Monday, September 30, 2019

Ford Motor Company Case Essay

Ford Motor Company Case 1. Does Ford have too much cash? 2. How does VEP work? 3. What are the alternatives for distributing cash? 4. What problems is the VEP plan designed to solve? 5. As a shareholder, how would you approve the VEP? Would you elect cash or stock? Q.1) Does Ford have too much cash? Exhibit 6, 8, and 9 (figures in $ millions) provides selected balance sheet items for Ford, General Motors, and DaimlerChrylser. The given information indicates that Ford carries the highest amount of cash and marketable securities among the three companies. In 1999, Ford had $25,173 of cash and marketable securities while General Motors and Daimler-Chrylser have only $12,140 and $9,163. Comparing at an industry level, we as a team inferred that Ford may be carrying too much cash. Ford competes in an industry that is notoriously sensitive to the economic cycle, and generally companies in cyclical industries have to keep cash in reserve to cover up for cyclical downturns. However, high amount of cash in the balance sheet does not necessary signal that a company’s future earnings has a high potential of growth. A company sitting on cash tends to lose the opportunity to gain high returns generated from expanding business or investing in new projects. Keeping excess cash in the bank would be a mistake when the company could use the cash to earn a higher return than the company’s cost of capital. It is important to note that although Ford holds the highest amount of cash, both Ford’s earnings per share of 5.86 and stock price of $51.38 are lower than General Motors and DaimlerChrysler in 1999. Ford’s higher debt to equity ratio during this period may be the reason that caused the company’s cost of capital to increase and eventually decreasing the stock price. Q.2) How does VEP work? The main function of the Value Enhancement Plan (VEP) consists of both the options of stock repurchase and a stock exchange. Through this plan, shareholders would exchange their existing common stock and class B shares,  one-for-one for new Ford common and new class B shares. Moreover, shareholders would receive either $20 per share in cash or the equivalent value in new Ford common shares based on Ford’s price in July 2000. Shareholders who did not make an election would be treated as if they made a $20 all-cash election. Meanwhile, if the cash option was oversubscribed, the $20-per-share payment would be distributed pro rata to ensure that the company distributed at most $10 billion. Dividends on the new shares would be reduced such that shareholders who elected stock only would get the same dividend payment on their package as the quarterly $.50 per share currently being paid. A third option the company offers to the shareholders allows them to receive a combination of ca sh and stock worth of $20. Q.3) What are the alternatives for distributing cash? Share Repurchase – Institutional shareholders urged Ford to conduct share repurchase over paying dividends. But Ford preferred receiving cash dividends since that provided the family members with liquidity without having to sell Class B shares and run the risk of diluting family’s control. (Ford had 1.15billion common shares and 70.9million Class B shares outstanding. The family retained a 40% vote as long as it owned 60.7 million shares. Reduction below 60.7million until 33.7million would reduce the family’s voting power to 30%. Below 33.7% of Class B shares’ ownership, all privileges would be lost) Mr. Ford had said that the family had agreed to take its portion of the distribution in the form of new common shares, not cash. The family thus would have tens of millions of common shares to sell for liquidity purposes without reducing their holding of Class B shares. Pay Dividends Uniformly– W.r.t. the Value Enhancement Plan, dividends on new shares would be reduced as there was a $10billion limit to distribute cash. Dividends with incremental growth in value are absent. Ford wants to keep a large amount of cash to itself because of the uncertainty associated with the cash flow. It has the option to distribute the cash in the form of dividends. Shareholders were taxed on cash dividends at ordinary income rates whereas gains realized on shares that were repurchased received capital gains treatment. There were no cash deductions for the company in the above two methods. Hence both the  procedures were same for the company. 4. What problem is the VEP plan designed to solve? The primary reason why Ford designed the VEP was that Ford believed its stock was undervalued and the undervalued stock was limiting the company’s ability to use its stock for acquisitions or to attract, retain or incentivize employees. Ford thought the VEP would enhance the value of its outstanding shares because the recapitalization will highlight its cash reserves and cash flow generating capacity, and also indicates management’s confidence in the future of the business. In addition, Ford believed the adjustments in the employee incentive plans by the recapitalization will tie Ford management’s compensation even more closely to the performance of its stock price. Additionally, as a part of VEP, Ford announced the Visteon spinoff was not only designed to allow Ford to focus on its core business but also give Visteon a chance to build its client base outside Ford. However, some analysts and shareholders (TIAA-Cref, Calpers) argued that the VEP was designed to av oid a risk that Ford could face due to a share buyback. Because a share repurchase would reduce its voting right in the company, the Ford family considered VEP as a suitable option. 5. As a shareholder, how would you approve the VEP? Would you elect cash or stock? At face value the VEP seems to be a good idea; return value to stockholders in the form of cash, without having to compromise control over the company. As is gleaned from the case, Ford has approximately 23 billion dollars in cash reserves with the proposed VEP set to return up to 10 billion USD back to shareholders. Executive leadership tout flexibility,liquidity and alignment as advantages of the proposed project, however, a couple of valid questions have been raised (two institutional investors in particular). The proposed VEP if successful would see the cash reserves of the company reduced by 10 billion, this drastic reduction in cash will send mixed signals to analysts and the market as a whole. It could be perceived as a ploy to return money to shareholders in anticipation of a wind down or poor run of performance. Though flexibility and realignment is mentioned, that does not seem to be the case.The program only allows owners of both common shares and class B shares the opportunity to obtain liquidity  without having to lose control of their class B shares. The program will have the Ford family exchanging their common shares for the new stock in addition to the $20 or new stock options. This is particularly a welcome boon (as the case alludes to their need for liquidity to handle settlement of divorces and estate taxes). If the stock of Ford is perceived undervalued then the advice would be for the shareholder to accept the VEP as the share price increases in an addition to the opportunity to reinvest in the additional new common stocks. In conclusion we would not approve of the VEP as we believe the benefits of the program does not benefit all stockholders, rather the pros are stacked in favor of the Ford family. On the contrary a common stockholder will accept the VEP and accept cash payme nt if the stock was perceived to be overvalued and further stock options if the stock was perceived to be undervalued. The End†¦.

Sunday, September 29, 2019

Intro to Finance Essay

An efficient financial system promotes intermediaries that successfully link â€Å"savers† from â€Å"borrowers† (Mankiw). There are two widely-known financial intermediaries namely the banks and mutual funds. Banks are highly accessible to the general public are generally more cost advantageous that direct lending. Generally, the banks main purpose in the economy is to take in deposits from savers and â€Å"use these deposits to make loans to people who want to borrow† (Mankiw, N. Gregory, 2001, Principles of Economics, p. 557). Banks incur costs by paying interest on these deposits and earn from these by charging higher interest rates on loan borrowers. Second to this, banks play an important role in the economy as they â€Å"facilitate the purchases of goods and services by allowing people to write checks against their deposits† (Mankiw, N. Gregory, 2001, Principles of Economics, p. 557). In this manner, the economy benefits from banks by this accessible medium of exchange. Unlike stocks or bonds which are not as immediate, checks make it easier for the public to exercise their monetary transactions. Mutual funds, on the other hand, are institutions that use the proceeds of selling shares in buying portfolios of stocks and bonds where they derive their profits. The financial markets become more accessible and efficient because mutual funds allow people with small savings to become owners and creditors of numerous companies. Also, mutual funds allow its shareholders the benefit of risk diversification wherein a single fund can carry a roster of diverse portfolios in stocks and bonds. A broker can either be an individual or a corporate entity that earns a fee-based profit by performing buy and sell orders from investors and/ or clients. A good example of this is a brokerage firm that specializes in trading company stocks and securities. A broker’s main functions in the financial market would include basic execution of buying and selling shares, and financial advisory to clients regarding the management of their shares/ stocks. With the emergence of automation and popular online brokerage firms, traditional brokers have redefined their place in the industry. Most popular online brokerage firms such as Ameritrade and E*Trade offer lower fees to investors as opposed to traditional brokers. Financial and Investment Advisory are also automated online via innovative investment software tools. With information becoming more accessible because of the internet, traditional brokers are now transitioning into online brokers wherein online orders are still routed to and monitored by them; and with reduced client-interface for advisories.

Saturday, September 28, 2019

Paraphrasing my BSAD Capstone assignment (Strategy Implementation) Essay

Paraphrasing my BSAD Capstone assignment (Strategy Implementation) - Essay Example Changing the mission statement is very essential as it plays a very critical role in the creation of a business image. Another thing that it needs to do is working on its statement of values and maintaining it. In addition, it is essential for the corporation to prepare a list of strategies that would enhance its success. For it to be in a position of identifying the dangers that it could encounter, there needs to be an organizational structure together with a backup plan to save the situation in case the structure fails. The company should utilize a system of behavioral control and the employees should be given incentives and rewards to motivate them. Lastly, the company should address the ethical issues about it by planning for the existing legal issues. The name Stilsim means the enthusiasm that is felt in the industry. We have an extensive knowledge concerning the people and this shows how our company is recognized within the marked as well as the community. Our name, just like us, is very different. However, we have three offices located in central Ohio and our workforce there consists of several registered associates who offer flexible staffing yearly to our clientele’s accounts. We have vast experience in this field that goes for about 25 years, which gives use awareness regarding the present challenges, hence we supply you with staffing and service that can be able to sufficiently meet those challenges. Factors that the company values mostly include quality customer service, Integrity, honesty, personal excellence, mutual respect, openness and continual self improvement. We focus on our customer and cliental and our top priority ensuring that they are provided with the best of the services. We can boast of respecting our clients, employees and shareholders and love offering the best results. We also provide our employees and clients with out handbook and brochures which contains all the fundamental information about us so as to make them

Friday, September 27, 2019

Laboratory Scenarios Essay Example | Topics and Well Written Essays - 1250 words

Laboratory Scenarios - Essay Example According to the National Institute for Occupational safety and Health (2006), anyone entering or using the lab has to have detailed knowledge of the dangers and risks involved, and the risks presented by each of the reagents in the laboratory. This knowledge is important in helping the lab users to indentify potential risks and take the appropriate measures to prevent these risks from occurring. Below is a detailed analysis of three laboratory situations that clearly do not follow the safety procedures and that put lab users at great danger. In Scenario 2, there are deliberate safety procedures that were overlooked. The student was working in the lab late night. This means that the lab might not be well lit and since it was late night, the student might have been fatigued thus placing the bottle wrongly at the counter making it to shutter and spill the contents. The student had no safety clothing or lab protective gear, making the contents to spill on her clothing. The bottle was wrongly used for unintended purpose, since it originally contained chloroform and the label canceled out. In addition, the student was cleaning the floor with bare hands without the use of gloves, which is a great health risk. She was cut in the process, and decided to ignore the first aid criteria by only applying a simple bandage. Moreover, she found it not necessary to alert others and especially reporting to the lab supervisors concerning the case. One of the relevant authorities that are concerned with such cases is the Clinical and Laboratory Standards Institute that sets and writes guidelines and safety procedures to be followed in the laboratory, as would be suited to the case above (Merrick et al, 2006). The body designs and outlines documents that contain quality clinical practices that have to be followed in such chemistry labs. This lab seems not to comply with any of the lab practices and guidelines and as Hampton (2011)

Thursday, September 26, 2019

Eonomic Signals and Cost-Benefit Analysis in Macroeconomics Essay - 1

Eonomic Signals and Cost-Benefit Analysis in Macroeconomics - Essay Example By analyzing the economic data and associated signals, business analysts are able to forecast and predict the future options and take decisions accordingly. Different business and economic analysts look and monitor different economic indicators according to their own requirements and needs. TYPES OF ECONOMIC SIGNALS USED BY ANALYSTS: These signals which are derived from the economic data can be categorized as direct signals or indirect signals. The direct signals are easy to interpret and relate with the economic condition. Whereas, the indirect or casual signals are used by the economic and business analyst in order to predict the indirect impact of macroeconomic indicator on the economic condition in future. This difference of direct and indirect signals can be explained with the help of an example. The economic reports about the increased GDP and growth in different commodities results in directly influencing the value of the currency and the investors in turn can make profits fro m it. The indirect signals which can be derived from the predictions about the increased GDP and economic growth, as a result of which the traders of currency indulge in buying more currency in anticipation of future growth in the currency value and making profits. MACROECONOMIC ANALYSIS OF RETAIL SALES DATA AND INTERPRETATION OF DIRECT AND INDIRECT SIGNALS: The data of retail sales is generally used by different economic analysts in order to predict the amount of the personal or consumer consumption on different physical goods. Personal consumption is one of the four major components of the Gross Domestic Product (GDP) and directly reflects the economic condition of any country. Sometimes, economic analysts also use the data of retail sales in place of the consumer consumption in the calculation of the Gross Domestic Product (GDP), if actual data about consumer consumption is not available (Rogers, 4). In reference to the analysis of the business conditions, the increase in the ret ail sales clearly indicates the increase in the purchasing power of the consumers along with the increasing demand of the physical products. The retailers and manufacturers can take in turn predict that this increase in the retail sales will ultimately increase the price and in response to this the supply of the products increases in order to reap more benefits. All these factors will contribute in the process of economic growth and development. On the other hand if the retail sales decrease this signals the decrease in the purchasing power of consumers, along with decrease in the demand of the products. Which in turn will put downward pressure on the prices and will reduce the supply of these products. This as a whole will slow down the process of economic growth. Along with this the data about the retail sales can guide the business analysts about the changing demands and needs of the consumers. QUESTION # 2: HENRY HAZLITT CONCEPT OF COST BENEFIT ANALYSIS IN MACROECNOMICS: Henry H azlitt has proposed a whole new idea of economic policies and decisions. He, after second world war, presented in this book ‘Economics in One Lesson’ that the main concept behind all studies and theories of economies is that the analyst and policy makers should keep in mind the long term and larger impacts of any economy policy and not only the short term implications (Rockwell, 7).

Wednesday, September 25, 2019

English Composition 1 Essay Example | Topics and Well Written Essays - 250 words - 10

English Composition 1 - Essay Example Skateboarding is a very simple game and it must remain the same in the coming times. The people who are against it must understand that it is a sport which brings fun and excitement to the lives of the skateboarders and that too in an abundant capacity. Skateboarding is indeed an extreme sport and it can hurt the athlete immensely but the fun and frolic that comes as part and parcel with the game is something to write home about. Getting hurt makes one tougher in life. (Conniff, 1998) It also makes the individual to learn from his mistakes and avoid those very mistakes that he has already committed in the game. This is equally true for a person’s life where he encounters different mistakes, looks at the alternatives and goes about correcting the very same. Skateboarding teaches the athlete to do just that. It is a sad fact that the skateboarders are not recognized nor are they given the much needed respect that they deserve. They are looked upon with an eye of skepticism where everything is negative right from the onset. I, for one, am a firm believer of the fact that skateboarders deserve respect, acclaim and recognition since they stand shoulder to shoulder with other sportsmen and women and must be given enough funds and fees so that they could create new records and win laurels for their clubs, teams, countries and so

Tuesday, September 24, 2019

Robotic Technology Essay Example | Topics and Well Written Essays - 2000 words

Robotic Technology - Essay Example The industry currently transforms the next generation to a machine based generation. Most countries will be influenced economically, socially and politically. Studies reveal America has not embraced the technology as compared to other countries like Japan and the Europe world. The country has taken a step in involving stakeholders to research on robotic technological advances in the country. The stakeholders include companies, laboratories, and universities. The purposes of the stakeholders are; one, look at the impact of the technology in the future development of the country economically, socially and on security needs of the country. Two, identify challenges linked with the technologically scientifically and technologically. Three, look at possible steps to be used to address the challenges. The credibility of the research was based on twelve world class researchers from robotic academic institutions. This report discusses the impact of robotic technology to the US manufacturing i ndustry. The country’s economy has faced several challenges and need vibrant ways that will strengthen it. The country has embarked on research about the new form of technology that will enhance economic growth. Technological advances are expensive but with proper programming and strategy leads to economic growth of a country. Revitalization of the manufacturing industry will probably trigger growth in several sectors of the economy. The sectors that will rely on robotic technology are media, IP companies, service and medical industry, home appliances, capital equipment, automotive industry, logistics and automation. Exponential growth of these sectors will probably spur the country’s economic growth. Research and education play key role in robotic technology. Executive Summary Transformation of the country today and tomorrow stands as a crucial agenda. Technological advances in computer have made great strides to the country. Despite the great strides, the quest for b etter technology still exists. America has lagged being robotic technology in comparison to the Europe world. The Europe and Asian world has enjoyed advances in this form of technology. The quest for adoption of robotic technology has advanced and triggered investment and formation of research based institutions. Adoption of robotic technology has increased human augmentation solutions and applications in critical sectors in relation to affordability and value. Robotic technology is facilitated by the productive aging population. The technology offers investment opportunities potential for creation of new jobs, increased productivity and safety for workers. These offers trigger economic growth in an era that needs security for services. Several workshops held set goals in spans of five years for implementation of robotic applications. Required technological advances required for robotic technology were identified as well as their potential. Medical robots have made significant progr ess in medicine world in the last decade. Several advantages are associated with operations done by robots. Operations like prostate cancer operations minimize invasive surgery that include small incisions, less time spent in hospital thereby reducing risks related to infection. Fast recovery is encouraged with few side effects. Quality care in health is improved. Periods taken in surgical operations from work are significant to economic benefits. Currently, the numbers of times robots are used in medical procedure are minimal. With advances in robotic technology, use of robots in medical world is likely to increase. Imaging facilities and feedback

Monday, September 23, 2019

Policy Action Memorandum Term Paper Example | Topics and Well Written Essays - 1500 words

Policy Action Memorandum - Term Paper Example On the positive side could be considered a certain impact on the geopolitics of the region, namely the possibility of curbing or at least weakening Iran, insofar as the regime of the incumbent Syrian president, Bashar al-Assad, is a key Tehran’s ally4. There are several options available for dealing with the issue, as follows: arming the opposition forces with more sophisticated weapon systems, which might alter the balance on the ground; either surgical air strikes or a wider air campaign that would hamper the regime forces’ ground operations and weaken their capabilities, including aerial superiority over the rebels; the establishment of air exclusion zone; and a direct, full-scale ground involvement. Although the latter option is considered the most costly one, it is the only way the US could guarantee – to a certain degree however – its long-term interests in the region, including such related to the national security. Executive Summary The ongoing con flict between Bashar al-Assad’s regime and the opposition forces in Syria poses serious threats to both the US national security and long-term interests in the Middle East. The civil war is steadily destabilizing the region as whole and Syria’s neighbors in particular, most notably Lebanon and Israel. Apart from the humanitarian crisis, with over one million Syrian citizens having fled to Jordan, Iraq, Lebanon and Turkey and over two other million people internally displaced because of the fighting5, the conflict could easily get internationalized mainly due to the various outside actors involved6. Syria’s vast chemical weapons arsenal is among the biggest threats to US national security mainly due to the real probability of being taken by Islamic extremist organizations after the fall of the regime. On the other hand, the likely use of chemical weapons – especially against alleged â€Å"external aggression†7 – might cause the things to get completely out of hand, including retaliation strikes from the parties concerned, further escalation of the conflict, etc.; hence a rapid and grave deterioration of the already volatile situation in the region of the Middle East. This PAM recommends a US-led full-scale intervention in the Syrian conflict, including ground, naval and aerial forces, preferably in a wide coalition with key Western allies and various partners from the Arab world, such as the coalition that fought against Saddam Hussein during the First Gulf War. The direct ground involvement is the only option that would guarantee that the Syrian chemical arsenal will not be seized by terrorist organizations and/or irresponsible governments, or rogue states, which would later use it for their own purposes, most likely against key American allies or the United States themselves. The Policy Issue and it’s Relation to US National Security The ongoing Syrian civil war represents a significant issue in regard to the U S national security and long-term interests in the region of the Middle East. First of all, the conflict is a major destabilizing factor in a volatile region that is by definition prone to unrest and violence. Apart from Iran’s geopolitical ambitions, this particularly rings true as far as Lebanon and Israel are concerned. Hezbollah has already got involved in the conflict, whether indirectly – via funding, arming and training the local Popular Committee militias,

Sunday, September 22, 2019

The issues facing duplicity in human nature in The Strange Case of Dr Essay

The issues facing duplicity in human nature in The Strange Case of Dr. Jekyll and Mr. Hyde by Robert Louis Stevenson - Essay Example â€Å"Dr Jekyll and Mr. Hyde perfectly captured some readers’ fears that their carefully built society was hypocritical.†4 Although the idea of man’s double nature—the good and the bad—has been a topic of countless discussions and debates for centuries, Stevenson presented it most vividly in a way that only fiction can.5 It can be said that it is even an allegory6 of a philosophical sense, illustrating what Stevenson might deem as the true nature of man. Some perceive it to be the epitome of Sigmund Freud’s concept of the subconscious—with Mr. Hyde being Dr. Jekyll’s â€Å"subconscious desire to be freed from his society’s restrictions.†7 While others view the novel as one of the first illustrations of the psychological illness that is termed split personality disorder, with the term alter ego (Mr, Hyde) popularized by Freud. Whatever the case, it cannot be denied that The Strange Case of Dr. Jekyll and Mr. Hyde sh ows, both then and now, the unquestionable duplicity of the nature of man manifested in the two sides of good and evil. For â€Å"the opposites embodied in the Jekyll/Hyde binary conform to late-Victorian ideas about the brain as a double organ,8† as it is still considered up to now. In this dark novel, Robert Louis Stevenson reveals the issues dealing with the duplicity of human nature. Through his mastery of syntax, constant change in point of view throughout the story, complex use of symbolism, supernatural writing style, and his usage of fear in the unknown, Stevenson shows what can happen if you let the evil inside take over. His example of this is the life of Dr. Henry Jekyll and his alter ego, Mr. Edward Hyde. This paper will discuss the aforementioned elements of the novel as it discusses the characteristic duplicity found in human nature. To further illustrate how Stevenson depicted the issues that come with the inherent characteristic of man’s duplicity, it is best to give a brief synopsis

Saturday, September 21, 2019

Italian or German Essay Example for Free

Italian or German Essay In this paper, I was interested in exploring whether or not bilingual children were more likely to have delayed language development compared to their monolingual peers. I looked at several resources that each focused on a different aspect of language development. All the information came from noted experts in the field of child development, although the types of resources differed. I began with an article that sorted through much of the existing data on bilingualism in order to create a foundation for the subject. Then I looked at additional readings to see whether or not they supported the information from that source. The first article, by Ellen Bialystok, is itself a review of existing literature and studies regarding the acquisition of literacy among children who have been bilingual since birth. She writes that most research focuses on literacy development for learners in their second language, second language literacy in monolinguistics or the cognitive and linguistic aspects of achieving fluency in a second language. Studies that look at how true bilingual learners acquire necessary skills for reading and writing are few, but among those that she reviews, important discoveries may provide insight into how those children can achieve literacy. Children need three language skills before they can learn to read and write. They must have an oral competency with the literary forms of a language, an understanding of the symbolic meanings of print, and the metalinguistic awareness of phonology. This information comes from studies of monolinguistic children, but each of these skills is influenced by bilingualism. The question to be answered is, Does bilingualism have a positive, negative or neutral effect on the acquisition of literacy? All of the above, as it turns out. It depends upon the skill. According to Bialystok, several studies have shown that vocabulary size is smaller in bilingual learners, although these studies are limited and may have been influenced by the verbal abilities of the individual subjects. Regardless, weaker oral language skills contribute to difficulties in literacy acquisition. Another building block for reading and writing is the understanding that the printed symbols encode meaning and represent the spoken language. This skill appears to be transferable across languages, giving bilingual learners an advantage in its mastery. Individual languages have different specifics, but the generalities extend across all languages. Bialystok reviewed studies that examined children’s understanding of the invariance of print, or that a particular arrangement of notations always corresponds to the same spoken word, and their understanding of the rules that govern the correlation of the printed forms to the meaning of the text. Bilingual learners were much more aware of both of these concepts, giving them an advantage over their monolinguistic peers. The last prerequisite for literacy is phonological awareness. Bialystok found that studies of this metalinguistic concept revealed differing levels of competence depending on the language. Some languages, such as Italian or German, are more transparent and have more consistent spelling patterns. English is more difficult because of the many irregularities and exceptions to the rules in the language. Due to the many differences, it appears that bilingual learners develop phonological awareness separately, meaning that the knowledge of two languages has a neutral impact on this skill. A very limited number of studies indicated monolinguistic and bilingual learners each had some advantages in different phonological tasks but that most of these differences equaled out by the first grade. The following three articles look at one or more aspects that Bialystok addressed. Each has a slightly different focus and purpose, but all try to answer the basic question of whether bilingualism is an advantage or disadvantage when it comes to the language development of young children. The article, â€Å"Bilingual Acquisition,† on the Earlychildhood News website, is aimed at parents and educators of young children and focuses on some of the most common concerns about the effects of bilingualism. The author, Fred Genesee, is an expert in his field and therefore is a reliable source. The general tone and the presentation of the article seem to be geared towards parents and educators who fear that children will be delayed in developing language skills if they are exposed to more than one language in their preschool years. Genesee reassures readers that bilingual children do not show a significant difference in their language development other than the differences that occur among all children. His findings are consistent with Bialystok’s regarding vocabulary size. Although bilingual children may have smaller vocabularies in each of their languages compared to monolingual speakers, the total number of words from both languages tends to give bilingual children larger vocabularies. Genesee points out that the differences in vocabulary size are usually not very great once children begin school. This article does not spend much time discussing how to ensure that children achieve literacy in their second language without sacrificing ability in their first. This makes sense because most readers on this website are more likely to be interested in making sure that their non-native English speakers will be able to catch up to their peers. Genesee comments a few times that it is important for children to continue to hear both languages in order to remain bilingual. He encourages parents to use the language that they know best and to provide opportunities for children to hear their first language in the community and their homes. The next article is actually a chapter entitled â€Å"Young Bilingual Children and Early Literacy Development† from the book, Handbook of Early Literacy Research. This reading examines the development of literacy among bilingual children and takes into account how the amount of exposure to each language affects that development. In this study, the authors, Patton O. Tabors and Catherine E. Snow, looked at the effects of bilingualism during three time periods: birth to age 3, ages 3-5, and then ages 5-8. Children at each of these three periods were at different stages of language development and presumably had different language influences. First, the study looked at the various combinations of language exposures for infants and toddlers. The children were grouped into four categories. In the first, both the family at home and the members of the surrounding community used the home language, in this case, Spanish. English input was limited. The second group heard their native language at home, but the outside community spoke English. This is often the case among families who have come from countries that do not have large numbers of immigrants to the U. S. In the third and fourth groups, the children heard both their first language and English at home, but only the third group heard both in the community These different levels of exposure mean differing levels of bilingualism, and that has an impact on later literacy development. Beginning at about age 3, children could be placed into three types of classrooms: a first-language only, a bilingual or an English-language classroom. The children who come from the first or second exposure groups mentioned above did very well in both the first-language and bilingual classrooms. They received support from home in the language of instruction, which strengthened their development. Children who spoke both their first language and English at home also did well in bilingual classrooms, and they did better in English-only classrooms than their peers who spoke no English at home. The danger for the last group, which heard their first language at home only and not in the community was that they began to lose proficiency in their first language. Bilingual classrooms are particularly beneficial for them. What to do during these early school years, first and second grades, is a subject of much debate. Proponents of single language instruction believe that it is best for children to learn in the second language. However, underdeveloped oral command of the language leads to significant problems when trying to learn to read. Some evidence shows that these children fail to grasp the meaning of what they’ve read. In addition, these children rarely, if ever, become literate in their native language, which contributes to a loss of their heritage and culture. The best way for bilingual children to achieve literacy, according to these authors, is for them to become proficient in their first language and then transfer those skills to the second. This idea is supported by Bialystok. Tabors and Snow do mention some concerns with this approach, such as when should children begin the transition to the second language and should they continue to develop literacy skills in their first language after that transition. In the final article, the researchers, Stephanie M. Carlson and Andrew N. Meltzoff, designed a study to determine if bilingual children have any other advantages over their monolingual peers. Particularly, the study examined the effects bilingualism has on young children’s executive functioning. Their conclusions found that bilingual children are much more adept at conceptual inhibition, or in ignoring previously relevant information. Bilingual children do not switch back and forth between languages. Instead, they keep the relevant language in focus and ignore input from the irrelevant language. In doing this, these children have a lot of practice in inhibitory control, and that ability is transferable to other behaviors. For their study, Carlson and Meltzoff looked at three different groups of children: native bilinguals in Spanish and English, English monolinguals, and English monolinguals who were in a language-immersion kindergarten. The researchers controlled for numerous variables, including a family’s socio-economic status and the children’s verbal ability. The children participated in several experiments designed to test executive function when engaged in delay tasks or conflict tasks. In one of the tests of inhibition, children played a sorting game. They were given cards with either a rabbit or a boat that were either red or blue. First, children were asked to sort by shape, and then by color. To make the task more difficult, the examiner then switched to a set of cards that had gold stars on some of them. Children were instructed to sort by color if the card had a gold star, and by shape if it did not. Another test was â€Å"Simon Says,† using the typical rules. In order to test delay, children were given two bowls with treats in them. One bowl had more than the other. Children were given a bell and told that if they waited while the examiner left the room, they could have the larger snack. However, if they didn’t want to wait, they could ring the bell for the examiner to come back, but then they could only have the smaller snack. Several other studies also tested delay ability. As hypothesized, bilingual children outperformed monolingual children in conflict tasks, or tasks in which they had to follow new directions and ignore the previous ones. The children in the language-immersion program did not do any better than their monolingual peers. But what the researchers found most significant was that in looking at raw scores for all groups, the bilingual children did not show a difference in executive function. As the authors note, this means that the bilingual children were doing â€Å"more with less,† since they were at a disadvantage in several important factors, including SES and parents’ education levels and lack of home-based reading. This suggests that bilingual children are compensating for their disadvantages through increased cognitive functioning resulting from their abilities to process two languages. Bilingualism is a complex idea with multiple facets. Debate about English-only instruction will continue, especially in light of the ongoing debate about immigration. Bilingual children may face many difficulties, but in some aspects, they have the advantage. Works Cited Bialystok, E. (2007). Acquisition of Literacy in Bilingual Children: A Framework for Research. Language Learning, 57: Suppl. 1, 45-77 Carlson, S. M. , Meltzoff, A. N. (2008). â€Å"Bilingual Experience and Executive Functioning in Young Children. † Developmental Science. Volume 11, Issue 2, pp. 282-298. Genesee, F. (2008). Bilingual Acquisition. Retrieved on April 23,2010, from http://www. earlychildhoodnews. com/earlychildhood/article_view. aspx? ArticleID=38 Tabors, P. Snow C. (2003). Young bilingual children and early literacy development. In S. B. Neuman D. K. Dickinson (Eds. ), Handbook of early literacy research (pp. 159-178). New York: The Guilford Press. Retrieved from: http://books. google. com/books? hl=enlr=id=iDguatyRT_ACoi=fndpg=PA159dq=bilingual+children+have+delayed+language+developmentots=N5ysWJOWTnsig=cnsR9nhU5FVlfgKuFU3B_Bh6bt8#v=onepageq=bilingual%20children%20have%20delayed%20language%20developmentf=false Appendix 1. The Genesee and Tabors Snow articles came from using the Google search engine. The Bialystok and Carlson Meltzoff articles came from using EBSCO. Access to these databases was supplied by the University of California. 2. Search terms used were Bilingual-Children-Language-Development, entered all together for Google and for EBSCO, entered as Bilingual, Children, and Language Development as search terms for subject keyword and using the boolean â€Å"and†. 3. The Genesee article was on a website for early childhood education. It was specific to that website and was just one of the articles presented. It was a primary source. The Bialystok was a literature review of numerous studies, making it a secondary source. Both the Carlson Meltzoff and Tabors Snow articles were primary sources. They were reports of research studies that each set of authors conducted themselves.

Friday, September 20, 2019

The History Of Capital Punishment Criminology Essay

The History Of Capital Punishment Criminology Essay Throughout the ages capital punishment has been an extremely controversial issue. Some may stress it is needed in order to serve as an example to other criminals, as well as to obtain retribution on behalf of the victims involved (Henderson). It may be suggested that it helps to bring peace and order into societies; however, does one really understand the moral injustice that theyre supporting? Capital punishment, also known as the death penalty, is defined as the legally authorized killing of a person as punishment for a crime (Mifflin). Though there are some citizens throughout the world that support this punishment, others believe that punishment should not have to come down to such drastic and cruel measures. The authorized killing of a person is morally wrong and using execution as a form of punishment leaves no room for errors (Hennigfeld). Capital punishment does not diminish the murder or crime rate and encourages both the taking of a human beings life, as well as juvenile cr ime (Stewart). In many cases, capital punishment is extremely discriminatory (Szumski). There is a question stuck in ones mind; should capital punishment be reinstated? When taking all factors into consideration, the answer is inevitably no. When people hear that a murderer is being executed for their actions, many will applaud and say good riddance, they got what they deserved! An eye for an eye (Berns). This is ruthless and morally wrong. The death penalty is a cruel and inhumane form of punishment. It is execution, and is very similar to torture; involving the deliberate assault of a prisoner (Henningfeld). In many aspects of life people are taught that it is not right to kill, even if the person is a murderer. Many religions share very strong and opened opinions on this topic; almost all are against the death penalty (Weksesser). The Catholic Church is one of the major religions that oppose the intentional killing of a person, no matter who it may be. The church aims to abolish the death penalty, stating: Abolition sends a message that we can break the cycle of violence that we need not take a life for a life (Overberg). The Catholic Church, along with many other religions, is pro-life. Other religions like Buddhism strongly emphasize on non-violence and compassion for all life. Buddhists believe in abstaining from killing any living creature, no matter what they have done or how bad the crime is (Wang). Religion is not the only area that stresses the wrongfulness of the death penalty-even the Charter of Rights and Freedoms opposes it. The Eighth amendment states Excessive bails shall not be requiredà ¢Ã¢â€š ¬Ã‚ ¦ nor cruel and unusual punishments inflicted (Duhaime) this shows how the killing of any human being is not to be tolerated. Criminals should be able to change their ways and take responsibility for their actions; but, if they are killed the law is showing that when you make a mistake it defines who you are and that you cannot be forgiven (Williams). Capital punishment leads citizens to be so focused on serving justice to criminals for what they deserve that they forget to realize how appalling and immoral it is to take a humans life. When a person is convicted of a crime, they are punished on the basis that there is no doubt that this is the person who committed the unlawful act. The accused can only be convicted if the court is one hundred percent certain that this person has committed the crime they are accused of, or so it should be that way (Baird). The problem that arises when the death penalty is legal is that there is utterly no room for errors. If the jury happened to make the wrong decision in the verdict and sentenced an innocent person to death, how is that any better than a cold blooded murder? There have been many cases where the person has been wrongfully convicted to death and evidence arises later proving the state of that persons innocence (Dee). In the case of Carlos DeLuna, an innocent man was executed merely because of circumstantial evidence and what one witness thought they saw. In 1983 he was convicted for fatally stabbing and killing a woman in a parking lot and without much direct evidenc e he was put to death in 1989 (Dee). Later, reporters discovered that DeLuna was in fact innocent and a man named Carlos Hernandez was the real criminal. This was the fourth documented investigation of the execution of an innocent man in Texas (Dee). This notion is also evident in the case of Steven Truscott; a 14 year old boy was sentenced to death after a very short and circumstantial case. Police dismissed all evidence that made Steven Truscott innocent and focused all their power on how to make him look guilty. The death penalty was abolished and Steven was not executed, but he spent more than half of his life in jail, only to have his case reopened and show that he was completely innocent (Hendley). If the death penalty hadnt been abolished in time a poor innocent boy would have been murdered for the errors of the courts judgement. Capital punishment has way too many errors to be an effective way of insuring that the victims get vengeance on their criminals. Illinois has halted executions after finding that 52 percent of their death row inmates were innocent (Spagnoli). This is more than half of the inmates that are sentenced to death! All these factors show the extreme errors that the courts have made pertaining to capital punishment cases, causing innocent people to be brutally murdered for crimes they did not commit. A countless number of people believe that capital punishment is an efficient way to frighten criminals and lower crime rates throughout the world. One might think that it was that simple, but in reality that is not how it works. Statistics prove that having capital punishment does not deter crime at all; in actuality studies have shown that it seems to increase crime rate (Espejo). Studies in the United States of America show that states which support the death penalty have a higher crime rate than in states without it. In 2008 the crime rate in states with the death penalty was 5.72 (per 100,000 people) and states without the death penalty was 4.05(per 100,000 people); a 41 percent difference (Dieter). In 2009 a study was conducted and showed that states with the death penalty had a crime rate of 5.26 (per 100,000 people), whereas the states without the death penalty had a crime rate of 3.90 (per 100,000 people); a 35 percent difference (Dieter). Could this be a two year fluke? Not likely, since statistics show that in 2010 the crime rates for states with the death penalty was 5.00 and without the death penalty were 4.01; a 25 percent difference (Dieter). The crime rate in states without capital punishment is significantly lower than those states that have capital punishment. In Canada capital punishment is illegal, whereas in the United States of America some states still, to this day, allow it (Henderson). Studies show that the United States of Americas crime rate was four times higher than Canadas, causing them to rank first in crime rates throughout the world (Spagnoli). These statistics show that regardless of the death penalty, criminals are not learning their lesson with such violent tortures. Therefore, the death penalty is neither a sufficient nor effective deterrent. Laws are put into place to encourage youths not to commit crimes and show citizens that committing a crime is wrong. Capital punishment is therefore counterproductive in promoting the taking of peoples lives and encouraging juvenile violence. Since capital punishment is not preventing crime, there is now the issue that it is encouraging taking a human beings life (Winters). Everyone is taught not to kill, and that taking a persons life is an immoral offence to commit, therefore how can people turn around and say that murdering a prisoner is right? Murder is wrong, no matter the race, gender, background, or character of the offender. Committing the act of murder is still wrong and capital punishment promotes, even encourages, that taking someones life is fine on certain grounds (Williams). Capital punishment promotes vengeance, even if the family of the victims, or anyone who is heavily connected to the case, is not directly killing the accused. The law is showing that people can obta in vengeance legally by watching a person being executed (Hennigfeld). Many argue that there is a deterrent effect and so it does not encourage crime but stops it: this is inevitably false. Even if there is a deterrent effect, it is overshadowed by the destructive effects of brutalization (Winters); No matter if there is the slimmest percent that crime is being prevented, it is being made up for, by brutally killing a human being for a mistake that they have made (Williams). People tend to hide behind the deterrence theory and use it as an excuse to the real reasons behind why they want a person to be put to death. Not justice and retribution, but rage and revenge (Baird). Not only does capital punishment encourage taking a persons life, but it promotes juvenile violence. Younger siblings look up to their older siblings, parents, the media, or even stories told around them and to live by the example that is set for them (Wekesser). By allowing capital punishment to be legal, the law is setting an example to youths that killing and any act of violence is acceptable in this day and age. A study done compared the United States of Americas juvenile crime rates to Canadas; the United States being a country that allows the death penalty in some states and Canada being a country that does not allow it at all (Spagnoli). In the United States the juvenile crime rate was 2.0 (per 100,000 people) in 2008, and in Canada the crime rate was only 1.0 (per 100,000 people) (Spagnoli). Comparing states with the death penalty and states without it, studies show that in 2008 states without the death penalty, had only minimal youth crimes while states with the death penalty, had a higher number of youth crimes (Spagnoli). For example, in Minnesota there were only 208 youth crimes, whereas Illinois has 1066 youth crimes (Spagnoli). Though some citizens believe that capital punishment deters crime and shows youths what not to do, in actuality it encourages the taking of a persons li fe and causes youths to follow the example given to them by the country they live in. The law states that every single human being- no matter what race, gender, or economic status- is entitled to a fair trial. All courts have to abide by this rule, but many tend to forget this important point (Allen). Discrimination is an issue that arises when discussing capital punishment. The death penalty is economically discriminatory, since in order to have a fair trail there has to be some form of equality among the plaintiff and the defendant (Allen). The upper class has a huge advantage because most courts see the upper class citizens as the better, more honorable people in society, due to their income. The lower class may not have the money to afford a lawyer and may be given a lawyer (called a pro bono lawyer) from the court. In most of cases these lawyers are not as experienced or as dedicated to the case as the prosecutors are (Szumski). The economic bias that is created can cause unfair judgement and wrongful conviction that can potentially end the life of an innocent pe rson. The death penalty does not only discriminate against a persons economic status; but it also does not work in favour of a persons race. In the United States of America there is a serve problem when it comes to capital punishment and racial discrimination (Demuth). African American citizens make up only 12 or 13% of the population, but they represent 34% of executions (Spagnoli). Is there a stigma towards the African American citizens? The evidence shows that yes, there is. The death penalty does not only look at the race of the accused but also the race of the victims. When a Caucasian person is murdered the probability of a person getting the death penalty is a lot greater (Spagnoli). A study was done in 2009 that showed 77% of executions were done on criminals that were accused of having a Caucasian victim (Spagnoli). When a person commits a crime it should not matter what race they are, or what race their victims are; they should be treated fairly and justly in a court of la w. Therefore, capital punishment fails to demonstrate the equality that is needed to protect peoples lives. Capital punishment has a number of discriminatory flaws including discrimination against the gender of the accused. It has been proven in a study, done by Elizabeth Rapaport, that many women who are convicted of murder do not get sentenced to be executed (Rapaport). One percent of men convicted of murder are sentenced to death, while only one tenth of one percent of women convicted of murders are sentenced to death (Rapaport). Her research clearly shows the endless discrimination that the courts have towards the male gender and that the death penalty is strongly biased. A study shows that there has only been one woman out of 143 people who were executed since 1977 in the United States of America (Dicks). Even though the legal system says that everyone is entitled to a fair, just trial, capital punishment brings out discrimination in many forms and tragically sentences innocent people to execution. In conclusion, the debate about capital punishment has been going on for years. It is a very controversial and talked about issue, but in truth, the death penalty is wrong and should not be reinstated. Capital punishment is morally wrong; it goes against almost every religion and their teachings. It also denies people very important freedoms that they have a right to. One of the most pressing issues with capital punishment is that there is no room for error; many innocent people have had their lives taken away because of flaws within the legal system. It does not diminish the crime rate, and in most cases the states that still allow capital punishment have a higher crime rate than those without it. Capital punishment does not only promote taking someones life but it encourages youths to commit violent acts. It shows how hypocritical citizens can be by telling people that the act of killing is morally wrong yet then doing the same act to a human who has committed a crime. Not to menti on, juvenile crime rates are a lot higher in states with the death penalty than states without it. The death penalty also discriminates based on gender, race, and economical class; allowing certain races, genders and classes to have more privileges than others. Many people may feel that capital punishment is the right thing to do and that it helps keep order in our world. However, in reality capital punishment makes murderers of us all.

Thursday, September 19, 2019

This is Not the Perfect College Admissions Essay :: College Admissions Essays

This is Not the Perfect College Admissions Essay Choose the day, Choose the sign of the day. The day’s divinity, the first thing I see, a crazy world that beckons me. As I stand forth today in my infancy, I wish to seek— seek the knowledge which I must find for I must be in control of thee. The power to control oneself and the ones beside me, For if I not have the ultimate control rival that of Satan. This is the apocalypse. Apocalypse not of the world but that of my world, my inner feelings my dreams, my ambitions. Ambition, Greed, Envy, Anger and Arrogance are the most powerful emotions known to man. They were prevalent with the stone age man and they will remain as long as man continues to exist. They are experienced by the psychopath to the holy Pope himself. I have unfortunately or fortunately, encountered all. Ambition . . . will I stop at nothing to achieve my ambition, my goals, my sole purpose of existence? Ethics and morals might stand between me and ambition but what am I to do? When you’re three you’re taught to distinguish right from wrong, but who are they to make that distinction? You’re tutored morals yet you’re not told of stronger emotions that question the bounds of morality. Does greed have anything to do with ambition? Greed is ambition, ambition is greed. Ambition helps to create a sense of worth, the want to do better than the one beside you. The need, the greed to do better than the one before you. Greed is good, greed is right , greed works. Greed for knowledge, life, power, money, helps to create a balance between the strong and the weak. A wise man once said: "Envy is the greatest sin." This wise man was a fool. He failed to acknowledge that it is envy which helps a man pursue greater goals. It is due to the fact that another man, a mere mortal as compared to the strong man has surpassed him and he rightfully wants his place back. Progress in society is a result of man’s greed, ambition and the most inconspicuous of them all, envy. Anger is an emotion when controlled helps to get in touch with inner feelings. It channels the mind, clears ambiguous thoughts and helps focus on a clear objective.

Wednesday, September 18, 2019

Anne Sullivan Macy :: essays research papers

Teacher Anne Sullivan Macy By: Helen Keller Year of Publication: 1955 Anne Sullivan Macy Anne Sullivan Macy was born on April 4, 1866 in Feeding Hills, Massachusetts. Her parents were poor Irish immigrants. Anne had trouble with her eyes her whole life. When Anne was eight years old her mother died and two years later her father left. Anne’s younger sister went to live with relatives and Anne and her younger brother Jimmie were sent to the State Infirmary, the almshouse at Tewksbury. They were sent there because Anne was too blind to be useful and Jimmie was lame with a tubercular hip. Jimmie died a few months later and Anne stayed there for four years. In October of 1880, when Anne was 14, she went to Perkins Institution and learned to read Braille. While she was there she had an operation on her eyes which allowed her to read normally for a limited amount of time. She stayed at Perkins for six years and graduated valedictorian of her class. Anne Sullivan Macy arrived in Tuscumbia, Alabama to be Helen Keller’s teacher on March 3, 1887. She began spelling into Helen’s hand and after about a month Helen â€Å"made contact with reality†. When Helen was older she went to Radcliffe College. Anne â€Å"read† her all the texts that were not available in Braille. This eventually caused Anne to completely lose her sight. A year after Helen graduated from Radcliffe, Anne married John Macy, but their marriage soon broke up because Anne was too dedicated to Helen. Anne’s vision began to deteriorate to the point that she could no longer be sure where she was going in unfamiliar places. She wasn’t well and they didn’t have a lot of money. In early 1913 they went on the lecture circuit. It didn’t take very long before Anne became very sick and they realized that they couldn’t do it alone. Helen decided to accept a pension that she had previously declined from Andrew Carnegie. When Anne was well they went on the road again, but this time Helen’s mother was with them. After this tour they met Miss Polly Thomson who became their secretary. They continued to lecture until 1916 when Helen became so obsessed by the war in Europe that the only thing she could talk about was peace. Soon after, Anne got very ill with a cough that was misdiagnosed as Tuberculosis. She was rushed off to Lake Placid and then went to Puerto Rico where she got the rest that she needed.

Tuesday, September 17, 2019

Gray and Goldsmith’s Attitudes towards Loss

Death as man’s fate can never be controlled by anyone or by anything. This is what one can infer from the poems of Thomas Gray and Oliver Goldsmith. These poems deal about death or loss of life and all other losses humans experience in life. Consequently, this paper is a comparative analysis of the attitudes of Gray and Goldsmith towards death or loss in their poems. This includes a discussion of the similarities and differences of the poet’s attitude which can be deduced from the speaker’s involvement or attachment, the speaker’s feelings towards the subject and the tone of the poems â€Å"Elegy Written in a Country Churchyard† by Thomas Gray and â€Å"The Deserted Village† by Oliver Goldsmith. Obviously, both poets have similar attitudes and feelings about the subject. However, Gray communicates stronger attitudes about loss or death in his poem than what Goldsmith articulates about the subject in his poem. To begin with, Gray’s â€Å"Elegy Written in a Country Churchyard† is a poem composed of 128 lines grouped into stanzas and it focuses on the dead people buried in a country churchyard. While, Goldsmith’s â€Å"The Deserted Village† is a poem consisting of 430 lines grouped into irregular number of lines per thought and it talks of the wretchedness of a village named Auburn. These poems have the following similarities. Initially, both poets are emotionally attached to the topic on hand. Gray feels the loss as he contemplates of his own death someday. Meanwhile, Goldsmith has personally experienced the loss of happy memories in Auburn especially in the first 34 lines of the poem. Next, the poems â€Å"Elegy Written in a Country Churchyard† and â€Å"The Deserted Village† attest that death prevents humans from doing what they were used to doing and from experiencing the pleasures they used to experience. In lines 17 to 28 of Gray’s poem, the speaker cites that the dead can no longer wake up every morning with the sounds of the â€Å"swallow†, the â€Å"cock† and the horn, be with their wife and children or go to work in the farm fields. Likewise, lines 243 to 250 of Goldsmith’s poem say that those who die can no longer enjoy the different pleasures in life. Another is that according to the two poems, death or loss will come to any person regardless of his/ her social position, prestige and economic status. No one is exempted from experiencing death. It comes to the poor as well as to the rich. It comes to the kind and to the unkind. This is exemplified in the lines 33 to 40 of Gray’s poem which point that even the rich will die and their riches will not prevent death or loss from happening. It is also cited in the lines 107 and 109 of Goldsmith’s poem that man will â€Å"meet his latter end† and will go down â€Å"to the grave†. The lives of the â€Å"village preacher† in lines 140 to 187 and the â€Å"village master† in lines 196 to 240 both exemplify that death comes to anyone in the poem â€Å"The Deserted Village†. Subsequently, both poems show that a human being goes to another place after his or her life on earth is over. Gray mentions the word â€Å"heaven† found in line 124 and â€Å"God† in the last line of the poem. Goldsmith also speaks of â€Å"heaven† in lines 112 and 188. This means that both poets believe that when death comes to a person, he or she has the hope of going to heaven to be with God who is the creator of man and of the universe. Lastly, the tone of Gray and Goldsmith’s poems is similarly mournful, hopeful and wishful. Since the poems talk about death or loss, they are obviously in a state of mourning for the dead. Gray evokes an atmosphere of mourning in the first twelve lines of the poem with the images of â€Å"the parting day† (line 1), the farmer going home, and the coming of darkness. Gray also uses the wailing of the â€Å"owl† in line 10 to conjure this tone. Meanwhile, Goldsmith uses the words â€Å"saddens† in line 38, â€Å"cries† in line 46, â€Å"griefs† in line 84 among others to present this tone. But in spite of the tone of mourning in these poems, they also express the hopes and wishes of the poets that after death or loss, there will be a new life or a new beginning as alluded to in words â€Å"heaven† in lines 122 and 124 and the word â€Å"Father† and â€Å"God† in line128 of Gray’s poem. In addition, Goldsmith mentions the word â€Å"heaven† in line 188 and the phrase â€Å"worlds beyond the grave in line 374 of his poem. The differences in the attitudes and feelings of Gray and Goldsmith towards loss in their poems are the following: first, Gray seems to feel uninvolved in the poem because he uses the pronouns â€Å"them† and â€Å"their† most of the time. Perhaps, this is because he does not personally know the people who died and who were laid in the country churchyard. In fact, he was just making guesses or contemplating of possibilities of what these could have become and what could have happened to them if they did not die yet. In contrast, Goldsmith feels very involved because he uses the personal pronouns â€Å"my† and â€Å"I† for many times in the poem. This could mean that what he has written in the poem is based on his very own experiences. Second, Gray demonstrates that death prevents anyone from achieving their ambitions or from discovering their hidden potentials. This can be interpreted from lines 45 to 64 where Gray elaborates the things that those who have died could have done in their lives if they were still alive. The speaker thinks of someone who could be a â€Å"Penury† in line 51, a â€Å"Hampden† in line 57, a â€Å"Milton† in line 59, and a â€Å"Cromwell† in line 60. On the contrary, Goldsmith does not mention the what- could-have-been in his poem because he primarily talks about the loss of the simple pleasures as part of village life. Third, Gray encourages that man should be prepared to die because it is a part of the natural course of life. Just as a day in a person’s life comes to an end as literally stated in lines 1 to 4 of the poem so does a person’s life on earth ends. If there is a beginning, there is also an ending. Nothing is ever permanent in this world. Everything is temporary. What has been commonly quoted by many: â€Å"The only thing that does not change is change itself† and â€Å"There is an end to everything† are indeed true. Gray tells us in the poem that humans need to prepare for that time when they will die because it is inevitable. He even makes himself an example of a person who gets ready for his death. As a matter of fact, he includes in lines 116 to 128 of the poem an epitaph that is to be written in his own grave. However, Goldsmith implies fear or suggests dread for the day of one’s death in lines 363 to 370 of his poem. The words or phrases â€Å"sorrows gloom’d†, â€Å"look’d their last†, â€Å"wish’d in vain†, and â€Å"shudd’ring† gives an idea that the poet is not yet prepared to die if he feels that death is something that comes to everyone. Fourth, Gray presents that nothing can bring back a dead person to life. He asks in the form of rhetorical questions in lines 41 to 44 if the things he has mentioned are able to bring back a dead person’s â€Å"breath†. Since these are rhetorical questions, obviously the answer to all these is a resounding â€Å"NO†. There is really nothing that can be done or no one can do anything to make life come back to someone who is already dead. A realization can then be made based on this. A person has to do what he can do and what he wants to do while he/ she is still alive because when he dies he can never do them or he cannot return to life to do them. Goldsmith, on the other hand, does not talk about these things. Fifth, Gray feels that those who are still alive should honor and remember those who have died. This is implicitly expressed in lines 77 to 112. The words â€Å"memorial† (line 78), â€Å"tribute† (line 80), â€Å"forgetfulness† (line 85), â€Å"unhonour’d† (line 93), and â€Å"tale relate† (line 94) are some of the hints that tell us that the poet wants to be honored. He also wishes in these lines that a friend or a â€Å"kindred spirit† (line 96) would remember him when he has died. Contrariwise, Goldsmith does not refer to these hopes in his poem. Instead he has other things revealed. Sixth, Goldsmith in â€Å"The Deserted Village† presents that loss is caused by a person’s discontentment or his/ her desire for luxury and wealth. The loss specifically referred here is the loss of the â€Å"ignorance of wealth† which leads to the loss of the simple pleasures in life that is analogous to the loss of one’s own life. It can be surmised from the poem that when humans lose their desire for the simple sources of joy and happiness and instead desire for luxury and wealth, then destruction or loss of life results just like what happened to Auburn. The speaker implicitly condemns â€Å"luxury† which caused the desolation of Auburn in lines 51 to 56 and lines 385 to 390. The discontentment of the village people for the simple pleasures referred to in the words â€Å"sports† (line 18), â€Å"pastime† (line 19), â€Å"sleights of art and feats of strength† (line 22), â€Å"dancing† (line 25), and â€Å"laughter† (line 28) led the people to â€Å"leave the land† (line 50). This idea is indeed true but Gray was not able to mention it in his poem. Seventh, according to Goldsmith, loss causes pain or is very painful on the part of the person who has lost someone or something very dear to him/ her. The words â€Å"pain† in line 82, â€Å"vexations† in line 95, and the phrase â€Å"sorrow, guilt and pain† in line 172 prove that it is painful to loss someone or even something. Likewise, the loss of happy memories can be as painful as having lost one’s body part. Conversely, Gray is silent about pain in his poem. Perhaps, he does not consider a natural process of life which is death as something painful or something which causes sorrow. Eighth, Goldsmith proposes that loss comes after luxury, wealth and pleasures. So for him, one should stay away from these things. He even calls â€Å"luxury† as â€Å"curst by Heaven’s decree† in line 385. He also demonstrates through irony in lines 52 to 56 that when riches abound, men’s lives deteriorate. In addition, lines 63 to 74 support the proposition that â€Å"trade’s unfeeling train† (line 63) resulted to â€Å"mirth and manners† (line 74) being lost. Finally, the tone of Gray’s â€Å"Elegy Written in a Country Churchyard† reveals his attitude or feelings for the poor, his readiness to die and his resignation to the inevitability of death whereas; the tone of Goldsmith’s poem is a mix of happiness, sadness, irony, and condemnation. Furthermore, the tone of Gray’s poem remains constant throughout the poem. In contrast, the tone of Goldsmith’s poem changes its tone from one feeling to another such as being happy then sad, ironic then condemning. To sum it up, both Gray and Goldsmith feel that death or loss comes to every human being whether he or she is poor, rich, kind or unkind at anytime. When loss comes, one can no longer do what he or she used to do or would want to do. And that loss comes with hope of going to heaven to be with God.

Monday, September 16, 2019

Qualities of a Good Manager

A manager is defines as a person who controls an organization or part of an organization. Today, big companies are searching high and low for a person who is qualified to be a good manager. A normal manager only takes the responsibility of leading and guiding his employees on a daily basis. However, a good manager ventures into opportunities and bring the best in others.In my opinion, a good manager should be implemented with a few certain qualities. First of all, a manager should have the quality of intelligence. He or she must prepare themselves with every aspect of knowledge about their work field. This is to overcome the problems that he might face in the future.A company has rules and regulations that the employees have to follow. A good manager should have the quality of obedience. This is because a good manager is an example towards others. He or she must understand that as he leads by example, his employees are likely to follow him. For instance, if a manager always submits h is paper works late than his employees will also do the same. This can cause lack of productivity for the company.The next quality a good manager should have is integrity either towards themselves or others. A good manager should avoid unethical behavior such as bribery, stealing company’s money or even selling confidential information about the company towards the opponent company. A wise man once said that a manager is like the base of a tower, if the base is broken, the tower will topple down. A good manager should be honest and trustworthy so that the employees can work together to bring the best in their work.A good manager should also have the quality of caring. A good manager views himself as part of the team and treats his employees with respect. This proves that a good manager should concern about his employees’ lives, inside and outside the workplace but that does not mean, the manager should be bustle into the employees’ personal business.Last but not least, a good manager should oppose the quality of hard-working. A bad manager occasionally stalling to send his worksheets, does not give full commitment in his work and prefer easy tasks assigned to him. Thomas Edison once said that â€Å"There is no substitute for hard work†. This proves that a good manager should implements hard works in his work in order to produce outstanding results.In conclusion, a good manager should incorporate with these qualities to perform well in their job. Although nowadays, it seems hard to keep up with these ethics demands but sometimes a person should take big risk to achieve big success.

Sunday, September 15, 2019

Gas Agency

Software requirement specification for BuzzyBUY. com (Online Shopping and auctioning Web Site) Prepared by Table of Contents 1. Introduction 2 1. Purpose 2 2. Document Conventions2 3. Intended Audience and Reading Suggestions2 4. Product Scope2 5. References 2 2. Overall Description 3 1. Product Perspective3 2. Product Functions3 3. User Classes and Characteristics 3 1. Administrators 3 2. Buyers4 3. Sellers 4 4. Casual visitors4 4. Design and Implementation Constraints5 . User Documentation6 6. Assumptions and Dependencies6 3. External Interface Requirements6 1. User Interfaces6 2. Hardware Interfaces6 3. Software Interfaces6 4. Communication Interfaces7 4. System Features7 1. Listing7 2. Account Creation8 3. Selling8 4. Buying8 5. Rating8 6. Others8 5. Other Non Functional Requirements9 1. Performance Requirements9 2. Safety Requirements9 3. Software Quality Attributes 9 4. Business Rules9 6. Appendix A: Glossary9 7. Appendix B: Analysis Models10 1. Introduction: 1. Purpose: The p urpose of this SRS is to specify the requirements of the web based software application buzzybuy. om, which is an online shopping and bidding system. The module to be developed is the first version of buzzybuy –version 1. 0. This Software Requirements Specification provides a complete description of all the functions and specifications of buzzybuy –version 1. 0 2. Document conventions: IEEE standards used. Proper sub numbering system for sub topics based on the importance and priority of the matter. 3. Intended audience and reading suggestions:The expected audience of this document is the faculty in charge of software engineering lab for 6th semester Computer Science, NITK suratkal .It will be used as a reference for grading in the lab for even semester of 2006. There is no suggested reading to be done before going through the document. 4. Product scope: Buzzybuy. com is designed to run on both any modern platform with GUI. It is assumed that the back end that will be used for implementation is MySQL and the front end that will be used is PHP. 5. References: 1. The applicable IEEE standards are published in â€Å"IEEE standards collection†, 2001 edition. 2. Software Engineering, A Practitioner’s approach, 6th edition. By Roger S Pressman. McGraw hill international. 2. Overall description 1.Product perspective:This is proposed to be an enhanced model of the present day existing shopping and auctioning portals. Many flaws in the present online shopping portals haven’t been able to exploit the full potential of e-commerce market. The Software Requirements Specifications intends to identify the flaws in the current existing system and propose an alternative or a solution to them. 2. Product Functions: †¢ It consists of two modules 1. Customer module 2. Administrator module †¢ A customer should have a user account for carrying out transactions. †¢ Transactions include buying, selling and auctioning. Administrator pr ovides the customer with an account following proper registration procedures to prevent malpractices in the transactions. †¢ Any visitor is allowed to browse through the product list, their prices and bidding procedures. †¢ Buying, selling and bidding procedures are kept transparent so that any user is able to go through the procedures. 3. User classes and characteristicsThere are 3 kinds of users for the proposed system 1. Administrators: They create user accounts and give it to the required customers. ? To educate consumers about Buzzybuy’s range of products and indigenous services. They must provide rules for the transactions. ? They must maintain the website and update the same making necessary changes at times. ? They must take care of the security issues involved in the transactions. ? They must inform the users about their transaction status and keep them updated about the progress through emails. ? They must receive feedbacks from their customers or any user s about their system and act upon the relevant ones. ? Look up at all the legal issues involved with the business. ? Keep place for advertisements in the website as a revenue generating option.The place has to be maintained and proper listings done. ? Any failures in the system have to be detected and repaired. 2. Buyers: They are the genuine customers of the website. They can see the listing, bid for various things, and also buy them to various payment options. 3. Sellers: These are the people involved in selling their products through buzzybuy. They consider this as a virtual market place. They need to be provided with proper advertisement place, and ratings of customers. The sellers too are rated based on the feedback they get from previous transactions completed from customers.These feedback data are treated with great respect and are transparent to everyone. The sellers too value this very highly. 4. Casual visitors: These people don’t come to the site on specific intens ions of buying or selling. They just visit to see the listing and too see the products. They need not have an user account. They can be future potential customers. They sellers can lure them with advertisements on the site based on their budget. The following usecase diagram states the above data in a graphical form: [pic] Fig 1 Usecase Diagram for BuzzyBuy 4. Design and Implementation Constraints The main constraint here would be the checking the genuineness of the buyer, which is not always possible. There can be security risks involved. †¢ The design constraints are that the browser at each place may not follow similar screen resolutions, browsers etc. This can lead to the website not having the impact it is planned to have. †¢ Also the rules of the land will prohibit certain items to be sold on the site. Hence all those factors need to be filtered in. †¢ Also storage space constraints may come if the listing becomes too large. Hence a strong server needs to be cho sen to host the database. 5.User Documentation: 1. Online user help with all the necessary help needed to use the site in a bulletin format. 2. Problem addressable forms 3. Software and database specification 4. Details of rules and regulation to sellers as well as buyers. 6. Assumptions and Dependencies None as per now 3. External Interface Requirements: 1. User Interfaces: Each part of the user interface intends to be as user friendly as possible. The fonts and buttons used will be intended to be very fast and easy to load on web pages. The pages will be kept light in space so that it won’t take a long time for the page to load.The staring page will ask the user what kind of a user is he, either seller, buyer or a casual visitor. Based on which the future pages will be loaded in a sequential manner. Each listing page will have a area to put the bid, the product details with photo etc. Each page also will have a search engine to search the products available so that it is re adily available and the user need not search for it. Each button will have an online help link to help the user in understanding the process. 2. Hardware Interfaces: A web server will be used to host the WebPages and the database management system.Most pages will be dynamic pages built with php. Each page will be optimized to the type of web browser and resolution being used. A minimum of PIII system running at 733 MHz will be needed to run the modules. Normal modes of network modes used in Internet technology will be used. 3. Software Interfaces: The incoming message mostly includes requests for a specific task, which on the course of the development will be decided in detail and dealt with in design specification document. The incoming messages from the messages will be converted to a specific format in the database language, the processing made and the request served.The operations will be intended to be made as fast as possible. 4. Communications Interfaces: The web server maint enance and other activities to be done using FTP transfer protocol. The security and other issues will be dealt with in the course of the project, as there is little idea as to how these things work to our team as per now. There will other communication interfaces with the users of the site with site-specific email, forms and complaint addressable mechanisms. These things as far as possible will be automated. 4. System Features 1.Listing: This includes the listing feature of the website where any search or other request of a user to a particular subject is served. The pertinent web pages are loaded and the particular database is initialized. There are listings based on the priority as by user preferences. This is actually the listing of web pages to the users by time of selling, deadline, price, quality etc. Listing includes listing of o Products to be sold directly o Products open for bidding till a particular date o Sellers in a particular area or with specific ratings o Used prod ucts on for sale. Just casual listings of random things o Payment options to buy or sell. |Action |Software reaction | |User logs in the system |The system authenticates | |User defines the information to view |System provides the necessary details as requested by the | | |particular employee | |User views the information | |Table No 1. The table states a typical control passing in the system during logging in Listings will be made very fast and user friendly. Proper security is also a very pertinent point here. 2. Account creation: This includes creating user accounts to each of sellers and buyers separately. This includes taking pertinent information from them and then initializing the database. The database needs to be properly updated on each transaction by the user and all the details of his/her account should figure in the account listing.The security of the account also should be dealt with. 3. Selling:Here the seller can list his/her things on his /her quoted price. Or else he can keep it for a bidding process where he is not sure of the price. The details of which will be kept in the user database. The details of his goods on selling list will be updated to him on a regular basis to his email id. The process of selling can include some bargaining too, but the details are yet to be thought of.The payment and feed back details are kept transparent. 4. Buying:There are 4 ways of buying or intending to buy o Direct buying o Bidding o Group buying o Tracking The details of which will be dealt with in the design specification. Each of these details are kept in the user account where he is kept updated about all his moves. 5. Ratings: Each products, buyers and sellers are constantly rated based on the feedback and the market behavior so that users feel secure about the system.These ratings are given based on a best pointer of five, the details of which are yet to be worked out. These ratings are intended to bring some trust and credibility to the concept of an online market. 6. Others: Include money transactions, legal issues, regional tastes, costs involved, business models used etc pertinent issues but won’t be seen in detail in the document as the things are beyond the reach of the design team. 5. Other Nonfunctional Requirements: 1. Performance Requirements: As stated before. 2.Safety Requirements: Suitable safety has to be taken while allowing a product to be sold on buzzybuy. They have to follow the legalities of the land, and must be ethical. There could be possible misuse of the system by bogus user, bidding and buying without paying up. It is not always possible to check the postal addresses. Also during money transactions the unreliable networks may cause further problems. So such practices need to be avoided. 3. Software Quality Attribute: The system is easy to load and light .It adds to the quality and usability of the system. Some others quality considerations such as adaptability, availability, correctness, flexib ility, interoperability, maintainability, portability, reliability, reusability, robustness, testability, and usability will also be very seriously taken to consideration. 4. Business Rules: Nothing is above customer satisfaction. So the rules need to be kept flexible to meet user needs and preferences at different times. Other models can be applied but is beyond the scope of the team. . Appendix A: Glossary 1. SRS: Software requirement specification 2. GUI: Graphical user interface. 3. PHP: Personal home pages 4. IEEE: Institute of electrical and electronic engineers. 5. FTP: File transfer protocol 6. SQL: Structural query language. 7. Appendix B: Analysis Models [pic] ———————– Central Processing server Listing Selling Buying Administration Administrator Casual visitor Seller Buyer Buyer Seller Casual visitor Administrator Administration Buying Selling Listing Central Processing server

Saturday, September 14, 2019

Health Provider and Faith Diversity

Health Care Provider and Faith Diversity Health Care Provider and Faith Diversity Delia Stoica Grand Canyon University: HLT-310V February 4, 2012 Abstract The following paper describes three different religions: Judaism, Islam and Hinduism. It will detail the spiritual perspective on healing that all three of the faiths have. A description of what is important to their healing and what is important for the healthcare provider to know in caring for people of these faiths. Also there will be a summary of how these faiths differ from Christianity. Introduction The United States is known as a â€Å"melting pot†.This is due to all the different nationalities and faiths that are seen in our country. As healthcare providers we are faced with trying to understand all the different cultures we encounter on a daily basis in a hospital setting. There are many different faiths, some are well known such as Christianity and some are not quite so known such as Hinduism. Different faiths have different rules and regulations that they follow. Knowing all the intricate ins and outs of every religion is going to be impossible, but that should not stop someone from trying to learn all they can regarding the patients they are caring for.Everyone has probably heard of Judaism, Islam and Hinduism, but that does not mean that a nurse or physician would know all the things that would be different in regards to caring for patients of these different faiths. Hinduism Hinduism is the third largest religion in the world. There are six major philosophies in the Hindu religion. One of the major one is Vedanta. Vedanta teaches that â€Å" that man's real nature is divine, and that the aim of human life is to realize divinity through selfless work, devotion to God, control of the inner forces, and discrimination between the real and the unreal.It recognizes that Truth is one and accepts all religions, properly understood, as valid means of realizing the truth (Guidelines, 2002)†. Hindus believe that the body is just a vehicle for the soul, and that when the body dies the soul transfers to another body until it can finally get to be united with God. They recognize that death is a natural part of life and the true self does not die when the body dies. There are a lot of things that the religion accepts which are part of the Western medical practices.Seeking medical attention is something that Hindus will do, but they believe that Western medicines tends to overmedicate their patients, especially with antibiotics which could make them hesitant to start an aggressive treatment plan. Some people of this religion may practice Ayurvedo or homeopathy to cure some problems. This religion allows for blood transfusions and organ transplantation/donations. There is no rule against performing an autopsy if needed. Because this religion practices modesty, women may prefer to be examined by a physician of the same sex.Hindus are very social and family oriented. It is impo rtant that the family be involved in the treatment and care of the patient. Women of the Hindu religion wear a red dot on their forehead to symbolize that they are married, some also wear necklaces, bracelets or toe-rings, which are not to be taken off, this is something that needs to be considered if there is a need for a procedure such as an MRI that requires all metals to be removed. Men of this faith wear a â€Å"sacred thread† which is never supposed to be removed.Many Hindus are strict vegetarians and will not eat beef or beef products, if at all possible they should be allowed to bring food from home unless there is a dietary restriction. In situations where there is an end-of-life issue, family needs to be very involved. Hindus do not believe in artificially prolonging life and may prefer to die at home. Because Hindus practice cremation and it needs to be done within 24 hours of death it is critical that all the paperwork is in order quickly. Judaism Judaism is one o f the oldest religions still around today.There are Orthodox and non-Orthodox Jewish followers. Orthodox Jews strictly follow all traditional laws of the religion. The faith holds medical practitioners in high regards and even may break some rules if medical experts believe that it may be life saving. Most Jewish people observe the Sabbath, which is from sundown on Friday to sundown on Saturday, in which they are not allowed to work. In this regard a Jewish patient would not be able to write, use the button for a PCA pump, drive or even turn on a light switch. As healthcare ractitioners we need to keep that in mind when caring for patients during this time. The food they eat is â€Å"kosher† foods, which means that there are special ways of preparing beef. Pork, fish and gelatin are not allowed and neither is beef and milk together. Care needs to be taken with preparation of these foods for these patients, as healthcare providers we need to keep in mind that this is not just an issue of them being picky but an extremely important part of their religion. Men in this religion may wear yarmulkes â€Å"skull caps† during prayer and some may wear it all the time (Handbook, 2000).We need to make allowances for up to 10 people in the room during prayer. When dealing with end-of-life issues there are deep debates regarding withholding or withdrawing of life-saving therapy and families may want to consult a rabbi before making any decisions. The Jewish faith requires that burials happen quickly after death and autopsies at not permitted unless required by law. There is a requirement that a family member or representative of the family remain with the body at all times after death until burial, and also that amputated limbs be available for burial.Islam The Islamic religion is slowly becoming one of the largest religions out there. People who follow the Islamic religion are known as Muslims. Islam believes are â€Å" that all events, including health even ts, are the will of God, Muslim patients may be more likely to display acceptance of difficult circumstances and be compliant with the instructions of health care providers (Healthcare Providers, 2010)†. It is believed that the preservation of life overrides all guidelines, rules and restrictions.This faith requires extreme modesty and for men all body parts between the naval and knees need to be covered, for woman all but the face, hands and feet should be covered at all times when in the presence of anyone outside their family. Muslims are required to pray five times a day on a prayer mat facing Mecca. Patients that are ill can be excused from prayer if it is medically deemed that it is detrimental to their health. Patients are required by their faith to perform ablution with water before prayers and after urination and defecation. Islamic rule is that you use your left hand for dirty and right hand for clean duties.Muslims will prefer to use their right hand to eat and as a healthcare provider if you are feeding a Muslim patient it is preferred that you also use your right hand. Islam has a very strict rule regarding consumption of certain foods. Foods that are not permitted include pork, or pork derivatives and alcohol or alcohol containing foods. This could be a problem when giving certain medication that contains pork or alcohol. Providers should be aware of the medication given to a patient that is Muslim in order for them to follow the halal diet.Islam sees death as a natural part of life. They do not require treatment to be provided if it will only prolong a terminal illness. During end-of-life care, families may want to pray with the patient at bedside. This religion forbids autopsies, unless required by law. In the Islamic faith, burial needs to happen as soon as possible after death. The body should be washed by a family member or representative of the family and not by hospital staff, the body also needs to be covered by a sheet and face Mec ca if at all possible. Comparing and ContrastingThe previous religions discussed all have certain rules that need to be followed when it comes to dealing with healthcare. Christianity in general does not put any restrictions on healthcare providers. Certain Christian faiths such as Jehovah’s Witnesses do not allow blood transfusions because they feel it is not part of their body. The three religions discussed feel that anything that can be done to safe the person should be done and that life is important. Interestingly enough Hinduism, Judaism and Islamic faiths all have restrictions on food that they deem unclean.The only Christian faiths that have restrictions on food are Catholics and Orthodox Christians, which do not eat meat during Passover. There are many differences between Christianity and other faiths and not too many similarities when it comes to healthcare. Conclusion In doing the research for this paper, there have been a lot of good points brought up in regards t o taking care of patients that are of a different faith than myself. It is extremely important to me as a person and as a nurse to know who my patients are and what their beliefs and faiths are.In order to be able to take care of a patient, physically and emotionally we need to know the restrictions that we may face in our everyday dealings with them. Working in a hospital that sees an enormous amount of people from all over the world it is important to keep religion and culture in mind when providing care. Being able to do research and finding all the rules and requirements is a great educational tool to use and will make your patients more apt to trust you if they see that you understand where they are coming from. References Bennion, R. (2000). Handbook on cultural, spiritual and religious beliefs.South Devon Healthcare. Retrieved February 3, 2012 from www. e-radiography. net/nickspdf/Handbook%20on%20beliefs. pdf Guidelines for health care providers interacting with patients of t he Hindu religion and their families. (2002). Metropolitan Chicago Healthcare Council. Retrieved February 3, 2012 from info. kyha. com/documents/CG-Hindu. pdf Healthcare providers handbook on Muslim patients. (2010). Queensland Health and Islamic Council of Queensland. Retrieved February 3, 2012 from http://www. health. qld. gov. au/multicultural/health_workers/hbook-muslim.