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Wednesday, July 31, 2019

Court Organization Essay

The paper focuses on the various court organizations and the corresponding function of every court organization as a whole as well as the various functions of its internal elements. Among the court organizations that the paper aims to analyze are appellate courts and trial courts. By looking into the corresponding jurisdiction of each court organization, the paper further completes the analysis by juxtaposing the jurisdiction of one against the other. With the idea of jurisdiction, the paper also elucidates on the types of cases that each court organization handles and the legal manners in which such cases are decided. Court Organization The system of courts that comprise the totality of the American federal courts are organized essentially by the U. S. Constitution and the laws legislated by the American federal government. Among these courts that function in the American judicial branch are trial courts and appellate courts. For the most part, federal trial courts are referred to as Federal District Courts which has the authority to hear appeals from lower bodies such as the administrative law judges. On the other hand, the intermediate appellate courts are referred to as the Federal Court of Appeals which functions under a mandatory review process that amounts to the task of hearing all appeals from the lower court bodies. The organization of these two judicial bodies, generally speaking, is more parallel in contrast to being different. In essence, the differences between the federal trial courts and the appellate courts can be observed from their respective internal organizational composition. While much of the similarities between the two courts can be obtained from their general task of deciding on legal cases, their distinctive features on how they are to specifically function substantiates their individual characteristics and separates their roles despite their apparent overlapping similarities as we shall see later. What is important to note at this point is to bear in mind that appellate courts and trial courts, specifically in a federal government, have separate functions amidst the parallel characteristics that one may observe from the two. The conception of these two distinct but seemingly parallel courts can be traced from the evolution of the judicial system of the United States. Much of the written historical basis for establishing a judicial system can be extracted from the Constitution of the United States of America. The history of the American judiciary includes the Judiciary Act of 1789 which created a Supreme Court composed of one chief justice as well as five associate justices. In essence, the Act established the judiciary arm of the American government which also defined the Supreme Court’s jurisdiction. Among these jurisdictions include, but is not limited to, the appellate jurisdiction over larger civil cases as well as cases wherein state courts ruled over federal statutes. The Act also provided the composition of the lower district courts, which amounted to thirteen back then, as well as the proposition that the Supreme Court can resolve conflicts between states and that the judgment of the Supreme Court is final (â€Å"The Judiciary Act of 1789,† 1999). From the Judiciary Act of 1789, District Courts were established which had judicial responsibility over their respective districts. As these district courts were divided into circuits, the jurisdictions of these courts were divided as well according to the circuits they belong. Federal District Courts Being the general courts of the court system of America, federal district courts are the courts where both criminal and civil cases are filed. This can also be taken from the fact that federal district courts were conceived as a court both of equity and of law. Each of these courts spread across the various judicial districts unique for every state are formally named after the district where the court has jurisdiction such as the United States District Court for the Southern District of New York for instance. United States district judges are judges of the district courts of the federal government where their total numbers for every district court are defined by Congress in connection with the Judicial Code. Under Article 3, federal district judges are appointed throughout their life in their position where they can be removed involuntarily from their position in factual instances where they breach the standard of ‘good behavior’. This involuntary removal from office can be obtained through an impeachment process initiated by the House of Representatives proceeded by a trial in the Senate. After a two-thirds vote to convict is established in the Senate, only then is the federal district judge removed from his or her office. Moreover, in order for an individual to file a case in the federal district court, the individual must be able to provide a substantial justification as to why a federal court instead of a state court should decide on the case. This in turn leads to the observation that not all cases can be admitted by the federal district courts under its adjudicatory powers. Since not all legal cases can be litigated in federal courts, it is an imperative for the individual to be able to make certain that the case being filed is a federal case if the individual is after a federal case against an individual for instance. State laws are oftentimes the basis for the claims for federal district courts as in most cases the claims under state laws were pleaded and that the sole and primary source for federal jurisdiction is the variety of citizenship. There are also instances wherein the plaintiff has pleaded claims under the state law even if the case is under a federal question. In such cases, the federal district courts must decide state law claims through the application of the substantial or relevant state law in which they preside even if federal court judges apparently employ federal law for the corresponding procedure. Ironically, the opinions set forth by the state courts supersede the opinions given by federal courts and that, further, a federal court must give way to a state supreme court in matters that involve the interpretation of state laws. In essence, a final court ruling by any district court in criminal or civil cases can be appealed towards the Court of Appeals of the United States with respect to the corresponding federal judicial circuit under which the district court is situated. One exception to this is that some rulings from federal district courts which involves patents and several other matters that are specialized must be appealed to the United States Court of Appeals for the Federal Circuit. In several rare occasions, the cases may be directly forwarded and appealed immediately to the Supreme Court of the United States. Federal Court of Appeals The Federal Courts of Appeals of America are considered as the mid-level appellate courts under the system of federal courts of America. It is the court that adjudicates the appeals for cases previously decided by the federal district courts of the United States which is under the corresponding federal judicial circuit. In essence, the total number of thirteen Courts of Appeals in the United States is positioned between the Supreme Court and the District Courts of the United States although there are cases where a case can be appealed directly to the Supreme Court. As every particular state in the United States has its own structure of appellate courts, it leads to the variations on how cases are to be handled. For instance, the Court of Appeals in the state of New York is considered as the highest court within the state inasmuch as it is the court of ultimate resort within the legal confines and jurisdiction of the state. One exception, however, are cases that pose questions concerning the federal law where they can be appealed from the respective court of appeals to the Supreme Court. What differentiates a federal district court from a federal court of appeals? The answer to this question rests on the legal presumption that the court of appeals can reevaluate and overturn any previous decision from federal district courts. This is essentially initiated by the instance when the accused who was previously given a ‘guilty’ verdict files an appeal to the federal court of appeals. This can be observed from what has been termed under the ‘due process of the law. ’ The term itself implies the administration of equal laws according to established rules, not violating the fundamental principles of private right, by a competent tribunal having jurisdiction of the case and proceeding upon notice and hearing. Nevertheless, one must not fail to recognize that certain lower court decisions can be overturned which then presents the idea that these lower court decisions are not yet final. For one, the decisions upheld by federal district court justices can be overturned by a higher court. However, the higher courts cannot instantaneously initiate a thorough reconsideration and cannot simply arrive at a decision—either the court will uphold the decision of the lower court or overturn the judgment—without a ‘formal’ appeal from the accused. For instance, the case of Pell v. E. I. DuPont de Nemours & Co. Inc. gives us a brief sketch on how accused parties can resort to a reconsideration of a previous district court decision. In the case, the district court of Delaware earlier denied the request of the plaintiff for restitution for unduly payments for pension that are deemed low. In consequence the plaintiff resorted to a motion for reconsideration for the district court which, in the end, the court denied for the reason that the plaintiff failed to discharge the high burden necessary to prevail on the motion filed by the plaintiff. In essence, the case and the plaintiff’s motion for reconsideration emphasize the ideas: that the district court can look into a motion for reconsideration from the plaintiff once filed and, conversely, that the district court can either deny or grant the motion. In contrast to the function of federal district courts to hold trial and determine the punishment for criminal cases or damages which will be awarded, the appellate courts of the federal government do not essentially hold trials as part of their innate legal function. On the other hand, these courts merely serve the legal function of reviewing the decisions of federal trial courts for the existence of any errors of law. This conversely relates the idea that these courts merely have appellate jurisdiction. Moreover, federal appellate courts do not accept anything else other than the records from the federal trial courts such as the papers that both legal parties have filed as well as the exhibits and transcripts relating to the trial. The federal appellate courts also consider the legal arguments of the involved parties in the case. With these ideas in hand, one can note the essential differences which separate one court from the other. More importantly, the scheme in which court hearings and legal cases flow signify that there is a formal system being strictly followed. That is, an individual cannot originally file a legal complaint against another individual or entity in the appellate courts for such an instance is not the definitive function of federal appellate courts. Moreover, a plaintiff can still resort to an appeal to the federal court of appeals once the verdict of the lower courts, or the federal district courts for instance, do not favor their side. All of this information leads us towards the larger understanding that there is indeed what we call a ‘court organization’ which gives a formal and rigid structure to the entire legal system especially in a federal government. The hierarchy in courts or the court organization in general limits certain legal actions while sustaining the due process of law. While the organization of courts gives certain limitations, it can be seen as a legal tool for securing the systematic approach for meticulously arriving at crucial decisions. Let us now look into the advantages and disadvantages that come along with the very nature and structure of the organization of courts, specifically between federal district courts and federal appellate courts, in a federal system of government. Advantages and disadvantages It is an established fact that appellate courts cannot simply address a legal appeal without the parties requesting for one. Moreover, appellate courts do not have the legal jurisdiction of hearing trials and providing punishments and damages to individuals and other entities. Conversely, these things suggest the ideas that there must first be an appeal and that, second, there must be previous court decisions on which the appellate courts will derive their corresponding decision. Hence, an appealing party has the advantage of going through a rigorous examination of their case which ensures that the decisions made until it reaches the Supreme Court are carefully brought into proper attention. On the other hand, the very organization of the court makes it a disadvantage for the appealing party at least in terms of resources. Specifically, financial resources must be present o as to sustain a continuous appeal for the appealing parties as the case ascends higher into the hierarchy of courts. Financial resources, for the most part, applies very well for the funding of legal battles which come in the form of payments for legal services rendered and other related expenses. In essence, appellate courts, being the courts between the trial courts and the Supreme Court, stand in the way for appellants to go directly to the Supreme Court for a final appeal. Nevertheless, these appellate courts were not essentially established to hinder individuals from going directly to the higher court but to see to it that lower court rulings are kept in accordance to the law while giving the Supreme Court a lesser task to attend to so that the Court can focus on larger issues that need large amounts of careful analysis. On the other hand, it appears that federal district courts can also legally entertain motions for reconsideration which barely amounts to an appeal to the appellate courts. Hence, plaintiffs, for instance, have the option to file a motion for reconsideration in federal district courts before filing an appeal to the appellate court once the motion for reconsideration is denied by the district court. One disadvantage to this scheme is that it takes a considerable length of time assuming that the plaintiff is willing to take all legal paths so as to attain the desired court decision. The value that must be noted here is that a seemingly justified and rightful decision comes as several expenses. These expenses, for the most part, come in the form of time and financial resources. These two elements are exhaustible which presents the idea that either an individual can spend a considerable fraction of his or her life fighting a legal case for the rightful decision or a certain court, the appellate court for instance, can hinder the individual’s attempt inasmuch as the court sees fit. On a deeper analysis, one can observe that if a certain federal district court grants the motion for reconsideration filed by a plaintiff, it translates into the acceptance that, at some point in time, the court has failed to see all the angles in the case and provide the necessary, justified, and rightful decision. For instance, a federal district court can decide to grant the motion for reconsideration filed. However doing so leaves us the assumption that the trial court accepts its failure to formally account and resolve the legal case. While the courts are essentially expected o arrive at firm decisions bounded within the confines of the law, these courts are not essentially assumed to commit to error either deliberately or unintentionally. In any case, federal district courts are at the helm or core of the case since these are the courts that primarily decide on verdicts and that the role of the higher courts, in essence, can be seen as something more of a reviewing body that realigns the decisions of the lower courts in accordance to the law. The need for court organization Is it possible to arrive at a substantial decision from among courts if they re not linked in one way or another? For instance, if the federal district courts and federal appellate courts function entirely separate without having a schematic purpose or correlation, would it lead to a substantial advantage to the people they serve? Interestingly, it can be seen that one of the primary reasons why court organization has been established is to give an ample room for reviewing and realigning previous court decisions in a lawful manner. Although federal trial courts are the primary courts where legal cases are filed and decided, it can be noted, however, that federal district courts are not the penultimate courts where no appeal can be filed. Quite on the contrary, the fact that these courts allow individuals to file a motion for reconsideration of court rulings brings us towards the perception that these courts may not be entirely devoid of committing to either partially or totally erroneous court decisions. Since federal courts, and perhaps any other courts, are still open to unintentionally committing errors in judgment, there must be at least a scheme that addresses such a situation. Otherwise, any court would hardly be able to correct its own misjudgments or the misjudgments of other lower courts. Given this observation, court organization—specifically the manners in which federal district courts are lower than appellate courts at least in terms of the scope of jurisdiction—can help resolve the underlying problems that may substantially arise over the course of time. How can court organization be able to help resolve the underlying problems in erroneous court rulings? The answer to this question rests on the premise that, by placing a certain hierarchy among courts and by limiting and specifying the jurisdiction for every court, certain decision can be reviewed and be realigned in accordance to the proper dictates of the law. By having a form of checking the decisions of the lower courts—for instance, the case between federal district courts and federal appellate courts—higher courts such as appellate courts can see or reiterate that the decision of the lower courts is fitting. On the other hand, appellate courts can also reverse the previous decision of the lower courts. What is important to note here is that the organization of courts, specifically the jurisdiction under which they operate, allows for a ‘refining’ of previous court decisions given the instances where there is an appeal from the concerned party. Although federal district courts can entertain motions for reconsideration from the concerned party, it does not necessarily translate to the idea that the party can resort to an infinite number of motions for reconsideration until the court has decided favorably to the side of the party. The very idea of court organization gives due importance of an appeal from individuals. This it does by allowing the individual to file for a motion or an appeal yet in a planned scheme. By ‘planned scheme’, what is being contended is that, from the lower courts to the Supreme Court, the right of the party to file for an appeal or a motion is met by dispersing the jurisdiction of courts to hear the appeal or motion sequentially. That is, the party must follow the sequences or procedures established by the law when appealing. For the most part and in most cases, an ordinary individual cannot go directly straight to the Supreme Court to file for an appeal without having first to pass through the lower appellate courts. Like in most organizational scheme, a hierarchy of the divisions of the organization permits a systematic approach in handling the tasks innate to the function of the organization. Since the court system of a federal government is an essential and significant portion of the government’s functioning, it is an imperative that the court system must be given due attention. One way to achieve this end is to provide a scheme in which the entire court system will be able to effectively handle its multifarious tasks from the bottom level to the larger degree. This ‘scheme’ is parallel to a court organization whereby there is a level of court divisions handling specific functions. As we have seen, federal district courts are the courts which receive the cases filed by individuals. On the other hand, federal appellate courts are the courts which receive appeals from individuals seeking a decision that legally favors them. Conclusion The system of courts that comprise the totality of the American federal courts are organized essentially by the U. S. Constitution and the laws legislated by the American federal government. Federal District Courts and Appellate Courts are two of the courts in the federal government that serve the identical functions of bringing justified and lawful decisions to legal cases. On the other hand, these two court systems also have varying functions. In essence, the differences they have rest on their respective jurisdictions. References Courts. Appellate Jurisdiction of Supreme Court. Suit against United States. (1919). The Yale Law Journal, 28(5), 513. Appellate Practice: Power to Amend Judgments. (1927). Michigan Law Review, 25(7), 789. Constitutional Law. Construction, Operation, and Enforcement of Constitutions. Constitutionality of an Appellate Court with Final Jurisdiction. (1931). Harvard Law Review 25(2), 187. Federal Courts. State Rule Holding Payment of Federal Judgment Attached in State Court a Valid Satisfaction of the Judgment Not Controlling on Federal Court. (1940). Virginia Law Review, 27(2), 231. Constitutional Law. Judicial Powers. Statute Authorizing Appellate Court to Pass on Motion for New Trial Undisposed of by Trial Court Held Unconstitutional. (1941). Harvard Law Review, 54(8), 1391. Federal Courts. Relations of Federal and State Courts. Federal Interpretation of State Legislation. (1954). Harvard Law Review, 37(8), 1140. Collins, M. G. (2005). The Federal Courts, the First Congress, and the Non-Settlement of 1789. Virginia Law Review, 91(7), 1515. Fair, D. R. (1971). State Intermediate Appellate Courts: An Introduction. The Western Political Quarterly, 24(3), 415. Grunbaum, W. F. , & Wenner, L. M. (1980). Comparing Environmental Litigation in State and Federal Courts. Publius, 10(3), 129. Haas, K. C. (1982). The Comparative Study of State and Federal Judicial Behavior Revisited. The Journal of Politics, 44(3), 721. J. , G. (1929). Courts: Appellate Courts: Review of Findings. California Law Review, 18(1), 84. Newman, J. O. (1989). Restructuring Federal Jurisdiction: Proposals to Preserve the Federal Judicial System. The University of Chicago Law Review, 56(2), 761. O’Neill, M. E. (1990). A Two-Pronged Standard of Appellate Review for Pretrial Bail Determinations. The Yale Law Journal, 99(4), 885. Richardson, R. J. , & Vines, K. N. (1967). Review, Dissent and the Appellate Process: A Political Interpretation. The Journal of Politics, 2(3), 597. The Judiciary Act of 1789. (1999). Retrieved September 5, 2007, from http://usinfo. state. gov/usa/infousa/facts/democrac/8. htm Yuhas, G. (1976). Statewide Public Defender Organizations: An Appealing Alternative. Stanford Law Review, 29(1), 157. Outline Introduction The paper will initially provide the substantial facts and accounts to court organizations as a whole, including a brief sketch of its history and evolution as well as its current state. The introductory part will conclude with a brief overview of the trial courts and appellate courts. Body The paper will further substantiate on the essential attributes for the trial courts and appellate courts correspondingly which will then be used as a basis for the varying approaches trial and appellate courts handle and decide cases as well as the jurisdictions of every court organization. By introducing these various factors, the paper will then attempt to establish an account of the jurisdiction, including the possibility of overlap in jurisdiction as well as restrictions thereof, for every court organization. The body of the paper will conclude with a paragraph restating the differences and similarities between the two court organizations. Conclusion In conclusion, the paper shall provide a brief rerun of what has previously been discussed to be followed by an account of each court’s jurisdiction as well as the unique roles of every internal element of trial and appellate courts.

Tuesday, July 30, 2019

Julius Caesar Vs. Political Cartoon Essay

Conflicting perspectives exist within texts and their representation is affected by the context of the composer. Using your prescribed text and a related text of your own choosing, assess the impact of this statement on a contemporary audience. Hello user coolkitty96, and the rest of HSC tutorial users who will stumble across this video, you seem to be having some trouble with Julius Caesar in Module C, are you not? Well no fear of Shakespeare, as I am here! I believe what you should first focus on is the understanding of the module, as it’s going to be the main focus; the rest should come naturally. Anyway, as you should already know, the process of composition often seeks to represent an opinion in such way that it attempts to influence the responders to agree or empathise with the composer. Now, due perspective being such a subjective topic, conflict will inevitably arise, which then creates different interpretations of the original story. The context of a composer will sha pe the way in which perspectives are represented within a text, blurring the fine line between truth and propaganda. These viewpoints can be explored in different textual representations, for example Shakespeare’s play, Julius Caesar, as well as a visual representation of text, such as Latuff’s political cartoon On the Gaza-Israel Conflict., Values and personal beliefs, experiences as well as influences from the society and culture of the composer are present within such texts thus remaining relevant to a more modern audience, allowing a better understanding of truth and how its perceiving is explored within the text. Okay, so the society which surrounds the composer and his personal beliefs shapes the way in which the truth is conveyed within a text. You can see this in Shakespeare’s Julius Caesar, which was actually written to examine issues of leadership, politics, honour and patriotism within his society. Through the manipulations of the characters dialogue, Shakespeare is able to highlight this purpose. An example of this could be the discussions between Cassius and Brutus in Act 1 scene 2 where Cassius begins to implant on Brutus the idea that â€Å"This man is now become a god† and must  be stopped. It is impossible that the words written by Shakespeare were the ones uttered at the time of the event, especially due to the Latin to English translations, thus displaying the effect of context and purpose of a text and its effect within the actual representation. The composer, as well as a vast majority of the Elizabethan population, was also a superstitious figure and a believer in the Great chain of being and the order it imposes. This is highlighted through the Death of Caesar within the play, and the tragedy it creates. Caesar, as head of the senate, held high amounts of power and his murder by his fellow senators who led the conspiracy plot, upset the natural balance of the order. The tension and drama created by these actions act as the catalyst for the rest of the play. The last line spoken by Caesar before his death â€Å"Then fall Caesar† is used to symbolise the impeding downfall of the Roman Empire due to the importance of Caesar at the time. The line also presents to the audience a humble and resigned ruler, whom accepted the people’s choice of his death for the benefit of Rome, a contrasting truth to what Cassius had originally propagated of a God-like Caesar who would never refuse his power. This allows the audienc e of the time a simple understanding of a similar political situation to their own, highlighting the vulnerability of an unstable government. The political situations and references found within the text allow it to remain pertinent to a more modern audience, educating them on the social and moral perspectives held during the composer’s life. As well as that, the experiences of a composer allow the exploration of a topic and perspectives discussed within a text, dictating the way it is represented. Now, Shakespeare was a famous playwright of the time and it seemed logical for him to express his ideologies through his popular plays to comment on his society. Shakespeare was able to use scenes such as the Brutus vs. Antony orations to stress the conflicting ideals between truth and propaganda, as well as their effects on society. Shakespeare captures Brutus’s honesty when he states â€Å"I honour him; but as he was ambitious, I slew him† through his use of prose within the speech. Prose reveals to the audience of plebeians Brutus’ rational and logical thinking behind assassinating Caesar, to which he emphasised â€Å"not that I loved Caesar less, but I loved Rome more.† The way in which Brutus excuses his actions appears to be beneficiary to the population instead for his selfish purposes, as well as depicting Caesar as  a negative influence to the Roman Empire. This is soon contradicted by Antony’s oration which was written in blank verse. The speech mocks as well as contrasts Brutus’ intentions implicitly though the repetition of â€Å"But Brutus is an honourable man† which follows conflicting contradictory statements. This depicts Antony’s oration skills as both more superior and authentic to Brutus’s speech as it exposes the contrast between higher and lower order rhetoric. Brutus’s and Antony’s orations, create a powerful scene which can be linked to the easily influenced society the modern audience lives in, highlighting the impacts of how the truth is presented and how it is perceived. These concepts revolving around the impact of the context of a composer on his creations is not just limited to literary texts, it is also applicable to visual texts, such as the political cartoons created by Latuff in response to the Gaza-Israel Conflict. Carlos Latuff began satirically cartooning this issue after his visit to the Gaza strip in the 1990’s. He is of Mexican descent; therefore his background doesn’t affect his views as much as if he was Israeli or Palestinian, though his perception of what is true and what is right drive his work. Through the picture â€Å"Israeli side vs. Palestinian Side† (2009) his focus on anti-capitalism, anti-globalisation and anti-US military intervention is highlighted. This representation is heavily critical on Israel, who is associated with all of that, as it depicts a â€Å"spot the difference† situation; by displaying two similar cartoons in essence, which then have been altered to depict Latuff’s perspective on the events. On the left side, the Israeli perspective on the war, according to the composer, is shown with a small bomb, appearing to be faulty, landing in the street, surrounded by a shocked crowd with no apparent visible damage. On the right side, labelled â€Å"Palestinian side† a distressing scene is depicted with crumbling buildings, fire, blood and death present within the visual. The way in which the cartoon is composed suggests to the audience an exaggeration of the situation, a common form within political cartoons. Having said that, it is evident that the Israeli’s are advantaged financially in this situation. By posting this on the internet Latuff has rendered this piece available to all audiences, impacting the viewer’s opinion on the conflict upon finding it, demanding action though the use of this distressing and contrasting image. So to sum this all up, the representation of a text is affected by the  composer’s context and the way in which they choose to portray a particular perspective. The society, values and personal beliefs as well as the experiences of a composer impact the representation of a text as seen in Shakespeare’s play â€Å"Julius Caesar† and Latuff’s â€Å"Israeli vs. Palestinian Side† cartoon. Not only are they relevant to the audience which the text was originally composed for, but the interpretation of the message allows it to remain pertinent to modern audiences due to the messages and insights into the composers conte xts found within. That wasn’t too hard was it? Now, remember to comment, like and subscribe below, and my email is in the description box if you require any further clarification. Oh, and good luck with your HSC!

Monday, July 29, 2019

Modelling and Simulation of engineering systems Essay

Modelling and Simulation of engineering systems - Essay Example The main advantage of SIMULINK over other programming softwares is that, instead of compilation of program code, the simulation model is built up systematically by means of basic function blocks. Through a convenient graphical user interface (GUI), the function blocks can be created, linked and edited easily using menu commands, the keyboard and an appropriate pointing device (such as the mouse). A set of machine differential equations can thus be modelled by interconnection of appropriate function blocks, each of which performing a specific mathematical operation. Programming efforts are drastically reduced and the debugging of errors is easy. Since SIMULINK is a model operation programmer, the simulation model can be easily developed by addition of new sub-models to cater for various control functions. As a sub-model the induction motor could be incorporated in a complete electric motor drive system (Wade 495-505; Shi 231-235). A generalized dynamic model of the induction motor consists of an electrical sub-model to implement the three-phase to two-axis transformation of stator voltage and current calculation, a torque sub-model to calculate the developed electromagnetic torque, and a mechanical sub-model to yield the rotor speed. In addition, a stator current output sub-model is needed for calculating the voltage drop across the supply cables. Multiple line equation(s) cannot be represented in ASCII text... ASCII text where Vas, Vbs, and Vcs are the three-phase stator voltages, while Vds and Vqs are the two-axis components of the stator voltage vector Vs. Torque sub-model of induction motor In the two-axis stator reference frame, the electromagnetic T is given by:T = PLm/3(idriqs - iqrids) Mechanical sub-model of induction motor From the torque balance equations and neglecting viscous friction, the rotor speed omega0 may be obtained as follows: Multiple line equation(s) cannot be represented in ASCII text where J is the moment of inertia of the rotor and load and TL is the load torque. Stator current output sub-model The stator current output sub-model is used to calculate the stator current amplitude according to the following equation:|is| = 2/3 square root of (ie, sub ds)2 + (ie, sub qs)2 A SIMULINK Fcn' block is used to implement the above equation. Simulation System Of Induction Motor The complete simulation system of the induction motor includes the induction motor model in a power supply sub-model. Power supply sub-model The voltage supply block consists of a three-phase sinusoidal voltage generator and a terminal-voltage calculation block which accounts for the voltage drop in the supply cable. Simulation Results The induction motor chosen for the simulation studies has the following parameters: Type: three-phase, 7.5 kW, 6-pole, wye-connected, squirrel-cage induction motorRs = 0.288 OMEGA/ph Rr = 0.158 OMEGA/ph Ls = 0.0425 OMEGA/ph Lm = 0.0412 OMEGA/ph Lr = 0.0418 OMEGA/ph J = 0.4 kg m2 JL = 0.4 kg m2 To illustrate the transient operation of the induction motor, a simulation study of direct-on-line starting is demonstrated. At t = 0, the motor, previously

Sunday, July 28, 2019

Life Experiences of the Elderly Patients with Diabetes Mellitus Research Paper

Life Experiences of the Elderly Patients with Diabetes Mellitus - Research Paper Example According to the most recent forecasts, the number of patients with different types of diabetes will reach more than 360 million globally by 2030 (Wild, Roglic, Green, Sicree, and King, 2004). The lion's share of such occurrence is attributed to the elderly population. Most likely, the main reason for high vulnerability of the elderly population to diabetes is the ageing process that leads to a broad range of physiological changes, including decreased or deteriorated functionality of vital life organs (Rother, 2007). A number of studies have been conducted up to date to explore the effects of diabetes on the general health condition of the elderly patients. However, only few works are available to investigate specific life experiences of the elderly patients with diabetes though such research is necessary to improve the quality of health care for the elderly. Various types of diabetes and chronic illnesses associated with late adulthood represent a serious challenge for modern health care practitioners. According the estimates provided by the National Academy on an Aging Society (NAAS) and APA almost 4/5 of the elder adult population suffers from at least one chronic illness, while majority of seniors have multiple chronic health problems the most common of which are arthritis, hypertension, hearing impairments, heart disease, cataracts, various types of diabetes, osteoporosis, vascular diseases, neurological diseases, including stroke, and respiratory diseases (APA, 2003). Absolute majority of these illnesses and health problems are associated with specific life experiences, psychological issues and mental health problems, which should be taken into consideration during treatment (Frazer, Leicht, & Baker, 1996). Understanding of specific life experiences of senior diabetic patients is highly essential in the clinical setting for several reasons. Firstly, it will enable the health practitioner to design a correct treatment strategy to cope with the disease and improve quality of the patient's life. Secondly, such understanding is likely to contribute greatly to the efficiency of non-clinical (social) support of the diabetic patients and decrease the occurrence of complications, such as, for example, hypoglycemic episodes. This study employs phenomenological approach to investigate the specific life experiences and meaning of life of senior patients with diabetes. Literature review There is sufficient literature addressing various aspect of diabetes and particularly its relationship with the quality of patient's life. The following review briefly describes several most notable publications that provide valuable background information in the context of this study. One of the most recent studies carried out by Peck (2003) establishes a link between several chronic illnesses including type 2 diabetes in the elderly population and quality of life. The concept of 'quality of life' covers a number of different aspects such as food preferences, level of physical activity, psychological issues and social status, etc. Besides, the author provides some credible evidence that ability of the elderly diabetic patients to effectively cope with the illness normally results in substantially improved qualify of

Saturday, July 27, 2019

Discussion week 8 The Importance of Social Media and Web Analytics Assignment

Discussion week 8 The Importance of Social Media and Web Analytics - Assignment Example As mentioned, Salina was noted that the key ingredients to her success are: â€Å"quality content, the building and nurturing of an audience, and findability† (Robson, 2012, p. 4). Two of the social media methods that Salina used are: (1) partnering with YouTube; and (2) promoting her instructional videos through Do-It-Yourself (DIY) sites, like CutOutAndKeep (Robson, 2012, p. 3). The partnering with YouTube proved to be instrumental in enhancing awareness, access and viewership to her target audience. On the other hand, opting to promote the videos through DIY sites was deemed to be contributory to acknowledgement of her skills and talents as a craftsperson. Posting her instructional videos in these social media sites provided the opportunity for Salina to catapult to fame and to be known in the arts and crafts endeavor. 2. From the scenario, prioritize the most significant components of a social media campaign according to the level of influence each could have on the new product launch. Examine both the social media tools that will provide the highest return on investment (ROI), and two (2) key performance indicators (KPIs) that one could use to measure success. Provide a rationale for your response. From the scenario, it was noted that the most significant components of social media campaign according to the level of influence each could have on the new product launch of the tablet are: (1) word of mouth (W.O.M.); and (2) social networks. The social media tools that could provide the highest return on investment (ROI) would therefore depend on accurately identifying the goals of the marketing campaign and to ascertain how much funds or resources have been spent (amount of investment) to generate the targeted return (Developing Social Media Campaigns for the New Product Launch, 2014). Thus, to measure the ability of generating the highest

Friday, July 26, 2019

The various nursing intervention approaches to descrease pain among Research Paper

The various nursing intervention approaches to descrease pain among patients with sickle cell disease - Research Paper Example globin chain and is usually found from people of African-American, Middle Eastern, African, Afro-Caribbean, Indian or Mediterranean descent (McMahon, Callaghan, O'Brien, and Smith, 2002, 183) This condition usually results in haemoglobin with increased blood viscosity, dehydration, acidosis, or infection polymerise with less deformable red cells (McMahon et al, 2002). The symptoms of SCD which results to vascular occlusion are painful hand-foot syndromes, cerebrovascular occlusions, chest syndromes, and splenic sequestration resulting to splenic atrophy. It is characterized by the failure of the spleen to function optimally even in the first months of birth that usually leads to overwhelming pneumococcal infection, usually at 20% mortality rate for patients under 5 years old (Overturf, 1999). Since access to health care is seen as one of the main problems for SCD patients (Routhieaux, Sarcone, Stegenga, 2005), it becomes important to identify ways to mitigate its most immediate or im portant effect on patient which is pain described as chronic, acute or both. Pain management is an important element of care for SCD patients and related to pain management are to identify pain treatment, control or reduction. Quality of life is an overarching goal for sick patients even those with genetic disorders such as SCD. Pain reduction is usually related to increased patient satisfaction and improved quality of life even in conditions of disease and chronic pain (Adegbola, 2009). Chronic pain has been reported by people with SCD even when they now have chances of living a longer life (Adegbola, 2009). Use of pain relieving, controlling and treatment method for patients with SCD is then important for the determination of quality delivery of health care services. Various methods are employed in Hospitals settings to treat SCD patients in reducing, controlling, and treating pain. These are influenced by the pain assessor, patient access, affordability, availability, knowledge a nd orientation of administrator, and other factors that may be present during prescription or administration. This research will identify these methods and their frequency of use among patients 18 years old and below. -Purpose of the study The purpose of this study is to identify the pain reduction methods used during in nursing intervention and care for patients with SCD. Through identification of these methods and their result on quality of care, nursing professionals may be provided with a guide which method or methods best suit patients with ages below 18 years old. Sickle cell disease is characterized by painful experiences of patients of all ages. In the United States alone, there are about 75,000 people with SCD and that 1 out of 12 African Americans have the sickle cell trait. While it has been suggested that chronic pain is more prevalent and severe during the earlier years of study about the disease, there still are reported daily experiences of pain by SCD patients in mor e recent cases (Adegbola, 2009). The study will identify and chronicle the methods used in reducing or removing pain among SCD patients below eighteen (18) years old during the period January 2009 to January 2010 at Kendall Regional Hospital in-patient section. The findings will aid nurses whose and care providers to determine which best will fit their requirement or need of their patients aged 18 years old and below as well as inform them of available options and best practices in SCD pain management. -Specific aims The specific aim of this study is

Rules that the baby boomers rejected Essay Example | Topics and Well Written Essays - 500 words

Rules that the baby boomers rejected - Essay Example The Vietnam War was one of the costliest war in terms of resources and human loss that America has ever engaged in. Moreso, it was an unnecessary war because America does not have to engage Vietnam in conflict. American involvement in the war was not a matter of security threat but rather an ideological differences with the communist as they attempted to prevent a communist takeover of South Vietnam to contain communism. It was viewed by the Vietnamese instead as a colonial takeover instead of ideological containment and fought American soldiers. It was a costly war for America in terms of human lives and resources. Back in the United States, the war also did not have a popular support from the baby boomer dominated population. The liberal and â€Å"hippie peace† environment during that time prevailed with the milieu of Beatles song calling for love, peace and equality instead of war. Protest after protest headed and populated by the boomers ensued during the Vietnam War until the government stopped the war and suffered a humiliating loss. Another meaningful protest that the baby boomers engaged in was the counterculture protest. Counterculture was the rule at that time. As the baby boomers matured, they began to resist the consumerist suburban indulgence. In a way, it was a spiritual age as people tended to root back to the basics and essentials of life. Instead of engaging in mundane endeavors, the baby boomers called on for the â€Å"social, economic and political equality and justice for many disadvantaged groups: African-Americans, young people, women, gays and lesbians, American Indians and Hispanics† (history.com 2013). Without the baby boomers counterculture protest movement concept such as womens liberation, American sense of equality and justice, equal pay for equal work, non-discriminatory workplace and others socially important issues would not have prospered to be adopted by the

Thursday, July 25, 2019

Managing Virtual Teams.A Case Study Essay Example | Topics and Well Written Essays - 500 words

Managing Virtual Teams.A Case Study - Essay Example Running a virtual company can be a rewarding experience for everyone involved. The employees are given greater freedom to complete their work task based on their own schedule. In general each employee has greater flexibility over their daily routine. Employees that telecommute get a change to spend more family time due to the fact that their homes become their home offices. It is very important you trained your employees to learn how to manage their time adequately. Telecommuting requires self-discipline in order to be able to meet the work deadlines of the job. In the news media business information travels fast, thus companies need employees that can stay on top of the latest trends. In order to manager a virtual staff you need to keep the lines of communication open. I recommend that you switch your cellular phone provider or change the plan in order to give all employees phones with unlimited minutes. The employees need to stay united and being able to call each other for support in work related matters should be encouraged. As part of their home office equipment each employees must have a printer, fax machine, copier, digital camera, desktop or laptop computer, and broadband internet access. All the materials must be provided by the company since moving to a virtual environment should not cost the employees any out of pocket expenses.

Wednesday, July 24, 2019

Theory of Strength and Conditioning and Vertical Jump Essay

Theory of Strength and Conditioning and Vertical Jump - Essay Example Young (2006, p. 74) reported that exercises involving bilateral contractions of leg muscles for vertical movements, like squats and jump squats, are not effective in improving performance. In contrast, according to Young (2006, p. 74), plyometric training can lead to â€Å"significant increases in sprint acceleration performance, thus highlighting the importance of movement pattern and contraction velocity specificity.† Further, Harris et al. (2008, p. 691) reported that based on an experiment they conducted among thirty elite rugby athletes, the correlation between sprint ability and jumping ability is generally positive and of moderate to strong magnitude. Adopting the definitions reported by earlier works, Ploeg et al. (2010, p. 39) explained that plyometric exercises or plyometrics are exercises in phases that begins with intense eccentric muscular contractions followed by rapid concentric muscular contraction. Drawing on various works, Ploeg et al. (2010, p. 39) explained that when muscle is stretched, the muscle stores elastic energy briefly and plyometric exercises use the stored energy to assist the concentric contraction to produce more force than what can be provided by a plain concentric action or a concentric contraction.... (2010, p. 40) clarified that alpha motor neurons transmit signals to the muscle group in a ploymetric exercise. The amortization phase in the plyometric activity is crucial in developing the production of power (Ploeg et al. 2010, p. 40). Craig and Judge (2009, p. 75) explained that several studies have shown consistently that overloading the body with a progressive training program will increase muscle size and strengthen the bone. Based on the results of their experiments, Villareal et al. (2008) concluded that moderate plyometrics training programs are more efficient than higher plyometrics training volume but the although their study was limited to short-term or 7-weeks of training and may be applicable for that class of training programs, particularly short-period training programs. In contrast, the evidence reviewed by Craig and Judge (2009, p. 75) covered l training programs with longer time periods. 2.0. Training and Conditioning Appropriate and Physiological Adaptation In de signing training programs, Craig and Judge identifed three important aspects of designing a training program: periodization, resistance training, and training sets (2009, p. 75-76). Turner (2011, p. 34) emphasized on the importance of periodization as an â€Å"optimal strategy for organizing strength and conditioning programs.† Periodization involves the variation of training methods and volume loads for the purpose of â€Å"potentiation of biomotors and the management of fatigue and accommodation† (Turner 2011, p. 34). Turner pointed out that periodization manipulate volume loads and progresses from general to sport-specific training (2011, p. 34). For Turner, although scientific studies are required to establish the use and

Tuesday, July 23, 2019

Business proposal. JUST PART B (which is 5 pages) The rest is my group Research Paper

Business proposal. JUST PART B (which is 5 pages) The rest is my group members - Research Paper Example The restaurant is fully equipped with the furniture, fixtures, and other essential equipment. Thus, the initial cost will only entail capital for starting the operations. In 1946, Taco Bell was started by Glen Bell, who opened a hot dog cafà © in San Bernardino, California. In 1950, he began Hot Dog and Hamburgers in San Bernardinos barrio (OFallon, 2011). Bell has grown and currently is operating numerous restaurants in California. Taco Bell Restaurant Company is currently over five hundred fast food restaurants word wide. The restaurant will daily serve concession every day of each year from 5:00 a.m. until 10:00 p.m. Taco Bell selected this restaurant due to its strategic placement. This step will allow the travelers to have their dishes before and after their journeys. There are other competitors in the place, but our quality and reliable service will be the bait for our customers (OFallon, 2011). We will provide healthier meals with simplified wholesome ingredients. Taco Bell will position itself premier fast food and quick service restaurant at Fort Lauderdale-Hollywood International Airport. This position will be attained by providing quality foods of highest hygiene and positive health impact. The restaurant will provide a conducive atmosphere for our customers to enjoy their meals, and they will be greeted by the smiles as they enter our restaurant. Our customers will be moved by our standard menu fare, together with seasonal menus that can use to take advantage of saving costs and maintain the trends of the current food industry. We are certain that the restaurant business is a crucial place where one can begin their career and pursue it to full-time (OFallon, 2011). In Taco Bell, we know that our restaurant will offer job opportunities to both new applicants and part-timers. Taco Bell will remain current with the ever growing food industry

Monday, July 22, 2019

The Chrysalids Theme Essay Example for Free

The Chrysalids Theme Essay â€Å"The Chrysalids† can actually be inferred from the book’s title. â€Å"Without change, there would simply be no progress or improvement†, is the main theme of this novel. The scientific definition of chrysalids is an insect in the stage of development between a larva and an adult insect. Chrysalids can also mean a preparatory or transitional state. In â€Å"The Chrysalids†, three main stages of civilizations can be identified. They are the Fringes civilizaztion, the Waknuk civilization, and the Sealand civilization. The Fringes civilization and the Waknuk civilization are both in a stage of change. The Sealand civilization is the end result of the progress of change, a well technological civilization. The Fringes people have the poorest civilization in the novel. They live in tents and shelters and often have to steal for food. On the other hand, the Waknuk people are a bit well off. They have steady lives and farm for a living. However, the Fringes people have a totally different view from the Waknuk people. The Fringes people think life is change and the reason that God sent Tribulation is because of the little change that is happening. The Waknuk people resist change. They think that if they have kept everything perfect, or in another word have kept everything the same, God would not have sent Tribulation. This belief made the Waknuk people have no progress in civilization. No newer breeds of animals are allowed and no new crops should be planted. Anything different from the original species would be cast away and thrown to the Fringes. The Fringes people had wanted change but sadly were repressed from doing so by the concepts of the Waknuk people. Similarily, as a result both the Fringes civilization and the Waknuk civilization made no further progress in their current civilizations. Unlike these two civilizations, the Sealand civilization has already made an amazing progress since the Tribulation. Large cities were built, and transportation devices like cars and helicopters were available. Most importantly, people are accepted as who they are. People who have telepathic powers like David, Rosalind, and Petra were considered as highly gifted people. Life is change, according to one of the quotes that the Spider man said. â€Å"He sent along Tribulation to bust it up and remind’em that life is change. † Change is what brings about improvement of the living just like what the Sealand lady said. â€Å"The essential quality of life is living: the essential quality of living is change; change is evolution: and we are part of it. †

Turfgrass Extension Program Essay Example for Free

Turfgrass Extension Program Essay I have spent many fruitful years amassing experience in the turfgrass industry and have developed an immense interest in and respect for this field of inquiry. In keeping with this, I have been involved in research and extension activities supporting the turfgrass industry both as a student member of the Ohio Turfgrass Foundation—to which I gave five years of service—and as an active team member of Turfgrass Extension Program at University of Wisconsin and University of Massachusetts—where I served for two years. In addition to this, I have approached research and extension from the standpoint of stakeholders for whom I serve as a provider of information and technology within the turfgrass industry. I have also operated in the office of facilitator of continuing education for turfgrass growers and managers, upon whom I have striven to impress the value that turfgrass clientele deserve individualized service in a timely manner. It is my belief that any successful turfgrass pathology program must retain its relevance to pique and enhance users’ interest. Furthermore, such a program must also convey information in layperson terms in order to facilitate comprehension by diverse audiences, which will aid in the application of this information to their specific situations. I also strongly believe that the provided information will be more meaningful when it is based on solid research and evaluated under similar local environmental conditions. Wisconsin boasts unique and interesting climate conditions, having hot and humid summers but cold and snowy winters. This makes it therefore necessary that turfgrass grown in this state to be sustained and managed in two very extreme weather conditions. Consequently, such turfgrass needs to be protected from both summer and winter pathogens. The primary foci of my research are in two areas: on the â€Å"dollar spot† caused by Sclerotinia homoeocarpa and on the snow molds caused by Microdochium nivale, Typhula incarnata, and Typhula ishikariensis (Abernathy, et al., 2001). Dollar spot and snow molds are the most economically important fungal diseases on highly-cared-for turfgrass in Wisconsin, and they respectively occur during the summer and winter. Although with a proper fertility program along with sound cultural practices does succeed in alleviating some of the disease pressure, management of these diseases on manicured turfgrass heavily relies on fungicide. Various fungicides, or often tank-mixtures of fungicides, are commonly applied preventatively and/or curatively. Recently, however, turfgrass managers have been left with fewer options as it regards fungicides. Fungicide use has become stricter due to concerns related to environmental, human, and animal health. Old chemistry (e.g., PCNB and anilazine) widely used for turfgrass diseases was requested due to regulatory or voluntary cancellation of re-registration. In addition, the release of new fungicides now decreases due to low margin of profit, considering the cost of development and registration. In addition, intensively managed fungal pathogens have been reported to develop insensitivity to fungicide, causing reduction of fungicide efficacy in the field. Development of management strategies to use fungicides more effectively with a minimal risk of causing fungicide insensitivity is now a critical and urgent need for the current turfgrass industry. The achievement of this goal depends on specific factors. A population instead of an individual must be the target of control strategies, because it is the fungal population that evolves to survive in an environment that is experiences constant changes as a result of agricultural practices. Therefore, the primary interest of my research is aimed at gaining a better understanding of the pathogen population and its dynamics in the turfgrass agrosystem. This research is also directly linked to the extension of the new practical knowledge about disease management toward stakeholders in the state. For the comprehensive study about fungal population, I have developed three key assay tools for S. homoeocarpa. The first (1st) is the in vitro fungicide sensitivity assay using predetermined discriminatory concentrations; the second (2nd) is the PCR-based DNA fingerprinting technique; and the third (3rd) is the vegetative compatibility assay using nitrate non-utilizing (nit) mutants. Based on this technique and methodology, I have conducted research and compiled data on the structure and dynamics of S. homoeocarpa field populations in Wisconsin and Massachusetts since 2005 up to the present. S. homoeocarpa populations on turfgrass where different management practices had been applied has been shown to be significantly different in term of genetic variability and fungicide sensitivity. For example, the population on the fairway was very different from one on the adjacent rough or putting green. In addition, the dollar-spot population changed relatively fast in response to fungicide application. Particularly, benzimidazole fungicide thiophanate-methyl caused the fungal population to rapidly shift to fungicide insensitivity. Various unique cultural and fungicide practices used on turfgrass surely affect the fungal population, and this proves to be critical information for developing and implementing effective dollar-spot control measures. My future research will focus on investigating how the fungal population changes in response to different agricultural input as well as environmental factors on turfgrass, and these activities include mowing, irrigation, and the use of fertilizers and fungicides. Further long-term research on the S. homoeocarpa population will increase knowledge about the population dynamics of phytopathogenic fungi on perennial gramineous plants, where few or no previous studies have been conducted. My extension in Wisconsin will be geared to augment the outstanding efforts of the current turfgrass extension program. First of all, the Turfgrass Diagnostic Lab (TDL) will be used as a pipeline for getting information to the clientele in the state. Fast and accurate disease diagnosis is the key to successful disease control. Timely diagnosis of turfgrass samples and recommendation of proper treatments is recognized to be of utmost importance, and will therefore be promptly and directly offered for the benefit of the turfgrass industry. Communication with the clientele via phone, site visits and consultations also provides critical feedback to identify imminent problems and needs faced by the turfgrass industry. The key element of extension project is that proper fungicide programs will be developed and provided to the turfgrass industry as an important element of integrated pest management (IPM). The use of fungicide is requisite for managing turfgrass diseases below the tolerance level, which is usually very low on intensively managed turfgrass. At the same time, fungicide must be used with a minimal number of applications and at a proper concentration to minimize its destructive effect on the environment. Therefore the most effective fungicides must first be selected for targeted pathogen species. For example, for three major fungal species causing snow molds, certain fungicides provided better control for certain species but not for other species. Such distinctions would lead to the choice of the most effective fungicide(s) for each species. Second, the fungicide sensitivity level of the local pathogen population should also precede fungicide selection. At the location where insensitive fungal isolates are found, corresponding fungicides must be avoided or carefully used in combination with other effective fungicides. In order to make the consultation of effective fungicide programs informative and accessible to the public, the TDL service will be supplemented with the following: The in vitro fungicide sensitivity assay for major systemic fungicides (e.g., benzimidazole and demethylation inhibitor) to which insensitivity is commonly found in turfgrass pathogens Molecular diagnosis for snow mold fungi using DNA fingerprinting technology as well as phenotypic characteristics to achieve accurate identification of causal agents. In the future, my extension program will design and provide customized fungicide programs for individual locations based on more comprehensive information about the pathogen population. Abernathy, S.D., R.H. White, P.F. Colbaugh, M.C. Engelke, G.R. Taylor, II and T.C. Hale   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   (2001). â€Å"Dollar Spot Resistance among Blends of Creeping Bentgrass Cultivars.† Crop    Science. 31: 806-809.

Sunday, July 21, 2019

Research Methods Theories and Concepts

Research Methods Theories and Concepts Understanding of the research methodology 4.1 Introduction This chapter presents the reader clearly understanding of the research methodology and relevant research approaches determining the way through this research was conducted. In accordance with the main objective of research, Kothari (2005) states that research should help the reader to discover the truth that is hidden through the application of scientific procedures. Methodology produces the outcomes of any studies and it is important to choose appropriate way to conduct the research methods in effective way in order to meet researchers aims and objectives of the research. Research methodology followed in this dissertation presents topics on different forms of research which are used in order to find an appropriate approach and method in this study. The researcher outlined aims and objectives of thesis in Chapter 1 therefore the purpose of this chapter is to: introduce research philosophy in relation to adopted approach in this study discuss research strategy expounded in current study, including the research methodology conducted present the instruments of research method which were developed and utilized in the achievement of researcher goals explain why the specific methods were adopted and constrains in relation with data collection considering the limitation to the presented research Further, the chapter discusses the issues followed as: research philosophy, research approaches, research design, data collection method, data analysis, reliability and limitation of the research. 4.2 Research philosophy According to Proctor ( 2005 ) , the academic research should be developed in a philosophical way. Differently speaking, the research should be followed with method of study elaborated to better explain and facilitate the analysis of subject. Looking at this context, the philosophical approach gives framework of the research according to its configuration, necessary evidence, gathering the data and the way of its interpretation to provide the right answers to the research questions. The research starts with its first step which is definition of the philosophical method of research that ought to be examine. There are several different approaches of research philosophy, such as the positivism, phenomenology and realism. ( Saunders et. al., 2003 ). Each approach sets hypothesis and various methodological implication according with its position and the brief description of the characteristics of each research philosophy will be interpreted below. Positivism According to Currie ( 2003), the positivist approach means development of general rules and principles using the different systematic techniques of scientific method. The positivist approach begins with dilemma, idea or observation as it is the first step associated with this philosophy. Following this way of approach, the researcher analyzes the fact and objectives of the study in order to create the logic way of thinking to explain subject of the study. In the view of Newman (2005 ) this approach is based on quantitative investigation. Prediction of prospective behavior is used in the positivist approach by generating general laws from the standpoint of objective truth.( Fisher, 2004). Based on researchers belief on accurate and value free data , this approach determines human beings and their action to be studied as objectively as the part of natural world. Phenomenology Phenomenology is also called non-positivist , intrepretivist , naturalistic approach. The followers of this approach contend the observation of phenomenon should be key of obtaining the comprehensive explanation and description of the problem. Through the subjective interpretation reality can be fully analyzed .Approach present that the objective truth is less important because the reality is socially created, hence it holds subjective truth. The key element of the non positivist philosophy is the study of the natural environment followed with affects on those phenomena. Scientists believe the reality is relative part to various variable such as situation, time , location, culture, value of society, etc. Thus researchers of this approach go further to realize how things occur in reality and how people react on its occurrence rather than to generalize things based on standards laws. ( Fisher, 2004) Realism Realism research philosophy lies on philosophical views of positivism and it is based on the statement that the objective reality exists and it is independent part of human beings beliefs and behavior. Realism also states that humans are not considered as objects in the studies of natural science, but social influence is taken into account. Further, realism gives mains importance to those social influences in order to better understand the way of peoples behavior and thinking and their awareness of these social forces. ( Saundres et al., 2003 ) Based on the three different type of research philosophies, this research followed phenomenology approach with the objectives of research project . Developed on this approach, researcher was able to define the nature of the problem being investigated and to get the better understanding of the environment within the problem occurred. Usage of phenomenology approach provided a comprehensive description of the main aim of the research referring to the importance of risk management in todays business world. 4.3 Research Approach According to Saunders et al. there are two main research approach conducted by business research known as deductive and inductive scientific methods of reasoning. The deductive approach means testing theories on effective way where researcher is able to develop a theory or hypothesis creating strategy for testing the theory. In the view of Saunders (2005) it is appropriate scientific research method for the organization so called top down method. There are three steps when conducting research based on deductive forms of reasoning: Firstly, researcher states the hypothesis examined with theory or research literature. Secondly, collecting data in order to researcher test the hypothesis. The final step leads to building the right decision when researcher is accepting or rejecting the hypothesis based on conclusion. In contrast, the inductive method , well known as bottom up scientific method suitable when researchers aim is to generate theories and hypothesis in order to understand why something happens in reality. Inductive approach of reasoning is usually basic way for building the theories, when researcher by collecting data scientific way to develop theory as a result of data analysis. The inductive method involves three steps in its process referring to researchers ability to observe the environment , find a pattern for observed element and provide generalization about final result of analysis. In reality the two approaches are not mutually exposed, but have joint participation in business studies (Seddighi, 2000 ). Nevertheless, the important fact about those two scientific methods lies on statement that its presence in research depends on research question and research objectives. The inductive and deductive methods are demonstrated in figure below : Therefore, the deductive approach was adopted to create a path for this particular research. This method of research was used to test theory based on hypothesis moving from specific to general. Usage of this approach enabled researcher to contribute to the successful achievement of the objectives of this project. Implementing this method researcher was able to understand the company and its risk management techniques in the specific environment related to the topic and evaluate the strategies used by the Societe Generale Bank to maintain the same. 4.4 Research Design The research design is used to address the research questions which were taken into consideration in this study. The research design appears from questions directly determining the main objectives being examined in this thesis. These questions are results from the gaps between theory based on literature review presented in Chapter 2 and analyzing and findings of primary data based in the following Chapter 5. Yin (2003) states that research design is dependent element for research project helping the researcher to decide what questions to study, which information are relevant to the current case study, how to collect data and to do analysis of presented findings. In the view of Saunders et al. ( 2003 ), there are three various types of research design followed as : (1) Exploratory, (2) Descriptive and (3) Explanatory. The description of each will be summarized below. Exploratory Exploratory research is constructed to answer what questions, according to Yin (2003), and in many cases includes new studies which can be result of the appearance of new phenomena or insufficient knowledge on the subject of any study. This approach is also recommended to approve researchers objectives by gaining new insights about specific issue which fit well and present a good match to this research. Saunders et. al (2003) states usage of this approach especially for understanding the problem expressing the main steps to conduct an exploratory research : searching and studying the literature and talking to experts in the subject through interviews. This concept is characterized as flexible and adaptable to daily changes as result of new information upcoming or new hypothesis appearing. Descriptive Concept of this research implies design addressed to reveal validate profile of persons, events or situations. Descriptive concept tends to answer on questions such as who, where , how many; how much. However, what question can be included in situation if the research wants to have u clue about the details of some specific topic or issue. Descriptive research is also well known as archival research because of the use of arcival records. ( Yin, 2003 ). The concept is useful and crucial when the researcher achievement focuses on details and descriptrion of ohenomena or when it should show prediction about specific findings. Unlike exploratory approach which is based on qualitative research, descriptive concept implies qualitative way of analysis using archival records, questionnaire, secondary data, etc.(Saunders et. al., 2003 ). Explanatory Explanatory research is known as casual research and is conducted for answering the how and why questions. A casual study is focused on finding casual relationships between variables. This concept of approach use qualitative way of research such as case studies, histories, experiments aiming to describe relationships expressing the cause and effect of particular incident. Explanatory research design allows using qualitative approach to answer on question how and why depends on sources of relationship between cause and effect. In that way, operational links required implication of secondary data, statistics. ( Yin, 2003; Saunders et. al. 2003). According to Saunders et. al. (2003), exploratory research design is the most suitable and useful for new studies giving the significant contribution for understanding of the findings of the main subject. Therefore , this research is of an exploratory nature and the exploratory research was developed in order to define the nature of risk management and explain and clarify the understanding of usage and effectiveness of risk management in Societe Generale Bank. The researcher of the presented issue wanted to compare and contrast the findings with the theory expressed in literature review and was able to give the suggestion and recommendation to the company or other companies in the same work filed and future prospective through exploratory research design which is briefly presented in Chapter 6. 4.5 Data collection Method One of the most important element in research project is data collection method. This method means good preparation and organization of collecting data in order to researcher not have a problem to face too much information collected, which can become a major obstacle rather than help in the project researched. Very often, there is much information available that can be a barrier to sort and evaluate real and important information and to assess their usefulness It is necessary to understand different approaches and methods for collecting data and that have great importance in preparing research and organizing data collection in a systematic way. ( Lancaster, 2005 ) According to Saunders et. al. ( 2003 ), there are various forms of information which can be distinguished in two main group as secondary data and primary data. Secondary data Lancaster states (2005) that the secondary data are second hand data which already are presented and collected by other researchers for the purpose of previous researches and giving hypothesis on other issues. It summarized raw data and published data including internal records and external records within the organization. Those secondary data can provide wide range of sales and marketing data, production data, financial data, personnel, transcripts of speeches, administrative and public record data followed by external record such as newspapers articles, journals, internet, official statistics, etc. Secondary data have qualitative and quantitative nature and its utilization is visible in both descriptive and explanatory research. According to Saunders et. al. ( 2003 ), the advantages of secondary data leads to saving both money and time, having fewer resource requirements for specific issue, creating easier way for longitudinal studies, providing comparative and contextual data and may result in unforeseen discoveries of particular subject. On the other hand , disadvantages can be expressed through some of negative aspects of its collection. Sometimes its purpose does not match the goal of researcher and its access may be costly for commercial reasons. Thus, those data can lead to unsuitable definition for the required subject affecting the quality of data presented. Primary data Primary data refers to collection of data by researchers using the various methods and techniques such as interviews, questionnaires, observations, experiments in order to gather the most valuable data necessary for researchers project . The process of collecting primary data requires more time, effort and resources comparing with secondary data providing more relevant answers on the research questions. Looking at collecting data on primary way , there is distinguish between forms of data collected which can be categorized in two main groups: quantitative and qualitative data. (Saunders et. al. 2003) Quantitative data refers to number -organized data and can be expressed numerically giving the framework with numerical value. This approach is recommended during latter phases of research projects. Approach deals with questions such as how many, how large, what rate something. Using quantitative data tends to be more efficient, to test hypotheses, but may result in fewer contextual detail about particular topic. Quantitative process of collecting data is more objective and scientific process than qualitative process. (Lancaster, 2005) In contrast, the aim of qualitative data is to provide a complete, detailed description and this process is recommended during earlier phases of research work. Qualitative approach is more subjective and gathered information can not be numerically analyzed. Therefore, those data has usage and utilization in investigation about peoples opinion, attitude, fears and hopes which can not be part of quantitative analysis. Qualitative data results in more rich relevance in term of time consuming, and less probability to be generalized. In this project, data were collecting based on qualitative interviews with the managers of Societe Generale Bank in Serbia , because the researcher wanted to deeply explore the effectiveness of risk management in banking sector and its implementation in todays banking environment in branch of Societe Generale Group in Serbia from the point of view of respectable managers in the Bank. Through interview with the managers who work for the company, the researcher achieved goals which has already mentioned in Chapter 1 providing aims and objectives of the current research. Although, observation would be dependent part of this research and would help to discover how risk management department works by its employees, time constraint was the main reason why research couldnt spent more time in Serbia, observing the bank risk activities, because the company of case study is located in Serbia. Therefore, researcher used well organized interviews as the most appropriate way to collect valuable d ata according to the already mentioned limited circumstances. According to Lancaster (2005), interviews are defined as a main category of data collection techniques and appropriate way for collecting data through questioning effectively. This technique is crucial for getting the background of participants experiences. This method is adopted when researcher tends to fully understand the impressions, attitudes, feelings, motivations or experiences of someone to gain more knowledge through their answers on questionnaires. There are several types of interview used in research project to collect data divided in three categories: structured interviews, semi-structured interviews and unstructured interviews. Structured interviews means using specific questionnaires and this research method is usually used for quantitative surveys. The structured interviews involve the interviewer inability to change the structure of question by adding or removing some of its sequence. Conducted in formal way, respondents responses are recorded on a questionnaire standardized form during the interview process. As a result, the analysis of the structured interviews have quantitative nature. Semi-structured interviews is research instrument used to provide greater volume for discussion and knowledge about the problem, opinion and respondets view of particular subject. This approach is flexible in terms of changing some questions during the interviews process giving the researcher freedom to ask slightly similar question in order to cover list of already prepared themes. The questions can vary from one interview to another following the path of discussion with respondent. Thus the collected data can summarize both qualitative and quantitative information and have impact in exploratory study. Unstructured interviews are also called in-depth interviews. The unstructured interviews are conducted in informal manner as preliminary step in research in order to interviewer generates hypothesis about the nature of subject being investigated. Adopting this research instrument interviewer is aware of ability to gather the data necessary for research topic, matters and responses in some depth. Those interviews are guided by predefined list of thesis and they are not controlled by specific questions. The main purpose of choosing in-depth interviews lies in interviewers need to find out what people think and way how they react to issues. The respondent is encouraged to reveal and to talk about everything that he/she thinks on issues of interest to the researcher. The interviewer is taking note (or tape-recording) for all highlights that would greatly contribute to the research Following the phenomenology approach and exploratory research design, the researcher decided to use semi-structured interviews with managers of Societe Generale Bank in Serbia as a method to collect qualitative data about risk management in Societe Generale Bank and its implication in bank activities as well as the result it is achieved. This method is used by research in order to reader meet expansive response from the interviewees, but at the same time to provide comparation between theory and practice considering risk management in banking sector as issues. Also this method is less formal choice and better way to catch the point of view of the managers by getting inside information in relation to the research topic. In addition, secondary data such as company records about financial report of previous year, press release with relevance to the topic was collected for consideration as well. Policies of the company for the internal and external control of risk were analyzed keeping the management of Societe Generale as the focus of research. 4.6 Interview guide As it was mentioned in the previous paragraph, the research was conducted by interviewing managers of Societe Generale Bank in Serbia in order to analyze the way they implemented risk management techniques within bank activities in credit department as well as to explore the achievement gained from applying this. Therefore, this section will provide the framework used by researcher to design the interview. According to Fisher (2004), the first step in designing the interview is to identify the main point of question and priorities them. This way of conducting the interview helps researcher to organize the question regarding to its importance to the research topic. It is important to make hierarchy from more important to less important questions which can be dismissed in terms of having insufficient time. Therefore, the researcher presented question summarized them in several topics as follows: Brief background of Bank Risk management concept The main purpose of undertaking an analysis of risk Techniques and methods of Societe Generale Bank in Serbia adopted in risk credit mitigation Effectiveness of credit risk management in Societe Generale Bank in todays economic climate Measurement credit risk Implementation and importance of Basel II accord in banking sector To accomplish the objectives, researcher realized the interviews with the managers on the topic given above. The researcher collected information regarding to risk management in credit department and the effectiveness of undertaking risk management analysis in the Bank. The analysis of the questions was realized from a set of interviews with the managers of the Societe Generale Bank and was conducted through the series of meeting. In each meeting a different subject concerning the credit risk management was verified. In total , five different meetings were completed discussing the risk management issue on the highlighted topic given in previous sequence. Having collected data from primary and secondary sources, the next stage was analysis of the records and the description of findings which will be presented in the following Chapter 5. 4.7 Data analysis The data collected in this research implied using the qualitative data and the researcher adopted three steps to analyze it. In the view of Saunders et. al. 2003, it is crucial to conduct data analysis in effective way in order to get response on the research question and achieve research objectives and aims. First step included analyzing the data , which was recorder by tape or taking a note during the interview process, by prioritizing the most valuable data for the discussed issues. After that, the researcher was able to unitize the data by implementing the quotation from the respondent which supported the key elements of the research topic. Final step the researcher used to analyze data though tables for the each categorized data giving the better understanding and impressionistic view of meaning the answers. Effective data analysis will enable reader to understand the way of using risk management techniques and tools in credit department of Societe Generale Bank in the main representative office in Serbia providing the logical conclusion on the research topic. Therefore, data analysis presented in the following Chapter will approach reader to critical, reflective and meaningful analysis between data and comprehensive research in order to be achieved the aims and objectives of this research. 4.8 Reliability and validity Reliability and validity are very important elements when researcher analyzes the data conducted through qualitative research. Consistency of the result is essential component when conducting the research topic. Marshall and Rossman (1999) quoted that qualitative data collected to accomplish aims and objectives of study are not open for any replication ( Saunders et al. 2003 ). Hence, qualitative researcher based on unstructured forms should reveal reality of the issue being investigated. Realibility and validity as part of data collecting are essential for analysis and creating key findings of study and reader will be able to meet trustworthy results of presented subject In this study, the researcher used the method of qualitative research in order to examine credit risk management and its applicability in todays economic climate. Leading its research to qualitative way, researcher was able to make comparison and contrast between literature and practice and give recommendation and suggestion for the subject examined. Thus , this study based on reliability and validity of qualitative data create a clear path for achieving researchers aims and objectives in very dynamic and complex way

Saturday, July 20, 2019

Kazakhstan’s Most Problematic Factor for Doing Business Essay -- educat

In the period of globalization today Kazakhstan is known as a competitive and pressing towards to be economically developed country, due to its determination and activeness in the world area of global problems. The world economic forum report on global competitiveness for 2012-2013 shows that Kazakhstan is appreciated as ready for competitiveness and it has taken 51 position from 126 ones, which is actually reputable result for such country like Kazakhstan. The country is ahead from Russian Federation and India 16 and 8 positions respectively, which is also unquestionably perfect development, providing that GDP of these countries is 9 times greater than Kazakhstan’s GDP. The report for competitiveness represents that Kazakhstan’s most problematic factor for doing business is inadequately educated workforce, which was the first consequence for Kazakhstan to invest money in education. As state program of education development for 2011-2020 illustrates, one of the main priorities in â€Å"Kazakhstan-2030† strategy is going to be an education. Education is acknowledged for Kazakhstan as precondition of economic success and as the important role in entering to the club of the most competitive 30 countries in the world, which is mentioned in â€Å"Kazakhstan-2050† strategy. In major educational policy documents, the expressions such as ‘to create a competitive national education system’, or ‘to foster innovation and create a productive basis for a modern, competitive economy’ is referred as education purpose. The Europe-2020 strategy key point is human capital and its significance in an economic development. T he World Bank’s Education Strategy 2020 entitled ‘Learning for all: Investing in people’s knowledge and skills to promote development’ is f... ..., International Agreements, Population, Social Statistics, Political System." Soviet Union (former) Education, Health, and Welfare - Flags, Maps, Economy, History, Climate, Natural Resources, Current Issues, International Agreements, Population, Social Statistics, Political System. The Library of Congress Country Studies; CIA World Factbook, n.d. Web. 03 Dec. 2013. Volkov, Michael. "Corruption, Crime & Compliance." Corruption Crime Compliance. Adrian Dayton&Company, n.d. Web. 03 Dec. 2013. "The Report and EFA | Education | United Nations Educational, Scientific and Cultural Organization." The Report and EFA | Education | United Nations Educational, Scientific and Cultural Organization. UNESCO, n.d. Web. 03 Dec. 2013. Markowitz, Eric. "Bill Gates: Education System Needs More Entrepreneurs BY Eric Markowitz." Inc.com. MANSUETO VENTURES, 7 Mar. 2013. Web. 03 Dec. 2013.

Friday, July 19, 2019

Tobacco Essay -- essays research papers fc

THIS IS A PAPER REGARDING THE TOBACCO INDUSTRY (3 PAGES). The Killing Business? This paper is about the tobacco industry. Some would find that the label ‘killing business’ is very appropriate. Others would say that that name is misleading and inaccurate. Biased, I am not. So we will look at the issue in regards to the industry from both consumer and producer points of perspective with fairness and equality in reach. With an open mind now, let’s peer closer at the aftermath tobacco has left us standing in. Something has to get a non-tobacco user to try his/her first cigarette, cigar, chew, or whatever it may be. What is that something? Tobacco ads play an important part in getting people hooked. The government has taken a step in the right direction by reducing the ways that the industry can advertise tobacco. They have limited it to written ads mostly like magazines, billboards, sponsorship (meaning that Marlboro could sponsor a racecar driver), and T-shirts. They aren’t able to advertise on television or radio in any way. This helps to steer youth away from tobacco. But is this grafting the industry’s amendment of free speech? Not when the industry is responsible for thousands of deaths each and every year. What is it that makes a tobacco-user keep on buying the product? One of the most addictive substances in the United States. The mystery matter that keeps consumers coming back for more is nicotine. Is it necessary that the industry utilize nicotine to keep customer...

Khaled Hosseinis The Kite Runner Essay -- Hosseini Kite Runner

Khaled Hosseini's The Kite Runner In the Kite Runner, the author explores the ties that bind sons to fathers and childhood friends to one another and of the forces that tear them apart. Throughout the novel, Khaled Hosseini uses many literary devices such as parallelisms, and characterization, and symbolism. The main message is â€Å"there is a way to be good again.† Amir is continuously changing throughout the story as he narrates it which is evident through the characterization the author displays. He is always selfish when with Hassan, treating him as a servant but expecting a best friend attitude in return. He then realizes his mistakes growing up in Afghanistan and America and changes his ways, trying to get redemption for himself, a key theme in the story. Amir always wants to get attention from his father in his childhood and feels that he is being neglected by his father because he writes stories whereas Hassan is an athletic person. Amir believes Hassan is the son that Baba never had when in reality he is his other son. Throughout the novel Amir holds guilt of betraying Hassan in that fateful alley and it changes him as a person. â€Å"I have been peeking into that deserted alley for the last twenty-six years.† Amir’s goal in life after moving to America is to â€Å"do good again† ... ...ast as infants. This is important because in Hassan’s religion, if you fed from the same breast then you were brothers. This symbolizes the brotherly connection between Amir and Hassan from the beginning and the relationship between Amir and Sohrab. Another symbol in the novel is the blue kite, which is used both in the beginning and the end of the novel. The kite shows the bond between Hassan and Amir and how Hassan was willing to risk his life for their friendship and how much it meant to him. Also at the end Amir shows his loyalty towards Sohrab, as a way to forgive himself. In conclusion, The Kite Runner is a great book, and I can read it over and over again, continuing to learn to make your own path and forgive your past.

Thursday, July 18, 2019

Revolution Politically Considered Essay

The word Maccabean comes from Judas Maccabeus, the leader of the Jewish revolt against Syria which took place from 167 – 160 B. C. E. In 2nd Maccabees 15 v 30 he is described as â€Å"The perfect champion of his fellow citizens. † The story is recorded in the Apocryphal Biblical Books Ist and 2nd Maccabees, the sources written closest in time to the events and to a lesser extent by the Jewish 1st century C. E. historian Flavius Josephus in his Antiquities ( Books XII and XIII) who wrote some 200 years later. Martin Cohen ( The Hasmonean Revolution Politically Considered,1975, page 21) describes all three of authors, those of the Maccabean books and Josephus, as being overly partisan and seems to be saying that the so called sinners weren’t as black as they are painted. Some might say however that his article is in danger of going too far the other way in parts. The name means ‘hammer’ and was used to describe Judas’ immense strength. It was then taken as a name by his brothers, two of whom succeeded him, and other followers. The conflict had been stirred when, after a period of increasing Hellenisation, Syrian ruler Antiochus IV Epiphanes gave orders forbidding certain Jewish customs and practices and turned the Temple into a shrine for the pagan god Zeus – the idol the Jews refer to as ‘the abomination of desecration’ mentioned in Daniel 11. Judas Maccabeus and his followers incited a revolt. In 164 B. C. E they were able to regain control of the Temple, which was then cleansed and rededicating to the God of Israel. To this day Jews celebrate the feast of Hanukkah to recall these events. The story ends with the death of Nicanor in 2 Maccabeans 15 and also the idea of dedicating a special day to its remembrance- the thirtieth day of the twelfth month. The use of the menorah, the seven branched candlestick, is a reminder of the same events. Members of Judas’ family, the Hasmoneans, continued to rule in Israel until the Romans arrived in force in 63 B. C. E. Ist Maccabees was originally written in Hebrew, but that version is now lost and the text used is taken from the Greek Septuagint. The book is set in the period of Greek rule and covers the period of revolt from 175 to 134 B. C. However it also describes how many Hebrews actually welcomed the coming of Greek customs, even to the extent of trying to pass themselves off as Greeks. In 1st Maccabees 1 v 15 the writer tells how some were trying to hide the marks of circumcism i. e. the very mark of their Jewishness. In 2nd Maccabees the events are again related, but this time seemingly with the intention of showing God’s continued care for his people. It begins by urging Alexandrian Jews to keep the feast of Hanukkah and looks back at the events that led up to the first celebration. At the same time it castigates several people – the Hellenistic Jewish priests, in particular including High Priest Jason who was said to have sent money for statue of Herakles, something Martin Cohen ( Page 15 ) sees as a bribe rather than as a genuine donation because of faith.. Robert Doran ( 2006, The revolt of the Maccabees) looked for historic similarities and likened it to the modern day insurgency in Iraq. He tells how for the first years of Seleucid rule there were no major problems between the two groups. He describes the main problem as being about Jewish identity and who controls that definition. He makes the point that some would not have considered Jason to be a Jew at all, whereas he, as Jewish high priest, presumably did. He cites 20th century Jewish scholars Elias Bickermann and Victor Tchenikover who put the blame not on the Seleucids, but upon the Jewish leaders of the time. While I Maccabees blames the Seleucid leader, it has been pointed out by scholars such as Otto Morkholm (Antiochus IV of Syria, 1966) that in general he supported local cultures. The writer of 2nd Maccabees blames the institution of Greek education, even though there were a number of years between the opening of the Greek school and the revolt. The truth seems to be that when a villager from Modein, the Hasmonean home town, went to make sacrifices, Mattathias, the father of Judas, struck him with his sword. The family then fled, but also began a campaign of throwing down the pagan alters that they found and killing those who opposed what they felt was right. By the opening of 2nd Maccabees the father had died and it is Judas who is leading the revolutionaries. There are other major differences between the accounts, namely with regard to fighting on the Sabbath. This happens in the first book, but not in the second. According to Doran, in what seems to be a quite objective account ( page 107), upon the death of Antiochus his successor seems, to have let the matter stand, with the Hasmoneans in charge in Jerusalem. However the revolution was spreading to other areas. Jerusalem became the center for a general revolt against Seleucid rule. In 162 B. C. E. Judas finally lost control of the Temple area and was killed. Josephus describes in the opening words of his second book about the period, (Antiquities of the Jews, Book 13) how, after the death of Judus Maccabeus ‘all the wicked, and those that transgressed the laws of their forefathers, sprang up again in Judea. ’ And so the battles continued under new leadership. However soon after this the Seleucid Empire began to crumble because of its own internal divisiveness and Simon, brother of Judas, was able to expel the Seleucids. He was recognized as high priest of Judea in 140 B. C. E. So what had begun as a religious protest ended up as the basis for an independent kingdom – at last for a while. Martin Cohen took a new look at the events portrayed in the scriptures. He sees it as much as an internal fight among Jews as a revolt against foreign rule. He states (page 26) that Antiochus believed that no Jewish group was capable of holding the peace. He had trouble elsewhere and this is why he came down hard, turning Jerusalem into a fortress and he also removed the power of the Jewish constitution. This turned many into revolutionaries. If they had no Jewish law how could they be Jewish? Cohen describes how the revolt has often been viewed as a class struggle between the Hellenistic rulers and the ordinary people, despite the fact that there seems to have been grass roots support of Hellenisation. The Maccabees were not just non Hellenistic however, they were totally anti – Hellenistic, not just for themselves, but for Judaism as such. Cohen points out that the two accounts are both conflicting and inadequate and that the facts cited by Jewish historian Josephus don’t add a great deal to historic knowledge. He also describes how the Jewish Hellenistic aristocracy were very small in number. If they had not had popular support then the Selucid would have had to come down hard. Right from the beginning. The priests concerned are condemned in passages such as 2nd Maccabees 4 v 11 and 14. In the former passage they are accused of adding to the Pentateuch. The Pentateuch was scripture, but it was also the basis for all Jewish life. At the time of the revolution religion and politics, as far as the Jewish people were concerned were one and the same thing. But the Hellenistic Jews did not deny Judaism and the priests amongst them continued with their sacrificial roles, which they do not seem to have considered as being in opposition to their Hellenistic practices. Conclusion Whatever the truth of the matter regarding the origins of the revolt and wherever the true blame should lie, essentially this was about preserving Judaism as it had been for hundred of years and was about defining what is a Jew – an argument that can still be seen to be going on, even if sometimes in silence, in the differences to be observed daily in the 21st century between those who call themselves Orthodox Jews and others of the same faith and race, believers and otherwise. Works Cited Bible, King James, â€Å"2nd Maccabees†, Electronic Text Center, University of Virginia 12th May 2010, Libraryhttp://etext. virginia. edu/toc/modeng/public/Kjv2Mac. html Bible, Revised Standard Version, â€Å"Ist Maccabees†, National Council of Churches of Christ in America 12th May 2010, http://quod. lib. umich. edu/cgi/r/rsv/rsv-idx? type=DIV1&byte=4219672 Cohen Martin, â€Å"The Hasmonean Revolution Politically Considered: Outline of a New Interpretation,† The Journal of the Central Conference of American Rabbis , (Fall 1975 ): 13-34 Doran , Robert, â€Å"The Revolt of the Maccabees â€Å" The National Interest ( September –October 2006):99, 100 Josephus , â€Å"Antiquities of the Jews† , Book XII ,12th May 2010, http://www. ccel. org/j/josephus/works/ant-12. htm Josephus , â€Å"Antiquities of the Jews† , Book XIII 12th May 2010 http://www. ccel. org/j/josephus/works/ant-13. htm Morkholm, Otto,† Antiochus IV of Syria†, Classica et Mediaevalia Dissertationes VIII, Copenhagen. 1966