Wednesday, July 31, 2019

Criminal Behavior: the Negative Attribution of Societal Nurturing

Running head: SOCIAL CONTROL, STRAIN, SOCIAL LEARNING, AND CRIMINAL BEHAVIOR Criminal Behavior: The Negative Attribution of Societal Nurturing Criminal Behavior: The Negative Attribution of Societal Nurturing Imagine someone telling you that â€Å"you are the product of your environment†, what does that mean? Imagine a girl who has decided to pursue a career as a stripper. All of her friends are strippers and the new people she meets are those she has met while stripping. Would it be easy for her to quit that job?What would happen if she moved away and was surrounded by well-educated individuals? – Individuals who gave her strong social support and a good positive influence. What about the youth living in a deprived neighborhood, surrounded by small hopes and dreams for the future and low supervision? Is it possible that they become just like everyone else in their community? Let us compare an individual who lives in a disorganized community with an individual in a more organized and structured community, which one is more likely to develop criminal and delinquent behaviors?The purpose of this study is to investigate the measurable affirmation of criminal behavior contributing to a selective demographic based on three theories: social control theory, social learning theory, and strain theory. The idea in which the environment is the context within which all social relations occur has been brought to our attention by Lewin (1943) and can be used to make concept of a major factor in developing criminal and delinquent behaviors.Lewin proposed that the fundamental principle of social psychology research is that human behavior is a function of not only the person, but of the environment as well (Opotow & Gieseking, 2011). A large body of research has been done regarding the human behavior as a function of their â€Å"life space† and the person’s environment, such as neighborhoods, schools, work, and their friendships. Lewin states that pa rticular places can serve as â€Å"contact zones† (Opotow & Gieseking, 2011) and support certain kinds of interaction.These â€Å"contact zones† are formed between people and the physical characteristics of the built and natural world they live in (Opotow & Gieseking, 2011). Social control theory, strain theory, and social learning theory were all proposed by a variety of researchers strongly supporting the link between environment and the development of criminal minds. The theories supported are thought of as individual-level processes (Hoffman, 2003).The social control theory, for example, is the thought that community disorganization lessens bonding mechanisms by making parental supervision and interpersonal attachments more vague (Hoffman, 2003; Elliot et al. , 1997; Shaw & McKay, 1931). With community disorganization comes little to no control. The community is usually distinguished by residential instability and a high ratio of broken families as well as single p arents; reducing the likelihood of efficient socialization and supervision of the youth.A research study was conducted by Baskin & Sommers (2011) to determine whether placement instability played a role in developing delinquent/criminal behavior; results indicated that the children with more instability were more likely to be arrested and have a criminal record. Community disorganization reduces social support structure and weakens an important source of conformed bonding and success in socialization: effective parenting.Empirical research has sustained the idea that the influence of social bonds differs in each type of community and disorganized communities have a negative effect on the competence of social bonds to greatly reduce delinquent behavior. A lot of this is seen in our own communities and the communities surrounding us. It is all about where the person lives, where he goes to school, and whom he chooses to hang out with.The initial development of the strain theory was de veloped by Merton (1968) where he proposed that opportunity structures greatly affect the ability to grasp common cultural goals, such as the pursuit for monetary gain (Hoffman, 2003). The individual-level component of the strain theory is basically the strain of striving to reach goals within various forms of opportunity structures that could lead to adjustments such as deviant behaviors, delinquency, and even crime.With the assumption that opportunity structures differ in each community, it is safe to say that the effects of strains caused by the disunity between goals and means on deviant behavior will differ in every community (Hoffman, 2003). In other words, the strained youth in disorganized communities have a more realistic picture of their situation, so criminal adaption’s become more likely. Agnew (1992) elaborated this theory to form a concept by broadening the notion of strain with adding a variety of sources, such as families, schools, and cognitive skills (Hoffma n, 2003).Agnew assumes that the deprived communities are more likely to have strained youths and that these communities will suffer from more blocked or â€Å"strained† opportunity structures (Hoffman, 2003; Agnew, 1999). What is meant by Agnew’s new definition of this strain theory is that these communities develop an atmosphere that is based on anger and frustration; this could mean a greater chance of â€Å"going with the flow† to maybe prove themselves as â€Å"tough guys† to other communities.The social learning theory or differential association proposes that criminal associations and favoring conflict differ within each community type; it is this differentiation that explains the distribution of crime rates (Hoffman, 2003; Cressey, 1960; Reinarman & Fagan, 1988). Individuals embedded within certain communities are either exposed to or opposed to criminal behavior. Akers (1998) sees the sources in these differences: â€Å"The less solidarity, cohes ion, or integration there is within a group†¦ the higher will be the rate of crime and deviance† (Hoffman, 2003).In other words, social structural influences on criminal behaviors are fully reconciled by social learning processes. Many researchers stress that the DSM-IV diagnosis applied to criminals completely misses the mark and the idea of their environment is not enough (Stuart, 2004). Some researchers believe that sociological and environmental theories do not include the important concept of individual choice: â€Å"Crime resides within the person, not the environment† (Stuart, 2004). Other research, however, supports the importance of living in a good environment to prevent the development of a criminal mind.Although some researchers may suggest the treatment should be to focus on changing the patterns of thinking of criminals and to hold them accountable for every violation of moral thoughts, other researchers now believe that these efforts are slightly mis directed (Hoffman, 2003; Stuart, 2004, Baskin & Sommers, 2011). Other research suggests that even with punishment one can only discourage the criminal act to a greater or lesser degree, restrain the secret manifestation of a criminal urge, but the punishment ill not reconstruct the criminal mind, or avert its development in the individual (The Journal of Abnormal and Social Psychology, 1928). The Journal of Abnormal and Social Psychology (1928) proposes that the criminal mind is not different from that of the sane mind. Of course, many individuals do deviate themselves from the strain of their environment and negative influences simply because of their own personal values and the will to want to better themselves and their way of living. The proposed study will examine the moderating effects of the environment on developing criminal behaviors based on where the individuals grew up/came from.The study is based on the social control, strain, and social learning theories. There have be en very few studies that examine the impact of these theories and their consequences on the general individual-level processes that affect the person’s adaption’s to an environment exposed or opposed to possible criminal behaviors. Furthermore, by investigating these theories, this study might be able to determine which variables, if not all, indicate the development of criminal minds and delinquent behaviors.It is expected that participants will display more criminal and delinquent behaviors in the more strained and disorganized communities. Some participants will be from a more deprived area of town; they are considered to be part of a disorganized as well as strained community. Others will be from an average to more up scaled living environment; they are part of a more organized community who are influenced by everyone around them to want to have a better living. Each group of participants is expected to react to the way of their environment; to adapt to their †Å"way of living†.However, in general, participants in a more disorganized and strained community will suffer from more blocked opportunity structures, poor supervision, negative bonding mechanisms, and poor residential stability because despite having personal choices, an individual is always a product of his environment. Method Participants There will be approximately 850 participants in the proposed study that will serve as a representative sample of ninth grade students from U. S. high schools. Participants will be selected from the National Center of Education Statistics (NCES).In exchange for their participation, participants will be given a raffle ticket for a chance to win a variety of small prizes. Design The proposed study will be using the longitudinal method. The independent variables will be the type of community the participants live in (organized/disorganized), their friendships, monetary strain, blocked opportunity structures, and parental supervision. The depen dent variable will be their acquired behaviors, which will be examined (according to the variation of delinquency theories), by the data drawn from the National Educational Longitudinal Study (NELS).The NELS is â€Å"a longitudinal study designed to explore the impact of families and schools on a variety of educational, vocational, and behavioral outcomes† (Howard, 2003). The friendship variable will be used to examine the learning theory, the stress for monetary gain and blocked opportunity structures will be used to examine the strain theory, and parental supervision will be used to examine the social control theory. Procedure The representative sample for this study will be drawn by NELS.This sample will then be interviewed. At the beginning of the interview, the parents of the participants as well as the participants themselves will be specifically informed that all private information will be strictly confidential and will be used for research purposes only. The parents will then be given an informed consent to read through. As the participants from the subsample come in for the interview, they will be asked a variety of questions regarding delinquent behavior. All of this data will then be entered in NCES.The NELS data will then be used to examine the community characteristics that condition the impact of pertinent variables on deviant behaviors in the modern lives of these adolescents. Data from NCES will match their residential addresses to census identifiers. Census tracts are used to examine the impact of neighborhoods on various outcomes. The participants will then be interviewed during their senior year in high school. Again, asking them a large sum of questions regarding deviant behaviors. The same data will then be entered in NCES and NELS to retouch the previous information.The issue being utilized in this study is the individual’s environment on his behavior based on a long period of time. The questions asked by examiners will per tain to their relationship with their parents, their thoughts on fighting and violence, cultural goals for monetary gain, and so on. Measures As mentioned before, the friendship variable will be used to examine the learning theory; the stress for monetary gain will examine the strain theory; and parental supervision will be used to examine the social control theory. Conventional definition (Howard, 2003).A conventional definition will be constructed from a set of ten questions that will ask participants whether it is acceptable to engage in deviant behaviors such as having a gun, being affiliated with a gang, fighting, vandalism, selling drugs, using drugs, and stealing. A sample question includes: â€Å"Do you believe it is acceptable to join a gang? †. Response set ranges from one (often acceptable) to four (never acceptable). The Strain Theory. Questions that examine the strain theory will be based on cultural goals for monetary gain and blocked opportunity structures: â⠂¬Å"How important is money to you? ; â€Å"Do you have a high or low chance of graduating from high school? †; â€Å"What are the chances of you joining a gang if you knew you would get lots of money? †. The responses will be based on coding: 1 if money is very important, 0 not being important; 1 if high chance of graduating, 0 if low, and so on. The Learning Theory. The learning theory will be assessed by asking four questions about their friendships. Sample questions include â€Å"Do you feel pressured to be involved in everything your friends are in? † and â€Å"Have you ver been influenced by a friend to engage in deviant behaviors? †. Response set ranges from one (always) to four (never). The Social Control Theory. This theory will be examined by parental supervision. The respondent’s parents will be asked a total of ten questions, with answer choices ranging from one (disagree completely) to four (agree completely). Sample questions include à ¢â‚¬Å"Do you believe it is important to know your child’s friends? † and â€Å"Do you believe it is important to know how your child spends his money? †.Upon completion of each interview the respondents’ will be debriefed and given their raffle ticket for a chance to win a variety of small prizes. Discussion It is expected that participants will display more criminal and delinquent behaviors in the more strained and disorganized communities. Each group of participants is expected to react to the way of their environment; to adapt to their â€Å"way of living†. If the hypothesis is supported, then each group of participants would adapt to their way of living as a reaction to their environment.Significant findings resulting from the proposed study can be used in better understanding the role of the environment on the development of human behavior. If social control theory, learning theory, and strain theory are found to magnify the chance of developin g criminal and deviant behaviors, this understanding could be applied to many different research studies and therapeutic training. Some research has already demonstrated that identifying an individual’s environmental background is quite important in understanding his criminal acts.In the psychological domain, recognizing the existing influences of each theory might be helpful in raising parental awareness of the importance of bonding mechanisms (supervision and interpersonal attachment) as well as children’s awareness of handling certain opportunity structures (cultural goals) and teaching the importance of maintaining strong values, raising society’s awareness of the importance of community organization, and implementing counseling programs.If people are made aware of the negative as well as positive effects of their environment on the development of their behavior, they might be more persuaded to maintain or develop strong values, develop cultural goals, and h ave a more positive realistic picture of their future, especially if they are living in a strained community. If the hypothesis is not supported, then there will be no difference between the influence of strained/disorganized communities and organized communities on the development of criminal and delinquent behaviors.Matching the social control, learning, and strain theories to each group of participants’ environment would have no effect in determining the possible implicit development of criminal behaviors. In this case, the type of environment (organized or disorganized community) would not justify the consequences on the general individual-level processes that affects the person’s adaption’s to the community exposed or opposed to possible criminal behaviors.Therefore, there would be no reason to raise the awareness of parents, children, and society of the importance of strong values and cultural goals when it comes to preventing the negative influences of th e community on behavior. Whether or not the message raises awareness, people would just continue â€Å"going with the flow†. Unexpected factors that can occur during this longitudinal research study, which may skew the outcome, may include the unexpected death of several participants (i. . illness, accident, gang violence), or if a participant moves to a different country. A potential limitation of this study is that it does not involve clinical assessments, which can include family history and background to determine the presence of abnormal disorders (mood disorders, personality disorders). Being aware of the presence of abnormal disorders is an important factor in determining the prevalence and etiology of criminal behavior.As a result, assessing the environment would not be sufficient to determine the risk of becoming a criminal. Also, longitudinal studies of a large sample of the population require a large number of researchers and access to certain legal databases (depe nding on the study), which takes time and a considerable amount of money. Future research could investigate other factors that might have an influence on the development of criminal behavior (i. e. race, gender, psychological and biological vulnerabilities, and individual choices).It is possible that sufficient justification to support the influences of these theories (control, learning, and strain) could also be accompanied by or perceived as different depending on these factors, such that psychological vulnerabilities (cognitive development), which can be caused by abuse, in any type of environment could influence the development of such behaviors as well. Some researchers believe that crime does not reside in the environment and others say that the idea of their environment alone is not enough.Future research should be done to investigate the measurable affirmation of criminal behavior contributing to a selective demographic based on psychological, biological, and sociological vu lnerabilities. Further investigation of the underlying causes of the development of criminal behavior is important not only to raise awareness, but to benefit our justice system as well as to contribute to the developing realm of research in psychology and criminology. References Hoffmann, John P. (2003). A contextual analysis of differential association, social control, and train theories of delinquency. Social Forces, 81, 753-785. Baskin, Deborah R. ; Sommers, Ira (2011). Child maltreatment, placement strategies, and delinquency. American Journal of Criminal Justice, 36, 106-119. Opotow, Susan; Gieseking, Jen (2011). Foreground and background: Environment as site and social issue. Journal of Social Issues, 67, 179-196. Stuart, Bryan (2004). Inside the criminal mind. Journal of Psychiatry & Law, 32, 547-549. No authorship indicated (1928). The problem of the mind. The Journal of Abnormal and Social Psychology, 23, 1-3.

Tuesday, July 30, 2019

Educator In Community Essay

Initial assessment should focus on learning styles and knowledge level of students. This can be accomplished by asking the expectation of students, activities that they want to participate in and through an assessment of existing skills and competencies. The nurse educator must then mediate the course objectives with the result of these tests: assessment of the class must be bridges with the target outcomes for students (Priest, 2004). Instructional strategies should include literature, practical demonstrations and activities as well investigative or research activities. Reading materials should be supported by activities that will allow the students to experience what they have read. Further reinforcement should be done through participation in discussions and research activities. Processing by students of the strategies and assessment by the teachers performance can then be used to determine shat activities or strategies is most effective for the class (Gay et al, 2006). Testing of students should assess their understanding of the significance of each element in the educational program. Evaluation of which teaching strategy, literature, practical or research based activities, should be done as a means of initial assessment and to gauge what strategy will be used in the program. Similar settings for health education should be assess individually, either anonymously or through personal or written by students, as well as a group to promote collaboration among participants and the nurse education. Nurse educators in community and staff education settings have to be sensitive regarding their audience and at the same time must not discriminative regarding the level of learning requires of their students (Blair, 2004; Priest, 2004). This entails effective assessment tools to gauge topic knowledge and the learning style of students (Gay et al, 2006). Nurse educators must expect that strategies must respond to the characteristics of their audience rather than the reverse and that. This will entail constantly redeveloping teaching methods to allow communities to work collaboratively with nurse educators in promoting long-term and sustainable health programs.

Issues in Education-Student Wellbeing Essay

When looking at the work done in schools around the promotion of wellbeing, there are many different state and national frameworks that inform school-based practices. I have chosen to discuss the Framework for Student Support Services in Victorian Government Schools (Department of Education 1998) pictured below. This framework outlines four major principles or levels of activity, grouped together with the ‘resilient student’ at its centre. The major principles are primary prevention, which is presented in the framework as the largest of the four principles and therefore indicates that it should be given the most attention, followed by early intervention, intervention and postvention. I’d like to start by posing the question what is resilience and how can resilience be recognised in a student? Resilience can be defined as â€Å"the set of attributes that provide people with the strength and fortitude to confront the overwhelming obstacles they are bound to face in life†(Sagor, 1996, p.38). There are also certain characteristics and descriptors of resilience that have been recognised by teachers and described by Sagor (1996) as being the most â€Å"social, optimistic, energetic, co-operative, inquisitive, helpful, punctual and on-task† (p.38) students. So the aim for wellbeing in schools should be on trying to instil some of these qualities in its students as a preventative measure to give them the best chance at becoming a a resilient student and hopefully carrying that on into adulthood. Primary prevention is the largest area in the framework because it constitutes the broadest and most significant area of activity. The aim is to provide students with the skills and tools needed on the path to becoming a resilient student. This means raising awareness to what makes students vulnerable, developing targeted programs and strategies that help to reduce these vulnerabilities and increasing awareness the issues whilst providing different ways of coping and/or skills that may be useful when these events or adversities may arise. Primary prevention is not always the first choice in schools according to Richard Sagor, a Professor at Washington State University, he believes that teachers don’t always opt for prevention before intervention, especially long term teachers, they tend to see the problem/s as being with the individual students and not with the cohort of students or school as a whole. Sagor suggests that â€Å"we must recognise that it is politically easier to ‘stay the course’ and continue to offer ‘traditional’ mainstream education†¦rather than to re-make our secondary schools into more hospitable, inclusive and preventative organisations†(1992, p.19). I found these arguments to be similar to those that arise in Australian literature on this topic for example â€Å"the health sector has invested considerable resources towards the development of a ‘packaged curriculum’ and†¦.the evidence to date has been that school health education has little effect beyond the short term†(Glover & Butler 2004, p.300). The programmes we have in place seem to be missing the mark and not really achieving what they set out to do. The next principle in the framework is early intervention. This is the time to assess the risks and identify the needs of students in order to really target those at risk of ongoing social, emotional and/or physical harm. By giving students the tools to be able to identify, assess and manage their own risks, early intervention intends to catch a problem at it’s beginnings and intervene before it gets any worse. This principle does promote student wellbeing and is probably one of the most effective as it can be very targeted information for issues that have already been recognised as being a problem. Intervention involves providing effective management and support to students in crisis, this includes ensuring access to appropriate counselling, care and treatment services and is also concerned with providing the skills for professionals who are dealing with students at their crisis point. Yes this principle still has it’s place in the promotion of student wellbeing, but it is already a bit late for the students, the key is to get in before the issues arise. Postvention is basically how the situation is handled beyond the crisis or event. It is the provision of ongoing support or counselling where necessary, monitoring the recovery process and evaluating the situation. After this crisis has passed and wellbeing is restored, a plan can be implemented or introduced into the prevention stage to increase awareness of the issue and hopefully prevent this happening for others in future or give them the tools to be able to cope with a challenging situation. I think this principle is very important and plays an evaluative role in providing wellbeing for present and future students. The principles in the Victorian Framework for Student Support Services of 1998 are collectively designed to provide comprehensive support for the promotion of the wellbeing of students in schools all over Australia and are also being increasingly encouraged on an international scale. The key to moving forward is prevention, like anything if we can prevent a problem before it begins and/or provide the skills and the know how to deal with a crisis before it arises then everybody is much better off. Students, teachers, parents and the wider community would be stronger and better equipped to face the challenges of everyday life. Our work as classroom teachers contributes in many ways to the promotion of young people’s wellbeing. It is no secret that high school students spend the majority of their teenage years in schools where they are supervised by teachers. Whether it be in classroom, out in the playground, out and about on excursions and even at the bus stop. Teachers are very influential figures in a young persons life, so it will come as no surprise that the work a classroom teachers does can contribute to the promotion of young people’s well being. Wellbeing can be defined as, â€Å"a state of positive psychological functioning that allows students to thrive, flourish and learn. Wellbeing refers to a state of positive emotional and social functioning that we would wish to nurture in all our students. The term wellbeing has been used to refer not only to a person’s subjective experience of ‘feeling good’ about themselves and their relationships with others but also to their sense of meaning, purpose and growth†(Goh, 2013). Wellbeing is a very broad term which is difficult to define. This definition from Goh (2013) stood out to me because it mentioned the fact that promoting the wellbeing of students allows them to ‘thrive, flourish and learn’, this is the important objective for schools and teachers to remember. Norris (2003) argues that â€Å"Children learn best in an environment that is safe, nurturing, and affirming†(p.318) which I think is the aim for all classroom teachers. Teachers can use a range of teaching strategies to enhance the resilience and overall wellbeing of their students. An example of a strategy for teaching resilience in America is the ABC’s of resilience. Renee Jain (2013) speaks about the difference between two people and what makes one person resilient and another person not. The A stands for adversity, this is the problem being faced. The C stands for the consequence or the reaction to the adversity and the thing that makes two people end up with different consequences is the B which stands for beliefs(about the situation). A resilient person is armed with the beliefs and the tools to pick themselves up and move forward. Those without resilience will be consumed by the adversity and struggle to get back up (Jain, 2013). By making students and teachers aware of this connection it is easier to understand why we need to be taught the qualities of a resilient person in order to maintain wellbeing. Many efforts are being made to spread the message of wellbeing for students through the use of programmes designed by non-government and some government organisations. The USA are world leaders in the sheer number of programmes and resources in the promotion of mental health, with thousands of programmes in operation with varying levels of success (Weare, 2010, p.27). The promotion of mental and wellbeing in Australia is also starting to thrive with programs such as Root of Empathy (2009) and Mind Matters(2009) at the forefront of the efforts to reach students with the message of wellbeing (Weare, 2010, p.28). In the UK â€Å"an increasing number of schools are engaged in what is effectively mental health work†¦working on a wide range of initiatives†¦two particular examples are Place 2 Be (2009), which supports councellors in schools and Pyramid Clubs (2009)† (Weare, 2010, p.28). I think the most prominent thing that stands out to me on an international scale is that everyone is trying to approach this from a whole school and even a whole community perspective, making it everyone’s business. I do think that this is how it should be and to be effective in promoting overall wellbeing of students it has to be a looked at as a holistic approach. By that same token, staff wellbeing is also a priority in promoting positive school environments. This means that it is important to look after yourself as a teacher, if the teacher is stressed, not focussed, and not looking after their own wellbeing then that will reflect onto the students wellbeing. In conclusion, teachers are very important role models and play such a pivotal role in a young persons life. Countries all over the world are now staring to really understand how much of an impact teachers and even schools as a whole can can make in the promotion of wellbeing in students. As long as the approach is holistic and targets students in the time of their lives when they need this information the most, we can quite possibly create a new generation of resilient young people. References: Glover, S & Butler, H 2004, ‘Facilitating health promotion within school communities’, in Moodie, R & Hulme, A (Eds.), Hands on health promotion, IP Communications, Melbourne, Vic, pp. 299-310. Sagor, R 1996, ‘Building Resiliency in Students’, Creating a Climate for Learning, Vol. 54 (1), Washington State University, Vancouver, pp.38-43. Sagor, R 1992, ‘Alternative programs for at-risk youth: wolves in sheep clothing’, Reaching Today’s Youth, Vol. 1 (2), Washington State University, Vancouver, pp.18-22. Goh, C 2013, ‘Student Wellbeing’, Student Wellbeing Action Partnership, University of Melbourne, Victoria, Accessed on 31/7/2013 from: http://web.education.unimelb.edu.au/swap/wellbeing/ Norris, J.A 2003, ‘Looking at Classroom Management Through a Social and Emotional Lens’, Theory into Practice, 3 (4), p.313-318. Jain, R 2013, Teaching Students the ABC’s of Resilience’, Social and Emotional Learning, The George Lucas Educational Foundation. Accessed on 31/7/13 from: http://www.edutopia.org/blog/teaching-the-abcs-of-resilience-renee-jain Weare, K 2010, Promotiing Mental Health Through Schools, In P.Agglton, C.Dennison & I.Warwick (Eds.), Promoting Health and Wellbeing Through Schools, London: Routelege, pp.24-42.

Monday, July 29, 2019

Analysis paper Movie Review Example | Topics and Well Written Essays - 1500 words

Analysis paper - Movie Review Example There are similarities in Youngdal’s story and what happened between him and Baek-hwa, but there are also differences in how Youngdal and Chung found White Flower, what happened during the journey to the train station, and the ending. As for the visual aspects, the story and the film focused on the environment and how it reflects the diverse forms of attachment and detachment of the three main characters, but the film underlines more the development of friendship and love in its narrative through dialogue and sound. There are similarities in what happened to Youngdal in the story and the film. Both show that he is caught having an affair with a restaurant owner's wife and so he runs away. Youngdal is also suffering from the â€Å"nomad complex† in the text and film. He has a hard time finding that special something that can make him permanently stay in one place. It could be because of lack of economic opportunities though, which the story explores more than the film. I n the story, Youngdal shares with Chung how he separates with Okja, because he lost his job and Okja needs to work in another place. They promised to be together again, but they know that they are young and poor. Love is not enough to fill hungry stomachs. Furthermore, the story illustrates the detachment or sense of loss that workers feel, because of Korea’s rapid industrialization. In an article, Kwon Yong-min says: â€Å"The Road to Sampo sketches Korea in the 1970s well, showing its rapid urbanization and relentless industrialization. It symbolically shows the sense of loss that the â€Å"uprooted† laborers experienced†¦Ã¢â‚¬  (Park 90). This sense of loss pervades in all three characters. They may not be wandering aimlessly together, but they share sentiments of uncertainty in their lives. Furthermore, there are differences in how Youngdal and Chung meet Baek-hwa in the story and film. In the film, they meet her at a restaurant in town. In the story, Youngd al and Chung meet her under a pine tree, while she is urinating. It seems that this scene was changed to avoid sexual connotations. Moreover, in the story, Youngdal and Chung did not change their course only to search for Baek-hwa. They are only heading to her direction by chance, because they are trying to catch a train to Gamchun, so that they can take a faster route to Sampo. In the film, they seek out Baek-hwa for the money. The motives are different, but they eventually find Baek-hwa in the story too through coincidence. Furthermore, in the story, Baek-hwa talks a great deal as they walk in the snow. In the film, she and Youngdal converse with each other. Despite not speaking so much in the story, Youngdal and Baek-hwa bonded well, because he had to carry her on his back after Baek-hwa sprained her ankle when she fell in a ditch. The physical actions replace the need for conversation. They do not have to speak to understand that they are similar in many ways, for they are both cold and lonely. In the film, there is much dialogue between Youngdal and Baek-hwa. It seems that they are dating. Dialogue and music play a large role in developing their romantic feelings. Both the film and story employ the environment to describe the characters and their experiences of attachment and detachment. The story often describes the environment in relation to characterization and plot development. For instance, after

Sunday, July 28, 2019

CaseStudy Paper Case Study Example | Topics and Well Written Essays - 500 words - 1

CaseStudy Paper - Case Study Example He relies on approximation and not knowledge or skills. Evidently, a supervisor Mac Evans has not motivation and time to supervise finished products (Slack, 2005). Contrary to job description, he only focuses on the last process instead of the general progress. Additionally, a new viscosity of greasex introduced to the machine does not match the initial design. The mismatch prevents achievement of real objectives. Last but importantly, the general laxity within personel contributes to various related problems. For example, the quality control unit headed by Hamler seems to having no clue of their work. They do not have timely assessment and adjustment of filling machines and lack contact with other departments with regards to production (Klein, 1992). Greasex is a company with a reputation in the service industry. The respect, however, is diffusing due to a sudden change in production system that results to production of high pressure cans beyond the recommended limit. In the wake of competition, a quick solution is inevitable not only to find the source of the problem but also to streamline functions for high productivity (Boyer & Verma, 2010). The team will make use of observation, quality assessment and administration of questionnaires to investigate and locate problems. Job appraisal will also be necessary to ensure employees remain relevant to the production process. Based on data collected, SPSS will be used for quantitative analysis. The analysis method will assist in painting feedback with regards to the research objective. Quality control techniques will also be used to match job description against performance of employees. The main intention of the team will not only be to find the problem but also viable alternatives. As such, a design criteria constituting possible solutions, period and responsible offices will be drawn. For example, assessment and quality control departments will form priority. It is important to know whether they are

Saturday, July 27, 2019

The Collapsible Lunch Box Idea Essay Example | Topics and Well Written Essays - 2500 words

The Collapsible Lunch Box Idea - Essay Example The first idea involved whether we were capable of producing folding chairs. This idea failed due to the fact that after its assessment it was discovered that the production of folding chairs would cost too much. The second idea was the production disposable mats. This idea was quite a viable but it was ruled out after assessing that in order to reach to this final product it would involve quite a number of different processes. The feasibility of a business idea demonstrates how practical it is to put the idea into action. In line with this we had other options such as the production of a modified pub tray. The idea was a good one but we did not have information about the technical aspect of the product as how it would function. In addition the production of a modified pub tray would require too much work from sub contractors. Another feasible idea involved the production of plastic water cups. We discovered that the demand for this is too high and it would be quite difficult to prod uce enough to meet the demand. In this case consumer satisfaction is an essential aspect worth consideration if a business idea is to be adopted. Final considerations were the idea of a producing a washing machine dial or a collapsible lunch box. After adequate evaluation and comparison of the two it was seen that the market for the washing machine dial would be too small to make meaning profits. ... An American museum keeper by the name David Shayt pins this evolution to this century providing some of the examples of lunch boxes that were developed. These examples include a woven basket that had a handle and a fancy box made of wood. With the former a handkerchief would be used to warp up a meal then put inside the woven basket. The latter is believed to be used by only the rich people. These lunch boxes were but a result of increased industrialization. With the Americans working away from their homes in places such as factories it was then deemed impractical of them going home for lunch on a daily basis. This is what brought about the necessity of lunch boxes as something that would be used to protect meals and allowing for their transportation with simplicity. Various have in the past been in the manufacture of lunch boxes. Schooling children have always created a market lunch boxes with materials such as vinyl and plastic being used for this market. For the adults the most co mmon materials for their lunch boxes are metallic in nature for instance aluminium or tin. These materials are used for purpose of increasing robustness of the lunch boxes and that may last for a long time. The year is 1954 in Sudbury in the region of Ontario a miner by the name Leo May invented the aluminium lunch box. The idea of this lunch came as a result of him accidentally crushing his lunch box made of tin. History has it that the Mickey Mouse the first character lunch box made of tin was produced by Frey, Paeschke and Geuder in 1935. In the 1950 the Aladdin industries came up with a creation of the first lunch box meant for children basing their invention on Hopaong Cassidy a show on the television. This

Friday, July 26, 2019

Paper 1 Essay Example | Topics and Well Written Essays - 1500 words - 1

Paper 1 - Essay Example The City of Cleveland argued that the ordinance was constitutional, since it upheld the ruling made under Village of Belle Terre v. Boraas, 416 U.S. 1, which had limited the number of people who could occupy a single dwelling (Casner, 189). The Supreme Court held that the ordinance created by the City of Cleveland was unconstitutional, since it violated the due process clause as provided under the Fourth Amendment Schedule of the United States Constitution (Areen, 227). The Supreme Court held that the material facts of the case were distinguishable from the nature of the facts provided under Village of Belle Terre v. Boraas, 416 U.S. 1, which offered a provision for restriction of individuals who were unrelated from one another (Areen, 227). Thus, the limitation and definition of family as a nuclear family was a completely new conception, which violates both the tradition and cultural conception of a family as involving the extended family. Further, the court held that when the conception of the family unit is challenged through the government intrusion of the choices that concern the living arrangements of family, then the interest advanced by the government in this case must be carefully examined (Casner, 189). The court also held that the ordinance established by the East Cleveland City had a weak relationship with its intended objective such as reducing overcrowding and the heavy financial burden on the schools, since a larger nuclear family could have a more overcrowding and financial burden on the city than a small extended family. Finally, the court held that the basic values underlying a society, as well as the teaching of history must be recognized and respected, at the expense of laws that seek to draw superficial and arbitrary boundaries like confining the family unit to a couple and their dependants (Areen, 228). Thus, the court held that the

Thursday, July 25, 2019

Maritime and Port Security Initiatives by Federal Agencies Research Paper

Maritime and Port Security Initiatives by Federal Agencies - Research Paper Example With the rise in terror threats, containers ships have become the area of security scrutiny as security agents view them as vulnerable to terrorist attacks and activities. Annually, seaports in the US host at least nine million marine containers hence provoking the need for them to undergo intense security checks so as avert terrorist infiltration. In order to raise security standards within ports, Congress passed into law the Maritime Transportation Security Act of 2002 that has come into scrutiny over its relevance and impact in serving this purpose. With this background information, this essay will delve on the Maritime and seaport security initiatives as applied by federal agencies, either in the US or by agencies across its international borders. Ideally, most of the cargo handling in the US is through major cargo hubs because of the quality of infrastructure available hence creating traffic for these hubs by cargo shipping firms. Further, the handling of energy related products is by certain ports while the US also has over one thousand harbors spread across its coastline. Other than US owned and crewed ships, foreign ships also call at this nation’s ports, which has been instrumental in influencing trading relations with other trading partners. The trading also spreads to cargo containers, which is one of the areas that attracted the concerns of both state and federal security agents to be keen on securing this area of commerce. In essence, a large container has a high load capacity and can safely ferry more than three thousand containers while offloading some of them at different ports. Mostly, these containers transport consumer goods that may include clothing, toys, shoes, electronic devices, automobile spare parts, among a list of other goods which characterizes the imports on containers. On the other hand, the containerized

Wednesday, July 24, 2019

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

English - Essay Example The rapid rate that our sea levels have been raising at has given many countries the dangers as it could wipe them off the world map that we know today, like the Caribbean. The people of the Caribbean have been trying to fight this problem over many years and scientists say by the year 2100, the Caribbean will no longer be a part of the world map. I think it will be the next atlantes this raising sea levels will also affect and scare many other countries like the Philippines, Indonesia and Bangladesh as they are very close to the sea levels and may also be joining the Caribbean. Also these raising sea levels have been causing tsunamis and other natural disasters due to the changing climate and sea levels. Global warming has many effects; one of these major effects is the Ozone hole which has many effects that have slowly been destroying our planet without our knowing, but thanks to the advanced technology of today, we have been able to notice theses problems and effects but it is too late, this Ozone hole especially affected Antarctica as the ice is melting which increased the sea levels affecting many countries and leading to their destruction. The increase in the climate has lead to the death of many penguins and their existence is linked to the polar bears. We have been destroying their homes and we might be the reason for their extinction, if we keep walking the path that we are walking today. Moreover, the organisms living in Antarctica have also been dying rapidly due to the fast climate change. Not only that but the effects of global warming have increased the rates of diseases especially skin cancer due to the UV rays from the sun as the Ozone hole is widening and as it is the only protection for us from these harmful rays which are bouncing back a large percentage of these rays, however it no longer exists in some areas of the world and is thinning at other areas. Pollution has been increasing over the years, especially the air pollution form cars, fac tories and green houses due to CO2 emissions which has many effects on people especially the new born and the elderly. Asthma has been rapidly increasing among us and we are starting to see it as a normal illness but indeed this is a man-made illness due to the air pollution that we have created which is affecting our children and the people at large. In conclusion, air pollution is raising the sea levels and the hole in our Ozone layer is a problem that we have created. The dying animals and the melting ice in Antarctica are the effects of the problem that we have created as we are killing the big blue inch by inch everyday and we are killing ourself as well. I ask everyone who reads this paper to please stop killing our planet and at least try to reduce the pollution in some

MYOB-analysis Essay Example | Topics and Well Written Essays - 500 words

MYOB-analysis - Essay Example The past three years’ accounts should be provided as a minimum, to enable a full financial assessment that reveals trading patterns and trends in the areas of liquidity, profitability, the speed of debtor and creditor payments, sales and their associated costs, as well as expenses and owner’s drawings. Information providing the reasons for the proposed expansion of the business and why a partnership approach has been chosen, rather than, say, a bank or other loan. The proposal as it stands seems to allow Chris Wren to take advantage of the increased capital base provided by a partner’s investment, without giving them any say in how the business is run or allowing them to get involved. He wants more supporting funds, and he wants to continue running the business as he has been doing for the past few years, which may not be the best way to do it. If the new partner is not to undertake any work, who will be doing the extra work that an expansion should be aiming to acquire? There are no projections for increases in sales or the associated increased cost of sales and supporting expenses. There is no business plan at all and a basic plan should be in place at the moment to provide an objective for the business to achieve. If there is no plan, then what precisely is the investment needed for? What’s in it for the potential investor, specifically? What sort of profit levels will be generated by the expanded business and what rate of return does this represent? How does this compare with other businesses in the same sector, or a basic bank savings account or perhaps a managed stock market investment plan? Why is this a good idea for the investor? Important information that cannot be provided in numbers is missing, such as the business reputation and skill and experience of staff. Non-financial information, such as firm location, supplier and customer relationships and business

Tuesday, July 23, 2019

Assignment about ethics 4 Example | Topics and Well Written Essays - 1000 words

About ethics 4 - Assignment Example What are the defining / distinguishing features of moral courage? Elaborate to clarify what you mean by each. By definition there are five essential parts of moral courage, which include: existence and identification of a moral situation, moral choice, behavior, individuality, and fear. By counting existence and identification of a moral situation, it is meant that without a situation to prove the presence of moral courage in a person, the virtue of moral courage cannot be vindicated. By identifying the moral situation, the onlooker gets charged to react due to one’s inherent ethical values. The inherent values and principles compel the observer to react to the emerged situation. This leads to the second distinct feature of moral courage – moral choice (Miller, 2005). A person facing a moral situation must take a decision related to the moral alternative. By invoking the moral values and principles, the person must take not a legal but morally right decision (Miller, 20 05). The third feature of moral courage is behavior because it draws a line between moral courage and moral reasoning. Just thinking what should be done to come over the moral issue and actually doing that right action are two different things. It is behavior that leads to doing the right action (Miller, 2005). ... Fear is the last quality of a morally courageous person. He or she must acknowledge to oneself that fear of the negative outcome must be overpowered to take a morally courageous action. This fear factor is not to be managed outwardly, but it is an inner realization to face the situation, decide, and behave as per the decision taken. Facing and overpowering fear means one is ready to pay the price of one’s fearless behavior (Miller, 2005). Why is moral courage important? i.e., why are scholars interested in studying moral courage? Moral courage is important to keep intact the moral fiber of our life and society. Moral courage denotes strong will power that provides support to other human virtues. Human beings can gain heightened degree of perfection or sanctity of the heart through moral courage. A morally virtuous individual dedicating life for accomplishing good deeds cannot let others use wrong means. That’s why it is all the more important to teach and develop moral virtues among children through story-telling (Miller, 2005). Question 2: Answer to part (a) Think about a time that you either (a) displayed moral courage or (b) opted not to act in a morally courageous way. Describe the situation. Indicate what occurred, what you decided to you, what factors might have contributed to your decision and the outcome. Is there anything you might do differently if you faced that situation again? Or, is there anything you learned from class that might better prepare you / help you to manage better if you faced that situation again. It happened five years back. I was traveling in a train to reach back to my hostel after spending vacations at home with my family. The compartment I was traveling was fully

Monday, July 22, 2019

The Holocaus Essay Example for Free

The Holocaus Essay The Holocaust also known as Shoah, was the mass murder or genocide of approximately six million Jews during World War II, a programme of systematic state-sponsored murder by Nazi Germany, led by Adolf Hitler and the Nazi Party, throughout the German Reich and German-occupied territories. Of the nine million Jews who had resided in Europe before the Holocaust, approximately two-thirds were killed. Over one million Jewish children were killed in the Holocaust, as were approximately two million Jewish women and three million Jewish men. A network of about 42,500 facilities in Germany and German-occupied territory were used to concentrate, hold, and kill Jews and other victims. Some scholars argue that the mass murder of the Romani and people with disabilities should be included in the definition, and some use the common noun holocaust to describe other Nazi mass murders, including those of Soviet prisoners of war, Polish and Soviet civilians, and homosexuals. Recent estimates, based on figures obtained since the fall of the Soviet Union in 1991, indicate some ten to eleven million civilians and prisoners of war were intentionally murdered by the Nazi regime. Historian Rudolph Rummel estimates the number of civilians and jews murdered by the Nazis at 20,946,000. The occupiers required Jews and Romani to be confined in overcrowded ghettos before being transported by freight train to extermination camps where, if they survived the journey, most were systematically killed in gas chambers. Every arm of Germanys bureaucracy was involved in the logistics that led to the genocides, turning the Third Reich into what one Holocaust scholar has called a genocidal state. Extermination camps The use of camps equipped with gas chambers for the purpose of systematic mass extermination of peoples was a unique feature of the Holocaust and unprecedented in history. Never before had there existed places with the express purpose of killing people en masse. These were established at Auschwitz, Belzec, CheÅ‚mno, Jasenovac, Majdanek, Maly Trostenets, Sobibà ³r, and Treblinka. Medical experiments A distinctive feature of Nazi genocide was the extensive use of human subjects in medical experiments. According to Raul Hilberg, German physicians were highly Nazified, compared to other professionals, in terms  of party membership. Some carried out experiments at Auschwitz, Dachau, Buchenwald, Ravensbrà ¼ck, Sachsenhausen, and Natzweiler concentration camps. The most notorious of these physicians was Dr. Josef Mengele, who worked in Auschwitz. His experiments included placing subjects in pressure chambers, testing drugs on them, freezing them, attempting to change eye color by injecting chemicals into childrens eyes, and various amputations and other surgeries. Subjects who survived Mengeles experiments were almost always killed and dissected shortly afterwards. He worked extensively with Romani children. He would bring them sweets and toys, and personally take them to the gas chamber. They would call him Onkel Mengele. Vera Alexander was a Jewish inmate at Auschwitz who looked after 50 sets of Romani twins: Legal repression and emigration Nazi policies about repression divided people into three types of enemies, the racial enemies such as the Jews and the Gypsies who were viewed as enemies because of their blood; political opponents such as Marxists, liberals, Christians and the reactionaries who were viewed as wayward National Comrades; and moral opponents such as homosexuals, the work-shy and habitual criminals, also seen as wayward National Comrades. The last two groups were to be sent to concentration camps for re-education, with the aim of eventual absorption into the Volksgemeinschaft, though some of the moral opponents were to be sterilized, as they were regarded as genetically inferior. Peukert quotes policy documents on the Treatment of Community Aliens from 1944, which showed the full intentions of Nazi social policy: persons who show themselves unable to comply by their own efforts with the minimum requirements of the national community were to be placed under police supervision, and if this did not reform them, they were to be taken to a concentration camp. One of the first, camps was Dachau,which opened on 9 March 1933. Initially the camp contained primarily communists and Social Democrats. Other early prisons—for example, in basements and storehouses run by the Sturmabteilung and less commonly by the Schutzstaffel —were consolidated by mid-1934 into purpose-built camps outside the cities, run exclusively by the SS. The initial purpose of the camps was to serve as a deterrent by terrorizing those Germans who did not conform to the Volksgemeinschaft. Those sent to the camps included the  educable, whose wills could be broken into becoming National Comrades, and the biologically depraved, who were to be sterilized, were to be held permanently, and over time were increasingly subject to extermination through labor, i.e., being worked to death. On 1 April 1933, there occurred a boycott of Jewish businesses, which was the first national antisemitic campaign, initially planned for a week, but called off after one day owing to lack of popular support. In 1933, a series of laws were passed which contained Aryan paragraphs to exclude Jews from key areas: the Law for the Restoration of the Professional Civil Service, the first antisemitic law passed in the Third Reich; the Physicians Law; and the Farm Law, forbidding Jews from owning farms or taking part in agriculture. In 1935, Hitler introduced the Nuremberg Laws, which: prohibited Aryans from having sexual relations or marriages with Jews, although this was later extended to include Gypsies, Negroes or their bastard offspring, stripped German Jews of their citizenship and deprived them of all civil rights. At the same time the Nazis used propaganda to promulgate the concept of Rassenschande to justify the need for a restrictive law. Hitler described the Blood Law in particular the attempt at a legal regulation of a problem, which in the event of further failure would then have through law to be transferred to the final solution of the National Socialist Party. Hitler said that if the Jewish problem cannot be solved by these laws, it must then be handed over by law to the National-Socialist Party for a final solution. The final solution, became the standard Nazi euphemism for the extermination of the Jews. Early measures In German-occupied Poland Germanys invasion of Poland in September 1939 increased the urgency of the Jewish Question. Poland, was home to approximately three million Jews, in centuries-old communities, two-thirds of whom fell under Nazi control with Polands capitulation. Reinhard Heydrich, Reichsprotektor of Bohemia and Moravia, recommended concentrating all the Polish Jews in ghettos in major cities, where they would be put to work for the German war industry. The ghettos would be in cities located on railway junctions in order to furnish, in Heydrichs words, a better possibility of control and later deportation. During his interrogation in 1961, Adolf Eichmann recalled that  this later deportation actually meant physical extermination. In September, Himmler appointed Heydrich head of the Reich Main Security Office . This organization was made up of seven departments, including the Security Police, and the Gestapo. They were to oversee the work of the SS in occupied Poland, and carry out the policy towards the Jews described in Heydrichs report. The first organized murders of Jews by German forces occurred during Operation Tannenberg and through Selbstschutz units. The Jews were later herded into ghettos, mostly in the General Government area of central Poland, where they were put to work under the Reich Labor Office headed by Fritz Sauckel. Here many thousands died from maltreatment, disease, starvation, and exhaustion, but there was still no program of systematic killing. There is little doubt, however, that the Nazis saw forced labor as a form of extermination.Although it was clear by late 1941 that the SS hierarchy was determined to embark on a policy of killing all the Jews under German control, there was still opposition to this policy within the Nazi regime, although the motive was economic, not humanitarian. Hermann Gà ¶ring, who had overall control of the German war industry, and the German armys Economics Department, argued that the enormous Jewish labor force assembled in the General Government area, was an asset too valuable to waste, particularly with Germany failing to secure rapid victory of the Soviet Union. Ghettos After the invasion of Poland, the Nazis established ghettos in the incorporated territories and General Government in which Jews were confined. These were initially seen as temporary, until the Jews were deported out of Europe; as it turned out, such deportation never took place, with the ghettos inhabitants instead being sent to extermination camps. The Germans ordered that each ghetto be run by a Judenrat consisting of Jewish community leaders, with the first order for the establishment of such councils contained in a letter dated 29 September 1939 from Heydrich to the heads of the Einsatzgruppen. The ghettos were formed and closed off from the outside world at different times and for different reasons. The councils were responsible for the day-to-day running of the ghetto, including the distribution of food, water, heat, medicine, and shelter. The Germans also mandated them to undertake confiscations, organize forced labor, and,  finally, facilitate deportations to extermination camps. The councils basic strategy was one of trying to minimise losses, largely by cooperating with Nazi authorities, accepting the increasingly terrible treatment, bribery, and petitioning for better conditions and clemency. Overall, to try and mitigate still worse cruelty and death, the councils offered words, money, labor, and finally lives. The ultimate test of each Judenrat was the demand to compile lists of names of deportees to be murdered. Though the predominant pattern was compliance with even this final task, some council leaders insisted that not a single individual should be handed over who had not committed a capital crime. Leaders such as Joseph Parnas in Lviv, who refused to compile a list, were shot. On 14 October 1942, the entire council of Byaroza committed suicide rather than cooperate with the deportations. Adam Czerniakà ³w in Warsaw killed himself on 23 July 1942 when he could take no more as the final liquidation of the ghetto got under way. Others, like Chaim Rumkowski, who became the dedicated autocrat of Ã… Ãƒ ³dÃ… º, argued that their responsibility was to save the Jews who could be saved, and that therefore others had to be sacrificed. The importance of the councils in facilitating the persecution and murder of ghetto inhabitants was not lost on the Germans: one official was emphatic that the authority of the Jewish council be upheld and strengthened under all circumstances, another that Jews who disobey instructions of the Jewish council are to be treated as saboteurs. When such cooperation crumbled, as happened in the Warsaw ghetto after the Jewish Combat Organisation displaced the councils authority, the Germans lost control. The Warsaw Ghetto was the largest, with 380,000 people; the Ã… Ãƒ ³dÃ… º Ghetto was second, holding 160,000. They were, in effect, immensely crowded prisons, described by Michael Berenbaum as instruments of slow, passive murder. Though the Warsaw Ghetto contained 30% of the population of the Polish capital, it occupied only 2.4% of the citys area, averaging 9.2 people per room. Between 1940 and 1942, starvation and disease, especially typhoid, killed hundreds of thousands. Over 43,000 residents of the Warsaw ghetto died there in 1941, Pogroms A number of deadly pogroms by local populations occurred during the Second World War, some with Nazi encouragement, and some spontaneously. This included the IaÅŸi pogrom in Romania on 30 June 1941, in which as many as 14,000 Jews were killed by Romanian residents and police, and the Jedwabne pogrom of July 1941, in which 300 Jews were locked in a barn set on fire by the local Poles in the presence of Nazi Ordnungspolizei, which was preceded by the execution of 40 Jewish men at the same location by the Germans. – Such were the final finding of the official investigation conducted in 2000–2003 by the Institute of National Remembrance, confirmed by the number of victims in the two graves examined by the archeological and anthropological team participating in the exhumation. Earlier higher estimates based on hearsay were disproved. Death squads The German invasion of the Soviet Union in June 1941 opened a new phase. The Holocaust intensified after the Nazis occupied Lithuania, where close to 80% of the countrys 220,000 Jews were exterminated before the end of the year. The Soviet territories occupied by early 1942, including all of Belarus, Estonia, Latvia, Lithuania, Ukraine, and Moldova and most Russian territory west of the line Leningrad-Moscow-Rostov, contained about three million Jews at the start of the war. Hundreds of thousands had fled Poland in 1939. Members of the local populations in certain occupied Soviet territories participated actively in the killings of Jews and others. Ultimately it was the Germans who organized and channelled these local participants in the Holocaust. Hillgruber maintained that the slaughter of about 2.2 million defenseless men, women and children for the reasons of racist ideology cannot possibly be justified for any reason, and that those German generals who claimed that the Einsatzgruppen were a necessary anti-partisan response were lying. Army co-operation with the SS in anti-partisan and anti-Jewish operations was close and intensive. In mid-1941, the SS Cavalry Brigade commanded by Hermann Fegelein, during the course of anti-partisan operations in the Pripyat Marshes, killed 699 Red Army soldiers, 1,100 partisans and 14,178 Jews. The large-scale killings of Jews in the occupied Soviet territories was assigned to SS formations called Einsatzgruppen, under the overall command of Heydrich. These had been used to a limited extent in Poland in 1939, but were organized in the Soviet territories on a much larger scale. Einsatzgruppe A was assigned to the Baltic area, Einsatzgruppe B to Belarus, Einsatzgruppe C to north and central Ukraine, and Einsatzgruppe D to Moldova, south Ukraine, Crimea, and, during 1942, the  north Caucasus. According to Otto Ohlendorf at his trial, the Einsatzgruppen had the mission to protect the rear of the troops by killing the Jews, Gypsies, Communist functionaries, active Communists, and all persons who would endanger the security. In practice, their victims were nearly all defenseless Jewish civilians . By December 1941, the four Einsatzgruppen listed above had killed, respectively, 125,000, 45,000, 75,000, and 55,000 people—a total of 300,000 people—mainly by shooting or with hand grenades at mass killing sites outside the major towns. The most notorious massacre of Jews in the Soviet Union was at a ravine called Babi Yar outside Kiev, where 33,771 Jews were killed in a single operation on 29–30 September 1941. The decision to kill all the Jews in Kiev was made by the military governor, the Police Commander for Army Group South, and the Einsatzgruppe C Commander Otto Rasch. A mixture of SS, SD and Security Police, assisted by Ukrainian police, carried out the killings. Although they did not participate in the killings, men of the 6th Army played a key role in rounding up the Jews of Kiev and transporting them to be shot at Babi Yar. New methods of mass murder Starting in December 1939, the Nazis introduced new methods of mass murder by using gas. First, experimental gas vans equipped with gas cylinders and a sealed trunk compartment, were used to kill mental care clients of sanatoria in Pomerania, East Prussia, and occupied Poland, as part of an operation termed Action T4. A need for new mass murder techniques was also expressed by Hans Frank, governor of the General Government, who noted that this many people could not be simply shot. We shall have to take steps, however, designed in some way to eliminate them. It was this problem which led the SS to experiment with large-scale killings using poison gas. Christian Wirth seems to have been the inventor of the gas chamber. Wannsee Conference and the Final Solution The Wannsee Conference was convened by Reinhard Heydrich on 20 January 1942 in the Berlin suburb of Wannsee and brought together some 15 Nazi leaders which included a number of state secretaries, senior officials, party leaders, SS officers and other leaders of government departments who were responsible for policies which were linked to Jewish issues. The initial  purpose of the meeting was to discuss plans for a comprehensive solution to the Jewish question in Europe. Heydrich intended to outline the mass murders in the various occupied territories . . . as part of a solution to the European Jewish question ordered by Hitler . . . to ensure that they, and especially the ministerial bureaucracy, would share both knowledge and responsibility for this policy A copy of the minutes which were drawn up by Eichmann has survived, but on Heydrichs instructions, they were written up in euphemistic language. Thus the exact words used at the meeting are not known. However, Heydrich addressed the meeting indicating the policy of emigration was superseded by a policy of evacuating Jews to the east. This was seen to be only a temporary solution leading up to a final solution which would involve some 11 million Jews living not only in territories controlled then by the Germans, but to major countries in the rest of the world including the UK, and the US. There was little doubt what the solution was: Heydrich also made it clear what was understood by the phrase Final Solution: the Jews were to be annihilated by a combination of forced labour and mass murder. The officials were told there were 2.3 million Jews in the General Government, 850,000 in Hungary, 1.1 million in the other occupied countries, and up to five million in the USSR, although two million of these were in areas still under Soviet control – a total of about 6.5 million. These would all be transported by train to extermination camps in Poland, where almost all of them would be gassed at once. In some camps, such as Auschwitz, those fit for work would be kept alive for a while, but eventually all would be killed.

Sunday, July 21, 2019

Theories of Communication and Language Acquisition

Theories of Communication and Language Acquisition Natalie Ulugà ¼n Introduction What is communication? According to Buckley ( ) communication is the delivery of information from one person to another whereby the intended meaning is understood. Communication is a multi-faceted feature that enables humans to identify with their own socio-emotional world and its relation to others. Communication requires motivation and auditory processing ability. Moreover, the ability to understand and convey messages both verbally and non-verbally use sensori-motor skills. Buckley ( ) suggests communication skills normally develop from birth through early maternal interaction and evolve through the experience of play. However, communication is complex and relies on intrinsic and extrinsic factors for development this can result in some infants not developing the necessary skills for communication. This essay will discuss the processes involved in both the development and deficiency of communication skills in young children and it’s effect on their emotional and cognitive development. Particular significance to the role of play in in this development will be outlined and evaluated. The ability to communicate effectively is essential to human social interaction. Furthermore, communication skills provide the basis for successful edification, relationships and the participation in the wider community (miller et al). The two modes of communication are verbal and non-verbal. Bruce (2005) suggests up to 85% of our communication is non-verbal which includes all non-spoken means of communication such as gestures, body language, expression and sign. Verbal communication uses spoken language to convey information. The human brain, central nervous system, physical articulators and ears are required to produce speech. If any one area has a deficit it will have an effect on speech development. According to Kahim(1998)cites (asha 1983) communication using language requires the comprehension of social interrelations. These can include complex modes such as motivation, tacit clues and social and cultural rules. Buckley () suggests language is a symbolic mode of communication governed by grammatical and social rules .These rules not only encompass semantics, syntax and phonology but also the contextual considerations of language such as sarcasm, politeness strategies referred to as pragmatics (Bloom and Lahey 1978). In view of such intricacies de Boysson-Bardies( 1999) affirms the acquisition of language must be genetically encoded and exclusive to human beings. This is a nativist approach to language acquisition which was embraced by Noam Chomsky. Theories of language acquisition Chomsky (1959) proposed that children have an innate ability to learn language through a language acquisition device. According to Chomsky (1965) the brain is hard wired through genomes to understand a spoken language. He suggests the L.A.D is situated within the auditory cortex. It has also been suggested by Lenneberg (1967) that if language is not acquired by puberty it can never be learnt. This suggests that the ability to learn languages is genetically acquired through synapse connection in the brain and furthermore has a critical period to stimulate its development (Schwartz 2009). The interactionist approach suggests language acquisition is a process influenced by environmental and nativist elements. Vygotsky and Bruner held the view that a child needs interaction with others to support language learning. This is known as LASS Language acquisition support system. Conversely traditional behaviourist’s theory of language acquisition suggests children acquire language through conditions and reinforcement. This is evidenced through observation of a new-born and mother. The new born’s motivation for communication is rewarded by the mother’s interaction. Crystal (1986) argues that children do not simply imitate adults or older children when acquiring language; this is evidenced by the immature and incomplete speech that children develop as a result of applying grammatical rules or possessing inadequate vocabulary. This is evidenced in the following case studies.   The processes involved in development of effective communication Verbal and non verbal language development Primarily, early communication is an expression of need ( Crystal). If an infant’s pre-linguistic vocalisations are rewarded by their needs being met they quickly learn the advantages of communication. Furthermore, an infant needs a warm and affectionate relationship with their caregiver in order to initiate communication. Ferroni et al (2002) demonstrated that early non-verbal communication such as eye gazing contributes to the development of facial decoding and the theory of mind. Theory of mind is a cognitive ability to decode nonverbal communication, deduce the emotional states of others using intuition and cues, as well as understanding a situation from different perspectives. According to Goldberg and Burdick( ) Theory of Mind deficits are caused by cognitive dysfunction and are present in neuropsychological conditions such as Bipolar euthymic and ASD spectrum disorders. This suggests a correlation between nonverbal communication impairment and future social cognitive de velopment. Nonverbal communication continues to develop alongside verbal communication in neurotypical children. According to Elks and McLachlan (2001) the most important process in verbal communication is concentration, listening skills and memory recall. From four months a baby develops strength in their tongue and the in excess of one hundred jaw muscles needed to produce phonology. (Crystal ) begin babbling, the head and neck growth allow vocal chords to sit in correct position for speech consistant with an adult . This suggest there is a biological reason why a baby does not produce speech until ten months. 10-12 months According to ( Volkmar) (Capone )as a child begins using gestures and pointing to objects they will acquire the symbolic language that represents the object however this is not always the case for children diagnosed with ASD. According to Baron- Cohen () young children diagnosed with ASD do not use pointing gesture to request visual attention in the same manner as neurotypical children, inasmuch as a child with ASD can lack motivation for conversation. Communication chain Elks and McLachlen (2008) highlight the complexity of language and communication by categorising the processes in sequential order; this is referred to as the Communication Chain. The metaphoric chain depicts the interdependence of each process involved in order to achieve effective communication. If there is a deficiency in any of these processes it will have an overall negative effect upon language acquisition and communication. The process begins with the motivation or reason to speak followed by choosing the correct semantics, syntax and phonology. The next stage involves the physicality of speech production, motor sensory instructions to the articulators which include the muscles, jaw and tongue. The production of sound then the delivery of pragmatic speech. Interestingly, the mindfulness or â€Å"self monitoring â€Å"of the appropriateness of the speech occurs after delivery. Thus implying that to self-monitor before you have an idea does not take place although it does prio r to a response. Children diagnosed with ASD often have a deficit in understanding pragmatics of a language and can appear rude or their conversation inappropriate (Buckley). According to Volkmar et al ( )they equally lack ability to self-monitor, maintain eye contact and understand non-verbal cues which are the next phases; this is a substantial part of the communication chain. Role of play in language development According to Russell (2006) philosophers and scholars have attempted theorise play and provide definitions. The example by Hugh (1996:16) expresses the fundamental elements of play; â€Å"†¦freely chosen, personally directed and intrinsically motivated.† Frost et al (2005) suggests psychoanalytical theories of play involve a child acting out previous experiences that may have been caused trauma or fear. Or perhaps an emotion that would not be ordinarily accepted. Other theories of play here The EYFS Statutory framework (2008 suggested that play is vital to a child’s development; play should be supported by adults but led by the child thus promoting self-confidence, problem solving and social skills. Goouch (2006) adds, child led play promotes self-esteem and reinforces a child’s identity particulary the imaginary play. According to ( )play supports children to understand speech. Williamson and Silvern (1984) suggests when young children act out a story they demonstrate improved memory and comprehension of the story ( ) suggests language impairment and deficits in imaginary play occur concomitantly. Hughs (2010) notes the similarities between language development and play inasmuch as the required skills for imaginary or symbolic play are likened to the ability to interpret the world through mental representation. Observations were made of a young child actively playing alone commenting on his play activity. Vygotsky, cited in Britton (1994:260) refers to this as â€Å"Speech for oneself†. This gradually diminishes as the child ages and eventually this process becomes internal thought. This process of internalised language is essential for problem solving, reasoning and abstract thinking skills. Concluding that the inability to internalise language would have a negative impact on cognitive development (Miller et al 2013 ). According to Buckley () adult interaction is essential to develop language skills particularly reciprocal conversation aimed at the level of the child’s ability such as motherese or child directed speech. Evidence for ( ) suggest the pauses and intonation of motherese assists children to understand language syntactically .Somoa argues there is no difference in language aquistion in families not practising parentese ( the east) . A child’s socio-emotional development depends on their command of language (Miller). Early infant and carer interaction is essential for all areas of a child’s development. As a child’s language develops they go from talking in the present tense and progressively to the past and future tense. Piaget suggests that not until a child has learned the concept of time will this be displayed within their language use. Conclusion Whitehead (2006) suggests that early skills for communication begin inutero .Evidence from ( ) argue that babies prefer the mothers face and voice, Infants gaze into their carers eyes from ? weeks they will then overt eye contact to cease communication . Someone ( ) attributes the lack of communication in children with ASD to their lack of proficiency in play, particularly for imaginary play. Vygotsky () theorised that play was significant to language and cognitive development. Vygotsky () argues it is necessary for a more knowledgeable other to confirm the correct language use. Piaget theorised that the acquisition of language has a direct correlation on a child’s cognitive development. According to Piaget an infant will not apply nouns to objects until he has reached the cognitive ability of object permanence.. Not until a child reaches the pre operational stage ( About 2) two will they understand the world around them by the use of language and speech.

Post Modernism To Sociological Understanding Sociology Essay

Post Modernism To Sociological Understanding Sociology Essay Important contributions to sociological thinking about postmodernism emerged from several academics, some of whom considered themselves postmodernists and others who did not. This essay will discuss the origins of postmodernism and its views and focus primarily on the works of Jean-Franà §ois Lyotard, Jean Baudrillard and poststructuralist Michel Foucault. In addition to this, criticisms of their work and their influences within social theory shall be analysed. Postmodernism developed as a reaction to the inadequacies of the eighteenth century Enlightenment movement which held views about scientific positivism, the search for absolute truth, ultimate meaning and the nature of reality using rationality. Postmodernists are anti-essentialist and argue that an absolute scientific truth has been discredited as truths are multiple and always changing. The belief is that people no longer rely on science. In support of this, Fulcher Scott (2003) argue that in 1962, Thomas Kuhn suggested that science creates its facts instead of providing given facts. He argued that scientists collaborated with other researchers who shared particular concepts and methods in common to bring about factual knowledge; Kuhn claims this tells scientists what to find in experiments and help explain observations that do not match their preconceived ideas. This view was developed further by Lyotard, which shall be discussed in more detail (Haralambos Holborn, 2004). It is argued that the postmodern society is associated with pluralism, difference, uncertainty and cultural relativism as there is a vast choice of interpretations of the world surrounding humans. Moreover, individualism reigns and people find it difficult to form a real identity making them anxious and insecure (Jones et al. 2011, Giddens 2006, Bilton et al.2002, Connolly 2013, Boyne Rattansi, 1990). Therefore, postmodernists stress for the need for local knowledge produced out of particular locations (Macionis Plummer, 2nd edn). Jean- Francois Lyotard  (1995) stated I define postmodern as incredulity toward metanarratives. This incredulity is undoubtedly a product of progress in the sciences. This rejection of metanarratives is related to the postmodernist idea that there is no social theory that can provide absolute sociological knowledge. Meta-narratives which are big stories that seek to find the objective truth about society, provided by the likes of Emile Durkheim and Karl Marx who attempt to explain the social world in its entirety have been abandoned, as suggested by Lyotard. This involves scepticism towards the idea of history moving in the direction of progress, freedom and reason (Beyer 1992, Connolly 2013, Ritzer,). Lyotard uses the concept of language- games. He argues that language is problematic as it does not provide a map for reality. With positivism however, language is considered to be a natural outlet to describe observations but postmodernists reject this notion as there are too many meanings for one word which are in constant flux. Lyotard argues that the Enlightenment brought about scientific denotative games whereby scientific statements are scrutinised by other scientists and rational argument is used to establish whether a statement should be accepted or rejected. The belief is that science can help humans to become more self-conscious. However, Lyotard rejects this view and argues that nowadays statements are judged not by whether they are true or not, but whether they are useful and efficient or not (Connolly 2013, Haralambos Holborn, 2004). On the other hand, Giddens (2006) argues that Jean Baudrillard sees society as characterised by simulations and hyper reality. The creation of simulacra attempt to reproduce reality and hype reality is a description of the social world in which simulations and simulacra become real and predominate. Society is dominated by media, technology and information which have created an empty world. Appignanesi et al. (2004) suggest that Baudrillard argues that this has reversed Marxs theory that economic forces shape society. Instead, society is influenced by a constant flux of meaningless signs and images. Meaning is now created by the flow of images such as in TV programmes, pop music and so forth. Individuals now respond to media images rather than to real people or places. These provide impermanent multiples of reality to consume (Haralambos Holborn, 2004, Kirby 2000, Agger, 1991 and Giddens 2009). Jones et al. (2011) argue that this breakdown between reality and knowledge is part of peo ples knowledge in the postmodern world as suggested by Baudrillard. He calls this the dissolution of life into TV (cited in Giddens, 2006: 115). In addition he states, TV watches us, TV alienates us, TV manipulates us, and TV informs us (Haralambos Holborn, 2004, p. 976). Baudrillard is pessimistic about the future and does not believe in socialism as suggested by Marx. He views the masses as being gradually more passive. Thus, life is led toward nihilism (Ritzer, 2008). In contrast, Lyotard is optimistic about these new changes. Unfortunately, Baudrillards work has been criticised for being highly abstract and relies upon examples to illustrate arguments (Haralambos Holborn, 2004). Alternatively, associated with post structuralism is Michel Foucault who incorporated a variety of theoretical insights, particularly from Karl Marx and Friedrich Nietzsche. Like Nietzsche, he was particularly interested in the relationship between power and knowledge. Foucault pays particular attention to the techniques that are developed from scientific knowledge and how they are used by various institutions to exert power over people via surveillance, enforcement and discipline. His work is known as Foucaults archaeology where he sets about making sense of the familiar by looking into the past. He sees history moving from one system of domination based on knowledge to another. He suggests that there is no history but a multiple, overlapping and interactive series of legitimate vs. excluded histories. One example he suggests is that there are increases in the ability of the sane and their agents such as psychologists to oppress and repress the mad, who initially used to be viewed t o possess a gift (Ritzer 2008, Marsh et al. 2009, Giddens, 2006, Macionis Plummer 2002, Jones et al. 2011, Appignanesi et al. 2004). This means that what counts as true, morally right is relative to a particular time, place and power struggle; truth changes according to whoever is powerful enough to define it (Jones et al. 2011). Foucault developed the concept of discourse by drawing upon the work of Claude Levi-Strauss who argued that language originates in the unconscious human mind. Furthermore, culture is also the creation of the same unconscious thought processes. Culture is therefore like language. Thus there is nothing in social life that is a result of the creation of the imaginative mind. Human beings are not the authors of their life stories as these are written for them in language and in culture which exist independently of individuals. Therefore social reality is defined by structural influences as a system of language external to the actor. This link between thought, language, knowledge and action Foucault summarizes with the phrase discursive practises (Jones et al, 2011). Fulcher and Scott (2003) argue that Foucault and Lyotards works are often linked as they both reject the idea that there are constraining structures in social life and recognise fragmentation and diversity in cultural and social life. Foucaults writings have been influential in furthering research into power and knowledge across the social sciences (Ritzer, 2008). His approach to analysing the relationship between truths, meaning and power has shaped the theoretical and research agendas of the social sciences Jones et al. (2011) (p. 128). Moreover, Agger argued that Foucault has made direct empirical contributions to social sciences where he has studied the discourse/practices of prisons (1977) and sexuality (1978). This research supports his argument. Overall, postmodernism is criticized for being untestable, superficial, fragmented, relativistic, abstract and lacking depth. A consequence of this is that people are unable to make sense of an increasingly complex society. In addition to this, Giddens (1990 cited in Bilton et al. (2002) argues that the postmodernist account of contemporary society is contradictory because Lyotard and Baudrillards arguments are based on uncertainty. Furthermore, Giddens criticises postmodernist approaches for rejecting the notion that humans are creative agents with an active part in shaping their social worlds. The view that an absolute break with past has occurred, as suggested by Baudrillard, has been solidly rejected by most sociologists, as he was unable to identify the point of separation between modernity and postmodernity or provide a clear account of the move into postmodern society. This inadequacy may have led sceptical sociologists like Giddens (1991) and Beck (1999) to go for terms such as late modernity to describe the social changes representative of contemporary society. Other criticisms by Greg Philo and David Miller suggest postmodernisms inability to account for social causation and the implication of factors such as the economy. Instead, the focus was only on surface portrayals of social change and missing the impact of deep social structures and growing inequalities which should not be ignored within sociology. Moreover, Philo and Miller argue that Baudrillard is said to pretend as though media images have no connection with reality at all. In their research, they found that media audiences are well aware of the difference between reality and TV images. Philo and Miller abandon the postmodern impression that people are free to consume, do as they wish and recreate identities as they please. They believe that people are still very much inhibited and shaped by structures such as the capitalist economy. Postmodernists ignore that culture is shaped by the capit alist economy (Haralambos Holborn, 2004). Another criticism is brought forward by Jà ¼rgen Habermas who rejects the arguments of postmodernism notion that it is impossible to understand the social world rationally (Kirby, 2000). Nevertheless, the biggest contribution of postmodernism may lie in its methodological approach in denying both the search for absolute truths and an emphasis on finding the foundations of social occurrences. Instead, the postmodern approach suggests that the influence of authority and power need to be analysed in social theory, with the intention of concentrating on the uncovered social conditions of marginalised groups of society (Ritzer, 1997). Additionally, Agger argues that postmodern approaches have been effective critiques of positivism, interrogating taken for granted assumptions about science. However, postmodernism has not produced a concrete version to replace positivist classical theories. In conclusion, Foucault has shown through his studies how knowledge was historically established through his concept of discourses. Baudrillards analysis has been suggested to possibly enhance research in the social sciences on culture and the media (Agger, 1991) and Lyotard has shown how science is just one of the many discourses currently in power to control people.

Saturday, July 20, 2019

Science Vs Religion :: essays research papers

Since the beginning of human history there have been many explanations for events that seem out of human control. In recent civilized history, religious and since the beginning of human history there have been many explanations for events that seem out of human control. In recent civilized history, religious and scientific views have often clashed with one another. Religious ideas are usually presented first and then enough scientific evidence accumulates to dare religious beliefs. These findings of science are met with incredulity and most are considered a heresy. Since the middle ages until the 18th centuri, religious ideology was the most accepted way of explaining the unexplained. During the next couple hundred years, many members of academia(a school of philosophy), using science to back them up, came up with new ways of dealing with the unanswerable questions. When the church had the greatest power, men and women of science were viewed as the "wicked guys." In most cases it was safer to believe in the church and their ideas, in order not to be excommunicated or shunned by society, than to place their trust in charlatan scientists. As a result, many conflicts arise between men of religion and men of science. Even if a scientist set out to prove the church wrong and show some very strong evidence contrary to popular belief, he was usually shunned and his ideas denounced publicly. It is not until many people have similar evidence and findings do they gain any credibility with normal people and the church. Nowadays people believe that if a scientific view is false, then by continuing study and research the truth may be discovered. one may conclude that if no one presented new ideas, then intelligent thought would have no place in a society like that. Scientists like Darwin accepted the risks involved in presenting new ideas. Voltaire also was a revolutionary thinker. Although, he presented ideas of his own, he decided to satirize science and religion. Each society, church, men of academia, believes that their ideas are correct and therefore are the best of the world. It is true, even to this day, that each nation has a different set of standards, reasoning, and beliefs on how life works and what are the best possible things to believe in. In some cases, nations try to push those beliefs on other nations. This results in a push for new scientific research and other religious and philosophical beliefs of that nation, to fight the ideas that are being reflected on them.

Friday, July 19, 2019

Magic :: essays research papers

Doing this research paper didn’t really help me find anything extraordinary about the word magic. I pretty much knew what the word magic meant, from the comic books I read and the television I watch. It did however, make me view the word in more depth. Don’t get me wrong, I’m not implying in any way that the word magic, is dull, because it is just the opposite. I’m simply stating that because of my fascination with the subject of magic, I am already familiar with its background and capabilities. I chose the word magic because the concept of any human being possessing unexplainable, supernatural powers intrigues me to the point where I wish I had been endowed with those powers. If I had to choose a favorite; I would have to go with the two poems I obtained from the Concordance to Shakespeare and the Granger’s Index to Poetry. It all started when we received our word list. I looked for a word that I interested me, and that I thought would be easy to f ind information on. I guess, for the most part I was right. All the references available in our school library were pretty easy to find; such as the Roget’s Thesaurus, the Unabridged Dictionary, and surprisingly the Book of Quotations and the Concordance to the Bible. On one day there, at the St. Paul library four were down and there were four to go, which wasn’t too shabby for the first day. I figured I was doing well getting half of my list taken care of before Christmas vacation, and then during vacation I would finish the job.   Ã‚  Ã‚  Ã‚  Ã‚  Well as any normal teenager would agree the plan of doing work during vacation vanished as soon the final bell rang to start vacation. On the first day back to school I took a trip to a local library near my house. I already knew that I wouldn’t find everything that I needed, but I checked it out any ways. I was only able to find the Oxford English Dictionary, but luckily I bumped into my wonderful English teacher Ms. Frausto who informed me that the Uptown Whittier Library would have the sufficient amount of information I needed to complete my research. In deed, my very wise mentor was right. I did find the rest of the items I was in search of, which were a periodical, a poem, and an excerpt from a Shakespeare play.