Thursday, November 28, 2019

Biography of Architect Norma Merrick Sklarek

Biography of Architect Norma Merrick Sklarek Architect Norma Merrick Sklarek (born April 15, 1926 in Harlem, New York) worked behind the scenes on some of the largest architectural projects in America. Notable in architectural history as the first Black American woman registered architect in New York and California, Sklarek was also the first Black woman to be elected to the prestigious Fellow of the American Institute of Architects (FAIA). In addition to being the production architect for many high-profile Gruen and Associates projects, Sklarek became a role model to many young women entering the male-dominated architecture profession. Sklareks legacy as a mentor is profound. Because of the disparities she faced in her life and career, Norma Merrick Sklarek could be sympathetic to the struggles of others. She led with her charm, grace, wisdom, and hard work. She never excused racism and sexism but gave others the strength to deal with adversities. Architect Roberta Washington has called Sklarek the reigning mother hen to us all. Others have called her The Rosa Parks of Architecture. Fast Facts: Norma Sklarek Occupation: Architect  Ã‚  Ã‚  Also Known as: Norma Merrick Sklarek, Norma Merrick Fairweather, Norma MerrickBorn: April 15, 1926 in Harlem, New YorkDied: February 6, 2012 in Los Angeles, CaliforniaEducation: B.Arch. from Columbia University’s School of Architecture (1950)Architecture with Cesar Pelli: San Bernardino City Hall (1972) ; Columbus Courthouse Center in Indiana (1973); Pacific Design Center in California (1975); The U.S. Embassy in Tokyo, Japan (1978)Key Accomplishments: As a Black female, Sklarek became a well-respected project director and educator within the white male dominated field of architecture.Fun Fact: Sklarek been called The Rosa Parks of Architecture East Coast Years Norma Merrick was born to West Indian parents who had moved to Harlem, New York. Sklareks father, a doctor, encouraged her to excel in school and to seek a career in a field not normally open to females or to Americans of color. She attended Hunter High School, an all-girls magnate school, and Barnard College, a womans college associated with Columbia University, which did not accept women students at the time. In 1950 she earned a Bachelor of Architecture degree. After receiving her degree, Norma Merrick was unable to find work at an architecture firm. After being rejected by dozens of firms, she took a job at the New York Department of Public Works. While working there from  1950 to 1954 she studied for and passed the grueling, week-long series of tests to become a licensed architect in New York State - on her first try. She was then in a better position to join the large New York office of Skidmore, Owings Merrill (SOM), working there from 1955 until 1960. Ten years after earning her architecture degree, she decided to move to the West coast. West Coast Years It was Sklareks long association with Gruen and Associates in Los Angeles, California where she made her name within the architecture community. From 1960 until 1980 she used both her architectural expertise and her project management skills to realize the many multi-million dollar projects of the large Gruen firm - becoming the firms first female director in 1966. Sklareks race and sex often were marketing detriments at the time of her employment with major architectural firms. When she was a director at Gruen Associates, Sklarek collaborated with Argentina-born Cà ©sar Pelli on a number of projects. Pelli was Gruens Design Partner from 1968 to 1976, which associated his name with new buildings. As Production Director, Skarek had immense responsibilities but was rarely acknowledged on the finished project. Only the U.S. Embassy in Japan has acknowledged Sklareks contributions - the Embassy website stated that The building was designed by Cà ©sar Pelli and Norma Merrick Sklarek of Gruen Associates of Los Angeles and constructed by Obayashi Corporation, as straightforward and matter-of-fact as Sklarek herself. After 20 years with Gruen, Sklarek left and from 1980 until 1985 became Vice President at Welton Becket Associates in Santa Monica, California. While there, she directed the construction of Terminal One at Los Angeles International Airport (LAX), which opened in time for the 1984 summer Olympic games in Los Angeles. In 1985 she left Welton Becket to establish Siegel, Sklarek, Diamond, an all-woman partnership with Margot Siegel and Katherine Diamond. Sklarek is said to have missed working on the large, complicated projects of previous positions, and so she finished her professional career as Principal at the Jerde Partnership in Venice, California from 1989 until her retirement in 1992. Marriages Born Norma Merrick, she was married three times. She is also known as Norma Merrick Fairweather, and her two sons are Fairweathers. Sklarek was the name of Norma Merricks second husband, architect Rolf Sklarek, whom she married in 1967. It becomes understandable why professional women often keep their birth names, as Merrick changed her name again in 1985 when she married Dr. Cornelius Welch, her husband at the time of her death. Quote In architecture, I had absolutely no role model. Im happy today to be a role model for others that follow. Death Norma Sklarek died of heart failure at her home on February 6, 2012. She lived with her third husband in Pacific Palisades, an affluent residential area of Los Angeles, California. Legacy Sklareks life has been filled with many firsts. She was the first Black woman to be licensed as an architect in New York (1954) and in California (1962). In 1959, Sklarek became the first Black woman to become a member of the American architects national professional organization, the American Institute of Architects (AIA). In 1980, she was the first woman to be elected a Fellow of the AIA (FAIA). Its notable that in 1923 Paul Revere Williams became the first Black architect to become a member of the AIA, and he rose to become a Fellow in 1957. In 1985, Norma Sklarek helped establish and managed the California firm Siegel, Sklarek, Diamond, one of the first woman-owned and operated architectural firm. Norma Merrick Sklarek collaborated with design architects to transform building ideas from paper to architectural realities. Design architects usually receive all the credit for a building, but just as important is the production architect who sees the project to completion. Austrian-born Victor Gruen has long been credited with inventing the American shopping mall, but Sklarek was ready to carry out the plans, making changes when necessary and solving design problems in real time. Sklareks most significant project collaborations include City Hall in San Bernardino, California, Fox Plaza in San Francisco, California, the original Terminal One at the Los Angeles International Airport (LAX) in California, Commons - Courthouse Center in Columbus, Indiana, the Blue Whale of the Pacific Design Center in Los Angeles, the U.S. Embassy in Tokyo, Japan, Leo Baeck Temple in Los Angeles, and the Mall of America in Minneapolis, Minnesota. As a Black American architect, Norma Sklarek more than survived in a difficult profession - she thrived. Raised during Americas Great Depression, Norma Merrick developed an intelligence and tenacity of spirit that became an influence to many others in her field. She proved that the architecture profession has a place for anyone willing to persist at doing good work. Sources AIA Audio Interiew: Norma Merrick Sklarek. aia.org/akr/Resources/Audio/AIAP037892?dvidrecspecAIAP037892Bellows, Layla. Norma Sklarek, FAIA: A Litany of Firsts that Defined a Career, and a Legacy. AIA Architect. aia.org/practicing/AIAB093149Beverly Willis Architecture Foundation. Norma Merrick Sklarek.  bwaf.org/dna/archive/entry/norma-merrick-sklarekBWAF Staff. Roberta Washington, FAIA, Makes A Place, Beverly Willis Architecture Foundation, February 09, 2012. bwaf.org/roberta-washington-faia-makes-a-place/National Visionary Leadership Project. Norma Sklarek: National Visionary. visionaryproject.org/sklareknorma/U.S. Department of State. Embassy of the United States, Tokyo, Japan. http://aboutusa.japan.usembassy.gov/e/jusa-usj-embassy.html

Monday, November 25, 2019

Gay-Lussacs Ideal Gas Law Examples

Gays Gay-Lussacs gas law  is a special case of the  ideal gas law  where the volume of the gas is held constant. When the volume is held constant, the pressure exerted by a gas is directly proportional to the absolute temperature of the gas. The law is also known as Gay-Lussacs law of pressure temperature. Gay-Lussac formulated the law between 1800 and 1802 while building an air thermometer. These example problems use  Gay-Lussacs law to find the pressure of gas in a heated container as well as the temperature you would need to change the pressure of gas in a container. Key Takeaways: Gay-Lussac's Law Chemistry Problems Gay-Lussacs law is a form of the ideal gas law in which gas volume is kept constant.When volume is held constant, pressure of a gas is directly proportional to its temperature.The usual equations for Gay-Lussacs law are P/T constant or Pi/Ti   Pf/Tf.The reason the law works is that temperature is a measure of average kinetic energy, so as the kinetic energy increases, more particle collisions occur and pressure increases. If temperature decreases, there is less kinetic energy, fewer collisions, and lower pressure. Gay A 20-liter cylinder contains 6  atmospheres (atm)  of gas at 27 C. What would the pressure of the gas be if the gas was heated to 77 C? To solve the problem, just work through the following steps:The cylinders volume remains unchanged while the gas is heated so Gay-Lussacs gas law applies. Gay-Lussacs gas law can be expressed as:Pi/Ti Pf/TfwherePi and Ti are the initial pressure and absolute temperaturesPf and Tf are the final pressure and absolute temperatureFirst, convert the temperatures to absolute temperatures.Ti 27 C 27 273 K 300 KTf 77 C 77 273 K 350 KUse these values in Gay-Lussacs equation and solve for Pf.Pf PiTf/TiPf (6 atm)(350K)/(300 K)Pf 7 atmThe answer you derive would be:The pressure will increase to 7 atm after heating the gas from 27 C to 77 C. Another Example See if you understand the concept by  solving another problem: Find the temperature in Celsius needed to change the pressure of 10.0 liters of a gas that has a pressure of 97.0 kPa at 25 C to standard pressure. Standard pressure is 101.325 kPa. First, convert  25 C to  Kelvin  (298K).  Remember that the Kelvin temperature scale is an  absolute temperature  scale based on the definition that the  volume  of a  gas  at constant (low)  pressure  is directly proportional to the  temperature  and that 100 degrees separate the  freezing  and  boiling points  of water. Insert the numbers into the equation to get: 97.0 kPa / 298 K 101.325 kPa / x solving for x: x (101.325 kPa)(298 K)/(97.0 kPa) x 311.3 K Subtract 273 to get the answer in Celsius. x 38.3 C Tips and Warnings Keep these points in mind when solving a  Gay-Lussacs law problem: The volume and quantity of gas are held constant.If the temperature of the gas increases, pressure increases.If temperature decreases, pressure decreases. Temperature is a measure of the kinetic energy of gas molecules. At a low temperature, the molecules are moving more slowly and will hit the wall of a  containerless  frequently. As temperature increases so do the motion of the molecules. They strike the walls of the container more often, which is seen as an increase in pressure.   The direct relationship only applies if the temperature is given in Kelvin. The most common mistakes students make working this type of problem is forgetting to convert to Kelvin or else doing the conversion incorrectly. The other error is neglecting  significant figures  in the answer. Use the smallest number of significant figures given in the problem. Sources Barnett, Martin K. (1941). A brief history of thermometry. Journal of Chemical Education, 18 (8): 358. doi:10.1021/ed018p358Crosland, M. P. (1961), The Origins of Gay-Lussacs Law of Combining Volumes of Gases, Annals of Science, 17 (1): 1, doi:10.1080/00033796100202521Gay-Lussac, J. L. (1809). Mà ©moire sur la combinaison des substances gazeuses, les unes avec les autres (Memoir on the combination of gaseous substances with each other). Mà ©moires de la Socià ©tà © dArcueil 2: 207–234.  Tippens, Paul E. (2007). Physics, 7th ed. McGraw-Hill. 386–387.

Thursday, November 21, 2019

Part B- Cross Cultural Management (Student's Review of a Peer's Essay

Part B- Cross Cultural Management (Student's Review of a Peer's Posting) - Essay Example Reynolds et al (2003) emphasize the importance of effective negotiation when undergoing intercultural negotiations. Reynolds (2003) states that ‘managers spend more than 50% of their time negotiating’ and when negotiating with other cultures managers should be aware and respect the differences to avoid conflict. Reynolds et al (2003) also portrayed the link between different negotiation styles and different cultures, which was also discussed in the lecture this week. Such as different cultures being individualistic or collective, centralised or de-centralised, which was discussed in this weeks lecture. The link between trust and negotiation style is also portrayed both in this weeks lecture and this journal article, such as some cultures find relationship building to be an important aspect. Negotiation is extremely important to avoid conflict or solve conflict when dealing with international managers and or companies. Therefore, Reynolds et al (2003) emphasize of the importance of understanding different cultures and their negotiation style is highly vital and relevant to this weeks lecture. This week’s lecture portrays a deeper view of the negotiation process such as portraying that ‘every negotiation party has its own interests, priorities, and strategy’ (Santha, 2007) therefore for a negotiation party to be successful they need to research the culture and gain a good understanding of it. The journal article realises this point and portrays the growing importance of cross cultural negotiation studies. The way Reynolds et al (2003) has done this is by portraying the growing interest in ‘international business negotiation studies’, this is depicted in (Appendix one), where it portrays the number of articles published concerning internat ional business negotiation has risen from (5) on the scale during the year 2000, to (26) on the scale in 1998. The article is also relevant to this weeks lecture is because it portrays how different cultures use

Wednesday, November 20, 2019

Impact of capital structure on financial performance of real estate Literature review

Impact of capital structure on financial performance of real estate listed on Chinese stock exchange - Literature review Example There should be a positive balance between the internal and external sources of funds for the firms to operate efficiently. The research paper is relevant for the study. It articulates the dependence of the overall performance of the company and the capital structure preferred by the real estate firms. Brendea, G 2014, Ownership Structure, Performance And Capital Structure Of Romanian Firms, Internal Auditing & Risk Management, 9, 4, pp. 1-9, Business Source Complete, EBSCOhost, viewed 23 February 2015 Brendea, 2014 affirms that the capital structure of a firm affects its performance. Capital structure relates to the ownership structure of most firms listed on the Chinese Stock Exchange. In cases of concentrated ownership among a few shareholders, there exist preferences of use of retained funds as the source of finance to debtors and equity, in that order. Firms adopt contracting more debt as a mechanism of controlling misuse of the firms’ funds by the managers. Managers prefer personal gains to the firms’ financial progress. Such designs of capital structure where shareholders resort to debt contraction help improve the profitability on most of the listed firms. Most firms prefer to obtain the finances from within themselves rather than from outside as outlined in the Pecking Order Theory. According to the theory, real estate firms in China reduce their dependence on borrowed money to fund their investments. Utilization of internal sources of funds results in an increase in profitability. The book is very relevant to the topic of study because it expounds on how equity as a capital affects the profit margins of the company. Iavorskyi, 2013 explains that several theories exist that explain how the capital structures affect the business in various real estate firms listed in the Chinese stock exchange. Modigliani and Miller propose that the owner and capital structure of a firm

Monday, November 18, 2019

Effective literacy instruction for english learners Essay

Effective literacy instruction for english learners - Essay Example Depending on the needs of the students, instructors can select which recommendation can be used in order to teach English in the most effective way possible. The increase of immigrants in the country also increased the number of students whose first language is not English. Thus is the increase in number of English language learners (ELL’s), or students that must also learn English, aside from learning the K-5 curricula. However, because English is the main language of instruction in schools, ELL’s lag behind in terms of their reading proficiency and in turn, their academics (US Department of Education, n.d.). This called for the Department of Education to create recommendations in order to effectively teach English to ELL’s in an effective way (Gersten, Baker, Shanahan, Linan-Thompson, Collins, & Scarcella, 2007). By the use of such recommendations it is expected that not only can ELL’s learn English properly, but also able to keep their learning pace at par to English speakers as well. Among the five recommendations listed in the guide, the most effective ways to teach English as a second language would be the combination of three: the screening for reading problems and monitoring progress; intensive small-group reading interventions; and regular peer-assisted learning opportunities. First, the importance of screening of problems at the beginning would help instructors focus on what the student needs to learn, since this would be the foundation for higher skills (US Department of Education, n.d.). Second, grouping students based on their or their language skill level would not only create a feeling of empathy for one another, but also they could learn from each other in the process. They can also build teamwork since they would be sharing tasks and working together in order to understand the language a lot better. Third, similar to the second one except grouping the students according to their ethnicity or based on similarities

Friday, November 15, 2019

Causes And Prevention Of Child Abuse Social Work Essay

Causes And Prevention Of Child Abuse Social Work Essay Many difficulties stem from the victims that have faced and will face child abuse and neglect on a daily basis. The research into the root causes, effects, intervention, and prevention of child abuse and neglect has become abundant to the point, that it is unclear as to which approach would be most successful in curbing the tide of child violence and neglect. A thorough analysis of the research that is currently available helped to enable finding options for addressing the problem, how early prevention works, warning signs to look out for, and effective programs developed for schools. To properly evaluate how effective the current wellness programs in preventing or treating victims of child abuse and neglect, it is important to first define what the issue entails. Each State provides its own definitions of child abuse and neglect based on minimum standards set by Federal law. Federal legislation lays the groundwork for States by identifying a minimum set of acts or behaviors that def ine child abuse and neglect (Child Welfare Information Gateway). An essential aspect of the Federal government, in this sense, is to define the laws broadly so that the states can make more stringent regulations as they see fit. The Federal Child Abuse Prevention and Treatment Act as amended by the Keeping Children and Families Safe Act of 2003, defines child abuse and neglect as, at minimum: Any recent act or failure to act on the part of a parent or caretaker which results in death, serious physical or emotional harm, sexual abuse or exploitation; or an act or failure to act which presents an imminent risk of serious harm (Ibid). Uniting a movement to improve programs and literature so the issue can be prevented from occurring to a child is paramount to a youths development in any region of the world. It is therefore extremely important to note the issues early, so that possible victims and caretakers can be proactive versus reactive. Examination of child abuse and neglect victims in the field of psychology has shown that, à ¢Ã¢â€š ¬Ã‚ ¦problems with self-management, impulse control, frequent anger outbursts, substance abuse, developmental delays, antisocial [behavior], [as well as] difficulty with concentrating in school and symptoms of psychopathology, for example, depression, psychotic disorder (Christoffersen DePanfilis, 2009, p. 32). These symptoms cannot always be avoided, no matter what treatment is applied later, which is the reason that early education is crucial. Developing a holistic approach to treat such conditions early on and to continue to monitor, as well as, educate participants is definitely the best route to take, but it can also be expensive and possibly unaffordable. Research Figures Statistics about child abuse and neglect victims help lay a foundation of what factors are in the equation in order for appropriate policy, regulations, and campaigns to be produced. Mogans Christoffersen and Diane DePanfilis journal article, Prevention of Child Abuse and Neglect and Improvements in Child Development (2009), studied whether an improvement in mental development of children could be enriched by the reduction of certain abuse and neglect conditions. Their research indicated that, 70 percent of children in the study who had been exposed to physical abuse were exposed to psychological maltreatment as well, while 73 percent of the children who had not been exposed to physical abuse did not experience psychological maltreatment (Christoffersen DePanfilis, 2009, p. 31). Another even more concerning topic is the underreporting with some of the conditions or stimuli found in their research. They found that, child abuse and neglect on the basis of recorded files may underestim ate the number of abused children in the community, (Ibid, p. 37) because of the ramifications of such actions. Child victims can sometimes fear reporting because of not wanting to get in trouble, as well as, adults that fear that they could cause a child to be taken away from his or her family. Preparedness for addressing these types of frequently asked questions should be a key aspect of treatment for victims. The article indicated that a comprehensive assessment should specify the treatment because different types of abuse and neglect require different types of interventions (Ibid, p. 38). Maltreatment of children has numerous more categories than just abuse or neglect. Therefore, a tailored treatment to the situation needs to be used; otherwise the intervention part of treatment will be inadequate. Policymakers and researchers have found that child abuse affects the development of a number of mental and physical factors in a child, which may not be apparent at first glance. While physical abuse might be the most visible sign, other types of abuse, such as emotional abuse or child neglect, also leave deep, long lasting scars (Saisan, Smith, Segal, 2010). It was found that, our failure as a nation to implement effective policies and strategies to prevent child abuse and neglect costs taxpayers $104 billion per year and does not consider the personal toll on the victimized child (Hmurovich, 2009, p. 12). In these studies, it became apparent that the effects of not attempting to discuss this issue more have adversely affected all of the stakeholders involved. It is therefore within the best interest of the United States, as well as, many countries around the world to be more mindful of the problem. The old adage, timing is everything is crucial to the matter of early intervention and prevention services. A reason for this is, the earlier abused children get help, the greater chance they have to heal from their abuse and not perpetuate the cycle (Saisan, Smith, Segal, 2010). What may shock many people about this issue is the people that are generally involved in these matters already know each other. About, 95 percent of the sexual abuse of youngsters is done by family members, those who work with children, or those who know them. Current information indicates that strangers essentially make up about 5 percent of the reported documented cases (Friedman, 2010). The stigma that ensues for parents of child abuse victims is that they do want their childs past to follow them around for the rest the childs life. Caretakers and parents of many children might prefer to use alternative methods to resolve the matter in a private way so as to not have it show up anywhere on the childs per sonal record (Ibid). This form of underreporting unfortunately allows the criminal to continue to repeat his or her actions and not get punished (Ibid). It is the responsibility of the community to be a sort of checks and balances to counteract this type of disregard for the greater good of their municipality. Putting research into action, enough to make a significant difference, is the next logical step for thwarting child abuse and neglect. An abused childs life can be and will be forever changed after the action that occurs. Much of the research in academia about the matter, [shows] a strong correlation between child abuse and neglect and debilitating and chronic health consequences, delinquency, criminal behavior, mental health illness, drug dependency and lower academic performance (Hmurovich, 2009, p. 12). The result is a child that has unnecessary issues, which could have been avoided with earlier treatment. In the United States, abuse and neglect is a high enough concern, for the general populace, that it justifies talking and working with families and providers about what they can do. Emotional distress from unpermitted behavior of a penalizing adult or older child always causes deep impacts in the community at large (Friedman, 2010). The community has to therefore communicate wit h children at different stages in the education process. Addressing the Problems A multifaceted approach of, à ¢Ã¢â€š ¬Ã‚ ¦child abuse and neglect prevention must be understood uniformly and the message must be to prevent child abuse and neglect from ever happening. To implement a national child abuse and neglect prevention policy, it is essential that funding streams be assessed and then realigned (Hmurovich, 2009, p. 12). After finding where and how much cash will be needed to provide the solutions to the problem it is necessary to make a strategic plan of how to implement the changes. An integral part of the strategic plan should be training community members, specifically youths, in ways to be sensitive to the problems of child abuse and neglect. Training methods can be divided into two distinct groups: information-based approaches and behavioral skills training programs. In information-based approaches information is presented verbally by the trainer or through the use of a video, play, or activity book (Kopp Miltenberger, 2009, p. 193). In information-bas ed training the material that children learn include, how to prevent attacks or abuse, and then are tested to see if they retained the information (Ibid). The other approach known as behavior skills training seeks to see how well a child has retained information by having them perform specific actions. Children in behavioral skills training programs are presented with similar information; however, behavioral skills training programs emphasize active rehearsal of skills by the participants (Kopp Miltenberger, 2009, p. 193). At the moment, there is no foolproof method to determining which families in communities are at higher risk for child abuse and neglect (McCurdy, 1995). There are no social, economic, gender, racial, or political barriers that can properly be correlated or connected with the type of person that will commit such behavior. Since the act of abusing a child seems to cross all barriers; it becomes paramount to find ways to strongly address this issue. Coordinated efforts have been established to try and see if there is a connection between any particular groups of people other than by demographic. The results were definitive, but are not quite as simple to recognize as a standard indicator. A plethora of, theoretical models exist that suggest that certain personal, familial, and environmental factors contribute to an increased likelihood of maltreatment. For example, learning theories suggest that individuals who have been raised in abusive or neglectful environments or have had limited experiences with positive relationships are likely to replicate these parenting behaviors with their own children (Ibid). Models however are only one aspect of the comprehensive effort to reducing the epidemic of child abuse and neglect that occurs in the United States every day. Not only is it surprising that it is usually a family member or close friend of the child that performs the malicious act of child abuse and/or neglect, but also stress can cause onset reactions towards underlying motivations to the action. Individuals under stress or lacking the emotional or financial capacity to deal with the demands of child rearing may lash out at their children. Still others argue that social policies that fail to nurture positive human interactions and leave communities without adequate social, health, or educational infrastructures create an environment ripe for abusive and violent behaviors (Ibid). On the neglect side of the issue, there are also many warning signs that the community needs to examine. An example could be that a home is normally empty with no adult supervision, while the children in the household cause issues in the community or the streets (Pennsylvania Family Support Alliance). Whether it is abuse or neglect that a community is dealing with, it is always crucial to start interpreting the root causes sooner rather than later. Early Prevention Recognizing the signs of abuse before they become a problem that can be solved without criminal or legal action can usually help people have a greater ability to cope. Moreover, it is useful to demonstrate to communities across the country that abuse and neglect are a global problem, and not just one found in the United States (Phakathi, 2009). If the issue were to hit closer to home such as a, husband or boyfriend of the victims mother, than it would not be as hard for the family to notice sexual abuse, according to a study done by the United Nations Childrens Fund (UNICEF) in association with the Centers for Disease Control and Prevention (CDC) in the United States of America (Ibid). Conversely in the same study it was found that, emotional abuse typically came from female relatives (Ibid). Naturally the information found from the study can be used to help recognize and prevent some of the frequently caused risk factors associated with abuse. In order to avoid the externalities that face communities if they do not take a path towards early intervention and prevention, it is helpful to remind them of the loved ones that are in danger if appropriate actions are not taken. Moreover, the pictures of missing children that appeared on milk cartons, billboards, and telephone books were and are constant reminders that untold numbers of children have disappeared, some possibly becoming victims of sexual abuse (Reppucci Haugaard, 1989, p. 1266). Reporting improper conduct can be a difficult aspect to swallow for those that are most at risk because they may not be mature enough to comprehend the gravity of the situation (Ibid). First, the child must recognize that he or she is in an abusive situation. Then the child must believe that he or she can and should take some sort of action. Finally, the child must possess and use specific self-protective skills (Ibid, p. 1267). According to the article Prevention of Child Sexual Abuse: My th or Reality by Reppucci and Haugaard (1989) they found that in order for programs to be effective they must also be age appropriate. Warning Signs Being highly perceptive to the needs of a community or to the needs of an individual child takes training and some common sense. A greater awareness cannot only save the lives of some but improve the lives of many. The research done from the website Helpsite.org on the topic of child abuse and neglect sheds some light on the subject. The warning signs that a child might exhibit include: Lack of trust and relationship difficulties Abuse by a primary caregiver damages the most fundamental relationship as a child that [they] will safely, reliably get [his or her] physical and emotional needs met by the person who is responsible for [his or her] care. Without this base, it is very difficult to learn to trust people or know who is trustworthy. This can lead to difficulty maintaining relationships due to fear of being controlled or abused. It can also lead to unhealthy relationships because the adult doesnt know what a good relationship is (Saisan, Smith, Segal, 2010). Core feelings of being worthless or damaged [Many are] told over and over again as a child that [they] are stupid or no good, it is very difficult to overcome these core feelings. [The child] may experience them as reality. Adults may not strive for more education, or settle for a job that may not pay enough, because they dont believe they can do it or are worth more (Saisan, Smith, Segal, 2010). Trouble regulating emotions Abused children cannot express emotions safely. As a result, the emotions get stuffed down, coming out in unexpected ways. Adult survivors of child abuse can struggle with unexplained anxiety, depression, or anger. They may turn to alcohol or drugs to numb out the painful feelings (Ibid). Prevention Programs Child abuse prevention efforts are of 3 general typesà ¢Ã¢â€š ¬Ã‚ ¦primary prevention effortsà ¢Ã¢â€š ¬Ã‚ ¦ [which] address a broad segment of the population (such as all new parents), secondary prevention efforts, such as the home visitation (or nurse-family partnership) programà ¢Ã¢â€š ¬Ã‚ ¦target a specific subset of the population considered to be at higher risk for child maltreatment, [and] tertiary prevention efforts target perpetrators of child maltreatment and seek primarily to prevent recidivism (Dias, et al., 2005). The most commonly used programs that fall under primary prevention are student education programs done in public schools. These programs are extremely popular, because they teach children at a very early age what abuse really is, and how to protect themselves against it. Because child abuse prevention education can be a very frightening introduction to sexual issues, (Whatley Trudell, 1988) many of these school based programs are taught as part of a larger p ersonal safety or health and wellness course. This also eases some parents objections that the subject matter is too intense for small children. In addition to arguments regarding subject matter, there are also opponents of school based abuse prevention instruction that feel these programs implicitly challenge the sanctity of the family (Whatley Trudell, 1988) by taking the power to educate children away from the parents. These detractors are in the minority, however, and as of 1991, 61% of all elementary schools report[ed] offering some kind of preventive education (Plummer, 2001). While these programs are popular with public schools nationally, Indiana itself has no law mandating sex abuse education courses, and there is no uniformity among the schools that do teach it. Some education classes are taught as aforementioned, in connection with the health and safety curriculum by the students teacher, while others are only taught briefly, during a special presentation for the class o r the entire school. Still other public schools, and many private schools do not teach the curriculum at all, due to limited funds, lack of staff, lack of trained staff, topic not viewed as a high priority, topic should be addressed by parents, [or] counselors handle the problem when necessaryà ¢Ã¢â€š ¬Ã‚ ¦ (Lanning Massey-Stokes, 2006). Another common form of primary prevention efforts focus on educating the parents about child neglect, child abuse, and sexual abuse, before an incident arises; often before a child is even born. Because the highest percentage of victims of maltreatment are under the age of one (Wu, et al., 2004), many preventative programs seek to educate parents on how to deal with excessive crying, stress, or post-partum emotions before the birth of the child. One program, utilized in 16 New York hospitals required all families to undergo a Shaken Baby Syndrome tutorial, with bilingual leaflets, a short video, and a question and answer session with a nurse before they were permitted to be discharged (Dias, et al., 2005). Each parent also had to sign a contract stating that they had received the tutorial and understood the dangers of shaking their child. Evaluation of this program revealed that there was a statistically significant reduction in infant maltreatment, and more specifically Shaken Baby Syndrome among recipients of this educational program. There are other preventative programs for expectant teenage mothers, and even parenting education courses offered at many high schools. The state of Indiana offers public high school students a course titled Child Development and Parenting, which covers all aspects of parenting from nurturing a child, to how much money is necessary to meet the needs of a child, as well as how to handle stressful situations in a calm manner (Education, 2005). Many other primary preventative programs assist parents to maintain an adequate standard of parenting by providing parents with information about the challenges of parenting and the skills they need to parent effectively, and by enhancing their access to social supports (Tomison, 1998). These programs not only offer skills training and counseling, but partner with other government and non-governmental organizations that provide welfare services such as WIC, food stamps, and job training courses to help prevent the poverty and hopelessness that can lead to child neglect or abuse. There are also programs that offer education about sex abuse to parents, to help reiterate what their children are taught in school about the subject. Many parents do want to discuss this topic with their children, but studies have shown that many are ill informed about the subject, and may pass on incorrect information to their children. Parents often believe, and tell their children that child molesters are always male, and always strangers, when in fact, most abuse is perpetrated by someone the child knows quite well, who could be either male or female (Wurtele Kenny, 2010). Parents can also endanger their child when explaining what to do in a potential abuse situation. Many parents will tell their child to first say no or try to get away, but some parents will even tell their child to fight back against an abuser, which could have potentially life-threatening results. These educational programs can also inform parents what to do if they believe a child is being sexually abused. According to Wurtele, a study of parents who did not attend child abuse prevention workshops showed that parents more often mentioned notifying the victims parents or the abusers employer in response to a disclosure ofà ¢Ã¢â€š ¬Ã‚ ¦ child sexual abuse, (Wurtele Kenny, 2010) instead of notifying child protective services or the police department, which would have been the correct approach. Educating parents about sexual abuse not only gives them a better understanding of the truth about molestation, but also shows them the proper steps to take when confronted with abuse, and how to pass on correct information to their children. Secondary preventative efforts, or programs that target a specific at-risk sub-population are usually in home visitation programs where a social worker or trained nurse will visit the family and offer parent education and/or family support including information on health, nutrition and safety, and advice on the mother-child interactionand may also monitor the childs wellbeing and assist families to connect to other services and resources (Kovacs, 2003). Families that are selected for secondary preventative efforts are usually either identified as high risk for possible maltreatment, or have had issues of abuse previously and are being monitored by child protective services or another non-governmental agency. In the state of Indiana, Healthy Families Indiana uses a multi-tiered assessment process using participation in WIC and other state funded assistance programs, along with other variables to determine if a family falls under the high risk category, and thus into the voluntary home visitation program (IN.Gov, 2010). These programs help to reduce the stress of the parents, while simultaneously giving them the tools needed to get out of the high risk category through career training, monetary support with WIC and other welfare programs, and development of parenting skills. These visitations also allow the social worker to carefully monitor the child and the home for any signs of neglect or maltreatment before they arise or quickly enough afterward to begin counseling and limit the emotional or physical damage. Finally, tertiary prevention efforts are there to help families that have already suffered from a form of child abuse, and to prevent further abuse, or recidivism, from occurring. These programs are mostly state agencies such as child protective services, which monitor families much in the same way that they are monitored in the home visitation programs. The only difference is that this intervention is not voluntary on the part of the family, and the families are selected based on the specific criteria that abuse has already occurred in some form within the home, making these families even more at risk than any other group (Dias, et al., 2005). While there are distinct differences in the structure, targeted audience, and accessibility of each of the types of prevention efforts, all three have a common problem: awareness. Many organizations, especially non-profit organizations, are either ill equipped monetarily or lack the necessary marketing skills to advertise their programs within the community, and therefore fail to reach families that desperately need their services (Kovacs, 2003). Marketing outlets such as brochures, flyers, television and radio ads, as well as billboards not only increase awareness about the programs in a specific area, but also about the issue of child abuse, how important it is, and how it can and needs to be prevented. The Basics of Nonprofit Marketing In order understand why a public education campaign would be useful, appropriate, and feasible to a nonprofit organizations cause, one must first have some background information on how campaigns fit into the overall marketing strategy for an organization (Andreasen, 2008). Public Education Campaigns Public education campaigns send messages to target audiences in order raise awareness of social issues, change beliefs, and in some cases inspire a behavioral change (Tabachnick, 2001). The goal of a public education campaign is to motivate people and to change social behaviors and norms (Pollard, 2006). Public education campaigns are very important, because raising awareness around issues leads to behavioral and attitude changes, which leads to changes in actions and community norms (Tabachnick, 2001). For example, a child abuse and neglect prevention campaign geared towards adults could educate adults about what the signs of abuse are, then they can start to look for or identify possible signs of abuse when working with children, and eventually they will start to take action and call authorities when neglect happens, or talk with parents before the abuse even takes place. Specifically, a child abuse and neglect prevention campaign can translate complicated messages into specific, easily understood, messages about prevent, they can also reach a wider audience and educate more individuals. Once the campaign is actually implemented, it can reduce the marketing and communications staff time, because the messages are out there and going viral, the research, messages, and implementation strategies can also be reused for long-term projects (Ibid). In order to be upfront and proactive, it is important to address some of the drawbacks of public awareness campaigns. First of all, a successful and effective campaign will take many hours of staff time researching, planning and coordinating. Many organizations decide to work with a marketing and public relations firm to conduct their campaigns as to not take their staff away from every day duties (Ibid). In fact, some research suggests that it is a must for an individual to have worked with an advertising agency for a successful campaign. An ad agency represents a concentration of creative talent, production skills and proven marketing success, and they are skilled at analyzing public trends and communicating with specific target audiences. A public institution is unlikely to have these skills (Murray Seabeastan). Secondly, campaigns using mass media may not connect with every audience member. Some may feel that the message is not geared toward them and are not relevant. Often time s campaign messages are too complicated and confuse people with new concepts and requests. The golden rule in this instance should be less is more (Ibid). Another drawback is that campaigns can be very difficult to assess their effectiveness. One cannot easily judge how many drove by and actually read a billboard, watched the PSA, listened and remembered the radio ad, etc. This can be very costly to assess who was affected positively by the campaign in large communities (Tabachnick, 2001). Best Practices in Public Education Campaigns There are several ways to conduct public education campaigns, and in fact, there is no one right way. All organizations research, plan, implement and evaluate their campaigns very differently, and have different resources, inputs, and experts guiding this process. However, through research, there are several best practices that have emerged to conduct an impactful and lasting public education campaign. Some of the best practices include: identifying the scope and location, researching the target audiences, messaging, goals, implementation steps, evaluation techniques, updates on campaign, and conducting a reminder campaign. Stop It Now!, a national child sexual abuse prevention program with affiliates in several states, did a great job creating local campaigns and identifying the correct scope for each location. Each of their public education campaigns conducted were based off of their local needs, local stakeholders and had a local look and feel in regards to messaging. Examples of focus areas and specific target audiences messaging for different state campaigns include: Georgias focus is on bystanders caring adults in a position to help, Virginias focus trusting your gut, Philadelphias focus is on warning signs, and Minnesotas focus is on targeting the challenged population. Focusing on local audiences avoids stereotypes, while honoring stakeholder expectations and local sensitivities and proves for a more successful campaign that effectively reaches campaign goals (Tabachnick, 2001). One of the first full-scale public health campaigns designed to target adults for prevention occurred in Vermont, and depended upon a plethora of research to implement a successful campaign. Officials first reviewed the publics attitudes, awareness, knowledge that adults face as obstacles to preventing child abuse (Ibid). Through research they identified several obstacles, such as characteristics of an abuser and enabing factors. Once this background research was conducted, the public education campaign strategies could be planned, implemented and evaluated. When a campaign chooses a message, it is important to be consistent and to use the same one throughout all media channels in order to stick with the public. The messages may also need to be translated or re-written for diverse cultures to identify with (Ibid). An example of this comes from, Paro, a nonprofit health care provider located in San Francisco that was reaching out to a diverse group of local residents that come for low-income homes. The organization was not seeing an increase in the number of clients served and the residents that were aware of their helpful programs. Therefore, the organization made a strategic communications decision to focus on translation services, sensitivity to cultural differences, and response to public feedback. They began by translating their marketing materials in various venues at an appropriate reading level including outdoor billboards and posters, collateral material and their website. Then, they created separate documents for each ethnic gro up in their service region (Hispanics, Vietnamese and Chinese) and paid close attention to the colors of the documents to not offend any particular culture. Finally, Paro made an assertive effort to hire more multicultural employees and set up a member advisory committee. This campaign was literally designed for and by the residents benefiting from Paro services (Nastu, 2007). When planning and public education campaign, it is important to remember that thoughtful well-written messages that the target audience identifies with, need to be future oriented and support solutions that are helpful and essential for the whole community (Hughes, 2009). Once a scope, location, target audience, and messaging is identified, then one can start to implement their campaign through a variety of steps and marketing and public relations strategies. There are many examples of way organizations implement their public education campaigns, which include: hotlines, educational vides, advertising on tv, radio, and print media, public service announcements, pocket guides, social marketing, websites, billboards, transit advertising, community action kits, posters, educational booklets, as well as promotional materials such as t-shirts, wrist

Wednesday, November 13, 2019

Lee Essay -- essays research papers

Robert E. Lee "They say you had to see him to believe that a man so fine could exist. He was handsome. He was clever. He was brave. He was gentle. He was generous and charming, noble and modest, admired and beloved. He had never failed at anything in his upright soldier's life. He was born a winner, this Robert E. Lee. Except for once. In the greatest contest of his life, in a war between the South and the North, Robert E. Lee lost" (Redmond). Through his life, Robert E. Lee would prove to be always noble, always a gentleman, and always capable of overcoming the challenge lying before him. Robert Edward Lee was born on January 19, 1807 (Compton's). He was born into one of Virginia's most respected families. The Lee family had moved to America during the mid 1600's. Some genealogist can trace the Lee's roots back to William the Conqueror. Two members of the Lee family had signed the Declaration of Independence, Richard Lee and Francis Lightfoot. Charles Lee had served as attorney General under the Washington administration while Richard Bland Lee, had become one of Virginia's leading Federalists. Needless to say, the Lees were an American Political dynasty (Nash 242). Lee's father was General Henry "Light-Horse Harry" Lee. He had been a heroic cavalry leader in the American Revolution. He married his cousin Matilda. They had four children, but Matilda died in 1790. On her death bed she added insult to injury upon Henry Lee by leaving her estate to her children. She feared Henry would squander the family fortune. He was well known for poor investments and schemes that had depleted his own family's fortune (Connelly 5). Henry Lee solved his financial problems by marrying Robert's mother Anne Carter, daughter of one of Virginia's wealthiest men (Nash 242). Henry Lee eventually spent his family into debt. Their stately mansion, Stratford Hall, was turned over to Robert's half brother. Anne Lee moved with her children to a simple brick house in Alexandria. Light Horse Harry was seldom around. Finally, in 1813 he moved to the West Indies. His self-exile became permanent, and he was never seen again by his family (Thomas). Young Robert had other family problems. His mother became very ill. At the age of twelve he had to shoulder the ... ...nd). ------------------------------------------------------------------------ Works Citied Brasington, Larry, The American Revolution-an HTML project. Http://odur.let.rug.nl~usa/B/relee/htm, 11/23/97. Brinkley, Alan, American History. New York: McGraw-Hill, 1995. Compton's Interactive Encyclopedia. Computer Software. Compton's NewMedia, Inc,1994. Connelly, Thomas L. The Marble Man. New York: Knopf, 1977. Davis, Jefffers, The Papers.http://www.ruf ..edu/~pjdavis/lee/htm, 11/6/97. Grimsley, Wayne. "The Differences Deepen." Starkville, MS, 11 Nov. 1997. (Class lecture delivered at Mississippi State University.) Kelly, Brian. Best Little Stories From The Civil War. Charlottesville, VA: Montpelier Publishing, 1996. Nash, Roderick, and Graves, Gregory. From These Beginnings. New York: HarperCollins, 1995. National Park Service. Http://www.nps.gov/gwmp/arl_hse.html., 11/6/97. Redmond, Louis. He Lost a War and Won Immortality. Http://www-scf.usc.edu/~herron nva.html, 11/6/97. Thomas, Emory. Robert E. Lee. Http://xroads.virginia.edu/~CAP/LEE.lifle.html, 11/17/97.

Monday, November 11, 2019

Gogol’s Namesake Essay

Immigrants moving to the United States are faced with the pressing question of whether or not to assimilate into American culture. Many of those involved in diasporic situations feel that adapting to the social norms of their new surroundings is an act of betraying their roots in which their heritage and all preexisting traditions will be lost. Jhumpa Lahiri’s novel The Namesake highlights this struggle through the eyes of the Ganguli family. The novel ultimately shows us that one can simultaneously belong to two cultures, in this case Indian and American culture. Many scholars are hung up on the fact that protagonist Gogol must belong to one culture or the other. Heinze’s â€Å"Diasporic Overcoat?† suggests that Gogol puts on an â€Å"overcoat† through the switching of his name to represent the switching of his identity across various relationships and social situations. In doing so, he says â€Å"by implication one is never totally free of an overcoat, there is no such thing as a pristine and authentic identity†¦ (Heinze 197-198)† This quote demonstrates Heinze taking a stand and stating that there is no fixed identity. I suggest that Gogol does indeed obtain a national and cultural identity. The characterization of Gogol’s identity can be viewed as a spectrum that is continuously changing. At one end of the spectrum is his Indian cultural identity and the other is his American. At different points in his life Gogol has different degrees of American and Indian cultures present within him. So rather than arguing Gogol has no set identity, instead his identity is classified by his movement along his hybrid cultural spectrum. Other scholars that write on the issues of cultural hybridity focus on the idea that the person involved in diasporic situations are caught some where between their two given cultures. The author of an article applying concepts of cultural hybridity in music, particularly Arabian Jazz states that those with hybrid identities create a new â€Å"imagined community’ in which cultures may interact and influence each other in a state of co-existence and a â€Å"third space† is created. He defines this third space as â€Å"the inter- the cutting edge of translation and negotiation, the in between space that carries the burden of the meaning of culture† (Al-Joulan 640). Rather than being part of one culture or the other he is saying that identity of ones culture is defined as being in this third space. For the sake of my argument Gogol’s third space is the area on between his Indian culture and American culture. Gogol’s position in his third space changes at  different points in the novel. Gogol’s birth not only marks the start of his life but it also marks the start of his movement away from the Indian side of his hybrid cultural spectrum. Although it is clear the presented naming process for the Ganguli baby is one that typically appeals to Bengali tradition, American pressures results in the vanishing of those traditions. â€Å"Ashima’s grandmother has mailed the letter herself, walking with her cane to the post office, her first trip out of the house in a decade. The letter contains one name for a girl, one for a boy. Ashima’s grandmother has revealed them to no one.† (25) This quote indicates the importance of naming in Bengali tradition, particularly done by an elder in the family. The fact that the grandmother is leaving the house for the first time in ten years to personally see the letter off shows it is of great importance. However, when the letter does not arrive in time, his parents fail to name him according to Bengali tradition. â€Å"For they learn that in America, a baby cannot be released from the hospital without a birth certificate. And that a birth certificate needs a name.† (27) The Ganguli’s must abide to American laws even if it means abandoning essential Bengali traditions and we see young Gogol’s position on the spectrum of two cultures sway away from his â€Å"Indian-ness.† Perhaps this is Lahiri’s way of communicating to her audience that sacrifices must be made in order to establish a hybrid cultural identity. During the infancy stage of Gogol’s life another series of events instills his divergence from the Indian side of his identity spectrum. The Ganguli’s invite their Bengali friends over in celebration of Gogol’s first consumption of solid food. Gogol is also offered a number of items to represent what profession he will grow to attain. â€Å"Gogol frowns, and his lower lip trembles. Only then, forced at six months to confront his destiny, does he begin to cry.† (40) This quote demonstrates how Gogol’s refusal to participate in traditional Indian rituals, begins at an early age. He does not reach for any of the items symbolizing his rejection of Indian culture ultimately pushing him further towards American assimilation. Throughout adolescence and early adulthood Gogol’s movement along the spectrum continues away from the Indian side. During this stage in his life the movement is represented through the rejection of his name to mimic his rejection of his Bengali heritage. Despite the fact that the pet name given  to him at birth is in fact a Russian name, the concept of having a pet name and good name all together is the â€Å"Bengali way† and not typical for Americans. We see this in Gogol’s petition to his parents to change his name when he asks â€Å"Why do I have a pet name in the first place? I don’t get it†(Lahiri 99). His mother responds simply with â€Å"It’s our way, Gogol. It’s what Bengali’s do†(Lahiri 99). When Gogol is asked by his new college suitemate whether Gogol is his first name or last name, he gives a new answer that is of great significance. â€Å"Normally that question agitates him. But today he has a new answer. ‘Actually, that’s my middle name,’ Gogol says by way of explanation, sitting with them in the common room to their suite. ‘Nikhil is my first name. It got left out for some reason’†(Lahiri 103). We know this statement is false due to the fact that in a previous passage of the novel Gogol’s mother explains to his principle that he does not have a middle name at all, he has a good name and a pet name. In Judith Caesar’s article about Gogol’s namesake she says, â€Å"Although Nikhil is an Indian name, it enables him to try on a sophisticated identity he thinks he wants, sexy, cool, ‘normal’†(Caesar 110). I believe what Caesar is referring to as â€Å"normal† is in fact â€Å"more American†. Making the claim that Gogol is his middle name marks his attempt at appearing like a typical American kid with a first, middle, and last name. In essence he is rejecting his pet name to represent the rejection of his Indian heritage. Conversely the acceptance of this so-called â€Å"middle name† represents his acceptance of American culture continuing his movement away from the Indian side of the spectrum. It is not until the adulthood stage in Gogol’s life that he comes full circle and begins his movement in the other direction, back towards the Indian side of his hybrid cultural identity spectrum. The first way in which he does this is through the development of his relationship with Moushumi. Moushumi, being a childhood family friend also of Bengali heritage, first met Gogol as Gogol rather than Nikhil. It is â€Å"the first time he’s been out with a women who’s once known him by that other name†(Lahiri 193). The fact that Gogol goes through with meeting a girl who already knew his pet name, a Bengali custom, represents a step towards accepting his name and a willingness to begin his movement in the other direction towards his â€Å"Indian-ness.† Ironically the very thing they bond over is their identical  hybrid identity situation. â€Å"They talk about how they are both routinely assumed to be Greek, Egyptian, Mexican – even in this misrendering they are joined† (Lahiri 212). Neither Gogol nor Moushumi ever thought they would date another Bengali due to the fact that it is what their parents had continuously drilled into their heads as their wishes. They know that their blossoming relationship will please both their parents, and they each find some comfort in this surprising thought. The reason the two met up after not seeing each other since childhood was a result of a request by Gogol’s mother. She is the one who suggest he call Moushumi. Gogol proceeding with the call and arranging to meet Moushumi marks the start to his movement and reconnection to his Indian culture. The second way Gogol begins his journey of moving back towards the Indian side, is through his exploration and acceptance of what his pet name meant to his father. In the final chapter of the novel we see adult Gogol returning to his family home in which he goes into his old bedroom, discovering the book by author Nikolai Gogol that his father had given to him years ago. He opens the book to find what his father had written in it â€Å"For Gogol Ganguli†¦ the man who gave you his name, from the man who gave you your name†(Lahiri 288). It is only out of respect for his father that he takes the time to explore what the name meant to him. Had Gogol’s father not have passed away, he may have again snubbed the book and its significance to his father as he did when he first gifted it to him. This may be Lahiri’s way of conveying to readers that although it is too little to late in the aspect of reestablishing a relationship with his father, it is not yet too late to reconnect with his Bengali heritage. The moment Gogol begins to read â€Å"The Overcoat† marks just the beginning of his exploration and acceptance of his Bengali heritage and finding its role in the grand scheme of his double-sided identity spectrum. In conclusion we see different degrees of Indian and American culture present within Gogol representing his continuous changing position across his hybrid culture identity or â€Å"third space†. In the early stages of his life we see his divergence from â€Å"Indian-ness† through his parents failure to name him according to Bengali tradition, his own rejection of important  Bengali ceremonial traditions and the rejection of his pet name. Finally in adulthood he begins his journey in the other direction, his journey at exploring at reconnecting with this Indian roots marking the start of his movement back towards â€Å"Indian-ness.† This movement is achieved through his developing relationship with Moushumi, another Bengali-American character, as well as his acceptance to explore the meaning of his name given to him by his father. Works Cited Al-joulan, Nayef. â€Å"Diana Abu-Jaber’s Arabian Jazz: An Orphic Vision of Hybrid Cultural Identity.† Neophilologus 94.4 (2010): 637-52. ProQuest Research Library. Web. 11 Dec. 2012. Heinze, Ruediger. â€Å"A Diasporic Overcoat? Naming and Affection in Jhumpa Lahiri’s the Namesake.† Journal of Postcolonial Writing 43.2 (2007): 191-202. MLA International Bibliography. Web. 11 Dec. 2012. Caesar, Judith. â€Å"Gogol’s Namesake: Identity and Relationships in Jhumpa Lahiri’s the Namesake.† Atenea 27.1 (2007): 103-19. MLA International Bibliography. Web. 11 Dec. 2012.

Friday, November 8, 2019

The Odyssey essays

The Odyssey essays 1) The setting of the story was in Greece and the year was about 1000 b.c or around that time. I am not exactly sure but I no its along time ago since they have simple technologies. 2) The main character in this story is Odysseus. His son and wife are also important characters as well. And the lead guy who wants to marry Odysseus wife. He was always telling the other guys what to do and he was the one he kept on winning all the battles and contest they held in the courtyard of Odysseus house. 3) The minor characters in the story were all the men who wanted to marry the wife of Odysseys and all of Odysseys warriors. Poseidon, the god of the ocean, was also kind of a minor. 4) Odysseus had a whole mess of problems going on in the story. But his main one was getting back home to his wife. He had got Poseidon, the god of the sea, angry with him and couldnt return home. He had to go through many encounters with other gods and goddesss just to make it to the next island. And before he knew it his ship and all his men were destroyed. Eventually he drifted to an island that had heard about him and gave him a ship and men to get him home safely to his wife in Ithaca. His solution is coming back home to his wife and son. But he had to kill all the men who wanted to kill him if he were ever to return. All the men who wanted to marry Odysseus wife were planning on killing his son and Odysseus. So Odysseus and his son killed all the men and they lived happily ever after. 5) The thing I liked most about the movie is all the adventures that Odysseus got into. He was always killing something or meeting attractive women. Odysseus is my kind of cool guy. And plus he killed like 40 people just for trying to get with his woman. Thats just to cool. And plus how he did it to. He barely even moved and they were running around throwing stuff at him. And how he used that disguise to get passed all of ...

Wednesday, November 6, 2019

When Do PSAT Scores Come Out The PSAT Results Release Schedule

When Do PSAT Scores Come Out The PSAT Results Release Schedule SAT / ACT Prep Online Guides and Tips The wait for PSAT results can be nerve-wracking. It's likely your first time taking an SAT-like test, and the PSAT can give you a sense of what range your final SAT score is likely to be. Plus, if you score high enough, there's a lot of potential scholarship money available. So when is the wait over? When are PSAT scores released? In this guide, we explain when you'll get your PSAT results, walk you through the complete PSAT timeline, and offer some suggestions on what to do once you have your scores. Exclusive Free Bonus: Download a free guide containing our top 5 strategies for improving your SAT score by 160 points. After you get your PSAT score back, you'll want to know how to improve it. When Do PSAT Scores Come Out? First off, how long does it take to get PSAT results? You'll usually get your PSAT scores in December, six to eight weeks after taking the exam. Scores for the 2018 PSAT were released online December 10-12, 2018. The exact date on which students received their scores varied depending on where they took the test. The College Board doesn't have the 2019 PSAT score release date finalized yet, but based on past years, we expect 2019 PSAT scores to be available online beginning around December 9, 2019. However, note that your guidance counselor and school will be able to see your scores one week earlier- around December 2. Those who took the PSAT outside the US will get their scores a little later than those in the US will and can expect to see them around December 10, 2019. PSAT Results Timeline Now, let's go into more detail: how long does it take to get PSAT scores? Here's a complete look at the PSAT timeline for 2019-20 so you can see exactly when you'll take the test and when you'll get your scores back. Bonus: Do you know what score you need on the PSAT? Check out our guide on what's a good PSAT score to help you set a goal! Step 1: Take the PSAT in October The PSAT is generally administered in mid-October, though there are a few possible dates. The 2019 PSAT test dates are as follows: Primary Date: Wednesday, October 16, 2019 Alternate Date: Wednesday, October 30, 2019 Saturday Date: October 19, 2019 The exact logistics of taking the PSAT depend on your school. Some schools make each 11th grade student take the test, some offer PSAT sign-up, and others don't administer the PSAT at all (meaning you'll have to arrange to take the test somewhere else). To make sure you're not stuck without a PSAT score, ask your school by September 1 how they plan to prepare for and administer the test. If you don't like your school's method, you'll have plenty of time to consider other options and make plans accordingly. Step 2: Get Your PSAT Scores Online in December PSAT scores will come out in mid-December 2019 (the exact date you get yours depends on what state you took the test in). Once PSAT scores are released, you can access them online by signing into your College Board account: If you haven't made a College Board account, you can do so here. Once you've logged in, click "PSAT/NMSQT, PSAT 10, and PSAT 8/9 Scores" to get to your PSAT scores. You’ll then be taken to a page that has your PSAT results. For more details on how to get your PSAT scores, including what to do if you can’t see your PSAT scores online, read our complete guide to the PSAT score report. Step 3: Schools Distribute PSAT Paper Reports In addition to the online reports, the College Board is still sticking to its tradition of giving paper PSAT score reports to schools and then having schools distribute those to students. Assuming the College Board sticks to its schedule from last year, you can expect to get your paper score report sometime in January 2020, but the exact date hasn't been released yet. PSAT Results: What Now? Here are some options for what you can do once you get your PSAT scores back. Option 1: Plan for the National Merit Scholarship If you scored high enough on the PSAT (and are a junior), you might qualify as a Semifinalist for the National Merit scholarship competition. Each year this program awards Semifinalist status to the top 1% of PSAT scorers, or about 16,000 students. Becoming a Semifinalist for this program is contingent only on your PSAT scores. The exact score needed to qualify varies depending on the state, so if your aim is to win a scholarship, it's a good idea to get a feel for what score you'll need before you take the PSAT. If you become a Semifinalist, note that becoming a Finalist requires a little more effort, including keeping up your GPA. Lay the groundwork for becoming a National Merit Finalist senior year by doing some research into what’s required. Option 2: Retake the PSAT as a Junior (If You Took It Early) If you're an early bird who took the PSAT as a freshman or sophomore, it's a smart idea to retake the PSAT your junior year, especially if you're hoping to qualify for National Merit and want to eventually get a super high SAT (or ACT) score. What's great about taking the PSAT as a freshman or sophomore is that it exposes you early on to the types of questions you'll see on the SAT. What's more, it lets you get a feel for where your weaknesses lie and what skills you need to hone in your prep, ultimately raising your chances of becoming a National Merit Semifinalist and hitting your SAT/ACT goal score on a first or second attempt. Option 3: Prep for the SAT (or ACT) The main purpose of the PSAT is to prepare students to take the SAT, either later on in their junior years or in the fall of their senior years before they apply to colleges. In fact, your PSAT score is intended to be a good estimate of how you’ll do on the actual SAT. This means that if you get 1200 on the PSAT and take the SAT without any prep, you’ll likely get around the same score. What's more, since the structure of the SAT is so similar to that of the ACT, you can use the PSAT to prepare for the ACT as well. (Note, though, that there are a handful of differences between the two tests, the biggest of which is the inclusion of a Science section on the ACT. In addition, it's probably a better idea to take the PreACT instead of the PSAT if you plan to take the ACT.) Don't despair if you get a low PSAT score. Instead, analyze what went wrong and then use that information to improve your knowledge and skills so that you can do better on the SAT or ACT. The process of analyzing your errors will be helpful even if you scored extremely well on the PSAT, since the content on the PSAT and SAT aren't exactly the same. PSAT scores only go up to 1520 instead of 1600 as they do on the SAT. The reason for this is that the SAT has higher-level reading passages, tests trickier grammatical rules, and includes more trigonometry and harder math. So even if you get a perfect score on the PSAT, you're not guaranteed a perfect SAT score! Your PSAT results will include information about whether you’re meeting the benchmarks for Reading, Writing, and Math, as well as a more detailed look at which subskills you excel at and which ones you need to improve. Rather than beating yourself up over what you did wrong, try to focus on figuring out why you did poorly on a given section. Was it because you’d never taken a standardized test before and got nervous? Maybe you felt rushed for time on certain parts, or just flat out didn’t know some of the material covered. Whatever the reasons for your issues, make sure to start your SAT or ACT prep by addressing your weaknesses revealed by the PSAT. For more advice on what to do with your PSAT scores, read this article! What's Next? Want to see how your score stacks up against other students’ scores? Find out with our coverage of the most recent PSAT percentiles and Score Selection Index. Learn all about the National Merit scholarship competition with our in-depth articles on how to become a Semifinalist and how to win the scholarship. Already taken the PSAT as a junior? Start to plan out when you’ll take the SAT with our up-to-date list of test dates. Alternatively, if you took the PSAT as a freshman or sophomore, find out when the next PSAT will be offered. Finally, when you get your scores back, you'll probably want to know how to improve your score for the big test: the SAT. We've researched hundreds of student stories and academic studies and found the 5 principles you need to follow to improve your score. Click the link below and enter your email address to get the best SAT prep advice you can get anywhere. Follow these 5 strategies to improve your SAT score by 160 points or more.

Monday, November 4, 2019

How will the College of Business fit into your future professional Essay

How will the College of Business fit into your future professional goals - Essay Example I have also studied at Cambridge for a short period of time. I have been an active member in the extra-curricular activities in my schools. My management and planning skills earned me the post of ‘Student’s Council’ in Shanghai Community International School. I have been a prominent player of basketball and volleyball teams in my schools. These participations and activities enhanced my team work spirit. My personal background has allowed me to be exposed to the world of business since childhood. Although there are many fascinating aspects of business that one can hope to pursue, I look forward to working on an international scale. The global economy is an ever-changing variable that seems random due to the many factors that are involved in it. Due to its variability, it seems very challenging and exciting. I want to get professional education in this field so I can pursue my aim in life which is to become an international businessman. My global exposure gives me the advantage of being equipped with the required knowledge about different cultures and regions. This knowledge will help me cater to the demands of customers all over the world. I want to be equipped with the knowledge that is needed to run a good business and hence provide customers with high quality products. Business studies not only gives one knowledge about the tactics of running businesses, it also gives exposure to the market trends and analysis that is vital for the progress of any business. I find business studies very exhilarating since one has to develop plans and launch products, campaigns. This requires great deal of creativity and management skills. I have always been interested in challenging things where the person with the most knowledge and tactics surpasses the rest. Business studies will give me the foundation which is needed to understand the development of a business and thus

Saturday, November 2, 2019

New Public Management Essay Example | Topics and Well Written Essays - 5250 words

New Public Management - Essay Example This review will then investigate the observed impact of NPM on the health sector and the effects of adopting market-oriented concepts, as reported in a study conducted by the World Bank (p.13) Moreover, NPM will be a viable reference because it has been documented to influence the financial policies of many governments. Policy issues directly affect public institutions like hospitals because reduced funding restrictions - a reality in many countries and one of the benefits of the NPM approach - will ultimately have an effect at the operational level. That is, hospitals may be compelled to improve procedures and practices, especially in terms of resource allocation, but they must also strive to improve the level of customer satisfaction. The market orientation of the NPM model will be particularly helpful in this area. Thus, with NPM theories as basis, this review will proceed to investigate process level concepts that are also oriented towards efficiency (p.15), which include action research, clinical pathways, service redesign, and operations management. The final section (p.18) looks at several initiatives that aimed to improve operations and practices in hospitals and especially, in operating theatres. The sources cited in this review are summarized in Table 1. DisTable 1. Summary of Reviewed Literature Author/s Date Title Subject/Topic Baird 2004 The Global Influence of New Public Management: Case Studies from Africa Explains the use of NPM in several African countries, with special focus on the importance of capacity building, especially in developing countries where governance issues remain a major challenge. Barry-Walker 2000 The Impact of Systems Redesign on Staff, Patient, and Financial Outcomes Discusses the findings of a study introducing "inpatient bed consolidation" and "patient population reaagregation" in a U.S. hospital and how such change initiatives affect staff, patients, and financial performance. Borins 2000 New Public Management, North American Style Lists the characteristics of NPM and how it has influenced the governments of the U.S. and other developed countries in attempts to reform the public sector. Costello 2003 Action Research Provides a useful general reference for managers wanting to undertake action resarch, from planning to reporting. European Communities n.d. Increasing Institutional and Administrative Capacity Establishes the importance of institutional and administrative capacity in socio-economic development programmes, debating the impacts of NPM especially in developed countries. Khaleghian and Das Gupta 2004 Public Management and the Essential Public Health Functions Discusses attempts to improve the public sector and their impacts on providing health services, including adoption of NPM concepts. Mahaffey 2004 Optimizing Patient Flow in the Enterprise Explains how use of technology can enhance hospital operations and