Saturday, August 31, 2019

Discuss the Purpose and Function of Art Essay

What is the purpose and function of art? Art plays a large role in our everyday life. It has a heavy impact on our different cultures countries around the world. With the different countries there are different forms of art. These forms of art are some people lives. Some people enjoy art as a hobby; some make a living from art. It is just involved in so many of our daily lives. Art enhances our creativity. It also allows your curiosity explore. For the fact that art is so versatile everyone can learn, enjoy art for what it means to them. There are many functions and purpose of art like for instance. The beauty of art most arties paint with their religion and or there believes rather if they are Catholic or Christen. Many artiest paint what they see, also painters paint with a certain design to these paintings. For example there will be a letter in a painting showing there artiest initial or of a loved one shadowing to a citrine side showing that this is his work like a signature. The oldest purpose of art is a vehicle for religious ritual. From prehistoric cave paintings to the modern day churches, art has served religion. In traditional societies even today, the primary purpose of art is religious or ceremonial. Some arties desire to give form to their spiritual belief is especially apparent in the translation for Christians and religion. Artist express what god is to them and how they in vision him. For example, In the work of art the Magical Figure with the nails in the sculpture represents everything that person has done bad in their life to others, they will receive the same pain inflicting on them when the pass on to the next life. Some were said to pursue withes, thieves, and adulterers at night. Some Magical figures stand up straight, the raised right is for it to hold some type of weapon, and the holes in its stomach represented contained medicine that was magical. Art is a simple means of recording of visual data, telling the truth about what they see. In time, the artists began in various ways to challenge the basic idea of what it is for an image to be true or real. But the art of seeing is not a simple matter of our vision making a divert recording of reality seeing both the physical process the arties sees many different things as in the light things that no other average person during the day or night many painters see things like fear, desire, emotions and beliefs when u look for that I will find yourself capturing that certain moment in life. Art can also be seen as creating beauty. The idea of beauty, like that of truth, is challenged by the modern era. At one time artist were expected to portray perfection, lofty and noble ideas of beauty. For example, the Apollo Belvedere if the artist would have messed up just a little then the whole sculpture would have been ruined and they would have to scrap it and start all over again. Art is also used as a form of storytelling with powerful meanings. For example, the lower nine panels of the lancet window in the west front Chartres Cathedral it shows a story telling of the Virgin Mary giving birth to Jesus and the three wise men as well others. Art gives off intense emotion. The power of art can be seen in literal ways in the capturing of facial expression and body language. Certain religious art, the work of expressionist such as Munch are charged with powerful emotions. Picasso, in works such as Les Demoiselles d’ Avignon and The Seated Bather is able to communicate intense emotion, by giving form to his tormented feelings toward females. Americans viewing all groups of art ask themselves the same questions, what is the purpose of this particular work of art? What is my relation to the work and why? We ask ourselves every day why this? Anyway one of the primary functions of art is to interpret the subject matter at hand. Subject matter does not change much over time, and new subject matter has evolved, the human condition, nature, and events still continue to capture the attention of artists.

Friday, August 30, 2019

Victorian Era

The Victorian Era During the Victorian Era, social classes of England were newly reforming, and fomenting. There was a churning upheaval of the old hierarchical order, and the middle classes were steadily growing. Added to that, the upper classes' composition was changing from simply hereditary aristocracy to a combination of nobility and an emerging wealthy commercial class. The definition of what made someone a gentleman or a lady was, therefore, changing at what some thought was an alarming rate. By the end of the century, it was common that a gentleman was someone who had a liberal public (private) school education, no matter what his antecedents might be. There continued to be a large and generally disgruntled working class, wanting and slowly getting reform and change. Conditions of the working class were still bad, though, through the century, three reform bills gradually gave the vote to most males over the age of twenty-one. Contrasting to that was the horrible reality of child labor which persisted throughout the period. When a bill was passed stipulating that children under nine could not work in the textile industry, this in no way applied to other industries, nor did it in any way curb rampant teenaged prostitution. The Victorian Era was also a time of tremendous scientific progress and ideas. Darwin took his Voyage of the Beagle, and posited the Theory of Evolution. The Great Exhibition of 1851 took place in London, lauding the technical and industrial advances of the age, and strides in medicine and the physical sciences continued throughout the century. The radical thought associated with modern psychiatry began with men like Sigmund Feud toward the end of the era, and radical economic theory, developed by Karl Marx and his associates, began a second age of revolution in mid-century. The ideas of Marxism, socialism, feminism churned and bubbled along with all else that happened. The dress of the early Victorian era was similar to the the Georgian age. Women wore corsets, balloonish sleeves and crinolines in the middle 1840's. The crinoline thrived, and expanded during the 50's and 60's, and into the 70's, until, at last, it gave way to the bustle. The bustle held its own until the 1890's, and became much smaller, going out altogether by the dawning of the twentieth century. For men, following Beau Brummell's example, stove-pipe pants were the fashion at the beginning of the century. Their ties, known then as cravats, and the various ways they might be tied could change, the styles of shirts, jackets, and hats also, but trousers have remained. Throughout the century, it was stylish for men to wear facial hair of all sizes and descriptions. The clean shaven look of the Regency was out, and mustaches, mutton-chop sideburns, Piccadilly Weepers, full beards, and Van Dykes were the order of the day. Due to the lack of modern technology that we have today such as televisions and the internet, the Victorian era (the era in which Queen Victoria reigned, this was between 1837 and 1901 was renowned for famous for the short stories that the authors of the time wrote. The birth of the railway also took place during the Victorian era and as one would expect, many people used it for transportation over long distances. There were no televisions so at times of boredom and during these long train journeys the people of the time depended solely on books and short stories for entertainment. The Ghost story genre proved to be most popular amongst the Victorian people. At the beginning of the nineteenth century in Britain, religious faith and the sciences were generally seen to be in beautiful accordance. This harmony between science and faith, mediated by some form of theology of nature, continued to be the mainstream position for most men of science right up to the 1860’s, at least. But it did come under threat. Many scientists questioned the literal meaning of the Genesis and opposed to the authoritarianism of organized Christian religion. Charles Darwin was the one, who with his Origins of the Species in 1859, proved things that could not be tolerated by the Church. It attracted widespread interest on publication. The book was controversial because it contradicted religious beliefs that underlay the then current theories of biology, and it generated much discussion on scientific, philosophical, and religious grounds. Of course a longer period had to pass to accept Darwin’s ideas, but it did affect the Christian mind, it did raise questions about the institution of the Church. The values that were based on religion were shaken greatly as well and the roots of the 20th century’s search for new values could be originated from here. Attitudes toward values and morals in those times also depended on, which social class a person belonged to. As the population increased, the gap between the lower and upper classes grew larger and also the differences in social behavior. Lower working classes struggled with everyday life, large families often did not have anything to eat, and children had to go working from an early age. There, the morals were drawn to the background. Even though, every felony was punished strictly, people often ended up stealing, robbing and murdering. Cities were full of slums, hygiene was non-existent and the drinking water spread diseases. Among these circumstances there was one rule that existed: to survive the day! Opposing the upper classes’ primness, prostitution and child labor was not scorned as a livelihood for the common people. Society as a whole, was called and often talked about in connection with the Victorian Era, did not help them, did not do anything for them, only despised them. Victorian values included a strict moral code and an obsession with social status. Upper classes always liked to lead their life in an exemplary way, regarded the morals highly and lived accordingly. Their occupation and social standing was largely determined by family background and social connections. We have to take into consideration that the Victorian era was the one when educated and wealthy people knew that the period they were living in is great and society, if everyone in it lived according to the Victorian values, could be happy. Although by looking back at the way they treated these values, most of them seem hypocritical. In their life religion, family, home, wealth and primness played an important role and proud as they were of themselves of belonging to these great times, rejected anyone whose life was not based on these things. They were the lucky ones that were educated and could easily afford forming opinions about the rest of the society, making references to morals, making up their own and forming the old ones as well. The Victorian era became notorious for employing young children in factories and mines and as chimney sweeps. Child labor played an important role in the Industrial Revolution from its outset, often brought about by economic hardship, Charles Dickens for example worked at the age of 12 in a blacking factory, with his family in debtor's prison. The children of the poor were expected to help towards the family budget, often working long hours in dangerous jobs and low wages. In England and Scotland in 1788, two-thirds of the workers in 143 water-powered cotton mills were described as children. Agile boys were employed by the chimney sweeps; small children were employed to scramble under machinery to retrieve cotton bobbins; and children were also employed to work in coal mines to crawl through tunnels too narrow and low for adults. Children also worked as errand boys, crossing sweepers, shoe blacks, or selling matches, flowers and other cheap goods. 7] Some children undertook work as apprentices to respectable trades, such as building or as domestic servants (there were over 120,000 domestic servants in London in the mid 18th Century). Working hours were long: builders worked 64 hours a week in summer and 52 in winter, while domestic servants worked 80 hour weeks, children worked from 12 to 16 hours a day; they often began w orking at the age of six or seven. Children had to be beaten to keep them from falling asleep while at work; in spite of this, many failed to keep awake and were mutilated or killed. Parents had to submit to the infliction of these atrocities upon their children, because they themselves were in a desperate plight. Craftsmen had been thrown out of work by the machines; rural laborers were compelled to migrate to the towns by the Enclosure Acts, which used Parliament to make landowners richer by making peasants destitute; trade unions were illegal until 1824; the government employed agents provocateurs to try to get revolutionary sentiments out of wage-earners, who were then deported or hanged. Such was the first effect of machinery in England. Children as young as three were put to work. A high number of children also worked as prostitutes.. In coal mines children began work at the age of five and generally died before the age of 25. Many children worked 16 hour days. As early as 1802 and 1819 Factory Acts were passed to regulate the working hours of workhouse children in factories and cotton mills to 12 hours per day. These acts were largely ineffective and after radical agitation. A royal commission recommended in 1833 that children aged 11–18 should work a maximum of 12 hours per day, children aged 9–11 a maximum of eight hours, and children under the age of nine were no longer permitted to work. This act however only applied to the textile industry, and further agitation led to another act in 1847 limiting both adults and children to 10 hour working days. By 1900, there were 1. 7 million child laborers reported in American industry under the age of fifteen. The number of children under the age of 15 who worked in industrial jobs for wages climbed to 2 million in 1910. The accepted reasoning was that the career for women was marriage. To get ready for courtship and marriage a girl was groomed like a racehorse. In addition to being able to sing, play an instrument and speak a little French or Italian, the qualities a young Victorian gentlewoman needed, were to be innocent, virtuous, biddable, dutiful and be ignorant of intellectual opinion. A wealthy wife was supposed to spend her time reading, sewing, receiving guests, going visiting, letter writing, seeing to the servants and dressing for the part as her husband's social representative. For the very poor of Britain things were quite different. Fifth hand clothes were usual. Servants ate the pickings left over in a rich household. The average poor mill worker could only afford the very inferior stuff, for example rancid bacon, tired vegetables, green potatoes, tough old stringy meat, tainted bread, porridge, cheese, herrings or kippers. The Catholicism of the Oxford Movement, the Evangelical movement, the spread of the Broad Church, and the rise of Utilitarianism, socialism, Darwinism, and scientific Agnosticism, were all in their own ways characteristically Victorian; as were the prophetic writings of Carlyle and Ruskin, the criticism of Arnold, and the empirical prose of Darwin and Huxley; as were the fantasy of George MacDonald and the realism of George Eliot and George Bernard Shaw. One could say that Queen Victoria personified the spirit of nineteenth-century England; she was Queen of the United Kingdom, Great Britain, and Ireland as well as Empress of India. She put the â€Å"Victorian† in the Victorian Era.

Advantages and Disadvantages of Family Businesses

Family ownership or management of business is predominant in different countries. Family businesses exist in different sectors such as agriculture, manufacturing and services. Many of today’s prominent business firms that provide popular products and services and own respected brands are family businesses. Some businesses also start out as family businesses before shifting to other forms of business organisation. Family businesses are also significant contributors to economic growth. Firms owned or managed by families can be small, medium or large.Regardless of the size and scale of operation, the sheer number of family businesses translates into a diverse range of consumer products as well as employment opportunities and household income. However, like other forms of business organisations, family businesses have advantages and disadvantages that require consideration to support justifications for suitability in the present business environment.Advantages of Family Businesses Family businesses offer a number of advantages. These advantages explain the predominance of family businesses and the increase in firms owned and operated by families.The first advantage is the commitment towards the business that family members exhibit (Leach & Bogod 1999; Longenecker et al. 2006). Firms established and operated by families enjoy the commitment of family members involved in managing the business.There is a strong attachment to the business, as an outcome of direct and personal efforts. There is also the strong motivation to keep the business going. This leads to prudent decision-making over expenditures and investments (Longenecker et al. 2006). The business has high value to family members as a source of family pride and a legacy passed on from one generation to the next (Fleming 2000).The second advantage is flexibility over a wide range of areas, particularly work arrangements and responsiveness to change (Leach & Bogod 1999). Family members managing the busine ss are flexible when it comes to the time and effort they give to their work. As a highly valued venture, the family business becomes a priority to ensure business success (Fleming 2000). Family businesses also exhibit flexibility in responding to changing conditions in the business environment. Direct involvement in operations supports immediate recognition of problems and emerging opportunities (Sonfield & Lussier 2009).Decision-making over solutions or in tapping into opportunities also happens fast to respond to issues and needs. The third advantage is long-term planning fuelled by the goal of sustainability (Leach & Bogod 1999). The intention for family businesses is to continue across different generations (Fleming 2000). This intention influence strategic planning to ensure the stability and sustainability of the business. There is better anticipation and control of risks. Contingency plans are set in place. There is also high reliance on business knowledge and skills acquire d by the family (Lee, 2004).The fourth advantage is the exercise of direct control over the business by family members (Sonfield & Lussier 2009). The management of the business by family members supports speedy decision-making (Leach & Bogod 1999). Direct knowledge of operations provides information needed to support sound decisions. Decision-making can happen on the spot as problems emerge or comprise an expedited process. Moreover, family businesses are able to transmit family values into the corporate culture to ensure that operations align with the goals envisioned by the family (Fleming 2000).The last advantage is the achievement of employee motivation (Leenders & Waarts 2001). One source of employee motivation is the trust (Tagiuri & Davis 1996) emerging in the relationships within the business adopted from the fiduciary relationship among family members. Employees are extended trust to create the perception of value to the business.Another source of employee motivation is goo d channels of communication (Tagiuri & Davis 1996) that create a pleasant work environment. Communication not only eases work but also ensures the necessary support for the conduct of work. Appreciation and recognition are also easily communicated.Disadvantages of Family BusinessesFamily businesses also have disadvantages. Even if family businesses comprise the predominant form of business organisation worldwide, there are also family businesses that fail when the disadvantages overshadow the advantages. The first disadvantage is the rigidity of business structure and culture (Leach & Bogod 1999). Family businesses have the tendency to stick to tradition. While traditional practices may have led to the success of the firm, the changing business environment may require change.The value accorded to traditions and the fear of losing control may work against needed change. The second disadvantage is the impending conflict between family values and business interest (Leach & Bogod 1999) and conflict between personal life and the business (Longenecker et al. 2006). There is an overlap between family and business interests. Conflict emerges in areas when there is deviation between family and business interest such as in decisions to bring in external investors or change business practices. Decision-making can also become emotional when personal considerations intertwine with business (Fleming 2000).The inability to find a point of compromise can result to serious problems. The third disadvantage is the difficulty of continuity or succession (Leenders & Waarts 2001). Succession is a process charged with strong emotions and high stakes (Fleming 2000). Conflicts can arise when there are different family members aiming to become successors. The process requires consideration of competence apart from membership in the family to ensure not only the continuity of the family business but also the sustainability of the business itself (Lee, 2004). Unaddressed emotional issues can lead to the failure of the business.The fourth disadvantage is the threat of leadership crisis (Leach & Bogod 1999). A problem in the allocation of power can emerge when there is reluctance to allocate greater power to one member of the family to facilitate decision-making. There is likely to be preference for equal sharing of power, which can delay decisions during a deadlock (Sonfield & Lussier 2009). Problems with leadership can also relate to succession. There may not be good leaders in the family but there is preference for family members to lead the business (Fleming 2000).The last disadvantage is difficulties in achieving efficiency and profitability because of the preference for equity to the detriment of efficiency (Lee 2004). The placement of unknowledgeable and inexperienced family members in key positions instead of hiring external experts to take charge, while the family member gains experience, can lead to irrational or rash decisions that affect the performance o f the business (Fleming 2000). Similar situations focusing solely on equity can result to inefficiency that has a direct adverse effect on profitability.ConclusionFamily businesses have advantages and disadvantages. The family business, as a form of business organisation, suits today’s business environment through the advantages that are inherent or prominent in family owned or managed firms such as commitment, flexibility, control, long-term planning, and employee motivation. Addressing the disadvantages can be by finding the strategic balance between family and business concerns or interests that work for the business at present and in the future. In doing so, family businesses can ensure sustainability even in the fast-paced business environment.

Thursday, August 29, 2019

What Went Wrong for eastman Kodak Essay Example | Topics and Well Written Essays - 1250 words

What Went Wrong for eastman Kodak - Essay Example Thirdly, Kodak was unable to make the new digital technology to fit coherently with its other capabilities as a core competency. In the subsequent paragraphs in this discussion, Kodak’s approach in these three strategies is compared with IBM’s in order to highlight the ultimate failure of the former and the success of the latter. Kodak rise to dominance in the imaging industry was characterised by it use of a razor-edged strategy. This strategy was implemented by selling cameras at a very low cost, and earning profits from the sale of expensive films. The high margins on film fuelled the company’s profitability and growth to the extent that the company became too dependent on its film business. The problem with this is that the company concentrated on acquiring core competencies on film technologies while it continued to pay less attention to equipment. In spite of pioneering in the field of digital cameras, the company discarded the idea of pursuing future compe titive advantages in that field because of the fear that this would cannibalise its film business (Nate, 2012). According to the resource-based view of strategy, firms that have superior systems and structures are profitable not because they engage in strategic investments that may deter entry and raise prices above long-run costs, but because they have markedly lower costs, or offer markedly higher quality or product performance. However, this strategy is often not enough to sustain significant competitive advantage for long. According to Teece, Pisano and Shuen (1997), winners in the global marketplace have been firms that can demonstrate timely responsiveness and rapid and flexible product innovation, coupled with the management capability to effectively coordinate and redeploy internal and external competences. Kodak’s failure arose from its management’s comfort with its present huge resources and core competencies which prevented them from developing dynamic c apabilities. In 2011 IBM marked its 100 year milestone. As two centenarians, it would be appropriate to compare IBM’s continued success against Kodak’s demise. IBM, like Kodak, has faced the full force of disruptive change on its core business as faster, cheaper and nimbler competitors rapidly ate away its market leadership. In the early 80s IBM introduced the IBM PC that created the first truly mass market for the personal computer (Koehn, 2011). However, within a decade IBM had fallen behind in this market that it had created so much that in the 1992 financial year the company recorded a US$8.10 billion loss (Denning, 2011). Knowing customers intimately In the early 90s when IBM was performing its worst the financial analysts believed the company’s best bet for survival was to break it up and sell it. However, the newly appointed CEO Lou Gerstner overcame that pressure and instead focused on interacting with customers and industry experts in order to under stand IBM’s value-proposition from the customer/market perspective. This exercise enabled the new CEO to identify IBM’s greatest strength to be its ability to provide customer with integrated solutions. As such the organization dropped the earlier desire to split the company. Splitting IBM would have destroyed its unique competitive advantage. Armed with this knowledge Lou Gestner changed IBM strategy to be an enterprise that could understand and provide its customers wide-ranging IT needs. Today, IBM’s Global Services provides the largest share of the company’s revenue (Koehn, 2011). On the other hand, Kodak acted as if it were not affected when Sony introduced the Mavica digital camera.

Wednesday, August 28, 2019

Qualitative Analysis Essay Example | Topics and Well Written Essays - 1250 words

Qualitative Analysis - Essay Example However, most of these forms of answers sometimes provide additional information that may be vital for the research. Therefore, qualitative research is an essential tool in evidence based policing. If the offenders are involved in the interview or research, it should be noted that these characters tend to provide vague verbal expressions that have a high degree of uncertainty; thus, they may make the investigators to misinterpret such claims a factor that may mislead the investigation (Hayden, 2012). Moreover, such vagueness of expressions may lead to empirical difficulties to verify the effectiveness of the criminal profiles developed from such research work (Agarwal and Agarwal, 2008). Therefore, this essay aims at addressing the significance of effective and ineffective reporting of the qualitative criminal research findings. The article â€Å"The Evolutional View of the Types of Identity Thefts and Online Frauds in the Era of the Internet† by Shun-Yung Kevin Wang and Wilso n Huang is pegged on their research work on Online Frauds (Wang and Huang, 2011). From the article, it is apparent that these researchers have highly concentrated the negative effects of the internet thereby they might have disregarded other vital information that might have been provided concerning their topic research. However, it is important to analyze presented information that is not relevant to the topic of concern. Analysis of such information is vital for such information usually provides hints to other factors that contribute or are likely to contribute to the advancement of such crime (Greasley, 2008). Wang and Huang’s article aimed at addressing Types of Identity Thefts and Online Frauds in the Era of the Internet, a topic that might have just concentrated on factors that fuels such crime, but it is apparent that the reported they provided also contains the advancement of this criminal act that may be considered as positively reported negative evidence. For instan ce, they reported, â€Å"With the continuous advancement of Internet technology and personal computing devices in recent years, Internet crimes have risen to an alarming level (Wang and Huang, 2011).† This form of information is quite important since if the activities related to that crime are increasing, it would be upon the law reinforces to revolve of measures to take towards curbing; otherwise, reducing the same factors or activities. On the other hand, Wang and Huang seemed to have failed to record what most respondents tend to give at the end of the interview or following the structures of certain questions. In their report, they should have mentioned the solutions offered by their correspondents suggested to reduce or eradicate the internet related criminal activities (Faherty, 2008). For instance, they noted, â€Å"the integration of such diverse technological applications coupled with the rapid growth of online users make fraudulent activities likely to rise further , if no intervention is proposed and implemented (Wang and Huang, 2011).† In this part of their report, they failed to list other integrated services and applications that when coupled with the use of the internet and its high number of users will increase the crime immensely. Lack of reporting some negative evidences collected from qualitative criminal

Tuesday, August 27, 2019

Anorexia Nervosa, Control Issues, signs and symptoms, Term Paper

Anorexia Nervosa, Control Issues, signs and symptoms, - Term Paper Example A large nationally representative U.S. study conducted on this group of people revealed that there were no new cases registered after the respondents reached their mid-20s (Harvard Medical School, 2009). This finding reveals that adult patients who seek treatment for anorexia nervosa have usually struggled with this disorder much earlier in their life. Anorexia is a very common disorder and nearly three quarters of those affected by this disorder are females. This can be attributed to environmental factors, such as magazines, web and other media sources that promote and idolize thin models thereby leading unsuspecting readers to be obsessed by the desire to be thin. Physical signs of anorexia: Physical signs of anorexia include excessive weight loss without any medical cause, dry skin, thinning of hair, poor or no menstrual periods in women, feeling cold or presence of swelling in extremities of limbs, downy hair covering the body, low blood pressure, fatigue and/or abnormal heart rhythms. Psychological and behavioral signs: Psychological and behavioral signs of anorexia include feeling fat despite being underweight, refusing to eat, not able to remember things, refusing to accept low body weight as a problem, depression and obsessive-compulsive behaviors like frequently checking weight, following extreme exercise regimen and/or pretending or lying about eating. Weight loss or lack of expected gain: Significant loss of weight without any medical reason is one of the main indicators to identify Anorexia Nervosa. A loss of 5 to 10 pounds in a healthy individual is a matter of concern and should be followed-up (Dubansky, 2010). The annual health checkup is a good time to track adequate weight gain in children and identify significant weight loss in adults. Anorexia during the initial phase can go unnoticed even by physicians because a lot of attention is given to obesity and related issues. Sudden change in eating habits: Behaviors that

Monday, August 26, 2019

Product design Essay Example | Topics and Well Written Essays - 750 words

Product design - Essay Example Usually, the failure of a new product results because of the weakness of its product design. (Roqueta, 1992) One of the prominent weaknesses in this portable CD player is that it has buttons whose placement is not too comfortable. The placing is awkward, thus making it difficult for the consumers to use. Moreover, since the CD player is portable, the usability and smoothness of the buttons play a major role, since they have to be used on the go. But rather than being extremely user friendly, their placing is not up to date, making it inaccessible to the consumer easily. These buttons are very small in size, thus this result in pressing some other button when the consumer intends to press a specific button. The button of switching between the AM and FM also looks very out of place, since its look is very different from the rest of the player. It is made of very thin rubber, which doesnt complement the stylish outlook of the remaining CD player. The design is perfect when the entirety is in congruence with each other. Second issue with the product design is that of the SonicStage software that comes with the player. The problem with it is that it is too slow in function. The software is supposed to compress the music of consumers, such that the quality is maintained and it can easily fit into one single CD. But the problem starts when the software is converting the MP3 format of the song to the ATRAC format of the Sony CD player. This process is very sluggish, and takes place at a snails pace, thus eating up a lot of time of the consumer and also increasing their frustration with the slowness of it. Moreover, as promised that the quality of the songs would not change, this does not happen to. The songs are now of lesser quality than they originally were, after the conversion has taken place. In addition to that, the SonicStage software

Sunday, August 25, 2019

Business Law (7) Assignment Example | Topics and Well Written Essays - 750 words

Business Law (7) - Assignment Example Likewise, it was also emphasized that â€Å"employees bring a range of career development issues (orientation, outplacement, work, and family) in the workplace† (Mallor, Barnes, Bowers, & Langvardt, 2013, p. 459); as such, career development models would assist in designing policies and programs that were indicated to be instrumental in addressing these issues and at the same time, provide ways and means for professional growth. 2. Why should companies be interested in helping employees plan their careers? What benefit can companies gain? What are the risks? Companies should be interested, be involved and be committed in helping employees plan their careers because the benefits that would be accorded to the employees would reverberate in terms of higher productive and performance that is likewise beneficial to the organization. From among the benefits that the companies gain when they are involved in career planning and development are: ensured continuous supply of talented an d competent employees as exemplified from the positive image that these companies exude; higher employee morale and commitment; maintaining a highly motivated personnel; and effectively using the resources which would be instrumental in achieving organizational goals and sustaining financial success. The risks in assisting employees plan their careers are very minimal, which could include shouldering additional costs for career planning, development and management. 3. What are the 3 components of career motivation? Which is most important and why? Which is least important and why? The three components of career motivation are: career resilience, career insight, and career identity. Accordingly, career resilience is the ability of the personnel to address organizational dilemmas that affect implementation of their responsibilities. Career insight was explained as the ability of the personnel to discern their strengths and weaknesses and to relate these to the goals which they have ea rmarked for their respective careers. Finally, career identity was defined as â€Å"the degree to which employees define their personal values according to their work† (Mallor, Barnes, Bowers, & Langvardt, 2013, p. 448). One firmly believes that the three components are equally important; but if one were to select the most significant, it would be career resilience, or the ability of the employee to cope with the problems and challenges that are being encountered in the work setting because it takes innate skills of introspection and problem-solving to be able to resolve problems and bounce back to the level of performance expected in the organization. On the other hand, from among these components, the least important could be career identity because if the two other components are eminent, ultimately, the employee would eventually perceive personal and professional values (either consciously or subconsciously), as long as the organizational goals are effectively achieved. 4 . What is a psychological contract? How does the psychological

Saturday, August 24, 2019

Un Decided (Can be chosen from 6 topics in the handout uploaded) Essay

Un Decided (Can be chosen from 6 topics in the handout uploaded) - Essay Example 17). Thomas Hobbes, John Locke and Jean-Jacques Rousseau talk about the social contract because man lived in a State of Nature and the social contract serves as the gateway to the civil society. It is important to note that three philosophers have their distinct view of the state of nature and have made their contribution to the social contract theory, but all share these principles. The social contract theory by Thomas Hobbes deviated from the above views which were major proponents of theories by John Locke and Rousseau hugely influenced by his views on the state of nature (Markfield 2006, p.35). Hobbes advanced for a more power vested in the government because of his views that humans are generally selfish seen in salvage in the state of nature before civilization or civil society The main aim for this essay paper is to address the question of what is the role of social contract in western political theory. The objective of this essay paper is to list each role of a social contract and give an in-depth explanation as to how it is a role in relation to the western theory of politics. It will give a brief introduction and understanding of the theory of western politics. The theory of social contract originates from the concept that the society needs just as well as the need for a just people (Huttegger and Smead 2011, p.15). With a keen look at the works of Jean Jacques Rousseau, Thomas Hobbes and John Locke, this essay paper intends to give a clear perspective on the role of social contract in western political theory. The basic understanding of a social contract is to create a voluntary contract. This contract helps the society to shift from a state of nature to a state of civilization. The term â€Å"state of nature† is similar to the operating of the animal kingdom. It is important to note that the security of a person is very much dependent on the person’s power. Social contract strives to provide a

Friday, August 23, 2019

Health Care Provider and Faith Diversity Essay Example | Topics and Well Written Essays - 1000 words - 1

Health Care Provider and Faith Diversity - Essay Example There are numerous similarities and differences among all religions. Religions portray some sort of symbol or icon which they worship but cannot see. Every religion teaches non-violence as well as sacred beliefs. They all entail beliefs in a god or gods and that they all have a final destination. This paper will research three diverse faiths and compare the viewpoint of providing healthcare from the perception of each of these faiths with that of the Christian perspective and my own personal perspective. Health Care Provider and Faith Diversity Introduction Healing is thought as something that originates from medical science, but many religions are now looming on different spiritual or religious beliefs to cater for the healing process of their faithful (O’Brien, 2011). For individuals in the health care industry, it is essential to understand basic spiritual and religious beliefs because they offers more insight into how patients process and perceive their diseases or illness es. Christianity There are numerous religious practices and beliefs depending on an individual, denomination or church. In spite of the varying principles, there are numerous common practices among Christians today (O’Brien, 2011). A majority of Christians are baptized and take the Holy Communion. These are sacred beliefs, which a majority of Christians practice. ... Through asking for forgiveness and God’s intervention, Christians believe that the illness will disappear. Many Christians will first attempt spiritual healing prior to trying surgery or medical healing. Even though Christians opt for divine intervention when dealing with illnesses, they also consider medical intervention as a vital tool for healing (O’Brien, 2011). Christianity has a significant influence throughout the globe. Christianity is also one of the most dominant religions currently. Health care providers, therefore, need to understand the beliefs and doctrines of Christians. Buddhism Buddhism, just like numerous other religions, has different traditions. However, there are several principles that are shared by Buddhists and other religions. Buddhists strive for peace, love and fullness throughout their lives (Bloom, 2011). They use prayers as a tool of regaining mental stability and healing. When Buddhists pray, they must attach four points of their body to t he ground. A majority of Buddhists, for instance, attach the knees and the elbows to the ground when saying their prayers. The touching of the ground with four points symbolizes the heroes in the Buddhists religions. The first and foremost priority in their life is God. The second one is conceding to their ancestors. Their third priority is paying respect to their parents and guardians. Finally, their fourth priority is paying tribute to any teacher in their lives. Buddhists do not believe in evil things (Bloom, 2011). Normally, they are satisfied but do not consider whether a person has done a good or evil thing during his/her lifetime. Buddhists consider healthcare workers to be second to God. Healthcare providers are, therefore, widely respected in the Buddhist spiritual world and religion.

Thursday, August 22, 2019

Balance Scorecard and Strategy Map of TESCO Coursework

Balance Scorecard and Strategy Map of TESCO - Coursework Example The areas where the implementation has been done and how the company has achieved the vision and the objectives have been analysed in this essay. The report has been concluded with a set of recommendations for the Tesco board of Directors and also an evaluation of the Balance scorecard and the strategy map as a management tool. Introduction The balanced scorecard strategy is one of the most accepted management and strategic planning tool. The balance scorecard is delivered in a structured format with different design methods as well as tools that would help the company in the decision making and strategy formulation. Robert S. Kaplan and David P. Norton has laid the foundation of this balanced scorecard method which takes into consideration not only the financial aspects but also the non financial strategies that are essential for the success of an organisation. Tesco plc is one of the leading grocery retailer based in Britain. In terms of profits the company is second largest in the world. As many as 6351 stores cater to the customers. Tesco has a global presence and has diversified into the financial services, telecommunication services as well as media and entertainment industry. The diversification was not only confined to product but was also done geographically. In order to achieve the success that the brand has got, various strategies had to be taken in the entire life of the brand. This report is an analysis of the different strategies that Tesco had taken in order to maintain it consistent growth and to maintain a competitive advantage among the other brands in the industry. Vision and Strategy The customers occupy a pivotal position in the formulation of the vision and the strategy of the company. The company aims at providing the high quality products and services for the customers. The vision of the company is to get the value for the customers so that the customers become loyal to the brand name of Tesco for their life time. Some of the goals of th e company which are ingrained in the minds of the employees include the ideal of doing the best and trying in the hardest way to deliver the services to the customers. Another important aspect of the ideal of Tesco is that the company treats the customer in a way in which the company itself would like to be treated (Tesco Plc, 2011, pp. 4-5). The company from time to time renews and reconstructs the vision. The vision of Tesco is to be the most superior valued company in the global scenario. This high value would not only be confined to the customers but also would be applicable for the employees as well as the communities which Tesco serves. The contentment of the shareholders is also another important point that the company takes care of. For achieving the goals and the vision Tesco implements various strategies that help the companies fulfil the ideals. The company applies the strategy of winning the share of each local market. This strategy is implemented throughout the globe to get a global dominance of the brand. In other words instead of an integrated unique strategy, each of the target markets are captured through taking various strategies in the different markets. The company believes that the retail businesses vary across the globe and a each of the markets have a different characteristic. Thus the local market of Europe would be different from the local market

Islamic cultures Essay Example for Free

Islamic cultures Essay 1.   Islamic cultures in the European Middle Ages were comparably more advanced and better than the Christianity.   Islamic cities in the Middle Ages were thriving and became the centers of trade and economy. Islamic merchants bought and sold goods from across Africa, Asia and Europe.   New technologies such as windmill, block printing as well as new methods of weaving, which were developed in China were brought to Europe by Islamic merchants. Moreover, Islamic cultures during this period were considered mixed and multi-ethnic as it borrowed from the cultures of the people that Muslims conquered or interacted during trading.    Greek works by early scientists and mathematicians were interpreted into Arabic and used by Islamic Arabs.   Islamic cities also became centers for art and learning. Since Islamic society during the Middle Ages valued scholarship Islamic cities became major sites of major libraries and scholarships. 2.   Europe provided a route and area for Islamic culture to flourish. In terms of trade, Europe provided the Islamic empires with raw materials while Asia became the center of trade and commerce.   Europe also became an avenue of the both Islam and Christianity.   Initially, Islam swept mostly all throughout Asia and Europe on the other hand was mainly dominated by Christianity.   But eventually, Islam conquered Europe as well which led to the conversion of many parts of Europe into Islam particularly Spain.   Islamic Europe were also comparable far more superior to those among European Christians, and Islamic cultures were responsible for bringing Asian innovations into Europe.

Wednesday, August 21, 2019

Causes and Effects of Mental Illness

Causes and Effects of Mental Illness Depression (major depression) is a common mental disorder characterized by a period of intense and negative emotions, lack of interest, anhedonia (lack of pleasure), guilt and low self-esteem feelings, sleep disorders and normal appetite, loss of energy and difficulty in concentration. People who suffer from depression usually they have not presented the same symptoms and even if they have the same symptoms, their intensity varies. Depression can transform from a transient to a chronic condition, preventing the steady mental functioning of people and -in extreme cases even lead to suicide. The social and economic impact of depression usually is difficulty in maintaining close relationships, alcoholism, accidents, misuse of health services, reverberations the whole family and more on children, early retirement, and substance abuse. The depressed person suffering from the disease thus transformed and expressed in many ways such as hypochondriacal symptoms, impotence, insomnia or hypersomnia, poor appetite or overeating, and offending behavior. Moreover, depression can occur in various forms such as with most physical illnesses. However, in these types, there are several variations in the number and severity of symptoms. The following three types of depression frequently arise in people who suffer from this disease. The major depressive episode is manifested by a combination of symptoms and affected significantly the functionality of the individual. An incident such as this episode may occur once, or more frequently, several times during the life of the individual and ordinarily lasts around 6-8 months. A less severe form of depression, dysthymia, is a milder side of symptoms, but more chronic disorder. In this form, individual generally retains much of the functionality but however, there is a danger to drop back into a major depressive episode. Bipolar disorder or manic depression is otherwise a severe mental disorder characterized by cyclical swings of emotion, where in that period of intense elation (mania) alternate with periods of depressive episodes. The person in the manic episode shows hyperactivity, socially inappropriate, shows cheerful, with large energy reserves, but has impaired judgment and impaired social behavior which can be fatal for the person himself but also for those around him. Various theories have been developed by several scientists are unable to determine the exact etiology of depression. There are some factors that contribute to either the start or the most intense manifestation of the disease. Many scientists have studied the depression generating mechanism based on an individuals behavior. Ferster (1973) indicates that the depressed person may have the disease at intervals, during which accepts negative stimuli and isolation from the social environment without corresponding positive stimuli which could maintain his mental balance. Additionally, starting from childhood where negative stimuli are unable to meet the individual needs (such as the mothers indifference towards the child) cultivate the belief that the environment has grown not to offer anything on the person who is pessimistic. Also, Ferster, comments on the role of anger in depression, as psychoanalysts recognizing that anger is a component of the emotional disorder but explains that the angering event often avoided by the sufferer due to the negative reaction of the environment to anger. Therefore held that feeling and the result is the further isolation of the patient from the community and lack thereof supporters. The Rado (1964), Bibring (1953) and Jacobson (1964), completing the classic analytic interpretation pointed out that it is not necessary to have an objective loss to occur depression. They outline that, something negative relative to narcissism, the love and appreciation that nourishes everyone about him, a frustration or failure would seriously undermine the feeling of self-esteem, can paralyze a persons ability to act, resulting in a recall depression. Mendelson (1967) believed that depression is due to the collapse of ego and self-confidence because of a loss or disappointment. O Schneider (1958) described the people suffering from depressive psychopathy as follows: quietly, constantly gloomy, serious, without the ability to have fun. The peace and calm seen as something meaningless and pain and suffering as a virtue. They give great importance to the operation and are oppressive but also sensitive individuals. Schneider made a distinction between depressive personality and endogenous depression which more correlated with phases of mania and depression thus rejecting the idea that a depressive personality is an extreme form of depression expression. This personality is due in early irritation predisposing the individual to become negative and pessimistic On the other side, the forms and effects of depression differ by gender. Women are 2 to 3 times more susceptible to this disease than men. Some researchers such as Hauenstein (1991) have suggested that this is due to the fact that women express more easily and more intensely their feelings, from the opposite gender, is more large percentage of the female population that will seek medical care in relation to the male gender, women affected, think and imagine different scenarios and versions if concern for a problem, leading to cause the beginning of an emotional disease while men distract their attention from the problem and focus on their goals. However, the difference is quite large, so it is believed that a combination of biological and psychosocial factors contribute to a higher frequency. The causes that can lead an individual to depression vary depending on the evolution of his life. More specifically, it is clear that there is no single reason to explain this disorder (as usually happens with many other illnesses in general). Surveys have identified several factors that appear to contribute in varying degrees to the illness of depression. We can consider the depressive disorder as the final common result of a variety of factors which act on the constitution of each individual and the specific social context. If we look at depression in this way then the various interpretations of the ground, either purely biological or purely psychosocial cease to seem to contradict each other, but rather that they complement each other.

Tuesday, August 20, 2019

International Business strategy for Arcelik Home Appliances

International Business strategy for Arcelik Home Appliances Arcelik Home Appliances is the leading manufacture of home appliances in Turkey with a market share of 50% in the domestic market as at 2003 (Chemawat, 2008). It supplies the market using two brands namely Arcelik and Beko. The company has adopted an international expansion strategy and has already been marketing its products to more than one hundred (100) countries mainly in Western Europe, Eastern Europe, Latin America, Asia, and North Africa (Chemawat, 2008). Arcelik was originally founded to produce metallic office furniture in 1955 but diversified into production of household appliances shortly after. It has been hailed as the first company to introduce appliances such as washing machines and refrigerators to the Turkish households. Arcelik would face further challenges when it became apparent that the Turkish government would be participating in the European Communitys tariff reduction which was meant to reduce to zero from 1992 to 1996 (Chemawat, 2008). The challenge would be competition from other manufactures from the European Community who would be able to sell their products at more competitive process in the domestic market. Arcelik overcame this challenge by investing heavily in research and development thereby substantially improving the quality of their products. The company is currently the leading holder of patents in the Turkish market. This strategy cemented its market leadership in the domestic market as consumers preferred to spend a little more to obtain goods whose durability could be assured. This preference was also enhanced by Turkeys fluctuating market where inflationary forces were highly unpredictable with the greater odds being to the consumers disadvantage. Arcelik would later grow to establish its market dominance in Turkey for decades but would later face challenges that would trigger its focus on international expansion to ensure its survival and growth. Arceliks motives for international expansion The focus on international expansion by Arcelik was triggered by the economic crisis that hit Turkey in 2001. This crisis had led to soaring levels of unemployment and a significant reduction of market demand by an estimated figure of 35% (Chemawat, 2008). This strategy mainly comprised increasing exports as well as engaging in international acquisitions. The economic crisis in Turkey must have proved to Arcelik the vulnerability of firms wholly dependent on domestic markets. Pressures from business cycles, inflation, interest rates, exchange rates and political forces are prevalent in domestic markets. On the other hand, international markets tend to be better insulated from such pressures since they will rarely apply across several countries. Economic crisis in one market would normally not be prevalent in the rest of the markets hence multinationals can ensure stability by marketing their products across many countries. Arcelik had to get a way to survive the economic crisis in 20 01 and as well ensure that future company performance was stabilized by reducing its level of vulnerability to domestic market fluctuations. Arcelik also sought to focus on international expansion in order to increase its level of production and increase its economies of scale (Chemawat, 2008). This means that with additional production, the cost of producing each unit product becomes significantly lower hence allowing a company to make higher margins per unit or allowing them to charge lower per unit without incurring any losses. Economies of scale allow a company to remain competitive in the ever-evolving economies. To ensure that the economies of scale do not end up in accumulation of dead stock, or in the escalation of warehousing and storage costs, Arcelik would need to look to markets that would be able to support its intention of increasing the economies of scale through a larger demand. The national demand within Turkey would not be able to absorb these additional products h ence the rationale behind Turkey looking to expand international trade. The level of demand for home appliances in Europe alone is about 25% of world demand (Chemawat, 2008). Arcelic sought to tap into this huge demand to support its competitiveness and the large levels of production occasioned by their strategy of maximizing on the economies of scale. International expansion can also be explored where a company seeks to lower its production costs by having a significant proportion of their production done from regions where the cost is lower than in the domestic market. One of the major factors of production that normally influence the decision of overseas production is labour. When considering labour, it is imperative that a company weighs between the benefits of the savings from paying the lower labour cost, the differences in the productivity of the workers between the higher wage and lower wage areas, and the transport and storage cost implications. It is also worth noting that in many cases, where the labour costs are low, other factors of production such as land would also be relatively lower. The labour cost in Western Europe is estimated to be five times that in Turkey. Labor cost in Turkey is three times that in Eastern Europe (Chemawat, 2008). In China, it is four times lower than in Turkey. Labor productivity also varies and must be taken into account. For instance, in China, labour productivity is just half of that in Turkey. Additional transportation costs are determined by both the distance between the production facilities and the legal environments of the countries through which the products must cross to get to its intended markets. Access to international markets is crucial to any organization that seeks to expand itself. Domestic markets will often in many cases be found insufficient to support the growth targets that the companies set for themselves. They are also in many cases unable to enable an organization to recoup the investments the y may make in research and development in time. The complexity and the level of innovations in the global market is advanced and often leads to production of new and better fulfilling products. This significantly reduces the product life cycles and the companies engaging in research and development need to gain assurance that their investments can be recouped before the products lose demand. This assurance can only be found by marketing extensively in the international markets where the demand is much larger and can ably support the level of sales needed. Arcelik was motivated to focus on international markets since it had opted to distinguish itself as a research and development specialist who focused on the production of quality and durable products. These features would mean that it would need to charge relatively higher prices for the products. On the other side, the products from other European countries were finding their way into Turkey due to the zero tariff arrangement with the European countries. The entry of other products in Turkey meant that Arcelik would either have to lower their prices in order to maintain its domestic share market, or expand its operations to European and other markets in order to maintain or increase its level of sales to clients that focus more on quality, suitability and durability of the products they purchase. Arceliks options for expansion In order to realize its goal of expansion into the international markets, Arcelik has adopted a number of options to help them realize this goal. The international market entry options adopted by Arcelik include use of exports, international acquisitions, use of private label contracting, and product diversification. Organic domestic growth and use of exports Arcelik ensured growth domestically by ensuring reliable accessibility to the market using exclusive distributors and agencies who also served as centres for offering after sales services. This exclusive network also served as an entry barrier for any new market operators. Exporting entails maintaining the companys operations in the home market and selling the products in overseas markets (Giroud, Sinkovics, and Yamin, 2011). It is hailed as the least costly mode of foreign market entry but at the same time the most vulnerable to various entry barriers as government regulations. The cost effectiveness of this entry method is enhanced by the fact that it requires no involvement with the foreign governments or the companies operating in the target market. It is often seen as the best mode of entry for an organization operating on a lower scale. With subsequent growth of exports, the company may open sales agencies in the foreign markets to be the link with the companys clients overseas. By 2003, Arcelik had grown to be the leading player in Estonia and Lithuania with a market share of 25% in these two markets. It also had a commanding presence in the rest of Eastern Europe. The presence of Arceliks sales agencies helped grow significantly in Western Euro pe with a markets share of 15% in the United Kingdom. Arcelik also conducted a successful export strategy gaining a 70% market share in Romania with its Beko brand. The net effect of these exporting strategies was a significant increase in Arcetiks production capacity from 440,000 to 750,000 in 2003 and 2004 respectively (Chemawat, 2008). International acquisitions This mode involves a company buying out another firm operating in the target market hence assuming full legal rights over it. This method is hailed as the best mode of expansion into other markets since it grants a company total control over the foreign subsidiary as well as full profits generated thereafter (Giroud, Sinkovics, and Yamin, 2011). The full control over the activities of a subsidiary is viewed as essential in ensuring they run in accordance with the philosophies of the parent company hence ensure the goals of the company are achieved as intended. The targets for acquisition would need to have the unquestionable ability to complement Arceliks growth strategies. Arcelik would also evaluate the foreign firms brands and take consideration on how these brands would help strengthen them as well as complement their capabilities. The target subsidiarys contribution to sustainable growth was also a key factor. Arceliks acquisitions in 2002 include Bloomberg, Electra, and Flavel and Leisure in Germany, Austria and the UK for the two latter brands (Chemawat, 2008). They also acquired Arctic in Romania. The acquisitions of brands in the target markets was likely informed by the fact that many consumers tend to prefer purchasing brands that they can identify with: the brands they consider national brands. These acquisitions tremendously increased the product range offered by Arcelik and lead to its significant growth within the European markets. Use of license contracting Licensing involves the company transferring certain rights to another firm to enable it manufacture products using its brand. In licensing, the consideration that the licensor gets is only the royalty or the license fee (Giroud, Sinkovics, and Yamin, 2011). It does not take part in profit sharing or any other marketing processes of the licensee. Licensing offers the advantage of enabling a firm to avoid government regulations and other restrictive policies such as tariffs and quotas. It also enables market penetration without involving extensive capital expenditures. However, this method is highly restrictive in the level of control the company can have over the activities of the licensee. There is also the risk of the licensee gaining the technical expertise and becoming a competitor in the production of close substitutes after the expiry of the mutual arrangement. Arceliks production in 2004 comprised 40% from various licensing arrangements (Chemawat, 2008). This complimentary effo rt helped ensure Arceliks brand presence in the Europeans markets. Diversification into other businesses within Turkey In order to enhance further growth in the domestic market, Arcelik sought to capitalize on its elaborate distribution network to provide consumers with additional products. By 2004, Arcelik was offered various types cellular phones and was already getting into arrangement with various Japanese firms to act as distributors of various electronic products. The diversification proved to be a great success and further cemented Arceliks leadership in the Turkish market. Additional Options for Expansion Arceliks ambitious goal of achieving revenues of three billion Euros in the next year may be difficult to realize unless additional methods were employed to ensure its continued growth in the international markets. Domestically, Arcelik could opt to but out local competitors in a bid to solidify its hold on the local market. This solidification would help reduce the downward pressure on its product prices by reducing the significance of competition locally. In addition, the additional channels of distribution gained through any such acquisition would act as an entry barrier to any foreign firms hence ensuring steady domestic growth. Internationally, Arcelik could embrace a number of methods to ensure its continued growth. These methods include engaging in Joint ventures, franchising and use of strategic alliances. Joint Ventures Joint ventures involve the formation of a partnership arrangement with a different company where the parent companies provide the resources to operate it, share responsibility on management, and share profits realized thereafter (Giroud, Sinkovics, and Yamin, 2011). This type of venture is especially popular where it comes to sharing the intelligence and technical knowhow required for research and development. With their determination to distinguish themselves as the masters of innovation and product development, this method can be used to ensure its rapid growth. Instead of engaging in competition with the already existing companies in the foreign market, Arcelik could identify a strategic partner who knows the market remarkably well. They could then research into the market needs in a bid to try and unveil any unsatisfied demands in the market. Having found the features lacking in the products found in the market, they could, through the joint venture develop new products that woul d suit this need and capture the unreached market. This method would be convenient to Arcelik since it would not involve many unnecessary government regulations that normally bar entry. In addition, such a venture, if well implemented would easily capture the market as it would be riding on the goodwill and distribution network of the strategic partner in the foreign market. Franchising Arcelik needs to consider franchising in order to minimize the risks involved with the licensing as it currently practices. Here, Arcelik would transfer some rights to the franchisee to produce the products under its brand but will reserve the right to provide some aspects of technical support (Giroud, Sinkovics, and Yamin, 2011). This way, Arcelik will be able to be abreast with the activities of the franchisee. In addition, in Franchising, the royalty is based on the amount of sales hence Arcelik will be able to generate higher revenues in the event the franchisor is able to realize significantly higher sales. Franchising is easy to start since the franchisor incurs minimal capital cost hence Arcelik can expand into more foreign markets with relative ease. Moreover, the franchisee assumes all the risks and foots for all costs of labour and facility establishment. The company will also be able to avoid any political risks associated with foreigners operating in national markets. Arc elik can therefore easily expand its scale of production without worrying about high capital expenditure hence edging closer to achieving the revenue targets Strategic alliances A strategic alliance differs from joint ventures in that it does not necessarily involve formation of a legal entity. Strategic alliances are formed to enable companies use each others distribution networks, technologies, production capacities, management experience and others (Giroud, Sinkovics, and Yamin, 2011). One very essential factor in ensuring product penetration in the market is the distribution network. This has been evident in the manner in which Arcelik has been able to capture the domestic market by using effective distribution networks in Turkey. Arcelik should also try to replicate this experience in the foreign markets. However, by virtue of the fact that its a foreign market, they may not have the resources to establish an effective distribution network in those markets. It would therefore be relatively more convenient to identify foreign companies with a distribution network that serves their target customers effectively, and then enter into a strategic alliance wit h them. This may be companies offering similar products or those making completely different products. When the products are easily available to the consumers, they more likely to buy these products and this would lead to an increase in the amount of sales realized by Arcelik. The strategic alliance could also involve sharing of certain technologies between the companies in question. Arcelik could choose to leave the production of a certain product components to a company with a comparative advantage in its production in exchange for providing a component which it can produce more efficiently. This exchange could lead to lowering the production cost which would be useful in helping the company become more price-competitive in the market. Conclusion Arceliks growth is mainly dependent on how the company can enter and prosper in the international markets. This is because it is already commanding the domestic market in Turkey and may have limited growth opportunities locally. Growth and diversification are often related as is evident from Arceliks company history. Arcelik has grown in the past by steadily improving on the product range that it offers to the market and this diversification should be continued to ensure continued growth.

Monday, August 19, 2019

Anorexia Nervosa and Bulimia :: Causes of Anorexia, Bulimia Nervosa

Anorexia Nervosa and Bulimia Anorexia Nervosa is an eating disorder where people starve themselves. Anorexia usually begins in young people around the onset of puberty. Individuals suffering from anorexia have extreme weight loss. Weight loss is usually 15% below the person's normal body weight. People suffering from anorexia are very skinny but are convinced that they are overweight. Weight loss is obtained by many ways. Some of the common techniques used are excessive exercise, intake of laxatives and not eating. Anorexics have an intense fear of becoming fat. Their dieting habits develop from this fear. Anorexia nervosa is not associated with any pre-existing physical illness. It is on the increase in adolescent girls and younger women, although the incidence is also increasing in young men. It is often associated with depression and low self-esteem, and sometimes with a resistance to growing up, or problems with sexuality. Many medical workers and others claim that the emphasis in Western society on thinness as being central to the concept of beauty is a prime reason for the increase in anorexia nervosa. Because many individuals with anorexia nervosa never seek medical treatment, the exact prevalence of the condition is unknown. People with anorexia continue to think they are overweight even after they become extremely thin, are very ill or near death. Often they will develop strange eating habits such as refusing to eat in front of other people. Sometimes the individuals will prepare big meals for others while refusing to eat any of it. The disorder is thought to be most common among whites, people of higher socio-economic classes, and people involved in activities where thinness is especially looked upon, such as dancing, modelling, and distance running. If you have a family member that with an eating disorder, they need a lot of support. Suggest that your family member see an eating disorder expert. Be prepared for denial, resistance, and even anger. A doctor and/or a counsellor can help them battle their eating disorder. There are many symptoms for anorexia, some individuals may not

Sunday, August 18, 2019

How the Mongol Empire has Affected the World Essay -- World History Es

Introduction Throughout history there have been great empires that have tried to basically take over the world. In western schools, these empires usually consist of empires such as Alexander the Great’s, the Roman Empire, and even the British Empire of the Victorian Age. These empires are all seen as major forces in the field of history, but there is often a great empire that has been overlooked. This overlooked empire once amassed about half of the world’s land. Its territories once included China, Persia, and even Eastern Europe. The empire is known as an empire that virtually had the world trembling in their boots. The empire is the Mongol Empire, and the question is how does an empire of nomads end up drastically changing the geography of the world and scaring the living daylights out of those who were in soon to be conquered areas. Explanation of the Applicable National Standards for Geography Many of the National Standards for Geography can be seen within the history and geography of the Mongol Empire. Starting with places and regions, the subject knows and understands the physical and human characteristics of places, it knows and understands that people define regions and use them to interpret the world’s changing complexity, and it also knows and understands that culture and experience influence people’s perceptions of places and experiences. The subject, or the Mongol Empire, deals with these three standards in the fact that the empire once covered much terrain. Because of the extensive boundaries, cultures, ethnic groups, religions, and more interacted and changed. Human Systems are drastically affected by the Mongol Empire. The subject, or the Mongol Empire, deals with the characterist... .../sfasian.apple.com/Mongolia/Tour/TourA.htm (April 16, 1998) Edwards, Mike. "Genghis Khan." National Geographic. December 1996. pp. 1-37. Edwards, Mike. "The Great Khans." National Geographic. February 1997. pp. 2-35. Genghis Khan. The Encyclopedia Britannica. Chicago. 1988. v.19, pp. 746-749. Hildinger, Erik. "Mongol Invasion of Europe." Military History. 1997. http://www.thehistorynet.com/MilitaryHistory/articles/1997/06972_side.htm (April 16, 1998) Lamb, Harold. Genghis Khan, The Emperor of All Men. 1927. Kublai Khan. The Encyclopedia Britannica. Chicago. 1988. v.7, pp. 21-23. Olsenius, Richard. "The Land of Genghis Khan." National Geographic. Feb. 1997. http://www.nationalgeographic.com/features/97/genghis/index.html (April 16, 1998 Olsenius, Richard. "The Land of Genghis Khan." National Geographic

Saturday, August 17, 2019

Paul Gustave Dore Essay

While accompanying his father and older brother in Paris, Gustave discovered the allure of Paris and made known his intention to remain and pursue his career as an artist (Hubbard 5-8). His work is generally considered as Romanticism and he has been labeled one of the greatest illustrators of his time. His lack of formal training created both derision among art critics and a cult following among common people who could relate to his work. He possessed a grasp of what would be popular among the common folks of his time and a flair for the dramatics in his works. It could be said that the Parisian Art world did not side with him because he did not struggle or starve as most artist did and his financial success was a threat to the very core of Art (McWilliam 829-830). His was a time of great discovery, both scientific and artistic, and an industrial revolution the likes of which gave wealth to the very few. When he abandoned caricature work, he did try to redeem himself but, could not break the yoke of commercial production and its promise of wealth (Hubbard 5-8). His inability to sway his critics and peers in his birthplace and formative city (Paris) forced him to ply his wares in England and across the Atlantic to the United States. Gustave Dore became the darling of England and America, and managed to make millions during his half century of life and produced a staggering amount of sketches. At one point of his career as an illustrator, he employed forty blockcutters (WebMuseum 1). Gustave Dore dabbled in both painting and sculpture during his later years and was purported to be a violinist and tenor singer (Hubbard 5-8). The work of Gustave Dore is both loved and spurned during his lifetime but, he certainly maintained a life of wealth his father could not have made and he owed it all to his prodigious pencil. The following works by Gustave Dore, we will examine his favored subjects and themes that showed the suffering of poor people and presented these in surrounding treatment that emphasized those suffering. . Extracted from a book by Blanchard Jerrold and illustrated by Gustave Dore. The book was commissioned as a type of guide through the many streets and venues of London, in essence a Tourist Book (Spartacus. choolnet. co. uk). Instead it became a rendition of the lower class and their plight. A story in the Port Cities: Leisure, health and housing – Social conditions in the 19th-century Website cites the following: An artist’s impression of poverty For those whose imaginations could not be stirred by social commentators like Booth and Mearns, the French artist Gustave Dore (1832-1 883) visited London and produced horrific illustrations of life in the port areas that shocked public opinion. Although a commercial success, many of the critics disliked his work. The critics’ reaction Several critics were angry that Dore had appeared to focus on the poverty that existed on the waterfront, rather than on the finer aspects of life in the metropolis. He was accused by the Art Journal of ‘inventing rather than copying’. Completely missing the point, The Westminster Review complained that ‘Dore gives us sketches in which the commonest, the vulgarest external features are set down’. (PortCities London. org) Analysis of Formal Elements – One of the most fundamental elements of art is line. [Sayre 82] 1Variety and Quality of Lines Homeless people of London deadened on a bench, third quarter 19th century Figure 1 – Museum of Louvre department of the Graphic arts,  © Museums of France, 1998 Dore’s pencil drawing shows a clear outline of each figure with the use of a heavier line and the details using lighter lines. The implied and contour lines in the garments indicate worn use and filth. The vertical and horizontal rendering on the bench enables the viewer to perceive a seating area made of stone thereby heightening the plight of the homeless and impoverished that is depicted here. The development of each subject is made through the use of foreshortening and perspective. The foreshortening implies a reclining figure surrounded by seated figures. The perception of three dimensions is brought about through the use of reserve, or white background of the paper, on the standing baby and the face of the sleeping girl with a hat. The darker rendering of the other subjects suggest repose while the highlighted baby is awake. The cross hatching and hatching of the garments in uneven manner depicts clothing that is disheveled, worn, and filthy. Couple and Two Children Sleeping on a London Bridge Figure 1 – http://www. bergercollection. org/artwork_detail. php? i=167# Dore in Figure 2 now uses a more expressive line in the treatment of the subjects and dark heavy graduated in weight to specify large folds in the clothing and the edge lip of the bench, shown as details in Figure 3 and 4. A sepia wash is used to introduce as a possible element of a darkening sky dotted with white spots indicating stars. To the upper left of the figures is a depiction of crosses faintly visible implying the mast of tall ships thereby implying a port in the distance? The stone bench is still presented by straight vertical and horizontal lines but as opposed to Figure 1, it now shows details such as cracks that normally propagate in stone material. All the figures are dark and disheveled in appearance. Their clothing is depicted in an unkempt appearance and the scene shows a sense of separation from the upper class society because of the way they are lying on the bench, even though they are presented in a manner of dress inure to the upper class. My first impression was a family waiting for transportation to where I do not know after a night out on the town. Normally figures, during that century, waiting for transportation are sitting upright. Dore does not address in his drawing here the same condition as Figure 1. When I first saw this work, I chose not to look at the title and make some preconceived notion as to what was being depicted. When I noticed the implied ship mast in the background, which setup the next perception as a port, it inherently supported my theory of awaiting transportation. Alas, it was not correct and this may shed some light into Dore’s eventual illustration in Figure 5 of the same scene depicting a more impoverished set of subjects on a bench awaiting the light of day. Included as a reference to the depiction of poor vs. wealthy is Figure 6, one of just a few of the drawings the publisher thought would be prevalent in the book. Figure 1 – http://www. bergercollection. org/artwork_detail. php? i=167# Figure 2 – http://www. bergercollection. org/artwork_detail. php? i=167# London: A Pilgrimage, Asleep Under the Stars Figure 1 – http://www. cf. ac. uk/encap/skilton/illustr/index. html London: A Pilgrimage, A Ball at the Mansion House Figure 2 – http://www. cf. ac. uk/encap/skilton/illustr/index. html 2Spatial Strategy A Whitechapel Coffeehouse Figure 3 Use of a frontal recession, street level linear perspective is tantamount to depicting the main figures in this almost monochromatic painting. Dore’s lines are generalized and are meant to capture immediately the scene in its moment. The central figures show a more upright and important stance than the outlying supporting subjects. Their turned bodies show an intense attention to the entrance of these key figures. The key figures wardrobe is straight and the outlying figures show crumpled clothing which may imply poverty. It is not until the illustration in Figure 7 that the sense of desperation among the non-central figures is clearly delineated. It is also in this illustration that the claustrophic effect that Dore is famous for is in full effect. The painting shows a more elevated perspective than the illustration. I have started to question Dore’s intent in the production of these illustrations. Even though his name is clearly on the lower left corner on most prints, the blockcutters name is on the lower right. This clearly implies an employer to employee relationship and does not necessarily imply apprenticeship. The distinct change from study or conceptual drawing to print supports this remark. London: A Pilgrimage, A Whitechapel Coffeehouse Figure 4 – http://www. cf. ac. uk/encap/skilton/illustr/index. html 3Light and Color The Charity of the fishmongers: study in a district of London, 4th quarter 19th century Figure 1– Museum of Louvre department of the Graphic arts,  © Museums of France, 1998 Dore produced this work five years after the release of the illustrated book London: A Pilgrimage. His rendering of color does not lend itself well to translating key formal elements. Why he chose to color the gathering of men in red is in contradiction to the clear shaft of white light shining on the fishmonger and children. The gathering of men looks to be outside due to the street pole with what may be gaslights. It is reported that Dore was color blind and was not adept at color shading (Malan 1). If it were not for the title I may have mistook this as a gathering of children at a fish market with their caretaker. Under closer scrutiny it shows the children as lacking shoes and wearing torn soiled clothing. 4Texture and Pattern London: A Pilgrimage, Houndsditch Figure 2 – http://www. f. ac. uk/encap/skilton/illustr/index. html London: A Pilgrimage, Found in the Street Figure 3 – http://www. cf. ac. uk/encap/skilton/illustr/index. html Here again his lack of training shows through on the use of light, shading and shadows. His surrounding treatment is far below his work illustrating Dante’s Inferno or the Bible. Looking at Figure 10 gives th e impression that the candle is giving off more light than it is truly capable of producing. There is also an imbalance to the scene because of the light. Artistic license aside, I prefer George de la Tours rendering in Joseph the Carpenter [Sayre 175]. The Figures clearly show the impoverished condition that has befallen the subjects in the picture and shows, as if in a photograph, the dire predicament that requires immediate intervention 5Comparisons The well meaning Dore did have influences during his formative years and it came about through his beginnings as a caricature artist. Artist like Grandville was admired enough by Dore that he went to him for advice on matters concerning his art. Dore studied closely the work of the first comic strip artist Rodolphe Toepher and this may have created a caricature memory strategy that was difficult to overcome (Duncum 97, 98). Lion Devouring a Rabbit Figure 1 – Eugene DelaCroix DelaCroix’s lion bears a more realistic representation of the animal than the one Gustave Dore’s illustrated on the cover drawing (Figure 15) for the book London: A Pilgrimage. Dore’s lion seems to melt into the surrounding environment and the foreshortening of the front paw and rear paw are not in keeping with the rules of perspective. Hercules at the Crossroads Figure 2 – Albrecht Durer (Germany) circa 1498 London: A Pilgrimage, Gustave Dore Figure 3 – http://www. cf. ac. uk/encap/skilton/illustr/index. html Albrecht Durer’s treatment of the muscular human male may seem to fall within the same realm as Dore’s human male in his cover drawing but, it shows Dore’s lack of formal training in the way the back muscles are rendered. Durer studied human anatomy extensively including bone structure, which I believe Dore did not fully grasp. London: A Pilgrimage, Newgate Exercise Yard Figure 4 – http://www. cf. ac. uk/encap/skilton/illustr/index. html There have been questions in the art world as to the influence of Dore on other artist; one in particular is Van Gogh who referred to him as the Artist of the People (Study Light Org). † Van Gogh had produced a picture called â€Å"Prison Yard† and it was presented without reference to being after a major artist and this was not acceptable. The critic clearly states the resemblance of the picture to Dore’s above in Figure 17 and describes it as â€Å"a tolerably literal rendering of an illustration by Gustave Dore. † He does continue to deride Dore with the continuing remark â€Å"It seems as if Van Gogh had discerned, as others have, an occasional article of value in the rubbish-heap of Dore’s production (R. S. 250). This is but one example of Dore’s place in the Art Critics of his time. His development of the illustrations for the book London: A Pilgrimage brought about the issues of the paupers and homeless (Smith 997-1032). Smith projects the impression of France’s workhouses as being equal to the dreadful pictures of London in Gustave Dore’s book. In conclusion Gustave Dore succeeded in presenting to the populace at hand on the issues of poverty through study sketches that were transformed into illustrations. His rendered illustrations clearly showed the large divide between the wealthy and the poor. His handsomely paid commission did not affect what he saw as blight in society. His participation in this particular commissioned work allowed him to perform a service that could not be ignored, and his focus on the plight of the paupers created a controversy that most artists during his time could afford (Grew 204). The many sketches he made for this project is not readily encompassed by this study and many scholars are still building a repertoire of research into a man who turned a commercially paid venture into a social statement, which will provide students and teachers with questions still unanswered.

New York Stock Exchange

New York Stock Exchange Regulation is strictly dedicated to strengthening market integrity and investor protection. All, the directors in the NYSE Regulation's board of directors is comprised of a majority of directors unaffiliated with any other NYSE board. As a result, NYSE Regulation is independent in its decision-making. The organization consists of three  divisions: Market Surveillance, Enforcement, and Listed Company Compliance.  Ã‚  NYSE Regulation protects investors by enforcing marketplace rules and federal securities laws. NYSE Regulation also ensures that companies listed on the NYSE and on NYSE Arca meet our financial and corporate-governance listing standards. The NYSE Regulation Board has the following committees: (1) the Human Resources and Compensation Committee;   (2) the Nominating and Governance Committee; and (3) the Committee for Review. The Human Resources and Compensation Committee is appointed by the Board and is charged with duties relating to NYSE Regulation’s human resources policies and procedures, employee benefit plans, compensation and disclosure. The NYSE Regulation Board of Directors is  comprised of three  NYSE Euronext  directors, six  otherwise unaffiliated with NYSE Euronext, and  the NYSE Regulation Chief Executive Officer. The CEO  of NYSE Regulation has primary responsibility for the regulatory oversight of the U.S. market  subsidiaries within NYSE Euronext and reports solely to the NYSE Regulation board of directors.  The Regulation Board oversees all compensation decisions for Regulation employees and the nomination of directors to the Board of Regulation.   When it comes to disciplinary actions, the decisions of NYSE Regulation and its Board of Directors are final, although subject to appeal to the SEC. NYSE Regulation  performs regulatory responsibilities for the New York Stock Exchange and NYSE Arca.   It is comprised of  a  Market Surveillance division that monitors trading activities and investigates  trading abuses  by member organizations on the Floor and  away from the Exchange, an  Enforcement division  that investigates and prosecutes related  disciplinary actions, and a  Listed Company Compliance division that ensures that companies listed on NYSE and on NYSE Arca meet their financial and corporate governance listing standards. Market Surveillance is the division responsible for monitoring trading activities on the Floor and trading â€Å"upstairs† by member firms, both on a real-time basis and after the fact. Enforcement cases include: books and records deficiencies,supervisory violations,misconduct on the trading floor,insider trading,market manipulation, and other abusive trading practices. The trading of securities in the U.S. is subject to vigorous regulation. The principal laws governing trading  are the  Securities Act of 1933 (â€Å"the 1933 Act†) and the  Securities Exchange Act of 1934 (â€Å"1934 Act†). NYSE rules apply to  NYSE member organizations, as well as past and present  representatives, and are designed to protect investors and foster fair dealings with customers. Federal Reserve Board Rules   apply to the entire banking sector for the regulation of borrowing and lending requirements.   Individual states in the U.S. have their own state securities laws.   Any offering of securities in the U.S. must be made in accordance with state as well as federal regulations. Whether Dick Grasso's compensation was â€Å"reasonable† is a matter of opinion. There are some former directors who still declare adamantly that he deserved all he was paid. Most of the world probably thinks differently. He got a payout of $139.5 million in retirement compensation and other benefits. According to insiders Grassos ran the NYSE like a private fiefdom. Mr. Grasso's friends and allies on the board contributed a lot to the NYSE but the same lot became a symbol of corporate governance gone bad when it was revealed that those same people doled out his big pay package. The SEC has found that during Mr. Grasso's reign, specialists repeatedly traded for their own benefit in the place of customers who were ready to trade at the same price. This spurt of questionable trading may have cost investors at least $155 million, according to the SEC staff. That said, it would be a mistake to understate Mr. Grasso's contributions to the NYSE. His imperious style helped hold together the exchange's many, often-bickering, constituencies. Thanks to his spending on additional technology, the NYSE easily handled the high volume and volatility of the recent bull and bear markets, no small task. But in the end it is pertinent to mention that NYSE was a non-profit organization and under no circumstance the Chairman can be considered as a CEO of a big multi national. His primary duty was to protect the national interest and was entitled to get the best compansation comparable to a higher government official and not the huge retirement package that he got. REFERENCE 1.  Ã‚  Ã‚  Ã‚  Ã‚   http://www.nyse.com/regulation/1089235621148.html 2.  Ã‚  Ã‚  Ã‚  Ã‚   http://www.mindfully.org/Industry/2003/Grasso-NYSE-Deep-Trouble30dec03.htm         

Friday, August 16, 2019

Madness

Maddness and sanity are seen to be universally known opposites. They are as different as two things can get. They are generally seen to be balancing forces such as light vs. Dark, yin vs. Yang, and so on. In the Baccae, Pentheus represents sanity, while Dionysus represents maddness. However, Euriprides portrays the struggle between maddness and sanity as one sided, rather than an even battle. Through out The Baccae, Euriprides hints at maddness being the ultimately dominant force in the battle between the two.Various events in the Baccae show that Euriprides believes hat the battle between sanity and maddness is always in favor of the side of maddness, showing that maddness will always win in the end. In the Baccae, the seer Tiresias chastises Pentheus for not honoring Dionysus. Pentheus has been arguing that all the new god's rituals are crazy, and he does not want them allowed in his city, to which Tiresias responds; â€Å"There is no cure for madness when the cure itself is mad. † (22). Tiresias is trying to tell Pentheus that him that denying the madness that Dionysus brings is itself a crazy idea.Pentheus epresents sanity and order, and he is trying to keep his city from falling into the hands of the maddness that follows Dionysus. But no matter how hard he tries, the struggle is between a god and a mortal. There is no way for Pentheus to win. This is Euripides showing that it is basically futile to fght maddness, and that ultimately, we have no choice in the matter. Maddness is so dominant over sanity, that we it is a waste of effort, and things would be much easier if we simply succumbed to maddness.Speculating on the effect that Dionysus has brought with his presence, Pentheus ays; â€Å"So, like a wildfire it already hurries here, outrageously, this mass hysteria, disgracing us before the whole of Thebes. † (121) No matter how much Pentheus did to prevent madness from enveloping his city and his entire life, the power of madness is Just t oo strong. This quote shows the overwhelming power that madness has. No where in the Baccae does euripides show the awesome power that Pentheus, or sanity holds.Euripedes is again showing that madness is far more powerful than sanity. Although madness can be held off for a while, like the simile to the wildfire, ltimately, the wildfire that is madness will envelope that which it inhabits. The chorus sings; â€Å"Slowly but surely divine power moves to annul the brutally minded man who in his wild delusions refuses to reverence the gods. † (173)This is the Chorus alluding that to deny the gods is madness. This is an example that isn't an event of the story, but comes from the chorus, who arent involved at all with what takes place. his is evidence which shows us that Euripides really is trying to show how maddness is dominant, not Just through the events that take place in the Baccae. Euripes is really trying to show the overwhelming power that maddness wields. The very fact t hat the people telling us this worship a god who induces madness as a hobby is Euripedes reinforcing the idea that no matter what you do in the world of The Bacchae, or in life, maddness ultimately dominates.The messenger comes back to recount on what ne nas was toaming at the mouth Her eyes dilated rolled. Her mind was gone–possessed by Bacchus–she could not hear her son. (225) The natural instinct of a mother is to protect and care for her offspring. That is what her natural, maternal instincts consist of. The wellbeing of her offspring is any mother's natural, sane goal. So the fact that the maddness that Dionysus brings could make Agave rip her own son to shreds shows that maddness prevails over the sanity that Agave had. Agave was not known to be a particularly unstable character, so the fact that dionysius could drive her to commit such a terrible act to her own offspring leaves little hope for sanity prevail in the fght.Euripedes uses such a terrible and gruesom e example to show that madness is a terrible and owerful force. Euripedes is showing us a metaphore, where sanity is represented by Pentheus, and he is torn apart by the maddness that has taken his own mother. This is a terrifying way for Euripedes to show the imbalance between the two forces. After Pentheus tries to chain and torture Dionysus, The god tries to persuade Pentheus to change his mind. However Pentheus resists the persuasive power of the god. â€Å"l don't think so. You're setting me up for your tricks again. (984) This shows that maddness can be fought. Pentheus is remaining strong, and fghts bending to the will of Dionysus. There is power in sanity, and it can be used to battle madness. But this is Just Euripedes showing that sanity is not completely defenseless. It is not him showing that sanity can defeat madness in the end. Maddness can be battled, but it can never be defeated. This is showing that no matter how drawn out the battle with madness can be, the end re sult will always be madness dominating. Euripedes's outlook on the battle between sanity and madness is a bleak one.Tragedies are not supposed to be happy ending type of stories. Although Euripedes is saying that maddness will ultimately triumph over sanity, not everyone is confronted with that battle. Madness is not present in the lives of all living things. Euripides is saying that if madness presents itself, it will ultimately consume that which is puts itself upon. This is still a very bleak outlook on things, however it is only what Euripides is conveying through the Baccae. He may not even believe this, and if he does, there is no reason to believe he is correct. Madness Maddness and sanity are seen to be universally known opposites. They are as different as two things can get. They are generally seen to be balancing forces such as light vs. Dark, yin vs. Yang, and so on. In the Baccae, Pentheus represents sanity, while Dionysus represents maddness. However, Euriprides portrays the struggle between maddness and sanity as one sided, rather than an even battle. Through out The Baccae, Euriprides hints at maddness being the ultimately dominant force in the battle between the two.Various events in the Baccae show that Euriprides believes hat the battle between sanity and maddness is always in favor of the side of maddness, showing that maddness will always win in the end. In the Baccae, the seer Tiresias chastises Pentheus for not honoring Dionysus. Pentheus has been arguing that all the new god's rituals are crazy, and he does not want them allowed in his city, to which Tiresias responds; â€Å"There is no cure for madness when the cure itself is mad. † (22). Tiresias is trying to tell Pentheus that him that denying the madness that Dionysus brings is itself a crazy idea.Pentheus epresents sanity and order, and he is trying to keep his city from falling into the hands of the maddness that follows Dionysus. But no matter how hard he tries, the struggle is between a god and a mortal. There is no way for Pentheus to win. This is Euripides showing that it is basically futile to fght maddness, and that ultimately, we have no choice in the matter. Maddness is so dominant over sanity, that we it is a waste of effort, and things would be much easier if we simply succumbed to maddness.Speculating on the effect that Dionysus has brought with his presence, Pentheus ays; â€Å"So, like a wildfire it already hurries here, outrageously, this mass hysteria, disgracing us before the whole of Thebes. † (121) No matter how much Pentheus did to prevent madness from enveloping his city and his entire life, the power of madness is Just t oo strong. This quote shows the overwhelming power that madness has. No where in the Baccae does euripides show the awesome power that Pentheus, or sanity holds.Euripedes is again showing that madness is far more powerful than sanity. Although madness can be held off for a while, like the simile to the wildfire, ltimately, the wildfire that is madness will envelope that which it inhabits. The chorus sings; â€Å"Slowly but surely divine power moves to annul the brutally minded man who in his wild delusions refuses to reverence the gods. † (173)This is the Chorus alluding that to deny the gods is madness. This is an example that isn't an event of the story, but comes from the chorus, who arent involved at all with what takes place. his is evidence which shows us that Euripides really is trying to show how maddness is dominant, not Just through the events that take place in the Baccae. Euripes is really trying to show the overwhelming power that maddness wields. The very fact t hat the people telling us this worship a god who induces madness as a hobby is Euripedes reinforcing the idea that no matter what you do in the world of The Bacchae, or in life, maddness ultimately dominates.The messenger comes back to recount on what ne nas was toaming at the mouth Her eyes dilated rolled. Her mind was gone–possessed by Bacchus–she could not hear her son. (225) The natural instinct of a mother is to protect and care for her offspring. That is what her natural, maternal instincts consist of. The wellbeing of her offspring is any mother's natural, sane goal. So the fact that the maddness that Dionysus brings could make Agave rip her own son to shreds shows that maddness prevails over the sanity that Agave had. Agave was not known to be a particularly unstable character, so the fact that dionysius could drive her to commit such a terrible act to her own offspring leaves little hope for sanity prevail in the fght.Euripedes uses such a terrible and gruesom e example to show that madness is a terrible and owerful force. Euripedes is showing us a metaphore, where sanity is represented by Pentheus, and he is torn apart by the maddness that has taken his own mother. This is a terrifying way for Euripedes to show the imbalance between the two forces. After Pentheus tries to chain and torture Dionysus, The god tries to persuade Pentheus to change his mind. However Pentheus resists the persuasive power of the god. â€Å"l don't think so. You're setting me up for your tricks again. (984) This shows that maddness can be fought. Pentheus is remaining strong, and fghts bending to the will of Dionysus. There is power in sanity, and it can be used to battle madness. But this is Just Euripedes showing that sanity is not completely defenseless. It is not him showing that sanity can defeat madness in the end. Maddness can be battled, but it can never be defeated. This is showing that no matter how drawn out the battle with madness can be, the end re sult will always be madness dominating. Euripedes's outlook on the battle between sanity and madness is a bleak one.Tragedies are not supposed to be happy ending type of stories. Although Euripedes is saying that maddness will ultimately triumph over sanity, not everyone is confronted with that battle. Madness is not present in the lives of all living things. Euripides is saying that if madness presents itself, it will ultimately consume that which is puts itself upon. This is still a very bleak outlook on things, however it is only what Euripides is conveying through the Baccae. He may not even believe this, and if he does, there is no reason to believe he is correct.