieve the objectives. Locating the role of the state In this paper, a developmental state is defined by its objectives and its institutional characteristics. It is â€Å"one whose ideological underpinnings are developmental and one that seriously attempts to construct and deploy both administrative and political resources to the task of economic development† (Mkandawire, 2001:296). The role of the state needs to be clarified given the contradictory nature of the literature on the East Asian cases. Earlier theorizing initially conceived a developmental state in terms of the state imposing its will over society and suppressing civil society. Thus they argued that the developmental state paid no heed to the democratic aspect of the developmental state. This is partly because some scholars regarded the repressive nature of the state as one of the factors that enhanced its developmental capacity. For some scholars, the â€Å"soft authoritarian character† of the state was the source of its autonomy which spurred growth (e.g. Johnson, 1982, Wade, 1990). This is because a developmental state has existed in authoritarian Korea and Taiwan as well as in democratic Japan. In fact, Japan was the first East Asian state to be considered a developmental state (Bolesta, 2007:107). Despite the nature of government, in a ‘true developmental state, the bureaucratic rulers possess a particular kind of legitimacy that allows them to be much more experimental and undoctrinaire (accommodative of new ideas) than in the typical authoritarian regime’ (Johnson 1999: 52). However, Leftwich (1995: 405) has identified six major components that define the developmental state model. These are a determined developmental elite; relative autonomy; a powerful, competent and insulated bureaucracy; a weak and subordinated civil society; the effective management of non-state economic interests; and legitimacy and performance. The characterization of the democratic elements in Leftwich’s model closely mirrors the situation in Zimbabwe prior to 2009 and may not be helpful looking forward. Zimbabwe had an increasingly authoritarian governance style since the late 90s (Sachikonye, 2002) yet its economic policies saw a continuing decline in key economic indicators. In analyzing the economic reforms policies in Zimbabwe this paper therefore draws more from theories that have stressed the cooperative dynamism of the developmental state. For example, following a detailed analysis of the state’s relationship with business, Linda Weiss (1998: 258) came up with the concept of â€Å"governed interdependence† where she conceptualized that there are collaborative relationships between government and business in pursuit of transformative projects. She noted: â€Å"In this relationship, each party retains its independence, while government remains the ultimate arbiter of the rules and goals of interaction in which information is exchanged, resources are pooled and tasks shared,† (Weiss, 1998: 258). Zimbabwe’s neighbour, Botswana, is an illustration of a state that has pursued certain policies in the construction of what might be regarded as a â€Å"developmental state† i.e. a state that pursues policies that co-ordinates investment plans; has a national development vision- implying that the state is an entrepreneurial agent that engages in institution-building to promote growth and development; and†¦plays a role in domestic conflict management (Chang, 1999: 192-199). Assessment of Zim’s post Z$ economic reform policies The economic reform policy measures are assessed in relation to how the enhance Zimbabwe’s progress towards the attainment of ‘developmental state’ status. It is necessary to point at the onset that the key policy reform measures announced by the GoZ have been formulated and are being carried out within the framework of a mixed economy i.e. some of the productive resources are privately owned and operated while some are controlled by the public sector. As Todaro and Smith (2010) have noted, the mere existence of such an institutional setup means that neither the private nor the public sector can be considered in isolation from each other. This acknowledgement of the interdependent role of the state and business is one of the few positive outcomes (discussed later) of the reform measures. However, a number of factors in the policy measures do not meet the minimal elements required for the country to attain development state status. These include the lack of a clearly and coordinated role of State institutions and weak premises for global re-engagement, both of which are critical for the success of the economic reform measures. Unclear role of the State According to the MTP (2010), the policy measures seek to â€Å"establish a platform for Zimbabwe to emerge as a vibrant Private Sector driven economy that is growing and transforming from a producer of primary products to a producer of diversified manufactured quality products laying the foundation of a competitive global player.† The State will thus â€Å"provide a conductive policy environment that will ignite Private Sector initiatives, entrepreneurship as well as promote a saving and investment culture.† This statement sounds noble but there is nothing that has been said about coordinating the role of the many state players in the economic reform measures. The Ministry of Economic Planning is coordinating 13 sectors in a framework that in reality has shown to be independent of the other key ministries such as the Youth, Indigenization and Empowerment ministry, the Mines Ministry and the Local government ministries, to cite but a few. The country’s indigenization policy, supervised by the youth ministry, has been viewed as a threat to foreign investment in the nation. Whilst government has made assertions about the enforcement of the Act, several transactions have been concluded which show inconsistency in policy implementation. A case in point is government ‘sale of above 50% of its shareholding in Ziscosteel to Essar Energy in Mauritius in 2010 despite the conditions of the Act, which state that 51% of all businesses must be indigenously owned. (IH Securities, 2011) Exacerbating this lack of coordination is the past record of State regulation which has in the past failed to facilitating a conducive environment for business by sections of the previous government. This has the effect of promoting rent-seeking behaviours and corruption in both government and the private sector. International financial institutions have noted this as a hindrance to the success of the economic reform measures. For example, in statement at the Conclusion of the 2011 Article IV Consultation Mission to Zimbabwe (IMF, 2011) the IMF noted that while â€Å"stronger policies, a favorable external environment, and sizeable off-budget donor grants supported a nascent economic recovery and a notable improvement in the humanitarian situation during 2009-10,† the â€Å"macroeconomic outlook for 2011 remains highly uncertain,† (IMF, 2011). The IMF cites among other things, an inefficient composition of public expenditure, persistent financial sector vulnerabilities, and weaknesses in the business climate, including the recently announced fast track indigenization of the mining sector. The State, which prior to the coalition government had become an arena for private capital accumulation, cannot extricate itself from excessive private sector regulation which has, in some cases, resulted in the violation of private property rights. A recent example of these excesses is the recent case that will be heard in the International Court in Paris. The case involves the GoZ and South Africa based Amari Platinum following the former’s cancellation of joint mining ventures in 2010. The South African company had invested over $35 million into the project where it partnered the Zimbabwe Mining Development Corporation. According to media reports, the company is demanding compensation of $200 million, (Sunday Times, October 9th 2011). Autonomy, which is a crucial element that supports growth in a developmental state, means the ability of the state to behave as a coherent collective actor capable of identifying and implementing developmental goals (Edigheji, 2005).There is therefore need for structural reforms. These would include alignment of indigenization and empowerment objectives with respect for private property rights and the need to attract domestic and foreign investment. While these recommendations appear individually, they point to the failure by the reform policies to clearly spell out the role of the State in the economic reform process. Crucially, and related to the role of the State, is the fact that there has not been any systematic attempt to elaborate the concept of the developmental state in Zimbabwe. Besides passing reference in the objectives of all plans, government has not specified the sources of its capacity, other than regular lamentation about the need to build the skills capacities of the public sector. Thus crucial institutional elements that would enable the developmental state to act in a coherent fashion and, on that basis, successfully engage with its social partners have been either taken for granted at best or ignored at worst. Weak to zero premises for global re-integration The policy measures recognize the level of debt currently besetting the country and its impact on badly needed financial inflows, yet it is not clear how this debt will be cleared. According to the MTP: â€Å"the success story that Zimbabwe is becoming will in itself unlock other sources of funds. The few investments funds already in the country will soon become a multitude. Investors like a place where a dollar can be made and Zimbabwe provides such an opportunity.† This in itself sounds like a work of faith. Whilst trust plays a crucial role in policy implementation, the assumption that only success can unlock lines of credit and provides a stimulus for the productive sector is not based on evidence. The huge debt which will result in high future taxes if the country’s major sectors of the economy do not increase their operating capacity against a background of inadequate foreign aid. It could be that it is a carrot in the stick for those elements of government that are likely to derail reforms, yet experience in the past has shown that it is not success that drives politicians, but the ability to create and generate enough wealth prior to the next elections. Reducing poverty under such policies becomes a farfetched dream that will not be recognized. There is need to strengthen internal revenue generation and collection in areas such as tourism, agriculture and mining to finance internal and external debt while also providing resources f or the productive sectors such as agriculture and manufacturing. Alternatively, the country could attain Highly Indebted Poor Country (HIPC) status to enable international debt relief. The experience of Zambia shows that total external debt reduced significantly by 8.9 percent from US$7.12 billion in 2001 to US$6.49 billion in 2002 as a result of the HIPC Initiative (Zulu, 2003). HIPC status could be tied in with the strengthening of open trade policies. Despite being a signatory to numerous trade pacts, Zimbabwe has maintained numerous import controls as reflected by the high tariffs relative to other countries in the region (Hurungo, 2010). The country’s reluctance to reduce tariffs is due to its over reliance on the revenue generated (Biti, 2010) Economic literature on the relationship between restrictive or open trade policies and economic progress has been inconclusive. Multilateral institutions such as the World Bank (WB) and the International Monetary Fund (IMF) regularly promulgate advice predicated on the belief that openness gener ates predictable and positive consequences for growth. According to the IMF, for instance, â€Å"policies toward foreign trade are among the more important factors promoting economic growth and convergence in developing countries,† (IMF, 1997:84). This view is supported by a vast array of literature on trade. For example, Stiglitz (1998:36) noted that â€Å"most specifications of empirical growth regressions find that some indicators of external openness- whether trade ratios or indices or price distortions or average tariff level- is strongly association with per-capita income growth.† Others have made similar observations noting that â€Å"integration into the world economy is the best way for countries to grow,† (Fischer, 2000). Thus Zimbabwe’s strategic reintegration with traditional trade partners could spur growth if value addition is considered for some export products. History has shown that there is no positive relationship between exports and growth in Zimbabwe. For much of the period when Zimbabwe experienced negative growth rates (between 1997 and 2009), it experienced a trade surplus with South Africa, the European Union and the United States (ZimTrade, 2009). Such trade surpluses need to be tapped into in a new economic and political environment fostered by the coalition government so as to spur economic growth and equity. However, there is no acknowledgement of these facts. Stabilization as a success story It should be noted that a significant proportion of the policy measures have had a positive effect- which has resulted in economic stabilization. The adoption of multiple (excluding the Zimbabwe dollar) had the immediate impact of eliminating hyperinflation. Annual inflation declined from an official figure of 231 million in July 2008 to 0.5 percent in December 2009 and 3.5 percent in July 2011, according to the Central Statistical Office (CSO). According to the IMF (April 2011), the Governing Board of the RBZ (which was appointed in May 2010) has achieved a significant improvement in central bank governance, reporting, and organizational restructuring although further steps are needed to accelerate financial restructuring of the financially-distressed RBZ. There was also a significant improvement in product availability in retail and wholesale outlets, with capacity utilization having markedly improved which also witnessed an improvement in the performance of the overall economy. For instance, in 2009 the economy was estimated to have grown by 5.7 percent and the average for SADC was 2.4 percent and 2 percent for Sub-Saharan Africa. While this stabilization, within the theoretical framework of the developmental state, can be seen as progress, it is easy to see that the economic decline had hit rock bottom and the desire is to bring levels of productivity to 2000 levels. The World Bank has estimated that it will take another decade with a growth rate of 10 percent per annum to bring rates to 2000 levels. In June, the IMF said Zimbabwean growth is set to slow sharply in 2011and the countrys recovery from a decade-long deep economic contraction remained fragile (IMF, 2011). An IMF review of Zimbabwes economy projected that economic growth would drop to 5.5 percent in 2011 from 9.0 percent in 2010. It said the country was in debt distress with a large unsustainable external debt stock of 118 percent of gross domestic product as of the end of 2010, the bulk of which was in arrears. Conclusion This paper has provided a framework for understanding Zimbabwe’s economic reform policies within the framework of a developmental state. Though not exhaustive, the developmental state has been defined based on its institutional attributes of being autonomous and coherent. In addition, the developmental state is one that forges broad-based alliances with society and ensures popular participation in the governance and transformation processes. Elements of the Washington Consensus and other classical economic theory have been brought to bear on previous economic reform programs and there is evidence that these continue in current reform policies. The classical theories do not take into account the unique circumstances of a country, especially the different types of government. In spite of the type of government, a developmental state is guided by the goals of coherence and authoritative governance, accountability, inclusiveness, stability, ability to generate consensus and popular participation- none of which are visible in Zimbabwe’s political and economic outlook. Much of the work towards the attainment of a developmental state hinge on Zimbabwe providing and implementing a clear definition of the role of the key players- the state, private sector and civil society- in the proposed economic reform measures. Other measures include forging a clear partnerships with local and international players- with parameters of engagement with the latter based on realistic economic policy measures as well as an engagement path that takes into consideration Zimbabwe’s trade surplus with the major international economic blocks such as the European Union, SADC and the United States. Without this, as seen in current reform policies the chances of success of the reform measures are limited. References African Development Bank Group, 2011, Infrastructure and Growth in Zimbabwe- An Action Plan for Sustained Strong Economic Growth, Tunis, Tunisia African Development Bank Group, 2010, Zimbabwe Country Brief, Regional Department, South Region A, January 2010. Biti, T 2010 â€Å"2010 Budget Speech. Ministry of Finance (28 January) Castells, M., 1992 ‘Four Asian Tigers with a Dragon Head: A Comparative Analysis of State, Economy and Society in the Asian Pacific Rim.’ in Applebaum R, Henderson J (eds). State and Development in the Asian Pacific. Newbury Park: Sage Publications. Chang, H-J (1999) ‘The Economic Theory of the Developmental State’ in M. Woo-Cumings (ed.) The Developmental State New York: Cornell University. Downs, A., 1957, An economic theory of political action in a democracy. Journal of Political Economy, Vol. 65, No. 2, April 1957 Edigheji, O., 2005, A Democratic Developmental State in Africa? Centre for Policy Studies, Research Report No. 105, May 2005 Hurungo, J.T. 2010 Trade Policy Review: Zimbabwe. Stellenbosch: Tralac Medium Term Plan, 2010, Medium Term Plan January 2010- December 2015, July 6, Harare: Government Printers IH Securities, 2011, Zimbabwe Equity Strategy: Bullish macro story amidst potential turbulent waters, Equity Research, March 2, 2011. Johnson, C., 1982, MITI and the Japanese Miracle: The Growth of Industrial Policy, 1925-1975. Stanford: Stanford University Press Leftwich, A., 1995, ‘Bringing Politics Back In: Towards a Model of the Developmental State’, Journal of Development Studies, vol. 31, no. 3. McIndoe, T., 2009, Hyperinflation in Zimbabwe: money demand, seignorage and Aid shocks. IIIS Discussion Paper No. 293, July 2009. Mkandawire, T., 2001, ‘Thinking About the Developmental States in Africa.’ Cambridge Journal of Economics, Pp 289- 314 Sachikonye, L. M. 2002 Whither Zimbabwe? Crisis and Democratization. Review of African Political Economy, No. 91, 13. P 13- 20. Roape Publications Limited. Todaro, P.T. Smith, C. S., 2010 Economic Development (10th edition), Boston: Pearson/ Addison Wesley Wade, R. 1990. Governing the Market. Princeton, New Jersey: Princeton University Press, 1990. Weiss, L. 2003 Guiding Globalization in East Asia: new roles for old developmental states. In Linda Weiss (Ed), States in the global economy: bringing domestic institutions back in. UK: Cambridge University Press Zulu, J.J., 2003, Leaning Against Economic Winds: Zambia’s Problems with HIPC, Lusaka: Jubilee- Zambia Debt Project

Friday, September 20, 2019

How Ethics affect a Nurses role in Euthanasia

How Ethics affect a Nurses role in Euthanasia Euthanasia is an emerging argument seen all over the world. In this argument includes the role of the nurse and the four ethics the nurse is to abide by, justice, beneficence, autonomy and non-maleficence. This paper will explore how these four ethics can play a part in how the nurse may feel about the idea of euthanasia, and how these four ethics can play a part in the deciding factor of whether euthanasia of humans is something that should be carried out or not, regardless of persons physical health. It will examine which ethical principles is the argument for or against euthanasia, is the involvement of the nurse ethically justified, and if so, can it be considered good nursing care? The practice of nursing has long had a high regard for, and treasuring, of life. If it is the job of the nurses to save and protect lives, then how can the consideration of euthanasia fit into nursing practice? Many consider helping a person to find peace and to gain some control over their death as a means of treasuring life. It provides the person with the chance to die in a dignified manner, and to not suffer. The nurse infarcts four moral codes into everyday practice; respect for autonomy, non maleficence, beneficence and justice. These moral codes are brought into light exponentially when the request for euthanasia has been made by a patient and the nurse must find a way to not only adhere to the ethics of practice, and advocate for the patient, but to be in tune with their own ethical thoughts and feelings. In regards to respect for autonomy, euthanasia can be argued as a good practice. It can be justified from the basis of respect for the individuals autonomy (Quaghebeur, Dierckx de Casterle Gastmans, 2009). Providing care for the patient and respecting their autonomy means respecting the request of euthanasia from the patient, though it may not correlate with the nurses personal feelings of euthanasia, or their ability(physical or mental) to carry out the requested task (Quaghebeur, et al 2009) Professional integrity of nurses can be used to support euthanasia from the standpoint of autonomy as well. It is this integrity that is responsible for fellow humans, therefore having respect for their autonomy. In congruence with this responsibility for fellow humans, euthanasia is now compatible with the integrity of nursing. The nurse with this professional integrity respects the patient autonomy, therefore providing compassionate care and promoting optimal well being of the patient. As as result of this care, euthanasia is now in accordance to the idea of the nursing profession, as human dignity is protected, patient interest is promoted, and the patient is being cared for(White, 1999) In accordance to the moral point of justice, in order to protect the patients interests, euthanasia can be seen as good care for the patient, ethically justified as a form of a good death. It could be argued that it would be not only unjust, but cruel to refuse the request of euthanasia (Quaghebeur, et al 2009). The ethical principle of non -maleficence means to do no harm (Potter and Perry, 2010). However, nurses harm their patients everyday simply by administering treatments such as chemotherapy for a patient with cancer. These treatments are seen as acceptable however, because the benefit is greater than the initial harm(McCabe, 2007). The Hippocratic oath, an oath that is traditionally upheld by all nurses and medical professionals, has proscribed the event of abortion and surgery. Despite the true definition of this oath to do no harm, these practices are allowed because they serve the ability to promote patient well being. Along the same instance of promoting patient well being, a patient may need the nurse to assist them to die when prolonging life is indeed harming the patient. In this situation, death would be a benefit (White, 1999) This brings around the idea of beneficence, the nurse is the patient advocate who must do good, promulgate the best interest of others (Quaghebeur et al 2009). The nurse is very often the first to receive the request of euthanasia from the patient due to the closeness and depth of involvement the nurse has in a persons life. In a study of American nurses, the reasons claimed for having even participated in euthanasia was a feeling of responsibility for their patients welfare, and a way to help relieve the patient of their pain and suffering (De Bal, Gastmas, Dierckx de Casterle, 2008). Indeed, ending pain and suffering can be seen as doing no harm, but bringing about peace and comfort. For instance, the right thing for a nurse to do when confronted by the pain of a patient is to alleviate that pain, because healing is what the activity of nursing is directed at, easing the suffering and restore the sense of well-being to a patient. This is to act morally well, because this act assuag ed the pain of the patient. (McCabe, 2007) Nurses are committed to not only preventing and minimizing the effects of disease and promoting health, but to relieve pain and suffering that can be brought about by these maladies (White, 1999) Several criticisms can be seen going against the idea of euthanasia being a morally good practice because it is based upon respect for the patients autonomy (Quahgebeur et al 2009). It is argued that the nurse who is obliging to advocate for the patient wishing for euthanasia, while respecting the patients autonomy, is not respecting their own autonomy. Respecting a patients autonomy in regards to life, or the lack thereof, is undermining the importance of social community, as dying as a social practice, much as life is a social practice (Quaghebeur et al, 2009) Euthanasia is argued to in fact not administer justice to the autonomy of a patient (Quaghbeur et al 2009). If a patient does indeed receive euthanasia, though it may be respecting their autonomy by carrying out the request, once the patient has passed on, they are no longer able to enjoy that autonomy (Quaghebeur et al 2009). In the literature of nursing ethics, the principle of non-maleficence outright rejects euthanasia, due to the irreversible damage made to the patients life, it is seen as too drastic of an intervention to be even used (Quaghebeur et al 2009). According to the principle of non-maleficence,euthanasia is not considered good ethical nursing practice owing to the sanctity of human life Human life is deserving of respect, despite a growing population and people now living longer than before due to the advances of technology. Each human life is of both equal dignity and sacrosanct(Quaghebeur et al 2009). The American Nurses Association holds the position on this issue that assisting an individual to die is not compatible with the nurses role in society. Non-maleficence means to do no harm and this is the pledge nurses make to society. By assisting the patient in suicide, the trust between the nurse and the patient is destroyed. (ANA 2001) Doing good for the patient doesnt always mean ending their life when they have stated they want to die, as there is a difference between stating the desire to die as opposed to actually having the desire to be killed (Quaghebeur et al 2009). If the nurse wants to do good by the way of the patient, then quality and dignity of life must be examined. A patients interests are never served by fulfilling the request of death, even if the patient believes otherwise. Is it possible to actually judge how worthwhile someones life actually is, that there is a life that is not worth being lived? (Quaghebeur et al 2009). Ethics of desire may outshine the ethics of reason, and with that, a threat of moral relativism disseminating a patients interest determines good ethical nursing practice (McCabe 2007). In a case where preservation of life can no longer be attained, then the nurse will continue to heal through practice of ensuring physical and emotional comfort, support of the patient and their loved ones, assisting the patient to a place of security, comfort and peace (McCabe, 2007). Society places a great deal of trust upon the nursing profession and by engaging in measures to end a patients life, this professional integrity contravenes and undermines this trust that has been placed upon them. (McCabe, 2007) A nurse as an individual will need to clarify their own values, as the implications of euthanasia are enormous. As a nurse, a definitive decision on their position in regards to this issue must be made. All aspects of the issue must be looked at, fully understood, and only then a decision on position should be made. A nurse needs to respect not only a patients autonomy, but their own as well, and need to remain true to their own values as well. Many different controversial issues will be confronted during the career of a nurse, including assisted suicide. The nurse needs to be not only educated on the implications of such actions, but educated in their own opinions, with the ability to think critically about these controversial issues. A nurse will need to be involved in their politics to maintain their emotional integrity when confronted with a situation that may or may not be ethical to them. Within time, there is a greater chance of more and more states passing laws allowing human euthanasia to occur, as well as against, and the the ability to apply the oath to do no harm will be examined again and again. This writer believes that the act of euthanasia in nursing is a subject that needs to be considered very deeply. If the values of nursing ethics include autonomy, beneficence, justice, and non-maleficence, then the concept of euthanasia, in a positive way, reflects all four ethics. A patient who is hurting, and a nurse who continues to prolong a life that is physically demoralizing and painful (indeed causing the patient harm, when a nurse is to do no harm), has a duty to that patient to ease the pain and suffering to the furthest extent possible to the request of the patient. Though it may seem irrelevant to the care of the patient, this writer has always had a firm belief of euthanasia. If a person puts their pet to sleep because the pet is no longer able to live a good quality of life, the owner does right by the pet by euthanizing it, though the pet cannot say in so many words that it is suffering and wants this to be over. A human being has the ability to express what his or her feelings on continuing their life, regardless of the quality, is. To deny a person who is fully capable of making their own decisions, the ability to end a life that will be soon be over and is wrought with pain and suffering, is wrong. To not allow the patient peace and comfort, and relief from pain that a nurse is supposed to give, impedes on the top ethic of medical practice, do no harm. Indeed by not complying with the patients wish of the pain to end, the nurse is doing harm, mentally and physically, and not just with the patient, but with the patients family as well. Though this writer will have to continue to educate herself on the practices that may or may not involve human euthanasia, it is the belief that this is a subject that will be brought up again and again, especially in the critical care settings, where pain, death and dying is at its greatest. Conclusion While there many arguments for and against assisted suicide, the answer to the question of whether it is right or wrong remains ambiguous. One reason for the lack of clear cut answers is that assisted suicide is an ethical issue which is dependent on a persons values, morals, religion, and experiences. In general, the topic of end-of-life decision making is very sensitive and evokes strong emotions and opinions. Instead of debating the issues involved with assisted suicide, this paper merely describes pertinent arguments that have been presented by both sides. There are many nursing implications that are associated with assisted suicide. Among these is the importance for nurses to be aware of their own beliefs about end-of-life care. Self-awareness will prepare nurses for obstacles they will face when dealing with death. Another implication is that nurses need to be cognizant of politics and legal authority. Becoming active in political processes, nurses can work to ensure that they will not be forced into doing procedures that come in direct conflict with their beliefs. In final conclusion, the code of ethics a nurse is to oblige by can come across as a very gray area. There does not seem to be any cut and dry reasoning behind whether the practice of euthanasia is good or bad, or something that a nurse should or should not participate it. The ethics can be construed to fit any need necessary, whether it is in favor of the act of euthanasia, which can be argued that by ending a life one is removing the pain. Or it can be argued that by administration of such lethal drugs to carry out the act, one is indeed harming by bringing about death.

Thursday, September 19, 2019

Macbeth Notes :: essays research papers

Macbeth - Macbeth is a Scottish general and the thane of Glamis who is led to wicked thoughts by the prophecies of the three witches, especially after their prophecy that he will be made thane of Cawdor comes true. Macbeth is a brave soldier and a powerful man, but he is not a virtuous one. He is easily tempted into murder to fulfill his ambitions to the throne, and once he commits his first crime and is crowned king of Scotland, he embarks on further atrocities with increasing ease. Ultimately, Macbeth proves himself better suited to the battlefield than to political intrigue, because he lacks the skills necessary to rule without being a tyrant. His response to every problem is violence and murder. Unlike Shakespeare's great villains, such as Iago in Othello and Richard III in Richard III, Macbeth is never comfortable in his role as a criminal. He is unable to bear the psychic consequences of his atrocities. Click here for In-Depth Analysis. Lady Macbeth - Macbeth's wife, a deeply ambitious woman who lusts for power and position. Early in the play she seems to be the stronger and more ruthless of the two, as she urges her husband to kill Duncan and seize the crown. After the bloodshed begins, however, Lady Macbeth falls victim to guilt and madness to an even greater degree than her husband. Her conscience affects her to such an extent that she eventually commits suicide. Interestingly, she and Macbeth are presented as being deeply in love, and many of Lady Macbeth's speeches imply that her influence over her husband is primarily sexual. Their joint alienation from the world, occasioned by their partnership in crime, seems to strengthen the attachment that they feel to one another. Click here for In-Depth Analysis. The Three Witches - Three "black and midnight hags" who plot mischief against Macbeth using charms, spells, and prophecies. Their predictions prompt him to murder Duncan, to order the deaths of Banquo and his son, and to blindly believe in his own immortality. The play leaves the witches' true identity unclear—aside from the fact that they are servants of Hecate, we know little about their place in the cosmos. In some ways they resemble the mythological Fates, who impersonally wove the threads of human destiny. They clearly take a perverse delight in using their knowledge of the future to toy with and destroy human beings.

Wednesday, September 18, 2019

Technology, Population, and the Impact of Ancient Humans on the Environ

Technology, Population, and the Impact of Ancient Humans on the Environment In recent years, humans have become increasingly concerned with their effect on the planet and its ecosystems. In the popular view, these problems are new and unprecedented in human history. While it is probably true that our impact on the environment on a global scale has never been as great, the difference is simply the scale on which our actions are being taken. Situations that previously were local or regional in scope have now become global, owing to the increasingly sophisticated technologies that we have developed and our ever-increasing population. As an examination of the impact of ancient humans on the environment illustrates, however, the current impact fits into the general pattern that the degree to which humans influence their environment is determined by their concentration and the sophistication of their technology. Contrary to the popular view which sees ancient humans as either benignly living with their environments (see Note 1 below) or as leading miserable short lives during which they were at the mercy of those environments, archeology tells us that humans have been interacting with and affecting their environments since the beginning. As Neil Roberts comments, humans' impact on landscapes began "even before†¦landscapes had become recognizably modern." (Note 2). My purpose in this paper is to illustrate some of the ways ancient humans, using a variety of technologies, altered the environments they lived in. Before I begin, however, I would like to emphasize that discussing human "impact" on the environment implies human action was detrimental to the environment. In this paper, I shall define "impact" as any change in the lands... ...ng paragraphs come from the author's lecture notes as described in note 7 above, as well as Ellen, R. "Modes of subsistence: hunting and gathering to agriculture and pastoralism," in The Companion Encyclopedia to Anthropology, ed T. Ingold, New York: Routledge, 1994.; and Price, T.D. and J.A. Brown. "Aspects of Hunter-Gatherer Complexity," in Prehistoric Hunter-Gatherers, T. Price and J. Brown, eds. San Diego: Academic Press, 1985. 9. Other populations such as mammoth hunters of the Central European Plain dealt with these pressures by shifting to specialized economies based on the extensive use of a few species. 10. The opposite is k-selected species such as mammoth, who produce fewer offspring, but give these offspring more care in order to give each offspring a higher chance of survival. Earlier subsistence patterns had tended to focus on k-selected species.

Tuesday, September 17, 2019

civil war :: essays papers

civil war3 Albert Gallatin Brown, U.S. Senator from Mississippi, speaking with regard to the several filibuster expeditions to Central America: "I want Cuba . . . I want Tamaulipas, Potosi, and one or two other Mexican States; and I want them all for the same reason -- for the planting and spreading of slavery." [Battle Cry of Freedom, p. 106.] Richmond Enquirer, 1856: "Democratic liberty exists solely because we have slaves . . . freedom is not possible without slavery." Lawrence Keitt, Congressman from South Carolina, in a speech to the House on January 25, 1860: "African slavery is the corner-stone of the industrial, social, and political fabric of the South; and whatever wars against it, wars against her very existence. Strike down the institution of African slavery and you reduce the South to depopulation and barbarism." Later in the same speech he said, "The anti-slavery party contend that slavery is wrong in itself, and the Government is a consolidated national democracy. We of the South contend that slavery is right, and that this is a confederate Republic of sovereign States." Taken from a photocopy of the Congressional Globe supplied by Steve Miller. Methodist Rev. John T. Wightman, preaching at Yorkville, South Carolina: "The triumphs of Christianity rest this very hour upon slavery; and slavery depends on the triumphs of the South . . . This war is the servant of slavery." [The Glory of God, the Defence of the South (1861), cited in Eugene Genovese's Consuming Fire (1998).] Alexander Stephens, Vice-President of the Confederacy, referring to the Confederate government: "Its foundations are laid, its cornerstone rests, upon the great truth that the negro is not equal to the white man; that slavery . . . is his natural and normal condition." [Augusta, Georgia, Daily Constitutionalist, March 30, 1861.] Alfred P. Aldrich, South Carolina legislator from Barnwell: "If the Republican party with its platform of principles, the main feature of which is the abolition of slavery and, therefore, the destruction of the South, carries the country at the next Presidential election, shall we remain in the Union, or form a separate Confederacy? This is the great, grave issue. It is not who shall be President, it is not which party shall rule -- it is a question of political and social existence." [Steven Channing, Crisis of Fear, pp. 141-142.] Political divisions America was thus divided by economic structure, and was led into fratricidal warfare by a series of political clashes. civil war :: essays papers civil war3 Albert Gallatin Brown, U.S. Senator from Mississippi, speaking with regard to the several filibuster expeditions to Central America: "I want Cuba . . . I want Tamaulipas, Potosi, and one or two other Mexican States; and I want them all for the same reason -- for the planting and spreading of slavery." [Battle Cry of Freedom, p. 106.] Richmond Enquirer, 1856: "Democratic liberty exists solely because we have slaves . . . freedom is not possible without slavery." Lawrence Keitt, Congressman from South Carolina, in a speech to the House on January 25, 1860: "African slavery is the corner-stone of the industrial, social, and political fabric of the South; and whatever wars against it, wars against her very existence. Strike down the institution of African slavery and you reduce the South to depopulation and barbarism." Later in the same speech he said, "The anti-slavery party contend that slavery is wrong in itself, and the Government is a consolidated national democracy. We of the South contend that slavery is right, and that this is a confederate Republic of sovereign States." Taken from a photocopy of the Congressional Globe supplied by Steve Miller. Methodist Rev. John T. Wightman, preaching at Yorkville, South Carolina: "The triumphs of Christianity rest this very hour upon slavery; and slavery depends on the triumphs of the South . . . This war is the servant of slavery." [The Glory of God, the Defence of the South (1861), cited in Eugene Genovese's Consuming Fire (1998).] Alexander Stephens, Vice-President of the Confederacy, referring to the Confederate government: "Its foundations are laid, its cornerstone rests, upon the great truth that the negro is not equal to the white man; that slavery . . . is his natural and normal condition." [Augusta, Georgia, Daily Constitutionalist, March 30, 1861.] Alfred P. Aldrich, South Carolina legislator from Barnwell: "If the Republican party with its platform of principles, the main feature of which is the abolition of slavery and, therefore, the destruction of the South, carries the country at the next Presidential election, shall we remain in the Union, or form a separate Confederacy? This is the great, grave issue. It is not who shall be President, it is not which party shall rule -- it is a question of political and social existence." [Steven Channing, Crisis of Fear, pp. 141-142.] Political divisions America was thus divided by economic structure, and was led into fratricidal warfare by a series of political clashes.

Monday, September 16, 2019

Ensuring People Support for Education and Training Programs Essay

A collaborative effort is a key to success in the field of continuing education.   That is to maintain partnership with the learners, the supervisors and, the managers.   To ensure support from each participant it is important that there is connectivity before, during, and after the training program.   After all, learning is effective when it is applied as well as teaching is assimilated when it is explained. In Cafarella’s book, the five primary purpose of education was explicitly stated that is; â€Å"to encourage growth, to assist with practical problems, to prepare people for current and future opportunities, to assist with change for desired results, and to examine community or social issues (Schultz, 2002).†   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Educators are tasked to elaborate from the beginning the reason of the training program and if it is presented to learners as useful and not mandatory support from the learner is ensured even from the start of the program.   Key people or the supervisors can be invited in the planning process so that they can tell the planner or the educator actual experiences on how the knowledge will be applied.   Also it is best to include the supervisors in giving decisions on when is the training program be scheduled so that critical schedule in their operations will not be hampered.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   During trainings learners should get involved in the discussion by inviting them to give examples and with those actual situations mentioned by the participants, trainers should help the learner to reflect on the subject and how it could be applied.   Supervisors at the same time can be asked to mentor or assist in the on-going program.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Training program does not end at the venue but probing whether the learning process is blocked after instruction was given ensures effectiveness of the course.   Learners should be encouraged to help one another and evaluate the learning process.   Supervisors should be asked on the feedback if the course has been effective by checking if what is learned was applied in each participants actual work situation.   To ensure continuous support and partnership, endings should be addressed whether it is positive or negative (Caffarella, 2002).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Managers are tasked to implement goals and objectives; they are the one who manage change.   To ensure their support from beginning to end, they should be asked to provide consultations before and after.   They should be convinced that the program is helping their organization to grow. References Schultz, J. D. (2002). Book Review: Planning Programs for Adult Learners, 2nd Edition by Rosemary A. Caffarella [Electronic Version]. Retrieved 12 February 2008 from http://www.exchangesjournal.org/reviews/review_1107.html. Caffarella, R.A. (2002).   Planning Programs for Adult Learners (Chapter 5), 2nd Edition, 403 pages ISBN: 0-7879-5225-7.

Supply and Demand and Cell Phones

Damita Nix 1/15/2012 CTU Online ECON202-1201B Phase 1 Individual Project1 Instructor Olanrewaju Abstract This paper will explore the world of two particular types of cell phones that are identical with minor features. I will be demonstrating skills in using the tools of economics for decision making for the firm operating in the market economy to include supply and demand, elasticity of demand, consumer behavior and utility maximization, and the costs of production both short-run and long-run. I will also be demonstrating the ability to clearly present views in written and/or oral expression. On the web, I will research additional information about the A-Phone and the Pomegranate. The task below also requires me to draw graphs of supply and demands increases and decreases. When the task is complete you will have learned about the demand curve of an A phone, a clear understanding on what happens to the price and quantity supplied, equilibrium, and effects on government interventions with cell phones. Title: Cell Phones Part I Draw the demand curve for the A-Phone. Explain how the graph, price, and quantity demanded  will change if the following occurs: * There is an overall increase in income. There is an overall increase in income and people believe that the Pomegranate is now better than the A-Phone. * The price of the A-Phone goes up  when a flaw is found in the Pomegranate. * A new type of walkie-talkie has an unlimited range and is basically free. * It is discovered that there are health concerns when using cell phones. * There is a baby boom. * The price of the A -Phone and the Pomegranate both go up. Price P1 P2 P3 Demand Q1 Q2 Q3 Quantity What happens to the supply of cell phones if the market price goes up? Part II Explain what happens to the price and quantity supplied and how it reflects on a graph if the following occurs: * It becomes more expensive to produce cell phones. * More cell phones are being produced with the same amount of inputs. * Walkie talkies are popular because of the new technological change mentioned above. * Another company starts producing cell phones, and now there are  3 producers in the market. * People think the price of cell phones will go up in the future. PriceSupply P1 Q1 Quantity Part III Draw a graph which shows the equilibrium price of cell phones. Explain what the graph is showing. When the new manufacturer introduces the Robo cell phone to the market, how does that effect the equilibrium price if the Robo is basically the same as the other cell phones? ————- Part IV As the public’s dependence on cell phones continues to grow, the cost of the phones may be decreasing, but the stronghold that  telecommunication companies have on the public in regards to contracts and climbing fees is alarming. Additionally, all cell phone companies charge about the same prices, and the consumers do not have much choice in substituting providers. Consumers appear to need some controls in this regard, and the government decides to step in. * What is the effect of government intervention in the cell phone market? Make sure that you use graphs to illustrate your point. * Is this a good thing for consumers? On the other hand, the government sees the increase in cell phone use as an opportunity to make some additional revenue, and it decides to tax  service  providers. * Who is really paying the tax? * Illustrate your conclusion on a graph. * Do you think that there is a free market for cell phone users? Why or why not? References

Sunday, September 15, 2019

“Nowhere Man” by Pico Iyer Essay

â€Å"Nowhere Man† by Pico Iyer talks about how being a transit lounger has it’s ups and downs. Packing and waiting for your next plane as soon as you’re about ready to just sit down and rest. From sleeping in airports to eating almost all of your meals off of plastic plates. I could relate to Iyer to some level but fully. Being a visitor in your home is never a good feeling to experience but seeing the world through your eyes is such a blessing as well. I thought that nationalism was the only thing that created â€Å"monsters† but after reading this piece, I believe that both nationalism and internationalism create â€Å"monsters†. Themes that I picked up while reading this piece were – independence, nationalism, internationalism, lack for sense of home, family and comfort, discovery, self-discovery, exhaustion, loneliness, confusion. I really enjoyed a lot of the sentences that Iyer wrote but one that really caught my attention was, â€Å"We pass through countries as through revolving doors, resident aliens of the world, impermanent residents of nowhere†. This sentence really caught my attention because not only were these words put together very well but they also have a deeper meaning behind them. To me, this sentence means that they were always in a hurry to get from country to the other in time and all though they were always traveling, they never had the true meaning of a â€Å"home† but yet had a house wherever they traveled to. When Iyer said, â€Å"We are visitors in our home† – it really hit home because whenever I go over to my dads house, I feel like such a visitor although I’m suppose to feel like it’s my second home because it’s my dads house. I’m not sure what he felt when he wrote it but when I write it or talk about, I feel empty as though so mething is missing. Personally, I would have a love/hate relationship if I were a transit lounger, not knowing where home is. I would love it because I get to travel the world, discover new cities and meet new people but I would hate it because I would most likely constantly get asked where I live and I would hate to say â€Å"I don’t actually have a home but I’m going to Madrid next!†. If I didn’t have a home, I would probably lose my sense of family and comfort.  I wouldn’t know where I could go back to when I get tired of traveling, once I’m overwhelmed with seeing new cities and meeting new people. But it would also help me build a sense of independence and I would have an exciting lifestyle. Being a transit lounger sure does have it’s deep cons and pros. Two questions: – If he wasn’t a transit lounger, would he still be the same person he is today? Would he be as independent as he is today? – Did any of the other students relate to Iyer when he mentioned â€Å"†We are visitors even in our home†?

Saturday, September 14, 2019

Care Plan for Neuman

Nursing Care Plan Using Neuman’s Model Nursing Diagnosis using NANDA diagnoses terminology| Measurable Goals| Nursing Outcomes (interventions)| Level(s) of Prevention for each Intervention| Self-care deficit r/t physical limitations and frustration over loss of independence AEB in ability to perform ADL’s such as bathing, grooming, hygiene, and dressing. | Patient will be dressed and out of bed for therapy daily over the next 30 days. Ace will be free of skin breakdown for the next 60 days. Pt will assist with ADL’s to the highest degree possible over the next 30 days.Ace with bathe and dress self with min-assist/supervision and cues in 90 days. | 1. Encourage patient to be accountable for specific aspects of care (i. e. brush teeth daily)2. Set up grooming items and encourage participation3. Assist with ADL’s if Ace is unable4. Encourage, cue and assist to select clothing and dress appropriately daily5. Ambulate pt with assist (as directed by PT)6. Monito r for c/o discomfort, foul smelling, and discolored urine 7. Assist with and encourage good peri-care with each toileting 8.Educate pt on breaking tasks into small steps. Limit choices to two, and provide reminder and cues during tasks   | 1. Primary2. Secondary4. Primary5. Secondary6. Primary7. Primary8. Teritary |   Risk for impaired skin integrity R/T immobility, mechanical pressure & sheer. | Ace will be turned/repositioned Q 2 hrs. with assist of 1-2 people. Ace will complete transfers with min-mod assist of 1 as required. Ace will be out of bed daily, as tolerated, transfers will be with assist of 1-2 staff as required. | 1.While in bed staff with assist Ace to turn/reposition self-using pillows and wedges to maintain position. 2. Place call light w/in easy reach3. PT to educate Ace on assistive devices4. Remind and encourage Ace to call for assistance when needed5. Ace will be out of bed to chair daily as tolerated  | 1. Primary2. Secondary3. Primary4. Secondary5. Terit ary|   Impaired physical mobility related to neuromuscular impairment r/t Hypertension, Occlusion within vessels of the brain parenchyma disruption of blood supply in the brain area, tissue and cell necrosis.   Ace will be free of injury for next 30 days. | 1. Change position Q 2 hrs. 2. Teaching related to ambulation and transfers by PT/OT and nursing. 3. Evaluation and education of assistive devices as directed by therapies. 4. Education on diet, nutrition and speech consult 5. Encourage use of non-skid shoes/footwear6. Provides safety measures (side rails up, using pillows to support body part)  | 1. Primary2. Tertiary3. Tertiary4. Primary5. Secondary6. Primary|

Friday, September 13, 2019

Hinduism Essay Example | Topics and Well Written Essays - 500 words

Hinduism - Essay Example Therefore, those that do bad deeds, such as rob or steel, are polluting their karma, which will lead to unfortunate events and vice versa for good deeds. It is also important in the concept of reincarnation, as how good your karma is will determine what an individual is reincarnated as. This is especially important because a person must have very good karma in order to escape the cycle of reincarnation in order to achieve a higher state of enlightenment known as moksha. An avatar is a manifestation of a Hindu deity on Earth. Each sect of Hinduism has a different view regarding these types of manifestations. The manifestation does not have to occur solely as a human, but can be in the form of an animal or any other sort of creature. They appear as a source of divine influence and often speak to people offering sage’s advice. In addition, each avatar has unique qualities, which separate them from one another. Each sect of Hinduism acknowledges the existence of a different number of avatars. In the basics of Hinduism for someone who is unfamiliar to the religion, it would sound unique in comparison to its Christian counterpart.

Thursday, September 12, 2019

IT Governance Project in Geneva Industrial Services Essay

IT Governance Project in Geneva Industrial Services - Essay Example This case study of The Geneva Industrial Services (Services Industriels de Genà ¨ve, SIG) gives a good example of the IT Governance project. SIG is a state-owned organisation that renders services in electricity, gas, heating, energy and drinking water supplying; as well as in used water and waste processing and improvement, and telecommunications. This IT Governance case study is focused on the innovative electricity Distribution Management System (DMS), introduced in the organisation. The case study is based upon the project presentation of Glassey at the e-CASE International Conference in Singapore (Glassey 2009) and on the report describing the SEAM method, which is laid at the heart of the SIG’s DMS (Wegmann et al. 2008). IT Governance is ‘a framework for the leadership, organisational structures and business processes, standards and compliance to these standards, which ensure that the organisation’s IT supports and enables the achievement of its strategies and objectives’. As it was mentioned above, this IT Governance project in SIG was mostly aimed at the reorganisation of processes and systems in order to separate distribution and commercialisation activities in the company’s electricity distribution management system (DMS). This in its turn would enable the company to comply with the new Swiss law (Glassey 2009). In the area of electrical and electronic technologies the International Electrotechnical Commission (IEC) is the leading organization for international standards.

Wednesday, September 11, 2019

Personal Financial Analysis Plan Essay Example | Topics and Well Written Essays - 750 words

Personal Financial Analysis Plan - Essay Example These financial areas include investment into bonds/stocks, purchasing a real estate, insurance coverage as well as income generating activities. My ultimate aim is to create a portfolio of such assets so that a consistent cash flow is being delivered to me throughout my retirement life. Out of the $100,000/- I would allocate $100,000 to purchase 30 years bonds of a large corporation which can provide return equivalent to the return of 5% to 7% whereas $100,000/- of existing financial resources are going to be invested into the purchase of stocks of a blue-chip company having a history of providing consistent stream of dividends. I also intend to buy a small piece of real estate at the total investment of $250,000 whereas I also intend to purchase an insurance cover which not only pay for my medical expenses but guarantee a consistent annuity amount over the period of retirement life. A bond is a long term security which provides a constant/variable rate of return called coupon over the period of its life besides returning back the investment made into it. Bonds are considered as less risky than the stocks as they guarantee a consistent fixed income over the period of investment and offer priority rights to the bondholders in case of liquidation. They are considered as best financial securities for planning retirement. (Investopedia, 2008). Stocks on the other hand are the shares in a company's equity and holders are given the status of shareholder in the business. They are more risky than bonds because return on them is not variable but also subject to fluctuations into the financial position of the company. Further, from a retirement planning point of view this can be more risky as it is not necessary and obligatory for the company to pay dividends to their shareholders. (Investopedia, 2008). Investing into real estate is now considered as one of the most lucrative form of investment as it not only appreciate in value but also provide a consistent stream of rental income over the contractual period. Insurance covers especially life insurance provide you an opportunity to protect your family in case of your death and after the retirement can also guarantee you a consistent stream of income out of the insurance premium you have accrued over the period of time. (About.com, 2008). Conclusion Preparing for after retirement period is one of the most critical issue in one's life as when approach that phase of your life where you may not be able to work as good as you were able to do in your youth. It is therefore of critical importance that personal financial planning for the future should be strong enough to ensure that all your financial needs are fulfilled. Investing into various real as well as financial assets is an excellent way through which one can plan to achieve a good mix of assets guaranteeing the overall achievement of financial goals of a person. My personal financial

Tuesday, September 10, 2019

Drug Testing in the Workplace Essay Example | Topics and Well Written Essays - 1000 words

Drug Testing in the Workplace - Essay Example This approach has streamed a mix though strong reaction with or against the act. The random drug test and medical assistance is legally applicable incase of rational grounds especially when there is probability/occurrence of an accident involving the worker. Observing behavior such as alcoholic odor on breath, glassy eyes, unsteady composure, slurred speech and multiple errors while working substantiate a proper drug test without any prior notification. Incase the test results positive the employee should be granted rehabilitation epoch and permissible to return to employment following an evaluation by a Substance Abuse Professional [SAP] (Drug and Alcohol Testing). Often such an employee challenges the drug test lest if the result is positive. The victim should be elucidated that workplace drug testing is not a vindication of dismissal, it is adapted by the company to safeguard its work environment as well as to achieve the expected performances & production goals by its employees. Strict action maybe taken incase of recurring liabilities of any employee. According to the Merriam-Webster Dictionary, "civil disobedience can be defined as refusal to obey governmental demands or commands especially as a nonviolent and usually collective means of forcing concessions from the government" [1866]. This means that the individuals responsible for civil disobedience are willingly accepting the legal consequences on behalf of their actions since they are involved in falsification of the law. The justification of severity of the legal action is dependant upon the act executed by the persons and its consequences. The mode of action and the motivation for acting must be kept in view while legally examining the act (Civil Disobedience). In terms of environmental causes or animal rights, civil disobedience is often the universal retort by the populace concerned about such issues. Such a dilemma requires action that reflects the protesters' compassion towards the egalitarian principles. The conventional environmental groups have turned believers of incorporating undeviating policies like civil disobedience so as to protect their cause. This usually occurs due to the disappointment concerning the leisurely outcomes of the governmental authorities regarding vindicated environmental issues. It so happens, that such environmentalists involved in safeguarding their root violate the law through their aggressive obliteration of the court, however justified in the other case. These concerns need to be addressed in-depth by the governmental authorities by crafting the laws in accordance to the mainstream causes of today. Ecological laws should be addressed to cater to the environment and the wild life to avoid such extremist behavior of their supporters. From a resource in the Internet find a current article regarding Deep Ecology, environmental activism, or environmental extremism. Read the article and post a short summary (about 100 words or so) of its main points as your response to this DQ. Include the reference information for your article so everyone can find it if they are interested in reading the material. 250 words The