Monday, September 30, 2019

Biblical and secular perspectives on the causes of dysfunctional turnover

Biblical and secular perspectives cause a dysfunctional turnover in business. A dysfunctional turn over refers to the kind of turnover where good performers leave the company. Many employees and especially high performers will leave their work or positions if their sincerely held religious believes practices and observances requested are not adhered to by the company managers. Religious observances include praying, attending worship services, displaying of religious objects wearing of religious symbols and adhering to specific dietary rules.Determining whether a kind of practices is biblical or religious does not depend on the nature of a particular activity but on the motivation of the employee. This same practice might be engaged in by one person for biblical purposes and another person for specifically secular reasons. For example an employee might observe specific dietary restrictions for religious reasons while another employee will adhere to the very same dietary restrictions j ust for secular reasons. This might call for a reasonable accommodation if it is just for religious reason.Many employees do not feel good when their secular or religious believes are assumed by their employers and they will therefore end up leaving the work place. For example according to Christianity the bible says that every seventh day is a Sabbath day and therefore every one should rest. Someof the Christian employees hold this biblical saying with a lot of regard and therefore if an employer disregards this day then they may quit their jobs for no other reasons other than that. Dysfunctional turn over is also facilitated by secular reasons.For example some of the employers will want to have increased salaries, holidays, promotions nay many other worldly things. If the employee fails to provide this then many employees will end up quitting jobs. Secular employees are very hardworking and committed to their careers and puts God aside from their job. There are various strategies for increasing the retention of high performers. One of the strategies is the hiring of the right person. This is because the correct candidates are quickly in adopting the strategy referred to as â€Å"train for skill hire for fit†.The other strategy is integration for success. This is because turnover can be brought down by the implementation of a thorough and well orientation program. The other strategy is phase training. This can be achieved if employees are provided with basic training at the outset but as the employees build time and experience with the company then further training can be offered according to the recognition of their growth. The other strategy is the provision of growth opportunities.This is because the more the employees feel that they have the ability to grow and even become more marketable then the more they are likely to stay. Nowadays employees are taking ownership of their carriers by recognizing the need to continuously upgrade and refine their skills. Employers who offer easily accessible and relevant kind of training tends to have a declined turnover. The other strategy is the alignment of aspirations with contributions. This can be achieved through the matching of interests and skills of the employees and their respective work assignments.This can be possible only if the employers provide an environment where employees have the capacity to make necessary adjustments so that they can be effectively aligned with what the company needs them to do and what they are talented and what they find to be enjoyable. The other strategy is the motivation of the troops; this can be done through the assessment of the underlying motivators for work beyond the paycheck or salary. The main factor in the motivation of employees is through the creation of the sense of affiliation within the company. This creates a two way kind of relationship based on the meeting of the mutual needs.Employees must be motivated to feel the sense of their pu rpose in the organization. The other strategy is the making of the rewards count. This strategy can be achieved through making all the employee rewards immediate, appropriate and personal. For instant employees find the receiving of a bonus check at the end of the year less or smaller compared to frequent payouts. The other strategy is the enlistment of problem solvers. This strategy can be achieved if and the employers invite the employees when solving the company problems. This is because a shared problem approach creates a deep ownership for employees in the company’s triumph.Many companies with formal retention and succession plans tend to show low costs per new hire and also lower cost of separation per employee. This helps the human resource professionals in validation the retention costsuch as expensive benefits package which are vital to successful employee retention. High performing employees are always concentration on their work if they are given proper treatment a nd this leads to increased performance at work and reduced cost of production thus resulting into increased return on investment (Gardner, 1).

Sunday, September 29, 2019

The Spaces and Practice of Early Christian Assembly

The most public of spiritual assemblages in the Roman Empire were big jubilations and festivals held in the public temples.† Worshippers believed that propinquity to the Godhead within a temple that is, the comparative distance between oneself and the image or venerated artefact of the Godhead housed within the edifice imbued the person with power† ( Halgren, 1957 ) , the closer 1 could near the God, they believed, the stronger and more auspicious the connection. , accessing infinite nearest the manifestation of the God was restricted to merely a few persons, priests who had been decently educated and initiated in the significances and patterns are allowed by tradition in such a holy topographic point, Access to the temple was besides decreed by tradition and closely regulated by jurisprudence. â€Å"The longitudinal axis of the Judaic temple, for case, ran through a series of dividers and other limits that designated infinites reserved for specific groups—at the outer border of the infinite, Gentiles were allowed ; so, closer in, Judaic adult females and kids ; closer still, Judaic work forces ; and eventually, the priests† ( Richardson, 2002 ) . Religious pattern at this period was non restricted to temples, nevertheless. Smaller meetings frequently took topographic point in sanctuaries and chapels, every bit good as in rented suites. For illustration, at the same clip that the followings of Jesus began coming together, the believers of the God Mithras were besides increasing in figure and by the 3rd century were run intoing takes topographic point in little sanctuaries called mithraeums, suites designed to presume a cave or the underworld. In these irregular infinites, benches lined the two long walls and a little shrine or communion table was arranged at the terminal of the room. â€Å"The ceilings were normally vaulted and decorated with stars to stand for the celestial spheres, In this confidant scene, initiated believers enter the same infinite as the shrine and participated in communalWorship† ( white, 1990 ) . Similarly, by the 2nd century, Jews had an arranged temples and supplication halls in once private houses converted for the intent. One crude illustration, at Delos, had been created through the devastation of a wall that exist two next suites, ensuing in a individual big room. Benches linedthe walls of this assembly room, and a carven marble chair busying one wall provided a focal point. â€Å"No Torah shrine was found in this room, although Torah niches have been found in other early temples, including that at Priene, where another house renovated sometime in the 2nd century was found† ( White,1990:49 ) . Within these infinites, worship patterns were diverse, dwelling of a diverseness of supplications and Holy Eucharists. As members of the Roman Empire began to follow the Jesus spiritual group, they adapted these familiar patterns and infinites for their new intents, inculcating them with new significances. â€Å"The held meetings of the followings of Christ in the first few coevalss after his decease were of three major types, all versions of the patterns of other spiritual groups, peculiarly those of the Jews, for so the followings were Judaic, every bit good as other Roman and Greek faiths. Most of these meetings Involved a shared repast, existent or symbolic, for in the Greco-Roman universe, widening cordial reception by sharing a repast was a cardinal signifier of societal interactThese communal repasts brought Christians together to larn about their religion, to idolize, and to portion experiences, but they besides functioned to make coherence within the new community of Christians† . ( Jeanne, 2008:16 ) , Harmonizing to L. Michael White points out that, communal repasts formed ‘‘the centre of family ( koinonia ) ’’ by bespeaking that a societal relationship existed among those gathered and therefore ‘‘served to specify the worshipping community, the church ( ekklesia ) in family assembly.’’ ( White, 1990 ) . Among these meeting types, the agape repast, or love banquet, was most of import, and although it drew upon Greco-Roman pattern in many ways, it subtitute the imbibing and carousing that traditionally followed Roman banquets with instruction and worship. Those who gathered at a Christian repast would convey some nutrient point with them as an offering for the repast normally bread, wine, or angle merely as many people do today in what is normally known as the potluck supper. Harmonizing to Osiek et EL Balch, eating excessively rapidly upon reaching, nevertheless, would ensue in deficient nutrient for those who arrived subsequently, and therefore Paul adviced the Corinthians that ‘‘when you come together to eat, delay for one another, ’’ promoting those who could non wait to eat to make so at place before they came ( 1 Cor. 11:33–34 ) . Such advice, which counters common Roman pattern, indicates that the emerging Christian pattern was still comparatively flexible and informal, with new etiquette or regulations easy being introduced into the meetings.â€Å"After the repast, those gathered would portion a ceremonial breakage and feeding of staff of life, followed by a approval and sharing of a cup of vino, marking Jesus’ pronouncement for his recollection at the Last Supper† . ( Macy, 2005 ) After this, they would prosecute in a assortment of larning and worship activities, which, harmonizing to historiographer s Carolyn Osiek and David L. Balch, included ‘‘singing, instruction, and prophesying† . The 3rd type of assemblage was the Eucharistic meeting, wer they shared Meal, this was transformed into a symbolic rite focused entirely on staff of life and vino as figure of speechs for the flesh and blood of Christ. The development of the agape and funerary repasts, thath did include a sharing of staff of life and vino in recollection of Christ, most have preceded the outgrowth of Eucharistic patterns, merely when and how the strictly Eucharistic assemblage emerged is ill-defined. Like the agape repasts, these Eucharist repasts took topographic point in private places, but over the 2nd and 3rd centuries important alterations in services indicate they were going progressively formalized both in leading and in activities. â€Å"Justin, in the 2nd century, refers to the individual taking the service as the presider or the president, but by the 3rd century, the organisational Structures of the Christian motion developed into an episcopos, a Grecian term intending ‘‘overseer’’ or, in modern idiom, a bishop ; the term priest besides became popular. The service itself was altering every bit good, described by Justin and his modern-day Ignatius, the bishop of Antioch, as symbo lic or representational, a jubilation of Christ’s forfeit of his ain flesh and blood.† ( Macy, 2005 ) By the 3rd century, the turning popularity of these representational services would necessitate a particular infinite that would suit them, taking to the creative activity of formal assembly suites. ( Mercer, 1985 ) â€Å"The 4th type of early Christian meeting took topographic point out of doors, such as the meeting of the followings of Jesus on the Mount of Olives shortly after his decease, a narrative related in The Letter of Peter to Philip, which was found among other Gnostic texts at Nag Hammadi in Upper Egypt.† ( Elaine Pagels, 1989 ) Little is known, nevertheless, about such out-of-door meetings, in portion because they seem to hold been used largely by Gnostic groups, whose beliefs and patterns challenged those of the emerging orthodoxy and were accordingly stricken from Orthodox civilization and paperss. Outdoor worship therefore became associated with dissident groups and fell out of favour. What must be kept in head, nevertheless, is that despite the differences among these early types of worship, early Christian worship infinites and patterns were extremely diverse. â€Å"No individual, original, pure Christian pattern of all time existed.† ( Bradshaw, 1992:30 ) From the earliest period, Christian groups expressed their thoughts about Jesus and God in different ways, and those thoughts, runing from the eventual orthodoxy of the major episcopates in Rome, Antioch, and Carthage to the Gnostic positions of the Marcionites, Donatists, and Montanists, were extremely diverse. Early Christians expressed their spiritual thoughts through a assortment of spiritual patterns ways, merely as modern-day Christians do.2.1.2The infinites and Practice of Early Christian assemblyMost Biblical bookmans, archeologists and classicists, agree that the meeting of Christians, like those of other spiritual groups, by and large occur topographic point in the places of frequenters, that i s, in Greco-Roman houses. The phrase ‘‘meeting from house to house, ’’ found repeatedly in the Gospel texts, good characterized thepractice of early Christians. The physical worlds of those infinites, and the places in peculiar, along with the cultural imposts of the period, strongly influenced emerging Christian pattern. To understand how, it helps to hold some cognition of the physical features of those places Architectural and textual grounds of Greco-Roman houses in the first and 2nd centuries point out that several assortments existed. Give the long, hot summers of the Mediterranean part, the houses of the wealthiest place proprietors were used as worship infinites ; opening into a series of suites arranged around an oasis-like unfastened infinite that brought air and visible radiation into the house. â€Å"Entry into the house was gained through a anteroom or hallway. Within a Grecian house, this led to a room in which the family frequenter conducted concern, and beyond this was the bosom of the house: the courtyard, which was roofless but lined by columns that supported an overhead fretwork that would be covered with flora to protect the residents from the Sun. In a Roman or Latin house, the anteroom off the street by and large led right into an atrium, or unfastened courtyard, which would be unfastened to the sky and incorporate an impluvium ; a shallow pool that gathered rainwater ( fig. 2.1 ) .† ( Osiek et el Balch, 1997:6 ) the private infinites of the place surrounds the courtyard and several closed suites reserved for the members of the family. â€Å"The cardinal parts of antediluvian houses—the anterooms, atria, were considered much more public in character. Such houses, peculiarly those in which the concern of the wealthy was routinely carried out, welcomed the entry of people from the street.† ( Halgren,1957:19 ) .

Saturday, September 28, 2019

A Study On Detailed CAT Syllabus Education Essay

The CAT ( Common Admission Test ) aims at proving campaigners on different parametric quantities and subjects. The overall construction of the CAT trial remains same. the trial allows one to take admittance non merely in IIMs but besides other top notch B-schools like MICA and SP Jain.Verbal Ability and Reasoning:This subdivision of the trial accounts for more than half of the verbal subdivision. It is 50 Markss and comprises ‘verbal ability and concluding ‘ subdivision every bit good as ‘Reading Comprehension ‘ . About 25 to 30 Markss inquiries are on verbal ability while the staying 20 to 35 Markss will be by replying reading comprehension inquiries. The inquiries asked in the verbal subdivision can be categorized in one of the types mentioned below: Vocabulary Based Questions:Questions based on proving vocabulary of campaigners can be simple ‘synonyms-antonyms ‘ types. While on the other manus, inquiries asked in vocabulary can besides be in the signifier of fill in the space with the most suited word. It has appeared as portion of the Markss subdivision in the twelvemonth 2004 and the 2 Markss subdivision in the twelvemonth 2005. However, it is notable that the accent on vocabulary in the trial is worsening each twelvemonth and one is non required to larn the significances of words like ‘pleonasm ‘ etc. to check such inquiries in the trial. Correct Usage of English or Grammar:You will happen inquiries based on the sentence or grammar rectification in different signifiers. In these inquiries, you will be required to happen out the wrong par of the sentence or a portion of the inquiry will be underlined with 4-5 options. You need to do right pick to rectify the mistake in the sentence. To fix for these types of inquiries you need to hold a good apprehension of the BASIC of English grammar. Make equal figure of exercising on the assorted common mistakes which tend to look in the trial. Therefore, you will be able to sail through these types of inquiries in CAT. Verbal Reasoning:Questions in verbal logical thinking can be in different signifiers. However, the most common one is rearranging the jumble words of a paragraph. You might besides be asked to rephrase the paragraph. Besides, you can be provided 3 to 4 sentences and so asked to choose which sentence is fact, which one is an illation or a judgement. In brief you need to work on verbal logical thinking, contextual use, opposite word, fill ups, syllogisms, sentence rectification, acquaintance with common foreign linguistic communication words used in English, parlances, one word permutation. Again, as there is non as such fixed construction of CAT. The form tends to differ every twelvemonth. Reading Comprehension:Reading comprehension subdivision of CAT is typically of 100 Markss. This subdivision includes verbal ability and concluding subdivision, and the reading comprehension subdivision. Verbal ability subdivision carries 40 to 60 Markss inquiries while the reading comprehension subdivision carries 60 to 40 Markss. In the twelvemonth 2005, 15 out of sum of 25v inquiries in the verbal subdivisions were based on comprehension while the figure of 12 out the 25questions in the twelvemonth 2007. Questions based on ‘reading comprehension ‘ are frequently in groups for 4 to 8 inquiries. The length of these reading transition ranges from 250 words to 750 words. Here is a manner to make this subdivision successfully:Read the full transition for one time rapidly so t chapeau you are able to hold on the cardinal thought of the transition.Eradicate reply picks which are certain of non to be right.Make usage of outside cognition.Make usage of interior cognitionPhosphorusassage Types in Cat:Passages t hat appear in the trial are fundamentally can be fundamentally from one of the types mentioned below: Social Science Passage:This type of transition is frequently about a societal or historical issue. Science Passage:This type of transition gives information on a scientific phenomenon like air power or home base tectonics. Business Passage:This transition includes a concern related subject like transitions on the denationalization of state-owned industries or the causes of rising prices. Entertainment Passage:This type of transition if of amusement, athleticss or leisure related. The transitions can be on Hollywood or Bollywood famous persons or other outstanding people in assorted Fieldss. Quantitative Skills:This subdivision of Cat which is immensely categorized as Arithmetic, Algebra and Geometry purposes to estimate quantitative ability of a campaigner from more than 25 subjects. All of these subjects are of high school degree. Let ‘s see the subjects in different classs in this subdivision: Arithmetical:Number system and figure theory, net income and loss, involvement, velocity, clip and distance, norms, ration and proportion, mixtures and alligations, pipes and cisterns Algebra:Linear and quadratic equation, inequalities, map, substitution and combination, set theory, logarithm, binomial theorem, map, chance, patterned advances Geometry:Geometry, co-ordinate geometry, measurement, trigonometry Data Interpretation:Data reading subdivision in CAT is of 50 Markss since the twelvemonth 2001. Most of the inquiries in this subdivision are of 2, 3 or 4 Markss. Date reading subdivision in CAT frequently carries two types of inquiries: Date Interpretation:In these types of inquiries day of the month is presented in the signifier of a table/pie chart/a graph. On the footing of each presentation, the campaigner is required to reply 4 to 6 inquiries. You need to construe the format and reply the inquiries consequently as per the day of the month given in the tabular array or chart. Date Sufficiency:Every day of the month sufficiency job in CAT comprises inquiries with two statements. Here the point is that you are required to make up one's mind whether the inquiry can be answered or non on the footing of provided information in the given statements alternatively of chew overing over the reply of he inquiry. General Knowledge:For this, you need to maintain yourself updated with current intelligence and personal businesss around the universe. You need to be informed about:Current personal businesss, outstanding corporate events, punch line of companiesBooks and their writers ‘ nameImportant quotation marksSocial issues, finance, car, amusement etc.Universe recordsRenowned awards and awards.Science, history, geographics

Friday, September 27, 2019

Mathematical Formula in Material Cost Accounting and Control Essay

Mathematical Formula in Material Cost Accounting and Control - Essay Example Also, overstocking requires more storage space which, in turn, means an increase in insurance expenses, storage costs and deterioration in quality and depreciation in quantity. On the other hand, if materials are understocked, frequent orders have to be placed in small quantities and there is a chance of "stock outs" also. Hence, the tack of the manager is to find the most economic order which s very essential for cost management and control. The cost of carrying the inventory and the ordering cost is inversely proportional to each other. The costs of placing the order decreases as the size of the order increases, because with the bigger size of the order, the number of the orders will be lower. However, simultaneously the costs of carrying the inventory will go up because the purchases have been made in large quantities. It may be possible to have appointed which provides the lowest total cost and the point, which is the ideal size of the order is known as the Economic Order Quantity(EOQ). The EOQ is one where the cost of carrying inventory is equal or almost equal to the cost of not carrying inventory (cost of placing the order), i.e., at EOQ level, the total of inventory carrying cost and the ordering cost is minimum which can be determined mathematically s follows: The EOQ is 600 units, i.e., 10 orders per year are needed.

Thursday, September 26, 2019

Going for Growth by Investing in People, Products and Plant Essay

Going for Growth by Investing in People, Products and Plant - Essay Example In addition, Hazlewood Sandwiches has invested ?25 million to build a factory site named Manton Wood in order to prepare several quantities of sandwiches. This factory site of the company is regarded as the largest sandwich producing plant in the world (Driver &Temple, 1999). Conclusion Investment appraisal is one of the crucial factors that for obtaining internal and external source of funds. Hazlewood Sandwiches has made two significant capital investments in the past years. The primary objectives behind the company’s substantial capital investments was to avail the prevailing opportunities in the UK sandwich market to gain higher rate of return on the capital invested and thereby to attain superior growth and expansion (Driver &Temple, 1999). References Driver, C. & Temple, P., 1999. Investment, Growth and Employment: Perspectives for Policy. Routledge. Gessinger, G. H., 2009. Materials and Innovative Product Development: Using Common Sense. Butterworth-Heinemann. Lumby, S. , 1988. Investment Appraisal and Financing Decisions the VNR Series in Accounting and Finance. Taylor & Francis. Question 2: Discuss the differences, advantages and disadvantages of the three investment decision techniques mentioned in the case. Introduction Hazlewood Sandwiches undertook three primary methods of investment appraisal namely payback method, Net Present Value (NPV) and Accounting Rate of Return (ARR) method in order to apprise and evaluate the value of the investment made by the company (Gotze, & et. al., 2008). Discussion The payback method critically considers the length of time in order to recover capital invested by the company. It is worth mentioning that the payback method takes into concern cash flow activities. The major advantages of this... This paper approves that investment appraisal is one of the crucial factors that for obtaining internal and external source of funds. Hazlewood Sandwiches has made two significant capital investments in the past years. The primary objectives behind the company’s substantial capital investments was to avail the prevailing opportunities in the UK sandwich market to gain higher rate of return on the capital invested and thereby to attain superior growth and expansion. This paper makes a conclusion that the three primary methods of investment appraisal and evaluation have their own distinctive advantages and disadvantages that facilitate the management of Hazlewood to select one of the any aforementioned methods. Notably, payback method can be considered as the simplest method of all the other two methods. This is owing to the reason that payback as well ARR method does not take into consideration the time value of money. On the contrary, NPV method expresses in dollars instead of percentage that often makes it difficult to appraise the investment. The role of workforce from both the functional perspectives of HRM and accounting is pivotal for any organisation. In this current business environment, workforce of any organisation is required to perform multiple tasks in order to conduct their business operations successfully. Thus, it can be stated that skilled and competent workforce in the business is the greatest asset of a specific organisation.

False Claims and Health Care Essay Example | Topics and Well Written Essays - 750 words

False Claims and Health Care - Essay Example The primary source of fraud in health care is through false claims. False claims are illegal and punishable through The False Claims Act, otherwise known as "Lincolns' Law". This law was enacted during the Civil War, updated by Ronald Regan in 1986 and contains "qui tam" provisions allowing ordinary citizens to sue on behalf of the government and collect restitution. (Phillip and Cohen) Also, under U.S. Code Title 18 Part I Chapter 63 section 1347 health care fraud is punishable by fine, or imprisonment for up to 10 years, or in cases of death a life sentence. There are many types of false claims. Services not rendered is best described as billing for services that were never delivered to patients. Physicians simply add on a few extra services that they did not perform for the patient. A common example would be when ordering a complete blood count (CBC) for a patient to bill for additional blood chemistry tests that doctors hadn't performed. In this very situation, two emergency room doctors were paid $92 million after bringing to light a "whistleblower" suit against Columbia/HCA. (Phillips & Cohen) Lack of Medical Necessity is another term used to describe a situation when a doctor or health care provider bills the insurance for procedures that are not necessary. This type of fraud is combated by practices put into place by the insurance companies such as; yearly benefit maximums, and restrictions on the number of procedures you can have. However, too often illegitimate claims are made. For example, a New York radiologist was sentenced under the False Claims Act to one to three years in prison and excluded from Medicare and state health care programs for 10 years for billing Medicaid for "thousands of medically unnecessary, duplicative, forged and unreadable sonogram tests." (Phillips & Cohen) Kickbacks are another borderline form of health care fraud. This is the most complicated and hidden form of fraud. It involves an improper monetary or material benefit to the health care provider for prescribing or using a certain product or service. In simpler terms, someone pays a doctor per patient he will prescribe a medicine to, or perform an expensive test on. A fine example comes from a group of five hospitals in Kansas and Missouri, which paid doctors per referral to it's "geriatric center". The group of hospitals was sentenced to pay $1.2 million in restitution under the False Claims Act. There is a anti-kickback statue written into Medicare, but often the kick backs are hard to track and difficult to discover. This is an area where "whistleblowers" are most effective as it alerts the proper authorities to a scam operating. Health care fraud will continue to be an issue as long as our current system of health insurance and care is operating. There are many flaws in the system and it is barely limping along. Many other countries, notably France, Australia, and the Netherlands have developed systems that are proven to be much more cost effective than the current American system. Fraud will continue as long is there is opportunity; the solution is to significantly lessen the opportunity and increase the punishment. Bibliography An, Jane Saloner, Romy and Ranji, Usha The Henry J. Kaiser Family Foundation "U.S. Health Care Costs" Updated January

Wednesday, September 25, 2019

Political Science Essay Example | Topics and Well Written Essays - 750 words - 1

Political Science - Essay Example The first quality is that the theory should explain why interethnic relations are mostly based on tension and mistrust. The second one should explain why the results of interethnic relations are peace and cooperation instead of violence. Lastly, it should explain why in some situations interethnic relations result in spirals of violence or sometimes in war. According to Fearon and Laitin, interethnic conflicts have claimed over ten million lives worldwide since the end of the Second World War (715). However, the approach of many scholars to analyzing this situation is biased, especially while selecting the cases of ethnic conflicts. They focus mainly on post-Soviet and African countries where actual cases of ethnic violence are relatively fewer than potential cases of ethnic violence. In order to avoid biased selection of ethnic violence cases, there is the need for theories that not only account for causes of ethnic violence but also the outcomes of ethnic tension other than violenc e. The first are rationalist theories, which refer to ethnic groups as joint forces that take or defend beneficial materials from others. These materials include education, labor and state investments. In case one ethnic group denies the other the right to possess a certain material, then violence would result between the two groups. The others are psychological theories that refer to ethic groups as a satisfaction to the need of belonging to a group. Therefore, in this case ethnic violence may occur if one group threatens the psychological satisfaction of the other. In addition to rationalist and psychological theories, game theories would be more precise in explaining outcomes of ethnic conflicts other than violence. Game theories consist of spiral equilibrium and in-group policing equilibrium. Spiral equilibrium is where an individual action during the game is taken to be a joint action of the whole group. In this case, all members of group A punish group B members following unac ceptable behavior from one member of group B. A single player from either group immediately triggers a state of complete breakdown of cooperation that once existed between the groups. On the other hand, in-group policing equilibrium is where one group ignores violating actions from the other group, assuming that the other group is going to take disciplinary action against the individual that caused the violation (Fearon and Laitin 730). In this case, a defection of a member from either group does not affect the reaction of the other group. Instead of members from group B responding negatively to members in group A because one of the members from group A portrayed unacceptable behavior, the game continues as if nothing had happened. In some cases, there is the presence of â€Å"noise† which, in this context, refers to additional defections such as drunkenness, misinterpretations or sudden passions. In such a case, the best theoretical approach to addressing ethnic outcome woul d be in-group policing equilibrium. In group policing, unlike spiral regime, punishment is only applicable to the individual responsible for a defection. The other reason that makes in-group policing more appropriate is the fact that in spiral equilibrium members respond to a tiny issue in the same way they would respond to a serious

Tuesday, September 24, 2019

Human resources ( american expatriate in paris) package proposal Research Paper

Human resources ( american expatriate in paris) package proposal assignment - Research Paper Example lz, 2007). Sarip international is not an exception of the above requirements. The company must conduct a survey of all the factors that will affect movement of Jim and his family. Jim will realize a pool of incentives due to the diplomatic links between France and America. The essay looks at the factors that will affect Jim’s decision given his preferences and constraints. These factors include obtaining visas and permits, relocation allowance and housing, language and cultural training among others. Visas and Permits Jim and his family must have a valid European Union passport while moving to Paris. The country requires all immigrants willing to work in the country have EU passports. The company is responsible for helping Jim and his family in obtaining these passports. The company should also incur all the costs of obtaining the passports. If Jim wishes to obtain a residential passport, the company should take care of the whole process. To obtain a residence passport, Jim mu st visit the nearest police station with the required documents within a period of one week after arrival (EasyExpat Ltd, 2012). Sarip international through the appropriate department must help Jim in this process. Language and cultural training Paris has several organizations that teach foreigners the French language and culture. ... Jim can decide on whether to take classes at home, after he has arrived in Paris or the combination of the two. Housing and Relocation Allowance The company should consider Jim’s cost of relocating and the risks involved. He should receive compensation for the risks involved during the relocation in the form of relocation allowance. This includes taking care of his mortgage even after he relocates. Jim should be able to experience the luxury of his house in Paris. Paris offers a number of alternatives in respect to housing and accommodation. The options range from rental houses to buying apartments. However, all the alternatives require the household to have a household insurance policy (Expatica.com, 2012). The best house for Jim is the one that is affordable, but also meets his needs. It should also be strategically located for ease of transport and access to other infrastructural needs like schools. Spousal employment Betty’s job is a constraint facing the relocation of Jim. In most cases, taking a leave of over two years acts as a threat to job security. Betty might lose her job after they relocate to Paris. However, the company is capable of dealing with this constraint. It can approach her employer to guarantee her job security even after she to Paris. Different agencies advertise various job opportunities in Paris, which would suit Betty. However, the only limitation is that Betty does not know how to speak French, which is a requirement for her to work in Paris. She needs to understand the language before relocating. These among other factors will ensure that Jim maintains his American lifestyle while in France. Education for the children The three children should be able to access

Monday, September 23, 2019

Follow the attachment plz. My company is Ford Motor company Research Paper

Follow the attachment plz. My company is Ford Motor company - Research Paper Example -brand vehicles and Ford- and other related service parts in North America, in the United States, Mexico, Canada, altogether with associated expenses to improve, the manufacture, distribution and service vehicles and their parts. While Ford South America encompasses sale of Ford-brand vehicles and other services related to parts in South America, altogether with associated expenses to manufacture, develop, distribute and service to these vehicles and their parts. And Ford Europe includes the following sale of the Ford-brand vehicles and other related service parts both Europe, Russia, together with associated expenditures to manufacture, develop, distribute and service vehicles and their parts. And lastly Ford Asia Pacific Africa include sale of Ford-brand vehicles, other related service parts in South Africa Asia Pacific region, altogether with associated expenses to distribute , develop, manufacture, and other service vehicles and theirparts.in the Ford Motor Credit Company take ac count of financing vehicle-related issues, insurance, leasing, lastly Other Financial Services Contains a diversity of businesses like holding real estate and companies. January 15, 2011, it completed its acquisition of the Cologne Precision Forge GmbH (CPF). Ford researchers are trying to demonstrate how smart electrification technology which uses data and cloud-based computing, in optimizing plug-in hybrid’s powertrain efficacy at the 18th World Congress on Intelligent Transport Systems In 2009, the Board again voluntarily forgoes the cash portion of annual fees. Subsequently, around $60,000, (60% of Annual fee for Board membership) got credited to its directors’ accounts under the Deferred Compensation Plan for the Non-Employee Directors. Directors failed to receive any cash payments comparative to the board fees in 2009.the company disclosed in their 2010 Proxy Statement that according to their significant growth during 2009, their positive financial projections for

Sunday, September 22, 2019

Mad or Bad Essay Example for Free

Mad or Bad Essay Are murderers suffering from mental illness or simply evil? The question of whether murderers are suffering from psychiatric illness or are just simply evil is a debate that runs rife throughout not only the psychological community, but society as a whole. Murders are rare events in Australia; nevertheless they do occur. The media coverage of such events can be extensive and often dramatized, without addressing the potential underlying processes such as mental health and/or intoxicating influences that may contribute to such antisocial behaviour. Presented will be a focus on those underlying factors such as mental health and substance abuse, psychopathy will also be critically examined to draw the conclusion that murderers behaviour cannot be excluded as bad even if a mental health issue is present at the time of offence. The question of whether murderers are suffering from psychiatric illness or are just simply evil is a debate that runs rife throughout not only the psychological community, but society as a whole. Murders are rare events in Australia; nevertheless they do occur. The media coverage of such events can be extensive and often dramatized, without addressing the potential underlying processes such as mental health and/or intoxicating influences that may contribute to such antisocial behaviour. To understand and determine whether or not murderers are mad or just bad, the defining terms of â€Å"mental illness† and â€Å"evil† are imperative. The psychological definition of mental illness is â€Å"any of various disorders in which a persons thoughts, emotions, or behaviour are so abnormal as to cause suffering to himself, herself, or other people† (Oxford dictionary. 2012) and on the other hand evil is defined as the â€Å"quality or an instance of being morally wrong; causing harm or injury† (Oxford dictionary. 2012). It is vital that we differentiate these terms as often the media portrayal of murderers is only based on the evil quality without considering other possible underlying influences that may provide further explanations for behaviour. In arguing the differentiation of the mad from the bad, this paper will discuss homicide in Australia and how it differs, address influences such as mental illness, drug and alcohol abuse and provide an overview of psychopathy to murder. Homicide in Australia is a rare event, and is among the most serious of all crimes, unfortunately however, it does occur. The term ‘homicide’ refers to a person killed (unlawfully); a murder is the willful killing of a person either intentionally or with reckless indifference to life (Hayes ;amp; Prenzler, 2009). In 2007-08 there were 260 homicide incidents in Australia involving the deaths of 273 victims. In trend terms however, this rate at which homicide occurs remains at an historical low. Within Australia, most homicides were domestic homicides involving one or more victims, who shared a family or domestic relationship with the offender, furthermore intimate partner homicides comprised the largest proportion of domestic homicides at 60%; leaving stranger homicide relatively low at 12%. The vast majority of victims of homicide died from stab wounds than from any other single cause of death. Secondly, victims died as a result of a gunshot wound. Although the vast majority of victims died as a result of stab wounds for domestic and acquaintance homicides, for stranger homicides the most frequently recorded cause of death was beatings at 53% (Virueda ;amp; Payne, 2010). The social context of most homicides suggests they are likely to occur between people who are generally from similar backgrounds and socio-economic groups (Hayes ;amp; Prenzler, 2009). Importantly, the location of a homicide is largely influenced by the type of homicide, with domestic homicides accounting for the largest proportion, majority occurred within a residential location most often the victims’ home; however occasionally in the offenders. In order to understand the factors or situations that are likely to precipitate a homicide event, the motives behind such behaviour must be acknowledged, although assigning a single reason or motive may be difficult because the reasons or lack thereof may be varied and complicated. Relating alcohol, drugs and psychiatric illness to homicide is key to understanding potential situational causes of murder and whether the offender is mad or bad. Given that domestic homicides were the largest category of homicide, the 2007-08 data shows that domestic arguments were the most commonly recorded motive. The second most frequently recorded motive was alcohol related arguments which was identified as having preceded two in five homicides in 2007-08. Another intoxicating influence which could lead to explain such behaviour was illicit drug use; found in one in five homicide ncidents in the reported year alone (Virueda ;amp; Payne, 2010). For the continued differentiation of the mad from the bad it is crucial to compare motives, only seven homicides occurred as a result of the offender suffering from mental health which is a considerable decrease compared to domestic argument or alcohol related offences. Although homicides caused due to the offender suffering from mental health issues is not the most predominant cause, is this due to the homicide being explained primarily due to a form of substance abuse therefore categorizing the offence as an alcohol related argument. Bennett et al. 2011) argues that patients with schizophrenia are signi? cantly more likely than those in the general community to commit homicide offences. Although based on the Homicide in Australia: 2007–08 National Homicide Monitoring Program annual report, this has been disproved based on statistical findings. Interestingly, 39. 5% of the homicide offenders with schizophrenia had a known substance abuse (Bennett et al. , 2011). The question, however, arises as to whether the link between schizophrenia and having committed homicide is in fact explained primarily by substance abuse and whether previous criminality also plays a role (Mullen, 2000). Soyka et al. (1992) puts forward the idea that alcohol or drug abuse could cause schizophrenia like psychosis which would be a major underlying process to offenders’ behaviour. The use of illicit substances by people with schizophrenia is markedly in excess of rates among the general population (Jablensky et al. , 2000). Cannabis is the most commonly used drug, followed by amphetamines. (REF) There is little doubt that illicit substances such as cannabis and amphetamines can cause acute psychotic symptoms, it is also clear that some people are more vulnerable to the effects of drugs such as cannabis (Arseneault et al. 2004) In terms of people with an established psychotic illness, illicit substances tend to result in a worsening of psychotic symptoms. This could potentially prove to be a major underlying factor to offenders who are suffering from mental health issues. A more contentious issue to consider when relating psychiatric illness to murder is whether illicit drug use can actually cause schizophrenia. There is considerable evidence that the use of methamphetamine can induce a picture that is very similar to that of positive symptoms of schizophrenia; in most cases, the symptoms clear once the drug taking ceases (Fergusson et al. 2005). This provides a substantial flaw to deciding whether a murder is suffering from mental illness or is simply evil as the mental illness may only be triggered due to intoxicating influences such as drug and alcohol use. The major limitation when relating psychiatric illness and substance abuse to homicide offenders are that there are many variables which are not strongly scientifically supported, as well as the diagnosis of the offenders mental health being diagnosed before or after the event has occurred. Psychopathy is a very in-depth and controversial disorder that is vital to comprehend when related to acts of murder. Many argue that psychopaths are not morally responsible because they lack some of the essential capacities for morality, they are considered by some to be both mad and bad however the insanity defense is not applicable to psychopaths. Psychopaths do not meet the insanity criteria as legal and moral responsibility stand as separate categories. Maibom (2008) explains that psychopaths do have impairments in a range of abilities but not to an extent that we should expect them to be unable to acquire any deep moral understanding, it may however be that they lack substantial capacity to appreciate the wrongness of their actions. When linking psychopathy to acts of murder and deciphering the argument of mad or bad, a major factor must be taken into consideration; murders by psychopaths compared to insanity cases, are not committed while in the grips of a hallucination or delusion (Maibom. ,2008). With psychopathy being considered a moral disorder and the relevant action of the circumstances under which it is performed, it again appears to be a bad action more than a mad action. Duff (1977) states that â€Å"a psychopath cannot understand the nature and quality of his actions, or the lives and interests of those around him; he cannot control his actions in the light of any rational concerns or values, not because his impulses are strictly irresistible, but because he has no conception of rational values as providing reasons for action. † (p. 199). It is argued by Maibom (2008) that the disorder that psychopaths experience and the sorts of murders they perpetrate are better examples of badness rather than madness. This is supported by his factor of psychopathic murder being preponderantly instrumental in nature, and by the offender seeking to gain from the offence in some way or other. On the contrary, recent research by a behavioural neuroscientist, Dr Kiehl has presented an attempt to understand a psychopaths’ brain functions. In a study, Dr Kiehl focused on a male offender charged with the brutal rape and murder of a seven-year-old girl, he performed two types of analysis on the offenders brain; focusing on the density and its function. Kiehls’ findings showed very low levels of density in the para-limbic system of the offenders’ brain. This scientifically supports the definition of a psychopath and their inability to process emotion to a normal degree. The major limitation of psychopathy is that there is minimal scientific research or empirical findings to clearly state whether they are in fact mad or bad, although based on the material that has been reviewed, the murders psychopaths perpetrate are better examples of bad acts than of madness. Based on all the reviewed literature discussed above, it is likely that murderers commit offences that are better examples of badness opposed to madness. As statistically found, the highest amount homicides were those of domestic and alcohol related arguments, with motives for the causation of such behaviour, many of which were not committed while the offender was delusional or having a hallucination. This provides reason to believe offenders were aware of their actions and the unlawful aspect of their behaviour however, committed the offence. Major limitations proved throughout this essay, as murders are often situational and need to be thoroughly investigated in their own context. Further research needs to be conducted as mental illness and substance abuse often overlap which is a potential flaw when categorizing offenders. In conclusion, murderers’ behaviour cannot be excluded as bad even if a mental health issue is present at the time of offence, the mental health aspect simply provides a potential reason for, and is used when prosecuting the offender.

Saturday, September 21, 2019

Emergency Response System in the UK

Emergency Response System in the UK Emergency Response Systems in the United Kingdom By Khalil Jetha Emergency response protocol in the United Kingdom is unique, dependent on both the nature of the incident and the branch responding. The British police, whose existence spans hundreds of years, has streamlined emergency response using methods that incorporate the general public as well as a relatively new mode of operations which focuses on service orientation. In contrast, the specter of the privatization of healthcare services has driven British Emergency Medical Teams (EMTs) to adopt a five-tiered system in order to maintain the smooth running of operations at the scene of major incidents. British policies are unique, catering to the ever-changing demands of a dynamic population. Incident response relies on the crisis response policies implemented; â€Å"simply put, the purpose of† British crisis response policies â€Å"are to help ensure the provision of effective and efficient crisis† service (Brock 1998, p. 46). All British crisis response involves a set system of application. The initial â€Å"crisis response task is for† authorities â€Å"to assess the impact of a given situation and determine if [their resources will be able to deal with the crisis† (Brock 1998, p. 94). Once the facts surrounding the crises are determined, the appropriate branches are then sent to the scene. Though policies and protocols exist to effectively approach urgent or compromising situations, the smooth running of operations is largely reliant upon an official government policy statement. While it serves to alleviate public concerns, â€Å"an important reason for developing a crisis response policy statement is to protect† public servants â€Å"from charges of negligence† (Brock 1998, p. 46). In the rush of incident response, operations at the scene are streamlined and practiced tirelessly; the most important aspects of incident response are those that allow emergency response official s to carry out the functions of their jobs. Educational programs and training regimens are required of all incident response teams. â€Å"Education and training helps instill in individuals the appropriate actions to take in different circumstances and mentally and physically prepares them to carry out† actions to ensure the smooth running of operations at the scene of a major incident (Davis 2003, p. 59). The many overlapping aspects of incident response duties among various departments necessitates a separation of duties and responsibilities; by establishing firmly the different responsibilities of incident response teams, the government enabled each sector to operate while minimizing legal liabilities in the course of action. The separation of responsibilities involves â€Å"sources of information shared among service departments† such as â€Å"police departments, coroner’s offices, fire departments, [and hospitals]† (Brock 1998, p. 47). Like incident response teams in most democracies, British incident response teams are subject to scrutiny from many angles as they are part of a larger bureaucracy at work. The British government not only delineates the duties to which a certain response team is obligated, but also restricts other teams from carrying out the duties of another team. All effective crisis response policy statements include components such as â€Å"a definition of what types of crisis situations will require a crisis response, a statement of official responsibilities during crisis response, and a statement of the government’s stance on crisis preparedness† (Brock 1998, p. 47). The most important systems are those that prevent the halt of incident response services, such as the establishment of public relations figures as well as figures who cater to the public both during and immediately following major incidents. Crisis response systems, after all, exist to respond both to â€Å"sudden and unexpected events† that â€Å"have the potential to affect a large number† of people’s â€Å"social and emotional well being† (Davis 2003, p. 38). Establishment of liaisons in public are key in the establishment of crisis response, as most emergencies also require â€Å"facilitating communication between† the public and official bodies (Brock 1998, p. 272). Such communication has proven to empower the public to take part in the workings that exist to protect them. One such case is the British police, whose centuries-old operations were redrawn in the late 1970s and early 1980s in order to accommodate the changing needs of an increasingly diverse population. â€Å"As the twentieth century moved to a close the police were looming large in the national culture of the United Kingdom,† initially as figures on which the public could rely (Howell et al 1999, p. 207). The South Asian immigrant boom of the twentieth century caused rifts between the population and the police force. The majority of incidents reported were those of civil unrest, not criminal activity. Officers would respond who could do little, as their mode of operations did not accommodate for rioting or street violence. As a result, the standard of police services has drastically evolved since 1975, when â€Å"the public considered the UK police poor performers,† with surveys [recording] falling levels of public satisfaction with the police† (Ebbe 2000, p. 157). Both native Britons and new immigrants were contemptuous of a police force they perceived to be inept and indifferent. The British police therefore were required to change the nature of incident opera tion from one of simple response to one of containment. The inabilities of the police in the 1970s not only disheartened many citizens, but also proliferated violence and criminal transgressions. A growing â€Å"number of incidents of public disorder during the late 1970s and early 1980s were interpreted as symptoms of a loss of confidence in the police† (Ebbe 2000, p. 157). Change, however, did not come easily. The bureaucracies that served to protect law enforcement and other departments also stalled the evolution of police responsibilities and duties. Public intervention in the bureaucratic system for the most part hastened the facilitation of policy shift. In effect, the police developed a symbiotic relationship with the public, who revolutionized the police force; â€Å"communities [asked] for a more caring police [force],† one that operated more like a customer-service organization than a law enforcement agency (Ebbe 2000, p. 157). Operations at emergency scenes therefore became one that necessitated public involvement, especially in matters of containment. The official British stance changed, as police officers became more empowered. Changing their duties and responsibilities (not to mention their mode of operations) was a compromising situation for politicians from all parts of the governmental spectrum. The growing frequency of civil unrest and public disorder changed reactionary protocol from one of practiced methodology to one of severe administration of personal infringement. Officers essentially â€Å"have different powers to restrict the liberty of citizens and different degrees of discretion with regard to how and when these powers can be exercised† (Tupman et al 1997, p. 17). With full knowledge of these new powers in mind, the political left and right-wing were further polarized as neither could decide what limitations, if any, were called for with the growing number of riots and hate crimes. It was the â€Å"inner-city r iots of 1981† that prompted politicians to call â€Å"for new policing methods but, even as suggested reforms were being implemented, there were further scandals and increasingly political controversies† (Howell et al 1999, p. 208). Police duties and methodologies at the scenes of major events were called into question. The statute of containment superseded the statute of limitations previously set as â€Å"policing involves not only crime management (repression) but also order maintenance† (Tupman et al 1997, p. 27). Criminals were apprehended with no due process or formal charges levied against them, earning the police the widespread contempt of British citizenry; â€Å"at the very time when the public perceived that they were not being given effective protection against new classes of criminals, the police themselves seemed riddled with corruption and prone to conspire in ‘gross miscarriages of justice’† (Howell et al 1999, p. 208). As a re sult of media scrutiny and the police’s perennial existence in the public eye, the British government instituted a series of quality checks, rapidly and radically changing the face of emergency response. Quality checks have become a part of the British police force in order to ensure the smooth running of operations and the cooperation of the public in incident response. Public intervention caused an outcry among many law enforcement officials, who argued that the police existed outside the public in order to perform their duties unhindered by the public they were striving to protect. Many analysts countered, â€Å"arguing that the problem-oriented policing would answer many of the community concerns being raised by the changes in society, and would overcome the insular culture of the police† (Ebbe 2000, p. 158). Today, quality service checks and public involvement determines the course of police response methods and protocol. Quality checks prompt the police to change their mode of operations through â€Å"training, planning, and identifying† public needs (Ebbe 2000, p. 159). The police force’s involvement with the public is an exemplary incident displaying the operations that exist in order to better conform to the issues warranting emergency response. Perhaps most important are the functional areas of incident response that, along with bureaucratic requisite institutions, aid in retaining the efficacy of emergency response. The action of response is divided into five functional areas: â€Å"incident command, operations, planning, logistics, and finance† (Worsing 1993, p. 19). Delineated in Robert Worsing’s Rural Rescue and Emergency Care, the five areas are applicable in all aspects of emergency medical response. â€Å"All five functions† are implemented â€Å"in almost every rescue operation, though they may not be performed a s separate entities† (Worsing 1993, p. 19). Incident command serves as the operational head at the onset of every encounter, organizing and deploying response teams as deemed necessary. Operations serves to handle the physical protocol tailored to most every situation foreseeable, while planning handles workings with the city and different branches of government. Logistics and finance are incorporated at every turn, as both are immediately involved in the bureaucracies of incident response. Bureaucratic cooperation is essential in the sharing of information and the delegation of responsibility in all emergency response situations. Interdepartmental workings in both logistics and finance serve to better work in times of heightened stress. Often, â€Å"a system of mutual aid may be incorporated,† meaning â€Å"that different agencies or organizations may be preassigned [sic] to various functional areas† (Worsing 1993, p. 19). For example, a fire brigade may be sent to aid in emergencies when medical response resources may be depleted. The cross-assignment of duties relegated can prove to be a logistical nightmare, however. â€Å"One of the most common problems in emergency response occurs when more than one jurisdiction or agency is involved in an accident†; if more than one response team has the capability to treat an incident, logistics and operations cannot dictate and assign said duties as the departments have been separated for liability’s sake (Worsing 1993, p. 19). Policy shifts have allowed for â€Å"mutual aid agreements† to define â€Å"roles and responsibilities to minimize the potential for disagreements and problems,† speeding â€Å"the operational response to an incident† (Worsing 1993, p. 19). Ongoing bureaucratic reform ensures the smooth running of operations in incident response. These reforms and proposed changes in the policies of emergency response pose the potential to ensure furthered efficiency in incident response. Emergency medicine has the unique opportunity to contribute to health care and incident reform â€Å"by instituting a comprehensive and collaborative public health approach to emergency medicine† and incident response (Bernstein 1996, p. 15). The British government ensures â€Å"that resources [are] available† to facilitate policy shifts in order to reform deficient aspects of medical incident response (Bernstein 1996, p. 15). Incident response operations in the United Kingdom are heavily reliant on the bureaucracies that surround their workings. Most of the systems that enable them to carry out their daily functions are political in nature, as the five functional areas are reliant upon each other’s separation, regimentation, and cooperation in order to serve the public. Political action, not physical response, ensures the smooth execution of emergency care. Whether the police force, fire brigade, or EMT, incident response in the United Kingdom remains reliant upon the assurance of public and governmental intervention to preserve the nature and efficacy of incident response; what separates the United Kingdom from other countries is its citizen’s empowerment to become involved in the processes that develop emergency services. BIBLIOGRAPHY Bernstein, Edward. (1996) Case Studies in Emergency Medicine and the Health of thePublic. Boston, Jones Bartlett Publishers, Inc. Brock, Stephen E. et al. (1998) Preparing for Crises in the Schools: A Manual forBuilding School Crisis Response Teams. New York, John Wiley Sons, Inc. Chalk, Peter and William Rosenau. (2004) Confronting â€Å"The Enemy Within†: SecurityIntelligence, the Police, and Counterterrorism in Four Democracies. Santa Monica, Rand Publications. Davis, Lynn E. (2003) Individual Preparedness and Response to Chemical, Radiological,Nuclear, and Biological Terrorist Attacks. Santa Monica, Rand Inc. Ebbe, Obi N. Ignatius. (2000) Comparative and International Criminal Justice Systems:Policing Judiciary, and Corrections. Boston, Butterworth-Heinemann. Howell, David W. and Kenneth O. Morgan. (1999) Crime, Protest and Police inModern British Society: Essays in Honour of David J. V. Jones. Cardiff, U of Wales P. Private Publication. (2001) Acute Medical Emergencies: The Practical Approach.London, BMJ Books. Private Publication. (1999) Chemical and Biological Terrorism: Research andDevelopment to Improve Civilian Medical Response. Washington, National Academy Press. Skolnick, Jerome H. (1994) Violence in Urban America: Mobilizing a Response.Washington, National Academies Press. Tupman, Bill and Alison Tupman. (1999) Policing in Europe: Uniform in Diversity.Exeter, England Intellect Books, Inc. Worsing, Robert. (1993). Rural Rescue and Emergency Care. Rosemont, Jones BartlettPublishers, Inc.

Friday, September 20, 2019

Linear B Archives and the Mycenaean World

Linear B Archives and the Mycenaean World What contribution do the Linear B archives make to understanding the Mycenaean world in respect of one of the following: social organisation, cult practices, stock breeding and agriculture, warfare, bronze working? The Linear B archives provide us with the earliest primary evidence about Mycenaean palatial civilisations[1] and an unparalleled insight into the nature of Mycenaean warfare. The archives consist of approximately five thousand clay records[2] and contain information on armour, weapons, chariots, naval warfare and subsidiary details about possible troops. The importance of these documents is greatly enhanced by the complete lack of historical accounts[3] from this era, and also the fact that nearly all of the ideograms used in the archives are devoted to armour, weaponry, horses and chariots[4] means that they are of intrinsic value to the understanding of warfare in the Mycenaean world. However, there are limitations with the Linear B archives, particularly in terms of their chronological range, inventory style and perhaps bias representation of the importance of warfare under normal circumstances. It is also important to consider what other discoveries have made vital contributions to our understanding of Mycenaean warfare, such as the palaces themselves, surviving weapons and representations of war or armour in art. Since all of the tablets come from the palatial centres, one of their most important contributions is that they tell us directly about the economies of the palaces and that their main focus’ were ‘military preparedness’[5], defensive strategies and the wealth to support these things. The Linear B archives record information about the production, refurbishment and also the distribution[6] of many different types of military equipment. It is possible to interpret from the archives, that the Mycenaean’s used a very centralised system to gather and organise military equipment and that this was based around the main palatial complex. Evidence for this can be seen in a tablet from Pylos which lists sixteen different places that were responsible for supplying an amount of bronze in the form of heads for arrows and spears[7]. The tablets also directly show the extent that these palaces were concerned with having a fully equipped force[8], this is mainly due to the sheer number of references to armour and weapons throughout the archives. The many tablets depicting armour are especially useful when trying to understand Mycenaean warfare. Tablets at Tiryns[9], Pylos and Knossos all record suits of armour and provide us with evidence for the use of armour across a wider range of palatial centres than archaeological finds would suggest. At Pylos the tablets mention at least twenty suits of armour with the ideograms for a cuirass and a helmet, and at Dendra there are at least one hundred and forty suits recorded in the chariot tablet[10]. The ideograms themselves are of great value because form them you can see the style and type of armour which is very similar to the suit which was discovered at Dendra and those described by Homer[11]. Not only do the archives provide evidence for the use of armour they also give us some indication of the value of the armour itself. In some tablets the ideogram for armour is replaced with one for a bronze ingot[12], this could be interpreted as a representative of the value of the armour or perhaps as an approximate quantity of material used to make the armour itself. A further contribution made by the archives is the existence of an illustration on the reverse of a tablet. The drawing shows a man wearing greaves and drawing his sword, and was probably the work of a scribe while he was waiting to make his recordings[13]. This is particularly interesting as it allows us to see the influence that warfare may have had on a member of Mycenaean society who chose to sketch this scene and its shows the weapon and armour which was associated with a soldier. Weapons are an essential part of warfare and were a major resource recorded in the tablets. The importance of weapons to the Mycenaean’s can be clearly seen in a tablet from Pylos which records a quantity of recycled bronze by the number of arrow or spearheads it would be able to make[14]. The tablets also contribute to our knowledge of which materials were being used to manufacture weapons, for example we can tell that most weapons were being made from bronze because articles of iron were never mentioned in the tablets[15]. The use of ideograms to depict weapons allows us to partly see how the weapons would be used; thrusting spears, throwing javelins, slings and bows are all shown in the tablets[16]. The ideograms are also useful because it is possible to compare types of swords or daggers by looking at what is different between each separate ideogram. In the Linear B archives there have been large numbers of tablets devoted to chariots or their trappings. Many of these regions have rough terrain so this is often seen as particularly surprising. One example is the region around Knossos, which was, and still is, especially mountainous and the only way to use a chariot would be to bring it to the beach or to the plains some distance away[17]. Records relating to chariots include; a tablet from Pylos listing one hundred and fifty one chariot wheels[18], and the Knossos tablets featuring several hundred chariots and spare parts[19] along with individual inventories which record a name, chariot, horses and a suit of armour[20]. However, of particular interest in terms of chariots are a few texts from Knossos and Pylos. The first, from Knossos, records the distribution of defensive armour to each of the chariot crew[21]. The texts from Pylos, which were found in the Northeast Workshop, list leather items that relate to chariots, some examples are reigns, halters, bridals and saddlebags[22]. These groups of tablets provide us with information that not only supports the other Linear B evidence, but also archaeological finds as well. The archives have far more limited information in terms of naval warfare. At Pylos there are some unclear references to over six hundred ‘rowers’[23], and lists of coastal settlements[24], when considered together, these could be interpreted as naval organisation or defensive preparations. A further important addition to our knowledge of naval warfare is the drawing found on the reverse of a tablet in Pylos, its shows an image of a ship. The image is not only comparable to an ideogram used on a tablet from Knossos, but it also resembles the ships used not by the Mycenaeans but the Minoans[25]. One could argue that there were possible overlaps in the style of ships used from the Minoan period into the Mycenaean era. The contributions made by Linear B are undeniable, but on the other hand it is also vital to consider the disadvantages that these archives have. The records themselves were not intended to be long lasting[26] as they were only preserved by chance. They are in a way comparable to the modern post-it note: a disposable, cheap and transportable way of recording data. The survival of the tablets is also completely random[27], which means that we are often left with fragmented topics and it impossible to tell how complete the archives we have are. The archives are also only based on a certain group of palatial centres and so there is a possibility that there were some differences existing between these and others[28]. Thus meaning that using the archives to get a picture of the entire Mycenaean world is not reliable. A further problem with the tablets is the possibility that there are inaccurate. For example, those found in the ‘Room of the Chariot tablets’, have been interpreted, by some, to be scribal exercises and not genuine records, the reason for this interpretation is that they were all written by different hands in the same characteristic style[29]. If this was the case then much of our evidence for chariots would no longer be valid and the argument for their use in mountainous areas would be far weaker. The archives also have huge chronological limitations in terms of their range as they are either limited to the last year or so before the destruction of the palaces, or they are random undated years[30]. The maximum range of the archives has been dated to between fourteen hundred and twelve hundred BC, and each of the documents only refers to the current year[31]. This makes it extremely difficult to ascertain information regarding trends or patterns across the whole of the Mycenaean era. It is also important to take into consideration that these records represent what can only be seen as a period of unrest for the Mycenaean civilisations. The year before the destruction of the palaces would have probably been far more militaristic than ordinary day to day life. In the tablets we see examples of special provisions made for this time of warfare, one such example was Bronze smiths being excused from having to pay tax because they were so busy making weapons[32]. The tablets from Pylos include records of contributions of gold[33] and specific weights of bronze[34] from local officials; it could be possible that this was to finance the war effort. These records may then be giving us unbalanced view of the priorities of the Mycenaeans, and that perhaps under less pressing times there is a much smaller focus on warfare. Since the Linear archives are almost entirely made up of inventories[35], it is exceptionally difficult to understand either how objects were used or the nature of warfare itself in the Mycenaean world. This is particularly significant when you consider that none of the documents record the existence of an actual army[36]. It seems evident that although the archives provide us with a great amount of information, they do have their limitations. In order to fully understand Mycenaean warfare it is also necessary to consider the archaeological evidence that we have available. For example, the palaces themselves show evidence of a need for strong defences. The building works which took place before their destruction are a clear indication of preparation for sieges and attacks; in particular the introduction of water supplies[37] that would allow those inside the walls to survive, even under a long term siege. Furthermore the contributions in terms weaponry from the archives are much more valuable to us when we use it alongside actual surviving weapons and armour. One of the most important discoveries was the Dendra armour, a full bronze corslet and neckpiece[38] which is made from a number of individual sheets of bronze[39]. Armours of this type were recorded in tablets at both Knossos and Pylos[40] and the armour type can be clearly recognised by the ideograms themselves. We can also use comparisons between archaeological evidence and the tablets to trace different types of sword, and by doing so it is possible to see some possible changes in military practices[41]. Since the archives consist mostly of inventories it is useful to see these items as represented by the Mycenaeans, in particular through art, which gives us the opportunity to see depictions of chariots, weapons and armour in use. One such example of this is the ‘Silver Siege Ryhton’ from Shaft Grave four, which depicts an attack on a walled settlement[42]. What is particularly interesting is that this is a seaborne attack and so could link to the tablets listing coastal settlements from Pylos; it also shows an archer[43] which supports information on weaponry. Another vessel which provides useful information is the ‘Warrior Vase’ from Mycenae, this shows six men marching on each side of the vase. The men all wear white spotted, horned helmets, and carry spears and shields. They wear greaves, short fringed skirts and corslets[44]. The theme of marching soldiers is also seen on the ‘Painted Grave Stelae’ from Mycenae[45]. It is possible then to get some idea of how the equipment of a soldier would be put together and to see that warfare had a big influence on Mycenaean art. The use of boars tusk helmets is far more emphasised through art than in the archives, for example; in the fresco from Akrotiri which is dated to approximately sixteen hundred BC[46], and on a carved ivory relief from the house north of the ‘Oil Merchants’ which shows a Mycenaean warrior wearing a boars tusk helmet. These examples are significant because they represent the need to consider the Linear B tablets as just one part of the picture, and not as a sole contributor to our understanding of Mycenaean warfare. [1] Cline 2010:357 [2] Cline 2010:358 [3] Wardle 1997:45 [4] Cline 2010:367 [5] Cline 2010:367 [6] Cline 2010:367 [7] Rawlings 2007:21 [8] Wardle 1997:63 [9] Lodewijckx 1996:483 [10] Wardle 1997:64 [11] King 1970:296 [12] Wardle 1997:64 [13] Wardle 1997:73 [14] Cline 2010:367 [15] Chadwick 1958:116 [16] Rawlings 2007:23 [17] Lodewijckx 1996:493 [18] Cline 2010:367 [19] Rawlings 2007:21 [20] Wardle 1997:71 [21] Drews 1993:111 [22] Lodewijckx 1996:483 [23] Wardle 1997:73 [24] Wachsmann 1998:124 [25] Wachsmann 1998:125 [26] Cline 2010:358 [27] Wardle 1997:47 [28] Wachsmann 1998:123 [29] Chadwick 1976:169 [30] Cline 2010:358 [31] Edwards 1973:610-11 [32] Chadwick 1958:123 [33] Wardle 1997:39 [34] Wardle 1997:45 [35] Rawlings 2007:22 [36] Chadwick 1976:159 [37] Wardle 1997:73 [38] Hood 1960:9 [39] Hood 1960:10 [40] Wardle 1997:64 [41] Wardle 1997:63 [42] Rawlings 2007:23 [43] Tartaron 2013:64 [44] Suter 2008:82 [45] Suter 2008:83 [46] D’Amato 2013:41

Thursday, September 19, 2019

Bankim Chandra Chatterjee :: essays research papers

Bankim Chandra Chatterjee was one of the great novelists of nineteenth century Bengal. He was a literary pioneer and nationalist who had an exceptional ability to communicate with and arouse the masses. Bankim Chandra was born on 26th June 1838 in the village of Kathalpara, near Naihati, District 24 Parganas, West Bengal. He belonged to a distinguished family. Bankim was the yongest of three sons of Jadabchandra Chatterjee and Durgadebi. His father was a Deputy Collector. Even as a child Bankim showed great courage and virtuosity and never had any fear of the 'gora sahebs'- (the British). He was always brilliant in his studies and started writing poetry at a young age. Bankim studied law from the Presidency College in Calcutta and was one of the first two graduates of the Calcutta University in 1858. He was immediately appointed- Deputy Magistrate by the British colonial government - a job he grudgingly held for three decades. However, Bankim continued his literary pursuits. He chose fiction as his theme and the first novel by him to appear in print was Rajmohan's Wife. It was written in English. His first Bengali novel was Durgeshnandini, and was published in 1865. The next novel Kapalkundala(1866) is one of the best romances written by Chatterjee. However Bankim Chandra wanted to stimulate the intellect of the Bengali speaking people through his works and bringing about a cultural revival. With this end in view he brought out and edited the monthly Bangadarshan in 1872. Bamkim was also a nationalist to the core. His goal was the revival of national pride in protest against British rule. In 1882, Anandamath was published. Anandamath became his most famous as well as his most political novel and a source of inspiration for the patriots fighting for the freedom of our country from the British rule. The chant of "Vande Mataram", was coined in this novel and it soon became a patriotic hymn that arou sed the entire nation to fight for their freedom.

Wednesday, September 18, 2019

Essay on Kinship in A Portrait of the Artist as a Young Man

Search for Kinship in Joyce’s A Portrait of the Artist as a Young Man  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   At the heart of James Joyce’s A Portrait of the Artist as a Young Man lies Stephen Dedalus, a sensitive young man concerned with discovering his purpose in life. Convinced that his lack of kinship or community with others is a shortcoming that he must correct, Stephen, who is modeled after Joyce, endeavors to fully realize himself by attempting to create a forced kinship with others. He tries many methods in hopes of achieving this sense of belonging, including the visiting of prostitutes and nearly joining the clergy. However, it is not until Stephen realizes, as Joyce did, that his true calling is that of the artist that he becomes free of his unrelenting, self-imposed pressure to force connections with others and embraces the fact that he, as an artist, is fully realized only when he is alone. Stephen is painfully aware of his difficulty relating to others early on— the other boys at his first school mock him about his name and his family; his body feels "small and weak" amongst the other boys’ on the football field; he is pushed into a ditch. (Joyce, 246) Frequently, Stephen appears to mentally separate from himself and observe himself from outside Earth’s confines; he writes a progression of "himself and where he was" that reads "Stephen Dedalus†¦Class of Elements†¦Clongowes Wood College†¦Sallins†¦County Kildare†¦Ireland†¦Europe†¦The World†¦The Universe". (Joyce, 255) Though Stephen demonstrates by this list that he is all too aware of his own self and his technical place in the universe, his need to solidify this awareness to himself reveals his uncertainties about how he relates to his surroundings. "With a sudden movement she bowed his head... ...dom and power of his soul, as the great artificer whose name he bore, a living thing, new and soaring and beautiful, impalpable, imperishable". (Joyce, 433) Stephen is now fully able to create from within himself, without being dependent on others to feel whole. This is accentuated by Joyce’s description of the beach scene— "He was alone. He was unheeded, happy and near to the wild heart of life". (Joyce, 433) Stephen the artist is alone and needs to be alone, not to search in vein for companionship that, even if attained, could only drag him from his newfound freedom. This realization of self-fulfillment and self-control is the single defining point in Stephen’s education; it is the brushstroke that completes the "Portrait of the Artist as a Young Man." Works Cited: Joyce, James. A Portrait of the Artist as a Young Man. New York: New American Library, 1991.

Tuesday, September 17, 2019

Marxism: Different Stages of History

Dialectic AnalysisThe basic premise of dialectical analysis is the theory in which society is treated as a historically evolving and systemically interrelated whole, has had a profound impact on political science, economics and sociology. This dialectical method, which seeks to uncover the full context of historically specific social interactions in any given system, is used by Marx as a tool for understanding class relationships under capitalism, and as a means for altering such structures fundamentally.   Uniting theory and practice, Marx declared in his ‘Theses on Feuerbach’:The philosophers have only interpreted the world in various ways; the point is to change it’[1].Dialectical materialism is essentially characterized by the belief that history is the product of class struggle and obeys the general Hegelian principle of philosophy of history that is the development of the thesis into its antithesis.[2]Basic Premise of Materialistic TheoryThe materialist th eory of history starts from the proposition that human beings are creatures of need, and hence that the material side of human life, physical needs and economic action to satisfy them is primary and basic. Historians and social philosophers until then had focused on the actions of states and rulers only and had not considered   the importance of economic developments.According to Marx, every society is composed of certain forces of production (tools, machinery and labour to operate them) with which are associated particular social relations of production (property relations, division of labour). These together constitute the material `base' of society, upon which arises a `superstructure' of political and legal institutions, and ideological forms to include art, religion and philosophy. He further added:  Ã¢â‚¬Å"It is not the consciousness of men that determines their being, but, on the contrary, their social beings which determines their consciousness†[3].The development of productive forcesThe development of the human race from crude stone tools to the bow and arrow, and the subsequent improvement from the life of hunters to the domestication of animals and primitive pasturage; the transition from stone tools to metal tools resulting in a corresponding transition to tillage and agriculture; a further improvement in metal tools, the introduction of the blacksmith's bellows, the introduction of pottery, with a corresponding development of handicrafts, the separation of handicrafts from agriculture, the development of an independent handicraft industry and, subsequently, of manufacture; the transition from handicraft tools to machines and the transformation of handicraft and manufacture into machine industry; the transition to the machine system and the rise of modern large-scale machine industry   are all the characteristic stages of development   of the productive forces of society in the course of man's history.This development and improvement of the instruments of production had been effected by men who were related to production, and not independently of men; and, consequently, the change and development of the instruments of production was accompanied by a change and development of men, as the most important element of the productive forces, by a change and development of their production experience, their labor skill, their ability to handle the instruments of production. In conformity with the change and development of the productive forces of society in the course of history and   men's relations of production, their economic relations also changed and developed.Phases of Materialistic HistoryAt any given historical period the relations of production provide the social framework for economic development. The developing forces of production give rise to increasing conflict with the existing relations of production and these conflicts are reflected as class struggles. `From forms of development of the productive for ces these relations turn into their fetters. Then begins an epoch of social revolution' in which social relations and `the entire immense superstructure' is transformed.[4]Accordingly, Marx concluded that all nations go through five economic stages: primitive, slavery, feudalism, capitalism, and socialism.Primitive PhaseThe basic tenet of production in the primitive phase of human history is that the means of production are community owned which is consistent with the character of the productive forces of that period. Primitive tools and weapons like stone tools and the bow and arrow had limited efficacy and lethality, a major factor which precluded the possibility of men individually combating the forces of nature and beasts of prey. In order to fulfill the routine activities like gathering fruits from the forest, catch fish or game, or to build any form of inhabitation, men were obliged to work in communities or groups to obviate the possibility of death due to starvation, or fall victims of beast of prey or be killed by rival groups.Community form of labour and work led to a community based consumption of the produced yield. At this stage the concept of individual ownership of the means of production did not yet exist, except for the personal ownership of certain implements of production which were at the same time means of defense against beasts of prey. Hence, there was neither exploitation, nor any class structure in place.Slave PhaseThe primitive phase was followed by the Slave Stage which is based on the theory that under this system, the slave-owner owns the means of production and the workers in the production chain. Such relations of production correspond to the state of the productive forces of that period. In this stage, the slave owner has all the rights over the slave- whom he can sell, purchase, or kill as though he were an animal. During the slave stage, the primitive stone tools and   Ã‚  primitive husbandry have been replaced by metal tool s and pasturage tillage respectively .The primitive man who till now was in the possession of the most basic tools   now possessed the means to conduct farming , handicrafts and tillage, and a division of labor between these branches of production. There appears the possibility of the exchange of products between individuals and between societies, of the accumulation of wealth in the hands of a few, the actual accumulation of the means of production in the hands of a minority, and the possibility of subjugation of the majority by a minority and the conversion of the majority into slaves.At this stage, the common and free labor of all members of society in the production process is replaced by the forced labor of slaves, who are exploited by the non-laboring slave-owners. The main aspects of this stage is the appearance of the slave owner(the prime and principal property owner), the increasing existence of the rich and poor, exploiters and exploited, people with full rights and peo ple with no rights, and the beginning of a   fierce class struggle between them.Feudal StageThe basis of the relations of production under the feudal system is that the feudal lord owns the means of production and does not fully own the worker in production. This implies that the worker of the slave stage has progressed and he can no longer be owned, bought or sold by the slave owner. Alongside of feudal ownership there exists individual ownership by the peasant and the handicraftsman of his implements of production and his private enterprise based on his personal labor[5].Such relations of production correspond to the state of the productive forces of that period. Further improvements in the smelting and working of iron; the spread of the iron plow and the loom; the further development of agriculture, horticulture, viniculture and dairying; the appearance of manufactories alongside of the handicraft workshops; have all led to enhanced importance of the worker who is now a skilled artisan. The new productive forces demand that the laborer/worker/artisan shall display some kind of initiative and inclination in production and for work.The feudal lord therefore discards the slave, as a laborer who has no interest in work and is entirely without initiative, and prefers to deal with the serf (artisan), who has his own husbandry, implements of production, and a certain interest in work essential for the cultivation of the land and for the payment in kind of a part of his harvest to the feudal lord.In this stage, private ownership is further developed and the affects of exploitation is slightly mitigated. A class struggle between exploiters and exploited is the principal feature of the feudal system.Capitalist StageThe basis of the relations of production under the capitalist system is that the capitalist owns the means of production, but not the workers in production[6] – the wage laborers, whom the capitalist can neither kill nor sell because they are pers onally free, but who are deprived of means of production and in order not to die of hunger, are obliged to sell their labor power to the capitalist.Due to the rapid strides in the technological and the industrial aspects, there is an increased importance of the technologically intensive means of production like the factories, mills and the huge capitalist farms run on scientific lines and supplied with agricultural machinery. This rapid change in the means of production has an adverse impact on the workers.The private property of the peasants and handicraftsmen in the means of production being based on personal labor is rendered insignificant and they have to submit their labour to the owners of the means of production. The new productive forces require that the workers in production shall be better educated and more intelligent in comparison to the earlier workers, in the sense that they understand machinery and operate it properly. Therefore, the capitalists prefer to deal with wa ge-workers, who are free from the bonds of serfdom and who are educated enough to be able properly to operate machinery.Transition to CommunismThe division of society into classes gives rise to political, ethical, philosophical, and religious views of the world, views which express existing class relations and tend either to consolidate or to undermine the power and authority of the dominant class. Marx clarifies it further:â€Å"The ideas of the ruling class are, in every age, the ruling ideas: i.e., the class which is the dominant material force in society is at the same time its dominant intellectual force. The class which has the means of material production at its disposal, has control at the same time over the means of mental production.†[7]However, oppressed classes, although hampered by the ideological dominance of oppressors, generate counter-ideologies to combat them. In revolutionary or pre-Revolutionary periods it even happens that certain representatives of the d ominant class shift allegiance. New social relationships begin to develop within older social structures and result from contradictions and tensions within that structure at the same time as they exacerbate them.For example, new modes of production slowly emerged within late feudal society and allowed the bourgeoisie, which controlled these new modes of production, effectively to challenge the hold of the classes that had dominated the feudal order. As the bourgeois mode of production gained sufficient specific weight, it undermined the feudal relations in which it first made its appearance. â€Å"The economic structure of capitalist society has grown out of the economic structure of feudal society.The dissolution of the latter sets free the elements of the former.†[8] Similarly, the capitalist mode of production brings into being a proletarian class of factory workers. As these men acquire class consciousness, they discover their fundamental antagonism to the bourgeois class and band together to overthrow a regime to which they owe their existence. â€Å"The proletariat carries out the sentence which private property, by creating the proletariat, passes upon itself.†[9]  the process of industrialization concentrates working people in factories and cities, hence the working class develops from being an unorganized and unconscious mass through its struggle with the bourgeoisie to being an organized and conscious political force, a force which is ultimately destined to be the `gravedigger' of capitalism and to inaugurate a new mode of production: socialism[10]SocialismThe conquest of political power by the working class will lead to the creation of a socialist state in which the working class is the ruling class and which functions in the interests of the working class. In this way the `dictatorship of the proletariat' will replace the `dictatorship of the bourgeoisie'. Its main purpose is to abolish the private ownership of the means of producti on, and hence the social and economic basis of class divisions. As the   material basis of class divisions is dissolved, class differences will gradually disappear, and with them the need for the state as an instrument of class rule and as a distinct coercive force. In the higher stage of full communism, the state is destined ultimately to `wither away'[11], as Engels puts it, and `the government of people will be replaced by the administration of things'[12]ConclusionDuring the present century, history itself seems to have provided a remarkable confirmation of the main outlines of Marx's thought. At one stage in modern history, the prediction that capitalism is destined to be restricted to a particular and limited historical stage which will be superseded seemed to be justified by the succession of revolutions which removed a large part of the world from its grip. The collapse of the regimes of Soviet and Eastern European communism in 1989, however, has proved that Marxism is now dead and that its prediction of a historical stage beyond capitalism is an illusion. Nevertheless, it remains the most comprehensive and powerful theory for understanding and explaining the capitalist world.[1] Marx, Karl (1845) Theses on Feuerbach, in Karl Marx and Frederick Engels, Selected Works, New York: International Publishers, 1968, pp. 28–30.[2] Marx, The Poverty of Philosophy, [1847a], London: Lawrence & Wishart, 1955, chapter II [3] Marx, Karl A Contribution to the Critique of Political Economy(1859),PP 389.                                                                            [4] Ibid 389-90[5] G.A. Cohen, Karl Marx's Theory of History: A Defence, Oxford: Oxford University Press, 1978,pp65                        [6] Ibid [7] Marx Karl, Selected Writings, ed. D. McLellan, Oxford: Oxford University Press, 1977 [8] Ibid[9] Ibid [10]Marx and Engels The Communist Manifesto [1848], Selected Works, V olume 1, Moscow: : Foreign Languages Publishing House, 1962 [11] V.I. Lenin, State and Revolution, in Selected Works in Three Volumes, Volume 2, Moscow: Progress Publishers, revised edn 1975,10-14                                                                                                                                                                                  [12] Capital, 3 Volumes [1867, 1885, 1894], London: Lawrence & Wishart, 1961-71