Wednesday, October 30, 2019

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

Response - Essay Example Mahay analyses the that technology has played in advancing the message of holiday cards to include social class and status as well as construct an ideal of what happiness is all about. The author employs professional analysis to understand the actual message being carried by the digitally constructed photos. She understands very well that such cards were in the past used to wish paper an enjoyable or eventful holidays. However, this is no longer the case in the technologically advanced world where people have been given much power to professionally produce their photos. Her analysis leads her to a number of findings among which include how the holiday cards signify status. For example, she notes that a person’s status is seen through the cultural and economic capital represented in an elite holiday photo card (Mahay). Many photos on holiday cards show pictures of a family in different places enjoying life with their family members. These cards have certainly become a powerful tool used to express oneself. They are no longer sent to only those people who are far away from the sender, but also to the persons they meet on a daily basis. For many, the holiday c ard is the only communication they have with much of their extended social network (Jenna, 86). It is this simplicity of bringing out the message that captures the readers’ attention. Even though she applied two methodologies, the qualitative analysis which is reflected in the costly materials, sophisticated designs and modern digital technology, and the quantitative analysis on the displays of these retail websites to gather her information, she only rested on two photo card retail websites. These websites are the Shutterfly and Tiny Prints (Jenna 85). The use of other Medias like the holiday photo card retail shops, magazines and interviews could have given her more support on how the holiday photo card have greatly

Monday, October 28, 2019

Hospital Automation System Essay Example for Free

Hospital Automation System Essay The team has planned to develop a Hospital Automation System for the well knownhospital called Pannipitiya Nursing Home. Currently the client company depends on an error   Ã¢â‚¬â€œ prone software system and a large amount of manual work. Development of a new systemwill help the client company to minimize the work load they handle manually and to eliminatethe faults and errors of the existing software system.This proposed system handles the entire hospital work load under seven major functions namely; OPD, IPD, Medical laboratory, Pharmacy and stores, Doctor services, Alertsystem and report generation and Billing system. The new system will be having key benefitsover existing system such as; high performance due to the immediate updating service provided by the system, reduce errors of putting unnecessary purchase orders, access to fullydetailed description about the patient regarding their medical reports, doctors will be pre -alerted about the appointment details of the day and thus the doctor can manage visiting time,reduce human effort and the cost spends to train new employees etc.

Saturday, October 26, 2019

Leadership Speech :: essays research papers

Many people believe that leadership is simply being the first, biggest or most powerful. Leadership in organizations has a different and more meaningful definition. A leader is someone who sets direction in an effort or task and influences or motivates people to follow that direction. The power point presentation explains leadership is the influence that particular individuals exert on the goal achievement of others in an organizational context. When some think of leadership the idea of the military is taken into account while others use the term to refer to executive management. These are few examples of different types of leaders there are. There are also different roles of leadership such as senior-level executives and middle managers. Motivated leaders who have charisma and high levels of emotional stability will be honest and have integrity in the manner in which they lead. An effective leader must be respected by the members of his or her group in order to perform effectively. Another aspect of leadership includes leadership traits such as being influential and inspirational. There also different contexts of leadership, e.g, leading oneself, leading other individuals, leading groups, leading organizations. Some traits that are often associated with being an effective leader include a measure of intelligence, high energy, self confidence, dominance, and a need for achievement. An effective, charismatic leader must lead by example. That leader must be able to know what is going on, the job or task that is being accomplished, and be able to lead the group into performing the task at hand successfully. There are many different types of theories on leadership. There is Fiedler’s contingency theory, situational theories of leadership and House’s path-goal theory. These theories are used to make an individual or manager a more effective leader. They can be used as a guide for individuals and help them achieve whatever goal is set out by their organization or group. Fiedler’s Theory is stated in the power point presentation as the association between leadership orientation and group effectiveness is contingent on how favorable the situation is for exerting influence. If there is some catastrophe which will befall a group or set of individuals if a task is not complete, then that group will be more effective as they are motivated to complete that task to avert that particular catastrophe. The Situational Theories of leadership explain how leadership style must be tailored to the demands of the task and the qualities of subordinates.

Thursday, October 24, 2019

Indigenous Disadvantage

Working Effectively with Aboriginal and Torres Strait Islander People Why are Indigenous people in Australia still disadvantaged with regard to health care and services? For the last 200 years Indigenous people have been victims of discrimination, prejudice and disadvantage. Poor education, poor living conditions and general poverty are still overwhelming issues for a large percentage of our people and we remain ‘as a group, the most poverty stricken sector of the working class’ in Australia (Cuthoys 1983). As a people, our rate of chronic disease is still 2. times higher than that of other Australians, and Indigenous people in this country die 15 to 20 years younger than those in mainstream Australia. More than half of these figures are caused by chronic diseases such heart disease, stroke, diabetes, chronic respiratory disease and kidney disease. The majority of these chronic diseases are preventable and while research is continuing to find ways to reduce the risk fact ors, issues such as smoking, alcohol and substance abuse, diabetes, chronic kidney disease, and promoting healthy eating and active lifestyles are still major challenges in Indigenous communities throughout Australia.Healthy living choices are not easy for people living in remote communities which results in a high incidence of preventable chronic disease. Good nutrition is fundamental to the maintenance of general wellbeing and the prevention of sickness and disease. It plays an imperative role in pregnancy and early childhood, prevents obesity and type 2 Diabetes and can lower the risk of recurrent heart disease by up to 70%.However, remote communities face many barriers to healthy eating, including isolation, the high cost of food, the variable supply of fresh food, lack of community town infrastructure and inadequate health promotion support, are just a few of these barriers that prevent community people from being able to make healthy living choices. Community programs in the N orthern Territory aimed at building healthy communities are based on nutrition-related Menzies research and work to support community capacity to create a supportive environment for healthy eating and physical activity.These projects operate within the communities and are aimed at influencing food-related policy, promote healthy eating and physical activity, and encourage community engagement in activities for better health. Not as many health services are as user-friendly or culturally appropriate for Indigenous people as they are for non-Indigenous people, adding to higher levels of disadvantage and a greater reluctance to utilise these services. Sometimes this is because more Indigenous people live in remote locations and not all health services are offered outside of major centres.Specific issues such as reducing the incidence of chronic disease requires a significantly greater effort in coordinating collective strengths, creating and delivering preventative programs and primary health care for Indigenous communities and while great work is being done, more efforts are required to reduce the high incidence of chronic disease on Indigenous people and communities. When designing and developing services to meet the needs of our Indigenous people, close collaboration and consultation with the people for whom the service will be provided is vital.There is also much evidence suggesting that Indigenous women are over-represented in our hospitals and health clinics as victims of domestic and family violence. There is no clear measure of the extent to which Indigenous family violence is under-reported, but it is expected to be higher than for the general population (Cripps 2008; Cunneen 2009). In a report to the Australian Government about Indigenous violence, it was suggested that ‘priority should be placed on implementing anti-violence programs, rather than on further quantitative research’.The key risk factors for Indigenous family violence relate t o; social stressors; living in a remote community; levels of individual, family and community dysfunction; availability of resources; age; removal from family; disability; financial difficulties and substance use. Indigenous Australians make up 2. 6% of Australia's population; however they experience health and social problems resulting from alcohol use at a rate disproportionate to non-Indigenous Australians. It is estimated that chronic disease associated with alcohol use by Indigenous Australians is almost double to that of mainstream Australia.In 2003, alcohol accounted for 6. 2% of the overall incidence of disease among Indigenous Australians. According to available evidence, the use of volatile substances, especially petrol sniffing among the Indigenous population is much higher that of the non-Indigenous population. The use of volatile substances has major impacts on Indigenous people, families, communities and the wider Australian community. What resources are needed and req uired to address the issues and explain how you see that these resources be best distributed.What projects need to be done? What makes health services more accessible for Indigenous people? ? Having more Indigenous Health Workers on staff; ? Increasing the number of Indigenous people working in the health sector (Aboriginal, health workers, social workers, doctors, dentists, nurses, etc); ? Designing more health promotion campaigns aimed specifically at Indigenous people; ? Better training of non-Indigenous staff to be more sensitive to the needs of Indigenous patients and to improve cultural awareness; ?Making important health services available in remote locations (so Indigenous people do not have to travel to major centres, away from their support networks and the security of their own community); and ? Funding health services so they are affordable for Indigenous people who might otherwise not be able to afford them. As a result of our history and because of the continuing disad vantage, our people have needs that differ from those of mainstream Australians. Therefore, it is also imperative that we acknowledge and respect the impact of events and issues in Indigenous people’s history when designing and delivering these services.The social determinants of health include if a person is; working, feels safe in their community without discrimination, has a good education, has enough money, and feels connected to friends and family. Social determinants that are particularly important to many Indigenous people are; their connection to land, a historical past that took people from their traditional lands and away from their families. If a person feels safe, has a job that earns enough money, and feels connected to their family and friends, they will generally be healthier.Indigenous people are generally worse off than non-Indigenous people when it comes to the social determinants of health. Additionally, it is important to develop policy and practice to add ress substance use among Indigenous people. Programs addressing alcohol and volatile substance use should be operated in combination with a range of general programs aimed at ‘closing the gap’ between Indigenous people and other Australians in the areas of education, employment, income and housing. What strategies can be put into place to a. vercome access, equity, disadvantaged issues and; b. to make services culturally safe? A strengths-based approach involves working from a community’s collective strengths to assist them to address their challenges. Bringing together different people with specific skills to collectively address issues, communities can provide local solutions issues specific to their local area. This approach includes the practice of using culturally appropriate and consultative strategies, however, strengths-based approaches also focus on maximising the strengths of contributors.By doing so, the targeted interventions are more likely to realis e long-term change because they empower our communities to provide practical solutions that are appropriate for them (Haswell-Elkins et al. 2009; Leigh 2008). Australia has committed to developing strategies to address the causes of Indigenous disadvantage and six key areas have been identified as targets to reducing the divide between Indigenous and non-Indigenous Australians. These targets are to improve life expectancy within a generation; to halve the mortality rates for Indigenous children under five within a decade; to nsure all Indigenous four year olds in remote communities have access to early childhood education within five years; to improve reading, writing and numeracy achievements for Indigenous children within a decade; to improve the number of Indigenous students in year 12 attainment or equivalent; and to improve employment outcomes between Indigenous and non-Indigenous Australians within a decade. A substantial amount has been invested in improving Indigenous health outcomes and the way the Australian health care system prevents treats and manages the chronic diseases that shorten so many Indigenous Australians' lives.The aim is to reduce the risk factors for chronic disease in the community such as smoking, alcohol and substance abuse, improve chronic disease management and follow up through our health services, and increase the capacity of our acute care workforce to deliver effective care to Indigenous people with chronic disease. How can we advocate for anti-racism policies? Although many other Australian minority groups have been reported to be experiencing racism in our country, the experiences of racism are most protracted among our own Indigenous people.Racist attitudes toward Indigenous people may be viewed as having two dominant waves; the first wave was predominant during the first 170 years following the arrival of the First Fleet, and the second was in the post-referendum era, which led to changes in Australia’s constitutio n that formally recognised Indigenous people as part of the Commonwealth of Australia. The belief in superiority based on skin colour was justified by the framing of Indigenous Australians as inferior humans. These politically entrenched attitudes justified dispossession of Indigenous people from their homelands.Dispossession resulted in reluctance by mainstream Australia to acknowledge land rights, loss of spiritual values, disrupted law, and disconnection from land, community, family and cultural values. Most policies were backed by legal provisions instituted by Australian state governments. For example in Queensland, laws enacted treated Indigenous people like prisoners, with little freedom of choice. They were required to work without pay and prevented from undertaking traditional cultural practices.These policies created a sense of powerlessness, hopelessness, stress and related illness. Today, there remains no ‘quick fix' solution to changing the levels of disadvantage that have been generations in the making. To move forward we must learn from the past and build through good practice and recognising that there are successful public, private and community sector programs and initiatives that have made substantial progress. Addressing disadvantage places responsibilities on those providing support and assistance and on those receiving it.For those who provide support there is a duty to those being assisted; for example, it means service providers should: work together with local Indigenous people and their communities; recognise and acknowledge our history and the consequences of past policy and practice; and empower local Indigenous communities to help themselves. For the communities being assisted, there is a responsibility to help ourselves as best as we can, this might mean looking for information on available services, assisting service providers to improve delivery outcomes, and recognising and addressing personal barriers to improvement.Some Indigenous communities have identified that taking responsibility in education and employment is an important part of the way forward. In other communities, the importance of individual and family commitment to a healthy lifestyle has been identified. Meeting these targets will also require our own people to take responsibility for implementing some lifestyle changes if the problems of obesity, diabetes and substance abuse are to be improved. Local, Territory, State and Federal governments and peak Aboriginal bodies have collective social responsibilities to Indigenous people as their constituents.Governments are responsible for ensuring that citizens have access to the resources and the opportunities needed to take their place in our society. Governments have the responsibility to ensure programs and services do not produce welfare dependency or other unintended consequences. Finally, Australian governments have responsibilities under the international treaties that Australia has entered into. References Review of volatile substance use among Indigenous people. d'Abbs P, Maclean S (2008) Volatile substance misuse: a review of interventions.Barton, ACT: Australian Government Department of Health and Ageing www. healthinfonet. ecu. edu. au Supporting the Yolngu Life: Yolngu Walngakum. Building healthy Communities www. menzies. edu. au Dunn KM, Klocker N, Salabay T (2007) Contemporary racism and Islamaphobia in Australia: racializing religion. Ethnicities; 7: 564-589 Angelico T (1993) Wellness and contemporary Australian racism. In: Collins J, ed. Contemporary racism in Australia, Canada and New Zealand: volume 2.Sydney: University of Technology: 237-258 Lewis W, Balderstone S, Bowan J (2009) Events that shaped Australia. Sydney: New Holland Publishers Trudgen R (2000) Why warriors lie down and die: towards an understanding of why the Aboriginal people of Arnhem Land face the greatest crisis in health and education since European contact: djambatj mala. Darwin: Aboriginal Resource and Development Services Inc. Howitt R, McCracken K, Curson P (2005) Australian Indigenous health: what issues contribute to a national crisis and scandal?. Geodate; 18(1): 8-15

Wednesday, October 23, 2019

What qualities do you have that will make you a good accountant?

The qualities that I have that will make me a good accountant include trustworthiness, honesty, organized, purposeful, patient, self confidence, enthusiasm and being goal oriented.Trustworthiness is the most important quality as this would keep me accountable to my actions in accordance with the law and professional standards.   My being trustworthy is of course based on honesty with my dealings to others and to myself.The accounting profession requires independence of mind and integrity as necessary values; hence by being trustworthy and honest would make me fit and compatible with the profession. If these values are lacking there is no use of accounting profession, for these are very core values needed to keep it functioning.It was the lack of these values that had caused Andersen Consulting, one of the â€Å"Big Five† auditors to have fallen from its position, thus presently the group of auditors, who are also accountants, are now called the â€Å"Big Four.†Honesty must not only be observed in words but also in deeds.   An accountant cannot be successful if he cannot even be honest with small things as he or she is being made to account even to the smallest cent of a dollar.I believe that I have the characteristics of trustworthiness and honesty since I have been given the chance to assume functions that required these qualities and I did well with the experience.I handled two organizational funds by having been treasurer for at least two organizations on campus, The African Cultural Society, for which I am currently the Secretary and The Syndicate (Hip Hop Dance Team), for which I am now the Vice President. Another value that accountants require is competence. This value is something that is normally acquired by training and education. What I believe would make me fit to have this value is my proven capacity for leadership. The two positions that I now have in the organizations I mentioned are living proofs of my leadership.Of course accou ntant need to produce quality work based on the value of competence hence accountant need to have to have their outputs on time because of deadlines set by government regulations and commercial realities. In almost similar ways, I believe my values of being organized, purposeful and patient are necessarily compatible with competence.  I know that I possess said qualities since I plan my activities in order not to miss important dates and deadlines. Based on my experience in my internship at one of the ‘Big Four’ accounting firms, Ernst & Young, LLP, I know the requirement of long hours to complete tasks and I am prepared to undergo the same experience.My self-confidence, enthusiasm and being goal oriented are also complementary to becoming a good accountant. Self-confidence will keep me trust my abilities hence competence will follow. My enthusiasm will sustain me in some activities of accountants which may be considered by other professions as boring and even when I am not feeling well by creating a friendly and amicable environment.My goal orientation would also make things easier for me as I am able to break down my goals into manageable steps and make progress towards reaching that goal.   As proof, my main goal for this year is to study for my GMAT by scoring high in order to obtain a scholarship for my graduate studies in Accounting. To attain that, I plan to allot study time outside of my academic classes and extra curricular activities and to actually do the studying needed.2. What are you hoping to achieve during your studies in the MAcc Program?After I graduate with the Bachelor’s degree in Accounting this May, 2008, I plan to proceed with Masters of Accounting Program of Mary's Mason School of Business to fulfill my 150-credit requirement so that I can be eligible to take the CPA exams.More than fulfilling the credit requirements I believe the Macc program will really prepare me to attain the values of competence which I will need in being a good accountant.I have learned that program will be conducted in small class sizes and relaxed, with informal interaction between faculty and students[1], thus I believe attaining my objective would be greatly enhanced.   With such policy of access to faculty, I believe, I will be able also to build at least some relationships that I could perhaps use in my long term future goals.It has been my plan to eventually go back to my home town in Accra, Ghana in West Africa and build a hospital with modern equipment and facilities that will bring affordable and effective health care to the average Ghanaian citizen. By that time I believe I could be of help to people like my father who is a pediatrician.I’m hoping that my education in Accounting together with my concentration in Entrepreneurship and hopefully to be strengthened and enhanced by the Masters of Accounting Program of Mary's Mason,   will really give me the knowledge, leadership, and management skills necessary to accomplish this goal of mine. [1] William & Mary Mason School of Business, Master of Accounting Program, A Distinctive Educational Experience. {www document} URL http://mason.wm.edu/Mason/Programs/Master+of+Accounting/, Accessed January 13,2008   

Tuesday, October 22, 2019

Helping You Break Down Brackets

Helping You Break Down Brackets Confused about the correct use of brackets in English writing? Dont worry, youre not the only one. The good news is that there are limited uses for brackets in most citation or formatting styles, so there arent very many rules to learn.The most common use of brackets in academic writing and journalism is to add editorial content that is not otherwise part of the original quote. Writers and editors do this for several reasons, including:To clarifyExample: The speaker noted, That year [1990] was the year we saw success.In the above example, the writer has added [1990] to clarify the year to which the speaker was referring. This was done because the audience reading the quote would not otherwise know this information, usually because it was not included in the context of the quote (but elsewhere in a speech or piece of writing).To translateExample: He looked deeply into her eyes and said, je taime [I love you].In the above example, the speaker didnt speak the words in English. This was added by the writer or editor to translate words that the audience might not know the meaning of.To indicate a change in capitalizationExample: [J]ust dont text and drive, said the teacher.In the above example, the quote was taken from the middle of a sentence, I dont care how much youre on your phone when youre at home, but just dont text and drive. Since the writer or editor only wished to use part of the quote, the small case j was changed to a capital letter, so brackets were needed for it.To indicate an errorWhen quoting someone who makes an error in their speech or written words, brackets are often used around the word sic.Example: He were [sic] a thief yesterday, said the store owner, when filing a police report.To note added emphasisA writer will often add visual emphasis to a word to get the reader to focus on it and when this happens, those changes should be noted in brackets.Example: Our world is a much [emphasis added] different now that social media has taken over, she said.To note objectionable content that has been removedWhen a writer chooses to intentionally leave out objectionable content from a quote, brackets are used to note that removal.Example: Get the [expletive] out of here now, he shouted.To separate levels of parenthetical parts of the sentenceThis is not something you will encounter often, but when it happens, brackets can be used to create another level of parentheses in a sentence.Example: In his research on the mating habits of the shark, Bedford noted the role that environment must play in ensuring a healthy population (see Luther et. al [2011] for the details of this research).

Monday, October 21, 2019

Medea Essay

Medea Essay Medea and Jason are the two main characters in the play Medea. They are two different characters who have very few similarities. Medea is a passionate woman who takes relationships seriously. However, Jason is a dispassionate, hedonistic manipulator of women. These characters were once a lovely couple who loved each other. These characters are the ones who create the climax of the whole play. These two remarkable characters are exceptional for their unique traits. Medea used to show Jason her love for him by sacrificing many things for him. For instance, Medea killed many people for the sake of Jason. Jason, however, didnt help Medea at all, because he is a shallow character and a manipulator of women. For example, Medea sacrificed her reputation and life for her heartless husband, and he only gave her misfortunes. In the past, Medea was married to Jason, and he got in trouble many times. Once Jason stole the Golden Fleece from Medeas family. Medeas father chased after them but she killed her brother so the father would bury him and would not chase them. As a result, Medea killed her brother just to be with Jason. This gave her misfortunes because she could not even see her own father and had to kill her own brother. Medea is a revengeful person and a sorceress. She uses her magic to take revenge on other people. Medea made poison from her sorcery, which she uses to poiso n the present of the Princess. Then she kills Creon and the Princess to take revenge from Jason. Jason is an arrogant and hedonist person. He used other people to get power and live happier. As I said before, Jason once stole the Golden Fleece from Medeas family. Medeas father chased after them but she killed her brother so the father would bury him and would not chase them. As a result, Medea killed her brother just to be with Jason. He used Medea there to have the Golden Fleece and live happy and didnt care what happened to her. Jason is a person who is obsessed in increasing his social level and also his power. He manipulated Medea to make kill his brother when he stole the Golden Fleece from her father. Although Jason and Medea have many differences, they have few similarities. Medea and Jason are very honest persons. They express their feelings of hatred to each other without even thinking about hurting each others feelings, this is not the first occasion that I have noticed how hopeless it is to deal with a stubborn temper. (pg. 15-20). Another similarity about these characters is that they both love their own children. Medea doesnt want to kill her children but she has to because people will make them suffer if he left them alive. Medea demonstrates that she loves her children by saying oh children, oh my children, you have a city, you have a home, and you can leave me behind you, and without your mother you may live there forever. But I am going to exile to another land before I have seen you happy and taken pleasure in you, before I have dressed your brides and made your marriage beds. And held up the torch at the ceremony of wedding. (pg. 33-35). She also killed her children t o make Jason suffer. Nevertheless, Jason goes to protect his children because he is afraid when Medea dies, his children will suffer too, so he goes to save them. When he went to rescue his children, he said, you women , standing close in front of this dwelling, is she Medea, she who did this dreadful deed, still in the house or has she run away in flight? For she will have to hide herself beneath the earth, or raise herself on wings into the height of air, if she wished to escape the royal vengeance. Does she imagine that, having killed our rulers, she will herself escape uninjured from this house? But I am thinking not so much of hers as for the children-her the kings friends will make you suffer for what she did. So u have come to save the lives of my boys, in case the royal house should harm them while taking my vengeance for their mothers wicked deed. (pg. 42). Also, these two characters are very determined in their tasks. Medea shows her determination by accomplishing her task s of killing the Princess and King Creon. Furthermore, Jason is also a very determined person. He shows his determination little by little by trying to get more power. He also tries to raise his social status by marrying other Princesses from other countries. Although Medea is a loving mother who is misunderstood by many people., she is also an evil person who achieves her evil plots at any costs, even if she has to kill her own children. However, she was not like this before. Before, she was loving and caring towards a man called Jason, who abandoned her and made her into this murderess. If She had never met Jason, she could have had a better life and she wouldnt be a murderess. You can order a custom essay, term paper, research paper, thesis or dissertation on Medea topics at our professional custom essay writing service which provides students with custom papers written by highly qualified academic writers. High quality and no plagiarism guarantee! Get professional essay writing help at an affordable cost.

Sunday, October 20, 2019

How to Use Italian Reflexive Pronouns

How to Use Italian Reflexive Pronouns If you want to use reflexive verbs in Italian, then you have to be familiar with reflexive pronouns, too. Reflexive pronouns (i pronomi riflessivi) mi, ti, si, ci, vi, and si look just like direct object pronouns, except for the third-person form si (which is the same in the singular and in the plural). In a reflexive sentence, the action of the verb refers back to the subject. Examples: I wash myself. - Mi lavo.They enjoy themselves. - Si divertono. In reflexive sentences, Italian verbs, like English verbs, are conjugated with reflexive pronouns. Reflexive pronouns (i pronomi riflessivi) are identical in form to direct object pronouns, except for the third person form si (the third person singular and plural form). Â   The following table includes the reflexive pronouns in Italian. Italian Reflexive Pronouns SINGULAR PLURAL mi myself ci ourselves ti yourself vi yourselves si himself, herself, itself, yourself (formal) si themselves, yourselves (formal) Just like direct object pronouns, reflexive pronouns are placed before a conjugated verb or attached to the infinitive. If the infinitive is preceded by a form of dovere, potere, or volere, the reflexive pronoun is either attached to the infinitive (which drops its final –e) or placed before the conjugated verb. Note that the reflexive pronoun agrees with the subject even when attached to the infinitive: Mi alzo. - Im getting up.Voglio alzarmi./Mi voglio alzare. - I want to get up. The pronouns Mi, ti, si, and vi may drop the i before another vowel or an h and replace it with an apostrophe. Ci may drop the i only before another i or an e: Voi varrabbiate facilmente. - You get angry easily.I ragazzi salzano alle sette. - The boys woke up at seven oclock.A casa, mannoio. - At home, I get bored. To see how reflexive pronouns work with reflexive verbs, see a sample conjugation of lavarsi (to wash oneself) in the table below. Lavarsi - To wash oneself Mi lavo ci laviamo ti lavi vi lavate si lava si lavano Italian Workbook Exercises Questions | AnswersReflexive PronounsA. Complete the following with the appropriate present indicative reflexive forms of the indicated verbs. Io ________ Enzo. chiamarsiQuelle ragazze ________ alle otto. alzarsiLoro ________ vicino alla porta. sedersiDaniele ________ lentamente. vestirsiNoi ________ facilmente. addormentarsiIo non ________ mai. arrabbiarsiVoi ________ sempre. lamentarsiFrancesco ________ di Teresa. innamorarsi Questions | AnswersB. Complete the sentences with one of the verbs given below.chiamarsi, diplomarsi, fermarsi, laurearsi, sentirsi, specializzarsi, sposarsi Io ________ Valentina. Tu come ________?Andate dal dottore quando non ________ bene?Maria frequenta luniversit. Vuole prima ________ in medicina, e pio ________ in cardiologia.Gli studenti italiani ________ alla fine del liceo. Poi vanno alluniversit.Ugo e Vittoria ________ se trovano una casa. Italian Language Study Resources: Italian Language LessonsItalian Audio PhrasebookItalian Language Audio Lab Related Articles: Understanding the Italian Present Conditional TenseGive Me a Hug! Understanding Italian Reciprocal Reflexive VerbsItalian Reflexive VerbsHow To Use Reflexive Pronouns in Spanish

Saturday, October 19, 2019

History Assignment Example | Topics and Well Written Essays - 1500 words

History - Assignment Example In the final section, she shocks him by saying they have never had a serious conversation in the course of their whole marriage. She also declares that she has a holy duty to herself. The very idea is shocking to her husband. 2. Read â€Å"The Voice of Zionism: Theorod Herzl and the Jewish State† and answer the following – Why did Herzl believe that Palestine was necessary for Jews? How does he seek to gain the acceptance of the Turkish sultan and the Christian nations of Europe? (see the box on pg 608) The story of the creation of Israel is a powerful one. Herzl was one of the founding thinkers on this issue. He argues in this piece that anti-semitism was such a serious problem in European countries that there was no possibility it would get better. He thought Jews should give up on Europe and seek to create a new land. He even thought European governments would help them as they would be eager to see them go. He writes that the Sultan would might be willing to give th em Palestine if they offered to help him look after the finances of his Empire. He also suggests that the Jews would create an outpost of civilization in the Middle East where everywhere else there was only barbarism. That idea might help to convince Europeans too. I.D. the following terms in paragraph format. Make sure you include ALL INFORMATION from the book: Do NOT just copy from the book. You must put these in your own words. (worth 10 points each) 1. caudillos Caudillos were military-style political leaders in Latin America in the 19th century. They were not democratic-minded and usually took power by force. They had a major impact on the development of these states and offered pursued expansionist policies. They often named themselves president for life and became dictators. Some examples were Rafael Carrera and Juan Manuel de Rosas. They secured gains made during the anti-colonial upheavals. Part of the reason they were able to take power was because none of these countries has any experience of governing themselves. 2. Kansas-Nebraska Act of 1854 This was an act of Congress that played a significant role in the development of the Civil War that would follow a few years later. At the time, the North and South of the Untied States were divided on the issue of slavery. Both Kansas and Nebraska were to be new states. Some people such as Stephen Douglas believed the resolution to the dispute between North and South was simply to let new states decide if they wanted to permit slavery or not. In a sense this was a naive idea, as northern abolitionists strongly opposed expanding slavery within the boundaries of the U.S under any circumstances. This issue would come to dominate the American political landscape in the years to come. 3. Emmeline Pankhurst, Christabel & Sylvia Emmeline was the leader of the British women's suffragette movement. She advocated for Women to have the right to vote. Some of her tactics were occasionally violent and she served prison s entences for them. Two of her daughters were Christabel and Sylvia, who took differing sides in the debate. Sylvia pursued an organizational movement and was more politically active. Christabel was the head of the women's movement and supported more militant action. All of these women made a major contribution to democracy when their actions contributed to the success of the

FNES, family, love, dating Essay Example | Topics and Well Written Essays - 1250 words

FNES, family, love, dating - Essay Example In these relationships, one is either the victim or a parasite, what is interesting is that these roles change periodically in the occurrence of an emotionally charged situation, for instance, a bitter argument. This is always accompanied by loud and angry outbursts from the repressed individual. The levels of aggression after an outburst can vary from either party, one of them can get sicker than the other partner. They can both trade insults, and such types of abuse can occur in different ways, abuse can either be indiscernible or blatant. It might also be subconscious or unintentional, whatever the method, the damage can be grave to the recipient. These types of abuse can be difficult to explain, and this makes it hard for friends and family to intervene and offer help. Gaining comfort, supporting one another and keeping each other happy are the basics of a relationship whether healthy or unhealthy. The main difference between the two types of relationships is that the couple in a healthy relationship work equally. A healthy relationship consists of checks and balances, individuality, equality and compromise. In an abusive relationship, one partner takes the advantage of these goals and uses them against their counterpart to manipulate them into doing whatever they wish. Unhealthy relationships have no compromise, no individuality and have forced inequality. Abusers often use excuses that do not come across as demanding making it hard for the partner to know what they want. This is one tactic of taking advantage of s omeone and in such a relationship; one partner may try to please the other to make their relationship stable. With a majority of abusive relationships being identified among the young people, they develop into young adults, who are more likely to continue the violence in their relationships. The important thing about understanding the types of relationships is that each and every one of us is bound to enter into a

Friday, October 18, 2019

Environmental Planning Research Paper Example | Topics and Well Written Essays - 250 words

Environmental Planning - Research Paper Example Environmental planning activities are most pronounced in cities and urban places due to the fact that they are the regions most concentrated with development activities in addition to the large populations that reside in such places. In such a case, poor planning would lead to: environmental damage; social, economic, and cultural exclusion; and strains on the transport system. In the quest for enhancing sustainability is such places, planners should keep in mind that sustainable cities and urban places are an important factor to economic and social development which makes it the main engine of growth. They should also keep in mind that environmental degradation is the greatest obstacle to social equity and economic efficiency. The planners need to carefully study the components of federal or state regulations to understand the complex interactions between environment and development so that sustainability will be enhanced through a proactive management approach that is based on the understanding of these interactions. In this manner, all the future projects will be sustainable in terms of enhancing growth and development, which is supposed to be the main aim of any developmental

Gender differences in leadership style Dissertation

Gender differences in leadership style - Dissertation Example Gender differences in leadership style has in recent years become an area of immense interest for study in the fields of sociology, management and psychology, especially in view of the increasing number of women that have begun assuming leadership roles in different fields. However, it is known that there are basic differences in the ways males and females function as leaders and the issue arises if such differences are associated with gender. This issue has made researchers to attempt in providing a means to explain why very few women have been able to assume leadership roles. There is no doubt that women are forming a larger proportion of the work force but very few are able to hold top management and administration functions. It is for this reason that researchers have been focusing on determining if women lack the required skills in attaining senior positions or whether they are different in terms of their leadership styles and perceptions. This is a paper on gender differences i n leadership styles and examines the relevant literature in focusing on the leadership styles of male and female school principals. The issues to be examined relate to functions of school principals in regard to instructional leadership, ethical practices, interpersonal relationships, decision making and practices of professional development. Vecchio (2002) conducted research to examine the gender differences amongst school principals. Although the number of females responding to the questions was small, they were still considered to be a significant group. The researcher found some basic differences in the leadership styles of male and female principals. Male principals had much more experience than female principals. In clear indication of the leadership style of women, it was found that female principals conducted more weekly faculty meetings than their male counterparts. Women were not found to be very active in attending national or regional level conventions. The most significant difference amongst male and female principles appears to be that females are more worried about the ways in which a typical school day will be spent. While 77 percent females reported that their main duty was to act as instructional leaders, only 58 percent men reported having similar viewpoints. However, both groups confirmed that most of their day was spent in general managerial functions. In terms of the time spent by each group to allocated activities, both agreed that maintaining contact with teachers and maintaining discipline amongst students were the most important functions of school principals. Lesser time was devoted by both groups on issues of general management. In terms of the manner in which a typical day is spent by both groups, almost 80 percent women principals were found to be involved in teaching as well as administrative work. They used 48 percent of their time in teaching. In contrast, only 47 percent male principals were allotted work related to both administration and teaching. Male principals were found to be using only 35 percent of their time on teaching. It is therefore evident that the notion of instructional leadership is considerably impacted with the percentage of time that is spent on teaching in a typical school day. It is also evident that female principals have greater work load of teaching, which makes them vulnerable in being less effective towards providing instructional leadership as compared to their male counterparts (Eagly and Karau, 2002). Other issues that need to be examined in determining gender differences in gender differences in leadership style between male and female school principals are: The leadership approach that characterizes school principals Whether the leadership styles of female principals considerably different from their male counterparts Although there is some difference in the leadership styles of male and female p

Thursday, October 17, 2019

Operational Management Contexts Essay Example | Topics and Well Written Essays - 2750 words

Operational Management Contexts - Essay Example The first phase was to shift to assemble to order planning (ATO), the second was de-integrating the manufacturing facility, and finally, rationalization- that is reducing the range of family of products to two that are most profitable for the company. These are innovations to be implemented depending on the market conditions. There were factors and aspects of innovation to consider. Firstly, what type of innovation is needed to proper address the main objective of the "phase changes", secondly, when is the right time the innovation should be implemented in the market life cycle, thirdly, an analysis on the implication of change in the supply chain, and finally, what are the trade-offs to take into consideration and how to address them to optimize the effect of phase changes. The planned "phase changes" of AB Machine Tool is meant to basically address profitability and the ever challenging market. The need for this is inevitable considering the fact that the market share of the company is getting smaller because of fierce competitions. The need to attract more investment is one of the options in order to maintain the economic viability. But to attract more investments means showing the potential investor the strength and capabilities of the company through changing times and turbulent market conditions. ... It is for this reason, AB Machine Tool ought to consider the need to introduce changes tactically and strategically but how it will affect the entire organization positively remains to be seen. Timing, type of innovations, trade-offs are some of the things that we should be looking into and this is our objective. "Mundane Taxonomy" of Innovation Types Moore (2004) enumerated the different types of innovations and gave description to each one of them but more importantly gave emphasis when it is to be applied during the market life cycle of the organization. He also emphasized its importance as it determines the economic viability and existence of an organization. Figure 1, Aligning Innovation with the Life Cycle, shows the eight types of innovations and when each one is supposed to be implemented in the market life cycle.Figure 1. The Market Development Cycle The Innovations as defined by Moore (2004) are as follows: Disruptive Innovation. Characterized by a great deal of attention particularly in the media, product appears as if from nowhere, creating a massive new sources of wealth. Application Innovation. Takes existing technologies into new markets to serve new purposes. Product Innovation. Takes established offers in established markets to the next level.The focus can be on performance increase, cost reduction, usability improvement, or any product enhancement. Process Innovation. Makes processes for established offers in established markets more effective or efficient. Experiential Innovation. Makes surface modifications that improves customers' experience of established products or processes. Marketing Innovation. Improves customers touching processes, be they marketing communication or

The Impact of Political Change in Central and Eastern Europe Since Essay

The Impact of Political Change in Central and Eastern Europe Since 1989 - Essay Example This research will begin with the statement that comes from a background of massive shortages in almost all fronts, including the very basic human freedoms, guided by the communist principles, the momentous series of events of the post-1989 East and Central Europe was essentially apolitical and not the harbingers of ideological innovations.The present research has identified that driven in part by the comparative aspects of the prosperous, Capitalist West to rather in-control communist institutions forcefully planted right after the WWII by Stalin himself, the experiences of the post-1989 East-Central Europe were but rectifying revolutions aimed to connect up constitutionalism with the just political systems associated with capitalism. According to the research findings, it can, therefore, be said that though crisis symptoms were visible in all spheres of public life across countries in the sub-regions mentioned as well as in their relations among themselves and the west, the road to democracy and to freer market economies was, however, not to be easy; for the â€Å"Iron   Curtain† created   as a result of the Soviet   Union’s   share   of   victory   in   the   World   War   II had great impact over neighboring East and central European countries, dividing it into two halves: the East and the West, thus the origins of the Cold War.  

Wednesday, October 16, 2019

Operational Management Contexts Essay Example | Topics and Well Written Essays - 2750 words

Operational Management Contexts - Essay Example The first phase was to shift to assemble to order planning (ATO), the second was de-integrating the manufacturing facility, and finally, rationalization- that is reducing the range of family of products to two that are most profitable for the company. These are innovations to be implemented depending on the market conditions. There were factors and aspects of innovation to consider. Firstly, what type of innovation is needed to proper address the main objective of the "phase changes", secondly, when is the right time the innovation should be implemented in the market life cycle, thirdly, an analysis on the implication of change in the supply chain, and finally, what are the trade-offs to take into consideration and how to address them to optimize the effect of phase changes. The planned "phase changes" of AB Machine Tool is meant to basically address profitability and the ever challenging market. The need for this is inevitable considering the fact that the market share of the company is getting smaller because of fierce competitions. The need to attract more investment is one of the options in order to maintain the economic viability. But to attract more investments means showing the potential investor the strength and capabilities of the company through changing times and turbulent market conditions. ... It is for this reason, AB Machine Tool ought to consider the need to introduce changes tactically and strategically but how it will affect the entire organization positively remains to be seen. Timing, type of innovations, trade-offs are some of the things that we should be looking into and this is our objective. "Mundane Taxonomy" of Innovation Types Moore (2004) enumerated the different types of innovations and gave description to each one of them but more importantly gave emphasis when it is to be applied during the market life cycle of the organization. He also emphasized its importance as it determines the economic viability and existence of an organization. Figure 1, Aligning Innovation with the Life Cycle, shows the eight types of innovations and when each one is supposed to be implemented in the market life cycle.Figure 1. The Market Development Cycle The Innovations as defined by Moore (2004) are as follows: Disruptive Innovation. Characterized by a great deal of attention particularly in the media, product appears as if from nowhere, creating a massive new sources of wealth. Application Innovation. Takes existing technologies into new markets to serve new purposes. Product Innovation. Takes established offers in established markets to the next level.The focus can be on performance increase, cost reduction, usability improvement, or any product enhancement. Process Innovation. Makes processes for established offers in established markets more effective or efficient. Experiential Innovation. Makes surface modifications that improves customers' experience of established products or processes. Marketing Innovation. Improves customers touching processes, be they marketing communication or

Tuesday, October 15, 2019

Letter-to-Congressperson - Geology Assignment Example | Topics and Well Written Essays - 750 words

Letter-to-Congressperson - Geology - Assignment Example Global warming leads to a rise in sea level and eventual flooding due to the rise in temperature by a few degrees that melt the ice caps. As such, countries that are below or in a short range above sea level will be in danger of flooding. The Kyoto protocol thus comes into play to prevent any factors that increase global warming. Some of the causes that have been envisaged over time are the emission of greenhouse gases to the atmosphere. The Kyoto protocol has its focus on the reduction of six main greenhouse gases, which include Sulphur hexafluoride, perfluorocarbons, hydrofluorocarbons, nitrous oxide, methane and carbon dioxide. The gases are produced by industries and the more industries a country has, the more emissions released to the atmosphere. The United States contributes to 35% of the total emissions in the world according to the Kyoto Protocol Annex and thus should be the first country to take the protocol seriously. As it builds, more industries at present and in future the emission consequently increase. As such, the Kyoto protocol ensures that the affected countries reduce the emissions to the acceptable minimum. The United States only signed the Kyoto protocol but did not ratify it and disengaged in 2001 as noted earlier. The former president George W. Bush was instrumental in disengaging from the Kyoto protocol. Bill Clinton had signed the protocol, but it was not taken to the Senate to approve it. H noted that the coal industry would significantly be affected by the introduction of the Kyoto protocol since the country relies on it in the employment of its citizens and production of energy and use in industries. The then President George Bush sought not to ratify the protocol due to the energy crisis that he said was looming globally. Additionally, no conclusive reason was there and specified solutions for the industries in the affected countries to follow in reducing the

Monday, October 14, 2019

Unity and Identity in the Colonies Essay Example for Free

Unity and Identity in the Colonies Essay Because of several events that preceded and lead to it, Colonists had developed strong senses of both identity and unity as Americans by the eve of the Revolution. The French and Indian War was one of the initial events that played a pivotal role in establishing unity amongst the colonists. Winning the war was crucial to the colonists because a loss to the French would result in a loss of British superiority. A British victory would enable colonists the opportunity to expand in territory and form a new nation. Many such as Benjamin Franklin urged colonial alliance. During the war’s first year, Franklin published his famous ‘Join or Die’ cartoon in Philadelphia, which strongly urged unity amongst the colonies. Due to poor battle tactics, Britain suffered early losses. The losses deteriorated the image of the British as an invincible force in the eyes of the colonists. It showed an underlying layer of weakness, which distanced the colonists from their mother country, Britain. While the actual war served as a catalyst for the unification of the colonies, the results of the war also had large effects on their identity as a new nation. The victory increased colonial self-esteem, and helped the colonists to perceive themselves as independent people who could defend themselves. Like the French and Indian War, The Proclamation of 1763 was a cardinal event in the development of the colonists’ sense of identity and unity. The Proclamation declared that settling west of the Appalachians was illegal to colonists. The land was declared off limits because it was Indian land, and the King did not want to cause any more dispute between Britain and the Indians. The colonists found this law to be unacceptable. Colonies had already begun planning on settling west, and found that giving land to the Indians was defeating the purpose of the French and Indian War which they had just fought in. Colonies had come to realize their independence and self-sufficiency. They rebelled against the law, and proceeded in settling westward. Thomas Paine’s â€Å"Common Sense† is arguably one of the greatest influences on the unity and identity of the colonists. Thomas Paine’s pamphlet brought the possibility of Revolution into full focus for the colonists. The writings placed blame for the suffering of the colonies solely on King George III, the current British ruler. Paine beseeched the idea of an immediate declaration of independence, implying that America had a moral obligation to secede from the corrupt nation. â€Å"Common Sense† further inspired colonists to initiate secession from Britain, and lead to the writing of the Declaration of Independence. During the time of the American Revolution, the colonies had come to identify themselves as a self-governing nation, enraged by the country who had ruled them. Throughout key events in history, the once estranged colonies that lacked a sense of identity metamorphosed into a full blown and unified nation on the verge of revolution.

Sunday, October 13, 2019

Garlic And Abate As Larvicide Against Mosquito Larvae Biology Essay

Garlic And Abate As Larvicide Against Mosquito Larvae Biology Essay This experiment was designed to investigate and compare the effectiveness of garlic as the natural larvicide and Abate as the chemical larvicide against mosquito larvae. The effectiveness of the larvicides was determined by the time taken for all the mosquito larvae to be killed. The mosquito larvae were placed in separate plastic cups containing garlic extract and Abate respectively. They were monitored at fixed time intervals and the time taken for all the mosquito larvae to die was recorded. The experiment was repeated with different concentrations of garlic extract and Abate. A two-way ANOVA statistical test showed that Abate is more effective against mosquito larvae at 5% significance level compared to garlic, corresponding to the experimental hypothesis. Research and Rationale Mosquitoes originate from the family Culicidae.13 Like many other insects, they go through a life cycle from egg to larva, pupa and finally adult. They are generally well-known as blood-sucking insects to human and they are responsible for many fatal diseases such as dengue, malaria and yellow fever. Some commonly known genera are Aedes, Culex and Anopheles. Usually, mosquitoes breed in stagnant water like ponds, marshes and swamps and they thrive in warm climates.9 (210 words) In order to control mosquitoes, chemical larvicides are used. One commonly used larvicide, Abate is applied to stagnant water to kill larvae of a wide range of pathogen-carrying vectors (mosquitoes) to hinder their development into adult mosquitoes.2 Consequently, this prevents disease-carrying mosquitoes from hatching and transmitting the pathogens to human via bites. Although the active ingredient of Abate, temephos is said to be effective against mosquito larvae (affects the nervous system by inhibiting cholinesterase enzyme), it has its downsides. Research has shown that certain mosquito species (Aedes albopictus and Aedes aegypti) have developed resistance for Abate.4 In addition, rats exposed to temephus showed organic phosphorus poisoning while some fish are vulnerable to temephus. Temephus also harm inverterbates such as shrimps and crabs. Accumulation of temephus may also cause drastic impacts on cholinesterase activity involved in nerve signal transmission.6 Plant extracts such as those of garlic are potential alternatives to Abate. Crushing garlic releases thiosulfinates which convert into diallyl disulfide and diallyl trisulfide if mixed with water.10 These two products formed are effective against mosquito larvae. Trials conducted in Bombay have shown that several species of mosquito larvae are susceptible to garlic extracts. Allicin helps to curb malaria by preventing the formation of circumsporozoite protein (CSP) of Plasmodium sporozoites to infect host cells.10 They are effective, safe, environmental-friendly and economical. The objective of this experiment was to investigate and compare the effectiveness of garlic as the natural larvicide and Abate as the chemical larvicide against mosquito larvae. The results from this experiment indicate that the spread of pathogen-causing diseases by mosquitoes can be curbed by using natural substances such as garlic as well as chemical larvicide like Abate. Garlic is a potential alternative to Abate as it is effective, easily available and eco-friendly. Although it might not be as fast-acting as chemical larvicides, garlic has none of the downsides of Abate such as accumulating in the environment and killing other invertebrates. Thus, more research is being conducted to investigate the efficiency of garlic as a larvicide. (545 words) Experimental hypothesis There is a significant difference between the effectiveness of garlic and Abate as larvicide. Abate is more effective larvicide compared to garlic. Null hypothesis There is no significant difference between the effectiveness of garlic and Abate as larvicide. Variables Manipulated variable : Types of substances Responding variable : Time taken for all the larvae to die Fixed variables : Number of mosquito larvae, volume of distilled water, room temperature Apparatus 100mL measuring cylinder, electronic balance, plastic cups, label stickers, pestle and mortar, disposable droppers, glass rod Materials Mosquito larvae, garlic cloves, cinnamon powder, fennel powder, Abate 1.1G, distilled water Planning A trial experiment was conducted to determine which natural substance has the most significant effect on mosquito larvae. The three natural substances used were cinnamon powder, fennel power and garlic cloves. Three labelled plastic cups were used. About 1% of each respective natural substance extracts were made by either dissolving 1g of the powder in 100mL of distilled water or pounding 1g of garlic and then mix with 100mL distilled water. Using a disposable dropper, 5 mosquito larvae were inserted into each cup and they were allowed to sit for 24 hours. The number of mosquito larvae left after 24 hours was counted. (750 words) Types of natural substances Number of mosquito larvae left after 24 hours Cinnamon 3 Fennel 5 Garlic 0 Table 1: Number of mosquito larvae left after 24 hours with respect to natural substances The results imply that garlic showed the most significant effect on mosquito larvae since none of the mosquito larvae was left after 24 hours. A second trial was carried out to determine the method to measure the effectiveness of garlic and Abate. The first method was to count the number of mosquito larvae left after 24 hours while the second was to measure the time taken for all larvae to die. Three concentrations were used for each substance and method. Substance Number of mosquito larvae left after 24 hours for each concentration 1% 2% 3% Garlic 0 0 0 Abate 0 0 0 Table 2: Calculating the number of mosquito larvae left after 24 hours Substance Time taken for all larvae to die for each concentration (minutes) 1% 2% 3% Garlic 420 360 120 Abate 90 75 55 Table 3: Measuring the time taken for all larvae to die The results showed that method 1 was not practical to use since no mosquito larvae is left after 24 hours for both garlic and Abate. Therefore, method 2, which is to measure the time taken for all larvae to die, was used to compare the effectiveness of both substances as larvicides. (983 words) Real Experimental Procedures 1g of garlic clove was weighed using an electronic balance. The garlic clove was placed in a mortar and it was pounded lightly using the pestle to obtain garlic extract. 100mL distilled water was measured using a measuring cylinder and it was poured into the mortar to form an extract solution of concentration 1%. The solution was then transferred into a labelled plastic cup. Using a disposable dropper, five mosquito larvae were transferred into the beaker. At 5-minutes interval, the number of dead mosquito larvae in the beaker was counted and recorded to measure the time taken for all larvae to die. Dead larvae are those that cannot be induced to move when they are touched with the tip of the dropper. Steps 1 to 6 are repeated twice to obtain an average time taken. Steps 1 to 7 are repeated for garlic cloves of 2g, 3g 4g and 5g. The time taken for all larvae to die for each respective garlic concentration was tabulated. Steps 1 to 9 were repeated using 1g, 2g, 3g, 4g and 5g of Abate 1.1. A graph of mean time taken for all larvae to die against concentration of larvicides was plotted. A two-way ANOVA test was used to analyse the data statistically. Risk Assessment The experimental procedure is ranked low-risk. The risk of accidental introduction of mosquito into the environment had been considered and precautions were taken to ensure that pupae which had developed into mosquitoes were not released, but killed in the water. The container containing larvae were closed at all time. Gloves were worn to avoid direct contact with Abate which is toxic. Hands were washed before and after handling garlic extract, Abate and mosquito larvae. After using droppers, they were disposed properly. When the experiment had completed, the solution containing dead mosquito larvae were drained into the laboratory sink. (1307 words) Results Concentrations (%) Time taken for all mosquito larvae to die (minutes) Garlic Abate1.1G 1 2 3 Mean 1 2 3 Mean 1 360 345 370 358.3 90 85 90 88.3 2 300 310 300 303.3 75 75 70 73.3 3 120 115 120 118.3 55 50 60 55.0 4 100 90 110 100.0 45 40 40 41.7 5 80 80 70 76.7 30 35 35 33.3 Table 4: Time taken for all larvae to die for different concentrations of garlic and Abate Figure 1: Graph of mean time taken for mosquito larvae to die with respect to concentrations of larvicides (1409 words) Statistical Analysis Two-way ANOVA test was used to analyse the data to show whether there is a significant difference between the two larvicides. The Columns P-Value (8.58E-24) is less than the significance level (ÃŽ ± = 0.05). There is a significance difference between the larvicidal properties of Abate and garlic. Abate is a stronger larvicide than garlic. Therefore, the experimental hypothesis is accepted and the null hypothesis is rejected. From the analysis also, the calculated Sample P-value (3.62E-22) is less than the significance level tested as well (ÃŽ ± = 0.05). This shows that there are statistically significant differences between different concentrations of garlic and Abate. The Interaction P-Value (3.01E-19) indicates that there was a statistical significant interaction between the larvicides and the concentrations used. Higher concentrations of both larvicides are more effective against the mosquito larvae compared to lower concentrations. (1548 words) Substances Garlic Abate Total 0.01 Count 3 3 6 Sum 1075 265 1340 Average 358.3333 88.33333 223.3333 Variance 158.3333 8.333333 21936.67 0.02 Count 3 3 6 Sum 910 220 1130 Average 303.3333 73.33333 188.3333 Variance 33.33333 8.333333 15886.67 0.03 Count 3 3 6 Sum 355 165 520 Average 118.3333 55 86.66667 Variance 8.333333 25 1216.667 0.04 Count 3 3 6 Sum 300 125 425 Average 100 41.66667 70.83333 Variance 100 8.333333 1064.167 0.05 Count 3 3 6 Sum 230 100 330 Average 76.66667 33.33333 55 Variance 33.33333 8.333333 580 Total Count 15 15 Sum 2870 875 Average 191.3333 58.33333 Variance 14458.81 445.2381 Table 5: Summary of the data (1656 words) Source of Variation SS df MS F P-value F crit Sample 137903.3 4 34475.83 880.234 3.62E-22 2.866081 Columns 132667.5 1 132667.5 3387.255 8.58E-24 4.351243 Interaction 69970 4 17492.5 446.617 3.01E-19 2.866081 Within 783.3333 20 39.16667 Total 341324.2 29 Table 6: Calculations for two-way Anova test (1701 words) Data Analysis The two-way ANOVA test revealed that Abate is a stronger larvicide than garlic. The Columns P-value is less than the significance value (ÃŽ ± = 0.05), which indicated that Abate and garlic are significantly different in terms of larvicidal properties. This supports the experimental hypothesis that the effectiveness of Abate is greater than that of garlic. Table 4 shows that for all Abate concentrations, the mean time taken for all the mosquito larvae to die are shorter compared to that of garlic. For both larvicides, as their concentrations increased, the mean time decreased. From the data in Table 4, it can be evaluated that there is a bigger percentage difference in the mean time taken between garlic and Abate for the first two concentrations (about 75%). For 3%, 4% and 5% concentrations, the percentage differences in mean time range from 54% to 58%. This is illustrated in Figure 1. It clearly suggested that Abate is much more effective than garlic. Abate is a chemical larvicide while garlic is a natural larvicide. Both contain the active substances which are capable to kill mosquito larvae. Within 24 hours, all mosquito larvae would have died in Abate as well as garlic solutions. It was therefore not practical to calculate the number of live mosquito larvae after 24 hours. Hence, the time taken for the mosquito larvae to die was used as a measure of the substances effectiveness. The shorter the time taken, the more effective the compound is. Dead larvae can be identified by touching them with the tip of a rod or dropper. They cannot be induced to move. Abate contains temephos which is an organophosphate compound.11 It is able to inhibit acetylcholinesterase enzyme which is required to stop a nerve impulse after it has crossed the synapse. As a result, there is a continuous stimulation of the nerve, resulting in tremors and uncoordinated movement.11 Garlic, when crushed and mixed with water, will convert thiosulfinates to diallyl disulfide and diallyl trisulfide,10 both which are organosulfur compounds. They are effective against mosquito larvae. (2043 words) The experiment showed that Abate is a more effective larvicide compared to garlic. Both organophosphorus and organosulfur compounds worked against mosquito larvae. This explains that during the trial experiment, after allowing both solutions to sit for 24 hours, all mosquito larvae died. Nevertheless, the experimental results showed that Abate which contains organophosphorus compounds took a shorter time to kill all the mosquito larvae compared to garlic (organosulfur compound), implying that organophosphorus compounds are more effective against mosquito larvae. However, this may also be due to the purity of the active substances. The industrially-produced Abate contain pure temephos, whereas allicin found in garlic is impure. For an active ingredient to work effectively, it has to be extracted and processed to give optimum results. Although results showed that Abate is a more effective larvicide, it should be noted that Abate is harmful to certain animals such as mice and fish, as well as to some invertebrates. Abate is also liable to accumulate within the natural environment, posing risks to human health. Garlic is an option to replace Abate as it is easily obtainable, cheap and does not pose harm to the environment. Nevertheless, garlic takes a longer time to kill mosquito larvae compared to Abate. Time is a crucial factor when dealing with disease-carrying mosquitoes such as Aedes aegypti. Therefore, although garlic might be effective against mosquito larvae, it may not be practical to use such a time-consuming substance to alleviate the problem with mosquito larvae. (2287 words) Evaluation To increase the accuracy, the base of the garlic, together with its skin was removed before the garlic cloves were weighed using an electronic balance. The garlic cloves were pounded lightly using a mortar and pestle to prevent heat from destroying the chemical contents of garlic, which might decrease the effectiveness of garlic. Disposable droppers were used to avoid contamination of substances being tested and in the container used to collect mosquito larvae. Besides, plastic cups were used instead of laboratory glassware in order to prevent contamination as well. Each cup was closed with a perforated cover to ensure that air flows into the cup. The cup was covered as a precaution to prevent the introduction of any mosquito into the environment in case any larvae managed to complete its life cycle. Results from the trials showed that all mosquito larvae were killed by the larvicides within 24 hours. Therefore, if the number of live mosquito larvae were noted after 24 hours, there would not be any significant differences. As an alternative, the time taken for the mosquito larvae to be killed was measured. It was also impossible to run a stopwatch to measure the time as it would be difficult to estimate when to stop it. Instead, the mosquito larvae were observed every five minutes and any dead larva was noted. Hence, the time measured was estimation as it would be hard to check on the larvae every minute for hours. To increase the precision of results, the experiment was repeated twice to obtain an average time. It was also impossible to differentiate the types of mosquito larvae. Different larvae species might have different response towards larvicide. However, in this experiment, they were assumed to be of the same species. The larvae were also of different days old. Larvicides might have different effects on larvae of different days old. Besides, the solutions might not contain the exact concentration which was supposed to be tested. This is because garlic juice might not be able to be extracted and dissolve in distilled water completely. Abate granules also did not dissolve completely in distilled water. (2641 words) An ethical issue that may be questioned is the accidental introduction of mosquitoes into the environment. In this experiment, mosquito larvae are collected from ponds, which are mosquito breeding grounds. These mosquito larvae are actually prevented from turning into adult mosquitoes, which may transmit certain diseases. Larvae collected are placed in a covered container and are monitored to prevent accidental introduction of mosquitoes in case any larva managed to complete its life cycle. This investigation could be modified by grinding the garlic cloves and dissolve it in ethanol to form garlic solution of a particular concentration. This would increase the reliability of the results. Besides, mosquito larvae of the same species could be used to ensure that the effects of larvicides on that particular type of mosquito larvae only are determined. This reduces the probability of results occurring by chance. Mosquito larvae of a specific species could be cultured rather than collecting them from a pond. The number of mosquito larvae could also have been increased to obtain a more reliable result. Conclusion Chemical larvicide, Abate is significantly more effective than garlic in killing mosquito larvae. This was determined by the notably shorter time taken by Abate to kill all the mosquito larvae than shown by garlic. (2848 words) Source Evaluation Source 2 contains information on agricultural products such as vector control by BASF, the worlds leading chemical company and a corporate group. Hence, it is trustable and reliable. Source 4 is a journal, so contains sound scientific information. It contains a research note written by authors from several research universities. Therefore, it should be trustable and reliable. Source 6 is a data sheet on temephos, the active ingredient in Abate. The data sheet is provided by IPCS INCHEM, cooperation between International Programme on Chemical Safety (IPCS) and the Canadian Centre for Occupational Health and Safety (CCHOS). IPCS INCHEM compiles information regarding management of chemicals and their risks based on data from World Health Organization (WHO) and Food and Agriculture Organization (FAO). Therefore, this source is reliable and not biased. Sources 8 and 13 are published books. Therefore, they are credible sources with reliable contents written by notable experts in the respective fields. Source 10 is a trustable review as it is written by credible experts in the particular area. Source 12 is a reliable and credible governmental website by the U.S. Environmental Protection Agency in regulating pesticides; therefore, all facts and information provided are updated. Source 14 is guidelines for laboratory and field testing of mosquito larvicides by World Health Organization, so should contain sound scientific information.

Saturday, October 12, 2019

Images and Imagery Helps Us To Understand Macbeth :: Macbeth essays

Macbeth: Imagery Helps Us To Understand Its Themes and Characters      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   For me to answer this essay question I must first find out what exactly imagery is,   to do this I used an Oxford dictionary and this is the definition; Imagery n. Images collectively;   statuary,   carving;   mental images collectively;   ornate figurative illustration,   esp.   as used by author for particular effect.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   An image is a picture that the author places in your head by graphic descriptions about a subject.   This image is designed to help the reader understand the plot or mood or to simply add life to a story. Shakespeare uses imagery a lot in his books and this imagery also symbolises a person or a theme in the story.      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In the first line of act one scene two Duncan is asking his Lords who the bloody man stood before him is.   He says that judging by his wounded state he could tell them of the latest news of the battle.   This opening sentence sets the scene for the whole of the play, a bloody war. There is more blood when MacBeth and his lady have killed Duncan,   the blood symbolises guilt so Lady MacBeth smears blood onto the guards and then cleans herself of the blood on her.      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   "A little water clears us of this deed," meaning that if there is no blood on them they can not be guilty.      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Banqueting,   eating and food symbolise a happy and unsuspecting atmosphere.   When you are in a crowd you feel safe and not threatened.   If you are with a lot of people when there is a crime you have a very strong alibi.   When Macbeth was at his banquet he made a toast to Banquo who was not present,   MacBeth knew exactly why Banquo was not present because it was he who sent out two murderers to kill him;   the play is full of such lies and stories to cover up crimes so much that the criminals can not handle the guilt.      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The whole play is a reflection of chaos and order.   The population are all in an order and set rank but at the top of the hierarchy where the order matters there is a state of chaos and this is filtered down through the hierarchy to everyone in the play.   The people are fighting for order to be restored and justice done.      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Throughout the book there are a lot of dark and light images.   The witches are always in the dark because the darkness represents a fear full unknown. It is in the dark where crimes occur   because they can go

Friday, October 11, 2019

Immanuel Kant Essay

Utilitarianism, Kantian Ethics, Natural Rights Theories, and Religious Ethics A â€Å"utilitarian† argument, in the strict sense, is one what alleges that we ought to do something because it will produce more total happiness than doing anything else would. Act utilitarianism (AU) is the moral theory that holds that the morally right action, the act that we have a moral duty to do, is the one that will (probably) maximize â€Å"utility† (happiness, welfare, well-being). AU is not to be confused with egoism. The egoist really only cares about his own happiness. AU says that everyone’s happiness counts equally. Suppose that executing Joseph would in the long run produce more total happiness than letting him live would. Then according to AU, we ought to execute Joseph. Now if Joseph is a convicted serial murderer who would probably escape and commit more murders if we tried to incarcerate him, then it’s reasonable to think that executing him would be the right thing to do. But what if he has committed no crime? What if he is simply an extremely irritating person with no friends or loved ones, and the many people with whom he has contact in his life are very sensitive and dislike him intensely? Since more total happiness is produced if Joseph dies (the increased happiness of the many who no longer have to endure him outweighs his unhappiness about dying) than if he lives, AU says that it’s right to kill him. This example illustrates what is probably the main objection to AU: it tells us to violate rights/commit injustices when doing so is necessary to produce the greatest total amount of happiness. A â€Å"utilitarian† argument in a looser sense is one that alleges that we ought to do something because of its â€Å"good consequences† (or not do something because of its â€Å"bad consequences†), where good/bad consequences needn’t be limited to what increases or decreases happiness, but might include other things that a strict utilitarian theory attaches no positive or negative intrinsic value to. — An example: â€Å"the FDA shouldn’t approve the ‘morning after’ pill, because it will only promote out-of-wedlock sex. † This argument assumes that out-of-wedlock sex is something that is per se bad, and that the risk of unwanted pregnancy and babies will deter at least some, perhaps many, from engaging in it, thereby reducing the total amount of it. The strict utilitarian rejects the idea that such sex is an intrinsic moral evil, holding instead that if such sex is bad, it is bad only insofar as it causes bad consequences like unwanted pregnancy and babies. — This argument for why the FDA shouldn’t approve the ‘morning after’ pill is better described as â€Å"consequentialist† rather than â€Å"utilitarian. † All strictly utilitarian arguments are consequentialist, but not all consequentialist arguments are strictly utilitarian. The important point is that one needn’t believe that utilitarianism is the correct moral theory in order to believe that consequentist arguments of either the strictly utilitarian kind or other kinds provide good reasons. We can admit that the increase in the happiness to others is a good reason to execute Joseph. But we can say that the fact that it would violate his right to life is an even better reason not to do it. Respect for rights â€Å"trumps† maximizing utility. Suppose that we want to build a highway that connects two cities. The shorter route would require destroying some scenic wilderness that is enjoyed by some nature lovers. The longer route avoids that but entails a longer driving time for people who commute between the two cities. Which route should the highway be built on? Here it’s plausible to think that we should make the decision on the basis of utilitarian considerations. We look at all the costs and benefits of both alternatives and pick the one with the most favorable benefit to cost ratio. The other three views—Kantian ethics, natural rights theories, and â€Å"religious ethics†Ã¢â‚¬â€all agree that there are many circumstances when maximizing utility would be wrong. Perhaps the strongest objection to AU comes from the natural rights theory: AU is false, because it tells us to violate people’s rights when that’s necessary to maximize utility. The example of Joseph illustrates it, but here’s another example. A surgeon has I healthy and 5 sick and dying patients. Each of the sick and dying patients needs a new organ— one a new kidney, another a new liver, the third a new heart, etc. —and would fully recover if he received it. It so happens that the 1 healthy patient would be a suitable organ donor for all of them. If the surgeon kills the 1 and redistributes his organs, he saves 5. If he does nothing, then 1 is alive and 5 are dead. On the assumption that all six are equally happy, loved by others, and productive of utility for others in society, then the way to maximize utility is to kill the 1. But if he won’t consent to being killed and having his organs transplanted (he doesn’t believe in utilitarianism), then killing him would violate his right to life. The objection is simply that it would be wrong to violate his right even if it’s the way to maximize utility. Kantian ethics is based on what Immanuel Kant claimed is the supreme principle of morality, the Categorical Imperative. Kant claimed that there were a few different but equivalent ways of stating the Categorical Imperative. The first, the Universal Law Formula, says that we should act only on principles that we can will to be a universal law that applies to everyone. The idea here seems to be that when people act immorally, they want everyone else to obey â€Å"the rules† but want to make an exception for themselves. Another way of stating the Categorical Imperative, the one we’ll focus on, is the Principle of Humanity. It says that whenever we act we must be sure always to treat all â€Å"persons† (both ourselves and others) as â€Å"ends† and never as â€Å"mere means. † â€Å"Persons† in Kantian ethics refers to any being with the capacity to make moral judgments and conform to them (where that often requires that one resist various urges, inclinations, and temptations to act against them). Persons have free will and reason. Babies are not yet persons, and cows and pigs never will be. Kant’s Principle of Humanity implies that it is only persons who possess â€Å"dignity† and must be treated as â€Å"ends. † Animals only have a â€Å"use value† and may be treated as mere means or resources. Animals may be used in experiments to test new drugs, but â€Å"persons† may be used in such experiments only with their â€Å"informed consent. † Kantians agree that killing the 1 healthy person in the above example is wrong, even if it maximizes utility for society as a whole. It is wrong because it treats him as a â€Å"mere means. † Kant held that if one commits suicide because one believes that the remainder of one’s life will be filled with more discomfort than pleasure, then one fails to treat oneself as an â€Å"end. † So long as one retains the capacities that make one a person, then one has dignity and one ought to respect this dignity. To think that life is worth living only if it is pleasant is to fail to respect this dignity. Another objection that Kantians have to AU, especially the hedonistic version, is that it is a degrading to humanity to think and act as though pleasure were the point of life. Kantians think that the point of life is the exercise of one’s personhood capacities in moral deliberation and choice. This does not mean that Kantians must oppose all suicide and euthanasia. They support it in cases where people have permanently lost the capacities for free will and reason (e. g. PVS patients like Terry Schiavo). Euthanasia in these cases provides a dignified death. Of course sometimes when people talk about â€Å"dying with dignity† they’re assuming that it’s the need to be cared for by others (e. g. to wear Depends diapers and have them changed by others) that’s â€Å"undignified. † A Kantian has to say that those people have mistaken views about the basis of human dignity. It’s personhood, not the ability to care for oneself without assistance from others, that gives human beings their dignity. Another implication of the Principle of Humanity is that lying is typically wrong. A woman who persuades me to sell her my new car at a low price by telling me a lie that I believe (â€Å"males who drive your model of car are 20 times more likely to develop testicular cancer than males who don’t†) treats me as a mere means. She manipulates me in a way that I would not consent to if I were aware of what her purposes are. What many people have criticized in Kant is not his claim that lies like this one are wrong, but his view that lying is always wrong. In the case where lying to evil people will help to thwart their evil aims (e. g. someone intent on committing murder asks me the whereabouts of his intended victim) Kant held that lying remains wrong. Instead of lying, I should simply not say anything. The main problem with the Principle of Humanity is that it’s not entirely clear what it means to treat another person as an â€Å"end. † It’s been claimed that it means you must treat others in ways that they would not object to if they were morally reasonable, thinking clearly, and well-informed about relevant factual matters. When society puts a thief in prison, it’s treating him as an end, because even though he might object to being incarcerated, he wouldn’t object if he were morally reasonable; he would admit that thieves deserve to go to jail. One problem with this interpretation of the Principle is that it assumes some other, independent standard of what’s â€Å"morally reasonable. † Wasn’t the Principle of Humanity itself supposed to provide that standard? Another problem is that it probably cannot support Kant’s judgment that lying is always wrong. After all, if the morally reasonable thief must admit that he deserves a loss of liberty as punishment for his crimes, shouldn’t a morally reasonable person agree that lying to him is okay as a means of preventing him from committing murder? The Principle of Humanity is sometimes interpreted as supporting the Principle of Autonomy. The Principle of Autonomy says that everyone has the right to live his/her life in accordance with his/her own views about religion, the meaning of life, the moral virtues, dignity and honor, etc., so long as one doesn’t infringe on the right of others to do the same. (Since this principle asserts the existence of a certain moral right, certain natural rights-based moral theories might also support it). You violate my autonomy if restrict my liberty for my own good on the basis of values that I reject. Consider two examples. First, you knock a cup of coffee out of my hands before I can drink from it. I object, but only because I assume, incorrectly, that there’s nothing wrong with the coffee; in fact, it contains poison. You have not violated my autonomy, because your interference can be justified by an appeal to my own values. Second, a competent, adult Jehovah’s Witness refuses to consent to a blood transfusion because it’s against his religion, but his friends force him to have one anyway, because they are convinced that he has misinterpreted the Biblical passage that forbids the â€Å"eating of blood. † In this case the Principle of Autonomy is violated. I think that the Jehovah’s Witness is better off having the life-saving transfusion. The Principle of Beneficence tells doctors to do what is in their patients’ best interests. Hence, this Principle supports ignoring the JW’s wishes and giving him the transfusion. This is a case in which the Principle of Autonomy conflicts with the Principle of Beneficence. I agree with the AMA that the doctor may not treat the JW without his â€Å"informed consent. † Hence, in this sort of case the value of respecting autonomy trumps the value of doing what’s best for the person. Are there any cases where the two principles conflict but beneficence overrides respect for autonomy? Our textbook correctly mentions libertarianism as one natural rights based moral theory. (Natural rights are supposed to be moral rights that exist whether or not the government recognizes and protects them. They are not to be confused with legal rights). Let me make a two points about libertarianism. It holds that our basic human rights include rights to life, liberty, and private property. The right to life is only a â€Å"negative† right (a right not to be killed by others), not a â€Å"positive† right (a right to be provided by one’s society the minimum nutrition and other goods that one needs to stay alive, if one cannot obtain them oneself). Other natural rights theorists disagree with the libertarian, holding that we have â€Å"positive† as well as â€Å"negative† natural rights. A right to decent, affordable health or to free health care if one is poor is an example of a â€Å"positive† right. Second, in saying that someone has a natural right to do x, we’re not necessarily saying that it’s morally permissible to do x. All we’re saying is that others do not have the right to interfere, to use coercion to prevent him from doing it. Consider a racist giving a public speech in which he advocates denying black people the right to vote. To say that he has a natural right to free speech only means that others (especially the government) are forbidden to step in and prevent him from speaking. It doesn’t mean that there’s nothing morally wrong with his speech. There obviously is—promoting racism is immoral. And in saying that we think his speech is immoral we don’t violate his free speech rights. We exercise our own. There are many different varieties of religious ethics, but we should focus on three religious ethics ideas often introduced into biomedical ethics controversies in this country. They are: i) The â€Å"sanctity of life† doctrine—it is absolutely forbidden either to perform or fail to perform some action with the aim of causing or facilitating the death of any innocent human being (oneself or another), whether or not the person to die consents to the act or omission, and whether or not he is better off with a quick and painless death. Hence, euthanasia (voluntary or not) is forbidden. The taking of innocent human life is God’s prerogative, not man’s. No human being has the right to â€Å"play God. † On the basis of the â€Å"sanctity of life† doctrine many religious people oppose the legalization of physician-assisted suicide and voluntary euthanasia. (They usually have other objections to legalization not based on this doctrine). ii) â€Å"Unnatural† acts are wrong. Though in-vetro fertilization and surrogate birthing are both wrong for this reason, the use of fertility drugs by a couple that has had difficulty in conceiving is not. iii) (Roman Catholicism only) The Doctrine of Double Effect– It is permissible to perform an act the evil consequences of which one foresees but does not intend (e. g. the death of an innocent human being), so long as the intended good consequences of the act outweigh or justify the unintended but foreseen bad consequences. It is permissible to perform an act with such consequences, even though it would be impermissible to perform it if the evil were intended as an end or as a means to bringing about some other end. — The â€Å"craniotomy† and â€Å"hysterectomy† examples and RC moral theology’s rejection of consequentialism. The craniotomy is supposed to be wrong, because the baby’s death is intended as a means to saving the mother. (It is supposed to be wrong, even though both mother and baby will die if the craniotomy is not performed). The hysterectomy is supposed to be permissible, because in that case the baby’s death is a foreseen but unintended side-effect of the hysterectomy. The claim that people who condemn homosexuality, masturbation, surrogate motherhood, reproductive cloning, etc. as wrong because â€Å"unnatural† are relying on religious ideas is controversial. Contemporary Roman Catholic philosophers who defend the natural law theory of morality (e. g. John Finnis) deny that their view presupposes a belief in God and God’s purposes (though it is certainly compatible with such a belief). They hold that we can know by means of unaided reason that these things are wrong. The natural law theory, they claim, is different from the â€Å"divine command theory of right and wrong. † According to the latter, what makes an act wrong is that it violates a divine command. So to know that homosexuality, for example, is wrong, we would have to know that the Bible, or Quran, or whatever, is the revealed word of God and read it to see if it includes a prohibition on homosexuality. Since the belief that the Bible or whatever is the revealed word of God rests on religious faith, it follows that a condemnation of homosexuality based on the divine command theory likewise depends on faith.