Thursday, December 26, 2019

Trans Pacific Partnership A Free Trade Agreement

The Trans-Pacific Partnership, also known as the TPP is a free trade agreement that is among 12 countries including Canada. This trade agreement is for the 21st century. The deal is between Australia, United States, Brunei, Peru, Singapore, New Zealand, Japan, Mexico, Chile, Malaysia, and Vietnam. According to this, the agreement covers 40% of the world’s economy. The TPP’s effective goals are to improve trade, investment, economic growth, job creation, development, and innovations through the partnership with the countries. However, in Canada, the Trans-Pacific Partnership is known to be the largest trade but also larger than the North American Free Trade Agreement (NAFTA) yet, the Trans-Pacific Partnership is the most impressive free†¦show more content†¦The Trans-Pacific Partnership provides many benefits for people, one being it opens paths for employment opportunities. However, many trade economists consider trade agreements do not change the number of job s although they change for the types of jobs. The TPP would determine to create over 650,000 new jobs with increased income. Hence, as the income increases, there will be a reduction in prices on purchased goods. Despite that, the more productive the trade is it would lead to more effective jobs with raised incomes yet, not increasing the number of less effective jobs. In addition, the TPP is expected to lower trade and investment boundaries that will permit competitive corporations to move into new markets, hire workers at better but lower wages, reduce prices, and improve the range of quality of goods and services that is accessible to households and other companies. This free trade agreement compromises with the most preferred significance in every state that are involved in the TPP by considerately creating more jobs offshore with lower wages. Thus, this will be better at reflecting values along with protecting workers. The TPP will spread the incentives to offshore more employm ent opportunities in foreign countries. Hence, this agreement would make it no trouble for businesses to offshore jobs and push down earnings through forcing to compete

Tuesday, December 17, 2019

Affordable Care Act ( Aca ) Shift American Health Care

Affordable Care Act (ACA) shift American health care system.The Institue of Medicine (IOM) report recommends the future of nursing are one of the important workforces leading the change. The Robert Wood Johnson Foundation (RWJF) sponsored the Initiative on the Future of Nursing (IFN) research in America (Robert Wood Johnson Foundation Initiative on the Future of... n.d.). In this essay, the student will discuss the IOM report on the IFN leading healthcare system reform. And Acknowledge the significance of nursing workforce development related to the nursing shortage, nursing education, leadership and nursing practice. Also, interduce the goals of State of Arizona action coalitions on future of nursing campaigns and how to overcome the†¦show more content†¦Nurses also can Redesign nursing education (Nursing s role in health care reform - American Nurse Today. n.d.). According to the IOM Report, nursing is the heart of the American health care system.And the nurses should continue their education to match the needs of the future people s health needs (Robert Wood Johnson Foundation Initiative on the Future of...n.d.). Nurses play and important role in the health care system. Nurses have excellent inherent to manage change to improve the health care system (The Future of Nursing: Leading Change, Advancing Health. n.d.). They can be as innovators to lead changes. Nurses understand how to approach care and enhance quality at the lower cost (Nursing s role in health care reform - American Nurse Today. n.d.). They can engage in research to Generate evidence-based practice and help shape the quality and safety through collecting and tracking data to enhance care. Nursing research benefits create the logical framework for clinical usage, prevention, and improved patient outcomes. Nurses can Redesign nursing education (Nursing s role in health care reform - American Nurse Today. n.d.). All nurses should to maintain necessary competencies to match the requirements of the population aging and various culture and community health care needs, (Nursing s role in health care reform - American Nurse Today. n.d. ). The IOM report, The Future of Nursing: Leading Change, Advancing Health, is the blueprint

Monday, December 9, 2019

Acute and Mental Health Crisis Care

Question: Describe about the Acute and Mental Health Crisis Care. Answer: Introduction: The acute and mental health crisis care is an agreement between the agencies and services who are involved in providing support and care to the people who are suffering from the mental crisis. With the help of this process, the mentally ill people get benefit in the time of their urgency (mind.org.uk/media. 2016). In the words of Bernstein (2014), the effectiveness and quality of this procedure and responses create a great impact on the way of recovery and the willingness to live the life again of those people who faced this type of crisis. In this context, it is founded that in Wales and England, a huge number of people experiences the mental health crisis and they are forced to go to the psychiatric hospital during the time of vulnerability (Mental Health Crisis Care Concordat 2016). As per the theoretical concept of consequentiality ethics, the action of restraint may be ethical or unethical during the time of treating a mental patient. It depends on the circumstances of the situation. Discussion: TAQ 1: The essay question is based on the critical evaluation of restraint treatment policy which is ethical or not during the times of treating the mental health patients. With the help of theoretical concepts of ethical theories the above argument can be done along with survey result of NHS which is an alarming issue in Wales and England. The survey report of the charity mind of mental health depicted the result that in every four people one people has faced a mental problem without consulting a proper psychiatric in Britain. A major portion of people approximately in every 1000 people, 300 people suffer from mental health diseases every year not only in Britain but also in England and Wales. Among them near about 230 numbers of people visit in GP and 102 numbers treated as a mental health issues; whereas, 24 numbers of people transferred to a specialist psychiatric center and six become admitted in a psychiatric hospitals (mind.org.uk/media. 2016). This type of action is ethical or not solely depends on the consequences and circumstances as in many situations it is beneficial for the patients. The word count for the essay is 1500 words. It can be explained with an example that sometimes a patient can be restrained with vulnerability and anger without any negative consequences. On the contrary, Noddings (2013) discussed that the motivation may be ethical by making the consequences unethical. Thus, the consequences cannot be considered as a root cause of ethics. The motivation needs to be discussed in this perspective as it is intangible. TAQ 2: Figure: Mind Map of the essay (Source: As created by author) The plan of the essay includes two types of ethical theories such as Situation Ethics and Utilitarianism has been used in this research analysis. With the help of these two theories and survey result of National data and NHS, the assessment of this system can be done along with the suitable suggestions of restraint treatment policy is ethical or not. 3: In this essay, two conceptual frameworks of ethical theories namely Utilitarianism and Situation Ethics have been used for the aspect of discussion. According to Niebuhr (2013), the theoretical concept of Situation Ethics depicts the principle of acting in love. As per this theory, love is the appropriate and best thing for any human being as it shortens the distance between the neighbors, friends, and enemies. In this perspective, in the words of Shafer-Landau (2012), Situation Ethics suggest to do the work practically by concerning to agape as there is no limitation. In addition, during the time of value judgment, love is the priority and morality and ethics is considered here instead of laws of the society. As a result, it is more applicable in this scenario as with the help of this policy; different situations can be taken into account along with flexibility (Andrews 2014). On the contrary, as commented by Peters (2015), love is not considered as a universal understanding in every situation, and it is impossible to understand that the outcome of any action should be love which is appropriate for this situation. Thus, in this consequence, another consequentialist theory of Act Utilitarianism is critically assessed as it concentrated on the acts of the people of greatest number (Bernstein 2014). This ethical theory judges the consequences of appropriate or wrong decisions which solely depend on the utility. In general, it inferred the amount of happiness or pleasure they cause as it is a quantitative theory. By comparing to the Situation Ethics, it is more flexible and efficient to take the required action depending on the circumstances, and it emphasizes on the greatest number of happiness which is acquired by the largest number of people (Leff et al. 2015). On the other hand, the taken action is judged over evaluating the situation whether it is ethical or not. Sometimes the action may be ethical in one scenario; whereas, it may be considered as unethical in another situation. However, in the words of Thoits (2013), it is impractical to evaluate the morality in every consequence and it only focuses on the majority numbers which is not appropriate for all actions. Due to the problems of above-stated ethical theory, the theoretical concept of Rule Utilitarianism is applied here to judge the restraint procedure of treatment for mentally ill patients is ethical or not as this theory focuses on the quality of happiness instead of quantity. According to Noddings (2013), as per this ethical theory, happiness or pleasure over pain is measured according to the quality of happiness which ensures the more utility whether the action is good or bad for the society by following the pre-determined rules. However, this theory is irrelevant as it only concentrates on the majority portion of happiness instead of minority along with the concept of s ociety accomplish the well-being of people first (Niebuhr 2013). Moreover, if the people strictly follow this rule, then it would obey it; whereas, according to the weak rule, the people have the liberty to break the pre-determined rules for acquiring happiness over sorrow (LaFollette and Persson 2013). In this scenario, the Act of Mental Health in the year 2007 explored the issues and root cause of approximate thirteen numbers of deaths which are related to the restraint in the cities of Wales and England. With the help of this act, the procedure of treatment in case of acute and crisis disease is ethical or unethical can be analyzed along with the concept of above-stated ethical theories (Shafer-Landau 2012). The survey report of the Act of Mental Health of 2007 inferred the result that a huge number of inpatients are admitted in the hospitals whereas, the available number of beds has decreased. Moreover, as per this act, near about 39% of inpatients are absorbed in the mental care hospitals and the percentage is higher in mainly urban areas whi ch are approximately 80 to 90% (Digital.nhs.uk. 2016). This result would suggest that the psychiatric hospitals of NHS are continuously increasing to serve a better treatment and care for mentally ill patients and the patients of acute and crisis diseases. Furthermore, most of the inpatients are transferred to the custodial, and almost every acute ward is closed (Digital.nhs.uk. 2016). In this perspective, to critically evaluate the treatment process of restraint in case of acute and crisis care, the mental health of charity Mind organized an inquiry about the acute care and the mental health of crisis healthcare of 2010 which is well known as an Experience of Learning (Mental Health Crisis Care Concordat. 2016). The survey report of the inquiry showcases the information that most of the hospitals are inefficient and lack of proper treatment and care in Wales and England in which the data is collected from the family and friends of the patients and associated staffs and advocates. In this context, the result would highlight more information regarding this issue that sometimes the life in the ward is terrible and become violent to exist and the associated nurses do not bother about the patients. In addition, due to the lack of wards and relevant nurses, the staffs and members has faced a stress and over-worked (mind.org.uk/media. 2016). Furthermore, the atmosphere of these types of hospitals provides a relaxing and homely environment which is supportive and effective during the time of treatment the mentally ill patients. In this scenario, in the words of LaFollette and Persson (2013), the Nursing department of Royal College (2008) stated the different types treatment related to restraint which is sometimes ethical or unethical depending on the consequences. According to Andrews (2014), the physical restraint treatment procedure is generally used in the psychiatric hospitals to control the abusive, violent and aggressive patients by blocking, holding or moving the patients by the staffs. Thus, it may be considered that the ethics and morality of physical treatment related to the mentally ill patients are not maintained properly and become violated. Since the statement is partially true as this process is used concerning the importance of the situation and the aggressiveness of the patients (Peters 2015). However, as stated by Bernstein (2014), in the chemical restraint process treatment can be done by using medicine; whereas, in the mechanical restraint procedure, the aggressive patients can be controlled by using equipment such as belts or ties to tie up the patient in the chair or bed. In addition, the staffs of the hospitals lock the doors and keypads to stop the patients leave from the rooms which do not bother about their freedom (Niebuhr 2013). On the contrary, the psychological and technological surveillance is not so strict types of restraint as in this process the patients would guide by the doctor about what and when to do in a great care (Leff et al. 2015). The patients are observed through the CCTV by which the required action should be taken against any violent patient, but their personal things are detached from them. By concerning the above research analysis, it can be inferred that Utilitarianism theory specifically Rule Utilitarianism theory is more applicable to prove the statement that restraint policy of treatment to the mentally ill patients is partially ethical as it considers the current situations of the patients (Thoits 2013). Furthermore, the physical restraint process may be considered as an unethical as the patients are controlled physically during the times of their anger and agitation. On the contrary, the other process of restraint treatment can be applied on the inpatients in an ethical manner (Andrews 2014). Conclusion: From the above discussions, it can be concluded that the restraint policy of treatment to the mentally ill patients is considered as partially ethical and unethical which depends on the current circumstances. In this perspective, the ethical theory of Utilitarianism is more appropriate than Situation Ethics to critically analyze the ethical and morality of the treatment restraint policy. As per the Utilitarianism theory, the main emphasize is given to the highest utility of happiness of the people over pain with or without Obeying and breaking the pre-determined rules. This ethical theory is more flexible and relevant compare to the Situation Ethics. Moreover, the survey report of the mental health of charity Mind showcases the information that most of the hospitals are running out of order along with the lack of proper facility of staffs, separate rooms, care and food which indicates the inefficient structure and ineffective treatment environment to the mental patients suffered from acute and crisis. On the other hand, while the chemical, psychological and technological surveillance of restraint treatment can be done in an ethical manner; the physical and mechanical treatment procedures are considered as an unethical restraint treatment procedure. Thus, the overall restraint policy of treatment to the mental ill patients are accomplished as an partially ethical and unethical measures as sometimes the policy is very tough for the acute and crisis care inpatients whereas, the another part of policy is suitable towards them. Reference list: Andrews, K., 2014. Personhood, Ethics, and Animal Cognition: Situating Animals in Hares Two-Level Utilitarianism, by Gary E. VarnerThe Philosophy of Animal Minds, edited by Robert W. Lurz.Mind, p.fzu128. Bernstein, J.M., 2014.Recovering ethical life: Jurgen Habermas and the future of critical theory. Routledge. Digital.nhs.uk. (2016).Mental Health Services Data Set - NHS Digital. [online] Available at: https://digital.nhs.uk/mhsds [Accessed 5 Sep. 2016]. LaFollette, H. and Persson, I. eds., 2013.The Blackwell guide to ethical theory. John Wiley Sons. Leff, H.S., Chow, C.M., Pepin, R., Conley, J., Ph, B., Allen, I.E. and Seaman, C.A., 2015. Does one size fit all? What we can and can't learn from a meta-analysis of housing models for persons with mental illness.Psychiatric Services. Mental Health Crisis Care Concordat. (2016).About - Mental Health Crisis Care Concordat. [online] Available at: https://www.crisiscareconcordat.org.uk/about/ [Accessed 2 Sep. 2016]. mind.org.uk/media. (2016).listening_to_experience_web.pdf. [online] Available at: https://www.mind.org.uk/media/211306/listening_to_experience_web.pdf [Accessed 2 Sep. 2016]. Niebuhr, R., 2013.Moral man and immoral society: A study in ethics and politics. Westminster John Knox Press. Noddings, N., 2013.Caring: A relational approach to ethics and moral education. Univ of California Press. Peters, R.S., 2015.Psychology and Ethical Development (Routledge Revivals): A Collection of Articles on Psychological Theories, Ethical Development and Human Understanding. Routledge. Shafer-Landau, R. ed., 2012.Ethical theory: an anthology(Vol. 13). John Wiley Sons. Thoits, P.A., 2013. Self, identity, stress, and mental health. InHandbook of the sociology of mental health(pp. 357-377). Springer Netherlands.

Monday, December 2, 2019

Theory Observation Distinction free essay sample

Quine advocates semantic ascent, the shift in which the language we use to refer to the world becomes something we talk about in its own right. Semantic ascent is a shift from questions about objects to questions about words or statements. He says we should ‘drop the talk of observation and talk instead of observation sentences, the sentences that are said to report observations’ (The roots of Reference). So obviously Quine thinks the two questions are equivalent. They have often been treated as equivalent questions, or at least not distinguished too carefully. I agree with Van Fraassen that we should at least note and respect the differences between the two ways of talking about what might be the same issue, and not make the category mistake of talking about theoretical entities, just for clarities sake. At any event Paul M Churchland disagrees with Quine that the two debates are parallel , He says â€Å"we agree (Churchland and Van Fraassen) that the observable/unobservable distinction is entirely distinct from the nontheoretical/theoretical distinction†. We will write a custom essay sample on Theory Observation Distinction or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page This disagreement / confusion as to the very terrain, layout of the questions of the debate, arises because there is the ordinary language question of how do we naturally apply the terms ‘observed’ and ‘observation’, as well as the question of whether a principled O/T distinction can or should be drawn; as Gerry Fodor’s Granny says: â€Å"True there is an epistemologically important distinction, that it’s reasonable to call ‘the’ observation inference distinction, and that is theory relative. And, also true, it is this theory-relative distinction that scientists usually use the terms ’observed’ and ‘inferred’ to mark. But that is quite compatible with there being another distinction, which it is also reasonable to call ‘the’ observation /inference distinction which is also of central significance to the philosophy of science, and which is not theory relative. † It is this second principled O/T distinction that I will focus on as opposed to the ordinary language distinction, I do not think ordinary language arguments bear on the question of whether there is or should be a principled distinction. Although examining what inclines us one way or another in ordinary language usage may clarify factors that also influence us in an overall distinction, such as naturalness, entrenchment, flexibility and plasticity. After semantic ascent the question of whether there is an O/T dichotomy becomes one of whether all observation reports presuppose some theory. This slightly ignores the question of the ontological status of the entities, whether observed or unobserved, but this will come up when I tackle the subsidiary part of each question the â€Å"why make a distinction, for what purpose? †or â€Å"why does it matter if a distinction presents itself? I think the strategy of semantic ascent is useful and justified since the debate takes place in at least two domains, the perceptual/cognitive (internal) and the observational/inferential (public)â€Å"The strategy of semantic ascent is that it carries the discussion into a domain where both parties are better agreed on the objects (viz. , words) and on the main terms connecting them. Words, or their inscriptions, unlike points, miles, classes and the rest, are tangible objects of the size so popular in the marketplace, where men of unlike conceptual schemes communicate at their best. The strategy is one of ascending to a common part of two fundamentally disparate conceptual schemes, the better to discuss the disparate foundations. No wonder it helps in philosophy. † Quine word and object. But it is a bit confusing and difficult to translate debates or points between the two, and certain debates are clearer at the ground level rather than the meta-level. There are three classes of arguments that bear on the T/O distinction: 1. Meaning holism arguments. Which tend to work against the distinction 2. Ordinary language arguments. Which tend to work for the distinction 3. Psychological arguments. Which can work for or against As well as a specific argument by Grover Maxwell from the continuity of observation with inference which works against the T/O distinction. There are two extant modes for making the theory observation distinction – Fodor’s and Van Fraassen’s. Fodor defends the distinction against the implication from cognitive science that perception is continuous with cognition. Van Fraassen defends the distinction against Maxwell’s challenge that it is impossible to draw the line between what is observable and what is only detectable in some more roundabout way. Fodor and Van Fraassen have different reasons for drawing a distinction, Fodor, to defend realism, Van Fraassen to attack realism, strangely enough. Fodor to defend realism against Kuhnian relativism, and Van Fraassen to defend constructive empiricism, a form of anti-realism, against incoherence, and so pit it against realism. As Andre Kukla notes â€Å"It is not surprising that a realist and an anti-realist should agree on something; but it is curious that van Fraassens and Fodor’s defenses of the theory-observation distinction play diametrically opposite roles in their philosophical agenda’s. † Andre Kukla the theory observation distinction. But should we be driven by a philosophical agenda in debating a question? Or should we resolve the question and then decide on a position which accords with our answer? Shouldn’t we be neutral when we make philosophical decisions? Unfortunately in philosophy there is so little ‘evidence’ making up your mind is more a matter of achieving coherence, it is legitimate to allow justification to flow in all directions. The question of whether there is a T/O distinction is relevant to the debate between realists anti-realists and relativists in the following manner. So far as realists debate with anti-realists is concerned, the T/O distinction is optional for realists. They have everything to gain and nothing to lose by making it unravel. They have everything to gain, because the constructive empiricist position is incoherent without a T/O distinction. But so far as realists debate with relativists goes, realists have conversely everything to gain and nothing to lose by defending a distinction, they would defeat relativists. Kuhnain Relativism requires the lack of a theory neutral language with which to adjudicate our differences, so we get incommensurability, incommensurability leads to the irrationality of theory choice thus we get relativism. But realists cannot have an easy victory against both parties. I suggest that the realist denies the T/O distinction and so wins against the constructive empiricist. The lack of a T/O distinction does not entail relativism; a theory laden observation can still test a theory. To return to the question of whether we should be driven by a philosophical agenda in deciding a point, it must be remembered that we are concerning ourself with the question of whether there is a significant or principled O/T distinction. Its significance comes from its position within a larger debate. Frankly, everyone can admit there is some sort of distinction or difference between direct and indirect observation, the question really is how significant the difference is, whether a distinction can be drawn at a position significant enough to support any theory, the significance depends on the work it is made to do by larger theories. Paul M. churchland defines his scientific realism as a realism entirely in terms of his attitude towards the T/O distinction. He believes any attempt to draw the distinction, particularly Van Fraassen’s, is arbitrary. By any skepticism â€Å"our observational ontology is rendered exactly as dubious as our non-observational ontology† He is not an orthodox scientific realist; he is skeptical about the overall truth of our beliefs, the reference of scientific terms, and the convergence of theory towards truth. But he is skeptical about the success of all our theories, cognition at large, from a low to a high level not just scientific theories, and thus does not distinguish between the integrity of observables and the integrity of unobservables. He states that â€Å"global excellence of theory is the ultimate measure of truth and ontology at all levels of cognition†. Although churchland has exactly the same attitude to observables and unobservables, a cautious skeptical attitude, relative to his peers he has a slightly pro attitude to unobsevables, and a negative attitude to observables. This pro – attitude to the unobservables of science makes him a realist and his slightly negative attitude to the observables of everyday life make him a scientific realist â€Å"the function of science, therefore, is to provide us with a superior and (in the long run) perhaps profoundly different conception of the world, even at the perceptual level†. I agree with Churchland as to the theoretical character of perceptual judgments, I agree that â€Å"perception consists in the conceptual exploitation of the natural information contained in our sensations or sensory states† . Having done part of a module on â€Å"the brain as a statistician† I know that our perceptual judgments are statistical decision problems akin to gambling or any decision based on uncertain evidence. Because inputs are noisy – the external world and inefficient transduction creates noise- the question of whether a signal is present or not will reflect the relative probability that a signal is drawn from distribution A(noise only) or distribution B(signal + noise). Biasing factors are the probability of occurrence of a member of each category, information on which is drawn from memory. Perceptual decisions rely on perception and memory, or evidence and prior knowledge, prior knowledge being essentially a theory about the world. However I disagree with Paul Churchland as to the possibility of our being trained to make systematic perceptual judgments in terms of theories other than the common sense theory we ‘learnt at our mothers knee’ For one, I don’t think we learn our common sense theory rather it is built into our genetics. I do not think we are nearly as plastic as he makes out, on this point I go with Gerry Fodor, perception and cognition are not continuous, and perception can never make judgments in terms of grand theories which we can barely conceive. The boundary between what can be observed and what must be inferred is largely determined by fixed architectural features of an organisms sensory / perceptual psychology† Gerry Fodor Observation Reconsidered. Paul Churchland directly contradicts this saying â€Å"our current modes of conceptual exploitation (perception) are rooted, in substantial measure, not in the nature of our perceptual environment, nor in the innate featu res of our psychology, but rather in the structure and content of our common language†. How plastic the brain may be is an empirical point, and I think Gerry Fodor wins the debate with his analysis of the muller-lyer illusion. Fodor says the robustness of the muller lyer illusion attests to the imperviousness of perception by cognition. There are both perceptual plasiticities and implasticities. Kuhn was impressed by the plasticities, but it is time to dwell more on the implasticities. â€Å"To the best of my knowledge, all the standard perceptual illusions exhibit this curious refractory character :knowing they are illusions doesn’t make them go away† However I don’t think Fodor is being entirely empirically accurate. Some illusions such as the concave – convex illusion, in which heavily shaded circles appear as concave when the shadow is at the top of the circle, and convex when the shadow is at the bottom of the circle, which occurs because we have a strong prior belief / prior assumption that light falls from above, can be reversed or at least nullified if you really try. The famous duck rabbit can definitely be flipped at will. And the old hag, young girl illusion, personally I can never see the old hag unless it is explained to e, then I can. But anyway Fodor makes his point, we cannot always see just what we want to see or think we should see. I agree with Gerry Fodor that perception is fairly modular, and is not (probably) affected (much) by conscious explicit knowledge. Certainly the muller lyer illusion is fairly robust And I think far too much is made of the duck rabbit illusion – Kuhn says â€Å"it is as elementary prototypes for these transformations of the scientists wo rld view that the familiar demonstrations of a switch in gestalt prove so suggestive†. But I do not think they are anything more than just that – suggestive – because a scientist, does not, cannot form an image or representation of quarks and leptons in any way analogous to a duck or a rabbit, so this image cannot ‘flip’. Paul Churchland seems to think we can form such images, but personally I cannot. I see the western sky redden as the sun sets not â€Å"the wavelength distribution of incoming solar radiation shift towards the longer wavelengths†. However I would say our inability to alter our perception does not damage churchland’s essential point which was that perception relies on theory, implicit theory. A very entrenched embedded theory, but theory all the same. Churchland thinks the distinction between the theoretical and the non-theoretical is just a distinction between freshly minted theory and thoroughly thumb-worn theory whose ‘cultural assimilation is complete’. I think some ‘thumb-worn theory’ is actually entrenched in our biology. But maybe individual differences come into play here, maybe some people are more plastic than others, or innately sensitive to some aspects of reality than others, maybe our biology is not universal. Paul Churchland says that the person with perfect pitch is not a physiological freak but a practiced observer. But I think it most likely that there is something unique about them. Maybe I am closed minded in the sort of visualization Churchland encourages, maybe that’s just me, I had no luck with seeing in the fourth dimension even after reading ‘Flatland’ and ‘speculations on the fourth dimension’ whereas other people (the authors) claim to have, still I’m a bit skeptical. Paul Churland’s thought experiments where he gets us to imagine various other beings, with radically different physiology, beings that can visually see infra-red heat for example, raises the idea of the possibility of other sensory modalities. And although we cannot communicate with them, so they are not part of our epistemic community, there are animals on our planet who presumably sense different things to us, such as bats and dolphins. Van Fraassen insists that is ‘observable’ must be observable to us unassisted, and as we currently are, an anthropocentric conception; â€Å"the limitations to which the ‘able’ in observable refers are our limitations qua human beings. † It could be argued that Van Fraassens anthropocentric conception of the observable is not just anthropocentric, but parochial. Alternatively it could be argued that van fraassen draws the line arbitrarily: according to Van Fraassen we can observe planets using a telescope, but we cannot observe viruses using a microscope, because planets are something we could observe without any augmentation of the senses, where we close enough to them, and indeed some of them we can observe from earth, our natural position, (venus) whereas under normal conditions viruses cannot be seen. I do not agree with this objection to Van Fraassen, I think where he draws the line is one natural place to draw it if it has to be drawn, but it is just that I don’t agree with him that the drawing of the line here is very significant. I am a realist and I believe unobservables are generally as real as observables. From his drawing of the line, van Fraassen only believes in observables. Fodor lightly passes over the fact that â€Å"perceptual analyses are undetermined by sensory arrays† and are only resolved by Bayesian reasoning from previous evidence / experience, and that â€Å"the appeal to background theory is inherent to the process of perceptual analysis† Fodor Observaiton reconsidered. I think this fact is indisputable, and it is in this respect that perception and cognition are similar as Paul churchland maintains, both are theories and â€Å"global excellence of theory is the ultimate measure of truth and ontology at all levels of cognition† . The impossibility of our being trained to make systematic perceptual judgments in terms of theories other that the common sense theory we ‘learnt at our mothers knee’, the implasticity of actual human perception, is irrelevant in drawing a theory observation distinction, both perception and cognition are theory dependent. But Granted as Fodor points out against Kuhn scientific knowledge doesn’t actually percolate down to affect the perceptual. Kuhnian perceptual theory loading does not occur. There is some natural barrier. Is this barrier the location of the O/T distinction? I think it probably is if there is one. It is significant, but not significant for the anti-realist, it does not decide our ontology. It is significant in the realists fight with relativism since observations are theory laden, but are not necessarily laden with the high level theories that they must adjudicate between. So perceptions are laden with perceptual theory, but not laden with quantum theory. Fodor makes the O/T distinction in such a way that it is significant for realists against relativism, but not significant for anti-realists. â€Å"Fodor isn’t looking for a notion of observationality that underwrites our granting epistemic privilege to observation statements. He’s looking for a notion that will ward off the incommensurability arguments. And for that purpose anything that produces consensus will do† Andre Kukla The theory observation distinction. Now to explicitly tackle the questions, â€Å"why make a distinction, for what purpose? †or â€Å"why does it matter if a distinction does or does not present itself? †. I have already touched on the answer to these questions when outlining the role of the distinction (or lack of) in larger debates between anti-realists, and relativists. The question of the O/T distinction has epistemological significance; it concerns the epistemic bearing of observational evidence on theories it is used to evaluate. This is part of the debate between realists and relativists. The relativists holding that observation is an inadequate basis for choosing between rival theories, the realists claiming it is an adequate basis, or there is at least something which is an adequate basis. Observational evidence also plays important and philosophically interesting roles in other areas including scientific discovery and the application of scientific theories to practical problems. But we will concentrate on theory testing. It seems that if all observations are theory laden then there is no objective bedrock against which to test and justify theory. The classic or common view of science is that scientific knowledge is derived from the ‘facts’ or observations. Two schools of thought that involve attempts to formalize this common view of science are the empiricists and the positivists. An extreme interpretation of the claim that science is derived from the facts implies that the facts must first be established, and subsequently a theory built to fit them. This is the baconian method building a case from the ground up. This is not how science actually proceeds. â€Å"our search for relevant facts needs to be guided by our current state of knowledge, which tells us for example that measuring the ozone concentration at various locations in the atmosphere yields relevant facts whereas measuring the average hair length of the youths in Sydney does not† A F chalmers What is this thing called Science?. But the fact that science is guided by paradigms does not support kuhnian relativism. Kuhnian relativism can only be established if incommensurability is, that is if high level theory-loading of observation were established. As I have already argued along with Fodor, observation may be loaded with low level perceptual theory but not with high level conscious and elaborate theory. Proponents of competing theories often produce impressively similar observational data, this indicates perceptual theory loading is not that great. If science were blinded by paradigms that would be a different matter. Against semantic theory loading; Often observations reported non-linguistically, pictorially with tables of numbers etc. Late 20th century philosophers may have exaggerated the influence of semantic loading because they thought of theory testing in terms of inferential relations between observational and theoretical sentences. Against Salience or attentional loading scientists under different paradigms attend to different things. Yes, but doesn’t always happen. And scientists may appreciate the significance of data that is brought to their attention that had not been noticed. Attentional loading is not inevitable and not irredeemable. So observation is and adequate basis for adjudicating between theories (unless the theories are underdetermined by data). In conclusion I would say there is no absolute T/O distinction, but there is enough of a difference, enough bottom up flow of justification, to defeat relativism. A. F. chalmers: what is this thing called science? Paul M Churchland: Scientific realism and the plasticity of the mind Paul M churchland: The ontological status of obsservables: In praise of superempirical virtues Gerry Fodor: observation reconsidered Andre Kukla: the theory observation distinction W. V. O Quine: Word and Object Bas Van Fraassen: the scientific image

Wednesday, November 27, 2019

The Down Fall of the Russian Revolution

The Down Fall of the Russian Revolution Introduction Analysts observe that the Russian Revolution could not realize its objectives mainly because of the divergent views from Bolsheviks. Scholars holding the views of Lenin believe that the revolution could not bring about reforms because its leader, Trotsky, never aimed at realizing the needs of the poor.Advertising We will write a custom essay sample on The Down Fall of the Russian Revolution specifically for you for only $16.05 $11/page Learn More The powerful individuals, whose aim was to fulfil the interests of the owners of the means production, controlled the revolution. In this regard, Leninist scholars disagreed with the view that the revolution was aimed at helping the poor in society. Leaders exploited the poor to convince the world that they advocated for their, but in the real sense, their aim was completely different. Such scholars observe that the revolution could not have realized its intended objectives mainly because of the civil w ar, foreign intervention, financial disintegration, isolation, and backwardness of the Russian society. Such scholars are of the view that Bolshevik ideology was not to blame for the ineffectiveness of the revolution. The Authoritarian regime under the Bolshevik was forced to act because of the difficult conditions. Some analysts, particular those allied to anarchist ideology, believe that Bolshevik ideology contributed significantly to the failure of the revolution in Russia. The Bolshevik ideology contributed immensely to the failure of the revolution since it established social structures, socialist institutions and centralizing the economic, which made it difficult for the working class to achieve their economic interests. Centralization of state resources and lack of a clear system of checks and balances disempowered the proletariat since the objectives that were being sought were beyond their reach. Fitzpatrick noted that the good life entailed a situation in which the state a ssumed the patriarchal or patron client responsibilities. Thesis Statement This article uses a number of resources, including memoirs to support the hypothesis that the Russian revolution did not achieve its objectives. The reasons why the Russian revolution could not realize its objectives are discuses adequately in this paper. The article underscores the fact that actions of the revolutionist not allow them to take over state power in 1918 in Russia. In other words, the vanguards of 1917 could not be allowed to takeover governmental powers in 1918, since their status was below par. In nay production mode, owners of the means of production will always occupy the top position while others will be distributed in various classes.Advertising Looking for essay on history? Let's see if we can help you! Get your first paper with 15% OFF Learn More Major Shifts in Communist Policy between 1917 and 1932 After the revolution, the Communist Party readjusted its objecti ves to reflect the aims of the ruling class meaning that the policies agreed upon before the revolution were abandoned. Historians observe that 1920s demonstrated a great change in policy owing to changes in geopolitical climate, culture, and the global economy. The government restructured its policy following the Civil War and Cultural Revolution. Economic development of the country was mainly affected since the government introduced a new economic policy. Cultural Revolution started in 1917 and ended in 1932 whereby a new culture was developed in the country. The culture was new meaning that its social institutions, functions, and structure were different from those of the previous culture. The Civil War was witnessed between 1917 and 1921 (Kolkhozniks 130). History shows that the civil war affected the Russian culture in a number of ways, which forced the government to amend its economic and socio-political policies. Since the changes were abrupt, the cultural infrastructure coll apsed meaning that the policies agreed before the revolution could not be implemented. The emergence of the intelligentsia was the major hindrance to the achievement of revolutionary goals. New economic policy program was introduced in 1921, which was expected to serve the country until 1928. These policies revitalized the country’s culture and economic life, which affected the objectives of the working class. Why the Revolution Failed The Civil War Kotkin argued that the revolution would not succeed because of the civil war that was sponsored by the Bolshevik regime. The reality of the matter is that these features of communism were present even before the revolution. This implies that the civil war could not be attributed to the failure of the revolution. The Bolshevik policies demanded that only a single individual be entrusted with the role of managing resources, which implied that only the central government would be in charge of the management of the economic matters. I n this regard, it was true that there was no correlation between peace and the ideology of the Bolshevik. However, the victories of Kolchak and Denikin contributed to the augmentation and militarization of labour in the country. This shows that, even though the civil war contributed to the failure of the revolution, other factors must have also contributed in the failure of the revolution. The civil war dampened the spirit of various working classes because it revealed the true nature of the Bolshevik regime. The social conflict proved to the poor that the regime did not have their interest at heart, but instead it existed to serve the interests of the rich. The major policy of the Bolsheviks was to distribute resources equally in society since they advocated for socialism, the sovereignty of the state, and the strengthening of the communist party. After the Civil War, Stites (103) observed that the Bolshevik regime was determined to implement even stricter policies instead of lesse ning the previous ones.Advertising We will write a custom essay sample on The Down Fall of the Russian Revolution specifically for you for only $16.05 $11/page Learn More This meant that the commissars from the Red Army were given luxurious jobs in various state-owned industries in 1920. This was a blow to the working class since owners of the means of production and military elites were rewarded while they languished in great poverty. Even though the military generals opposed the revolution, they were rewarded heavily since they were allocated luxurious positions in government. The manner in which military generals and the ruling class were allocated government properties in 1920 differed from the way in which the exercise was conducted in 1919. In 1920, the communist party was determined to implement its policies, irrespective of whether the interests of the poor were considered. Influence of the Ruling Class After Lenin’s death, the policies agree d upon in October were abandoned one after the other. However, some analysts and scholars believe that these policies were abandoned even when Lenin was still alive. The idea of commitment to one party system, dictatorial management, control of opposition parties, media expurgation, repressive policies, and prevention of trade unions were all exercised when Lenin was still alive. Steinberg gave a clear definition of why the revolution could not achieve its objectives. He commented that a production system does not become socialist in nature simply because a socialist premier or president is in office. To such scholars, the character or the personality of an individual does not affect the production system in any way. In the same way, Russia’s production system could not change from capitalism to socialism just because Lenin was in power. Marxist scholars could argue that a revolution would take place when state power is transferred the other social class. On the other hand, a narchist would recommend that a revolution would occur when state power is transferred from the owners of the means of production to the proletariat or the working class. Incidentally, a communist government would be formed through societal relations, but not the views of those in positions of influence. The working class in Russia could not have achieved their objectives because social relations during Stalin’s regime were similar to those during Lenin’s administration. Although the administration under Stalin was vicious, abusive, and tyrannical, the new regime under Lenin, which was receptive to the needs of many, could not change the manufacturing structure. Fitzpatrick (89) uses the word deludes to define the Bolshevik revolution meaning that the ruling class hijacked the revolt to make sure that it served their interest. It employed various techniques to dismantle the socialist structures, which were perceived as a threat to their interests.Advertising Looking for essay on history? Let's see if we can help you! Get your first paper with 15% OFF Learn More As Marx had earlier observed, the state is always the property of the ruling class since they use it to accomplish their interests. The ruling class ensured that, intellectuals, who considered merit in their appointments, ran the government under Lenin. Any socialist regime could always ensure that workers are major producers meaning that there would be no exploitation. The ruling class ensured that they destroyed the functioning of the socialist system. Interests of the Bolsheviks Steinberg (33) suggested that the Bolshevik went against the interests of the majority to protect their party, which was under threat. Other socialist parties were threatening to oust the Bolsheviks hence they had to form a strong militia that would counter the influence of other small parties. Such militias could not serve the interests of the people, but instead it could serve the wishes of those who formed them. If Bolsheviks did not apply other alternatives, their power could not have lasted for long. Some scholars suggest that a White dictatorship could have replaced the Red one meaning that the cruelty of the Bolshevik was a sign of self-interest. The Bolshevik regime used the power of the working class to ascend to power in order to fulfil its own interests, but not those of the poor. However, the working class or the poor supported the Bolshevik regime because it favoured the poor whenever there was a crisis. It treated the poor well since it not design and implement oppressive and discriminative policies, as was the case with the Stalin regime. Conclusion It is concluded that the revolution in Russia did not achieve its objectives because workers were never incorporated into the production system afterwards. Economic and political power was still in the hands of the ruling class, but only leadership changed. This implies that the production system, which was actually the main reason why workers participated in the revolution, never changed at all. Workers were still oppress ed, perpetuated, and were dominated in society while the owners of the means of production enjoyed their lives comfortably. As already mentioned, the change of leadership does not mean the change of social relations. Fitzpatrick, Sheila. In the Shadow of Revolution: Life Stories of Russian Women from 1917 to the Second World War. Princeton, NJ: Princeton Univ. Press, 2000. Print. Fitzpatrick, Sheila. Stalins Peasants: Resistance and Survival in the Russian Village after Collectivization. New York: Oxford University Press, 1994. Print. Kotkin, Stephen. Magnetic Mountain: Stalinism as a Civilization. Berkeley: University of California Press, 1995. Print. Steinberg, Mark D. Proletarian Imagination: Self, Modernity, and the Sacred in Russia, 1910-1925. Ithaca, N.Y: Cornell University Press, 2002. Print. Stites, Richard. Revolutionary Dreams: Utopian Vision and Experimental Life in the Russian Revolution. New York: Oxford University Press, 1989. Print.

Saturday, November 23, 2019

How to Measure Motion in Plate Tectonics

How to Measure Motion in Plate Tectonics The lithospheric plates are the sections of Earths crust and upper mantle that move- very slowly- over the lower mantle below. We know that these plates move from two different lines of evidence- geodetic and geologic- which allow us to trace their movements back in geologic time. Geodetic Plate Motion Geodesy, the science of measuring the Earths shape and positions on it, allows us to measure plate motion directly using GPS, the Global Positioning System. This network of satellites is more stable than the Earths surface, so when a whole continent moves somewhere at a few centimeters per year, GPS can tell. The longer we record this information, the more accurate it becomes, and in much of the world, the numbers are already quite precise. Another thing GPS can show us is tectonic movements within plates. One assumption behind plate tectonics is that the lithosphere is rigid, and indeed that is still a sound and useful assumption. But parts of the plates are soft in comparison, like the Tibetan Plateau and the western American mountain belts. GPS data helps us separate blocks that move independently, even if only by a few millimeters per year. In the United States, the Sierra Nevada and Baja California micro-plates have been distinguished this way. Geologic Plate Motion: Present Three different geologic methods help determine the trajectories of plates: paleomagnetic, geometric, and seismic. The paleomagnetic method is based on the Earths magnetic field. In every volcanic eruption, iron-bearing minerals (mostly magnetite) become magnetized by the prevailing field as they cool. The direction in which theyre magnetized points to the nearest magnetic pole. Because oceanic lithosphere forms continuously by volcanism at spreading ridges, the whole oceanic plate bears a consistent magnetic signature. When the Earths magnetic field reverses direction, as it does for reasons not fully understood, the new rock takes on the reversed signature. Thus most of the seafloor has a striped pattern of magnetizations as if it were a piece of paper emerging from a fax machine (only its symmetrical across the spreading center). The differences in magnetization are slight, but sensitive magnetometers on ships and aircraft can detect them. The most recent magnetic-field reversal was 781,000 years ago, so mapping that reversal gives us a good idea of plate movements in the most recent geologic past. The geometric method gives us the spreading direction to go with the spreading speed. Its based on the transform faults along the mid-ocean ridges. If you look at a spreading ridge on a map, it has a stair-step pattern of segments at right angles. If the spreading segments are the treads, the transforms are the risers that connect them. Carefully measured, these transforms reveal directions of spread. With plate speeds and directions, we have velocities that can be plugged into equations. These velocities match the GPS measurements nicely. Seismic methods use the focal mechanisms of earthquakes to detect the orientation of faults. Although less accurate than paleomagnetic mapping and geometry, these methods are useful for measuring plate movements in parts of the globe that arent well mapped and have fewer GPS stations. Geologic Plate Motion: Past We can extend measurements into the geologic past in several ways. The simplest one is to extend paleomagnetic maps of the oceanic plates out from the spreading centers. Magnetic maps of the seafloor translate precisely into age maps. These maps also reveal how the plates changed velocity as collisions jostled them into rearrangements. Unfortunately, the seafloor is relatively young, no more than about 200 million years old, because it eventually disappears beneath other plates by subduction. As we look deeper into the past, we must rely more and more on paleomagnetism in continental rocks. As plate movements have rotated the continents, the ancient rocks have turned with them, and where their minerals once indicated north, they now point somewhere else, toward apparent poles. When you plot these apparent poles on a map, they appear to wander away from true north as rock ages go back in time. In fact, north does not change (usually), and the wandering paleo-poles tell a story of wandering continents. Together, the methods listed above allow us to produce an integrated timeline of the movement of the lithospheric plates, a tectonic travelogue that leads smoothly up to the present.

Thursday, November 21, 2019

National Security Affairs of Iraq Research Paper

National Security Affairs of Iraq - Research Paper Example This conflict has greatly divided the national purpose of Iraq. The Iraq’s National Security Affairs can be termed as having a complex framework characterized by burdensome issues associated with untangling and security issues connected to terrorist groups. The country has also been linked to most of the criminal events in the Middle East. Despite the above situation, the Iraq’s political scene is trying its level best to keep afloat through associating with other nations such as the United States. Its internal security is under complete control by its army following the withdrawal of American troops. The government has however admitted that it has along way to go in terms of attaining a stable national security especially in relation to technical issues in its intelligence apparatus. The Iraq’s army is not yet qualified to maintain peace and order in the country as it is still unsuited for such duties. In relation to the international community especially other Arab Spring countries, its foreign policy has not yet been fully established and this has led to fluid situations in such Arab countries preventing Iraq from attaining a stable approach with regards to its foreign policy. Cases like those witnessed in Syria have resulted to a sectarian dimension that has resulted to an acute effect on Iraq following its diverse sectarian composition. Despite the American withdrawal from Iraq, the two countries have maintained a close tie especially when it comes to Iraq’s National Security with America in full support of her security affairs. IDEOLOGY The Ideology of Iraq stems from the radical Islamists who are pursuing a vision that they believed to be universalists with regards to Sharia Law. They came out strongly seeking the interpretation of this law with regards to the war. According to the Sharia Law, the people’s voice had no position in any political system that obey the rules made by God (Ali 2009). This conflicting position left the mood of the public to be variable yet the law was external. The war against liberalism believed to be waged by the al-Qaeda as well as its affiliates represents a political manifestation of the mindset that resisted Westernization and globalization. The al-Qaeda had a number of complains with regards to American culture and the impact it had on the Iraq people. The American culture was looked at as to be resulting in immorality, hypocrisy and polytheism among the Iraq people Iraq had been closely associated with the Activities of Osama Bin Laden and that led to most of the international countries to declare war on Iraq with the USA being on the fore front. The United States under President Bush was against the democracy principles employed in the country at that time as well as all the leaders who were out to enact it. The International community was agitating for democratic elections to be held which would ensure that the existing government as well as the popular soverei gnty was eliminated now that the two had led to deviation and infidelity to the true desirable path (Ali 2009). Consequently the international community was ready to fight any person or force that was after malicious ideology and referred to such forces as infidels.

Tuesday, November 19, 2019

Tour Operations Management Essay Example | Topics and Well Written Essays - 2500 words

Tour Operations Management - Essay Example The most important aspects of a holiday usually coordinated by a tour operator include the type of travel, transfers, excursions, facilities among other services. One easiest way to distinguish tour operators from other practitioners like travel agents is by establishing their form and features. A tour operator will, for this reason, bring together various subsets of tourism experience and offer it as a package. A package offered by tour operators is usually referred to inclusive tour. Inclusive tour mostly includes at least two elements often offered at an inclusive sale price and will encompass a stay of move for more than twenty-four hours in overnight accommodation. These elements range from transportation, foods, accommodation to other tourist services. The kind and variety of packages in a given market is mostly categorized into two categories, that is, those that use the traditional charter flight and those using booked flights. Booked flights are mainly used when it is consid ered uneconomic for tour operator to purchase charter flights. The types of package in a tour operators industry is also often categorized according to a mode of travel or mode of accommodation (Chauhan, 2009). In the case of mode of travel, the package involves issues like coach holiday or ferry. Mode of travel can also be based on ion twin transport packages like fly-drive, which are mostly popular with inbound tourist in the United States of America (Negi, 2006). Segmentation by mode of accommodation on the other hand is where hotels chains assumes the role of tour operators by packaging their excess capacity to offer weekends or short breaks in business attractions as in the case of inclusive package. An inclusive tour can also be segmented according to whether they are domestic or international, according to the length of the holiday, distance and destination type (Gupta, 2012).

Sunday, November 17, 2019

Lloyd Newson and Intertextuality Essay Example for Free

Lloyd Newson and Intertextuality Essay 1986 saw the formation of the physical theatre company known as DV8 Physical Theatre which since its inception until present day has been led by Lloyd Newson (www. dv8. co. uk) . Based in the United Kingdom this company has produced a lot of pieces which have toured internationally and have received awards , they also add to their achievements four award-winning films for television (www. dv8. co. uk) . In this essay I will discuss the intertextuality that can be seen in Dv8 original film The Dead Dreams of Monochrome Men conceived and directed by Lloyd Newson and how Newson approached the piece . Intertextuality can be defined as â€Å"the complex interrelationship between a text and other texts taken as basic to the creation or interpretation of the text†(Wall, 2007:97). Or the ways in which the components of a performance text get meaning on the basis of their relationship with other texts(Jordan , 1992: 257). I this case this will be the way in which the piece makes reference to other material other than what the director and performers thoughts are about Nilsen. Dead Dreams of Monochrome Men is loosely based on Brian Master’s book Killing for Company which is the story of Dennis Nilsen a serial killer who lured his victims (all young men ) back to his homes in Cricklewood and Muswell Hill and killed them by chopping their bodies into little pieces and stuffing them down the drain (http://www. ailymail. co. uk). Newson liked to challenge his audience by taking risks in his pieces not only physical risks but risks in his approach and within the piece itself draw form real life -the sociological and psychological- â€Å" for many dance companies it seem risk just means nothing is risked in terms of content and approach† ( Lloyd :www. dv8. co. uk) . Newson stresses that as a company they only work on pieces that are motivated and driven by how the central idea affects them, they talk about their own personal experiences before they start to rehearse and set actual choreography, the process of coming up with the final piece is a collaborative process â€Å"by sharing the process the final work become collaborative and the performers get credited accordingly† (www. dv8. co. uk) . The film also draws into homosexuality, at the time homosexuality was still something that people didn’t talk about widely it was all done behind closed doors . In Dead Dreams of Monochrome Men Newson â€Å"explores the interwoven notions of loneliness, desire and trust† (www. dv8. co. uk) . As mentioned earlier at the time of the film homosexuality was seen as somewhat â€Å"taboo† Newson draws on societies views and explores if what led Nilsen to his disturbing actions could have been the mere fact that there were already so many negative views place on homosexuality he was lonely in need of company -killing for company- â€Å"societal homophobia often results in tragic consequences† (www. dv8. co. uk) . The film is in black and white this in itself could be seen as an intertext , a photographer by the name of Robert Mapplethorpe famous for his photo called Man in Polyester Suit all his pictures are in black and white most of his work could be described as homoerotic, so this can be seen as intertext from the start the films exploration of homosexuality . Dead Dreams of Monochrome Men starts off at a bar or club just like where Dennis would have picked his victim at this point of the film there is pop music (popular gay culture ) playing , the music used as an intertext , movement at this time is not to the music but influenced by the music . The body language of the performer is that of a hunter seeking its prey (victim) . Then as the piece progresses the music moves from pop to a more slower tonal sound . This is when the piece moves to a more â€Å"intimate† space – into Dennis’s home-. Looking at the design and setting throughout the piece we can see that there are many deep intertexts , the use of the sculptures being one , sculptures of nude men almost as an objectification of men as if to say this is how men should look like . The costumes the white underwear not something you would have people where as their full costume on stage , and the dull colored shirts and pants worn by the other characters . There are a few scenes don in the bathroom where we see visible pipes relating to the drains where Dennis’s victims body parts were found , this could be an intertext to point out that the body parts in the drain were the reason that Dennis was caught so have the pipes visible in that way shows his one mistake that lead to his arrest. Also Newson uses the bathroom which is a secret place where some of the action takes place this also draws to the gay culture -secretive â€Å"behind closed doors†- . In the film most of the action is not actual â€Å"dance† its all realism it’s realistic everyday moves and gestures â€Å"realist dance can be said to communicate to audiences ,to attempt to reveal the truths of our world†(Wall, 2007:91). In the bathroom scenes there is no dancing there is an exploration of weight and gestures no choreographed movement , the two men also exchange underwear this switching of something personal represents ntimacy (sexual acts) between them . The piece has a strong intertext to the womb in the bathtub the man lies in a fetal position there is also water and at some point he is immersed in it just like in the womb . The bathtub also being where Dennis drowned his victims or mutilated them . The picture of the man in fetal position in the water can be seen as both the beginning (fetus in womb) and the end (drowned by Dennis). Going back to the spacial design we see that besides the visible pipes the roof is not closed off -no ceiling- you can see the planks , when the performer is up on the roof and moving along the planks in an almost sneaky way this draws to secrecy again it also brings some Notre dame themes of people in the rafters sneaking around , bringing us back to the secrecy . Some have argued that in Dead Dreams of Monochrome Men Lloyd Newson portrays homosexuality in a bad way -as dirty and promiscuous- , they say that with this single film he has undone all the hard work done by gay activist in the past to have homosexuality accepted by society. In conclusion Dead Dreams of Monochrome Men is a powerful film digging deep into the action of a serial killer , playing on the intertextual meanings that we as the audience leave with questions about sometimes as viewers we consciously recognize where the style and ways of using style come from and at other times the origin just provides an unconsciously sensed undercurrent (Bazerman, 2001:1). Dead Dreams of Monochrome Men also shows that physical theatre is capable of taking on complex issues without simplifying the subject (www. dv8. co. uk).

Thursday, November 14, 2019

Analysis Of Sir Gawains Character Essay -- Arthurian Legends English

Analysis Of Sir Gawain's Character In Sir Gawain and the Green Knight, the character of Sir Gawain, nephew of the famed Arthur of the Round Table, is seen as the most noble of knights who is the epitome of chivalry, yet he is also susceptible to mistakes. His courtesy, honor, honesty, and courage are subjected to various tests, posed by the wicked Morgan le Fay. Some tests prove his character and the chivalrous code true and faultless, like the time he answers a challenge although it might mean his death, or remains courteous to a lady despite temptation. Other tests prove his character and the chivalrous code faulty such as the time he breaks his promise to his host, and when he flinches from a harmless blow. The first test to his courage, courtesy, humility and loyalty toward his king, Arthur, occurs when the Green Knight suddenly appears at Camelot’s New Year's feast. He offers the Round Table a challenge: the game is for a man to strike him with his axe, and twelve months and a day later, the Green Knight will return the blow. When Arthur accepts the challenge, Gawain interferes and asks Arthur with humility and courtesy to â€Å"grant him the grace to stand by him† (SGGK l. 343-344). He confesses that â€Å"he is the weakest, and of wit feeblest, and the loss of his life would not be a great tragedy at all because his body, but for Arthur’s blood, is not worth much" (SGGK l. 354-357). He asks to be granted the privilege to claim the Green Knight's challenge because it does not befit a king. Proof of Gawain’s character is substantiated by his noble acceptance of the Green Knight’s beheading game in order to â€Å"release the king outright from his obligation†(SGGK l. 365). It shows courage and loyalty that even among famed knights suc... ...love for his life. Thus Gawain deserves less blame for his misdemeanor minor transgression. Although Gawain, like most us, is prone to evil thoughts of selfishness and dishonesty, and takes a cowardly action, "men still hold him dear" in Bercilak's castle as well as in Arthur's Camelot (SGGK l. 2465). His friends are not as disappointed with him as he is disappointed with himself. He holds himself in contempt, "rages in his heart and grieves" for the shame in his actions and the green belt that he must bear (SGGK l.251-252). He wears the girdle as a badge to remind him of his faults and to lower his pride when it becomes inflated. But he has learned from his mistakes and becomes an even better knight. Sir Gawain and the Green Knight in The Norton Anthology of English Literature 7th ed. vol.1. Abrams, M. H et al. New York: W. W. Norton & Company, 2000. 157-210.

Tuesday, November 12, 2019

Make Poverty History Essay

Poverty and the related problems of unemployment, economic inequality, poor social infrastructure and inability to access basic needs and services have for long been part of the international community. In 2005, the European Union developed the slogan â€Å"make poverty history†, that was directed at uniting developed countries in formulating policies for the eradication of poverty. The policy calls for a shift of focus from massive individual industrialization to synchronized growth of wage and capital goods, from substitution for self sustained development to export led growth. The solutions to the major problems of unemployment, poverty and income inequalities for all countries lie within policies for the integration of changes in domestic production and expenditure patterns. The â€Å"make poverty history† calls for a change of attitude from the developed countries to formulate policies and establish assistance for the improvement of the economic status of the poor especially those in third world countries. The policy aims at ensuring that the real world competition fair, the mobility of labor sufficient for development purposes and the governments aware of their fiscal responsibilities to the poor within their borders. Is It Possible? Many arguments support the proposition that if all developed countries united and came under one umbrella in fight against poverty, the issues related to poverty would be eliminated in a few years. The developing countries are in need of an economic mechanism in the international world that is capable of blending the interests of economic agents with those of the state more coherently. The economic mechanism needs to recognize the prevailing growth obstacles that can be considered for economic reforms. Mawhinney (2002,p. 157)Countries that are part of an international economic order such as the international trade organization, can be thought to be a subset of the organization, with the rules and regulations implemented by the organization affecting the behavior of the nations with respect to implied international repercussions. As such the economic order consists of â€Å"explicit or implicit† principles, rules and norms around which members are expected to converge. The rules and regulations prevail on the existing practices for making and implementing policies. It follows therefore that the decisions of the umbrella body will by far have more effect on individual country policies. For this reason the â€Å"make poverty history† polices that are implemented by the economic integration bodies will have a much higher success rate and impact on individual member country policies. International trade and economic organizations have time and again prevailed upon individual governments to change their economic policies by imposing sanctions and quotas that make it difficult for the counties to trade. The economic and trade organization being one of the largest and most influential economic organization has the unique power o influence changes in the developed and developing countries. They can impose salient features and prevail upon countries to reform their economic and social policies that are enhancing and promoting the spread of poverty. There is however a growing concern among experts that questions the impact of international economic organizations such as the European Union of individual and government state policies. Although the organization may have some form of control on their members, they are not very influential when it comes to private government policies. They may therefore be unable to influence their members with economic policy changes especially if such said members are powerful within their representation in the organization. Additionally, even though the economic changes can be made by the members, economic organizations cannot influence the change by other non-member countries. This means that the impact of the policy changes will only be felt by a small percentage of the poor. The impact may in fact be so small that it does not justify the implementation of new policies. How Can It Be Achieved Improvement of the commodity market: the developing countries and low income groups are haunted by the trade policies in their countries which are characterized by duality. The main parts of such markets (e. g. in agriculture) barter forms of transactions, rather than monetary transactions take place. The â€Å"make poverty history† campaign aims at educating the government and policy makers in the states to implement policies that encourage monetary trade. The value of the products coming from these countries is often higher than the value of the products included in the barter trade. The income trickling down to the producer and his workers therefore is much smaller than would have been possible in the monetary markets. The state governments should take advantage of the quality products to demand higher prices for their individual producers and exporters. Industrialization: for more than a quarter century, the debate on industrial policy has ebbed and flowed, with it the interest and commitment of state governments. The international community has always been aware of the importance of industrialization to increase employment and per capita income of the poor. Yet even with all the evidence little has been done to improve the state of the industrial process. The focus has quickly shifted to taking advantage of the countries with not industrialization power. Industries have to be allowed the chance to develop in order for the poor countries to be able to compete effectively in the international markets. Premised on the notion of strategic trade policies, proponents of this policy argue that it is possible for governments and the international community to intervene effectively to support local and national firms. In the developing countries policies there has been an impression that industrial policy is no longer considered part of the political agenda, and that policies of privatization and deregulation have replaced them. While the latter do reflect an increased emphasis on market force, they are not key factors to the improvement of competitiveness. Therefore a change in government policies may be necessary to redefine the industrial polices and the principle tenets of the last two decades. Unemployment and income distribution: the development designs for economies have to be structured around the objectives of maximum impact on employment. In the process of implementing policies for labor absorption, its quality and productivity have also to be enhanced so that the average level of incomes is not adversely affected. Without proper training and improvement of labor production, absorption of more people to employments will only lead to adverse effects on the income distribution patterns, (Strange and Bayley 2008, P. 42). In addition, a re-distribution of originating incomes has to be achieved simultaneously with changes in the product mix which match the altered structure of demands. This implies a much larger output of basic consumer goods and essential services like education, medical care, public transport and cheaper communication. Control population growth: the full employment and higher average income cannot be realized within a reasonable time structure if the poor populations continue to grow at the present rates. Consequently it is important for governments to pursue more effective polices of family planning and population control. The most powerful aids in this policy include the spread of general education and health facilities, more working opportunities for women and higher family incomes. Nevertheless, specific measures to promote later marriages, birth control practices, and health education have to be intensified in the low income earning groups along with programmes to alter social attitudes towards family size, male progeny and women property rights. Without a change in the total matrix, the desired benefits of income distribution and poverty alleviation cannot be achieved. Income Inequality and Bridging the Gap The probability of redistributing current incomes on any scale, while at the same time having positive welfare effects in the short run, is likely to be severely limited. There may be high cost in terms of growth in the long term from potentially damaging effect on the incentives, savings and investment of the upper income group. The policies designed for income redistribution are also likely to face strong resistance from this group. There will be less resistance and hostility from the main investors in the economy if the redistribution of income does not affect their income in any way. However this then denies the logic of the income redistribution polices, (World Bank, 2008, p. 12). On the other hand investing in the human and physical assets of poverty groups is likely to have a high pay off in welfare terms as it will lead to income growth in groups that have higher welfare weights. But it may also require some sacrifice of output in the short run in so far as returns on investment in human capital take longer to develop. To this extent it may involve a short run cost to upper income groups but these groups may also benefit in the long run as the productivity and income of the poor improve. Poverty: Problem or Affluence The main issue in economic development is the discussion on whether poverty is the problem or wealth. The problem facing the economic development is the structure of the poverty scale and not the wealth. The country’s affluent contribute significantly to the national income and growth rate, while the poverty scales make it difficult for this impact to be accounted for. Personal income is spent on purchase of consumer goods and services, while a part of the same is saved. This is only possible for the wealthy who not only by their purchasing power influence the employment of others but also invest in new industries that improve the income earning of the poor. Issues to Be Considered In Poverty: Unemployment Employment generation is a major factor in curbing poverty. The employment programmes often have more impact on the poor than temporary relief during periods of scarcity. International communities have invested heavily in local industries in order to increase the employment index. By investing in local industries, the international community hopes to increase the chances for employment in the countries, (Blakely 2002, P. 57). Locally, apart from investment in industries, the government has formulated policies that encourage employment generation. The government aims at providing equal employment opportunities especially for the country’s youth by encouraging and supporting innovative self employment plans and encouraging institutional placement. Technology and Credit By making the technology available to citizens and small scale producers, experts imply that production will increase on a large scale while at the same time reducing the costs of production. The immediate impact will be higher income generation. Technology confers a superior position for small scale producers correlated by stronger willingness and capacity to bear risks. Small scale producers are transformed to large scale employers through the implementation and use of new technology measures, (organization for economic cooperation and development 2001, P. 160). To ensure that small scale producers and entrepreneurs can access the technology available to make production less costly for them, the American government has reduced the lending rate and increased its investment in the government credit programs. This means that more and more entrepreneurs can access the credit necessary to purchase new and useful technology. Assets and Skills The low income earners form a mixed group on the criteria of economic prospects and accessibility. They are less educated and therefore possess less skill to offer to the employment market. The international community has put pressure on countries with low education indexes to improve their provision of education. Additionally, implementation of adult programmes and technical colleges has seen an improvement in the human skills and as such the employment rate of the uneducated. It is a constant struggle for the American government to impose on its population the importance of education in the employment world. While in the previous years the high school dropout rate has been a major concern to education officials, it has now become the trend for high school drop outs to return to school in an attempt to acquire the high school diploma. Government policies have made the small document so glamorous and easy to achieve that more and more American citizens are being drawn by the prestige of the diploma. Welfare Programmes Welfare programmes play two different but equally important roles in removal of poverty. First, they try to provide subsidized cost or free a wide range of amenities and services which the poor would not be able o acquire for a long time given their low and slow growing incomes. The second role is that of helping the poor invest themselves to improve the attributes important for participation in economic development processes such as orientation, reception, absorption capacity and ability to take initiatives. Although internationally and locally, the welfare policies and programs have drawn a lot of attention and increased their spread to the poor populations; careful monitoring and implementation of these programmmes is a dimension calling for priority attention . The polices need to be directed and implemented only when the poor move sufficiently beyond the subsistence level to appreciate the importance and advantage of investing in themselves European Union: Competition Policy Although the pitfalls of monopoly and anti-competitive conduct have long been recognized by economists, the application of polices to curb such behavior has only been done recently. It is the uncompetitive nature of today’s markets; where the large firms are given monopoly and control of the market forces that is enhancing the poverty scale. If the small firms lack the opportunity to compete in new industries, then it means that they will either go bankrupt and the unemployment rate will continue to increase. Like in the European markets it is necessary for the government to encourage competition by providing incentives for smaller firms wishing to enter monopolized industries and formulating integrated markets, (Pinder and Usherwood 2007, p. 67). The articles in the European Union agreement discourage and often penalize the action of firms and governments that may discourage competition and influence the market structure. This means that large and influential firms and governments are not allowed to impose unfairly high or low prices, limit production or apply specific conditions that are not related to transition of goods. Governments and firms are permitted to seek aid to improve their competitive nature and promote their contribution to the economic development. Conclusion Make poverty history proposal envisages fundamental changes in the role of governments and economic bodies in development. The shift to be considered is towards the sustainable development of the community. The make poverty history campaign has taken root in a number of countries that have committed themselves to implementing economic and social policies that will improve the lives of the low income earners. The United States is among the active players in the campaign to end poverty. Not only has the country taken part in policy changes but it has also increased its budget that is aimed at providing economic assistance to countries struggling with poverty. The success of the â€Å"make poverty history† campaign has relied heavily on the economic sanctions implemented by major trade organizations and major players in international markets. Because of its ability to draw the support of major developed countries and international organizations, together with the campaigns’ global capacity, the â€Å"make poverty history† campaign is likely to be the most successful poverty eradication program to date. References 1. Blakely. E. J. 2002. Planning Local Development, Third Edition. London. Sage Publications 2. Mawhinney. M. 2002. Sustainable Development: Understanding the Green Debates. Oxford. Blackwell Publishing 3. Organization for Economic Cooperation and Development. 2001. Sustainable Development: Critical Issues. Washington. OECD Publishing. 4. Pinder. J and Usherwood. S. 2007. The European Union: A Very Short Introduction. Oxford. Oxford University Press 5. Strange. T and Bayley. A. 2008. Sustainable Development: Linking Economy, Society, Environment. Washington. OECD Publishing 6. World Bank 2008. World Development Indicators 2008, Volume 2008. Washington. World Bank Publications

Sunday, November 10, 2019

Technology is Killing Humanity

Today, our world is a lot quieter than it used to be. As a student and as a passenger of public transport, I now barely see people smiling, talking or making eye contact at schools and in public places. Finally, I realize why people rarely communicate with others now, and this kind of big issue is caused by a tiny thing that we all carry in our pockets every single day: smartphone. In conclusion, the excessive use of mobile Internet devices is killing humanity by destroying the meaningfulness of communication and human interaction.The eyes are the windows to the soul as the popular phrase. According to Quantified Impressions, a Texas-based communications analytics company, a normal adult makes eye contact between 30 and 60 percent of the time in a daily conversation, however, emotional connection is built when eye contact is made during 60-70 percent of the conversation. (Gregoire) In other words, the more eye contact, the more of a connection is made. Unfortunately, people now tend to avoid or reduce eye-contact with others because their eyes are glued to their mobile devices most of the time.According to recent estimates, the average American spends more than five hours per day using digital devices on computers and mobile devices (the number is relatively higher for those who work in front of computer screens), and another four and a half hours watching television. (Gregoire) If we assume that an average person everyday spends eight hours on sleeping, one and a half hours on transportation, eight hours on work, and four and a half hours on watching television (as the research above suggests), that person only has two hours left to do whatever he or she wants to do.Would that person spend two hours on communicating with others face to face? Seemingly, the answer is â€Å"No. † Some people may argue that mobile Internet devices actually provide more opportunities for us to communicate with our family, friends or potential friends which can bring people all over the world closer, because people now can use those social Apps such as Facebook, Tweeter and Instagram to interact with others through their smartphones anytime anywhere. Nevertheless, their opinion is totally contradictory to the fact.Instead of bringing people together, social Apps are now changing the human society into a world that is full of narcissism. Today, most people only care about the number of likes, comments and followers they have on their accounts instead of truly sharing their life experience. Unfortunately, none of us are as popular as pop stars. Therefore, people need to do extra work to earn more likes and comments, and the only way to satisfy their vanity is to keep commenting on others' posts. This kind of act can cause a vicious circle as people cannot stop making meaningless comments.Indeed, most of us are not truly interacting with others but throwing garbage to them as well as receiving garbage from them anytime anywhere. Besides using social Apps to get those so-called happiness, people have been falling in love with text messages for a long long time and there is no sign this phenomenon is fading. Even though texting is a little bit more similar to the traditional forms of communication such as writing letters or emailing, its impact to human communication is extremely negative and destructive.â€Å"Miscommunication is perhaps one of the most common, if not the most frustrating problems with Smartphones and relationships, especially when it comes to text message,† says Lindsey Chadwick, an online editorial staff. When we actually talk to a person no matter face to face or through a phone call, we can clearly understand the tone and the meaning that the person tries to express; however, a text message can confuse us or perhaps it can cause some problems between us and our friends, and this is exactly what miscommunication is.The worst thing that is caused by text messages is that our young generation's literacy is get ting worse. According to Studentfirst. com, on the 2009 NAEP Reading Test, about 26 percent of eighth graders and 27 percent of twelfth graders scored below the â€Å"basic† level, and only 32 percent of eighth graders and 38 percent of twelfth graders are at or above grade level. (Report 1) If you pay attention to the way that our teenagers text, you can find a huge difference between their own language and the normal English.Plus, a recent report by the Pew Internet & American Life Project, texting ranks as the number one mode of communication among them. Kids between the ages of 12 and 17 text a median of 60 times a day — up from 50 in 2009. (Samakow) As we can see, texting has becoming a teens' daily routine. Therefore, when they get used to the way they text their friends, they will tend to apply the same thing at school. In my opinion, the only way to make people do not excessively use mobile Internet devices is to lessen or limit their opportunity to reach the I nternet. Today, we have seen more and more mobile companies offer various â€Å"unlimited†package to the mobile users in order to let them access the Internet without any constriction. However, the mobile companies should stop promoting or offering this kind of service, and they should only provide â€Å"unlimited data† package to those who really have a strong need to text or to access the Internet, such as I. T. professionals or international businessman. Moreover, if someone applies an â€Å"unlimited† package, he or she will need to provide some specific and significant information to the mobile company in order to prove that his or her case is qualified to use the package.Canceling â€Å"unlimited† package isn't enough to lessen people's opportunity to connect to the Internet because wireless signals are everywhere. Therefore, hotels, large-scale business quarter, restaurants, entertainment centers, beauty centers, gyms and information consultation s hould not provide unrestricted wifi to their customers. Instead, they could set a time limit to restrict their customers to connect to wifi network. For example, if a person's device has been connecting to wifi for 15 minutes, he or she will not be able to connect to it for the next 10 minutes.At this point, we do not have to worry too much about the mobile game addiction because nowadays most of the mobile-game companies have set an access limitation for their games to prevent their users from addiction. Lastly and most importantly, schools and guardians should spend more time on teaching their children the true meaningfulness of communication and human interaction, and teaching them how to talk or communicate with others at the same time, instead of just letting them stick with the computers and make â€Å"connection† to the â€Å"real† world. Technology is Killing Humanity Today, our world is a lot quieter than it used to be. As a student and as a passenger of public transport, I now barely see people smiling, talking or making eye contact at schools and in public places. Finally, I realize why people rarely communicate with others now, and this kind of big issue is caused by a tiny thing that we all carry in our pockets every single day: smartphone. In conclusion, the excessive use of mobile Internet devices is killing humanity by destroying the meaningfulness of communication and human interaction.The eyes are the windows to the soul as the popular phrase. According to Quantified Impressions, a Texas-based communications analytics company, a normal adult makes eye contact between 30 and 60 percent of the time in a daily conversation, however, emotional connection is built when eye contact is made during 60-70 percent of the conversation. (Gregoire) In other words, the more eye contact, the more of a connection is made. Unfortunately, people now tend to avoid or reduce eye-contact with others because their eyes are glued to their mobile devices most of the time.According to recent estimates, the average American spends more than five hours per day using digital devices on computers and mobile devices (the number is relatively higher for those who work in front of computer screens), and another four and a half hours watching television. (Gregoire) If we assume that an average person everyday spends eight hours on sleeping, one and a half hours on transportation, eight hours on work, and four and a half hours on watching television (as the research above suggests), that person only has two hours left to do whatever he or she wants to do.Would that person spend two hours on communicating with others face to face? Seemingly, the answer is â€Å"No. † Some people may argue that mobile Internet devices actually provide more opportunities for us to communicate with our family, friends or potential friends which can bring people all over the world closer, because people now can use those social Apps such as Facebook, Tweeter and Instagram to interact with others through their smartphones anytime anywhere. Nevertheless, their opinion is totally contradictory to the fact.Instead of bringing people together, social Apps are now changing the human society into a world that is full of narcissism. Today, most people only care about the number of likes, comments and followers they have on their accounts instead of truly sharing their life experience. Unfortunately, none of us are as popular as pop stars. Therefore, people need to do extra work to earn more likes and comments, and the only way to satisfy their vanity is to keep commenting on others' posts. This kind of act can cause a vicious circle as people cannot stop making meaningless comments.Indeed, most of us are not truly interacting with others but throwing garbage to them as well as receiving garbage from them anytime anywhere. Besides using social Apps to get those so-called happiness, people have been falling in love with text messages for a long long time and there is no sign this phenomenon is fading. Even though texting is a little bit more similar to the traditional forms of communication such as writing letters or emailing, its impact to human communication is extremely negative and destructive.â€Å"Miscommunication is perhaps one of the most common, if not the most frustrating problems with Smartphones and relationships, especially when it comes to text message,† says Lindsey Chadwick, an online editorial staff. When we actually talk to a person no matter face to face or through a phone call, we can clearly understand the tone and the meaning that the person tries to express; however, a text message can confuse us or perhaps it can cause some problems between us and our friends, and this is exactly what miscommunication is.The worst thing that is caused by text messages is that our young generation's literacy is get ting worse. According to Studentfirst. com, on the 2009 NAEP Reading Test, about 26 percent of eighth graders and 27 percent of twelfth graders scored below the â€Å"basic† level, and only 32 percent of eighth graders and 38 percent of twelfth graders are at or above grade level. (Report 1) If you pay attention to the way that our teenagers text, you can find a huge difference between their own language and the normal English.Plus, a recent report by the Pew Internet & American Life Project, texting ranks as the number one mode of communication among them. Kids between the ages of 12 and 17 text a median of 60 times a day — up from 50 in 2009. (Samakow) As we can see, texting has becoming a teens' daily routine. Therefore, when they get used to the way they text their friends, they will tend to apply the same thing at school. In my opinion, the only way to make people do not excessively use mobile Internet devices is to lessen or limit their opportunity to reach the I nternet. Today, we have seen more and more mobile companies offer various â€Å"unlimited†package to the mobile users in order to let them access the Internet without any constriction. However, the mobile companies should stop promoting or offering this kind of service, and they should only provide â€Å"unlimited data† package to those who really have a strong need to text or to access the Internet, such as I. T. professionals or international businessman. Moreover, if someone applies an â€Å"unlimited† package, he or she will need to provide some specific and significant information to the mobile company in order to prove that his or her case is qualified to use the package.Canceling â€Å"unlimited† package isn't enough to lessen people's opportunity to connect to the Internet because wireless signals are everywhere. Therefore, hotels, large-scale business quarter, restaurants, entertainment centers, beauty centers, gyms and information consultation s hould not provide unrestricted wifi to their customers. Instead, they could set a time limit to restrict their customers to connect to wifi network. For example, if a person's device has been connecting to wifi for 15 minutes, he or she will not be able to connect to it for the next 10 minutes.At this point, we do not have to worry too much about the mobile game addiction because nowadays most of the mobile-game companies have set an access limitation for their games to prevent their users from addiction. Lastly and most importantly, schools and guardians should spend more time on teaching their children the true meaningfulness of communication and human interaction, and teaching them how to talk or communicate with others at the same time, instead of just letting them stick with the computers and make â€Å"connection† to the â€Å"real† world.