Friday, December 27, 2019

The Application Of Operant Learning - 909 Words

Jane Tien Thuy Nguyen Professor Shaun Vecera Section 18 Elementary Psychology 05 October 2014 The Application of Operant Learning Operant conditioning and classical conditioning are two completely different forms of learning. Classical conditioning, discovered by Ivan Pavlov, is associated with learning through the process in which one reacts to a neutral stimulus. This process involves matching a neutral stimulus to a stimulus (UCS) that produces an unconditioned response (UCR), or a reflex, for a long period of time. Over time, the UCS would be removed and the person being manipulated would start reacting to the previously neutral stimulus, thus becoming a conditioned, or learned, stimulus (CS) that elicits a conditioned response (CR). Operant conditioning, on the other hand, is a form of learning where one’s behavior is manipulated by the outcome. The consequences would take a toll on one’s behavior and would either increase-- through reinforcement--or decrease-- by punishment-- the likelihood of the behavior happening again. Both reinforcement and punishment are split into two types: positive and negative. Positive reinforcement and positive punishment involves controlling one’s behavior, whatever the case may be, by presenting a certain stimulus. Negative reinforcement and negative punishment eradicate a stimulus to increase or decrease behavior. The differences seen between operant conditioning and classical conditioning are apparent. In classical conditioning, theShow MoreRelatedThe Behavior Of Organisms, An Experimental Analysis Essay970 Words   |  4 Pagesdefines behaviour as follows, â€Å"Behaviour is what an organism is doing or more accurately what it is observed by another organism to be doing.† (Skinner, 1938). While classical conditioning is passive, operant conditioning requires the learner to actively â€Å"operate† on their environment. Therefore, operant conditioning mainly relies on the learner making voluntary responses, for example, pushing the buttons on a TV remote to select a desired channe l. In Skinner’s experiment, the learner was a white ratRead MoreBandura s Theory Of Self Efficacy And Skinners Theory975 Words   |  4 PagesDiscussion of Adult Learning Theory The two theories that will be discussed in this paper are Bandura’s theory of self-efficacy and Skinners theory of operant conditioning. An overview of both theories will be analyzed. Then, both theories will be compared and contrasted. Finally, professional application of these theories will be discussed. Bandura’s Theory Bandura’s social cognitive theory hightlights the role of observational learning, social experience, and reciprocal determinism on learning (Cherry, 2005)Read MoreCompare and Constrast Classical and Operant Conditioning737 Words   |  3 PagesCompare and contrast classical and operant conditioning, their theories, terminology, famous psychologists and applications of the theory for teaching. Classical and operant conditioning are two important concepts central to behavioral psychology. While both result in learning, the processes are quite different. In order to understand how each of these behavior modification techniques can be used, it is also essential to understand how classical conditioning and operant conditioning differ from one anotherRead MoreClassical and Operant Conditioning Essay1000 Words   |  4 Pagespeople may believe that learning is just a natural response that all animals are capable of, there is actually a more complex explanation on how we learn the things we do in order to survive in the world. Classical conditioning and operant conditioning are both basic forms of learning, they have the word conditioning in common. Conditioning is the acquisition of specific patterns of behavior in the presence of well-defined stimuli. Classical conditioning is a type of learning in which an organismRead MoreThe Theory Of Operant Conditioning1212 Words   |  5 PagesOperant conditioning (sometimes referred to as instrumental conditioning) is a method of learning that occurs through rewards and punishments for behavior. Through operant conditioning, an association is made between a behavior and a consequence for that behavior. For example, when a lab rat presses a blue button, he receives a food pellet as a reward, but when he presses the red button he receives a mild electric shock. As a result, he learns to press the blue button but avoid the red button. TheRead MoreOperant Conditioning : Voluntary Behavior Essay940 Words   |  4 PagesOnil Trinidad Psych 11 Dr. Mcspadden Operant Conditioning Voluntary behavior is a result of a learning process which is commonly referred to as â€Å"Operant Conditioning.† According to the American Psychological Association, operant conditioning is â€Å"Learning in which the probability of a response is changed by a change in its consequences† (Allyn Para#8). In simpler terms, operant conditioning is the explanation for voluntary behavior, which can reoccur or diminish, depending if the consequence isRead MoreClassic Behavioristic Principles of Psychology Developed by B.F. Skinner1372 Words   |  6 Pagesadvancing an understanding of basic psychological processes and to the applications of science-based interventions to problems of individual and social importance.† He contributed to â€Å"human and nonhuman behavior, including human behavioral development, and to various segments of the life span, including human infancy† (p. 1411). One of Skinners greatest scientific discoveries was â€Å"single reinforcem ent† which became sufficient for â€Å"operant conditioning, the role of extinction in the discovery of intermittentRead MoreSkinners Operant Conditioning Theory Essay658 Words   |  3 PagesSkinners Operant Conditioning Theory B.F Skinner (1904-1990), an American psychologist who was the leading exponent of the school of psychology know as behaviourism, maintained the idea that learning is a result of any change in overt behaviour. Changes in behaviour are determined by the way an individual responds to events (stimuli) in the environment. Skinner described this phenomenon as operant conditioning. Action on part of the learner is called a response. WhenRead MoreOperant Conditioning : History And Application Essay775 Words   |  4 PagesOperant Conditioning Never Goes Out of Style: The History and Application of Operant Conditioning Since the beginning of time people have wanted to control others behaviors and this want is still prevalent in the world. One way people can achieve this is through operant conditioning. Experiments that worked with controlling behavior by awarding or removing a reinforcement or punishment were conducted over one hundred years ago (Chance 1999). Unlike some psychological theories that become irrelevantRead MoreStudents Attitudes And Behaviors Towards Learning And Managing A Classroom1508 Words   |  7 Pagesare indubitably facing many challenges regarding their students’ attitudes and behaviours towards learning and managing a classroom. Teachers have an important role to play in creating a positive classroom environment that is conducive to learning, keeping their students engaged and motivated to learn. There are many factors that contribute to a students’ level of interest and engagement in learning and teachers have little control over these factors (Lumsden, 1994). Teachers can influence student

Thursday, December 19, 2019

Life of Pi - Maslows Hierarchy of Needs - 1979 Words

Pi On Top of the Pyramid The meaning of life is a topic questioned by many. One might think of our job on earth as a journey to reach our individual full potential. Abraham Maslow was one of those people. Knowing that motivation is driven by the existence of unsatisfied needs he created a concept called the Hierarchy of Needs. This concept was expressed as one of the many themes throughout the novel, Life of Pi, Yann Martel asks the reader to reflect on life itself; we are forced to become aware of what we are truly capable of as human beings. We must understand ourselves and the various types of motivation that induce specific behaviors. We must understand our desires, which will lead us on the course to self actualization. Pi†¦show more content†¦However as the time went on he realized he had to take certain risks compromising his safety in order to survive while he knows that they could have negative outcome, favoring his id. Desperation challenged his integrity and thought process however it pai d off Oh, the delight of the manufactured good, the man-made device, the created thing! That moment of material revelation brought an intensity of pleasure -- a heady mix of hope, surprise, disbelief, thrill gratitude, all crushed into one †¦ I was positively giddy with happiness. (p 205) Here Pi finds the much hoped for safety supply locker and obtains a spiritual uplifting and confidence boost. Although Pi had now satisfied the first level of needs and has created a certain amount of safety he was still stranded in the ocean. It is then that Pi came to terms with the fact that both humans and animals are territorial creatures so he established parameters within the boat which ultimately satisfied the need for safety to the best of his abilities. As the first two levels are completed Pi has a lot of time to reflect on other things, things less basic then the fundamentals of life. Alone, stranded in the middle of the ocean Pi began to think of his loved ones. Some people believe that the animals in the lifeboat embodied certain characteristics that represent their human counterparts which served Pi as aShow MoreRelatedMaslow’s Hierarchy of Needs and Life of Pi733 Words   |  3 PagesBy looking at Life of Pi by Yann Martel, one can see that an individual has a limit to how much physical and emotional strain they can endure before they are forced to resort to doubting their beliefs and values, and when they are forced into isolation, may become mentally unstable and create their own version of reality. Martel portrays this idea best through the main character, Piscine Patel, otherwise known as Pi. Pi unwillingly embarks on a strenuous voyage in the Pacific Ocean in a lifeboatRead MoreMaslow’s Hierarchy of N eeds and Yann Martel’s Life of Pi1430 Words   |  6 Pagesa time in point of life when you’re stuck in a hiccup and you have to do whatever it takes to overcome the obstacles. In the Life of Pi, Pi undergoes many obstacles and he has to test the five levels of Maslow’s hierarchy of needs to be able to survive. Maslow’s hierarchy of needs consists of five levels such as: Physiological, Safety, Love, Esteem, and Self Actualization. Does Pi have what it takes to overcome these obstacles by using the five levels of hierarchy? Life of Pi by Yann Martel, tellsRead MoreThe Role of Abraham Maslow in Life of Pi by Yann Martel1685 Words   |  7 Pagesbased on esteem, love and other social needs†(McLeod). Pi, the novel’s protagonist, moves through the very same motivational levels that Abraham Maslow identifies in his landmark psychological studies. Understanding the different stages helps show why certain behaviors are occurring and eventually after all stages are fulfilled is when a person becomes self-actualized. Abraham Maslow was an American psychologist who introduced the concept of the motivational needs in his paper â€Å"A Theory of Human Motivation†Read MoreLife Of Pi By Martel1617 Words   |  7 PagesHISTORY AND ORIGIN In Life of Pi by Martel, Martel uses the faith of Pi to show that initiation, innocence resolutions and chaos are the core keys to having a true journey of a hero. Life of pi is set during Indian history tumultuous period which is referred to as the Emergency. In 1975, Indira Gandhi, prime minister was found charged and found guilty because of her election campaign of 1971 and was forced to resign (Anderson 20). Instead and in reaction to an increased protests and strikes thatRead MoreLife of Pie Short Essay Questions1942 Words   |  8 PagesLife of Pi Short Essay Questions By Marcus Mooney 1. In the book, The Life of Pi the five sections in the Maslow’s Hierarchy of Human Needs; Physiological; Safety; Love/ Belonging; Esteem; and Self-actualization are demonstrated. Once Pi is on the lifeboat, his main focus is food and water, as he needs both of these to survive. He is in the physiological stage. He has to ignore his morals because according to the hierarchy, a person cannot focus on a higher level before the one beforeRead MoreHow Faith Influences Life and its Path1227 Words   |  5 PagesThroughout the world, faith is an influential bond between mortal and immortal, which strengthens and fulfills one’s aspirations in life. I fully believe that one’s belief is important to their lifestyle, morals and experiences to enhance a connection with their God(s). Some people may ask, â€Å"How does faith affect one’s path?† and Shulman (2014) argues that Maslow’s Hierarchy of Needs could not reach some of even the basic levels without faith. Most of these levels require a sense of self-security that oneRead MoreThe Theory Of Personality Theories2646 Words   |  11 Pages In the view of trait theory, the Big 5 tr aits consist of Extraversion, Contentiousness, Agreeableness, Neuroticism, Openness (Funder 2013). The NEO-PI personality test, the resulting information produced a score of ninety-nine in the neuroticism trait. This scores significance due to the symptoms associated with such a trait. This significant life event allowed for the development of neuroticism’s symptoms such as â€Å"anxious[ness], vulnerable to stress, lacking in confidence† which are present inRead MorePmp Exam Preparation Questions32679 Words   |  131 Pagesillustrates how various factors might be linked to potential problems or effects. As part of the project s quality assurance efforts, your audit team is using these tools in your software development project. Which stage of the project management life cycle are you in? A Planning process group B Executing process group C Monitoring and controlling process group D Closing process group 2 Which one of the following statements expresses the difference between quality and grade?    A HighRead MoreConflict Management and Emotional Intelligence63003 Words   |  253 Pagesmeasure   the   emotional   intelligence   quotient   (also   called   the   emotional   quotient)   of   participants  were  also  conducted  and  demographic  data  of  the  participants  was  gathered.            Customer  service  staff  are  suggested  to  identify  the  real  needs  of  customers  through  the  use   of   the   concepts   of   emotional   intelligence   and   conflict   formation.      Customer   service   staff   should  apply  the  appropriate  conflict  management  strategy  with  due  regard  to  the  impact  of   emotional  intellige

Wednesday, December 11, 2019

Heart of Darkness - by Joseph Conrad free essay sample

A look at two different viewpoints of Conrads novel, The Heart of Darkness. In Heart of Darkness by Joseph Conrad, there is an impression that Conrad is trying to convey. To some this may not appear to be as evident because his meaning is deeper than what is on the surface. Many critics of the novel note that the techniques that Conrad uses cause him to obscure his true intentions. Some of those who analyze his writing feel that the way he describes the Africans and the ways the Europeans treated them are explicitly racist. Conrad was ultimately trying to present us to the nature of the comparisons by which the whites act towards the blacks and not to demean the Africans. He puts his focus on the white mans attack of colonialism on the Africans residing along the Congo. The use of many actual events makes this more of a story of enormity rather than entertaining. We will write a custom essay sample on Heart of Darkness by Joseph Conrad or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page

Tuesday, December 3, 2019

West Coast Jazz

Introduction In the 1950s and the 1960s a new form of jazz music was invented in Los Angeles. It was referred to as West Coast jazz and it primarily developed as a variation of cool jazz (a type of modern jazz that grew up during the Second World War period). The music was also seen as an evolution of bop jazz though it contained some aspects of swing that had overtime been discarded or summarily overlooked. Most of the recordings in the genre were characterized by a heavy arrangement of the music which usually came with a formal composition.Advertising We will write a custom essay sample on West Coast Jazz specifically for you for only $16.05 $11/page Learn More However, there were experimental tracks that had success with audiences and which ended up being classified under West Coast jazz. This essay seeks to analyze the development of West Coast jazz as well as to evaluate the appropriateness of the names allotted to this genre of music. To this end v arious forms of literature, both electronic and print, shall be consulted in order to provide a proper scholarly background to the discussion. The evolution of jazz leading to the birth of West Coast jazz In the period following the end of WWII, jazz as an independent genre of music went through intense transformations. This went in tandem with the other socio-cultural changes, including the birth of the civil rights movement, that were taking place in the post-war era. Around this time jazz broke down into the bop, Hard Bop and Cool sub-genres[1]. Of even more importance is that with this split, jazz also acquired classification into two camps-the West Coast and the East Coast. Musicians from the two coastal camps also relied on two particular record labels-one from each camp-to do most of their tracks. The Los Angeles Pacific Jazz label handled the West Coast musicians while the Blue Note Records produced the East Coast jazz[2]. The West Coast jazz was mainly identified by a relax ing sound as compared to its Eastern counterpart which was faster and had more intensity. It had some kind of laid back swing touch to it and most of the followers of the style commonly referred to it as cool jazz. This sound was easy to the ears and it had the effect of giving the listener a relaxed feeling. The West Coast Sound was easily accessible to the public and as it received immense airplay in Los Angeles radio stations and clubs. Aside from the differences in sound between the West coast and the East Coast jazz, there were basic racial elements of distinction between the two sub-genres[3]. West Coast jazz was mainly Caucasian-led while the East Coast had a distinct African-American composition and following. Music by West Coast musicians such as Curtis Amy and Teddy Edwards had some a characteristic gospel touch whose origin could be traced all the way to Africa[4]. The entry of West Coast jazz into the music scene was not sudden. This is because it mainly stemmed and evol ved from styles that had already established a presence in the United States. Even with its uniqueness, keen followers could easily tell that West Coast jazz was an amalgamation of various musical genres and sounds. The classification of the West Coast sound placed all musicians from the genre into one group and this had the eventual effect of establishing and maintaining harmony to the sound.Advertising Looking for essay on art and design? Let's see if we can help you! Get your first paper with 15% OFF Learn More The swing period Before the advent of West Coast jazz the American musical scene was defined by two typical sounds; these were Big Band and Swing. A basic swing band was made up of a minimum of ten members, classified under the saxophone, the brass and the rhythm sections[5]. Proponents of the Swing sound from the West Coast included Stan Kenton, Woody Herman and Herb Geller[6]. Their music helped give solace to most people during the war period. Stan Kenton was a renowned pianist and his influence had a global aura to it. He was among the first individuals to experiment with the Big Band format as well as flirting with the pre-existing boundaries of Swing. His boldness was well received and he found admirers among many of the up-coming young talent. His involvement in modern music greatly influenced the changes happening to modern jazz, particularly in terms of performing with orchestra-type bands with some of them having more than forty members. The bands were well sectioned with a clear distinction between the wind and the string. This innovation marked the beginning of free jazz. Over the years, a number of musicians went through Kenton’s band and later parted to establish independent bands. However, they all credited Kenton as their discernible role model and key influence. Much later these Kenton students alongside other swing greats such as Wardell Gray invented two new jazz sub-genres; Bop and Cool[7]. Players in the West Coast post swing era Once the Second World War came to an end, most musicians found it necessary to embrace new styles of music. Many of them experimented with various combinations and son Bop and Cool were taking over the place of Swing. However, as other musicians were eager to embrace changes two artistes remained committed to Swing in its traditional form. These were Cy Touff and Bob Brookmeyer. Touff’s compositions touched on various themes established by various bandleaders in New Orleans. His music gave Swing jazz a vastly unique identity since it brought in elements from the Chicago music scene where the musician originally came from. Brookmeyer was born in Kansas City and was introduced to the music scene as a pianist in the army band. Later he picked up the trombone and found a place in various swing bands most notably playing alongside Woody Herman. In 1954 he linked up with Gerry Mulligan and Chet Baker to create a brand new sound. Even with his contribution to i nnovative sounds, Mulligan’s heart still remained with traditional Swing and this even led him to create the nostalgic album, Traditionalism Revisited. Advertising We will write a custom essay sample on West Coast Jazz specifically for you for only $16.05 $11/page Learn More The West Coast Bop As most of the West Coast Jazz musicians were experimenting with different elements of Bop and Cool, the counterparts from the East Coast decided to follow new musical paths leading to the advent of Hard Bop (sometimes referred to as Soul-Jazz). These musicians decided to break away from conventional music ties and played around with the space they were given. The Hard Bop movement was distinguishable by the input of guitarists Grant Green and George Benson, saxophonists Eddie Harris and Cannonball Aderly and Pianists Jimmy Smith and Horace silver[8]. Hard Bop found its primary following in the East Coast. However, there were a few musicians from the West C oast who embraced it fully. One of these artistes was Teddy Edwards who went against his region’s attachment to swing to work alongside Dexter Gordon to create the unique Los Angeles Bop. This was around the same time when the big bands that hitherto characterized the music scene were abandoned for solo performances. The birth of Cool jazz The entry of bop (also known as Bebop) heralded the decline of swing. This transformation mainly happened in the East Coast through the work of such musicians as Max Roach and Charlie Parker. As the East Coast was getting excited about the fast paced sounds and the stretched solos, the West Coast musicians were exploring harmonic possibilities through the integration of bop elements in their compositions to come u with the unique Cool sound. Cool  jazz was characterized by a combination of swing and various experiments with various chordal progressions. One of the musicians from the West Coast who had a primary hand in the development of Cool jazz was Dave Brubeck. Alongside East Coast’s Miles Davis, Brubeck released landmark recordings to mark the maturation of a new genre of jazz. The â€Å"Cool† movement found grounding in the Los Angeles jazz scene with most of the greatest Cool jazz musicians coming from the West Coast[9]. Below are some of the musicians who contributed to the popularization of the Cool style. Bill Perkins Bill Perkins was born in San Fransico but later relocated to Los Angeles where he did a stint in Stan Kenton’s band. He teamed up with fellow musicians from the West Coast including Bob Cooper and Jack Montrose to act as a primary head in the growth of the Cool sound. However, most of the popular Bill Perkin’s tracks are the ones he did with Kenton, with some of them being as popular today as they were during the time that they were originally released.Advertising Looking for essay on art and design? Let's see if we can help you! Get your first paper with 15% OFF Learn More Bud Shank Bud Shank was raised in Ohio and then relocated to California after dropping out from college. He performed with several bands, most of which broke up in their early days. During this time he managed to learn how to play the flute. This, coupled with his skill in the Saxophone gave him an edge against fellow instrument players. In between the period 1950 and 1951 he joined Stan Kenton’s band where he managed to make a name in the Cool genre of jazz music. Alongside Bob Cooper, Shank managed to give the oboe and the flute a place in jazz music. Jack Montrose Jack Montrose was born in Detroit Michigan but he moved to California during his teens[10]. Having graduated with a degree in music from the Los Angeles State College in the 1953, Montrose channeled his focus to music and his experimentation with different genres of music helped him make a name for himself as one of the most influential artistes in West Coast jazz[11]. Unfortunately for Jack, he became addicted t o heroine and most of the bands he played with found him a liability and cut him loose. He later underwent rehabilitation but by the time he was back in control, changes had taken place in the music scene and his style was no longer being appreciated. This is the reason why he is among the influential but forgotten heroes of West Coast jazz. West Coast Jazz Key musicians-Gerry Mulligan and Chet Baker The West Coast sound had very many followers. Saxophonist Gerry Mulligan and trumpeter Chet Baker, being the first musicians to work under the Pacific Jazz production level, turned out to be some of the most influential individuals in the development of the sound[12]. The entry of Mulligan into the music scene was some kind of defining moment as far as the West Coast movement was concerned. His contribution was greatly appreciated mainly because he was able to borrow from elements from East Coast owing to his constant contact with Miles Davis as well as drawing from his background as he originally came from New York. Chet Baker who originally came from Oklahoma also played a clear role in the development of the Pacific Jazz sound. The Mulligan-Baker influence on jazz scene was not initially anticipated primarily because the two were struggling artists when they first met. Mulligan had hitch hiked from New York while Baker had been a poor Dixieland trumpeter. However, it was instant chemistry when the duo created a clean swinging sound. Their immediate success was characterized by imitation by young musicians as well as by the migration in droves of musical talent into Los Angeles. The appropriateness of the geographical title â€Å"West Coast jazz† The tag West Coast jazz when identifying the particular type of jazz being performed in Los Angeles may not clearly present the intention of the branding. This is because the growth of jazz in the period after the Second World War depended on a fusion of styles from both the East and West Coasts. The title  "West Coast jazz† basically implies that the type of jazz being referred to originally sprang up in the regions around Los Angeles. However, as has been illustrated in this essay, the genre that is currently referred to as West Coast jazz was simply a combination of various jazz elements-some of which were primarily invented and popularized in the East Coast. Aside from this, most of the notable artists in the West Coast had roots from the East Coast and therefore brought in elements from their home regions into the Los Angeles Music Scene. As a matter of fact, it is definitely clear that West Coast jazz borrowed more from the East Coast as compared to what jazz in New York borrowed from the West Coast. However, it is without a doubt that both Coasts had their role to play in the music industry and most of them left their mark with their releases. Conclusion West Coast jazz was a fundamentally vibrant element of the United States music scene. However, because its advent happen ed around the time when more popular genres were developing in New York, this item of jazz development often tends to be overlooked. With the artists in New York following new directions when it came to jazz, those in Los Angeles chose to stick with the Swing from which they drew a number of closely related variations. However, it is definitely clear that both the New York and Los Angeles aspects of jazz growth had a significant effect in the general development of the genre. Both the East and West coasts produced exceptional performers whose impact continues to be felt in modern-day music. Reference List Gioia, T, West Coast jazz: Modern jazz in California, 1945-1960, University of California Press, California, 1998 Waters, K, H, Martin, Essential jazz: the first 100 years, Cengage Learning, Connecticut, 2008 Footnotes T, Gioia, West Coast jazz: Modern jazz in California, 1945-1960, University of California Press, California, 1998, p.176 Gioia, pp.56, 195-196 Gioia, p.52 K, Water s, H, Martin, Essential jazz: the first 100 years, Cengage Learning, Connecticut, 2008, p.169 Gioia, p.210 Waters Martin, p.87 Gioia, p.51 Waters Martin, p.167 Gioia, p.176 Gioia, p.295 ibid. Waters Martin, pp.160-161 This essay on West Coast Jazz was written and submitted by user Barracuda to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Wednesday, November 27, 2019

The New Combination

The movie, The Obama Deception, and the readings from Dyer-Witheford’s the New Combination have become a popular narration of the reality of who the new president of the USA, Barrack Obama, really is.Advertising We will write a custom essay sample on The New Combination specifically for you for only $16.05 $11/page Learn More They have been used by their authors to represent the facts they have collected about the life of the then newly elected president and all the evidence they had about any reasons that may have motivated citizens of his country into voting for him and allowing him to become the leader of the number one super power in the world. These authors also try to give evidence related to the fact that president Obama was actually on the way to breaking his promises to his country and to the whole world (Dyer-Witheford 1). There is a lot of evidence that relates to the fact that the president is not in power as an individual, talented ru ler but rather as a representative of several powerful individuals, organizations and groups. Of more concern is the fact that all these powerful set-ups are behind the power and fame that Obama gained and that led to his election as the president. In fact, there seems to have been little real effects of the public to the election of then president than there was in the forces behind him. One main group that was viewed as being key to the election of Obama as the president of his country was the group popularly known a ‘the elites’, which was a combination of different groups and individuals who held both power and financial control in the country. The group consisted of the council on foreign relations (CFR) and the Tri-Lateral Commission among other groups. There was a relationship between the main leadership of the country and the group, the elites. This was the same case that led to the election of the president since the group had already shown interest in Obama as their candidate and representative in the government. The group was immensely involved in financing of the main campaigns for the president as well as offering a lot of advice and support for the president. When Obama became the president of USA, therefore, there was a lot that he could do in line with the requirements of the organizations that were behind his success and consecutively the president was already submitting to a higher authority at his duties and overall as a president. Obama could not be able to fully become independent and self-sufficient in a manner that he could be able to carry out his normal duties at his expense and also make decisions on his own.Advertising Looking for essay on political sciences? Let's see if we can help you! Get your first paper with 15% OFF Learn More On the other side, though Obama had a strong and admirable personality, he had to bow to a higher authority that dictated much of his principles, goals, objectives and strategie s. For example, there was a need for Obama to make very many promises during his campaigns. This was a strategy that helped him to capture the attention of all the citizens so they could vote for him. However, the implementations of all the strategic plans as he had promised were hampered by the organizations that were above him. He had to be directed on the course that he could take as a representative of those groups and hence performed duties as one under some force or power (Dyer-Witheford 17). One of the main reasons that led to the failed delivery of the promises Obama made to the citizens was the main mission of the elites group that required him to aid them in achieving their mission which was summarized into a global agenda. The agenda involved strategizing for new and more effective ways of delivering globalization to the citizens of the country and all the other countries hence leading to a point where all the involved countries could be placed under one ruler and a simil ar order. There is hence a lot of evidence that supports the fact that Obama is not just a world figure and a leader but rather a representative of greater and more powerful forces behind him. Work Cited Dyer-Witheford, Nick. The New Combinations: Revolt of the Global Value-Subjects. New York: McGraw-Hill/Irwin, 1951. Print. This essay on The New Combination was written and submitted by user Christina U. to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Saturday, November 23, 2019

Why Teeth Turn Yellow (And Other Colors)

Why Teeth Turn Yellow (And Other Colors) You know teeth can turn yellow from staining due to coffee, tea, and tobacco, but may be unaware of all of the other causes of tooth discoloration. Sometimes the color is temporary, while other times there is a chemical change in the composition of teeth that causes permanent discoloration. Take a look at the causes of yellow, black, blue, and gray teeth, as well as how to avoid or correct the problem. Reasons Why Teeth Turn Yellow Yellow or brown is the most common tooth discoloration. Any intensely-colored plant matter can stain teeth, as the pigment molecules bind to the surface layer of enamel. Chewing or smoking tobacco darkens and yellows teeth. Dark, acidic drinks like coffee, tea, and cola do a double-whammy as the acid makes teeth more porous, so they pick up the pigment more readily. Surface staining doesnt have to be yellow. Depending on the cause, it could be orange or even green. The good news about this type of stain is that it can be removed with good dental hygiene and a whitening toothpaste.Mouthwash can stain your teeth. Products containing the antibacterial agents chlorhexidine or cetylpyridium chloride cause surface discoloration. The color is temporary and can be bleached away.Medications may also yellow teeth. Antihistamines (e.g., Benadryl), drugs for high blood pressure, and antipsychotics typically cause surface discoloration, which may be temporary. The antibiotics tetracycline and doxycycline become calcified in developing enamel. While th e antibiotics wont noticeably stain adult teeth, these drugs can cause permanent discoloration and sometimes disfigurement of teeth if the drugs are administered to children under age 10. Pregnant women are advised against taking these antibiotics because they affect fetal tooth development. It isnt just the color of the tooth that is affected. The chemical composition of teeth is altered, making them more fragile. Bleaching wont solve these problems, so the usual treatment involves crowns or replacing teeth with implants (in severe cases). Yellowing is part of the natural aging process, as tooth enamel becomes thinner and the natural yellowish color of the underlying dentin layer becomes more visible. Thin tooth enamel also occurs in people who have a dry mouth (produce less saliva) or who routinely eat acidic foods.Chemotherapy and radiation can change the color of enamel, giving it a brownish cast.Sometimes a yellowish color is genetic. Inherited yellow enamel can usually be bleached to become brighter using over the counter whitening products.Poor dental hygiene can cause yellowing since plaque and tartar are yellowish. Brushing, flossing, and visiting the dentist are steps to address this issue.Ingesting fluoride from fluoridated water or supplements usually causes splotches in developing teeth more than overall yellowing. Too much fluoride can also disfigure teeth since the chemical structure of enamel is affected.Dying teeth appear more yellow than young, healthy teeth. Physical trauma, poor nutrition, sleep depr ivation, and stress can all affect the health of underlying dentin and make it appear darker and more yellow. Causes of Blue, Black, and Gray Teeth Yellow isnt the only type of tooth discoloration. Other colors include blue, black, and gray. Dental amalgams made using mercury or sulfides can discolor teeth, potentially turning them gray or black.A severely damaged or dead tooth may have black spots as the internal tissue dies, similar to the way a bruise appears dark under the skin. Trauma can affect tooth color in both adults and children. Because this discoloration is internal, it cant simply be bleached away.There are two main causes of blue teeth. One is that a white tooth may appear blue if the tooth has a mercury-silver filling, which shows through the enamel. Damage to the root of a tooth may also show through as blue. The other main cause is when the root of a tooth fades away. This is more commonly seen in children losing their deciduous (baby) teeth​ when their teeth are otherwise very white. Enamel is crystalline apatite, so either dark underlying material or a lack of any material may make it appear blue-white.

Thursday, November 21, 2019

When henry the VIII became head of church of england was power Essay

When henry the VIII became head of church of england was power confered or confirmd on him by the parliament - Essay Example The Act in Restraint of Appeals partially accepted the Kings position as Supreme Head of both church and state, although it also upheld Cromwells idea that the king- through Parliament controlled the church. Supremacy was a formal recognition of a supremacy which already existed, whilst Cromwell believed that Parliament was needed to create a royal supremacy. Henry now showed his grand pretensions by stating that he was restoring his imperial rights that had been deprived from him and his predecessors by the Papacy itself.2 The nature and effect of the supremacy is of fundamental importance to obtain an understanding of how the English church was to develop. This was and would not be a Reformation from the bottom up or inspired by religious radicals. It was officially sanctioned Reformation from the top to the bottom. For anybody wishing to advance it further or halt it completely against official government policy was brave, devout or foolish. 3 With the Act of Supremacy Henry had gained the right for himself and his heirs to have political, social and religious control over the Church in England. The pace and direction of reforms thus came under the control of the state. The government therefore would only introduce reforms it considered politically expedient. An Act of Succession was also passed placing the children of the Boleyn marriage in the line of succession. Much to Henrys disappointment Anne had given birth to Elizabeth and not the son he wanted and changed so much to obtain. He was not to know that Elizabeth would reign longer than either Mary or Edward, and whilst maybe not as great as her reputation was certainly the most successful of his children. It became treason to deny the Supremacy, the order of Succession and Annes position as Queen, this legislation punished some devout Catholics both high ranking and low ranking.4 The passing of the Act of Supremacy in

Wednesday, November 20, 2019

Social Media Metrics Research Paper Example | Topics and Well Written Essays - 1500 words

Social Media Metrics - Research Paper Example From the discussion it is clear that  Home Depot recently presented a massive check of $250,000 to the Reno’s Veterans Guest House during the company’s Aprons in Action contest. During the contest, which began in early 2011, the Facebook page of the company served as the platform for up to 44 non-profit companies to earn funding totaling to up to $1 million as a result of Facebook votes and to develop more awareness of their community engagement and efforts. The social media strategy adopted by Home Depot is managed by the corporate communications department, headed by Mr. Brad Shaw. The company’s corporate team in charge of social media is tasked with responsibilities of reviewing content and posts that are developed by associates. They also manage the company’s social networking sites such as Facebook, Twitter and Youtube.As the essay stresses  defining the R  in the company's ROI -  For the purposes of proving the ROI, it is important for the co mpany to have a tangible business goal with which to begin with. This refers to the return that the company is looking forward to deliver. The company should also consider the objectives of doing this as well as the problem that it is trying to solve.  Home Depot determines its share of positive sentiment in the midst of all positive sentiment in its marketplace. On the other hand, if Home Depot operates in any controversial area, it should gauge its relative share of the negative sentiment.  Ã‚  Ã‚  Ã‚  Ã‚   Defining the audience – This refers to the market the company’s campaign is trying to reach. It is important for the company’s social media campaign to go out and attempt to reach fifty million people; however, that is not very important if the fifty million people are not really its target market. The company can reach the world with its social media presence; however, if the closest company store is a

Sunday, November 17, 2019

Communication and Learners Essay Example for Free

Communication and Learners Essay Much of my research was carried out online and I have included my written research notes and sources. Teacher net (2010) says â€Å"Adopting an approach to your teaching which draws on research and evidence should help you in reviewing and developing your practice†. With this in mind I considered Maslows Hierarchy of Needs motivational model which we often refer to in teaching, although the original model was designed as a business motivational tool. Maslow claims that needs 1-4 are deficiency motivators and are generally satisfied in order when the previous need is fully or partially satisfied (Businessballs, 2010). If the lower level needs of the model are met then I can begin to help the learner gain the top level and realise their own potential however, in order to help others reach this level I must first achieve this myself, by researching I am furthering my own knowledge and developing myself on an ongoing basis. 1a Negotiating With Learners – 753 words Gravells and Simpson state that â€Å"Initial assessment of you learner’s skills, knowledge and preferred learning styles should take place before you begin teaching the programme content.† (Gravells Simpson, 2010, P17). Here they are saying ‘before the program content’, so an initial assessment is valid even if it is at the beginning of the session itself. I do however slightly disagree with the necessity to always know the learners preferred learning style from the outset. If we accept that learners are different then we must accept that we will be teaching learners during each session with differing learning styles, and must therefore accommodate those differing styles. I usually do not get chance to assess my learners for learning styles before a session so I must compensate using a progressive style of assessment, this enables me to adjust my teaching methods and styles to suit and include my learners. It is therefore not so important to know what the learning style of an individual from the initial assessment but, it can assessed as the teaching progresses. Learners enter the learning environment with varying needs and expectations; it is my responsibility as the teacher/tutor, through processes such as initial assessment, to ensure that the learner is on the correct path/course or at the right level. Failing this then I should be able to help the learner choose a more appropriate path. According to Walklin â€Å"It is important to assess all people seeking access to education and training opportunities, the purpose being to help them to plan their future education and training programme. Initial assessment helps the provider and the learner sort out what it is they wish to achieve†, (Walklin, 1993, p.290). The initial assessment is a way of evaluating what the learner will need to achieve the goals set and indeed a way of setting future goals with the learner. I have recently experienced this myself when an experienced teacher found that I was in fact following an unsuitable path, he was then able to change the course I had appl ied for, to a more suitable and achievable course. Having an understanding of a learners previous experience is also beneficial to the teacher, I myself train professional drivers who often have many years experience within the industry. Using a short pre-session initial assessment which consists of an informal one to one chat and note taking, and group introductory sessions allows me to make a connection with these more experienced learners, who often feel disgruntled by the process of having to train within an industry they feel they already know. It is important then to be aware that experience will affect learning and that it may have a positive or negative influence. After an initial assessment I can ascertain what the learners knowledge and skills will be to date and a learning action plan can be completed, this plan is specific to each individual leaner to ensure their needs as a learner are met. A tutor should spend time with each individual learner and agree learning goals and further actions. Further actions may include additional help that may be needed, for a student with learning disabilities for example. Once the learners needs have been identified and agreed the trainer would focus on the teacher/training cycle, Kolb (1984) which is made up of the following 5 points, keeping in mind that this is an ongoing cycle. * Identify needs and planning * Designing * Facilitating/deliver * Assessing * Evaluating Further actions that should be agreed prior to the course commencing is the establishment of ground rules. Ground rules are commonly referred to as, â€Å"the minimum necessary conditions for getting learning work done in the class.† (Atherton, J S 2009). I agree with Atherton here and would add that, establishing ground rules in a learning group can also be negotiated between the learners and the teacher. WestOne (2010) discusses various strategies for negotiating with learners, it suggests that It can often be effective to give learners some responsibility for rules, such as what time breaks and dinner is taken, these small items of negotiation will give learners a sense of control within the environment and encourage them to take part in the learning process as they will begin to have shared ownership of it. I would say though that to give too much away to learners may lead to a loss of control for the teacher, one must always consider the fine balance here. I looked at a company called Novadata, they provide training similar to mine but also have a larger portfolio of courses. Their main initial assessment is carried out over the telephone or via an online internet form. While I will consider the option of the online form in the future I do think it may be a little impersonal and I would have doubts about getting the right quality of information, telephone based initial assessment is however a possibility that would allow me to connect with learners better. 1b Inclusive Learning – 748 words Gravels Simpson discuss inclusive learning and suggest that â€Å"inclusive learning is about recognising that each of your learners is different from other learners in many ways†, and â€Å"you should plan your teaching and learning sessions to enable all of your learners to take part†. (Gravells Simpson, 2010, P25). There are various methods to ensure this, we can for instance use different teaching methods to appeal to the different learning styles, for instance VAK or VARK(Visual, aural, reader and kinaesthetic), kinaesthetic learners prefer to touch whilst visual learners will prefer to see demonstrations and, aural learners will be more attuned to a discussion while readers prefer the written word. In all of these cases it should be noted that any given learner may have a preference for learning but will to differing degrees have traits of all styles. I use this as the basis for any planning but keep myself aware that it is just that, a basis or starting point f or a flexible plan. It is once we begin to understand that learners are individuals with varying needs that we realise that relying on the VAK descriptions alone is inadequate in order to be inclusive. Inclusion UWE states â€Å"The aim is not for students to simply take part in further education but to be actively included and fully engaged in their learning† (2008). It may be that a particular learner is a kinaesthetic learner but for one reason or another cannot take part in an exercise. In order to agree with the UWE statement I had to recently change the way I carried out a practical exercise as one of my learners could not look at a small computer screen for very long, by pairing him with another learner and allowing them to use a projector connected to the computer they were able to complete the exercise together thus ensuring inclusivity. But inclusivity goes further than just planning sessions and resources. Huddleston and Unwin discuss how teachers must no longer be concerned with their own subject and transmitting knowledge but, â€Å"as managers of learning, teachers will need to seek the help and support of other professionals in their college, including non-teaching staff.† (Huddleston and Unwin,1997, P117). While I do agree in principle with what they are saying, for example, a student with problems of childcare can easily be helped by being pointed toward crà ¨che facilities within the learning establishment, I would also have to point out that it is important to facilitate a solution rather than be the solution. I think a teacher must maintain a certain distance from the student, so it is better to offer information on transport subsidies than to offer a lift. Another example of how we can be flexible to promote inclusion recently happened to me, When I arrived at a site to carry out training many of the delegates found that in order to start for their working shift the following day, they would have to finish 45 minutes early, as the requirements for the training to be completed meant they had to carry out a full 7 hours of training I could not legally cut the course short. We then came to an arrangement whereby tea breaks would be taken as we carried out practical exercises thus allowing for the full session to take place. By making this small adjustment I was able to cater to the individual needs of a few of the learners which again placed them in a position where they did not have to worry about working the following day and, could continue the learning process. Preparing to Teach Inclusively states â€Å"There are many issues to consider when identifying a students needs, but it is important to remember that they may fluctuate from day to day. As the course progresses, try to review with students whether you are meeting their needs.† (2006). Students needs do change constantly, it may be that a bus service is delayed and a number of students will be late by 10 minutes or another may have employment difficulties, while it is not the job of the teacher to fix these problems, it is the responsibility of the teacher to make provision for them and to suggest agencies or information that can help. A solution can be as simple as asking another learner to take extra copies of handouts and pass them on, whatever the action, the aim is always to enable the student to return to a successful learning environment. 1c – Integrating Functional Skills – 557 words QCDA says that â€Å"Functional skills are practical skills in English, information and communication technology (ICT) and mathematics. They allow individuals to work confidently, effectively and independently in life† (2010). Functional Skills are often given different names such as â€Å"Key Skills† or â€Å"Minimum Core†, but they all amount to the same thing, the basic integration of Maths, English and Information Communication Technology. Petty states â€Å"The alternative to integrating key skills is to teach them separately. The problem with this approach is that students tend to see them as an irksome irrelevance to their main course of study†.(G Petty, 2009, P538) Whilst I agree with his point and I agree with the methods and reasons for teaching Functional Skills in this way, I also believe that this statement pays little attention to those of us who would thrive in a situation where those key skills are taught separately, people such as myself, I trained as a chef when I was young, attached to this course I did a CG in communicating and in computer programming. I enjoyed having a separate learning session for this and was able to gain another certificate to be proud of; in conclusion I would say that this is again an area where we can see how people differ in so many ways. Gravells and Simpson state that â€Å"As a teacher, you should be able to demonstrate your own competence in the areas of literacy, language, numeracy and ICT.† (Gravells Simpson, 2010, P59). As a teacher I believe it is important to have a good understanding of Functional skills, spelling and maths mistakes within a handout or presentation will be transferred to learners, why should they not believe you if you are the teacher. To this end it is important as a teacher to continually give consideration to improving my own Functional skill on an ongoing basis. The embedding of these skills within a teaching session is not difficult but should be given careful consideration at all times, for instance, I recently had a learner who was dyslexic, I try where possible to provide printed material on different coloured papers as this can often help people with this condition. It turned out that this was the first time this particular learner had come across this aid to reading, so instead of just ignoring the reading exercise he became interested enough to ask about further help. I was able to give him a contact at Learndirect. This particular learner now has the confidence to learn to read and write at higher standards than he thought possible. It is this gaining of confidence and belief in oneself that will cause the attitude change that is conducive to learning. In order to integrate Functional Skills into any given session you could consider exercises such as multiple choice quizzes for reading, discussion sessions for language skills. By adding in maths questions to a PowerPoint presentation you can elicit answers from learners, by watching the reaction of other learners it is often possible to see if anyone is struggling with these concepts thus allowing you to go over the question in more detail until you are sure the learner has grasped it. ICT can be integrated in just as many ways, for instance asking learners to find and print a particular style of picture for the next session. 1d – Communication – 677 words Just out of interest I typed into a leading search engine â€Å"verbal non-verbal communication†, within the first five listings I found the following (MinorityCareerNet, 2010): â€Å"Nonverbal Communication According to A. Barbour, author of Louder Than Words: Nonverbal Communication, the total impact of a message breaks down like this: 7 percent verbal (words)   38 percent vocal (volume, pitch, rhythm, etc) 55 percent body movements (mostly facial expressions)† This is a misquote that can be found time after time in books, on websites, and more worryingly within training courses. In fact, this statement is based on the work of Professor Albert Mehrabian in the mid to late 1900’s. The research actually concentrated on the communication of feelings and attitudes, it has since been misquoted to define all types of communication. It is somewhat ironic that his message has been so misused and misunderstood. I raise the point of this because I am guilty of using it in the incorrect context, assuming that because those that have taught me use it, then it must be so. It really does not matter how I contort my face wave my arms in front of learners, unless I explain verbally or with written instructions very few of them will understand what I am trying to communicate. Different people respond to different forms of communication, when we teach we give consideration to the varying types of learners, Visual, Aural, Readers, Kinaesthetic (VARK), we try to design our lessons to include all of the styles. I asked myself the question, â€Å"Why do people learn in these different ways?† My research results led me to investigate a condition known as synaesthesia, in which one sensory input produces unexpected results for example, a synaesthete may see the colour red when they see the number 2 and blue if they see number 3, in some cases sound caused a visual effect for the synaesthete. It occurred to me that this may go some way to explain why one person responds better when information is given in a verbal format, another responds better if it is visual and so on. The connections between these different sensory areas of the brain mean that we all have our own unique way of perceiving what is being taught or communicated (please refer to my micro teach for more information). For me the advantage of this seemingly odd line of research had the effect of allowing me to empathise with learners of different styles and gave me meaningful reason to consider how I communicate to learners with differing learning styles. â€Å"Communication is the art of successfully sharing meaningful information with people by means of an interchange of experience. The important word is ‘successfully’, which implied that a desired behaviour change results when the receiver takes the message† (Walklin, 1993, p.164). I think what Walklin is trying to tell us is that it is not enough to communicate the instructions, it is also important to deliver praise or constructive criticism in order to encourage and guide the learner into new discovery, if you ask the learner to complete a task a feeling of accomplishment will encourage behaviour conducive to further learning. This is important to me when teaching as my own learners can often be hostile to the learning process, feeling it has been imposed upon them. It is also important to listen to the students, if you set tasks that are above the student’s current abilities then you are likely to create a barrier to communication whereby the student will close in on themselves not wishing to admit they cannot continue and the learning process will cease. Achieving two way communications with our students is not straightforward. Barriers can often present themselves. It is crucial that a teacher can identify barriers and help students overcome them. Petty (2009) suggests that inappropriate level of work, jargon, vocabulary and other use of language, environmental factors, fear of failure and an inapproachable teacher can be barriers to students learning experience. Whilst I agree in principle to this, I also believe that introducing new vocabulary and language usage is essential to the student’s further development. ATHERTON J S (2010) Learning and Teaching; Ground rules for the class (Online) Available: http://www.learningandteaching.info/teaching/ground_rules.htm (Accessed: 03 January 2011) Anne Gravells and Susan Simpson (2010) Planning and Enabling Learning (2nd Edition), Learning Matters Businessballs (2011) Maslow’s Hierarchy of Needs, (Online), Available: http://www.businessballs.com/maslow.htm , (Accessed: 15 February 2011) Inclusion Further Education (2008)(Online) Available: http://inclusion.uwe.ac.uk/csie/tmlnsn.htm (Accessed: 10 January 2011). Minority Career Network Inc. (2011) Non Verbal Communication, (Online), Available: http://www.minoritycareernet.com/newsltrs/95q3nonver.html , (Accessed: 15 February 2011) Open University (2006) Preparing to Teach Inclusively (Online), Available: http://www.open.ac.uk/inclusiveteaching/pages/inclusive-teaching/preparing-to-teach-inclusively.php (Accessed: 20th January 2011) Prue Huddleston and Lorna Unwin (1997) Teaching and Learning in Further Education (2nd Edition), Routledge Farmer. Petty G (2009) Teaching Today (4th Edition), Nelson Thornes. QCDA (2010) Introduction to Functional Skills (Online), Available: http://www.qcda.gov.uk/qualifications/30.aspx, (Accessed: 11 January 2011). Teachernet (2010) (online), Available:http://www.teachernet.gov.uk/research/Learning_about_research/ (Accessed December 15 2010), (Note-now removed) Walklin, A. (1993) Teaching and Learning in Further and Adult Education. Cheltenham: Stanley Thornes (publishers) Ltd. West One (2010) How to negotiate learning (Online) Available: http://www.westone.wa.gov.au/toolbox8/taa/elearn/toolbox/resources/e_space/e_sources/quickguides/interaction/negotiating/howto.htm (Accessed 03 January 2010)

Friday, November 15, 2019

A Comparison Of Concrete Steel And Timber Construction Essay

A Comparison Of Concrete Steel And Timber Construction Essay Composite construction is a method whereby a concrete floor slab is utilised as part of the beam system. The slab acts as a concrete flange to the beam. As the beam and slab are of different materials, the size of the concrete flange is scaled down using a modular ratio where the youngs modulus of steel is divided by the youngs modulus of concrete. When these two elements bend, the top of each element is in compression and the bottom in tension. Because the bottom of the concrete is in tension of the top of steel is in compression this causes shear along the interface of the two materials. To overcome this a steel stud is welded through the metal deck. The stud is designed to take the shear force. The composite system consists of a concrete slab cast on profiled steel decking acting compositely with glue-laminated timber beams. Composite action is achieved with coach screw shear connectors between the beams and slab. The connectors have been tested in push out shear tests and a three-point bend test of a full-scale floor slab has been completed. The composite system is more than three times as stiff and almost twice as strong as the same beam/slab configuration without composite action. Richard Persaud, Dr Digby Symons The Structural Engineer 21 February 2006 Euro codes are a full set of structural design codes for building and civil engineering that used across Europe to open up trade boundaries allowing designers, and manufacturers to supply designs and products to other countries across the continent. Conceived over 30 years ago, the Eurocodes are now landing on the desks of engineers, and are expected to be fully adopted in 2010. For this reason, the Eurocodes were used for the design comparisons. In 2004, The Steel Construction Institute published a study comparing the costs and construction programme of various methods of steelwork and concrete framing solutions that reflect modern construction techniques to determine which is the most cost effective. The study looked at two types of buildings, costing and programming each of them. The study also looked at other aspects of the building, which can be affected by the choice of framing solution such as foundations, external elevation treatments and mechanical/electrical services. The study was motivated by the Egan report, which looked at the construction industry and how to lower costs. The report encourages offsite construction to improve speed and quality on site. People are starting to use tree planting as a way of offsetting carbon emissions. This is because of trees absorbing carbon dioxide from the atmosphere. One of the problems is that once a tree reaches maturity it stops absorbing CO2, then the next problem is when it dies and decays it starts to release CO2 back into the atmosphere. One solution round this is to store the carbon in materials, by using the timber as a construction material. The way in which timber is used us also key in reducing CO2 emissions. Timber should be dried before it can be used as a material, and it must be. One method is by kiln drying. Kiln drying is an artificial method of drying the timber by heating it up and in turn using fossil fuels, emitting CO2. This defeats the point of the object. The sustainable alternative is to allow the timber to dry naturally under cover. The ideal situation would be for people to use natural unaltered timber and design buildings within its limitations. However, due to human nature and the endeavour to improve, we are going to build higher and wider buildings that are filled with more objects and fewer supports. For this reason, we must come up with more innovative and sustainable solutions to overcome these challenges. We must harness timbers ability to lock CO2 into its structure and adopt methods to manipulate its properties. One of these engineered lumbers is Glue Laminated Timber, commonly abbreviated to Glulam in the industry. Timber in the UK as a building material is widely used, but not so much as for major building components such as beams and columns. In our history, we used to use great oak timbers for roofs and beams, but due to time it takes to grow these massive timbers, it was not long until demand outstripped supply. Moving into the 21st Century with the use of high strength glues, we are able to utilise fast growing tree species and mechanically bonded the timbers to form sizes and strengths that rival the oak timbers. These mechanically glued timbers are referred to as Glued Laminated Timber, which has been abbreviated to Glulam. In sustainability, the social impact on an area cannot be discussed without also discussing the environment and economics. The introduction of an industry can create an economic wealth for the local population that can lift certain areas out of poverty. This can be balanced against the environmental impact on the are by such industries. Industries can create noise and vibration, dust, local climate, ecology, soils, heritage, and archaeology as a by-product of the manufacturing process. Initially I thought that the timber would have a great depth of construction as compared to steel. The depth of steel beams were indeed shallower than the timber beams but because the steel beams require a concrete slab needs to span from beam to beam, the overall construction depth of the steel beam plus the slab is only marginally shallower than the overall timber floor construction. The shallowest overall floor construction is of the concrete flat slab because you do not require a beam as such; the slabs span directly to the columns.

Tuesday, November 12, 2019

Jade Peony

Belonging When someone is said to be Canadian, it does not just mean being one who lives on this land, or has lived on this land long enough to obtain this citizenship, it means living the Canadian life, it means waking up in the morning wearing a ton of layers and going outside in the freezing cold to do whatever a person needs to do during the day, to be Canadian it also means to belong. Canada is known for the diversity of culture, religion, color, and beliefs, as well as our ability to be able to create a status acceptable to everyone, making Canada, despite our individual diversity and differences, to be united as one. However, what we don’t realize is that Canada has not always been this way; this is the perspective that Wayson Choy expresses through his novel â€Å"The Jade Peony†. His text and word play emphasizes on a world so unknown, yet so important to not only our history, but to our understanding of what our ancestors of our various ethnic origins fought through every day of their lives to create the world in which every day we take for granted. Where he lays his emphasis on our history is not from the point of view of the adult, but through the eyes of the children who, today, are our fathers and grandfathers. Divided into three major chapters, Wayson Choy begins the narration of his history through the eyes of Jook-Laing, a five year old beautiful girl of Chinese origin born in Canada after her family immigrated to Canada. Isolation is slowly starting to become a major theme in the novel, not only created by the Canadian Government, but by her very own family. The Canadian Government in the 1940's, the time period the novel takes place, created harsh laws against immigrants, making it near impossible to live happily: one was never to leave the household, as immigrants must live within the same household even when one becomes married, as well as harsh laws on illness, where, if one were to become sick with any illness- even as innocent as a cold- if the government found out, â€Å"The Vancouver Health Inspection Board†¦ posted on our front door, a sign boldly visible from the street: condemned† (p. 32). However, Jook-Laing's family's old heritage and Chinese beliefs create the deepest isolation as they shun the idea of traditional Canadian society, where Poh-Poh, elder and Jook-Laing's Grandmother, describes this life as â€Å"poison to young China girl-child† (p. 17). Jook-Laing's young and highly dream-filled spirit inspires her to dream of the perfect world- a perfect world she never gives up on as play and her â€Å"movie-star daydreams† (p. 37) have caused her heart to grow and know that, deep, inside, Canada is a better place than China, no matter what Poh-Poh says to her about her heritage. However, despite her strong instinct, conflict arises as person versus person/society is introduced when her powerful instinct and her Grandmother's words â€Å"You not Canada. You never Canada. You China. Always war in China† (p. 37) make her isolated from becoming her own person and trapping her in a world she knows is not true to her heart. As a major authority figure of the household, Poh-Poh is never corrected or disagreed with, causing Jook-Laing to feel alone in her internal battle between what she is told and her faith in Canada. Further, Jook-Laing, along with her other two step-brothers, are strongly looked down upon by their strict, old heritage grandmother, who constantly reminds them of her feelings towards them: â€Å"This useless only-granddaughter wants to be Shirlee Tem-po-lah; the useless Second Grandson wants to be cow-boy-lah. The First Grandson wants to be Charlie Chan. All stupid foolish! † (p. 40). With Poh-Poh's interrogance towards her grandchildren's play, it creates further isolation from the norm of society and themselves, along with isolation from their desire to be a child. Despite her Grandmother beginning to shape the role of the antagonist of the story, Jook-Laing makes a deep connection with an old family friend, Mau-lauh Bak, who not only understands the importance of play, but embraces and cherishes Jook-Laing for her ability to be free in a world so sour towards them. that connects Jook-Laing to the theme of belonging. The second part of the story speaks about Jung-Sum, the kid who was adopted due to the fact that his parents have died from a young age â€Å"I TAKE CARE OF MY SELF’ (p. 2). Jung also starts off in the novel isolation for as he doesn’t want his new family to take care of him. But Jung started to box and that is where he found a sense of belonging. Sek- Lung also fell into the same isolation theme from Canada and as well from his family, he was in belief that Poh-Poh was still coming to visit after she had died, and the whole family did not believe the fact, that’s when Sekky fell into the same pattern of isola tion. But it was Sekky that had the most sense of belonging to Canada towards the end of the book, because Canada is a multicultural community there is all kinds of races that live in this great country, and Sekky was a big hater of the Japanese â€Å"I have to remember they are the enemy† (p. 189) but when he meets Meiying, and she introduces him to Kaz her Japanese boyfriend, he gets to like him. This shows that the world revolves around hate but once you get to know people, a person’s perspective might change. Sekky finally found his belonging in Canada.

Sunday, November 10, 2019

Embryonic Stem Cells for Research- Right or Wrong

Embryonic Stem Cells for Research- Right or Wrong There have been a lot of controversies regarding the latest stem cell research in recent days. People have been publishing a lot about this issue and it is all over the media lately. It has aggregated some religious groups in the world and they have been very stern towards the issue.Here is my point of view regarding this issue: Unlike other cells in our body, each of which is specialized to perform a particular function, Stem cells are characterized by the ability to renew themselves by the mitosis division and differentiate in to a diverse range of specialized cells types thereby offering medical treatment to wide range of debilitating diseases. This new area of biotechnology seems to be a major breakthrough with the same potential to change the health care as the discovery of antibiotics more than 70 years ago which gave hope to millions.But unfortunately this radical area of biology has fraught with ethical issues and controversie s which had made the process of development slow. There are two sources for obtaining stem cells, one from the layer of cells of embryo in the blast cyst stage, these are called the embryonic stem cells and the other from the adult tissues called the adult stem cells. When the stem cells are retracted from the embryo, the embryo is completely destroyed. This is where the controversies begin. According to the critics, extracting stem cells from the embryo is like killing, it is a murder. In fact some religions in the world strictly prohibit it.But I think its advantages outweigh its disadvantages. It is for the betterment of the humans and very beneficial for the society. As I feel that these stem cells have been used to save human lives and has enormous benefits. This stem cell therapy is used for the treatment of various dreadful diseases like Parkinson disease, diabetes, Alzheimer etc which does not have any cure even in the recent days. This stem cell therapy is considered to be better than organ transplant which gives rise to various infections. Moreover it also give rise to other issues like availability of the donors, tissue rejection etc.Immunosuppressant drugs are given to the patients in to have under gone transplant making them more vulnerable to other infectious diseases. Hence embryonic stem cells have significant medical potential and can lead to numerous social advantages. Other alternatives to embryonic stem cells are adult stem cells which are found in the normal differentiated tissues in the human body and therefore are very hard to extract. Also they are less effective as compared to the embryonic stem cells Embryo is the stage in very first few weeks of the pregnancy.That is the time when even heart of the baby hasn’t been transformed. Many people feel that embryos are not equivalent to human life as they can’t still swim out of the womb, so using them can’t be called killing. So I feel that killing something that is bar ely alive in order to save numerous human lives is justifiable. Therefore according to me, embryonic stem cells should be allowed for research purposes as they possess many advantages and can lead to major breakthroughs in the future. Who knows the word organ- transplant would just be history. by Makkiya Amanullah, Riyadh Saudi Arabia

Friday, November 8, 2019

Saying There Were in Spanish

Saying There Were in Spanish How do you say there were? Should you use habà ­a?  You may have  seen people on the Internet use habà ­an. Correct Uses of Habia and Habian Undoubtedly thats true. But youve also heard people in English use the word aint and use grammatically questionable sentences such as everybody should do their best and it dont matter. Yet youre unlikely to see textbooks use them as examples. In teaching grammar, most textbooks and this site place their emphasis on what is considered standard speech used by educated speakers. In practice, they tend to be even more conservative than that, using as examples what educated speakers use in formal writing. As a general rule in both Spanish and English, probably all languages, formal writing is more grammatically precise than spontaneous speech. To use the example you gave, almost all textbooks will tell you that the singular form of haber is used for both singular and plural contexts when haber is used existentially, that is, with meanings such as there are, there will be or there were. Thus the same word, hay, is used to mean there is and there are in sentences such as hay una silla (there is one chair) and hay tres sillas (there are three chairs). The rule is invariably followed in the present indicative; thus hay means either there is or there are. However, in practice the rule isnt always followed in the other tenses, especially in speech and casual writing, although usage varies by region. Thus it isnt unusual to hear or read sentence constructions such as habà ­an tres aviones (there were three airplanes) or habrn dos elecciones (there will be two elections), to use examples from recent Latin American news articles. As a foreigner, youre best off knowing and using the standard grammar until youre in an area long enough to pick up the local language peculiarities. Although habà ­an is far from a major grammatical offense, to use a nonstandard usage in an area where it isnt the norm could make you sound miseducated or excessively informal.

Wednesday, November 6, 2019

Cjs 230 Week 5 Assignment Essays

Cjs 230 Week 5 Assignment Essays Cjs 230 Week 5 Assignment Essay Cjs 230 Week 5 Assignment Essay Prison Systems CJS/230 March 28, 2010 Axia College of the University of Phoenix In the United States of America, there are several different types of incarceration facilities that criminal offenders, both convicted and accused my end up. The two most distinguishable different facilities post-conviction are the state prison systems and the federal bureau of prisons. These units house a wide array of criminals, from the lowest of low scum to the high profile â€Å"Hannibal Lector† types. The range of crimes is equally different, from sexual offences and aggravated murder charges all of the way down to so called white collar crimes and too many DWI’s. In short, the intricate designs and diversity contribute to an experience all to its own. First of all, we are going to discuss state prisons. They are exactly what they sound like – a prison that is run by the state that the jurisdiction falls under. It is said that the bulk of the one million-plus felons that reside in the United States are housed in state ran correctional institutions (Foster, 2006). According to Newsweek columnist Dahlia Lithwick, â€Å"The United States, with 5 percent of the worlds population, houses nearly 25 percent of the worlds prisoners† (Lathwick 2009). Although the basic standards have been set and put forth by the American Correctional Association or ACA for short, the states have different laws and regulations that may vary from state to state. For examples, some states allow capital punishment, while others do not. The prisons within the states also depend on the specific needs of the offender, as well as custody levels, which we will get into further later on in the writing. The general purpose of a prison is to confine felons to a term that was set during their trial as a punishment for the type of conviction that they have received for a committed crime. Their length of stay may depend on several things, including parole, behavior, crime-type and state laws that vary. The history begins with people trying to find a more humane punishment for criminals several hundred years ago, and is still developing to this very day. They began as an isolated punishment from criminals and then developed into places with better lighting and ability for guarded supervision. Over the years, they went from labor intensive models, to working models, doing community services among other things. They also had developed types of penal institutions that facilitated factory labor, such as license plates, and agriculture unites that grow things. Some of these practices are still used today. For example, they make road signs and have food farms in Texas for both agriculture produce and livestock alike. Panopticon was a prison with light from the top due to the glass roof. This was proposed by a man named Jeremy Bentham. The Pennsylvania and Auburn model penitentiaries became the easiest and most popular types due to the economical and financial ease. Industrial prisons were perfected in the late 1800’s and early 1900’s, and then stepped down in popularity to the agriculture prison, or prison farm. Also, work camps did public works projects. Today’s prisons typically have five different custody levels (or a combination of). You have maximum security units, which are heavily secured and more isolated with far less offender movement then the lower custody upgrades. This is sometimes referred to as closed custody, or administrative segregation. You also have close-high-security prisons. This is close to the high risk, but gives a little bit more freedom within the unit’s confines. Medium-risk offenders typically see newer units with double fences and a higher guard-to-inmate ration. According to Foster (2006), about thirty-five percent of offenders fall into this category. From there, you have the minimum security prisons. Smaller prisons with fewer internal controls and a larger ration to guards and inmates dictate these facilities. Finally, you have what is commonly known as trustees, or open-security facilities. They hardly resemble prisons, and typically don’t even have locked doors or fences to confine the inmates. Other prison types include the infamous super-max unit that holds the most evil and deadly of inmates to the highest custody level possible and special housing units with security conditions similar to super-max farms, but house disciplinary offenders for shorter periods rather then long-term. There are many differences in the state prison systems out there. For example, custody levels, as previously mentioned, are typically governed by the crime that the criminal has committed and the security threat that they are classified as having. They also have to keep in mind that there are rules that must be followed, and as such, the frequency and severity of the infractions, usually called â€Å"good time†, can lower or raise the level of custody. You also have to take into consideration the types of units out there and their purpose in order to adequately describe the variances. Some are meant to educate and rehabilitate, as well as others are designed to progressively prepare offenders for re-entry into society. You also have units that are designed to produce and do work, or create food for the prison system, and others that are designed solely to segregate the problem-offenders from the rest of the general population. There are several differences, but in contrast, they all have several things in common. For starters, they are housing felons. Security and punishment is a common denominator. Federal prisons were established by Congress in 1930. Some things in consideration are unit management, mandatory literacy, gender-neutral employment, family culture and legal standards. The criminal types are those that have been convicted in Federal court for a multiplicity of crimes, ranging from white collar to extremely violent. They have minimum, low, medium, high and administrative maximum security levels. The conditions are typically better then state prison, and have a greater budget to work with. Being in prison is not meant to be fun. Criminals reside in state and federal prisons because they did something that is illegal. As such, they are punished, and the type of crime usually dictates the level of custody. Some units can help you become more educated, while others will lock you in a cell and allow you do â€Å"hard time†. One thing is for sure; prison is constantly developing, and will be every changing forever. References Foster, B. (2006). Corrections: The Fundamentals. Prentice-Hall, 123(5). Retrieved on March 28, 2010 using the University of Phoenix database. Lithwick, D. (5 June, 2009). Pour Real Prison Problem. Newsweek, June 2009 Issue, pg 1(4).

Sunday, November 3, 2019

Marketing strategy of Fiat Grande Punto Abarth Essay

Marketing strategy of Fiat Grande Punto Abarth - Essay Example Adding the Abarth treatment will especially appeal to the youth segment of Fiat's market. The formation of a racing and rally team comes off as an attractive progression to the market when the Grand Punto Abarth S2000 won the Italian and European Rally Championships in 2006. Marketing schemes include promotional clothing and merchandise. As announced, the new Abarth division within Fiat comes off strong in experienced manpower support, "with a total of 113 experts, including 26 engineers, 43 on the manufacturing side of the business and nine dedicated purely to motorsport." The use of the scorpion emblem on the new Grande Punto shown in the recent Geneva Motor Show also is a particularly strong and visceral image that communicates well that Fiat's small car has power and "sting". Further, the marketing of the new Grande Punto Abarthe uses in full force the Abarthe legacy within Fiat that has been long relegated to the company's in-house tuning division. Absorbed by Fiat in 1971, the Abarth company founded by Carlo Abarth produced sporty versions of Fiat models. The last stand-alone Abarth model produced by Fiat was 1984 Ritmo 130 TC Abarth according to the Carblogger website. The strategy of reviving the Abarth marque within Fiat seems to be half-measure towards a full return of the Abarth model in the automaker stable of brands. The strategy is still to infuse Fiat models with the Abarth interpretation of a motorsports power and allure as it has done in the past. However, the more visual return of the marque (i.e the use of the scorpion logo) has started with the successful Grande Punto model, and Fiat has announced that the next car models to get Abarth treatment will be the Bravo and the Fiat 500. While not in itself a brand, the new marketing moves seems to communicate that this is so.And if this is so in full practice, Fiat may have created an all-new and stand-alone and modern Abarth brand that incorporates its traditional hold on motorsport glory and Fiat's known hold on the market for its pricing affordability. Instead of a piecemeal approach to allow the public to sample the Abarth treatment in every Fiat model, the company could have tested the Fiat Grande Punto Abarth market response in so far as to create an all-new market for a stand-alone Abarth brand. Thus, the marketing strategy may communicate well with existing and loyal Fiat buyers, and create even bigger demand within the captured market of Fiat, especially the young and bolder segments. However, this may not happen as effectively or as successfully to the market not yet reached by Fiat or those who have never bought Fiat cars in the past. For one, the brand is still in fact tied to "interpreting" its mark on Fiat's existing and successful car models. While marketing promotions as a communication strategy will add a notch over-all

Friday, November 1, 2019

Incorporating Theory Term Paper Example | Topics and Well Written Essays - 500 words

Incorporating Theory - Term Paper Example Under the structure, the theory draws information from the factors that surround the environment in which care is delivered. For the process, the theory looks at the actions healthcare professionals undertake in order to deliver quality care. Finally, the outcomes section looks at the effects on delivery of health care. This theory is most relevant to this study, as it has been successfully used in past studies that were reviewing CLASBI prevention (Dougherty, 2012; Viswanatha, 2011). The theoretical framework developed by Danabedian will ensure all components under infection control are addressed towards preventing CLASBI. The theory has been widely used in assessing the three most important components under infection control. These include the environment in which care is delivered, the actions taken during delivery of care, and the outcomes. The proposed study investigates if the use of alcohol impregnated port protector caps to decreases the number of central line-associated bloodstream infections. This follows the various research findings showing that disinfection caps may be the way to go as far as CLASBI prevention and control is concerned (Wawrzyniak et al., 2014; Wright, et al., 2013). The theory, in this case, will carry out a systematic assessment of each component of this study, which involves the environment, practices involved, and results of care provided to confirm if the proposed solution works. Every component of the theory will be incorporated into the project. This will be achieved by considering the theory’s three major components. Under structure, the theoretical framework will be used to assess the effectiveness of alcohol impregnated port protector caps. For process, the framework will be used to monitor the nurses’ activities during the delivery of care as they utilize the alcohol impregnated port protector caps. Finally, the framework will be used to assess the outcomes of the whole project in

Wednesday, October 30, 2019

Undercover Boss Assignment Example | Topics and Well Written Essays - 750 words

Undercover Boss - Assignment Example The expected salary for the described job position is around $40,000 to start on average. In order to determine and collect the information about the job position’s responsibilities, duties, necessary skills, outcomes and work environment of the job of the Catering director a job analyses is prepared. A Catering director is responsible for all types of operations and duties of the catering faculty (Andrews, 1980). A Catering Director is supposed to look for the overall management of the catering segment in a restaurant. The expected salary for the described job position is around $28,000 to start. In particular a Catering Director has to, The information of the staff and employees collected for the job analysis for the job positions or vacancies required for the new hiring in our company is through the observation and interviews. These two methods are considered as the most authentic for the data collection. The other authentic, one-on-one method is to interview. It helps connect the observations with the talking of the employees. Set of questions should be specifically based on observations and they work best (OMeara, 2013). The job analysis plays an essential role in identifying the functions of the jobs in our company. It also helps assist and identify reasonable accommodations made by our company’s policies. The policies and laws of our company avoid misclassification of employees to prevent the legal fees, fines and payback. It follows the â€Å"Fair Labor Standards Act† and this way our employees remain aware of the job functions and duties the employees are doing. The employees are compensated on a salary basis rate, which is not lesser than $455 per week. Salary test is also conducted for this purpose (Sims & Veres, 1995). The job description is kept updated as a job analysis is

Monday, October 28, 2019

Revolution on British government and society Essay Example for Free

Revolution on British government and society Essay It is not so much the events of 1688 that constitute a revolution as the subsequent changes in the constitution that show a transformation in the nature and ideology of government. There was no internal uprising, no civil war and most importantly, the succession of William of Orange and his wife Mary to the English throne was authorised by a Convention, acting in lieu of parliament in the absence of King James II. Indeed it could be argued that this was not a revolution at all, if James departure is to be interpreted as his abdication. Contemporaries, keen to replace the unpopular, Catholic monarch with a man who was seen as a deliverer from popery and slavery, reasoned as such. In actual fact James never did renounce his claim to the throne. Fleeing London in the dead of night, he took with him The Great Seal, traditionally held by the monarch and dropped it in the Thames and he burnt the writs that were to call anew parliament. He would later attempt to recapture his crown, rallying support in Ireland to prepare for an invasion that was to fail. But whether or not this dynastic change, made by those who, in theory, did not have the authority to do so, is enough to deserve the title revolution, what cannot be denied is that this marks the end of the era of the absolute monarch. Williams Declaration of Rights, which was to become statute within a year, echoed Lockean ideas of sovereignty, supporting a parliament that was to keep check on the authority of the monarch and protecting Rights and Liberties of the people. No King or Queen thereafter would be able to rule as James or Charles had done before them. In the years following the revolution a system of government working through the authority of the executive Privy Council and the houses of Lords and commons, headed by the monarch soon evolved into a working body that formed the basis of what we still have for government today. By the 1720s the way Britain is ruled had been turned around, but the changes cannot be solely accredited to the events of 1688. When William invaded England he had European motives at heart. He was keen to avoid a union of France and England that would be a threat to the Protestants of the Northern and Germanic lands. He was aware of James unpopularity as a Catholic ruler of an overwhelmingly Protestant nation and he sought to take advantage of this to try and win allies. He expected to meet with resistance and had prepared and army of troops, but James was deserted by the little support he had to begin with in the face of danger, eventually even by his closest advisors and his own sister. William toured England for four weeks, propagandising himself as a saviour from James evil counsellors, who had challenged the laws, liberties, customs and religion and wanted to revive Catholicism. He arrived in London and in the absence of the monarch the city was occupied and ordered by his Dutch soldiers while a decision could be reached. It is important to remember that William never independently laid any claim to the throne; he had expected to meet resistance in England. He aimed to battle against what he saw as a catholic threat, which he was careful to stress as being on the part of James advisors and not the King himself, and although the impact that this revolution had was profound, it was not all part of a pre-ordained plan. What followed was an immediate crisis. The capital was under the order of foreign troops and the King had deserted. It forced the political nation to examine the constitution and find a solution. A Convention was called and a vote was taken to offer the throne to William and his wife Mary, daughter of the departed king on January 22nd 1689, only a month after James departure. It was a hasty political decision, pressure was felt by the presence of Dutch troops, but there was also a Protestant fear of James gathering support and returning, or claims being laid for his infant son, whom he had taken with him. There was resistance, the House of Lords initially voted against the idea, feeling they had sworn an oath of loyalty to James, that he was still their king, and that such radical action was not right. A monarch is not elective. The theory was that the monarch was granted his authority form God and man was not to meddle with His choice. There was no support for a republic, with the feeling that a firm figurehead was necessary to maintain order and a deep attachment felt for hierarchy and patriarchy. Yet to instate a new monarch seemed in itself to mock the whole principal of monarchy. Under pressure from the Commons and from William and Mary themselves and with no other solution, the Lords were finally swayed, their stance weakened by internal disunity and mistrust. Interpretation of the finer details of the theory of monarchy and nuances of vocabulary played and important role in this unique revolution, which, on the whole, was met with popular support. William and Mary had been put on the throne as an alternative to James II. Parliament had granted them this privilege and they were willing to allow parliament a more active role in government. The revolution had been almost ad hoc and there was sparse new ideology to implement, the Convention drawn up by parliament was effectively a reaction to the way in which both Charles II and James II had ruled and a call to protect the peoples ancient and indubitable rights. It was more of a written version of what was previously expected behaviour with little fundamental change to the relationship between legislative and executive powers specified. But William had to accept this as a code of practise from his parliament, recognising that even if the monarch had popularity and capability, he needed to work through the legislative powers. The monarch was required to call parliament to session, but this would be inevitable as William was only granted a years revenue. Parliament had the authority to oversee all public expenditure and so the monarch would always be dependant on them. Changes to the structure of government took effect gradually during the years following the revolution, but from the start the role of parliament was augmented, which initiated subsequent developments. They met for much longer sessions than before 1688, enabling a great deal more legislation to be passed, and allowing for Bills to be more thoroughly debated. Much of the legislation passed was still local or occasional in essence, such as permission to build a workhouse, but although this could be viewed as undermining the revolutionary nature of parliaments more prominent role, the fact that MPs were more available to take action on their electorates specific grievances, helped to ease the frictions between local and executive power as the nations political make-up was evolving. Although from a modern perspective these changes are viewed as progressing towards a more rational system of government, during the late seventeenth and early eighteenth centuries, people were often concerned about social stability which they believed was at risk with so much legal development. It was a commonly held view that life should be stable and predictable. People wanted to feel sure of their position, their income and their king and government. In an era where the poor always risked slipping into poverty after a bad harvest, increasing involvement in foreign warfare and frequent changes in the government, questions were raised about the permanence of law, and whether Common Laws of liberty and property, viewed by many as sacred, were at risk. But at court the belief that good government was upheld by frequent parliament, against the weakness of individual MPs or encroachment by the monarch led to the Triennial Act of 1694, limiting parliament to three years. Elections were held on average every two years and there were various amendments and contests in between. This Act was later replaced and the time extended to seven years, the advisors to the king often too easily influenced elections proved costly and short-lived parliaments. The Act shows parliament as uncertain of its own role, and is an example of a developing government that was evolving along its own path in the years following the revolution, more caused by what the revolutions changes allowed rather than what they intended. The development of the two key political parties, the Whigs and the Tories is another feature of this evolution of government. With three active parts to the government all being of equally weighted importance, and more frequent changes of personnel in parliament, there was more of a need than ever for politicians to associate themselves with a certain ideology and for Lords and MPs to support each other to push through Bills. William himself wanted to remain above the level of party, which he did, and indeed, there were members of parliament, more so in the House of Lords who chose to be independent and cast their vote on issues individually. But the solidarity of party was the most effective way of getting laws passed and King George himself, not many years later, was aligned with the Whigs, who although in the days of the revolution had been in favour of political progression, now came of as the monarchical party and there were suspicions of Jacobinism in the Tories. Religion was still a very important factor in politics, despite the Act of Toleration in 1689, which allowed non-Anglican Protestants to swear allegiance to the throne. There was still a widely held belief that religious homogony was key to social stability, but it had been the clergy that had shown the most resistance to William taking the crown, and with no clear heir in line for the throne the problem of succession and the possibility of a Jacobite up-rising prompted him, a Calvinist himself, to attempt to include Protestant minorities, especially those in Scotland and Ireland. Although the law did not make any exception for Catholics or Quakers, it did encourage a sense of tolerance that was benefited by both groups. The Quakers would be later allowed the right to practise in legalised meetinghouses, but Catholics still posed a threat, especially in Ireland, where the population was largely Catholic. After the Revolution, James had attempted to reclaim his throne, starting in Ireland, arranging support from France for the Catholic cause. But James lacked the leadership and resolve that he met in William when they met at battle in Derry and Enniskillen and he again escaped to France. The so-called bloodless revolution may have been so in England, but in both Ireland and Scotland the transition was not so smooth. Civil war in Ireland exhausted James supporters into defeat and in Scotland a series of highland wars lasted around five months in 1691, which initially started as a Jacobite up rising. William found Scotland impossible to manage. Although not dominated by Catholics, it was not predominantly Anglican either and James had more support here because of his familys close ties with Scotland. In the years following the Revolution, Scotland was only reluctantly part of Britain. She had her own laws and traditions, presided over by a Scottish parliament in Edinburgh, which declared even further independence with the abolition of the Lord of Articles, further undermining control from Westminster and making Scotland appear more of a threat. William would not be able to exert his Royal will through Edinburgh. But following a bad harvest in 1695, with many dying of hunger or fleeing to Ulster, Scotland realised the benefits of a closer union with England to involve herself in Englands efficient internal trade and lucrative colonial empire. The Act of union came into effect in 1707, dissolving the parliament in Edinburgh and instating peers and MPs from Scotland at Westminster. In England, the union provoked little reaction, but in Scotland it was bitterly opposed by many. Problems within Scotland were often a result of internal social divisions, most markedly between the highland clans and their more anglicised lowland neighbours, who had seen the union as a way to improve Scotlands economy. The death of Queen Anne in 1714 proved a difficult start for the union. The question was raised of the possible succession of her Catholic half brother, but with the Act of Settlement from 1701 forbidding any non-Protestant to sit on the throne, the Crown was inherited by George I. He faced a Jacobite uprising within the year, but his reign is largely characterised as a time of peace and relative stability after the turbulent post-revolutionary years. The Glorious Revolution had seemed on the surface to be swift, decisive and painless, yet the principals of change that as Burke claimed justified it as a revolution took years to really take shape. By the time of King George the role of monarch had been dramatically reviewed, no longer seen as a ruler from God, but as a figure head for a nation governed by a system of parliament, which relied on the mutual dependency of the two houses and the executive to abide by a sense of appropriate behaviour. Queen Anne was the last to use the Royal veto, something much exploited by the monarchs before 1688, the workings of parliament and the Privy Council had become more regular and thorough and a system of party politics had developed. The characters of William, Anne and George, who all failed to immerse themselves in domestic affaires and the extraordinary calibre of ministers at work during this time, perhaps eased the transition but it still remains that, while the revolution of 1688 had a profound and lasting impact on British society and government, the relationship worked both ways. The practical workings of British society and government were what moulded the developments after the revolution, developments that justified the glorious revolution to be called as such.