Thursday, October 31, 2019

Law and ethics Essay Example | Topics and Well Written Essays - 1000 words

Law and ethics - Essay Example In the case at bar, Jack is already a 72-year-old man, who is at the time of the incident, intoxicated or under the influence of alcohol. Hence, at that precise moment, he cannot validly give consent of refuse a medical treatment which can put his health at risk. Therefore, although Jack is considered a competent adult, the current situation he is into will endanger his life if he refuses to be given a medical treatment taking into consideration his old age. His present medical condition can lead to further complications which can only be prevented by a timely treatment shall to be administered to him. 2. It is important that doctors shall give an assurance that Jack’s condition is stable. A certification coming from a doctor that Jack is out of any danger will justify Jack’s wishes to be left at home and that he is on his way to recovery. In the case of Malette V Shulman, [1991] 2 Med LR 162, Donnelly J., highlights that â€Å"the right to refuse treatment was an inhe rent  component of the supremacy of the patient's right over his own body not  premised on the risks of refusal. ... Details of good medical practice and duties of a doctor can be found at the General Medical website, which can be viewed at . Although Jack is a competent adult who can decide what to do with his own body, it is important that the first priority is the health of Jack and ensure his speedy recovery. It is the duty and responsibility of the doctor to make the care of his patient the main concern. The best interest and welfare of the patient should come first. 11. Although Jack may demonstrate the capability to carry-out a normal conversation, the fact that he is intoxicated and on warfarin is an indication that his present medical condition is unstable. The doctors cannot rely on the decision of Jack to stay at home and refuse treatment because his right to self-determination is impaired and inaccurate. His irrational decision of choosing to stay at home which can lead to internal hemorrhage or blot clot in his head signifies that he is incompetent to make a sound decision to protect h imself. In the case of Re: C (Adult: Refusal of Treatment), [1994], the Supreme Court ruled that he legal test for competence is set out in Justice Thorpe's  decision. â€Å"First is the ability of the patient to comprehend and retain the information; and Secondly, believing  it and Thirdly, weighing it in the balance to arrive at a choice." Here, there is a clear indication that the patient cannot fully understand and comprehend the consequences of his actions and decisions because he is under the influence of drugs (warfarin) and alcohol. Therefore, it is the duty of the doctors and the people surrounding him to make an intelligent decision for Jack, which is to bring him to

Tuesday, October 29, 2019

The Economic Institutions of Capitalism Essay Example for Free

The Economic Institutions of Capitalism Essay Abstract: This study is based on the belief that economic organization is shaped by transaction cost economizing decisions. It sets out the basic principles of transaction cost economics, applies the basic arguments to economic institutions, and develops public policy implications. Any issue that arises, or can be recast as a matter of contracting, is usefully examined in terms of transaction costs. Transaction cost economics maintains that governance of contractual relations is mainly achieved through institutions of private ordering instead of legal centralism. This approach is based on behavioral assumptions of bounded rationalism and opportunism, which reflect actual human nature. These assumptions underlie the problem of economic organization: to create contract and governance structures that economize on bounded rationality while safeguarding transactions against the hazards of opportunism. The book first summarizes the transaction cost economics approach to the study of economic organization. It develops the underlying behavioral assumptions and the types of transactions; alternative approaches to the world of contracts are presented. Assuming that firms are best regarded as a governance structure, a comparative institutional approach to the governance of contractual relations is set out. The evidence, theory, and policy of vertical integration are discussed, on the basis that the decision to integrate is paradigmatic to transaction cost analysis. The incentives and bureaucratic limits of internal organization are presented, including the dilemma of why a large firm cant do everything a collection of small firms can do. The economics of organization in presented in terms of transaction costs, showing that hierarchy also serves efficiency and permits a variety of predictions about the organization of work. Efficient labor organization is explored; on the assumption that an authority relation prevails between workers and managers, what governance structure supports will be made in response to various types of job attributes are discussed, and implications for union organization are developed. Considering antitrust ramifications of transaction cost economics, the book summarizes transaction cost issues that arise in the context of contracting, merger, and strategic behavior, and challenges earlier antitrust preoccupation with monopoly. URL: http://papers.ssrn.com/sol3/papers.cfm?abstract_id=1496720 The Economic System of Socialism Socialism—defined as a centrally planned economy in which the government controls all means of production—was the tragic failure of the twentieth century. Born of a commitment to remedy the economic and moral defects of capitalism, it has far surpassed capitalism in both economic malfunction and moral cruelty. Yet the idea and the ideal of socialism linger on. Whether socialism in some form will eventually return as a major organizing force in human affairs is unknown, but no one can accurately appraise its prospects who has not taken into account the dramatic story of its rise and fall. The Birth of Socialist Planning It is often thought that the idea of socialism derives from the work of Karl Marx. In fact, Marx wrote only a few pages about socialism, as either a moral or a practical blueprint for society. The true architect of a socialist order was Lenin, who first faced the practical difficulties of organizing an economic system without the driving incentives of profit seeking or the self-generating constraints of competition. Lenin began from the long-standing delusion that economic organization would become less complex once the profit drive and the market mechanism had been dispensed with—â€Å"as self-evident,† he wrote, as â€Å"the extraordinarily simple operations of watching, recording, and issuing receipts, within the reach of anybody who can read and write and knows the first four rules of arithmetic.† In fact, economic life pursued under these first four rules rapidly became so disorganized that within four years of the 1917 revolution, Soviet production had fallen to 14 percent of its prerevolutionary level. By 1921 Lenin was forced to institute the New Economic Policy (NEP), a partial return to the market incentives of capitalism. This brief mixture of socialism and capitalism came to an end in 1927 after Stalin instituted the process of forced collectivization that was to mobilize Russian resources for its leap into industrial power. The system that evolved under Stalin and his successors took the form of a pyramid of command. At its apex was Gosplan, the highest state planning agency, which established such general directives for the economy as the target rate of growth and the allocation of effort between military and civilian outputs, between heavy and light industry, and among various regions. Gosplan transmitted the general directives to successive ministries of industrial and regional planning, whose technical advisers broke down the overall national plan into directives assigned to particular factories, industrial power centers, collective farms, and so on. These thousands of individual subplans were finally scrutinized by the factory managers and engineers who would eventually have to implement them. Thereafter, the blueprint for production reascended the pyramid, together with the suggestions, emendations, and pleas of those who had seen it. Ultimately, a completed plan would be reached by negotiation, voted on by the Supreme Soviet, and passed into law. Thus, the final plan resembled an immense order book, specifying the nuts and bolts, steel girders, grain outputs, tractors, cotton, cardboard, and coal that, in their entirety, constituted the national output. In theory such an order book should enable planners to reconstitute a working economy each year—provided, of course, that the nuts fitted the bolts; the girders were of the right dimensions; the grain output was properly stored; the tractors were operable; and the cotton, cardboard, and coal were of the kinds needed for their manifold uses. But there was a vast and widening gap between theory and practice. Problems Emerge The gap did not appear immediately. In retrospect, we can see that the task facing Lenin and Stalin in the early years was not so much economic as quasi military—mobilizing a peasantry into a workforce to build roads and rail lines, dams and electric grids, steel complexes and tractor factories. This was a formidable assignment, but far less formidable than what would confront socialism fifty years later, when the task was not so much to create enormous undertakings as to create relatively self-contained ones, and to fit all the outputs into a dovetailing whole. Through the 1960s the Soviet economy continued to report strong overall growth—roughly twice that of the United States—but observers began to spot signs of impending trouble. One was the difficulty of specifying outputs in terms that would maximize the well-being of everyone in the economy, not merely the bonuses earned by individual factory managers for â€Å"overfulfilling† their assigned objecti ves. The problem was that the plan specified outputs in physical terms. One consequence was that managers maximized yardages or tonnages of output, not its quality. A famous cartoon in the satirical magazine Krokodil showed a factory manager proudly displaying his record output, a single gigantic nail suspended from a crane. As the economic flow became increasingly clogged and clotted, production took the form of â€Å"stormings† at the end of each quarter or year, when every resource was pressed into use to meet preassigned targets. The same rigid system soon produced expediters, or tolkachi, to arrange shipments to harassed managers who needed unplanned—and therefore unobtainable—inputs to achieve their production goals. Worse, lacking the right to buy their own supplies or to hire or fire their own workers, factories set up fabricating shops, then commissaries, and finally their own worker housing to maintain control over their own small bailiwicks. It is not surprising that this increasingly Byzantine system began to create serious dysfunctions beneath the overall statistics of growth. During the 1960s the Soviet Union became the first industrial country in history to suffer a prolonged peacetime fall in average life expectancy, a symptom of its disastrous misallocation of resources. Military research facilities could get whatever they needed, but hospitals were low on the priority list. By the 1970s the figures clearly indicated a slowing of overall production. By the 1980s the Soviet Union officially acknowledged a near end to growth that was, in reality, an unofficial decline. In 1987 the first official law embodying perestroika—restructuring—was put into effect. President Mikhail Gorbachev announced his intention to revamp the economy from top to bottom by introducing the market, reestablishing private ownership, and opening the system to free economic interchange with the West. Seventy years of socialist rise had come to an end. Socialist Planning in Western Eyes Understanding of the difficulties of central planning was slow to emerge. In the mid-1930s, while the Russian industrialization drive was at full tilt, few raised their voices about its problems. Among those few were ludwig von mises, an articulate and exceedingly argumentative free-market economist, and friedrich hayek, of much more contemplative temperament, later to be awarded a Nobel Prize for his work in monetary theory. Together, Mises and Hayek launched an attack on the feasibility of socialism that seemed at the time unconvincing in its argument as to the functional problems of a planned economy. Mises in particular contended that a socialist system was impossible because there was no way for the planners to acquire the information (see Information and Prices)—â€Å"produce this, not that†Ã¢â‚¬â€needed for a coherent economy. This information, Hayek emphasized, emerged spontaneously in a market system from the rise and fall of prices. A planning system was bound to fail precisely because it lacked such a signaling mechanism. The Mises-Hayek argument met its most formidable counterargument in two brilliant articles by Oskar Lange, a young economist who would become Poland’s first ambassador to the United States after World War II. Lange set out to show that the planners would, in fact, have precisely the same information as that which guided a market economy. The information would be revealed as inventories of goods rose and fell, signaling either that supply was greater than demand or demand was greater than supply. Thus, as planners watched inventory levels, they were also learning which of their administered (i.e., state-dictated) prices were too high and which too low. It only remained, therefore, to adjust prices so that supply and demand balanced, exactly as in the marketplace. Lange’s answer was so simple and clear that many believed the Mises-Hayek argument had been demolished. In fact, we now know that their argument was all too prescient. Ironically, though, Mises and Hayek were right for a reason they did not foresee as clearly as Lange himself. â€Å"The real danger of socialism,† Lange wrote, in italics, â€Å"is that of a bureaucratization of economic life.† But he took away the force of the remark by adding, without italics, â€Å"Unfortunately, we do not see how the same or even greater danger can be averted under monopolistic capitalism† (Lange and Taylor 1938, pp. 109–110). The effects of the â€Å"bureaucratization of economic life† are dramatically related in The Turning Point, a scathing attack on the realities of socialist economic planning by two Soviet economists, Nikolai Smelev and Vladimir Popov, that gives examples of the planning process in actual operation. In 1982, to stimulate the production of gloves from moleskins, the Soviet government raised the price it was willing to pay for moleskins from twenty to fifty kopecks per pelt. Smelev and Popov noted: State purchases increased, and now all the distribution centers are filled with these pelts. Industry is unable to use them all, and they often rot in warehouses before they can be processed. The Ministry of Light Industry has already requested Goskomtsen [the State Committee on Prices] twice to lower prices, but â€Å"the question has not been decided† yet. This is not surprising. Its members are too busy to decide. They have no time: besides setting prices on these pelts, they have to keep track of another 24 million prices. And how can they possibly know how much to lower the price today, so they won’t have to raise it tomorrow? This story speaks volumes about the problem of a centrally planned system. The crucial missing element is not so much â€Å"information,† as Mises and Hayek argued, as it is the motivation to act on information. After all, the inventories of moleskins did tell the planners that their production was at first too low and then too high. What was missing was the willingness—better yet, the necessity—to respond to the signals of changing inventories. A capitalist firm responds to changing prices because failure to do so will cause it to lose money. A socialist ministry ignores changing inventories because bureaucrats learn that doing something is more likely to get them in trouble than doing nothing, unless doing nothing results in absolute disaster. In the late 1980s, absolute economic disaster arrived in the Soviet Union and its Eastern former satellites, and those countries are still trying to construct some form of economic structure that will no longer display the deadly inertia and indifference that have come to be the hallmarks of soc ialism. It is too early to predict whether these efforts will succeed. The main obstacle to real perestroika is the impossibility of creating a working market system without a firm basis of private ownership, and it is clear that the creation of such a basis encounters the opposition of the former state bureaucracy and the hostility of ordinary people who have long been trained to be suspicious of the pursuit of wealth. In the face of such uncertainties, all predictions are foolhardy save one: no quick or easy transition from socialism to some form of nonsocialism is possible. Transformations of such magnitude are historic convulsions, not mere changes in policy. Their completion must be measured in decades or generations, not years. URL: http://www.econlib.org/library/Enc/Socialism.html The Economy System of Mixed Economy A mixed economy has many of the characteristics of market, command and traditional economies. The United States is a mixed economy because its Constitution protects many of the characteristics of a market economy, including ownership of private property, limitations on government interference, and promoting innovation. However, the Constitution also encourages the government to promote the general welfare. This allows many aspects of a command economy, where needed. In addition, many American traditions still guide economic policy. A mixed economy seeks to have all the advantages of a market, command and traditional economy with little of the disadvantages. Therefore, most mixed economies have three of the six characteristics of the market economy: private property, pricing and individual self-interest. Mixed economies also have a command economy in certain areas. Most allow government to have a command role in areas that safeguard the people and the market itself. This usually inclu des the military, international trade, and national transportation. An increased governmental role depends on the priorities of the people. Many mixed economies also allow centralized planning and even government ownership of key industries, such as aerospace, energy production and even banking. Some mixed economies encourage the government to centrally manage health care, welfare, and retirement programs. In addition, most mixed economies follow traditions that have been so ingrained that they may not even be aware of it. For example, many mixed economies still fund and give some power to royalty or emperors. Most of the worlds major economies are now mixed economies. It would be difficult to avoid, thanks to globalization. A countrys people are best served through international trade oil from Saudi Arabia, consumer products from China, and food from the U.S. As soon as businesses within a country are allowed or even encouraged to export, the government must give up some control to free market forces. Second, the global economy is primarily free-market based. There is very little government control, although some regulations and agreements have been put into place. However, there is no world government today that has the power to override a countrys sovereignty and create a global command economy. URL: http://useconomy.about.com/od/US-Economy-Theory/tp/Mixed-Economy.htm The Economy System of Islamic Economics The way of defining Islamic Economics is to qualify the term modern or conventional economics with Islam. Islam is a religion from Allah SWT through prophet Muhammad SAW to mankind which means the total way of Man kind’s life, that is what ever man does or is going to do must be abided by the Islamic norms and values as well as laws and other rules and regulations(shariah). And conventional economics has best been defined by robbins as science which studies human behaviour as a relationship between ends and scarce means which have an alternative uses. Based on the definitions of the two concepts above, many scholars defined Islamic economics according to their understanding of the concepts. The following are the various definition of Islamic economics from different scholars: 1)Ahmad (1981) defined Islamic economics as a study of human behaviour in their attempts to satisfy needs from the abundant resources whose ultimate aim is to maximise benefit of self and society both in this world and the hereafter. 2)Akram(1983) sees Islamic economics as aims at the study human falah achieved by organising the resources of earth on the basis of cooperation and participation. 3)Hasnuzzaman(1984) defined Islamic economics as the knowledge and application of injunctions and rules of shariah that prevent injustice in the acquisition and disposal of material resources in order to provide satisfaction to human beings and enable them to perform their obligations to Allah and the society. 4)Mannan (1986) defines as studies of a social science in the economic problems of people to fill with the values of Islam. 5)S.M Ghazali Wafa et al (2002) defines as all human activities to use the sources which follow the law to perform their obligations to Allah. Observing the above definitions Islamic economics is the some part of conventional economics plus morals, norms and values of Islam, it covers a lot of micro and macro concepts of conventional economics like ownerships, rights to produce or create, what to produce, how to produce and for whom to produce, others include equity, returns on investments, development projects, stability in the value of money, broad base economic well being with full employment, optimum rate of economic growth, joint ventures, fiscaland monetary policies, etc . However Islamic economics ejected injustice, enforced the prohibition of interest (riba), hoarding etc. And also promote the determination of the level of individual liberty, recognition the right of property, controlling the economic inequality within the natural limits, maintaining the equality of social life, and social security. It however prohibits the wider circulation of wealth, and recognizes social and individual welfare. In conclusion, Islamic economics is designed for economy to contribute richly on the achievement of the major socio-economic goals of the society. Prof. Tariq is very talented and eloquent lecturer, in this lecture he pinpoint the following: 1.Muslims are of full of potentials 2.Universality in time and space in Islam 3.Changes and faithful 4.Things we shouldn’t confused: a)Relationship between text and context b)Difference between principles and models c)Rules and ways d)Rules and meaning. 5.Difference between adaptation and transformation vision beyond reality. 6.Dealing with rejection and projection 7.Thinking of what to produce and how to produce of halal goods to match the competition with western products. The above are the lessons we learnt from the lecture, therefore those points are what I am going use and see how Islamic economics can be developed. Firstly, the muslims are of full potentials this so because muslims economics thinkers and economist tried and developed the Islamic economics concept and its now a discipline accepted worldwide, so the other muslim economist should start striving and explore their potentials in developing Islamic economics worldwide. Secondly universality in time and space in Islam, this means mind should be active to make changes in diversity, that is Islamic economic thinkers should have active mind and develop as many theories and models as they can in the time of the their life and places they are living , their universality of Islam should be use to manage diversities, manage changeable dimensions and new challenges with the view of developing Islamic economics. Thirdly those things that we shouldn’t confused in the improvement of Islamic economics development is text and context should be clearly differentiated ,that is the context in the text of Quran, hadith and fiqh are vividly understood before applying it into the economic theory or model. The difference between principles and models should be understood by Islamic economics ulamas, where principles are universal in nature and models are historical in nature we shouldn’t confused those in developing anything in Islamic economics. The next is the rules and ways, in Islam rules are in Quran and Sunnah (shariah) then the interpretation of ulamas on some concept and issues that are not clearly interpreted in the Quran and hadith and ways are how those rules are being followed with a light of vision, those must be considered and improvement in Islamic economics will be achieved. The last one is different between rules and meanings, dealing with rules will come to a point where rules forget the meanings so this must be taken into consideration for improvement of Islamic economics. Fourthly is the difference between adaptation and transformation that is transformation is the visionary change beyond reality in a society and adaptation is transferring the idea of other society into the society, Islamic economics should be a transformation of conventional economics not adaptation. Lastly is the thinking of what to produce and how to produce of consumable goods(halal) to match the competition with western products, professionals in Islamic economics should continue with the introduction of products which will substitute haram goods and services that muslims are always consuming , this will tremendously improve Islamic economics development.

Sunday, October 27, 2019

Crime And The Built Environment Criminology Essay

Crime And The Built Environment Criminology Essay This research proposal of the theoretical comprehensive based study will explore the relationship between the built environment and crime. Due to increasing urbanization of the world and better data collation techniques coupled with most of the worlds populous being policed by varying degrees of law and order organizations such as the police or religious volunteers, the collation of crime statistics has reached a level of recording and sophistication not afforded to many other human actions. Invariably due to urbanization most crimes take place in the built environment and this has given rise to theories by social researchers, urban planners and politicians which explicitly imply that the built environment has got a part to play in criminal activity. The two statements below underline this thinking by those who have carried out research in this area. The physical environment can exert a direct influence on crime settings by delineating territories, reducing or increasing accessibility by the creation or elimination of boundaries and circulation networks, and by facilitating surveillance by the citizenry and the police. Angel (1968) Historically, social scientists have argued that human behaviour is, to a large degree, a response to environmental conditions. Recently, a group of criminologists posited a direct relationship between certain environmental structures and reported crime rates. Studies exploring this area have pointed to the association between crime rates and high rise residences as support for their position.Using victimization techniques, the experiences of residents of several high and low rise structures in a traditionally low crime area such as the college campus were investigated..Although causality cannot be inferred from the findings, a positive association was observed between high rise areas and property crime rates. (Bynum pages 179-180) This proposal seeks to look at the connection between the built environment and crime by taking three subheadings to act as the aims of the research and act as a pole so that the proposal does not veer off the aims and objectives. The concept map (appendix 1) has focused the research and given the objectives and aims the necessary fields from which the aims and objectives can be realised. These three aims are: Cause: Is the design of the modern built environment the high rise blocks, densities of up to 9,639.0/sq  mi, (District of Colombia), the pace of life, no feeling of citizenship between inhabitants, the gap between the rich and poor which is wider in cities than in the countryside a cause of crime. In short the premise to be answered is that does living in a built environment make you more likely to commit a crime. Facilitator: Does the design of the modern built environment afford criminals the opportunity to carry out criminal enterprises. Does the design, dark alleys, maze of streets, blind spots, decreased surveillance by natural sight make it an aide to the opportunist criminal who can take advantage of local knowledge e.g. escape routes and shortcuts. And if the built environment is designed better will it lead to a reduction in crime. This theory has its proponents as is evidenced by the statement below. Jefferys CPTED concept arose out of his experiences with a rehabilitative project in Washington, D.C. that attempted to control the school environment of juveniles in the area. Rooted deeply in the psychological learning theory of B.F. Skinner, Jefferys CPTED approach emphasized the role of the physical environment in the development of pleasurable and painful experiences for the offender that would have the capacity to alter behavioural outcomes. His original CPTED model was a stimulus-response (S-R) model positing that the organism learned from punishments and reinforcements in the environment. Jeffery emphasized material rewards . . . and the use of the physical environment to control behaviour (Jeffery and Zahm, 1993:330). The major idea here was that by removing the reinforcements for crime, it would not occur. (Robinson, 1996) The Human Condition: This premise asks the question that is it just the human condition that is the cause of crime and that crimes will be committed whatever the design of the built environment and that it is the thinking that needs to change as is expounded by: The environment never influences behaviour directly, but only through the brain. Any model of crime prevention must include both the brain and the physical environment. Because the approach contained in Jefferys CPTED model is today based on many fields, including scientific knowledge of modern brain sciences, a focus on only external environmental crime prevention is inadequate as it ignores another entire dimension of CPTED i.e., the internal environment. (Robinson, 1996) The aims above will help to describe the development of the understanding between crime and the built environment, however more importantly they will help to illustrate the difference of opinion in the subject of different practitioners and give the research paper material to further develop, analyse, compare and justify the research. The above aims when researched will lead to answers which are subjective to the reader. The main objectives of this research proposal are: 1) To expand the understanding and broaden the thinking of practitioners of the built environment to views that they would not normally consider such as that human behaviour is affected by more complex internal structures rather than a simplistic approach of blaming external built structures on modes of behaviour. 2) The research proposes to add another dimension to the connection of crime and the built environment and the wider debate, the dimension of ethics, belief and morality. 3) The research aims to test this notion that stronger religious beliefs will lead to less crime by comparing two distinct communities both racially and in religious belief residing in the same city of Birmingham in almost similar built environments. These two communities are the overall majority in each area of the city the first being the ward of Aston and the second being Stechford. The census information and latest crime figures are attached (Appendix 2). Literature Review. The research will revolve around analysing, criticising and defining literature written by a plethora of commentators, researchers and practitioners in the field of the built environment, illustrating how it developed why it still needs to go further and how this research can add to this. The main focus of the literature review will be theories expounded by papers written and books published by the CPTED (Crime Prevention through Environmental Design) formulated by criminologist C RAY Jeffrey. As far back as 1968 this theory was studied by Schlomo Angel. The physical environment can exert a direct influence on crime settings by delineating territories, reducing or increasing accessibility by the creation or elimination of boundaries and circulation networks, and by facilitating surveillance by the citizenry and the police. (Schlomo Angel, 1968) Other commentators added to this by saying: Historically, social scientists have argued that human behaviour is, to a large degree, a response to environmental conditions. Recently, a group of criminologists posited a direct relationship between certain environmental structures and reported crime rates. Studies exploring this area have pointed to the association between crime rates and high rise residences as support for their position.Using victimization techniques, the experiences of residents of several high and low rise structures in a traditionally low crime area such as the college campus were investigated..Although causality cannot be inferred from the findings, a positive association was observed between high rise areas and property crime rates. (Bynum 1984) However the research moved on and new literature published opened up new ideas and thinking into the subject. The CPTED model evolved and the new thinking was that: The environment never influences behaviour directly, but only through the brain. Any model of crime prevention must include both the brain and the physical environment. Because the approach contained in Jefferys CPTED model is today based on many fields, including scientific knowledge of modern brain sciences, a focus on only external environmental crime prevention is inadequate as it ignores another entire dimension of CPTED i.e., the internal environment. (Robinson, 1996) In a space of less than thirty years the whole thinking has changed and the recognition that not only the external environment needs to change but internal changes need to take place. However the internal environment under examination needs to be further developed in the sense that how the internal environment i.e. beliefs resulting in better morals and ethics can help to prevent crime in the built environment. This research will be making a start in this new field. METHODOLOGY The main core of the research will consist of reference to secondary sources thus the research will take on a quantitative nature. Qualitative research has not been ruled out as this is an area with limited knowledge. This will take place in the form of a primary approach to the research by interviewing one of the 13 Crime Prevention Design Officers employed by the West Midlands Police and conducting the interview on the basis of gauging personal experience of crime in architecturally similar neighbourhoods populated by distinct communities who believe in and operate within the confines of separate moral and ethical value systems which may be very similar but adherence is stricter in one community than the other. This research can be viewed as exploratory in nature. (Naoum 1998) Interrogation and comparative analysis West Midlands Police crime statistics and also census statistics of the two wards selected will establish where there is a difference and ask why, is there is a certain religious prohibition is one community that doesnt t exist in the other. Problems in this type of research are that the reliability of the data can be questioned or the recording method of crime statistics can be questioned or for that argument the recording method of any set of statistics (Kumar 2005) however due to the strict guidelines under which this date is collated there is little danger of that. Conclusion The research will develop via an extensive reading list and research on not just planning and built environment but also crime how its increased and how religious belief is on the decrease. The research will initially be a desk based exercise and the primary research aspect will come into the study when the 3rd notion is written on and the input of the Crime Prevention Design Officer is included in reference to an interview which will ask for expansion of explanation on crime figures of the two neighbourhoods. The research findings may prove to be controversial if the notion tested is correct however the main problem is to present the information in a concise manner which will give rise to further enquiry. Findings should give impetus to researchers to conduct research on a wider basis i.e. comparing crime in urban environments in New York and New Delhi for example. The main tasks to be completed can be viewed on the Gantt chart attached (appendix 3). The main crux of this study and the overall aim is to add another dimension to the debate in the guise of a moral and ethical dimension to the built environment and crime. The findings once established will either reinforce the current view that crime in the built environment can only reduce by better and intelligent design, or it will give credence to the new ideas that you cannot simply design your way out of crime in the built environment but something more fundamental, the human condition needs to change and that crime prevention by environmental design (CPTED) although useful is not the final answer.

Friday, October 25, 2019

Cut by sylvia Plath Essay -- essays research papers

â€Å"Cut† Sylvia Plath Persona In terms of content the persona in â€Å"Cut† is Sylvia Plath herself. Plath was one of the first American women writers to refuse to conceal her true emotions. In articulating her aggression, hostility and despair in her art, she effectively challenged the traditional literary prioritization of female experience. Plath has experienced much melancholy and depression in her life. Scenario The scenario of the poem starts off in a seemingly domestic scene, perhaps preparing for dinner and develops into this amazing association and blurring of the physical and emotional senses, where a great joy has been found in an ‘accident’. Plath dedicates â€Å"Cut† to her new au pair (nanny), Susan O’Neill Roe as a â€Å"welcome to the family† gesture. It is most likely the au pairs thumb, which has been cut however Plath refers to it as her own thumb as a sign of empathy/psychosis. In the poem, Plath describes the feelings and sensations of deliberate self mutilation and the emotional release it brings. The cutting of the thumb can be viewed in a Freudian manner in which the incident occurred accidentally â€Å"on purpose† a parapraxis, having the effect of building up tension. Context The context in which the poem is taking place is in England, isolated away from all her family and friends, during the 1950's where Plath was the victim of a male-orientated sexist society and her poetry a choreography of female wounds. Values portrayed through â€Å"Cut† are Plath’s life of hardships from separation, divorce and as a single mother and poet. Through the remarkable consistent images that all â€Å"flow† from her very ordinary â€Å"accident† it is evident that this poem showcases a history of bloodshed through war, death, injury and maiming in the Western world and Plath’s family history Story The story of â€Å"Cut† is a rapid succession/conglomeration off sensations and images of violence and bloodshed throught history and its emotional relief. Plath chooses to use an ongoing metaphor of a battle between two armies. She is possibly one soldier who has lost much, while fighting the depression battle. This poem demonstrates Plath’s disconnection from humanity as for example she disassociates the thumb as being part of the body. The fact that she relates her cut to onions, with cooking as a household duty displaying her discontentment with her role as a housewife and mot... ...rill-â€Å" creates a colloquial level of language, where in this case an exclamation mark could have been used. Sounds A variety of language devices are employed to create tone for the poem. Sounds such as assonance is used in the line â€Å"a flap like a hat† with an emphasis on ‘t’ and taken off on ‘a’ coupled with dental ‘t’ and plosive ‘p’ evoking and mirroring the on/off nature of a hat, in reference to the skin that has been cut on her thumb. Internal assonance and consonance appear and disappear with unpredictability. This demonstrates signs of Plath’s mental illness. Also there is assonance in â€Å"little pilgrim, the Indian’s axed your scalp† where the chopping sounds evoke the movement. In conclusion, there is more than one implication of the word alone â€Å"cut† [hurt,injured,rejected,excluded]these are to mean: physically injured, rejected or wounded by people, excluded by living on own and bleeding in all senses and self mutilation. In the poem â€Å"Cut† by Sylvia Plath there is more to the poem than moods and feelings through the use of context and technique. For instance images,sounds,tones,rhythm,rhyme and form which all add up to an effective poem with textual integrity.

Thursday, October 24, 2019

Parris and Procter Essay

How does Miller use setting and action in Set 1of ‘the Crucible’ to establish atmosphere and set the scene for the events which are to unfold?  This essay recounts the various ways in which Arthur Miller uses setting and action to set the atmosphere for the coming events in ‘the Crucible’. During the 1950’s whilst ‘the Crucible’ was being written a phenomenon called McCarthyism was occurring. McCarthy, who was the US president at the time, was determined to hunt down communists in the USA. He was paranoid about Communists and McCarthyism is the name given to the paranoid behaviour of his government in the hunt for communists. Miller was called in front of the judge and was tried, as were a number of his friends, but Miller was not convicted although others were. This is where Miller’s idea for ‘the Crucible’ originated. The link between McCarthyism and the witch-hunt is persecution, which is a common parallel in both situations. Being based on a true story about a historical witch-hunt creates dramatic tension in that the audience are expecting a play based on fact rather than fiction. The audience at the time would have known that the play was about McCarthyism, and by claiming that the play was based on fact Miller creates excitement in the audience who are prepared for a factual account of McCarthyism. It is notable that Miller was unable to perform his play publicly in the US at the time and it had to be performed in Belgium. By using the Salem witch-hunts Miller introduces the audience to the theme of good and evil. The setting and actions in Set 1 establishes atmosphere in particular for the events that are to unfold in the rest of the play. Set 1 in Act 1 is a small, simple bedroom. Within the room there isn’t much furniture and the room appears to be very cold and inhospitable. The room is brightened up by the description of the morning sunlight streaming in through the window, but the window is described as narrow so dulling the image of the room and limiting the sunlight streaming in through the window. The audience then has an image of a small slit of light entering a room of darkness, which creates a visual drama between light and dark. Similarly, the set in Act 2 is described by Miller as ‘the low, dark and rather long living room of the time.’ Again the Set which is a room in Act 3 is described as ‘solemn, even forbidding. Heavy beams jut out, boards of random widths make up the walls.’ As in set 1 there are two ‘high’ windows with ‘sunlight pouring through’. Finally in set 4 Miller describes the prison cell as ‘in darkness but for the moonlight seeping through the bars.’ The set of act 1 indicates a similar parallel in the set of the scene of John Procter in a prison cell, with the light streaming through. Whilst the audience contemplates whether there is hope of Proctor not being accused of dealing in witchcraft, sunlight streams in to the courtroom from the high windows. This represents a glimmer of hope for John Procter. Proctor’s wife then lies to say that her husband is not a lecher, thinking that she is protecting him, and the audience sees all hope dashed away. Later in Set 4 in the prison cell Miller uses the metaphor of moonlight seeping through the bars to show that not all is lost in despair. In all these sets Miller uses the stylistic device of light coming through windows in dark rooms making the audience think that the whole story will be dark with small glimmers of hope throughout. The use of light and dark in the set draws on a parallel of good and evil, hope and despair, justice and injustice. By allowing darkness rather light to dominate so despair, injustice and evil form the dominant atmosphere. The changing atmosphere in the similar settings leaves the audience un-prepared for what is going to take place next. Set 1, as can be seen by examining the text further, the bedroom is always full of tension and it is never the set for anything calm. Bedrooms are normally where people go to relax and sleep but this bedroom is the place where people go to argue and accuse each other of waywardness. This particular bedroom doesn’t belong to anyone and is described as ‘A small upper bedroom’. Bedrooms are normally personalised and made comfortable for the persons whose room it is but this one is cold and bland. This at once tells the audience that this room will be the centre for grievances and dilemma. The first character the audience meets in Act 1 is Reverend Samuel Parris, who is described as in his middle forties. The audience instantaneously get the impression that Parris is a man easily angered as his first words spoken are â€Å"Out of here!† Here Miller adds the action of Parris â€Å"scrambling to his feet in a fury†, which immediately creates tension. Reverend Parris’ short temper and his desperate manner, which he uses to get what he wants, are seen here. His intense anger comes through again when he is arguing with John Proctor â€Å"Man! Don’t a minister deserve a house†¦.†. Parris’s greed shines through and the audience sees a man out to get what he wants and not what’s best for the Church, which he is meant to serve. The audience also see his pretentiousness â€Å"I am a graduate of Harvard College†. He seems to believe that he is superior to everyone else. The confrontation in set 1 Act 1 set the scene for what is to be a far more serious conflict between Parris and Procter in the courtroom. At this point a different atmosphere is created by the tension. Here again there is an argument between Parris and Procter, but roles are reversed, and Proctor seems to be in control. The tension is also amplified by the way in which Parris speaks â€Å"in deadly fear, to Elizabeth†. Deadly fear is strong language and emphasises to the audience that death is in the air. Set 1 Act 1 also prepares the audience for Act 4 Parris is seen out of character where he is grovelling and begging for Procter to confess to dealing with witchcraft, demonstrating the extent to which Parris will go to get a confession, which the audience knows is false.

Wednesday, October 23, 2019

Poverty in Liberia

What is poverty? To be poor is to be underprivileged, to live a lifestyle not deemed a proper and healthy one to most, and, as is the main connotation, to have an insufficient amount of money. Fourteen years of civil war has left the infrastructure of Liberia in ruin, affecting water, sanitation, food security and livelihood in general. This has left Liberia the third poorest country in the world, in terms of GDP per capita. In actuality, there are only two classes in Liberia: the very rich and the very poor, with the majority classified as the latter.A reporter from the African Development Bank Group estimated that only 4. 8% of Liberia’s population could be considered middle class (the lowest percent on the continent). There is no middle class, but rather, a working poor. Infrastructure The civil war decimated the infrastructure of Liberia, leaving most Liberians void of safe drinking water, access to proper sanitation facilities, electricity, and roads. More than half of al l Liberians are without access to clean water and functioning sanitation facilities. 8% of all deaths in Liberia are caused by deficiencies in water and sanitation. Hepatitis A, typhoid fever, and bacterial and protozoic diarrhea are very infectious diseases that are found in Liberia’s unsanitary water. As for electricity, most of Liberians live in the dark, with a choice few relying on loud and unreliable diesel generators. Paved roads are scarce as well, stunting transportation and, in turn, affecting the economy in Liberia. Not Enough Money 76% of Liberians are now living below the poverty line ($1/day) and 52% live in extreme poverty ($0. 50/day).Most workers in the middle class, or the working poor in other words, of Liberia earn $100 a month plus $30 of transportation stipend and a bag of rice. $300 a month is an upper-middle salary, about four times more than what policemen earns, and 10 times more than what half of all Liberians live on. These half of the Liberians li ve on the â€Å"dollar-a-day† policy. The GDP per capita in Liberia is $392, which is lower than all nations in the world except for Zimbabwe and the Democratic Republic of the Congo. This means that the average person in Liberia only makes around $400 dollars a year.Not Enough Food Not enough money means not enough food, especially since the previous civil war destroyed the agricultural sector of Liberia. Before the civil war, most Liberians lived off the land, making a living off of agriculture. Since the war effort took up so much of the time and hard work of Liberians, this changed, leaving them reliant upon expensive exported goods. Over 60% of households currently report not being able to afford three meals a day, and 40% of Liberian children experience stunted growth. 20% percent of them are underweight. 35%of Liberians are malnourished.Human Rights In Liberia most poor children work for family businesses. The families sometimes have no money to hire employees and so t hey use their own family members instead. They may work in farms, or take part in street trading, or domestic work. Some are even trafficked out of the country from rural areas to urban areas or to diamond mining areas for purposes of sexual exploitation or forced labor. These acts are with the sole purpose of making money. Liberia is the oldest free nation in Africa, is rich in resources, and was a refuge for African American slaves in the 1800s.Friction between the newcomers and natives led to turmoil, eventually landing Liberia in the place as one of the poorest counties in the world. Poverty paints all aspects of Liberian life, from water and food to human dignity. Is there a brighter future for Liberia? â€Å"I'm sure by the time this man gets your age, he will live a better life than what I have lived† said a 55 year old man living int West Point, the poorest slum in Monrovia, to a reporter, as he hugged his grandson. As long as the Liberian people have hope, there is h ope for Liberia.