Saturday, August 31, 2019

Analysis of “Why I Love My Strict Chineses Mom” Essay

The correct way of raising a child? Sophia Chua-Rubenfeld’s essay â€Å"Why I love my strict Chinese mom† is a response to the all the negative feedback her mother had gotten for her essay â€Å"Why Chinese Mothers are Superior†. The intention of this essay is to persuade and inform the reader of why Amy Chua raised her daughter Sophia the correct way. Chua-Rubenfeld’s first argument is that the critics (the outsider) have no clue of what the Chua-Rubenfeld family is like (p. 2, l. 21). The fact that Chua-Rubenfeld is stating that â€Å"you don’t know what you’re talking about, because you don’t know me and/or my family† makes this a classical argument, which in reality is no valid argument. However, her main claim throughout the essay is supported by a strong warrant and ground. Chua-Rubenfeld’s main claim is that Amy Chua’s strict parenting forced her to be more independent and act as an adult. The way her mother did this was by pushing her daughte r to become more successful. Chua-Rubenfeld’s mother taught her that creativity takes effort, which in this case is used as Chua-Rubenfeld’s warrant: One should always work hard and push one’s self to the limit. And according to Chua-Rubenfeld this applies to everyone independent of one’s goals in life. Only by forcing body and mind one can truly achieve anything. Chua-Rubenfeld’s ground is very much connected to her claim and warrant, because she can see how her mother’s upbringing of her has made her independent, and has made her pursue knowledge. This is why Chua-Rubenfeld calls her mother â€Å"Tiger-mom†. The tiger symbolizes a fierce and brave person and the animal itself has a very high status. These are qualities that Sophia Chua-Rubenfeld appreciates, and thanks her mother for having. The Chua-Rubenfeld way of upbringing a child appears to be completely different from what experts believe is the correct way. In Kate Lovey’s article â€Å"Let them eat pizza: Parenting guru’s recipe for bringing up children† the reader is introduced to a different opinion. A parenting guru Dr Bryan Caplan claims that children’s lives are â€Å"shaped mostly by their genes and their own choices.† (p. 5, l. 18). This article is characterized by its great use of argumentative features. Dr Bryan Caplan bases his arguments on biological research and scientifically proved facts. The appeal form used is ethos, since the reader trusts the doctor because he has a certain authority. However, the arguments that he uses do unfortunately not  appear convincing, because he only bases his ground on quantitative data. It is possible to convince someone with statistical material but it involves using an amount of qualitative data, as it explains why statistics tell us what they do. The two previous articles may seem each other’s opposites, concerning the ways of raising a child. In A. S. Neill’s article â€Å"Summerhill – a radical approach to child rearing† he introduces another way of upbringing a child where he focuses on education. He clearly states that the important part of educating is helping the child in becoming better at what the child is good at. He supports his claim by using a lot of topological features. In the beginning of the article he incorporates a story about Nijinsky to demonstrate his point: The world will not develop geniuses if it does not spot and utilize the child’s talent. By incorporating a famous ballet dancer he engages the reader because the reader can hardly disagree on what Neill is saying. The reader is also engaged because education is such an important thing. Through the education one is developed. Therefore it is essential that the educational system is properly functioning. It is important to remember the function of our educational system. The future of the world depends on the teachers and the pupils, and education should prepare the children for the world. But there is a fine line between preparing and dictating. The society does not only need lawyers, doctors, and other jobs associated with high status. It is dependent on and needs cleaning ladies, police officers, engineers as well as an y other jobs. Therefore, in order to provide the world with smart and skilled people the educational system should develop the child’s natural talent and interests. This is also applicable when talking about the upbringing of a child. For example some kids may naturally be better at sport and the parent should thus reward and encourage the child. However, there is something called general education which should be incorporated in the learning process, because the child will probably have some difficulties in the modern society if this is ignored. Furthermore, it is necessary to teach the child how to behave in certain situations and also in general. But a lot of the upbringing of a child depends on the cultural background. Different cultures have different ways of raising children. Depending on the culture the values in the upbringing of a child may vary extremely. However, the parent should acknowledge that we live in a globalized world where the child will meet  different cultures. Ther efore the parent should prepare the child for an open mind.

Friday, August 30, 2019

Gillette Essay

Case Analysis for Gillette: Product and Marketing Innovation 9/11/2012 Abstract Gillette is seeking means to retain dominance in market share they have lead for the last century. Along with sustaining market share Gillette has continued focus on expanding worldwide into less saturated markets. In this analysis multiple alternatives will be explored in order to make a recommendation on steps that would favor Gillette’s organization in meeting their aspirations. Situation Analysis Product quality and efficient marketing are the core value propositions that set the pace for Gillette’s success. With continued innovation in both product development and marketing strategies Gillette has been able to retain a commanding worldwide market share in a highly competitive, but mature, razor and blade market. Strong market share allowed Gillette to sustain profits even through economic droughts in recent years. On the flip side, Gillette’s innovation success also posed challenges. In order to maintain their market share, a dependency on continuous product improvement formed over time. Now Gillette will need to determine how to balance investment in research and development along with other areas of the organization. At times their own innovation of new product lines impacted their leading product lines in the market. During the 1990s Gillette found themselves cannibalizing their own successful products when trying to out due the competition. Even though internal competition shifted sales from one product line to another, Gillette’s sales were able to re-coop development costs. Expanding market share around the world also revealed challenges with varying religious and culture beliefs. Western influences have started to generate growth with European woman as younger generations watch American movies and television that depict women with sleek underarms and legs. Gillette’s latest innovation, the Fusion 5(+1) blade, was back in 2006. Since then Schick, Gillette’s leading competitor has not responded with their own break through. Gillette should be wondering what Schick might do next. Problem As the market Gillette has lead for so long became mature, their growth ultimately declined due to market saturation and increase competition. Fluctuations occurred only when newer, more innovative products were introduced. This put more pressure on development advancements and marketing tactics. Many analysts believe that Gillette and Schick, leaders in razors and blades, have reached the end of meaningful product innovation [1]. In 2006 when the Fusion 5(+1) blade was introduced, it exploded off the shelves. Gillette sold more than 4 billion Fusion razors with in the first two months. The Fusion’s initial success was quickly fleeting as sales reports showed that razors were outselling the cartridge refills. This was very concerning to Gillette as it is well-known that razor manufacturers earn most of their profits from refills, not the initial razor purchase. Critics also questioned why five blades were needed to get the best shave when Gillette had touted its three-bladed Mach3 as †the best a man can get. † â€Å"Consumer reports conclude that there were no additional performance benefits provided by the five-bladed Fusion, especially when compared to the Mach3† [1 pg391]. Economic recession also impacted sales as Gillette’s products went up in price due to a need to re-coop development costs. How can Gillette continue to maintain or grow market share in a mature market and keep future strategies aligned with customer wants? Alternatives Continue product line and marketing without major change. No additional research and development costs would need to be spent, which in return reduces the need to raise prices for maintaining their profit margin. However the risk looming would be competitor innovation impacting current market share. Schick may produce a new innovative product that would sway consumers from purchasing Gillette’s products. As stated in the case Gillette must find new ways to innovatively out-produce or out-market the competition. Investing in research and development to create new product line or enhance current products adds considerable expenses. Development costs will need to be re-cooped. This will keep competitors in check, but will be challenging to keep pricing competitive. Compliment current leading product lines that keep consumers happy. Promoting Christmas, Father’s day and Mother’s day gift grooming kits that meets more of the consumer’s needs will also introduce consumers to other product lines Gillette has to offer. Focus marketing potential growth opportunities globally by challenging resistance in product awareness and interests. As a Gillette razor consumer, I have encountered an inconvenience that I think can be solved and build customer loyalty. I’ve been using Mach 3 razors for over fifteen years, and when purchasing refills I have found it difficult to find blades that are compatible with the razor handle that I own. Thinking out of the box, what if Gillette were to make razor handles that are compatible with any of Gillette’s product line of refills? This would then provide consumers the freedom to purchase from a variety of Gillette’s product lines without having to spend extra money on a handle that works with the particular product refill. Owning a Gillette universal handle would also encourage customers to stay with Gillette refills as converting to another brand would cost more with the initial required handle purchase. Implementation From the case I would assume Gillette will continue to â€Å"innovatively out-produce or out-market the competition† [1]. I believe moving forward with developing a universal handle with Gillette refills would accomplish this. This would require investment into developing a new handle and rollout of the product. Here is an approximate timeline to complete.

Thursday, August 29, 2019

Building a rule based credit risk assessment expert system Research Paper

Building a rule based credit risk assessment expert system - Research Paper Example In most cases, statistical preventive analytical techniques are used to analyze and determine credit risk levels associated with loans and credits given to borrowers. Therefore, the significance of credit risk assessment is to reduce credit or loan defaulters. Adequate information about the credit users are often for the analysis of credit risk levels. This information is usually obtained from internal credit scoring systems. This system allows computation of personal information credit scores from credit reports (Camp 14). Such information is provided for by rating agencies or external credit bureaus. Notably, the credit scores often indicate an individual or organizations’ current and historical financial situation. These financial reports are then used to analyzing credit risk levels thereby determine credit defaulters (Grzymala-Busse 71). However, the internal credit scoring techniques do not define defective or ineffective score. Therefore, it does not predict the actual levels of risk associated with lending a person. The shortcomings of the internal credit scoring methods have been solved by the use of the Profiling risky credit segments. This method is tremendously significant in assessing credit risk levels. It applies The Pareto principle that suggests that the majority (eighty to ninety percent) of the credit defaulters emanate from lower (ten to twenty percent) lending segments. Therefore, segment profiling usually provide vital information for credit risk analysis. In this analysis, Credit providers usually collect vast credit information or data of the credit users (Graham and Milne 38). Numerical and categorical data concerning the credit users are collected. Since the collected information is never synchronized, it is often considered noisy or insufficient. Therefore, profiling facilitates the identification of variables or

Wednesday, August 28, 2019

Business Law Essay Example | Topics and Well Written Essays - 500 words - 9

Business Law - Essay Example Especially from the point of view of securing intellectual property rights, social media mocks at those thinking of this. The speed of information dissemination and exchange is so fast on internet that by the time one finalizes of a website or trademark of web address, another person wins in getting a similar or exact copyright. Also, contractual agreements with employees on the issue of reasonable use of company resources and abiding by the privacy and security rules of company’s information are also at stake. Employees today generally ‘friend’ their competitors on social networking sites like Facebook, Orkut and twitter and reveal many of the important and sensitive company information to other through posts and tweets which is available for others to look at and comment upon. This gives rise to unethical marketing practices and organizational gimmicks which ultimately lead to more litigations and breaches of contracts. From the widespread use of social media, it seems as if people are managing what they actually do not understand properly. In order to expand the friend list at social networking sites, employees and even bosses ‘friend’ their competitors also which can damage the reputation of the company and place potential legal issues on posting and sharing confidential and damaging information over internet. From both legal and ethical standpoints, this seems to be a grave situation as boundary line between communication channels and privacy barriers is getting blurred due to the usage of social media. Businesses need to have more control, monitoring and action steps program in place because social media can become a fierce tool in the hands of ‘disgruntled’ employees to embarrass the company. Similarly, contracts with employees also need to be watched carefully as no one knows which employee is actually working for the benefit of the company and

Tuesday, August 27, 2019

An Investigation into the issue of human trafficking, the factors that Essay

An Investigation into the issue of human trafficking, the factors that promote it and the obstacles in preventing this evolving - Essay Example Although human trafficking has been present for a very long time, it has increased a lot in the last quarter of the 20th century due to a number of reasons, the main being the increased number of refugees due to many civil wars, increased poverty due to global crises and natural disasters, and the increased emphasis on sexuality in the media. Human trafficking is not just an issue that can be taken lightly. It does not just lead to the exploitation of human beings through the development of the sex industry and forced labor, but also results in other illicit activities. Often, the money from the illicit profits is used for the growth and expansion of drugs or illegal weapons related businesses. This kind of a business again requires some form of exploitation of children and women, and sometimes even men. So a vicious circle is formed from which people cannot escape. Rather more and more fall into these precarious work conditions. The issue of human trafficking needs to be addressed p roperly by governments that want to break people out from the vicious cycle of human trafficking. ... The paper, therefore, looks at the reasons in a lot of detail. In order to understand them, however, it is important to fully comprehend the definition and forms of human trafficking. Definition Human Trafficking, according to Jordan (2002), is the movement of humans within or across borders by the use of inappropriate means, like fraud and force, so that they can be forced into labor, slavery, and servitude. So, human trafficking is an illicit trade whereby human beings are ‘sold’ for the purpose of commercial promotion or slavery. To be more precise, however, the definition provided by the UN Convention on Transnational Organized Crime and adopted by the UN General Assembly on 15 November 2000, according to Bakirci (2009), is as follows. ‘[. . .] recruitment, transportation, transfer, harboring or receipt of persons, by means of threat or other forms of coercion, of abduction, of fraud, of dishonesty, of the misuse of power or of a situation of susceptibility or of the taking or getting of payments or benefits to achieve the consent of a person having control over another person, for the purpose of exploitation’ Hence trafficking, according to the UN Convention on Transnational Organized Crime, includes at the very least either some form of sexual exploitation or labor exploitation. It is very important to state here, as Bakirci (2009) relates that human trafficking does not necessarily require movement. Unlike human smuggling, human trafficking does not need the person to be moved from one way to the other. But, in effect, trafficking means the recruitment and harboring of individuals in the professions that have been discussed in the definition above. So, people can also be trafficked in their homelands, as

Monday, August 26, 2019

Proposal Research Proposal Example | Topics and Well Written Essays - 2500 words

Research Proposal Example (a) Horizontal dimensions, and (b) Extended uniform setbacks. The analysis is conducted using total 24 two-dimensional five-story, five-bay MRSF models that cover all possible combinations of the vertical and horizontal dimensions of uniform setbacks. The effects of irregularities and variations in elastic demands, in response to earthquakes, will be investigated and compared through; (a) Modal properties (b) Elastic base shear strength demands (c) Elastic story shear strength demand (d) Global displacement demands (e) Story drift demands (f) Elastic multi degree of freedom systems (MDOF) modification factor. Variation in these parameters is determined using accepted linear static and dynamic procedures. During the study, the variation in inelastic capacities will also be evaluated and compared through; (a) Base and story yield shear strengths (b) Global and story ductility capacities (c) Failure mechanisms and ultimate strengths (d) Inelastic seismic design coefficients such as; structural ductility factor (), ductility reduction factor (R), structural over-strength factor () and their distributions using nonlinear static procedure, namely push-over analysis. The limitations and adequacy of each analysis procedure in predicting demand and capacities of buildings with specific amount of irregularity will also be evaluated by comparison with the results obtained from "exact" nonlinear time-history analysis procedure. The study is expected to define, 'limit states' of uniform setbacks, for the application of each procedure determining seismic demands and capacities. 1. INTRODUCTION 1.1 Background and Motivation of the study Design of a building with vertical geometric... (d) Inelastic seismic design coefficients such as; structural ductility factor (), ductility reduction factor (R), structural over-strength factor () and their distributions using nonlinear static procedure, namely push-over analysis. The limitations and adequacy of each analysis procedure in predicting demand and capacities of buildings with specific amount of irregularity will also be evaluated by comparison with the results obtained from "exact" nonlinear time-history analysis procedure. The study is expected to define, 'limit states' of uniform setbacks, for the application of each procedure determining seismic demands and capacities. Design of a building with vertical geometric irregularity to resist earthquake loads is a challenging problem that structural engineering needs to overcome early in the conceptual design phase.

Sunday, August 25, 2019

Civil Engineering Research Paper Example | Topics and Well Written Essays - 2500 words

Civil Engineering - Research Paper Example Civil engineering is one of the best professions because it gives assurance of a good career ahead with enormous opportunities for growth and service to society because a civil engineer works for the improvement of facilities and services provided to people in the form of infrastructure and comfort of living. Taking up civil engineering as a profession offers unlimited creativity, a good career growth, and mental satisfaction because of the opportunity to serve the people.Civil engineering is a very vast field and thus provides a number of options for professional growth. Starting from studying the feasibility of a project the next job of the civil engineer is to plan the execution of the project. The next stage is the design of the project which is a very critical phase of the project and design requires the engineers to have a strong command over the technical skills related to structural and geotechnical engineering. After that, the contract process starts and there is an extensiv e involvement of legal proceedings. The construction phase of the project is the stage where the real execution of ideas is carried out and the designs are realized on a ground surface. The job of civil engineer does not end here, the maintenance of the structures, the waste management and provision of access to the structure are also the responsibilities of a civil engineer. Therefore civil engineering as a profession offers a wide range of opportunities and a person can select the field which suits his abilities and aptitude.

Saturday, August 24, 2019

Assignment Example | Topics and Well Written Essays - 250 words - 137

Assignment Example Thus, the equation is equal. Adding the exponents is just the shortcut in doing the multiplication of equation with different exponents. 2. The equation  is not equal to . As you can see, when you substitute the variable with the quantity 2, the first equation will yield 24,576 while the second will result to 2,304, which are not the same values. Thus, it is wrong to assume that in raising a power to another power you add their exponents. Instead, the exponents will have to be multiplied. Here is what will happen to the given equation: To test if the equation is correct, substituting the variable with any quantity will yield the same results. For example, substituting the variable with number 2 will result to 24,576 to both sides. As you can see, the only way to raise the power with another power is to multiply the exponents. 3. We can simplify the equation  + 3  because they have the same base raised to the exponent 4. As a general rule with addition, you can only add like terms. In simplifying the equation using reverse distribution method, here is what will happen: The common term common to both the sides taken as general factor is . Thus, the equation is simplified. On the other hand,  + 4  can not be simplified further because the base p is not raised to the same power. You can not add unlike terms. Thus, the equation can not be simplified

Friday, August 23, 2019

Provide a critique of the research methodology contained in pdf file Essay

Provide a critique of the research methodology contained in pdf file - Essay Example A research methodology, which is to be used for one research study, say, incidence of HIV in underdeveloped countries may not be applicable for yet another study, say, role of governess in children welfare, etc. So there is nothing like the best, or most suitable research methodology. â€Å"A Research on reading comprehension needs to develop alternative methodologies which have a more qualitative orientation.† A lot would definitely depend upon the circumstances of the case study, its theoretical presentations, the research proposal and what exactly is needed to be achieved, through the proposed Research Study. Therefore, a lot would depend upon the availability of data, as is evidenced in the current study of the effects of e-commerce, on the developments of e-commerce in Russia. The growth of e-commerce in Russia has not kept pace with the growth rate experienced in other parts of the world, especially UK, USA and other countries of the European Union. Due to lack of purchasing power by the people (27%), lack of people with needed infra-structure (25%), poor quality of telephone services, (18%), inadequate postal system in the country (16%) and other impeding circumstances, it has not been possible to carry out an extensive research as would have been necessary to fully analyse the impact of ecommerce in Russia in recent years. (Doern 2006, p.315- 327). In the first place, the population sample concentrates of just the two big cities in Russia, St. Petersburg and Moscow, have been taken for research purposes. Therefore it could be said that the study has limited itself to study of samples available in these two cities. It is necessary that in order to assess the impact of ecommerce on the economy of Russia, it is necessary to take an extensive study which encompasses, nearly all the major computer using population of the country. It is seen that, in the first phase, the sample has been drawn from the

19th christianity accomdodationist vs. protectionist Biblical critics Essay

19th christianity accomdodationist vs. protectionist Biblical critics - Essay Example Van Gogh and Monet painted vivid paintings, Beethoven and Chopin composed wonderful pieces, and Dickens and Dickenson wrote beautiful passages. The continuing developments in the understanding of the natural law of the world raised questions about Christianity. Historical consciousness in addition to nineteenth century advancements created a field of Biblical Critics and Protectionists, as more people looked at the occurrences in the Bible. ‘Accommodationist’ held the position that Christianity must change in a way that reflects advances in science, philosophy, and biblical scholarship. ‘Protectionist’ held that Christianity had no obligation to change, and Christianity must be protected from the challenges that scholarship presents. Both sides had many scholars. This paper looks at the accommodation view held by Strauss versus the protection view held by A.A. Hodge and B.B. Warfield. Strauss believed the essence of Christianity was true, but critically disagreed with many important tenets of the faith. â€Å"To all, belief, not built on demonstration, doubt is inherent, though it may not be developed†¦.just as the believer is intrinsically a skeptic or critic, so on the other hand, the critic is intrinsically a believer† (Strauss, 157). Strauss stated the Bible came into its being through mythical means. He believed that Jesus unified God and humanity. However, Jesus did not perform miracles. Instead, the stories of Jesus’ miracles were added to the Bible through orally transmitted stories that by the time the disciples wrote the New Testament were showing that Jesus had disobeyed natural laws. â€Å"The mythical view once admitted, innumerable, and the never otherwise to be harmonized, discrepancies and chronological contradictions in the Gospel histories disappear, as it were at one stroke† (Strauss, 56). Strauss claimed that mysticis m appeared throughout the Bible. Strauss claimed mysticism created Jesus’

Thursday, August 22, 2019

Lars Von Trier Essay Example for Free

Lars Von Trier Essay Lars Trier was born in Kongens Lyngby, north of Copenhagen, the son of Inger Trier (nà ©e Hà ¸st, 1915—1989). He had believed that his biological father was Ulf Trier (1907—1978), until his mother revealed to him on her deathbed that he had been conceived as a result of an affair she had with her employer, Fritz Michael Hartmann. His mother considered herself a Communist, while his father was a Social Democrat, and both were committed nudists,[5] and the young Lars went on several childhood holidays to nudist camps. They regarded the disciplining of children as reactionary. Trier has noted that he was brought up in an atheist family, and that although Ulf Trier was Jewish, he was not religious. His parents did not allow much room in their household for feelings, religion, or enjoyment, and also refused to make any rules for their children,[6] with complex results for von Triers personality and development.[7] He began making his own films at the age of 11 after receiving a Super-8 camera as a gift and continued to be involved in independent moviemaking throughout his high school years.[3] In 1979, he was enrolled in the National Film School of Denmark.[8] His peers at the film school nicknamed him von Trier. The name is sort of an inside-joke with the von (German of or from used as a nobiliary particle), suggesting nobility and a certain arrogance, while Lars is a very common and Trier not an unusual name in Denmark.[9] He reportedly kept the von name in homage to Erich von Stroheim and Josef von Sternberg, both of whom also added it later in life.[10] During his time as a student at the school he made the films Nocturne and The Last Detail, both of which won Best Film awards at the Munich International Festival of Film Schools.[11][12] In 1983 he graduated with the 57-minute Images of Liberation, which became the first Danish school film to receive a regular theatrical release.[13] Europe trilogy After graduation he began work on the very stylized crime drama, The Element of Crime (Forbrydelsens element 1984), which won a technical award at the Cannes Film Festival. His next film was Epidemic (1987), which was also shown at Cannes in the Un Certain Regard section. The film is partly a dark science fiction-tale of a future plague epidemic, and partly chronicles two filmmakers (played by Lars von Trier and screenwriter Niels Và ¸rsel) preparing that film, with the two storylines ultimately colliding. For television von Trier directed Medea (1988), which won the Jean dArcy prize in France. It was based on a screenplay by Carl Th. Dreyer and starred Udo Kier. He completed the Europe-trilogy in 1991 with Europa (released as Zentropa in the U.S.), which won the Prix du Jury at the 1991 Cannes Film Festival[14] and picked up awards at other major festivals. In 1990 he also directed the music video for the worldwide hit Bakerman by Laid Back.[15] This video was reused in 2006 by the English DJ and artist Shaun Baker who did a remake of Bakerman. Zentropa and The Kingdom In 1992 he and producer Peter Aalbà ¦k Jensen founded the movie production company Zentropa Entertainment, named after a train company in Europa, their most recent film at the time.[8] The reason for doing this was to achieve financial independence and to have total creative control. The production company has produced many movies other than von Triers own as well as television series. It also has produced hardcore sex films: Constance (1998), Pink Prison (1999), HotMen CoolBoyz (2000) and All About Anna (2005). In order to make money for his newly founded company,[16] he made The Kingdom (Riget, 1994) and The Kingdom II (Riget II, 1997), a pair of miniseries recorded in the Danish national hospital, the name Riget being a colloquial name for the hospital known as Rigshospitalet (lit. The Kingdoms Hospital) in Danish. A projected third installment in the series was derailed by the 1998 death of Ernst-Hugo Jà ¤regà ¥rd, who played Helmer, one of the major characters. Dogme 95 In 1995, Lars von Trier and Thomas Vinterberg presented their manifesto for a new cinematic movement which they called Dogme 95. It would however take a while before the first of these films appeared, and at this point many thought of the concept mainly as a radical idea with no future.[citation needed] In 1996, von Trier conducted an unusual theatrical experiment in Copenhagen involving 53 actors, which he titled Psychomobile 1: The World Clock. A documentary chronicling the project was directed by Jesper Jargil, and was released in 2000 with the title De Udstillede (The Exhibited). Von Triers next film, Breaking the Waves (1996), the first film in von Triers Golden Heart Trilogy, won the Grand Prix at Cannes and featured Emily Watson, who was nominated for the Academy Award for Best Actress. Its grainy images and hand-held photography pointed towards Dogme 95. The second was The Idiots (1998), nominated for a Palme dOr, which he presented in person at the Cannes Film Festival notwithstanding his dislike of travelling. Dancer in the Dark (2000) was the final component of the trilogy. As originator of the Dogme 95 concept, which has led to international interest in Danish film as a whole, he has inspired filmmakers all over the world.[17] Trier and Thomas Vinterberg, who created the Dogme 95 Manifesto and the Vow of Chastity together with their fellow Dogme directors Kristian Levring and Sà ¸ren Kragh-Jacobsen shared in 2008 the European Film Award European Achievement in World Cinema. Explicit images Von Triers use of sexually explicit images in The Idiots (1998) started a wave[citation needed] of arthouse mainstream films with unsimulated sex, such as Catherine Breillats Romance (1999), Baise-Moi (2000), Intimacy (2001), Vincent Gallos The Brown Bunny (2003) and Michael Winterbottoms 9 Songs (2004). In 1998, Lars von Trier also made history by having his company Zentropa be the worlds first mainstream film company to produce hardcore pornographic films. Three of these films, Constance (1998), Pink Prison (1999) and the adult/mainstream crossover-feature All About Anna (2005), were made primarily for a female audience, and were extremely successful in Europe, with the first two being directly responsible for the March 2006 legalizing of pornography in Norway.[18] Women too like to see other people having sex. What they don’t like is the endless close-ups of hammering bodyparts without a story. Lars von Trier is the first to have realised this and produced valuable quality porn films for women. — Stern No. 40, 27 September 2007[19] Lars von Triers initiative spearheaded a European wave of female-friendly porn films from directors such as Anna Span, Erika Lust and Petra Joy, while von Triers company Zentropa was forced to abandon the experiment due to pressure from English business partners.[20] In July 2009, womens magazine Cosmopolitan ranked Pink Prison as No. 1 in its Top Five of the best women’s porn, calling it the role model for the new porn-generation.[21] Lars von Trier would return to explicit images in his self-directed Antichrist (2009), exploring darker themes. 2000s In 2000, von Trier premiered a musical featuring Icelandic musician Bjà ¶rk, Dancer in the Dark. The film won the Palme dOr at Cannes.[22] The song Ive Seen It All (which Trier co-wrote) received an Academy Award nomination for Best Song. The Five Obstructions (2003), made by Lars von Trier and Jà ¸rgen Leth, is a documentary, but also incorporates lengthy sections of experimental films. The premise is that Lars von Trier challenges director Jà ¸rgen Leth, his friend and mentor, to remake his old experimental film The Perfect Human (1967) five times, each time with a different obstruction (or obstacle) specified by von Trier.[23] He then directed two films in his announced U.S. trilogy: Dogville (2003), starring Nicole Kidman and Manderlay (2005), starring Bryce Dallas Howard in the same role – as Grace. Both films are extremely stylized, with the actors playing their parts on a nearly empty soundstage with little but chalk marks on the floor to indicate the sets. Both films had huge casts of major international actors (Harriet Andersson, Lauren Bacall, James Caan, Danny Glover, Willem Dafoe, etc.), and questioned various issues relating to American society, such as intolerance in Dogville and slavery in Manderlay. Controversy erupted on the 2004 set for Manderlay when actor John C. Reilly walked off the Trollhà ¤ttan, Sweden, set in late March. Reilly walked off the film when he learned that an upcoming scene involved the slaughter of a donkey for food. The films producer says the animal—who was old and not expected to live much longer—was killed off-camera by a certified veterinarian, in accordance with Swedish law. Reilly was replaced by Zeljko Ivanek.[24] The U.S. was also the scene for Dear Wendy (2005), a feature film directed by von Triers Dogme-brother Thomas Vinterberg from a script by von Trier. It starred Jamie Bell and Bill Pullman and dealt with gun worship and violence in American society. In 2006, von Trier released a Danish-language comedy film, The Boss of it All. It was shot using a process that von Trier has called Automavision, which involves the director choosing the best possible fixed camera position and then allowing a computer to randomly choose when to tilt, pan or zoom. It was followed by an autobiographical film, De unge à ¥r: Erik Nietzsche sagaen del 1 (2007), scripted by von Trier but directed by Jacob Thuesen, which tells the story of von Triers years as a student at the National Film School of Denmark. It stars Jonatan Spang as von Triers alter ego, called Erik Nietzsche, and is narrated by von Trier himself. All main characters in the film are based on real people from the Danish film industry,[citation needed] with the thinly veiled portrayals including Jens Albinus as director Nils Malmros, Dejan ÄÅ'ukić as screenwriter Mogens Rukov and Sà ¸ren Pilmark in an especially unflattering portrayal as sex-obsessed school principal Henning Camre. Von Triers next feature film was Antichrist, an art film about a grieving couple who retreat to their cabin in the woods, hoping a return to Eden will repair their broken hearts and troubled marriage; but nature takes its course and things go from bad to worse. The film, which includes sexually explicit content, stars Willem Dafoe and Charlotte Gainsbourg. It premiered in competition at the 2009 Cannes Film Festival, where the festivals jury honoured the movie by giving the Best Actress award to Gainsbourg.[25] The Cannes Film Festival Ecumenical Jury, which gives prizes for movies that promote spiritual, humanist and universal values, also honoured the film with a special anti-award; a spokesman for the jury described it as the most misogynist movie from the self-proclaimed biggest director in the world.[26] In 2010 the Swedish newspaper Dagens Nyheter reported on their website that the film production company Zentropa is reportedly making more revenue from suing movie pirates in Germany that have downloaded Antichrist illegally than from box office and DVD sales, demanding a payment of around 1,300 euros per download to avoid legal action.[27] 2010s Von Triers latest work is Melancholia, a psychological disaster drama;[28] shot between 22 July and 8 September 2010 at Film i Và ¤sts studios in Trollhà ¤ttan, Sweden,[29] and with exteriors in the area surrounding the Tjolà ¶holm Castle.[30] Magnolia Pictures has acquired the distribution rights for North America.[31] The film was in competition at the 2011 Cannes Film Festival.[32] Von Trier announced that after finishing Melancholia he hopes to begin production of The Nymphomaniac, a two-part film about the sexual awakening of a woman (Charlotte Gainsbourg).[33] The director explained how he got the idea for the upcoming project: my DP on [Melancholia], Manuel Claro, at one point voiced a surprising prejudice. He urged me not to fall into the trap that so many aging directors fall into – that the women get younger and younger and nuder and nuder. Thats all I needed to hear. I most definitely intend for the women in my films to get younger and younger and nuder and nuder .[34] The announced cast includes Gainsbourg, Stellan Skarsgà ¥rd, Shia LaBeouf, Willem Dafoe, Connie Nielsen, Jamie Bell, Jens Albinus, Jesper Christensen and Nicole Kidman. Phobias Von Trier suffers from multiple phobias, including an intense fear of flying.[35] His fear of air travel frequently places severely limiting constraints on him and his crew, necessitating that virtually all of his films be shot in either Denmark or Sweden, even those set in the United States or other foreign countries. Von Trier has had a number of his films featured at the Cannes Film Festival over the course of his career, and each time has insisted on driving from Denmark to France for the festival and back. On numerous occasions von Trier has also stated that he suffers from occasional depression which renders him incapable of performing his work and unable to fulfill social obligations.[36] Filming techniques Lars von Trier has said that a film should be like a stone in your shoe. In order to create original art he feels that filmmakers must distinguish themselves stylistically from other films, often by placing restrictions on the filmmaking process. The most famous restriction is the cinematic vow of chastity of the Dogme95 movement with which he is associated, though only one of his films, The Idiots, is an actual Dogme 95 film. In Dancer in the Dark, jump shots[37] and dramatically-different color palettes and camera techniques were used for the real world and musical portions of the film, and in Dogville everything was filmed on a sound stage with no set where the walls of the buildings in the fictional town were marked as lines on the floor. Von Trier often shoots digitally and operates the camera himself, preferring to continuously shoot the actors in-character without stopping between takes. In Dogville he let actors stay in character for hours, in the style of method acting. These techniques often put great strain on actors, most famously with Bjà ¶rk during the filming of Dancer in the Dark. Often he uses the same regular group of actors in many of his films: some of his frequently used actors are Jean-Marc Barr, Udo Kier and Stellan Skarsgà ¥rd. He is heavily influenced by the work of Carl Theodor Dreyer[38] and the film The Night Porter.[39] He was so inspired by the short film The Perfect Human directed by Jà ¸rgen Leth that he challenged Leth to redo the short five times in feature film The Five Obstructions.[40] Trilogies Von Trier has on occasion referred to his films as falling into thematic and stylistic trilogies. This pattern began with his first feature film, marking the beginning of The Europa Trilogy, though he claims a trilogy was not initially planned, instead being applied to the films in retrospect. The Europe trilogy illuminated the traumas of Europe in the past and future. This trilogy includes The Element of Crime (1984), Epidemic (1987) and Europa (1991). The Golden Heart trilogy was about naive heroines who maintain their golden hearts despite the tragedies they experience. This trilogy consists of Breaking the Waves (1996), The Idiots (1998) and Dancer in the Dark (2000). While all three films are sometimes associated with the Dogme 95 movement, only The Idiots is a certified Dogme 95 film. The USA: Land of Opportunities trilogy follows the character of Grace, and is set in a stylized American past. Von Trier has stated he was inspired to make a trilogy about the United States as a reaction to Americans at the Cannes film festival who said he had no right to make the Dancer in the Dark,[8] which was often viewed as being critical of a country he has never been to (and has no intention of ever visiting, due to his phobia of travel); however, von Trier himself has stated in interviews he did not intend it to be a criticism of America, saying the film takes place in a fictional America. Von Trier proposed the films as ‘a series of sermons on America’s sins and hypocrisy’[citation needed], inspired by the fact that American movie makers have made many movies about places across the world to which they have not travelled. All three movies will be shot in the same distinctive style, on a bare sound stage with no set and buildings marked by lines on the floor. This style is inspired by 1970s televised theatre. The trilogy will consist of Dogville (2003), Manderlay (2005) and the so far not produced Washington. The Depression Trilogy consists of Antichrist, Melancholia and the yet to be completed, Nymphomaniac. All three star Charlotte Gainsbourg and deal with characters that deal with depression or grief in different ways. This trilogy is said to represent the current depression that von Trier himself is currently going through. The Kingdom (Riget) was planned as a trilogy of three seasons with 13 episodes in total, but the third season was not filmed due to death of star Ernst-Hugo Jà ¤regà ¥rd shortly after completion of the second season. Biological father In 1989, von Triers mother revealed on her deathbed that the man who he thought was his father was not, and that she had had a tryst with her former employer, Fritz Michael Hartmann (1909–2000),[41] who descended from a long line of Roman Catholic classical musicians (his grandfather was Emil Hartmann, his great grandfather J.P.E. Hartmann, his uncles included Niels Gade and Johan Ernst Hartmann and thus Niels Viggo Bentzon was his cousin). She stated that she did this in order to give her son artistic genes.[42] Until that point I thought I had a Jewish background. But Im really more of a Nazi. I believe that my biological fathers German family went back two further generations. Before she died, my mother told me to be happy that I was the son of this other man. She said my foster father had had no goals and no strength. But he was a loving man. And I was very sad about this revelation. And you then feel manipulated when you really do turn out to be creative. If Id known that my mother had this plan, I would have become something else. I would have shown her. The slut![43] During the German occupation of Denmark, Fritz Michael Hartmann worked as a civil servant and joined a resistance group (Frit Danmark), actively counteracting any pro-German and pro-Nazi colleagues in his department.[44] Another member of this infiltrative resistance group was Hartmanns colleague Viggo Kampmann, who would later become prime minister of Denmark.[45] After four awkward meetings with his biological father, the man refused further contact.[46] The revelations led von Trier to attempt to erase the connections with his stepfather by converting to Catholicism, and to rework his filmmaking into a style emphasizing honesty.[3] I dont know if Im all that Catholic really. Im probably not. Denmark is a very Protestant country. Perhaps I only turned Catholic to piss off a few of my countrymen.[43] In 2009, he declared, Im a very bad Catholic. In fact Im becoming more and more of an atheist.[47] Controversy at 2011 Cannes Film Festival On 19 May 2011, Cannes Film Festivals board of directors declared von Trier persona non grata for comments he made during a press conference for his film Melancholia the day before, an unprecedented move for the film festival.[48][49] Responding to a question by The Times film critic Kate Muir about his German roots and his comments in a Danish film magazine about the Nazi aesthetic, von Trier claimed to have some sympathy for and understanding of Adolf Hitler,[50] and then jokingly claimed to be a Nazi himself:[51][52] Von Trier at the 2011 Cannes Film Festival. What can I say? I understand Hitler, but I think he did some wrong things, yes, absolutely. Hes not what you would call a good guy, but I understand much about him, and I sympathize with him a little bit. But come on, Im not for the Second World War, and Im not against Jews. I am of course very much for Jews, no not too much, because Israel is pain in the ass, but still how can I get out of this sentence. — Press Conference for Melancholia, Cannes, 2011[53][54] Referring to the art of Nazi architect Albert Speer, von Trier added: he had some talent that was kind of possible for him to use during Ok, Im a Nazi. Then, to Toronto Star film critic Peter Howell, who questioned whether Melancholia could be an answer to Hollywood blockbusters and asked von Trier if he could â€Å"envision doing a film on a grander scale than this†, von Trier replied: On a grander scale? Yeah. Yeah thats what we Nazis, we have a tendency to do things on a greater scale. Yeah, maybe you could persuade me into the final solution with journalists. Hours later, von Trier released a brief statement of apology about his comments at the press conference: If I have hurt someone this morning by the words I said at the press conference, I sincerely apologise. I am not anti-semitic or racially prejudiced in any way, nor am I a Nazi.[55] The next day, the festival directors held an extraordinary meeting, deciding his remarks were unacceptable, intolerable and contrary to the ideals of humanity and generosity that preside over the very existence of the festival. [] The board of directors condemns these comments and declares Lars von Trier persona non grata at the Festival de Cannes, with effect immediately.[55] Afterwards, von Trier held a news conference of his own in Danish. His first remark to the Danish journalists was: If any of you journalists will beat me, so just do it. I will enjoy it. He went on to say that The Holocaust is the worst crime that ever happened. I have nothing against Jews. I have a Jewish name, and all my children have Jewish names. He admitted that his remarks about the Nazis had been misguided, saying It was really stupidly done and it was in the wrong forum. At the press conference with Danish journalists, there were no problems, but I do not think the international journalists understand my Danish humor. But he also said he was proud to have been kicked out of the Cannes festival: I am proud to have been declared persona non grata. It is perhaps the first time in cinematic history, it has happened. I think one reason is that French people treated the Jews badly during World War II. Therefore, it is a sensitive topic for them. I respect the Cannes festival very highly, but I also understand that they are very angry at me right now.[56][55] Speaking to other news outlets he said that his comments were very sarcastic and very rude, but thats very Danish. He also added, I dont sympathize with Hitler for one second.[57] In the October 2011 issue of GQ, von Trier is quoted in an interview saying he was not really sorry for the comments he made, only sorry he didnt make it clear that he was joking. He added, I cant be sorry for what I said—its against my nature.[58] On 5 October 2011, von Trier was interviewed by police in Denmark about his remarks at Cannes. Afterwards, he announced that he had decided from this day forth to refrain from all public statements and interviews.[59] Honours Von Trier was made a Knight of the Order of the Dannebrog on 14 January 1997.[60] Ten years later von Trier decided to hand back the prize, saying that the Danish royal family are just simple people of bad quality.[61]

Wednesday, August 21, 2019

Differences Between Trait And Psychodynamic Theories Psychology Essay

Differences Between Trait And Psychodynamic Theories Psychology Essay Personality theories concentrate on how traits are developed and how behaviour is generated. Personality traits are durable dispositions of behaviour that occur across a variety of situations. They are like tendencies; a persons predisposition to react in a certain way in various different situations. Trait theories focus on indentifying the characteristics we possess and the degree to which we possess them. However trait theories are starting to address concerns such as how behaviours are developed, how traits are generated and how our goals and motivations affect the development of traits and the degree to which we possess them (Mischel, 1996). On the other hand, psychodynamic theories of human behaviour assume that human lives are ruled by internal unconscious forces and that these forces; which may be images, opinions, or feelings are the chief determinants of who they are and what they do (Kaslow, Magnavita Patterson, 2002).This essay will relate trait theory in comparison to p sychodynamic theory. Gordon Allports trait theory views personality as a combination of stable internal characteristics that an individual displays in a given situation. Conversely, Sigmund Freuds psychodynamic approach emphasizes the interplay of unconscious irrational forces struggling for control in shaping ones personality. Freud believes that human functioning is influenced by three basic structures of the mind: the id, the ego, and the superego, which emerge developmentally. The id, as stated by Freud, is present at birth and works on the pleasure principle. The ego operates on the reality principle and attempts to satisfy the id while obeying societys rules. The emergence of the ego for Freud symbolizes the origin of consciousness and he refers it as the superego; which is the internalized rules of parents in society (Bernstein, Penner, Clarke-Stewart Roy, 2011). On the other side of the coin, Allport argues that varying strengths of many qualities or traits actually determine the personality of a person. Allport had three categories of traits: the cardinal traits, the central traits, and lastly the secondary traits. The cardinal traits govern and shape a persons behavior. Central traits are characteristics that others use to describe another individual. Secondary traits are circumstantial. More recently, trait theorists have indentified five main factors that make up personality; Openness, Conscientiousness, Extraversion, Agreeableness, and Neuroticism (Pastorino Doyle-Portillo, 2012).Thus one can assert that traits are relatively stable predispositions to behave in a certain way whereas psychodynamic theory deals with unconscious motivations and conflicts in ones head. Allport uses the concept of personal disposition and the idiographic approach which focuses on studying one person at a time to explain that every human being possesses unique traits that create a personalised type of behaviour in a particular situation. He also specifies that traits are exclusive characteristics to a particular person alone which generates consistent and specific behaviour patterns (Carducci, 2009). On the contrary, psychodynamic theorists focus on group behaviour and making comparisons between people while describing dynamic interactions between individuals (Jarvis, 2004). Thus one can affirm that the trait approach to personality focuses on predicting a specific individual behavior whereas psychodynamic theories centre on predicting typical behaviour of a group of people. Psychodynamic theorists believe that many of our actions depend on hidden beliefs and emotions. These unconscious forces can bring a change in an individuals behaviour and personality. When a person meets other individuals; he involuntarily experiences a must to act as they do so as not to be rejected. Thus, he represses more of his tendencies to be more compatible with the norms of society (Collins ORourke, 2008). In contrast, an individuals behaviour is likely to stay relatively consistent across a broad range of situations over the course of time due to the enduring and stabilizing impact of traits (Mischel, 1996). Hence one can argue that trait theory focuses on constancy in personality while psychodynamic theory hints at change in personality. Trait researchers usually study the processes behind the behaviour related with a specific trait. For example, some psychologists are keen in examining the underlying concerns of shy people which keep them away from the social world (Burger, 2010). Nonetheless psychodynamic theories stress upon the importance of early childhood experiences, the significance of repressed feelings and internal disputes between the conscious and unconscious forces that manipulate our thoughts and behaviour (Plotnik Kouyoumdjian, 2010). Therefore one can state that trait theory focuses on indentifying the mechanisms underlying behaviour while psychodynamic theory emphasizes on describing personality and predicting behaviour instead of explaining why people behave the way they do. Early research has shown that natural physical endowment is more important than environment in determining personality in the sense that it is not simply likely to produce a light or superficial impact on the image that an individual projects vis-Ã  -vis others in the society but rather it is the prime factor which decides whether he or she will be favourably or unfavourably perceived by others in the community. However ownership of a specific trait does not guarantee success in a specific field; for example, honesty, self-confidence and the ability to motivate others are some of the few characteristics which determine leadership. More recent research study showed that an individual possessing the traits mentioned above does not necessarily score high on leadership performance. Combination of both the leadership traits and management skills are needed to create effective leaders (Novick, Morrow Mays, 2007). On the other hand, Freuds psychodynamic theory emphasize hugely on the disp utes between conscious and unconscious forces that manipulate our views and actions (Plotnik Kouyoumdjian, 2010). Thus one can claim that trait theories integrate both the nature and nurture approach when shaping personality while psychodynamic theories rely mainly on the conscious and unconscious forces when predicting an individuals behaviour. To conclude; trait theorists are more concerned with indentifying individual characteristics which when combined can be used to describe personality. Proponents of the psychodynamic theory rely heavily on the dynamic forces of the subconscious to explain the perceptions, and behaviours of individuals. These behaviours can lead people to behave in ways that are ineffective and even self-destructive (Mischel, 1996).

Tuesday, August 20, 2019

Personal Learning Plan To Becoming A Nurse Practitioner

Personal Learning Plan To Becoming A Nurse Practitioner This assignment discusses my Personal Learning Plan (PLP). It examines the rationale for development, justifying why I have not only chosen to undertake Nurse Practitioner (NP) studies, but this course in particular, along with its prescriptive modules and my choice of Extended Nurse Prescribing as the only optional module. I have informally and theoretically identified my learning style as practical, which rationalises the above choices, discussed further in this assignment. At present, I work as the sole Occupational Health (OH) Nurse for the head office of a large London-based media organisation which is a subsidiary company of the FTSE 250 (Financial Times Stock Exchange) listed business. There are an estimated 3000 employees on-site; a catchment size similar to a small GP surgery, with a further 1100 employees regionally, to which telephone/e-mail support is available. 2.2 Link to primary health care Due to the generally low hazard working environment, and as an OH initiative to keep employees well and at work, I largely act as a Practice Nurse (PN) by bringing primary health care (PHC) to the workplace. Care includes treatment and/or advice for minor ailments and injuries; health monitoring and promotion; vaccinations and follow-up care such as wound and ear care. I am supported by a full-time Receptionist, and together we facilitate three afternoon GP clinics per week by two visiting private General Practitioners (GPs). This unique service is carried over from the old Factory Nurse role and outdated in todays OH remit (Bagley, 2008). Occupational Health (OH) Nurses are now moving away from a traditional clinical function (Richardson, 2008). However, whilst the service is promoted as a complement and not a replacement of employees National Health Service (NHS) GP surgeries, it is maintained that it is not in the OH remit to replace services provided by the NHS (Lewis Thornbory, 2006). Yet, in Dame Carol Blacks review of the health of the working population, the report welcome[d] and encourage[d] (Black, 2008: 49) employers offering GP consultations in the workplace, as an initiative towards health and wellbeing for a healthy workforce. Given the waking hours spent at work, and with most GP surgeries closed for the majority of weekends and after hours, the workplace is an ideal setting to target health and wellbeing (Department of Health, 2004), along with prevention and treatment of ill-health. Such a service has potential benefits and opportunities for employees, businesses and NHS services. However, effective communication between all parties involved, is crucial. I make it a priority in my practice to engage in effective communication between both our on-site health professionals, and employees off-site NHS and private health professionals. 2.3 Strengths and weaknesses To fulfil the above role, I was equipped with a Bachelor of Nursing, with the knowledge and skills to care for adult patients in an acute care setting. Although I went on to specialise in critical care, further development was only accessible through in-house training, on-the-job experience, self directed learning and reflection. When I moved to the United Kingdom, I fell into PHC through an agency placement, which was to cover an extended period of leave on the print side of the business. Again, I was working as the sole Nurse, with a private GP visiting once a month. Despite this placement being completely out of my depth and somewhat daunting, I enjoyed the break from acute care, and thrived on the autonomy and diversity of the role. However, this was compromised with a lack of confidence, not having any prior experience, and heightened by working alone. The next section discusses the rationale for my development having been taken on in permanent employment as the sole OH Nurse. 3.0 PERSONAL LEARNING PLAN 3.1 Rationale for development The move to PHC from acute and critical care knowledge and experience prompted a significant need for learning and development. There was no support from management in the sense of allowing study leave or time off work to attend practice-related conferences, and any learning was on-the-job or self directed with no colleagues to facilitate development. One of the main reasons why I took up a position at head office to restructure their OH Department, was that the importance of professional development was not only understood, but both promoted and encouraged. In addition to my gap in knowledge and because I worked alone, I wanted to take my service to the next level, to provide greater satisfaction to both patients and myself by being able to complete the full cycle of health care. For example, rather than advising patients that it sounded like they had a chest infection and should therefore arrange an appointment with the visiting GP (or to see their NHS GP), I would be able to diagnose and prescribe on the spot. This call for development reflects Maslows Hierarchy of Needs, which outlines an aim to bring the Esteem level of confidence, independence and achievement into balance, while also building towards the Self-actualisation level of creativity, problem solving and acceptance of facts (Maslow, 1943). The Self-actualisation level can also be interpreted as my Masters dissertation. Furthermore, ten years have lapsed since completing my Bachelors degree, and I felt stale, very eager to study again, and to learn more about the NHS system. 3.2 Course selection I began investigating NP courses in London. Prior to this course, I had informally identified my learning style as being practical, and set about finding the most hands on course (see Appendix 1 2 for course enquiry and application, with the relevant sections highlighted in blue). This course was therefore selected as the most practical, rather than theoretical, managerial or reflective. I wanted to be able to apply skills in the clinic as I was learning, and definitively at the end of the course. Through Philosophy Politics of Primary Health Care (Philpol), I have realised that my learning so far in PHC replicates Kolbs The Lewinian Experiential Learning Cycle, whereby knowledge is gained through experience (Kolb, 1984). This is further backed by Omrods behavioural definition of learning, again linking learning to experience (Omrod, 2004). Yet, according to Honey Mumford (1992), my learning style is Pragmatic, followed very closely by Reflective. By this model, it means I am generally proactive in attempting new ideas, concepts and practices, and eager to apply them. A Reflector contemplates experiences both personal and those of others, and weighs up all possibilities before coming to a decision. Taken together, pragmatic and reflective learning styles demonstrate a careful and practical approach, with which I concur. 3.3 Modules selected The NP route of the Masters of Science in Primary Care is a very prescriptive course, with only one optional module. This is to satisfy the Royal College of Nursings (RCN) requirements based on international competencies, to qualify as an approved course. In addition, should the Nursing Midwifery Council open up a separate part of the register acknowledging the advanced role of NPs, an RCN approved course will be a pre-requisite requirement (Queen Mary, University of London, 2009). The term NP is currently being loosely applied to Nurses with autonomy and/or experience. Therefore, the term Advanced NP is replacing NP, where Nurses have both formal training, and are working in an advanced role (RCN, 2008). Through Research Methods 1, I have gained the skills to recognise the different methods and approaches to research, and how to read a paper. These skills have enabled me to critically evaluate a paper, distinguish between good and poor research, and to determine whether a papers findings are credible, and should be applied in my practice. Philpol has laid a foundation in my gap in knowledge of PHC structures and policies, including an appreciation of the NHS, its history, services, how it works, and potentially, where it can all go wrong. Some of the most interesting learning has been in discussion and debates with fellow students. Our diverse backgrounds and individual functions in PHC, has been valuable to hear about each others roles and experiences. Physical Assessment 1 and 2, and both the Biological Foundations and Pharmacology in Clinical Practice will provide a much needed brush up in theory, and advance my current knowledge. During my Bachelor degree, learning was largely based on fact recall for exams and practicals. It is because of this, that I am now questioning my actual understanding, which I hope to overcome by these modules. This is a shift from my former academic learning experience to Engels Learning for Understanding, where the emphasis lies in understanding rather than recollection of facts (Engel, 1997). It perhaps also highlights the difference between studying for a Bachelor and a Masters degree. I anticipate that Clinical Practice will be one of the most important modules for me, to be able to apply what I have learnt. In past experience as a nursing student, clinical practice has been where all teachings have made sense rather than exams or assessments. I learn best through a hands on approach, and in past clinical practice modules, it has precipitated interest and knowledge beyond expected outcomes. For my optional module, I have chosen Extended Nurse Prescribing in order to be able to complete the full cycle in a consultation: to be able to prescribe to enhance independence and autonomy in my practice. I have already given my dissertation much thought, hoping to research into our unique OH service, ideally being able publish at the end, and promote our model. At present, my research question is: What are the perceptions of both employees and managers on the provision of a GP and PN in the workplace for a media organisation in London? I propose to conduct this research via an online survey to our employees and Managers with a mixed methods approach: both clicking on answers (quantitative), and asking participants for their thoughts (qualitative). I look forward to the challenges that this PLP presents, but more importantly, the opportunities and stimulation that will arise from my development.

Monday, August 19, 2019

Wife vs. Daughter in Only Daughter by Sandra Cisneros and Why I Want a

What is a Wife? What is a Daughter? Are they the same, or are they different? A wife supports a husband, but a daughter could also have the same position could she not? A daughter could marry and become a wife, and still be a daughter. Than again, a wife could be an only child, and a wife could have no father. A wife compares to a daughter in many ways, and differs in many different ways as well. All in all, it?s quite possible that all women, go through at least one of these titles, at one point in there lives. In the short story ?Why I want a wife? by Judy Brady, she goes into detail what being a wife is like. The tedious details of day to day activities, the strain and hard work of being a ?good wife?, and the unappreciated service a wife must perform to be accepted by her husband. This story made me feel like, the author felt a little surprised of what she actually does from day to day being a wife, perhaps a little bit bitter toward those who do not notice her action. That brings me to another short story, ?Only Daughter? by Sandra Cisneros. This story is of a Dau...

Sunday, August 18, 2019

H.J Heinz Company :: essays research papers

H.J. Heinz Company   Ã‚  Ã‚  Ã‚  Ã‚  H.J. Heinz Company, commonly known as Heinz, famous for its â€Å"57 Varieties† slogan, was founded in 1869, by Henry John Heinz, in Sharpsburg, Pennsylvania. In 1869, the 25 year old Henry went into business with L. Clarence Noble as â€Å"Heinz & Noble.† The first product they launched was none other than horseradish. The sauce was unique in that it was sold in clear glass bottles to display its purity, whereas competitors used colored glass to hide the poor quality of their products. There was a reason that founder Henry John Heinz displayed his product in transparent bottles. He took a stand on quality and proudly displayed all of his products to the people and his competitors by using a clear bottle to show that his products where the real deal and the best. From the beginning of Heinz, the driving idea was quality, and quality is what made Heinz the company it is today.   Ã‚  Ã‚  Ã‚  Ã‚  After horseradish came pickles, sauerkraut, and vinegar, delivered by horse-drawn wagons to grocers in and around Pittsburgh, Pennsylvania. Processing, packing and the headquarters offices shared a two-story farmhouse in Sharpsburg, at the city’s northern edge. But within five years, Heinz and partner L. C. Noble had to relocate to larger quarters because of their massive growth. They were on their way to becoming one of the nation’s leading producers of condiments. Heinz & Noble could count among its assets a hundred acres of garden along the Allegheny River – 30 acres of horseradish – along with 24 horses, a dozen wagons and a vinegar factory in St. Louis.   Ã‚  Ã‚  Ã‚  Ã‚  After initial success, the company was forced into bankruptcy in 1875, a year of economic downturn and crop surplus. However, this successful young enterprise was not going to let the banking panic of 1875 stop it from becoming the world’s leading tomato processor.   Ã‚  Ã‚  Ã‚  Ã‚  After the banking crisis, Heinz started over with brother, John and cousin, Frederick, in 1875. The new partnership with his brother and cousin, â€Å"H. & J. Heinz†, came into being. In the depression brought on by the banking collapse, it was a difficult first year, but one in which a new product was introduced and would become its most well-known product – tomato ketchup. Red and green pepper sauce soon followed, then cider vinegar, apple butter, chili sauce, mincemeat, mustard, tomato soup, olives, pickled onions, pickled cauliflower, baked beans and the first sweet pickles ever brought to market.

Saturday, August 17, 2019

Afghan War to Drone Attacks: Legality Under Ihl Essay

Introduction: Since the terrorist attacks of September 11, 2001,And American starting Global War on Terror and attacks on Afghanistan in persuit of AL-QAEDA and TALIBAN as they were alleged to be involved in attacks of 9/11.Pakistan being a neighboring state also got effected by this war and a series of Suicide bombing started due to Pakistan’s alliance with American as frontline strategic partner in this war .Similarly more dangerous area in Pakistan was Tribal Areas along Afghan boarder and many militants escaping from Afghanistan came to these areas and allegedly planed attacks on allies forces fighting in Afghanistan. So Americans expanded this war inside the Pakistani Boarder for attacking militants by Drone Attacks. Drone attacks in Pakistan are one of the most important and controversial aspects of the Bush as well as Obama Administration’s approach to fighting terrorism. The legality of drones has been questioned for a variety of reasons, some more grounded in fact than others, but in spite of these criticisms there is little question that the use of drones in surveillance and combat roles is on the rise international law has had to grapple with the fundamental challenges that large-scale violence carried out by non-State actors poses to the traditional inter-State orientation of international law. Questions related to the â€Å"adequacy† and â€Å"effectiveness† of international humanitarian law, international human rights law and the law related to the use of force have been particularly pronounced†¦ The first reported use of a â€Å"drone† was in 1919, when the inventor of autopilot technology and the gyroscope, Elmer Sperry, sunk a German battleship with a pilotless aircraft. The Vietnam War saw drones used for surveillance purposes. Drones have the advantage of being able to gather valuable intelligence without the inherent risk to human life that a traditional way by a piloted craft would pose. Base for the Use of Drones: Drones base can be found from the speech of American President Bush while he was addressing joint session of American Congress and House of Representstive shortly after 9/11 stating that â€Å"We will direct every resource at our command, every means of diplomacy, every tool of intelligence, every instrument of law enforcement, every financial influence, and every necessary weapon of war, to attack and to the defeat of the global terror network.† The Bush Administration found great value in drone technology and used attack drones against targets in several countries, including Afghanistan, Pakistan and Iraq.Under President Obama, the use of attack drones has notably accelerated. The Taliban, subdued but not defeated, has not become a non-violent political force in the new Afghanistan. Nature of Pak-Afghan Border , Its Effect: .The border between Afghanistan and Pakistan may separate two sovereign States as a matter of law, but the Durand Line rarely functions as such in practice. This is the Pakhtun heartland, a transnational tribal cultural geographical region with large populations of Pashtuns on either side of the border. It is because of this intermingling of culture and allegiance that the area is frequently referred to as â€Å"Pak-Afghan† It is here where Al Qaeda’s then first- and second-in-command, Osama bin Laden and Ayman al-Zawahiri, were generally believed to be hiding until bin Laden was killed in an American raid on May 1, 2011 in Abbottabad, Pakistan. So due to this close relationship between the residence of Pak Afghan boarder people use to come here and there acrose the border .So it becomes necessary for fighting terrorism to take actions on both sides of Pak Afghan border, But it does not mean that the forces acting in Afghanistan have free hand to attack even in the territory of Pakistan whenever and however they want. These attacks have to be in limitations of the rules of IHL. Drones, Importance in Targeting Terrorist: It is undeniable that American drone attacks in northwest Pakistan have had a significant impact in terms of deaths and injuries to civilians and damage to civilian objects. In light of the stated purpose of these attacks, to facilitate the defeat of the Taliban and its Al Qaeda allies, this quantum of harm may or may not be justifiable in terms of ’morality, ethics or policy, but these considerations are not, or are at least not wholly, considerations that determine ’the legal analysis.For example, it is possible to support the use of drone attacks, either in particular situations or entirely, as a matter of morality, ethics or policy, and still conclude that any attack is unlawful. The inverse position is also possible. whether or not drone attacks are legal under international law related to the use of force is not dispositive as to their legality under international humanitarian law. As with the juxtaposition of considerations of morality, ethics and policy, there need not be any correlation between ’the legal analysis under the law related to the use of force and’ the legal analysis under international humanitarian law. As a matter of law, these are completely separate analyses. The legal determination of what constitutes â€Å"the battlefield† has particular significance for the use of drones, particularly armed drones. This is because â€Å"the battlefield† is used to effectively define the scope of IHL’s application. In situations outside the scope of IHL, international human rights law (IHRL) applies. Further IHL allows for lethal force to be employed based upon the status of the target. A member of the enemy’s forces may be targeted with lethal force based purely on his status as a member of those forces. That individual does not have to pose a current threat to friendly forces or civilians at the time of targeting. In contrast, IHRL permits lethal force only after a showing of dangerousness. Under IHRL, lethal force may only be employed if the individual poses an imminent threat to law enforcement officers attempting arrest or to other individuals. Further, IHRL requires that an opportunity to surrender be offered before lethal force is employed. Controversy Regarding Application of IHL on Drone Attacks: Before assessing the lawfulness of each American drone attack in northwest Pakistan under international humanitarian law, it is necessary to first draw the distinction in law between situations of violence and situations of armed conflict and then to understand how international humanitarian law classifies situations of armed conflict. International humanitarian law did not provide a clear definition of armed conflict, despite the fact that international humanitarian law’s application relies upon the existence of an armed conflict.None of the Four Geneva Conventions of1949, nor either of the two 1977 Additional Protocols to the Geneva Conventions define armed conflict, and the consensus view is that the existence of an armed conflict is determined on the basis of the particular facts and circumstances.Major Cause of this ambiguity is long Afghan War and its different phases having different legal scope. Changing Nature Of Afghan Conflict: The armed conflict in the land of Afghanistan is one of the longest conflicts in world history. The nature of the conflict has changed with the course of time. The war with spears, swords, cannons, guns and now the hottest; Drones. Simultaneously, the dynamics of humanitarian law cannot be ignored. The law of war was not that explicit in ancient times like the way they are now. We will assess the conflict status after 9/11 attack. The period since then can be divided into two phase: * 7th October 2001 to 19th June 2002 * June 2002 to present If we discard the armed conflict of Afghanistan post 9/11 then it will be hard to understand the changing trend. On 12th September 2001. A resolution no.1368 has been passed by Security Council which legalized the war (Operation enduring freedom) on terror by US in the land of Afghanistan. The contention from the side of US was right to self defense and collective rights. The intervention of such nature gives rise to following upshots: * The armed opposition on one side and the intervening state/states supporting the other side keeping the nature of the conflict as non-international armed conflict; The discrepancy in the warfare technology is one of the causes behind this. As US is equipped with high tech war machines while on the other hand the armed opposition are far more inferior. This led them to shift hostilities in a different level to cope up with the opponent. Hence, they have started targeting crowded areas among civilians. This finally resulted in a blur to apply the principle of distinction between the combatants and non combatant. In the same manner While there is some disagreement about whether â€Å"combatant status† should be recognized in non-international armed conflicts, that dispute is irrelevant when it comes to questions concerning the status of members of al-Qaeda or other terrorist organizations. Because combatant status is based upon membership in a group that organizationally enforces â€Å"compliance with the rules of international law applicable in armed conflict. Groups such as al-Qaeda, whose means and methods of warfare include deliberately targeting civilians, cannot claim combatant status for their members. It should be emphasized that the behavior of an individual al-Qaeda member cannot confer combatant status. No matter how strictly an individual member of a non-privileged group adheres to IHL or how scrupulously they distinguish between civilian and military targets, they are never entitled to the combatant’s privilege and may therefore be criminally liable for attacks on members of an opposing armed force. Al-Qaeda does not, as some have suggested, have a â€Å"basic right to engage in combat against us† in response to our attacks. If al-Qaeda members are not combatants, then what are they? Like all people, IHL treats them as being presumptively civilians who, as a general rule are immune from targeting. If they are civilians than how American Harold H. Koh, legal adviser to the United States State Department relied on the Art 51 of UN charter for justification of Drones in Pakistani territory. This in term of humanitarian law is known as â€Å"Asymmetric warfare†. On 5th December 2001, an accord was made, known as Bonn Agreement which formed a Transitional administration in Afghanistan. With this emergency Loya Jirga, the one year old international armed conflict terminated but the hostilities continued from the side of the Taliban and Al-Qaeda. This type, this puppet government was striving hard against this opposition. This has taken a new shape of a non international armed conflict. At this point the application of the article 3(common article) of Geneva Convention, 1949 was no more questionable. The gravity of the new form was so grave that even customary International customary humanitarian law cannot be set aside. Where IHL Applies? And Status of Drones In Pakistani Territory: But a question remains over the legality of the US support in afghan war because there are some criteria which are required to be fulfilled to justify the attacks. The criteria are: > The armed opposition should have control over the territories of that country; > They (armed opposition) must have carried out, sustained and concerted military Operations. They must have control over the civilians in certain territory of that state; > The AdPII is not binding on the states who haven’t ratified it; > Even if they (US) ratify, they are not bound because, the AdPII is applicable in the conflict between a state actor and the non sate actor of that country (Article 1(1) of AdPII). On the basis of same arguments as Drones are part of this War on Terror but their targets are in Pakistan are of more grave nature as Allies Armies are not fighting in Pakistan or against Pakistan nor Americans are doing so because they are not in Conflict With Pakistan but in saying They are strategic partner in this War. And importantly like armed conflict, non international Armed conflict also have no definition under International Law which can cover this War on Terror as international or internal armed conflict so it became controversial that either these Drone Attacks are subject to IHL or IHRL due to doubtful nature of this War specially its actions in Pakistani territory, Because IHL only applies in International Armed conflict and requires some qualifications to become a combatant which can be summed up as under: A combatant is: 1) a member of the armed forces of a Party to the conflict (who then has the obligation to distinguish himself/herself from the civilian population); or 2) a member of another armed group (militias, organized resistance movements,†¦) belonging to a Party to the conflict, provided that such group fulfills the following conditions: a. that of being commanded by a person responsible for his subordinates; b. that of having a fixed distinctive sign recognizable at a distance; c. that of carrying arms openly; d. that of conducting their operations in accordance with the laws and customs of war. As Al Qaeda and Taliban does not have character of distinct uniform but have a strong command as known by whole world similarly they have training centers as American alleges that they have safe havens in Pakistan for training but does it mean that if Al Qaeda and Taliban does not folow any law the Allies and American forces should not follow any rule while acting against them? Though Al Qaeda’s suicide attackers also attacks on civilian without any distinct uniform as part of Al Qaeda so the forces could not identify them but it does not mean that the forces can kill any time to any one just in doubt of suicide ? Similarly if the answer to these questions is not in affirmative than whether the right to self defense extends to the territory of other state who have not a party in conflict? as American Attacks are of on such grounds as expressed by Harold H. Koh, legal adviser to the United States State Department, delivered the keynote address to the American Society of International Law on On March 25,2012. Prof Koh argued that drone attacks meet the legal principles set out in the law of war because they fall under the larger doctrine of `self-defense` and stated: â€Å"In an ongoing armed conflict the United States has the right to use Force including lethal force to defend itself including by targeting Persons such as high-level Al Qaeda leaders who are planning attacks†. Harold H. Koh’s stance and its Legal Implications: Koh held that the attacks are legal because they meet the principles of both `distinction` in that they are designed to target specific individuals in response to intelligence and `proportionality` — that is, they do not cause excessive loss of life in relation to the military or strategic goals thatare sought to be achieved by them. In response to the critique that targeted killings are never legal Koh argued that no legal process is required to inform those planning attacks against the United States. But if we consider Mr. Koh’s stance valid than it gives raise to many questions. For example, if the targeting of individuals was considered prima facie valid simply under the basis of self-defense then the war in Gaza (documented in the Goldstone Report) and hostilities against civilians in Sri Lanka, Congo etc would not need to be discussed by the relevant UN bodies? Simply put, if all extra-judicial targeted killings were so easily justified based on the pr- emises of self-defense then any nation could be allowed under the flimsiest of pretexts to encroach on another`s territory to kill individuals they believed were involved in hostile acts against it. As this doubtful nature of these attacks is clear from this part of my assignment . Answer to these questions are necessary before commenting on illegality of Drone Attacks because it will give us clear view that under which law these should be dealt IHL or IHRL? Drones ,A matter of IHL: Though some people think Drone just as a subject of IHRL but its not so simle to say this .Many interpretation of International Law by ICJ, ICTY, ICC ,most Importantly U.S Supreme Court as well as Israelian Court’s comments and Judgement clearly put this War in the ambit of IHL. Transnational Armed Conflict and Drones: But along this another term is of Transnational Armed Conflict which is more relevant to the nature of these attacks because The problem with these definitions of international and non-international armed conflict is that collectively they did not describe all the types of armed conflicts that might exist. It was possible for an armed conflict to satisfy neither of these definitions. The United States’ conflict with al-Qaeda could not be an international armed conflict because al-Qaeda was not a â€Å"High Contracting Party† to the Geneva Conventions. Yet it was also clearly not a non-international armed conflict as defined above because it was not internal to the United States. The existence of this purported â€Å"gap† in IHL’s coverage was felt most immediately by detainees in the conflict between al-Qaeda and the United States. Similarly An illustration of why this distinction between internal civil wars and transnational armed conflicts must be maintained. In a recent lawsuit brought by the ACLU against the Obama Administration. The ACLU attempted to enjoin drone strikes directed against Anwar al-Aulaqi, a prominent member of al-Qaeda in the Arabian Peninsula. Although the ACLU conceded that strikes targeting al-Aulaqi would be governed by IHL if they were conducted in Af- ghanistan, they maintained that such strikes would be occurring â€Å"outside the context of armed conflict† if they were directed against al-Aulaqi in Yemen. Using the reasoning that underlies the strict geographical limitations on the scope of IHL described above, the ACLU argued that the absence of an armed conflict in Yemen foreclosed the application of IHL to anyone in Yemeni territory. Instead, the use of lethal force was governed by IHRL and might only be employed when al-Aulaqi presented a â€Å"concrete, specific, and imminent threat of death or serious physical injury† to others. Because the ACLU conceded that al-Aulaqi was targetable under IHL in Afghanistan, the legal basis for their claim was based upon where al-Aulaqi was rather than upon who he was. Similarly Israel’s Supreme Court put situation under IHL, where a state is fighting against a non state actor, the Israeli Supreme Court was tasked with assessing the lawfulness of Israel’s policy of targeted killings in the West Bank and Gaza. Between the outbreak of the Second Intifada in 2000 and 2005, Israel’s targeted killing policy resulted in the death of nearly 300 suspected terrorists, over 100 civilian deaths and hundreds of injuries. The most famous example of this policy was the 2004 attack on Sheikh Ahmed Yassin, founding member of Hamas, when an Israeli helicopter gunship killed him in Gaza. In discussing whether an armed conflict paradigm applied to Israel’s targeted killing policy, the court boldly stated that â€Å"there is no doubt today that an armed conflict may take place between a state and groups or organizations that are not states, inter alia because of the military abilities and weapons in the possession of such organizations and their willingness to use them.† The court was also clearly influenced by the State Attorney Office’s argument that Israel had suffered proportionately a much greater loss in terms of terrorism victims during the period under review than the United States had on September 11, and that these attacks were in the nature of an â€Å"‘unceasing, continuous and murderous barrage of attacks, which are directed against Israelis wherever they are, without any distinction between soldiers and civilians or between men, women and children.† Thus, Targeted Killings’ main contribution to the discussion lies in its focus on the willing use of violence on a significant scale by an organized group. The Tadic Case: Application of IHL on non state actors in Transnational Conflict: In Tadic’s Case The ICTY acknowledged this â€Å"overlap† understanding of armed conflict in its 1999 Tadic’s judgment when it stated: It is indisputable that an armed conflict is international if it takes place between two or more States. In addition, in case of an internal armed conflict breaking out on the territory of a State, it may become international (or, depending upon the circumstances, be international in character alongside an internal armed conflict) if (i) another State intervenes in that conflict through its troops, or alter- natively if (ii) some of the participants in the internal armed conflict act on behalf of that other State. This concept was further developed it in Boskoski, where it determined that fighting between Macedonian security forces and the Albanian National Liberation Army constituted an armed conflict. The test consists of two prongs: (1) the intensity of the conflict, and (2) the organization of the parties thereto. In addition, the Boskoski court laid out factors relevant to the satisfaction of each prong in a lengthy opinion that sheds light on the highly fact-specific nature of the inquiry, particularly where one of the parties is a non-state actor. Under the Boskoski analysis, fighting between al Qaeda and the United States constitutes an armed conflict, permi-tting the United States to conduct targeted killings of al Qaeda fighters. Similarly U.S Supreme Court in some judgements relating to Afghan war also declared this as an Armed conflict The Federal court on enforcement says that the US government considers itself in war with Afghanistan. The efforts from the executive branch have always been to portray the situation in Afghanistan asan armed conflict. This statement has also been supported by the congress. The standpoint over the detention of the terrorists has been endorsed by US courts also its judgements linked with issues arising from Afghan. Consent of Pakistani Gov’t And Its Effect On Legal Status of Drones: Another argument is most commonly given that all the attacks are with the consent of Pakistani Gov’t but if its so than what is proof ,is there any treaty in this regard? If its only verbal than its existence is doubtful at all .Another main thing which contradict existence of any understanding on these attacks is the statements of Pakistani Officials including P.M , Foreign Minister and many others condemning these attacks publically as well as officially so no Question of Consent remains valid. Specifically It is also worth mentioning in this context that Pakistani Minister of State for Foreign Affairs Hina Rabbani Khar’s condemnation of American drone attacks in northwest Pakistan on March 17, 2011 was phrased in the language of armed conflict: such strikes constitute a matter of serious concern and raise issues regarding respect for human rights and humanitarian law. Irresponsible and unlawf ul conduct cannot be justified on any grounds’. Admittedly, the Minister of State’s statement was not particularly clear in recognizing that the United States was engaged in an armed conflict with the Taliban and its Al Qaeda allies on the Pakistani side of the Durand Line, but it is a legally significant admission that contributes to the case for the existence of an armed conflict in northwest Pakistan , Proceeding from the position that the situation of violence that the United States is engaged in War with the Taliban and its Al Qaeda allies in northwest Pakistan amounts to an armed conflict, international humanitarian law would be the appropriate legal frame of reference for assessing the lawfulness of individual drone attacks in northwest Pakistan. Is Pakistan’s Inability to Trace and Attack Militants Justifies Drone Attacks? Now the next argument is for the justification of these drones is that Pakistan do not have ability to tackle these terrorist so that’s why American are intervening for striking them .Is it not a violation of the rights of a sovereign state to have respect of his territorial area by non-interference by others without due process of law .This view is clearly upheld by ICJ in case of In Democratic Republic of Congo case, the retaliation from the side of Uganda due to the previous intrusion of Congo raised the issue to armed conflict. It was held that Congo’s inability to take any action against the militant does not give any right to Uganda to commit an act of incursion and attack the group themselves. Victims of Drones under IHL: Though the purpose of drone is to counter terrorist but statistics shows that among them there are many civilians, A study at Stanford and New York University titled ‘Living Under Drones’ claimed that only two percent of drone strike casualties in Pakistan are top militants, and that the large number of related civilian deaths turn Pakistanis against the US. The study revealed that number of casualties among Pakistani civilians was far higher than the US acknowledged. The NAF report covers the period between 2004 and February 24, 2010, its date of publication. Particularly striking is that the number of drone attacks that took place during the first fifty-five days of 2010 were, at eighteen, exactly twice the number of drone attacks that took place during the entire four years from 2004 to 2007. Overall, during the almost six years and two months covered by the study, the United States carried out 114 drone attacks, resulting in between 830 and 1,210 total deaths, with between 550 and 850 of the dead being militants. This means that slightly more than 30% of deaths from drone attacks in the study were civilian deaths, with the percentage dropping to slightly less than 25% if one focuses only on 2009, the most active year covered by the study. Basic Principles of IHL and Their Observance In Drone Attacks: As its clear that Drones are subject to follow the IHL. But if we examine their style of attacking and their targets and effectees as mentioned in previous heading we can say that Drones are even violating the fundamental principles of IHL Principal of proportionality and Distinction: Given that the United States has conducted almost 300 drone attacks in northwest Pakistan in recent years and that international humanitarian law would require an exacting and individualized assessment for each of these attacks, space constraints preclude broad and sweeping generalizations about the compliance of each of these attacks under this branch of law. International humanitarian law is extraordinarily fact intensive, and the meaning attached to many of its key principles, in particular the principle of proportionality, is often contested and prone to political manipulation. First, although international humanitarian law recognizes that it is unable to eliminate the scourge of war .and instead endeavours to master it and mitigate its effects, the principle of proportionality does not forbid collateral damage when such damage is outweighed by a particular Attacks concrete and direct military advantage anticipated. Of course, international humanitarian law does prohibit disproportionate attacks. The principle of distinction and the underlying principle of proportionality are the most fundamental principles of humanitarian law. The principle of distinction embodies the concept that the effects of war must be limited to combatants and military objectives as much as is feasible. Civilians and civilian objects should be spared and may not be targeted. However, it is clear that collateral damage as such is not necessarily unlawful under international humanitarian law and that proportionality is a calculus of intangibles that balances military and civilian concerns. Proportionality must be assessed within the context of particular facts and circumstances, and conclusions of law cannot be drawn in abstracto. With this understanding of the international humanitarian law principle of proportionality, one can begin to assess the legal implications of the drone attack that killed Baitullah Mehsud. When Hellfire missiles from an American Predator drone killed Mehsud in South Waziristan, it was reported that he perished along with his wife, his mother- and father-in law, seven bodyguards and a TTP lieutenant. Though in present circumstances, and involvement of international politics its difficult to solve the problems peacefully specially terrorism .But it does not mean this necessity gives free hand to fight war without any rules As there is customary law of war in shape of conventions, and necessity of war is also there subject to rule of Distinction which provides that during war distinction must be kept in mind between military targets and civilian objects .So attacks on Masajid,Madaris Houses as well as on wedding ceremonies are illegal under the rule of Distinction. IHL does not declares war as illegal but accepts the military necessity and regulate the use of force by providing that only military object should be targets even though some civilians also get effect from it. But should be minute, this lose in language of IHL is known as collateral damagebut the rule of customary law applies on all states regardless of their ratification by that state. In short if we examine the causalities of Drone Attacks a huge number of Civil Victims are there. Similarly many attacks have destroyed houses Masajid and Madaris which is against the rules of IHL dealing with lawful targets. As the General Rule is that the benefit of doubt will go to the accused ,the same principle is adopted in IHL prohibiting attacks on such targets about which you are having a doubt that it have some civilian nature.Though its difficult to draw line distinction .r Proportionality but maximum care must be taken.But in Drones it was also not observed. Even against enemies only such amount of force or wapon can be used which only compels him to accept defeat ,and the purpose of war is to overtake opponent and not its extermination. Conclusion: Drone Attacks along Pak-Afghan Border inside the territory of Pakistan are important in a way that they developed some new concepts in International Law ,especially in IHL. If we see from the perspective of Americans and their Ally’s view it seems that The drone campaign raises fundamental questions of the acceptability of violence as a form of conflict resolution. Further the confusing nature of Afghan Issue also stops the way to argue from one legal angle to discuss validity of drones. A question can be raised that Drones are being used in Pakistan than why a detailed discussion on Afghan War given? But in reality World has become a global village so no one can be assessed in isolation specially Pak-Afghan area ,having strong ties in all dimensions of Life International Relations. As here Drones were discussed under IHL but if there is some doubt about the application of IHL than necessarily IHRL will apply and assessment under UDHR also invalidates the application of Drones violating fundamental rights like Right to Fair Trail, Representation by Counsel, Right to Life and Freedom Of Movement, etc .But it’s a separate detailed discussion. Even with full opposition by International Community having knowledge of IHL continuous and non stop use of Drones is showing Practical Example of â€Å"Might Is Right†. BIBLIOGRAPHY * Ahmad, Muhammad Mushtaq. Jihad,Mazahmat Aur Baghawat:Islami Shari’at Aur Bain al Aqwami Qanun Ki Roshni Men†,Gujranwala:Al-Shari’ah Accademy,2008 * Gabor,Rona.†Interesting Times for International Humanitarian Law: Challenges from the â€Å"War on Terror†Ã¢â‚¬ , The Fletcher Forum Of World Affairs,27(2007) * Barindge,Robert.†A Qualified Defense Of Drone Attacks In Northwest Pakistan Under International Humanitarian Law†Boston University International Law Review.30(2012) * Evans,Malcolm D.International Law.Oxford:Oxford University Press,2003. * Starke,J.G. 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