Saturday, August 31, 2019

Reasons behind Self Induced Harm in Cases of Bulimia Nervosa

Bulimia nervosa is considered as an eating disorder which is usually mentioned together with anorexia nervosa and binge eating disorders; this so due to the fact that all three pertain to abnormalities in the eating patterns or tendencies of an individual which cause considerable risk (American Psychiatric Association [APA], 2005). An eating disorder may not sound alarming, but in fact, severe disregard on over overall health may lead to dire consequences, especially in the case of bulimia.In addition, not only can malnutrition be caused by such a disorder, but cardiovascular and deadly complications may also arise (APA, 2005). Not only is bulimia referred to as a type of eating disorder, but it is also considered to be a severe mental health issue characterized by frequent events of binge eating and subsequent purging (Cooper, Todd, & Wells, 2009). This means that a massive amount of food is consumed by the individual with bulimia, and afterwards the food taken is expelled through v arious means of purging.Self-induced vomiting, misuse of laxatives, and misuse of diuretics are considered to be the three main categories of how an individual achieves purging (Mehler, 2003). Due to such actions, the condition of the body would be in a state of severe imbalance, hence causing various symptoms or different levels of severity. The symptoms of bulimia are the occurrence of a continuous case of sore throat, inflamed salivary glands, puffy cheeks, deterioration of the teeth, gastroesophageal reflux disorder, intestinal disorder, kidney disorder, and severe body dehydration (APA, 2005).Bulimia can be differentiated from anorexia and binge eating on the basis of how eating is perceived and reacted upon by the individual, thus having different sets of symptoms. Unlike individuals with anorexia who avoid eating at all costs, bulimics eat a lot of food which is taken out afterwards; its difference to basic binge eating disorder is that instead of purging, individuals with bi nge eating disorder simply reach a state of regret afterwards (Grange & Lock, 2007).It is evident that a person that suffers from bulimia does significant physical harm to their bodies. Also, one must also take into account that individuals with bulimia are also commonly diagnosed with other psychiatric conditions including cases of current and long standing psychiatric disorders; these disorders may include depression, dissociative identity disorder, substance abuse disorder, obsessive compulsive disorder, post traumatic stress disorder, social phobia, and borderline personality disorder (Cooper et al. , 2009).The reason as to why they commit such acts of binge eating and purging, which does not only wear down and considerably weaken the body but also initiates fatal risks and complications, must therefore be identified. Based on statistics, out of 100,000 individuals, 26. 5 females and 0. 8 males are bulimics (Treasure, Schmidt, & Furth, 2003). The presence of such effects and sym ptoms upon an individual with bulimia makes it crucial for people to understand the core reasons so as to be able to identify peers who are currently suffering or at risk from the disorder and to provide proper aid in recovery and treatment as well.The fact that the actions done by bulimics are fueled by social, psychological, and emotional factors, especially their personal appraisal and their concept of ideal physical form, is rather becoming the common perception (Treasure et al. , 2003). However, current trends in studies also suggest genetically based explanations to eating disorders (Grice et al. , 2002). Developments in genetics and biological studies have allowed the possibility of bulimia as being directed by more than the social and behavioral factors, contrary to what was previously thought of.Given the extent of problems and risks as presented, awareness towards the details regarding bulimia nervosa is definitely beneficial. In relation to this, information regarding the causative agents as to why individuals with bulimia commit such harm towards themselves must be established. Therefore, the purpose of this research is to identify the reasons as to why individuals with bulimia nervosa cause harm towards their own bodies. Methods In order to gather sufficient information regarding bulimia nervosa, a preliminary search for basic information from the internet was done. By browsing credible medical websites such as womenshealth.gov, medicinenet. com, mentalhealth. com, and nlm. nih. gov also known as Medline plus, basic familiarization with the disease or disorder was established. It must be understood, however, that this step was merely done in order to learn the basic terms and facts regarding bulimia. It was decided that a brochure on eating disorders from the American Psychiatric Association (APA) is to be utilized as a source since the association is credible and the information is well-presented. Afterwards, a search for online journals related to bulimia nervosa was conducted in several medical, genetic, and psychiatric sites.Related journals were acquired from the databases of American Journal of Genetics (AJG), Archives of General Psychiatry (AGP), and the New England Journal of Medicine (NEJM). Books on bulimia nervosa and eating disorders were provided by several peers. Examples of such books, which are generally recent releases and therefore provide updated information, are Treating Bulimia Nervosa and Binge Eating: An Integrative Metacognitive and Cognitive Therapy Manual by Cooper, Todd and Wells (2009), and Treating Bulimia in Adolescents: A Family Based Approach by Grange and Lock (2007). DiscussionBulimia nervosa is considered to be caused by interconnected aspects, including those of psychosocial and biological origins (Treasure et al. , 2003). Thus, it is possible to assess the probable reasons as to why individuals with bulimia nervosa resort into committing harm towards their own bodies. In this sense, insig hts into the reasons can be efficiently acquired through the review of factors based on psychosocial and biological sources in a separate manner. Problems during early periods of the life of an individual may cause an individual to develop bulimia later on in life.Concerns regarding weight and appearance may develop early during childhood (Keel, 2006). An example of how early cases of problems in self-appraisal arise may be observed in the association between parents and children since these are the first sources of social interactions that an individual is commonly exposed to. When a child is taken good care of by his or her parents, he or she would come to perceive that he or she is rather important or precious; in the opposite sense, a child that is neglected tends to think that he or she is unwanted for several reasons (Treasure et al. , 2003).In this sense, the child might be led to think that something about his or her physical characteristics is undesirable. Furthermore, teas ing and possible mistreatment from the peers of a child regarding his or her appearance, especially their weight, may become imprinted in their thoughts as they age and develop. Thus, early on, a child may possibly develop a desire to lose weight and improve appearance (Treasure et al. , 2003). The point of displeasure towards the current state of appearance is commonly further established during adolescence as this is the phase wherein attraction between genders become apparent.It is also during adolescence that the actions are more controlled by the individual rather than by parents or authoritative figures; adolescents become aware of their capacity to question and to refuse to follow such figures. However, due to the fact that they are still not that knowledgeable, they are considerably prone to mistakes. If an adolescent develops a problem such as bulimia nervosa, it has been connected with increased risks of developing physical as well as mental disorders upon entering early a dulthood (Johnson et al., 2002). In addition, findings of a study done in 2003 reveal that the incidence of bulimia nervosa on adolescents increases as years pass; the main reason as to why teenagers choose to commit actions of risk-related behavior is their heavy focus and attention on physical appearance including weight (Forman, 2005). As a side note, adult incidences of the disorder are very much similar to the adolescent incidences in terms of risk factors, symptoms, and development (Cooper et al. , 2009).All of this information point towards the validation of interplay between psychosocial factors as a potential cause of bulimia nervosa. As a result, it becomes evident that a major reason as to why people with bulimia nervosa harm themselves is to maintain a good physical image, possibly in order to prevent potential negative judgment from other people and to portray a positive public appraisal based on appearance. For those with bulimia nervosa, keeping the ideal physical ima ge is vital and certainly of utmost importance, even more than their own welfare in the long run.In relation to this, the concept of keeping an ideal image may be directed by culture, personal cognitive tendencies, and/or derived from stressful events (Treasure et al. , 2003). Having defined the main reason behind the harm caused by individuals towards themselves based upon psychosocial factors, it is now important to assess the biologically based reasons behind it. As with numerous diseases and disorders, there is a current trend of discovering or determining the genetic triggers which initiate the onset of such problems.As mentioned, current research has revealed that there is a genetic or biological basis in the occurrence of bulimia nervosa (APA, 2005). In areas of medicine and genetics, a complex disease is one that is considered to involve the interaction of gene-based and environmental factors. Thus, such diseases cannot be passed on simply from parent to offspring; however, the tendency to develop susceptibility can be passed on and can be induced by mutations (Treasure et al. , 2003). In this sense, a person that is susceptible to develop bulimia nervosa is depicted to have genes or alleles that allow such susceptibility.Alone, a susceptibility gene cannot cause the development of the disease, but upon the addition of additional susceptibility genes, the interaction between the collection of genes leads to disease development (Treasure et al. , 2003). In fact, a study was conducted in order to assess the specific sets of chromosomes that confer bulimia. In the said study, it was mentioned that a portion of bulimia nervosa cases does indeed have a familial bearing, suggesting that its incidence in families with members that has bulimia is observed to be rather connected in terms of successive or prior cases of bulimia in the family (Cynthia et al., 2003). Given this, the researchers opted to analyze a significantly large sample wherein genetic data was collected and analyzed in order to determine where the susceptibility gene of bulimia is located. Exactly 308 families were used as sample, wherein a linkage analysis of the families regarding heritable genetic characteristics of bulimia, such as vomiting, was conducted. The results of the study from linkage analysis have shown that a dominant linkage results was observed between D10S1430 and D10S1423, implying that the effects of chromosome 10p in families with bulimia are the common denominator (Cynthia et al., 2003). With such proof of genetic basis in developing bulimia, especially since it was proven to be heritable, it becomes evident that there is indeed a biological basis in the presence of the disorder. In this sense, an individual may cause harm to themselves due to genetic interaction between susceptibility genes which confer bulimia and its symptoms, for example when genes that code for self-induced vomiting are activated, the individual will tend to induce vomiting upo n him or herself.Since bulimia can be considered as rather hereditary, environmental implications of affected families may also cause other members with sufficient susceptibility genes to develop bulimia. In this sense, there are mainly two identified reasons behind the harm those individuals with bulimia cause upon themselves. The first reason is in order to maintain a desired physical appearance of weight as dictated by personal, cognitive, stress, or cultural factors.The second reason is that the activation of certain genes, especially those in chromosome 10p, may cause the development of symptoms related to bulimia, which in turn may cause the development of the overall disorder. These results are not surprising due to the fact that it has long been a common thought that bulimia has psychosocial roots. Also, regarding the development of a genetically based causative agent to bulimia, it is a trend today, with the vast development in genetics, that certain diseases may be trigger ed by genetic factors.However, as mentioned, pointing out these reasons directly is rather beneficial so that individuals will become aware of the possible causes of developing bulimia and continuous suffering due to the disorder. In effect, individuals can practically assess cases where bulimia can already be detected and also provide preventive support to individuals which may have a higher risk of developing the disorder. In terms of future implications and significance of such results, these data can provide further insight and proof that bulimia nervosa, resulting in self-induced harm, is not only triggered by psychosocial factors but genetic factors as well.Hence, further research may make use of the data presented in order to provide further information regarding the specific areas under psychosocial factors and/or genetic factors. Conclusion The research yielded information regarding the causative agents of self induced harm in individuals with bulimia nervosa. It has been d etermined that the causes of self-induced harm can be divided into categories: psychosocial and genetic. In terms of psychosocial, it has been assessed that the roots of the problem may start young, possibly during infancy or childhood.The development into adolescence also further increases the risk of individuals to develop bulimia as the focus towards appearance is increased. Due to various factors such as negative peer judgment and inappropriate self-concept based on behavior, cognitive, cultural, and stress-related aspects, a person may choose to maintain optimum appearance and weight as he or she may see fit through self-induced vomiting which is a form of self-induced harm.In terms of the genetic factors, it has been assessed that the symptoms of bulimia nervosa is rather heritable; hence, the occurrence of the disorder has a familial basis. Specific effects of numerous susceptibility genes, which are generally connected to chromosome 10p, provide the genetic basis of the deve lopment of the problems associated with bulimia. In addition, it was also mentioned that self-induced harm such as purging is activated by specific genetic elements.Therefore, the aim of the research to list the reasons behind self-induced harm in cases of bulimia has been completely fulfilled due to the fact that the two main reasons for self-induced harm was enumerated, one being a desire for maintaining or developing an ideal appearance and weight-based on varying criteria and the other being the interaction of genetic elements which, when triggered, can lead to the symptoms such as induced vomiting which is considered to be self-induced harm. ReferencesAmerican Psychiatric Association. (2006, November). Let’s Talk Facts About Eating Disorders. [Borchure]. Arlington, Virginia: American Psychiatric Association. Retrieved April 23, 2009 from http://www. healthyminds. org/factsheets/LTF-EatingDisorders. pdf. Cooper, M. , Todd, G. , & Wells, A. (2009). Treating Bulimia Nervosa and Binge Eating: An Integrative Metacognitive and Cognitive Therapy Manual. New York: Routledge. Cynthia, M. B. , Delvin, B. , Bacanu, S. , Thornton, L. , Klump, K. L. , Fichter, M.M. et al. (2003). Significant linkage in chromosome 10p in families with bulimia nervosa. American Journal of Human Genetics, 72 (1), 200–207. Forman, S. F. (2005). [Review of the book Clinical Handbook of Eating Disorders – An Integrated Approach]. The New England Journal of Medicine, 352 (6), 636. Retrieved April 23, 2009 from http://content. nejm. org/cgi/reprint/352/6/636. pdf. Grange, D. L. & Lock, J. (2007). Treating Bulimia in Adolescents: A Family Based Approach. New York: The Guilford Press.Grice, D. E. , Halmi, K. A. , Fichter, M. M. , Strober, M. Woodside, D. B. , Treasure, J. T. et al. (2002). Evidence for a susceptibility gene for anorexia nervosa on chromosome 1. American Journal of Human Genetics, 70, 787–792. Retrieved April 22, 2009 from http://www. pubmedcentral. n ih. gov/picrender. fcgi? artid=384957&blobtype=pdf. Johnson, J. G. , Cohen, P. , Kasen, S. , Brook, J. S. (2002). Eating disorders during adolescence and the risk for physical and mental disorders during early adulthood.Archives of General Psychiatry, 59, 545 – 552. Retrieved April 23, 2009 from http://archpsyc. ama-assn. org/cgi/reprint/59/6/545. pdf. Keel, P. K. (2006). Eating Disorders. New York: Infobase Publishing. Mehler, P. S. (2003). Clinical practice: Bulimia nervosa. The New England Journal of Medicine, 349 (9), 875–882. Retrieved April 22, 2009 from http://content. nejm. org/cgi/reprint/349/9/875. pdf. Treasure, J. , Schmidt, U. , & Furth, E. V. (2003). Handbook of Eating Disorders 2nd Edition. England: John Wiley & Sons Ltd.

Friday, August 30, 2019

Jilted-Sylvia Plath: Analysis on Craftsmanship

The poem â€Å"Jilted†, written by Sylvia Plath, has its subject based on the disappointment of love which resulted from a female being neglected by her male lover, who probably must have gone off in pursuit of another female. This poem has a simple abab rhyme scheme. The words of this poem were expertly chosen to describe the sour and acidic feelings that accompany betrayal and abandonment. Overall, it is obvious that the tone of this poem is sour and caustic. The title â€Å"jilted† is a word that has harsh sound which already hints to readers that the poem is not about any pleasant or happy experiences. In the first stanza, Plath compares her tears to vinegar, which is a substance that is corrosive, pungent, and stinging. The word vinegar shows on a surface level that her relationship was over, emphasizing the fact that she is extremely depressed. Later, she refers to an acetic star and a caustic wind. All of these rich imageries imply a tone that is harsh and corrosive. By comparing her tears to â€Å"vinegar†, Plath successfully expressed the idea that not only the crying was sad, but the tear in itself was sad. This creates a realistic image of her sadness after being abandoned by her lover. In the second stanza, Plath uses the imagery of a sour expression that ensues after tasting a lemon to describe her inner feelings. â€Å"Wry-face† suggests that Plath is disgusted, disappointed, and perhaps annoyed. The phrase â€Å"sour lemon moon† is a symbol of loneliness and desolation. This metaphor gives us the image that the female has left earthly life and has transcended to a secluded and private spot so that she can grieve over her bad relationship. This also helps indirectly suggest she is now alone and her lover has left her for someone else. In the last stanza, Plath metaphorically compares her drooping and wilted heart to that of a small, sour, unripe plum. Plath expresses her pain at being jilted and describes her disposition of being sour and caustic, and her heart now wilted. Plath uses the phrase â€Å"my lean, unripened heart† to tell her readers she is so badly hurt that her heart may never recover or heal. The purpose of the poem is to express dissatisfaction and unhappiness for a personal experience of Plath. Every word Plath used strengthens the mood of the entire poem that is filled with bitterness.

Thursday, August 29, 2019

Beneficence vs. Non-maleficence

Beneficence vs. Non-maleficence Beneficence and Non-maleficence are two interrelated concepts which consist of bringing no harm to others. Although the two are interrelated, there is a big difference between the two. Beneficence refers to the act of helping others whereas non-maleficence refers to not doing any harm. Therefore, the main difference between the two is that beneficence asks that you help others while non-maleficence asks that you do no harm to others to begin with. When you combine both concepts, the main point is that you must act selflessly in a way that will help the other individual and you must not act on your own beliefs. As mentioned before, beneficence refers to the actions that help others. In other words, these actions are done for the benefit of others. According to the UCSF school of medicine, â€Å"beneficence is an action that is done for the benefit of others. Beneficent actions can be taken to help prevent or remove harm or to simply improve the situations of others† (Pantilat, 2008). The UCSF school of medicine also provides clinical applications in which they mention how physicians are â€Å"expected to refrain from causing harm, but they also have an obligation to help their patients† (Pantilat, 2008). It certainly seems confusing considering the fact that sometimes in order to provide care, patients can experience harm. UCSF also mentions that there is a difference between obligatory and ideal beneficence. UCSF mentions that there is a common confusion between ideal beneficence and obligatory beneficence. According to the UCSF school of medicine, â€Å"Ideal beneficence co mpromises extreme acts of generosity or attempts to benefit others on all possible occasions† (Pantilat, 2008). According to the UCSF, â€Å"physicians are not necessarily expected to live up to this broad definition of beneficence,† however they most certainly are required to promote the welfare of patients no matter what (Pantilat, 2008). Because of the knowledge that physicians possess, they are obligated to prevent and remove harm and â€Å"weigh and balance possible benefits against possible risk of an action† (Pantilat, 2008). Not only this but the UCSF expands on the definition of beneficence by saying this can also include â€Å"protecting and defending the rights of others, rescuing persons who are in danger, and helping individuals with disabilities† (Pantilat, 2008). The following are a few examples the UCSF provides in regard to beneficence: â€Å"resuscitating a drowning victim, providing vaccinations for the general population, or helping someone quit smoking† (Pantilat, 2008). Non-maleficence as defined earlier basically states that you must do no harm no matter what and refrain from providing â€Å"ineffective treatment or acting with malice toward patients† (Pantilat, 2008). UCSF makes a point to say that this principle offers little useful guidance because many times therapies or treatment provided by physicians can also have serious risks or consequences (Pantilat, 2008)). According to the UCSF, â€Å"physicians should not provide ineffective treatments to patients as these offer risk with no possibility of benefit and thus have a change of harming patients† (Pantilat, 2008). The school of medicine continues to say that, â€Å"In addition, physicians must not do anything that would purposely harm patients without the action being balanced by proportional benefit† (Pantilat, 2008). The reason UCSF says this is because they believe that many procedures and interventions can cause harm in relation to benefits and therefore, the physician must make sure to inform the patient of all risks prior to any procedures. And ultimately, the physician should not pressure the patient into having any procedure done and should solely allow the patient to decide based on the proper information provided to him or her. An example of non-maleficence is stopping any medication that is shown to be harmful or refusing to provide treatment to a patient which has not been proven to be effective in trials. Another example of non-maleficence is not encouraging someone to smoke when you know how harmful it can be.

Wednesday, August 28, 2019

War as a Strategic Tool of Policy - To what extent did the outcome of Essay - 1

War as a Strategic Tool of Policy - To what extent did the outcome of the 1973 Arab-Israeli war serve the political objectives o - Essay Example The main reason behind this is the fact that politicians opt not to be too specific as they worry that if there is failure for the objectives to be attained, foreign leaders and local opponents will regard the entire exercise as a failure. Due to this, rather than being defined as measurable objectives, foreign policy objectives are defined in terms of goals or aims. Unclear and ambiguous political strategic objectives are of little or no use to operational planners.3 In terms of expression, political strategic objectives can be articulated in broad or narrow terms. Broadly articulated political objectives are most of the time applied in situations that do not involve vital national interests. Through this, it becomes easier for the political leadership to admit to a compromise without losing international reputation or domestic support. Narrowly articulated political strategic objectives on the other hand need to be comprehensively accomplished, or then the political and additional costs for the political leadership might be exorbitant. Vego asserts that â€Å"yet, in a situation where vital national interests are at stake, there is usually no choice but to fight to the finish†.4 During the 1973 Arab-Israeli war, Syria, Egypt, Israel, Palestine, Saudi Arabia and the United States, who were the principal participants in the war, had various individual political objectives. The objective of Syria and Egypt were to recover their occupied territories, which were the Sinai Peninsula and the Golan Heights region respectively. Although it did not initiate the war, Israel had the objective of preserving its national security, which was made possible by occupying the Golan Heights and Sinai Peninsula. Maintaining control of the Tiran Straits located at the Sinai region was also crucial for Israel’s economic dominance. Palestine wanted to regain its territories from the Israel Jewish majority, who had for a long time prospered, as the Palestinian minority continued to suffer, with some of them living as refugees. Saudi Arabia had the objective of defending the union of the coalition among Cairo, Damascus and Riyadh; it therefore used the oil embargo as its political instrument during the 1973 Arab-Israeli war. Through this, Saudi Arabia could pressure Israel and the west to reach a fair agreement regarding the Palestinian issue. It could also be able to restrain the United States military support to Israel, as well as balance Israel’s military dominance. The United States was also involved in this war as it came in as an assistant to Israel. Its main political objectives were to; bring about a general extinction of the Soviet Union as a superpower in the Middle East and take its position; gain a political settlement with the ability to bring about a transformation in the Arab-Israeli conflict, which would change the conflict to a small territorial one and remove it from its ideological

Tuesday, August 27, 2019

The Strategy Diamond Essay Example | Topics and Well Written Essays - 750 words

The Strategy Diamond - Essay Example Arena as part of the strategy seeks to enable managers or consultants make decisions on the areas which business is to be active. It helps in evaluating and analyzing kind of products or services alongside their distribution to the market. However, before the market as the destination, arena provides a clear picture of the target audience a company intends to reach out to. If the market segment is wide then it devices various segment either geographically or incorporating other factors in the analysis.On the other hand, vehicles elaborate the drivers that the company will use to achieve its objectives. This can be through internal development where every department of the business or the company is mandated to achieve various goals. In other cases, it can be through alliances with other companies or acquisition of other firms and joint venturing among other techniques. All the techniques employed at this facet provide means which are to be used to realize the anticipated success. How ever, the business field has become so competitive that those companies that can’t shape up more often than not are compelled to shape out. An ideal way for a company to compete favorably or have an age over its rivals is by branding its product or services in a way that makes its customers loyal. This is provided in the differentiator part of the strategy diamond. Differentiator can be how convenient is the company or its product is to the clients that make them prefer them to those offered by other firms.

Monday, August 26, 2019

Analysis of Color Adjustment Movie Review Example | Topics and Well Written Essays - 1000 words - 7

Analysis of Color Adjustment - Movie Review Example Albeit with little variations, they still depict past â€Å"bad† images. The producer also brings to light the continuing identity crisis that continues in American television. He is able to contrast the ideal blacks depicted in sitcoms and sagas with the angrier, harsher ones presented in the news (Riggs et. al. 0:12). In a rather informative and straightforward manner, Marlon draws opinions from producers and stars from notable shows in the history of black television. He occasionally pauses to observe James Baldwin’s literature. Every one of the shows he discusses comes out as a show of both pride and pain. Tim Reid and Diahann Carroll, who were the main actors in popular television series significant in Mr. Riggs’ argument, openly talk about their varied response to â€Å"Amos ‘n’ and Andy†, a television show in which the N.A.A.C.P did say: â€Å"every temperament is either a crook or a clown.†(Riggs et. al. 0:32) As the film progresses, Ms. Carroll opens up about her family being adamant concerning not watching â€Å"Amos ‘n’ Andy.† It is only later that she could see the offensiveness in the show to see its humor (Riggs et. al. 0:25). With the chronological procession of the movie, it depicts Beulah, a jolly black servant who is committed to the white family who employs her. â€Å"That was a maid from Hollywood,† (Riggs et. al. 0:29) Esther, who starred in â€Å"Good Times† quips. In this case, she is referring to the Louse Beavers who was popularly called the grinning actress. She is the one responsible for making Beulah be acceptable to the white viewers. Beulah is black. The film, which debuted at the Anthropology Movie Archives, devoted attention to Nat Cole’s variety show. It signaled the initial non-comedic episodes that that starred black actors, but which was called off due to lack of sponsorship for an entire season.  Ã‚  

Sunday, August 25, 2019

How organised is Organised Crime Essay Example | Topics and Well Written Essays - 3000 words

How organised is Organised Crime - Essay Example ?How organized is Organized Crime?†, it is difficult to provide a straightforward answer, given the complexities and flexibility that signify these groups. Hence, this essay will try to present to the reader those aspects of Organized Crime groups that is well organized and also point to those elements in it that is more fluid. One of the notorious crime groups of the twentieth century is the Medellin Cartel of Columbia. The perennial political instability of Columbia is a key factor for the evolution of this group. The civil war of 1948-1958 had the harshest impact on the country and its surrounding areas. The civil war was essentially one of struggle between poor campesinos and the rich landowners. It is no coincidence that most of the populace of Medellin are poor and are à ©migrà ©s from the countryside. The industrial city of Medellin served as the operating base for the Medellin Cartel, whose founders include Pablo Escobar, the Ochoa clan, and Carlos Lehder-Rivas. The city is also notorious for smuggling and picks pocketing (Griswold 2005). Some of the leaders of the Medellin cartel were even involved in active politics, which ironically gave the cartel an air of legitimacy. In 1982, Escobar was elected as an alternate Colombian representative in Envigado, a region nearby Medellà ­n. There he established himself as a saviour of the underprivileged by implementing construction projects for slum dwellers and soccer fields for the youth. He even had his own newspaper, which acted as his public relations equipment. It portrayed him as an up-from-the-slums statesman. Escobar enjoyed immunity from arrest as long as he was a public representative. Hence, in this Columbian example, organized crime was part and parcel of mainstream politics. In this sense, we can call the cartel a sophisticated, powerful and well organized group. (Griswold 2005) Having said so, not all underworld groups achieve popular recognition the way Medellin cartel did. For most

The effectiveness of residential programs in treating addiction Research Paper

The effectiveness of residential programs in treating addiction - Research Paper Example This behavior is a result of the effects of prolonged exposure to drugs on brain functioning. Addiction has an effect on multiple circuits of the brain including those involved learning, memory, motivation, reward and those that control behavior (Doweiko, 2009). Treatment of addiction is not simple because addiction disrupts many aspects in the life of an individual. Effective addiction treatment programs incorporate a lot of components. Each component is directed to a particular aspect of the illness. Addiction treatment should be focused on helping an individual stop drug use, maintain a lifestyle that is drug-free, and attain productivity in the family, in society and at work. The fact that addiction is a disease means that people cannot stop using drugs at once and be cured. Many patients require long-term treatment and care to achieve sustained abstinence and recover from addiction. Clinical practice and scientific research have demonstrated the importance of continuous care in treatment of addiction. Residential treatment centers form the best line of defense against drug addiction and several other compulsive behaviors. Although there are various levels of care for treating addiction such as one-on-one therapy, day treatment, and outpatient treatment, residential treatment is considered to be the most effective approach to rehabilitation for health disorders that are behavior related. Â  Thousands of residential treatment centers are available for individuals undergoing addiction recovery. The centers are geared towards dealing with all types of compulsions and addictions so as to assist the millions of addicts get their lives back on track. Residential treatment programs are highly effective, especially for severe addiction problems. An example is the highly structured programs referred to as therapeutic communities where patients reside for 6 to 12 months (Doweiko, 2009). Therapeutic communities differ from other

Saturday, August 24, 2019

The War on Drugs in America Research Paper Example | Topics and Well Written Essays - 1250 words

The War on Drugs in America - Research Paper Example However, researchers agree that criminal activity in America and the rest of the world is strongly associated with drug availability and usage (Dobkin & Nicosia 2009). During the 90’s youth gangs surged all over United States. Interestingly, during the same time crack cocaine also became the drug of choice for many. Youth gangs high on crack brought the third and inevitable problem; gang related violence. In the 1960’s gangs were not involved in drug trafficking or abuse, but the rapid growth in the number of cocaine users led to the gang members not only becoming drug abusers but also getting involved in the trade of drug. This in turn brought crack cocaine in easy access of the masses, as even the street corner gangs started thinking of drug trade as an easy way of making money. Studies show that by the 1990’s gang members were involved in higher levels of drug use as compared to non-gang member population (Howell & Decker 1999). Of course, preceding decline in manufacturing jobs did not help the situation. Selling drugs was and still is considered a way of making quick money. Most of the new jobs created in the 80’s and 90’s were in suburbs. This left the inner city residents to fend for them and drug marketers were the only one providing work. Drugs affected the social life of these gang members in other ways as well. Firstly, their new economy forced them to rethink their pathways in life. The traditional work, marriage and family lifestyle was now out of question for many. These young gang members would no longer be influenced by norms and traditions. Instead, their gangs acted as families with social control over its members. This was followed by the violence. Gangs ferociously guarded their areas and turf wars broke out. Research into the relationship between drugs and violent crime has outlined three ways in which drugs can lead to violence. First, the pharmacological effects of a drug can make its user violent and se condly, violence occurs when an abusers is forced to commit violent crimes in order to secure financing for their expensive habit. Lastly, violence is the product of the drug system in which it is the only way of ensuring expansion of drug market share and protection from other market participants (Howell & Decker, 1999). Another side effect of drugs being sold on the street corner is that those who were already dealing with the harsh realities of life found an easy way out of their problems, even if it was for a little while. This led to many women to abuse drugs as well. The increase in prostitution can also be coincided with the increase of drugs in the American society. It is too, a never-ending cycle as prostitutes use drugs to deal with the humiliating aspects of their profession while indulging in it to finance their expensive habit of drug abuse (Young, Boyd & Hubbell 2000). Many people think that drug addicts simply lack the will to leave their addiction or they are morally corrupt because they consciously want to do all the bad things that happen. The reality is that drug addiction is a disease that alters the brain chemistry of a person making it impossible to simply wash the addiction away. Every year more than $600 billion are spent in health and crime costs related to drugs. However, even these numbers are insufficient to explain the harm caused by drugs to our society, as

Friday, August 23, 2019

Discussion point Essay Example | Topics and Well Written Essays - 250 words - 2

Discussion point - Essay Example The point in this scenario is to make a choice in regard to prioritizing which debt to clear first. Michael needs to understand that it his legal obligation to pay his mother since it was a loan which is legally binding. However, the loan seems to have been unsecured because it was leased and in line with the evidently missing Personal Property Security Act (PPSA). There are two critical legal concepts that Michael need to understand in regard to his mother. It is not indicated if they perfected any collateral towards the loan and this means that in the event he could not raise the loan, the mother cannot claim anything. However, considering the case of Golf, in the event that Michael failed to honor his lease obligation, VW would repossess the Golf. In an attempt to avoid bankruptcy from the debts including the loan he owes the mother, Michael has Bankruptcy and Insolvency Act at his disposal in which he can make a proposal of paying only a portion of the debts e.g. paying back 50 c ents for every dollar

Thursday, August 22, 2019

Answers to Questions in Astronomy Essay Example for Free

Answers to Questions in Astronomy Essay 1. How do astronomers measure the distances to galaxies and how does that allow the sizes, luminosities and masses of galaxies to be determined? A distance indicator is an object within a galaxy that functions as a marker to that galaxy. It may be a Cepheid star, globular cluster, H II region, planetary nebula or supernova. The distance to a galaxy, especially if it is very far away, is approximated by employing the Hubble Law which is expressed as Recession Velocity (Vr) = Hubble’s Constant (H) x distance (d). After obtaining the distance, it is possible to determine diameter through the small angle formula and luminosity from distance and apparent magnitude where both formulas are derived equations (Garber). Meanwhile mass can be estimated in three ways. Rotation curves reveal the calculation of rotational velocities for varying distances from the galactic center so that once distance and velocity are known, mass can be obtained (Garber). Another is through the cluster method which focuses on the motion of a galaxy within a galactic cluster. The size of the galaxy as well as range of velocity determines the total mass of the cluster (Garber). The third is through the velocity dispersion method where the spectra of the galaxy are used to approximate mass. Broad spectral lines indicate high velocity which in turns suggests a large mass (Garber). 2. Discuss how individual stars and the shapes of galaxies are affected by collisions. As a galaxy approaches another in a collision, the gravitational fields of the stars in each of them start to interweave and the resulting powerful tidal forces disturb and radically alter the shape of the galaxy, similar to the manner in which the gravitational pull of the moon causes the tide to rise in regions of the earth nearest to it but magnified a thousand times. A collision initiates the formation of tidal tails, bars or rings and colliding gas clouds produce knots of newly formed blue stars while the nucleus of the galaxy becomes deformed (sciencedaily.com). On the other hand, when stars collide, they merge together as one star that displays unusual brightness and heat relative to age so that they become very prominent in their globular cluster. These stars are referred to as â€Å"blue stragglers†. When stars increase in age and use up their hydrogen, they become cooler, less massive and red in color but through collisions, they obtain extra mass causing them to turn blue (Masters). This permits them to remain longer in the main sequence the phase in a star’s life where it burns its hydrogen. 3. Explain the differences between the three types of galaxies and what happens to change their shape. An elliptical galaxy is rounded or oval in shape, do not have visible gas and dust or bright, hot stars and consists of population II stars. Elliptical galaxies are also surrounded by globular clusters. A spiral galaxy has a disc component, consists of both populations of stars, exhibits a nucleus and may have arms with differing orientations (Garber). An irregular galaxy does not present a regular pattern and includes new and old stars alike. Galactic interaction, collision and merging, which involve the effects of the gravitational fields of galaxies, are the primary events that change the shape of galaxies. The subsequent structure depends on both the type of the galaxies involved and the directions of their orbits (Keel). Collision, mentioned earlier, may not result in a merger if both galaxies have enough force to continue moving away from each other after the event. Galaxies are said to be interacting when they do not collide but both their gravitational attractions cause distortion and exchange of gas and dust (astro.umd.edu). In interactions that occur at slow speeds and involve galaxies with unequal masses, spiral formations may assume irregular-lenticular shapes (Than). Gases being pulled to the central region, as a result of tidal disturbances, clear away the spiral configuration, leaving behind a disk structure. The most drastic interaction is the merging of two galaxies and occurs when they collide but lose their momentum to slide past one another. Instead, they fall back into each other and unite into one galaxy, losing their original shapes in the process (astro.umd.edu). When a significantly more massive galaxy collides and merges with a smaller one in a type of interaction known as galactic cannibalism, the bigger galaxy does not exhibit a visible change in shape but the less massive galaxy is ripped apart, loses its shape and becomes integrated into the bigger one.

Wednesday, August 21, 2019

Travel and Term Paper Examples Essay Example for Free

Travel and Term Paper Examples Essay Below is a free essay on Faq on Solo Travel from Anti Essays, your source for free research papers, essays, and term paper examples. 1. Is it safe to travel alone? It is generally safe but do read up on the places you will be visiting for any travel advisories such as petty crimes or things to watch out for. Travel during daytime and try not to stray to areas that are isolated or dark. Always keep your belongings in sight and safely secured. Separate a portion of your money and credit card in a different location than the rest of your money in case of theft. Let someone know your travel itinerary and occasionally keep them updated of your whereabouts so that they know you are safe. 2. What do I need to prepare before the trip? Plan for your trip! Choose where to go and try to do as much research on your destination as possible. Check to see for any visa requirements. Decide how long you want to travel and be aware of your budget. You should know exactly how much you want to spend each day on meals, transportation and lodging. Don’t forget admission fees to places of interest and allocate some splurge money for shopping and souvenirs. It is recommended that you purchase travel insurance to cover for medical expenses and emergency evacuation in case you need medical attention during your trip. 3. Where to stay? There are many kinds of accommodations that you can explore. However, hostels are often the cheaper option if you are travelling alone. Nevertheless, do check out for good hotel deals online. For the more adventurous, there are interest groups that offer free stay at their homes. Check out www.couchsurfing.org. However, choose wisely to ensure that you get a good host. A tip will be to view comments about the host. For a farm stay experience, check out www.wwoof.org, where you will get free lodgings and food in exchange for a few hours of work each day at the owner’s farm. 4. What should I do during my trip? Travelling overseas does not mean you have to cover all the places of interests. Do not rush from one place to another. Be selective. More

Tuesday, August 20, 2019

Competitive Strategy of the Oil and Gas Industry

Competitive Strategy of the Oil and Gas Industry Challenge: Through intense research, interviews, and interaction with NOC executives, created a comprehensive picture of the current regional situation; an assessment of the size of the prize available to foreign oil companies, including our client; and a model of stakeholder objectives along with a core set of options for a new type of relationship to be introduced . Solution: Using country-specific models and expertise, we can identified key opportunities for the client to improve its short-, medium-, and long-term positioning in each potential target country and gave the client significant advantage and bargaining intelligence before approaching new investor relationships. Oil Gas: Competitive strategy Corporate business unit strategy Management works with oil and gas companies to design and implement corporate and business unit strategies that deliver profitable growth and enhance shareholder value. Our clients include upstream, downstream, and service companies. Management approach to corporate and business unit strategy is built on a solid understanding of the economic fundamentals of our clients business and its competitive position in the industry. Company help clients sort through complex market, competitive, and economic issues to enhance or reshape corporate and business strategies and work : the external industry environment and the value chains in which we participate evolving  positioned against changes in the external environment and our competitors strategy  The capabilities and assets can we bring to bear on new markets and opportunities  improve our position or alter the competitive landscape  strategic options do we have to grow our business scale and geographic breadth  attractive opportunities to accelerate growth via MA or partnership investments  strategic options do we have to enter a new market Assess resource and execute our growth strategies,  current reserves and production assets meet target levels of risk and returns restructure to enhance growth and facilitate resource access? investing in the right technologies to compete and grow and enter a new growth sector? Selecting best partners given our structure What are critical areas of market uncertainty and how can we mitigate risk Oil Gas: Competitive strategy Market analysis In highly competitive environments, incisive market assessments can help companies capitalize on growth options, capital investments, and new product or technology introductions. experienced industry consultants specialize in defining market structures, driving forces, and global competition. We have deep expertise in the industry and in economics, and consistently deliver world-class market research, insightful analysis, and tangible results. We collaborate closely with our clients strategy development, marketing, and sales teams, and tailor our research and analysis to particular client needs. Specifically, we help companies: Analyze strategic and competitive industry position Develop new strategies for market entry and growth Develop new markets and products tailored to customer needs Segment existing markets to identify growth opportunities Assess technologies to define opportunity and/or threat Assess competitor strategies and likely competitive response Understand customer behavior to identify new ways to profitably serve them Analyze programs and budgets to ensure spend is appropriate to expected returns Oil Gas: Intellectual property technology management Company can combines a high degree of technical competency, proven management tools and processes, and deep industry knowledge to help our clients identify sources of technology value and transform them into profitable growth. We help clients align technology strategy with overall business strategy and advise on: Technology strategy, planning, and execution Technology platform development, structuring, and execution RD portfolio and resource management Commercialization Technology market and competitive evaluation Intellectual property strategy and management Technology strategy, planning, and execution A sound business strategy must be supported by a properly-aligned technology strategy. We work with RD heads and corporate or business unit management to forge the links necessary to define, create, and execute properly-aligned technology strategies. We also work side-by-side with management and RD teams to ensure that programs with the highest potential are properly resourced and managed, and that technology and capabilities critical to the future of the company are accessed and nurtured to deliver advantage and profitable future growth. Technology platforms Technology platforms are vital to gaining competitive advantage. We can help you develop, structure, and commercialize platforms that leverage your firms distinctive technologies and competencies to yield market-leading performance. Portfolio and resource management Achieving the appropriate balance of new and long-term, as well as incremental and breakthrough, technology investments is essential to balancing risk and performance. CRA works with clients to create and deploy portfolio and RD process design tools to increase the expected value of RD portfolios, inform make/collaborate/buy decisions, and maximize the value created from RD resources. Commercialization Unfamiliar markets, partnership tensions, and capital constraints are a few of the challenges faced by companies seeking to commercialize technology. We help companies exploit the full value of their technology portfolios through robust IP strategies that align with commercialization programs. Technology market and competitive evaluation The foundation of technology strategy, planning, and execution is a sound market evaluation. CRA combines technical expertise with in-depth knowledge of the energy industry to evaluate new technologies in relation to current and potential markets, and to define the dimension of the opportunity, drivers of change, and entry/expansion requirements. We work with clients to assess the competitive situation and define appropriate strategies to take advantage of business opportunities. Intellectual property strategy and management Creating and exploiting intellectual property is the lifeblood of technology-based firms. From IP strategies to patent valuation, licensing, and litigation, CRA has the expertise to help oil and gas companies manage, enforce, and extract value from IP portfolios. Oil Gas: Risk management Clients around the world engage CRA to help them develop more effective and more comprehensive strategies, processes, infrastructure, and controls for managing risk. We cut through complexity to give clear, direct answers based on rigorous analysis of hard data. We also provide concrete action plans that enable clients to better manage credit, market, operational, and strategic risks. Mutual respect Management consultants have a deep commitment to success, integrity, and collaboration. We co-develop sustainable frameworks in partnership with clients. Industry focus have a full understanding of our clients businesses, including exchange-traded and over-the-counter products, market participants, and institutions. Risk expertise Management consultants are leaders in the provision of marketing, credit, and operational risk management expertise to top global financial services companies. Proven track record outstanding record of past performance in the implementation of management infrastructure, business processes, and regulatory compliance. Seasoned practitioners -have deep kn Management owledge of the operating environment, as well as underlying capital market participants, regulators, marketplaces, and vendors Oil Gas: Organization performance improvement Organization and performance improvement is a never-ending necessity for oil and gas companies. Shifts in global supply and demand, record-high energy and materials prices, and chronically underperforming assets are only a few of the current challenges. Executives also face considerable pressure to boost shareholder returns, whether through revenue growth, margin improvement, asset efficiency, or some combination. CRA helps clients identify and utilize the levers that can improve business performance. Our tailored, comprehensive approach addresses process, organization, systems, and performance metrics Oil Gas: Environmental strategy Regulatory policy and litigation involving air and water quality and waste disposal now impact virtually every industry. Annual expenditures on environmental protection, cleanup, and damages total hundreds of billions of dollars, and a reduced burden is not expected. Oil and gas companies have challenged themselves to be positive environmental contributors, and a sound environmental strategy is increasingly important to maintain regulatory compliance and demonstrate responsible care. CRA provides expert, far-reaching support to clients facing challenges related to the environment. We help our clients respond to environmental regulatory and legal action, influence the regulatory and legal setting, and anticipate and adapt to future requirements, including possible climate-change regulation. Our consultants advise on: Corporate strategy to address risks and uncertainties surrounding greenhouse gas (GHG) policy Environmental strategic compliance options with federal, regional, state, and local regulations/legislation Emissions trading planning surrounding cap-and-trade policies for SO2, NOX, Mercury and CO2, among others Environmental policy analysis to shape future policy design Regulatory/litigation support in conflict situations involving costs/damages resulting from claims related to the environment Identification of business opportunities that could relate to environmental trends, such as renewable power generation, demand-side management, and energy efficiency

Monday, August 19, 2019

Battle of Hastings :: Harold Godwin William the Duke of Normandy

Why did the Normans win the battle of Hastings? The battle of Hastings took place on October 14th 1066. It was between Harold Godwin and William the Duke of Normandy. William won for a number of reasons but here are just two of them. William had more men as well as having more time to prepare. King Harold did not have time to prepare properly for the battle because he had to fight Harold Hadraada and his brother Tostig at Stamford Bridge. After the battle of Stamford Bridge, Harold Godwin heard some bad news. This was that William had invaded. Harold had to march his men south very quickly. Many of his men were exhausted so he had to leave so he had to leave them behind. Some of Harold’s best soldiers the housecarls had been injured or even killed in the battle so Harold had a weak army, which was mainly made up of farmers. On the other hand, William had more time for preparations. He had to wait a long time for Harold Godwin to arrive . . . As soon as William saw him the battle commenced. One of the main reasons is that the Normans had more cavalry and better weapons to fight with, also William won because Harold had to fought at Stamford bridge earlier so many his men were tired. With their leader dead, the English lost heart and fled. The end came when a score of William’s knights stormed the English position. in the south, during this time William could prepare and make up tactics for the battle. The Anglo-Saxons were over the moon so when the Normans started to walk away Harold’s men ran down Senlac Hill and started chasing them away but unfortunately William and his men turned around and started to kill, lots of the Anglo-Saxons were killed including Harold . In fact, some sources claim that Harold met his end at their hands, and was hacked to death, rather than the traditionally held view that he was hit with an arrow in the eye. After two whole weeks of waiting Harold Godwin eventually reached the south. The Normans won the battle of Hastings for a number of reasons many of which were linked.

Another Catcher In The Rye :: essays research papers fc

Here is an essay on "The Catcher in the Rye" Hope you will be able to post it! Through Holden's Eyes The Catcher in the Rye has truly earned it's place among great classic works. J. D. Salinger created a literary piece that was completely unique. The entire novel was written in the first person view of the 17-year-old, Holden Caulfield. The majority of the story is compiled of Holden's rudimentary monologue of 'complexly simple' thoughts, the rest utilizing his relay of previous dialogue. That and the use of unique punctuation, digressing explanations, and complex characterization, transformed the simple plot into the complex literary classic. The novel's dialogue and monologue alike, manage to relay the feel of natural speaking such as: "I mean you'd be different in some way - I can't explain what I mean." The contractions; you'd and can't - since they are common in everyday language - establish a very common and simple tone. Stress on the first syllable of "different," reinforces the tone by demonstrating how typically they speak, just as in reality. He uses dashes for pauses and signaling associative digressions. Instead of signaling pauses, commas are used mostly where mechanically required, for instance: "So all of a sudden, I ran like a madman across the street - I d*** near got myself killed doing it, if you want to know the truth - and went in this stationary store and bought a pad and pencil." Holden Caulfield creates a thought provoking point of view. On the surface many of his thought patterns seem unrelated and straying from the topic. His association of topic with digression is used almost constantly throughout the novel. However, realizing that these digressions are very relevant and even crucial to the topic allow the reader to gain true insight to the character. His statements about his sister's intelligence, followed by explanations of how well she listens, reveals Holden's associations of intelligence with being quiet and observant. Another example would be his tension around the nuns. Even though he enjoyed the conversation, he worried about being asked if he was Catholic. He stated they "...would have liked it better if he were Catholic." This gives insight to his discomfort with being judged morally, and to his association of people of morals looking down on those who don't share them. In Holden's descriptions and thoughts, Salinger accomplished the most unique aspect of the story's point-of-view. Instead of using the popular - however overrated - style of well refined thoughts and flowery descriptions, Salinger describes things as they are perceived upon a first impression. Naturally the human mind does not instantly process first encounters or experiences

Sunday, August 18, 2019

Analysis of A Modest Proposal by Jonathan Swift :: essays research papers

This essay by Jonathan Swift is a brutal satire in which he suggests that the poor Irish families should kill their young children and eat them in order to eliminate the growing number of starving citizens. At this time is Ireland, there was extreme poverty and wide gap between the poor and the rich, the tenements and the landlords, respectively. Throughout the essay Swift uses satire and irony as a way to attack the indifference between classes. Swift is not seriously suggesting cannibalism, he is trying to make known the desperate state of the lower class and the need for a social and moral reform in Ireland. Jonathan Smith goes to extreme measures to explain his new plan to raise the economic wellbeing of his country. He explains what age is too young and what age is too old, in order to eat the tenants children when they are at their prime juiciness. He also gives a list of suggestions on how to cook them, ?A young healthy child well nursed, is, at a year old, a most delicious nourishing and wholesome food, whether stewed, roasted, baked, or boiled, and I make no doubt that it will equally serve in a fricassee, or a ragout.? All of this talk about eating children comes as a surprise because previous to this disturbing suggestion, Swift is ironically discussing the plight of starving beggars in Ireland. The reader is unprepared for the solution that he suggests. The idea of eating all the youth in the country is obviously self-defeating and is not being seriously suggested by the writer. He is simply trying to show how desperate the lower class is in Ireland. Swift introduces the reforms he is actually suggesting, taxing absentee landlords, of encouraging the domestic economy by buying Irish goods, of discouraging pride, vanity, idleness, by dismissing them in his essay by saying that they are impractical. However, these reforms greatly differ from his ?modest proposal? because instead of the poor sacrificing their children, it would involve the rich sacrificing some of their luxuries. He is trying to point out the fact that reforms that would be practical and beneficial to the people of Ireland are being overlooked for the convenience of the rich.

Saturday, August 17, 2019

History of Architecture from Ancient world

Discus the early development of urban architecture in the ancient Near East, with specific reference to one or two cities in the ‘Fertile Crescent. ‘ The history of civilization has been one of the most significant fields of study for a very long time. After the agriculture revolution the number of population grow rapidly, civilizations were formed and cities were being built to accommodate the growing populations of the ancient civilization. Architecture has always been a vital part of the civilizations throughout the history of mankind.As Nations become powerful and prosperous their Architecture becomes more dominant by building rater cities, public splendor and religious monuments. From the birth of civilizations until now many civilizations have appeared and disappeared from the face of the earth for various reasons. The ones that have survived and claim their existence have carried out their identity, culture and Architecture from their ancestors. Those civilizations that have vanished due to foreign invasions or other unknown reasons have left us their ancient cities and Architecture that need to be discovered.A great example that we can refer to is the Ancient Near East, where one f the earliest human civilizations were living in. It is told that the Sumerians were the first civilization that once lived in Mesopotamia which is in Ancient near east and worlds first cities also developed in here which includes Summer (Our) and Babylon (Wildfowl & Matthews, n. D. ) In this Essay I will be focusing on the urban development and Architecture of the Ancient civilizations which includes the Sumerians and the Babylonians that were based in Mesopotamia the lands of Fertile Crescent.The Ancient Near East which is now known as the Middle East was the birth place of he civilization, It was here in Mesopotamia where the world's first civilization (Sumerians) claimed their existence (Wildfowl & Matthews, n. D. ) The Sumerians lived in Mesopotamia (a fertile land between the Tigris River and Euphrates River in the Ancient Near East). These two rivers were very important for the Sumerian Civilization because of agriculture and trade, since it was one of the main routs of their economy.The Sumerians were the first civilizations that farmed in large scale â€Å"It was here that the first farmers learned to cultivate grain, growing what they needed ether than gathering wild varieties†(Wildfowl & Matthews, n. D. ) Following the agriculture revelation and a great increase in population led to the multiplication of large communal centers of an urban character (Lamp, n. D. , BC. 8) As it is still apparent that when a nation becomes powerful and prosperous their architecture becomes more prominent and there cities become more complex.Following the agriculture revelation the Sumerian economy grow rapidly and at the same time cities were taking shape and also public splendor and religious monuments were merging from the middle of the citie s. â€Å"For the people of Ancient near east there cities meant more than Just a city for them, it was a complex that only a god could have created it and according to the ideal concept of the people in the ancient near east, cities did not develop in slow growth, to paraphrase the cosmogony: there was time when the city had not been made†¦ And then the city was made† (Lamp, n. D. , p. ) The Sumerians built their cities around a huge monumental religious building with a tower that can be seen from up to km away. They built the high tower (Gujarat) n the middle of the city that the farmers far away could still see their house of God and for the Sumerians the Gujarat was a connection between their city and the havens. The city was enclosed by a wall that was surrounded by farms and villages. It is very important to understand the history of Architecture and planning before we could make any comment about the relationship between modern Architecture and ancient Architecture .The western Architecture that can be mentioned as a â€Å"modern Architecture† derived from the Architecture of the very first civilizations in Mesopotamia (Watkins, 2005, p. ) The city of Our is one of the most famous Ancient Cities of the Sumerians therefore it can be mentioned as a typical Sumerian Urban Architecture example. Similar to the other Sumerian cities the city of Our also had a Gujarat (a huge religious monumental building) in the middle of the main city, it is estimated that it took at least 1500 men 5 years Just to build its base.The main city of Our that was an enclosed area of 89 hectares with estimated population 34,000 people was surrounded by a huge mud-brick retaining wall that had another wall at the top which was built out of burnt-bricks. The size and population of the Our city including the towns and near suburbs that was situated outside the wall of the city was huge. As the author George R. Collins mentioned in his book (Cities and planning in the Ancient Near East) â€Å"Greater Our with its suburbs, merchant quarters and dependencies might have been a City of a quarter million people. (Lamp, n. D. , p. 15) The Architecture of the houses behind the city wall was very similar to each other; they were built out of mud-brick and they all had low doors and a few air vents in order to keep the interior cool in the summer. None of the houses was aligned with heir neighbors â€Å"the orientation of the buildings is non uniformed, with some designed to face the circular roadways and others positioned in what appears to be a more ad hoc fashion†(Asana & Herrmann, 2010, p. 6) Considering the layout, design and materials of the Mesopotamia cities and houses it becomes clear that the people of Mesopotamia were moderately conservative in terms of their approach to planning their cities and buildings(Lamp, n. D. , p. 17) Babylon the capital of Babylonian situated on the old Euphrates in Mesopotamia which is a part of modern day I raq is one of the ancient cities that stands equally with Athens and Rome as a culture ancestor of the western civilization.It was one of the large cities of its time that had a population of around half a million people including the suburbs and towns outside the city wall (Sags, 2000, p. 26) The city and its temples were destroyed many times by foreign invaders and were frequently rebuilt because of its religious importance. The city of Babylon too like other cities in the ancient Near East had its own Architecture and planning identity, it was here that brick was widely used for religious and monumental buildings. Excavation in Iraq as revealed the city grid plan with its double walls, towers and canal connecting it to the river, as well as the foundations of brick built Temples, Palaces, fortifications and the famous Gujarat†(Watkins, 2005, up. 18-20) The city had a rectangular shape with an area of 404. 8 Hectares that was surrounded by a double fortification wall approxi mately mm in width with a mm cavity area in between that were reinforced by strong towers and a moat.The city had 8 main gates that lead to major streets behind the city walls and the main streets that leads to the city are paved â€Å"the main approach to the city was from a wide paved road now known as the processional way' (Watkins, 2005) The hanging gardens that were arranged around five enormous courtyards and the massive walls of Babylon were once counted amongst the 7 wonders of the ancient world (Watkins, 2005, p. 12) Monumental and Residential buildings of the Ancient Near East As I mentioned above that most of the ancient cities were quite similar to each other in terms planning, the residential housing planning was not very different too.A typical city in the Ancient Near East would have had a monumental building in the middle of the itty with residential buildings surrounding it. According to the excavators there was a planning idea that was followed when building durin g the fourth millennium B. C. â€Å"The plan shows that there has been great concern for balance and symmetry in the layout of the single buildings and their fades, but there is little regard for the alignment of the temples or their relationship to one another. (Lamp, n. D. , p. 19) This reinforces the idea that the overall compositional principal was undermined as long as the individual buildings were planned considering symmetry, axes and balance. Their concern for formal planning, symmetry and axial approach is never consistently carried trough but is only applied to parts of the building† (Movement, AFAIK, & Woodlouse, 2003) Letter the Babylonians adopted the same fundamentals of the Mesopotamia planning without bringing any minor changes to it.The residential planning on the other hand was very basic, a town or a suburb was growing from a single house, and even the cities were developing in the same manner. The conclusion is that there was no difference between grown ci ties and planned cities. At the same time there is one principle that has always remained throughout the story of ancient planning which is the orientation of the buildings. Most of the buildings in the Ancient Near East face North West where the most pleasant wind comes from.Following the agriculture revelation for the first time in the ancient Near East, the number of population grow in the region and trade was becoming more common through the Tigris River and Euphrates River. Ancient Near East was home to the world's first civilization and it was here that city planning and monumental buildings first appeared. Some of the architecture in the ancient Near East was counted amongst the 7 wonders of the ancient world which includes the hanging gardens in the Assyrian city and the massive walls of the Babylon city.

Friday, August 16, 2019

Nursing Shortage Essay

Abstract Compelling evidence suggests that regions of the United States face a nursing and physician shortage that our legislators, health officials, and medical professionals must address. To ensure that quality medical care is not harshly impacted, the hospitals and public health leadership, in general, will need to tackle the nursing shortage with solid long-term solutions. It is no secret that the United States faces a critical nursing shortage, a trend that potentially threatens to undermine quality medical care. One single area of concern does not affect the shortage. In fact, the hospitals, and nursing in particular, are witnessing a combination of problems that range in salary structure, medical economics/cost containment, post-graduate education, and an aging workforce (pending retirements of baby-boomers). The public health industry is not sitting idly by to address the shortage. It is critically reviewing the needs for both existing professions. Definition of Nursing Shortage Nursing shortage is defined as the inadequate number of qualified nurses to meet the projected demand for nursing care within a healthcare setting, where the demand for nurses is greater than the supply. History of Nursing Shortage Historical knowledge is important to analyze the present and prepare for the future. As we can see from the current shortage in America today, we learn that it is not a new problem. However what makes this current nursing shortage situation unique is that the causes are related to a multifaceted range of issues. The current nursing shortage is connected to supply and demand factors, demographic changes, population growth, and fewer students enrolling in nursing schools, RNs who are retiring or leaving the workforce and a growth in the baby boom population who will demand more healthcare services in the near future. These factors are occurring while many nurses are retiring and more jobs are being created. In addition, the nursing shortage is actually a worldwide phenomenon with areas like Western Europe, Australia, Canada and the Philippines facing shortages as well. Economic factors have also contributed to the nursing shortage in the United States. Mark Genovese, spokesperson for the New York State Nurses Association explains, â€Å"For many decades the shortage was cyclical but as the economy tightened and as the insurance industry moved to a managed care model, there was less money in the system and hospitals had less money to work with and tighter budgets.† Budgetary limitations affected the nursing workforce as many nurses began leaving the profession altogether. â€Å"They were forcing RNs to do more with less, handle more patients and work more hours. RNs started to leave the workforce because of the working conditions and fewer RNs entered the system,† explains Mark. Americans are also demanding more quality healthcare services while many RNs are retiring, further exacerbating the problem. The HRSA has stated: â€Å"to meet the projected growth in demand for RN services, the U.S. must graduate approximately 90% more nurses from U.S. nursing programs.† Decreased staffing means that there are fewer nurses to work with patients. This impacts job satisfaction and causes work related stress. In some cases it has led to many nurses leaving the profession altogether. A 2010 study published in Health Services Research found that over 75% of RNs feel that the nursing shortage is a huge problem that affects their quality of work as well as patient care and the amount of time that nurses can spend with individual patients. Another important factor contributing to a lack of nurses is that there is a shortage of nursing school faculty to train a new generation of nurses in colleges and universities. The AACN’s 2008-2009 Enrollment and Graduations in Baccalaureate and Graduate Programs in Nursing report found that nursing programs in the U.S. did not enroll 49,948 qualified students into their bachelor and graduate degree programs because they did not have an adequate number of faculty, clinical practice sites, teaching space, and were constrained by budgetary limitations. Two thirds of the nursing program respondents reported that a big reason for not accepting students was due to not having enough nurse faculty on hand. The Southern Regional Board of Education conducted a study which found that the nursing faculty shortage in 16 states was caused by vacant faculty positions, retirements, resignations and a shortage of new candidates applying for faculty positions. Shortages like this pose a threat to the availability of nurse education. Defining the Problem For those students interested in careers in healthcare, becoming a nurse right now could be the best decision for you. Currently, the United States is facing a severe nursing shortage. For several reasons, the number of nurses graduating and entering the workforce, and those already in the profession, is not enough to fill the growing demand. Currently, RNs are the largest group of healthcare workers in the US at roughly 2.6 million and that still isn’t enough to meet the need. According to experts, by 2012, there could be around 1.1 million unfilled nursing positions in the United States. In the most basic sense, the current global nursing shortage is simply a widespread and dangerous lack of skilled nurses who are needed to care for individual patients and the population as a whole. The work of the world’s estimated 12 million nurses is not well understood, even by educated members of society. But nursing is a distinct scientific field and autonomous profession whose skilled practitioners save lives and improve patient outcomes every day in a wide variety of settings. In the Truth’s view, the vast gap between what skilled nurses really do and what the public thinks they do is a fundamental factor underlying most of the more immediate apparent causes of the shortage. These causes include nurse short-staffing (due to inadequate pay and long work hours), poor work conditions, the aging nursing workforce, expanded career options for women, nursing’s predominantly female nature, the increasing complexity of health care and care technology, and the rapidly aging populations in developed nations, to name a few. Other causes of the nursing shortage episode include: the aging baby boomer population and lack of employee incentives. There were seventy-six million Americans born between 1946 and 1964 and are now classified the Baby Boomer Generation. As this population reaches retirement age and beyond, they are requiring more medical treatments and nursing home and long term care facilities. This country is also seeing an increase in population in general, projected to grow 18% over the next two decades. With more patients flooding the healthcare system, there simply aren’t enough nurses to meet this growing need. However, those currently employed in the nursing field should be rewarded for being encouraged and motivated to stay in such a questionable field of employment. In light of this nursing shortage, it should be relatively easy to find gainful employment after graduation should you choose to study nursing. According to the Bureau of Labor Statistics (BLS), more than 581,000 new Registered Nurse (RN) positions will be created through 2018, which will increase that workforce by an astounding 22%. The BLS also estimates that even as other sectors of our economy continue to suffer, the healthcare sector will only continue to grow. Since the recession began, more than 600,000 positions have been created in the healthcare industry. With so many Americans out of work in other fields, a career in healthcare, specifically in nursing, might be a viable career choice. Literature Review Today, the average age of nursing faculty in baccalaureate and graduate degree programs is 51.5 years and the rate of projected retirements will exceed the rate of re placements. Nurses enter the faculty role later in their careers and typically retire at an earlier age, around 62.5 years. More efforts need to be put into place to encourage those already teaching to remain in their positions even if it is in a limited capacity while future faculty are educated. What factors are present that facilitate the desire for nursing faculty to retire? Kowalski, Dalley, and Weigand (2006) conducted a cross-sectional, randomized study of 129 nurse educators teaching in 61 schools of nursing to find out what personal decisions influenced their retirement plans. With a 37.6% response rate, results reflected that the mean age of planned retirement was 64.4 years. However, the mean age respondents would like to retire was 62.4. Factors influencing retirement included workplace issues, personal and family health, attitudes about retirement, and financial security. One of the most important factors influencing retirement plans was financial security. Faculty members who were financially secure retired earlier. Job satisfaction was another important influencing factor resulting in early retirement. In lieu of the faculty shortage, the authors contend that studies such as this will offer insight into future retirement trends which may help bridge the gap between supply and the demand of nurse educators (Kowalski et al., 2006). From the results of this one study it may be important to consider the needs of the aging faculty by providing healthy, satisfying, and stimulating work environments, appropriate benefits packages, and relaxing mandatory retirement ages. One serious factor contributing to the faculty shortage is financial. Not only are academic salaries much lower than they are for clinical practice and administrative positions of advanced practice nurses, but the cost of securing advanced academic degrees is costly. In 2004, the average salary of a master’s-prepared nurse practitioner in a clinical setting was $80,697 compared to $60,831 for that of a master’s-prepared nursing faculty member (Nevada Nurses Association, 2004). By increasing academic salaries and providing tuition allowances in return for teaching will indeed make teaching a more attractive career choice (Yordy, 2006). Another important factor affecting the faculty shortage is that of job satisfaction, stress, and burnout. To maintain current faculty on the job, more research should be conducted on factors affecting job satisfaction and what works to provide a better environment. Gormley (2003) performed a meta-analysis study on nursing faculty job satisfaction and which factors had the greatest influence using a sample of six studies from 1976 and 1996. Nursing faculty are pressured not only to educate future nurses to provide safe and competent care, but also have many other professional responsibilities, such as publishing, conducting research, writing grants, performing community service, and maintaining their own competencies (Gormley, 2003). These responsibilities combined can become overwhelming and lead to job dissatisfaction especially as the faculty is aging. In Gormley’s study (2003), factors that affected job satisfaction were perception/expectation of the leader’s role in curriculum and instruction, suggesting that the dean’s role has significant effects on faculty’s job satisfaction and role conflict/ambiguity. Shirey (2006) argues that prolonged stress can lead to burn-out in many faculty who then become â€Å"deadwood,† jeopardizing the quality and spirit of the institution. These faculty members can ward off potential new faculty who are even more vulnerable to the stresses of the teaching role. It is imperative that academic institutions pay close attention to the needs of their faculty. Mentoring programs, self-renewal, and organizational engagement are key strategies to prevent burnout (Shirey, 2006). â€Å"A carefully structured and deliberate mentoring program can be an invaluable orientation as schools of nursing seek to provide an academic environment that is conducive to the professional and scholarly development of adjunct faculty members† (Peters & Boylston, 2006, p. 64). One serious factor contributing to the faculty shortage is financial. Not only are academic salaries much lower than they are for clinical practice and administrative positions of advanced practice nurses, but the cost of securing advanced academic degrees is costly. In 2004, the average salary of a master’s-prepared nurse practitioner in a clinical setting was $80,697 compared to $60,831 for that of a master’s-prepared nursing faculty member (Nevada Nurses Association, 2004). By increasing academic salaries and providing tuition allowances in return for teaching will indeed make teaching a more attractive career choice (Yordy, 2006). Program Analysis Possible Solutions For sustained change and assurance of evading the forthcoming shortage, solutions must be developed in several areas: education, health care systems, policy and regulations, and image. This shortage is not exclusively a nursing issue, but will require a collaborative effort among nursing leaders, practitioners, health care executives, government, and the media. Creating Cultures of Retention The American Nurses Association Magnet hospital program has had a proven success in raising the standards of nursing practice and improving patient outcomes. Currently there are 85 organizations that are designated Magnet hospitals. Magnet facilities are characterized by strong administrative support, adequate nurse staffing, strong communication, nurse autonomy, better control, and a vital focus on the patient and their family. A growing body of research indicates that this program is making a positive difference for nurses, patients, and the hospitals as a whole. Research is proving that through this program, nurses are having increased satisfaction as well as increased perceptions of productivity and the quality of care given. Studies also indicate that these facilities have lower incidence of needle stick injuries, lower burn out rates, and double the retention of non-Magnet facilities. By adopting the characteristics of Magnet hospitals, facilities will be able to create a culture of retention that empowers and is respectful of nursing staff. Strengthening the Infrastructure In 2002 the Nursing Reinvestment Act was signed by President Bush to address the problem of our nation’s nursing shortage. This initiative was intended to promote people to enter and remain in nursing careers, thus reducing the growing shortage. The law establishes scholarships, loan repayments, public service announcements, retention grants, career ladders, and grants for nursing faculty. Many statewide initiatives are underway to address this issue as well. In Pennsylvania, six new nursing education initiatives have been announced to address faculty shortage by encouraging current nurses to return to school, earn graduate degrees, and teach the next generation of nurses. Illinois is unveiling a plan to provide faculty scholarships and grants to nursing schools in order to expand student enrollment. California, whose nursing programs currently have wait lists over three years, is trying to expand nursing education through a $90 million initiative.

Thursday, August 15, 2019

Individuality in 20th Century Art Essay

20th Century art has spawned great art forms. Its evident transformation had triggered the question of whether or not the development was caused by the pure genius of the artist or by the preceding art that he was born into. This essay will discuss how the artists of the 20th century have made art almost indefinable (Nicolas Pioch, The 20th century) by looking into the quotes of Immanuel Kant (1790) and Andre Malraux (1953), as well as looking at some actual works before and after 1950 which would illustrate that art has clearly become an expression of an artist’s emotions and thoughts as honed by the past. As individuality steps in, we will closely look at how an individual’s person is actually affected by his experiences and orientation on various aspects of his existence such as how he could have been raised, how he may have been exposed to previous artworks and the like. Immanuel Kant, in his quote from the Critique of Judgment (1790) had clearly defined genius as, â€Å"a talent for producing that for which no definite rule can be given†. I believe that this is like how scientists are referred to as geniuses, they have defied popular beliefs or what had actually become a norm for their time or era. They would produce materials that are not usual for the majority. Similar to this, I believe that such was also the case as he may have found that an artwork, which proved to be unique for its genre, is already a product of a genius. A good example of what was said to be a work of a genius was that of Vincent Van Gogh’s Starry Night and Donatello’s Crucifix (images shown in the Documentation). These were considered unique and were painted outside the what was considered as standard during their time or era, as these works had clearly defied the usual idea of what our usual picture of the heavens is (Starry Night) as well as the common picture of how Christ was crucified. Texture of these creations also scream of individuality as was the case with Van Gogh’s work. As was said by I. Kant, â€Å"originality must be its primary property† for an art to be considered as the work of a genius. It is clear he meant that it was something that was not usually done but did not deduce it to not being influenced at all by artworks that came before them. Instead the focus was on how they have made their creations different from the others without necessarily straying from the same idea or thought. Like in Van Gogh’s work, there had already been paintings depicting the heavens at night but its form and texture as well as the colors utilized were clearly out of the ordinary and had been very original despite the presence of previous artworks that had been made. On the other hand, Andre Malraux’s, â€Å"The Voices of Silence† (1953) compared artwork to a child that matures. Meaning that art basically evolves. It does not necessarily veer away from its contemporaries but is created from what he may have experienced. Like a child that may have learned to walk more carefully after acquiring a scratch from a fall, an artist was also said to rise from their own conflicts and the achievements of their predecessors. A person that may have lived within a war-torn era may create an artwork that depicts what he had witnessed, at the same time picking out best practices from works that were previously done by others and using them as inspiration to put his experience or what he had witnessed into a work of art. As such, A. Malraux was right about picking them out â€Å"from their struggle with the forms that others have imposed on life†. We note though, that experiences do not necessarily remain within the context of a person’s personal struggles but can derive thoughts from their successes as well or the comfort that they may have had. A classic example is Jose Manuel Merello Arvilla’s â€Å"bodegon electrico†, which depicts Spain’s colorful yet subdued culture evident in the shades and texture utilized. Similar to this is Vijendra Singh Devra’s painting of a three-part series called the Blue Night, where the texture was actually smooth and the contrast was stark that may be an evidence of the painter’s experiences or social status. It may not be easy to defy the norms. An artist is faced with the risk of being singled out either as great or poor. The genre of which the artwork is in defines the product that the artist creates. As mentioned in â€Å"Necrophilic Logics and the revolt of the imagination†, http://www. geocities. com/kk_abacus/carp. html: A split between the rational and irrational is constructed by every rational system; each rationality creates a corresponding irrationality, that which does not fit inside of it. Therefore, each rational system has inherent limits. To break out of a rationality, one must also be capable of conceiving of that which lies beyond the limits of that system. Rational systems can be useful tools but they can also become mental prisons. There is a slim demarcation between the subconscious and the imagination of a person as it says that both are something that goes beyond the inherent limits of man’s rationality. As such, it is clear that an artist’s genius is based on how he creates a unique description of what he has undergone or experienced as well as his absorption of what had been proven effective and successful for other artists as well.

Wednesday, August 14, 2019

Depreciation and Cost Essay

1. The primary cause of the current system to fail is the use of a single burden rate. Burden costs of the testing rooms as well as other costs such as admin were grouped into a single cost pool and then divided by the total labor dollars. This resulted to a single burden rate of 145% of direct labor dollars (cost driver). This method is not appropriate for Seligram because the information on the case present that direct labor hours and machine hours vary by product line and activity. In addition, the burden cost of the main and test room also significantly vary. Therefore, using a single burden rate does not provide the true cost of the product, as it assumes all products consume direct labor and overhead in the same proportion. 2. Cost for each system are as follows: 3. I prefer the system proposed by the consultant because it is the most detailed, therefore will produce more accurate costs. 4. The ideal allocation base should have a direct cause-and-effect relation with the costs incurred. Based on the data provided in the case, it appears that the consultant’s proposed cost system is adequate because it considers the appropriate cost pool and allocation base. However, it should be noted that developing a cost system that is more detailed require the use of more time and resources. There needs to be a proper balance between accuracy and cost. 5. There is significant cost involved in the purchase of new equipment. Although the machine will be located in the Main Room, I would use a separate cost pool when calculating the burden rate of the new machine. The purchase price of the machine is $2 million. I will add the one-time installation and programming cost to the acquisition cost of the machine since these costs are required in order to get the machine ready for use. I will calculate depreciation based on the machine’s practical capacity over its estimated life, instead of double declining method. It seems that the use of double declining balance method of depreciation is inappropriate for allocation of costs because this method incurs higher depreciation in the early years, although the utilization is lower in the early years. By using practical capacity as the base, I am able to properly match the cost with the use of the machine.

Tuesday, August 13, 2019

Case 3 Assignment Example | Topics and Well Written Essays - 750 words

Case 3 - Assignment Example In several situations such as missing employee motivation; customers’ dissatisfaction or for that matter when a change process needs to be initiated, it becomes imperative to apply EI knowledge for favorable outcomes. EI play an important role in developing remarkable leaders because empathy, assertiveness, and interpersonal relationships are the key factors that any leader must have in order to create organizational development. Specific actions are needed to enhance the use of EI frameworks in the organization; moreover, EI can be taught and promoted within the organization. EI can be a developmental experience for all, no matter what role he or she occupies. All decision makers within the organization need to understand the importance of EI and must be trained for enhancing their effectiveness in the organization. For the reasons mentioned above, EI needs to be linked with leadership competency models because EI provides a complete roadmap so that leaders can reach to their full potential. Critique Only a couple of years back, intelligence quotient (IQ) was considered everything while measuring the leadership ability. As organizations began expanding keeping focus on customers’ needs, it was soon realized that human resource plays a pivotal role in success and failure of the organization because firms now operate in a fiercely competitive arena. Organizations need not be just efficient but effective too. It is the effectiveness that provides competitive edge over competition in the market place; moreover, certain leadership qualities are essential for making the organization effective. And EQ or EI defines how effective the leadership is in managing the organizational workforce to achieve organizational goals. Roger Pearman has rightly pointed towards certain characteristics that a manger or leader needs to demonstrate. Apart from having some of the known qualities such as integrity, a vision to see beyond, and ability to communicate, they also exhibit some of the unique traits and skills that form an integral part of their compelling leadership style. These traits are essential to deal, manage and motivate workforce in the organizational for desired outcomes. These traits are measured in terms of emotional intelligence (EI) that decide leaders' empathy towards workforce; their ability to inspire and motivate employees at all levels for achieving organizational goals; problem solving capacity; resolving intradepartmental conflicts and so on. Self regulation, motivation, social skill, empathy and self regulation are cornerstones of EI. While social skill brings persuasiveness and effectiveness in bringing change, empathy imparts cross-cultural sensitivity. Ability to motivate is an important trait found in leader but self-awareness and self-regulation are extremely important traits that speak about leader’s openness to change. It is not appropriate to define EI in terms of weaknesses and threats. If EI assessment is not a simple exercise than that is only because it is relatively a new branch of estimating human strengths and therefore, it is obvious that limited experts are available to estimate and facilitate EI processes. Similarly, any new branch of knowledge is going to make people scare for the reason of natural inertia that prevents them to explore something new; however, simply because of this reason it cannot be classified as threats. Being a proven science, it provides a sure