Saturday, August 31, 2019

Healthy Grief

Grief is an emotional suffering that someone is feeling when someone or something is taking away. (Wikipedia) Elizabeth Kubler-Ross introduced the five stages of grief based on patients facing terminal illness. These steps are typical, but everyone doesn’t go through each stage. You don’t go through the stages in order and they should know that it is normal. The mindset of the individual will depend on the severity of grief they may go through. Grief can last from days to years and the person isn’t aware of this. They may restart their grieving process on holidays, birthdays, and anniversaries or when a special day arrives.Some people take’s the loss as a remembrance, but others take it as sorrow because their loved ones are gone which I think makes a person to go through the grieving process again. Coping with loss has been called† a spiritual process that includes locating our loved ones in time, place and transporting our recreated experiences to the here and now† (Angell Dennis & Dumain, 1998) Kubler- Ross grief process in the book of Job when God let Satan afflict Job to prove Job’s loyal to him. God presented Job as a virtue. Kubler-Ross stages are Denial, Anger, Bargaining, Depression and Acceptance.Job’s family, cattle and property was taken away from him. When Job didn’t succumb to these tragedies â€Å"The HEALTHY GRIEF Lord gave and the Lord has taken away†. God let Satan afflict Job again, this time Satan afflicted Job’s health. He started to have sores on his entire body that was very painful. With this tragedy Job started to go through the Kubler-Ross grieving process. Job prays and stated he doesn’t know why this is happening to him and why is god persecuting him. Job friends blamed him for the suffering because he had sinned and god. Job started questioning and challenging god.Job became depressed because his condition was deteriorating. Job wanted someone to talk for him to relieve him of his suffering. Job’s grieving went back and forth with God. When God confronts God and cross examines him, Job realized that he had misconceptions regarding God’s ability. Job does believe in God and had to go through the suffering to understand how great God is. God restored all that he had taken from Job plus some. God gave him double for the trouble. Grief of the Chinese religion is different because they don’t talk about their grief to anyone because it is considered to be unhealthy.Touching the loved one’s body is a sign of goodwill. The eldest grandson has to deliver the message to the other family members of the passing loved one in person out of respect. They are not allowed to speak about the death or the funeral. The Eldest son is the only one that is able to mourn and this has to be done for 72 days and not allowed to wear red or get married for 6 months. The eldest son has to take responsibility of caring for the fami ly and has to mourn by crying out and solemn in front of people, which is expected of him.The son has to live close to the grave site for 3 years. In the Chinese culture if a person dies by suicide the family will not touch the body because it is considered bad luck. They burn paper as a sign of providing material goods for that person. They place the deceased name on the paper so that person will receive the items. The Chinese feels eternity is passed through the sons in their family. Joy and grief goes hand in hand when it pertains to a person’s loss. When people grieve, they go through the grief stages, but when they remember the good times about that person there is joy.Through my research Nancy Bern a sociology professor spoke with a gentleman named Tim and explained that grief is like if you had your heart ripped out, it will hurt and hurt a lot and it will scab over and the pain will feel less. But if you knock off the scab it will hurt as it did the first time. It wil l hurt on those special moments or milestones HEALTHY GRIEF , but we still love them even as we bring new milestones in our life. Gratefulness and joy can be found in grief. My research hasn’t changed my views on grief.I still feel that it is the mindset of the individual and the relationship that person had with their loved ones. When we (Baptist/Christians) we celebrate the person that has passed as a â€Å"homegoing†. We sing, dance, eat and reminisce the life of that person. We are not afraid to talk about that person. As I discussed previously, When my brother (39) passed in 2005 it was difficult at first, when we had his homegoing it accepted it because my brother was very ill at that time. I don’t know how I would feel if a loved one passes unexpectedly, but my family and I would celebrate it the same way.A popular song of the African American that is sung at most homegoings is Boys to Men â€Å"It so hard to say good bye to yesterday†, But it is s uch a fitting song for the occasion. My other brother (his twin) sang this song at his homegoing. It was hard to say goodbye because we were very close. There were 5 of us, 3 girls and 2 boys but my twin brothers and me and my twin sister were the closest. To this day we still talk and remember our brother Bookie (nickname) like he never passed and still with us. I don’t feel like it is grieving, it is remembering a good soul and an awesome, awesome brother. Healthy Grief Grief is an emotional suffering that someone is feeling when someone or something is taking away. (Wikipedia) Elizabeth Kubler-Ross introduced the five stages of grief based on patients facing terminal illness. These steps are typical, but everyone doesn’t go through each stage. You don’t go through the stages in order and they should know that it is normal. The mindset of the individual will depend on the severity of grief they may go through. Grief can last from days to years and the person isn’t aware of this. They may restart their grieving process on holidays, birthdays, and anniversaries or when a special day arrives.Some people take’s the loss as a remembrance, but others take it as sorrow because their loved ones are gone which I think makes a person to go through the grieving process again. Coping with loss has been called† a spiritual process that includes locating our loved ones in time, place and transporting our recreated experiences to the here and now† (Angell Dennis & Dumain, 1998) Kubler- Ross grief process in the book of Job when God let Satan afflict Job to prove Job’s loyal to him. God presented Job as a virtue. Kubler-Ross stages are Denial, Anger, Bargaining, Depression and Acceptance.Job’s family, cattle and property was taken away from him. When Job didn’t succumb to these tragedies â€Å"The HEALTHY GRIEF Lord gave and the Lord has taken away†. God let Satan afflict Job again, this time Satan afflicted Job’s health. He started to have sores on his entire body that was very painful. With this tragedy Job started to go through the Kubler-Ross grieving process. Job prays and stated he doesn’t know why this is happening to him and why is god persecuting him. Job friends blamed him for the suffering because he had sinned and god. Job started questioning and challenging god.Job became depressed because his condition was deteriorating. Job wanted someone to talk for him to relieve him of his suffering. Job’s grieving went back and forth with God. When God confronts God and cross examines him, Job realized that he had misconceptions regarding God’s ability. Job does believe in God and had to go through the suffering to understand how great God is. God restored all that he had taken from Job plus some. God gave him double for the trouble. Grief of the Chinese religion is different because they don’t talk about their grief to anyone because it is considered to be unhealthy.Touching the loved one’s body is a sign of goodwill. The eldest grandson has to deliver the message to the other family members of the passing loved one in person out of respect. They are not allowed to speak about the death or the funeral. The Eldest son is the only one that is able to mourn and this has to be done for 72 days and not allowed to wear red or get married for 6 months. The eldest son has to take responsibility of caring for the fami ly and has to mourn by crying out and solemn in front of people, which is expected of him.The son has to live close to the grave site for 3 years. In the Chinese culture if a person dies by suicide the family will not touch the body because it is considered bad luck. They burn paper as a sign of providing material goods for that person. They place the deceased name on the paper so that person will receive the items. The Chinese feels eternity is passed through the sons in their family. Joy and grief goes hand in hand when it pertains to a person’s loss. When people grieve, they go through the grief stages, but when they remember the good times about that person there is joy.Through my research Nancy Bern a sociology professor spoke with a gentleman named Tim and explained that grief is like if you had your heart ripped out, it will hurt and hurt a lot and it will scab over and the pain will feel less. But if you knock off the scab it will hurt as it did the first time. It wil l hurt on those special moments or milestones HEALTHY GRIEF , but we still love them even as we bring new milestones in our life. Gratefulness and joy can be found in grief. My research hasn’t changed my views on grief.I still feel that it is the mindset of the individual and the relationship that person had with their loved ones. When we (Baptist/Christians) we celebrate the person that has passed as a â€Å"homegoing†. We sing, dance, eat and reminisce the life of that person. We are not afraid to talk about that person. As I discussed previously, When my brother (39) passed in 2005 it was difficult at first, when we had his homegoing it accepted it because my brother was very ill at that time. I don’t know how I would feel if a loved one passes unexpectedly, but my family and I would celebrate it the same way.A popular song of the African American that is sung at most homegoings is Boys to Men â€Å"It so hard to say good bye to yesterday†, But it is s uch a fitting song for the occasion. My other brother (his twin) sang this song at his homegoing. It was hard to say goodbye because we were very close. There were 5 of us, 3 girls and 2 boys but my twin brothers and me and my twin sister were the closest. To this day we still talk and remember our brother Bookie (nickname) like he never passed and still with us. I don’t feel like it is grieving, it is remembering a good soul and an awesome, awesome brother.

Friday, August 30, 2019

Celiac Disease

Celiac Disease Celiac disease is a disease found in the small bowel. This disease does not have a cure. It can only be treated with a strict diet. There are four types of celiac, and all but one can be treated. The disease is a genetically inherited associated with the HL4 locus found on the arm of the chromosome six (schaffner,small-bowel and bacterial overgrowth 2006 pg. 99). This disease can cause a lot of problems with a patient if not treated properly. The proper treatment for most individuals is to go on a gluten free diet. A gluten free diet avoids wheat, rye, barley, and sometimes oats.Some symptoms are excessive diarrhea, smelly stools, cramps, and weight loss. The most accurate way to diagnose celiac disease is to do an upper endoscopy on the patient. An endoscopy is a procedure with a tube called a scope and a small camera on the end. The scope goes down the patient’s throat to look at their upper gastric region. A biopsy of jejunal mucosa would be done in the small intestine to send to pathology and determine if the patient has celiac disease. When a patient is on a gluten free diet and their body has not responded to it within two years they call this non-responders.Only five percent of individuals are non-responders. There is also called a refractory sprue this is when someone does not respond to the gluten free diet or has responded and over some time has slipped back and stopped working so the patient has the same symptoms as they did before. There are two types of refractory sprue. Type one is a normal population of intraepithelial lymphocytes. Type two is an premalignant population of intraepithelial lymphocytes based upon clonality analysis of t-cell receptors and immunophenotyping. Type one can never lead to type two, a patient either has one or the other.Type one also has a higher survival rate of a five year study. This disease is a slowly growing disease. Now we find in some areas in the populations that it can be higher than one i n two hundred and fifty people. Celiac disease is a digestive condition triggered by consumption of the protein gluten. Many individuals will experience an immune reaction to the gluten that is digested. These proteins are mainly found in bread, pasta, and many different foods that contain wheat, barley and rye. Some foods that contain gluten that are over looked are brown rice syrup, energy bars, mitation seafood, processed luncheon meats and many more. When we experience a patient that doesn’t obey the gluten free diet they could do cause damage to the inner surface of the small intestine and not have the ability to absorb certain proteins that the body needs. There are four types of celiac disease. Type one has an increase in T- cell receptor intraepithelial lymphocytes. The symptoms of this type are malnutrition and weight loss with no symptoms of gastrointestinal symptoms. Type two has enlarged crypts along with the intraepithelial lymphocytes.Type one and two are the on ly types that can be treated. Type three is present in all symptomatic patients, but many patients with this lesion are asymptomatic. Type four is irreversible and is found in patients who do not respond to gluten withdrawal and in patients with lymphoma (schaffner,small-bowel and bacterial overgrowth 2006 pg. 100). The one way to diagnose a patient with celiac is to do an upper endoscopy and take a biopsy. To get the most accurate diagnosis is to biopsy the jejunal mucosa in the small intestine. They can also do serologic testing. It tests the IgA antigliadin antibody levels.They mostly use this test to see if the gluten free diet is working. Patients with celiac disease have a higher chance of lymphoproliferative disease and gastrointestinal then the average person. Studies have proven that a person with celiac is more likely to develop other autoimmune disorders like type one diabetes mellitus, and connective tissue disease. Mothers that have not been diagnosed with the disease c ould have low birth weight newborns and preterm birth compared to the mothers that have already been diagnosed with the disease. The treatment for celiac disease is gluten free diet.Gluten is a protein in a variety of foods. Oats have no gluten, but often cause problems for patients. They should limit the amount of oats they consume a day about fifty to sixty grams. The number one rule in this diet is to avoid wheat, rye, and barley completely. Always make sure the label is read on items carefully, they find ways to put gluten in different places. The safe things to eat are fresh vegetables, fruits, meats, fish, and eggs. Almost all foods in grocery stores have foods that have been mixed with gluten containing grains, additives, and preservatives.This makes it hard to find things in grocery stores. Now that this disease has become more noticeable in the communities, patients can find gluten free items in selected grocery stores. With our economy today some patients are unfortunate a nd cannot afford this gluten free food. For example a loaf of bread with gluten cost no more than three dollars, for a gluten free loaf of bread it cost six. This is doubling the prices on food. So I am sure there are organizations out there that will help someone provide food for themselves or for their children.Everyone has to watch out for cross contamination if our bread was cooked in the same baking pan as the gluten free bread was the patient with celiac disease would probably have a reaction to this. This is a very hard diet and it takes a lot of getting use too. If the patient looks at this diet in a positive way it will come easier to them. Approximately seventy percent of patients have noticeable clinical improvement within two weeks (Ciclitira, MD, PhD, FRCPJ; Lamont, MD; Grover, MD MPH; Up to date, 2012 www. uptodate. com).Once a patient reaches remission stage in the diet, some patients are able to consume little amounts of gluten and tolerate it and some have to stay o n the diet from then on. A patient should be evaluated four to six weeks after starting the gluten free diet to have a complete blood count, folate, B12, iron studies, liver chemistries, and serologic testing to see how they are doing and making sure nothing else is wrong. A gluten free diet is the only treatment for celiac disease. So when a patient is a non-responder to the gluten free diet they could be in some danger.This is a rare thing that happens only in five percent are non-responders. Patients who do not respond fall in five categories. * Patients with poor compliance or inadvertent gluten ingestion * Patients with clinical or histologic features that overlap with celiac disease but are caused by other disorders * Patients with concurrent disorders * Patients with refractory sprue * Patients with ulcerative jejunitis or intestinal lymphoma The most common reason for non-responders is poor compliance or inadvertent gluten ingestion. These patients need to go to a specificit y trained dietitian.Patients with concurrent disorders should be considered in patient who despite apparent compliance, continue to have symptoms or do not have histologic improvements. Refractory sprue has two types. Type one is when there is a normal population of intraepithelial lymphocytes. Type two is when there is an aberrant or premalignant population of intraepithelial lymphocytes base upon conality analysis of t-cell receptors. Patients with type one have less severe presentation and a more better prognosis than patients with type two disease. Ciclitira, MD, PhD, FRCPJ; Lamont, MD; Grover, MD MPH; Up to date, 2012 www. uptodate. com ) On a five year study survival was higher in the type one group. In type two most deaths were due to the development of t-cell lymphoma. No patients with type one developed type two, so it doesn’t progress into one another. Refractory sprue can be severe and associate with progressive malabsorption and death (Ciclitira, MD, PhD, FRCPJ; L amont, MD; Grover, MD MPH; Up to date, 2012 www. uptodate. com). The cause of this is unknown.Ulcerative jejunitis and lymphoma should be considered in patients with refractory sprue unresponsive to glucocorticoids (Ciclitira, MD, PhD, FRCPJ; Lamont, MD; Grover, MD MPH; Up to date, 2012 www. uptodate. com). Patient with ulcerative jejunitis have multiple chronic benign appearing ulcers, most frequently in the jejunum. Patients could have recurrent symptoms of malabsorption, lassitude, anorexia, abdominal pain, diarrhea, fever despite being on a gluten free diet this disease is found in middle aged patients with underlying celiac disease. Celiac disease is a digestive condition triggered by consumption of the protein gluten.There is not a cure for this disease but there is a treatment. A gluten free diet is the treatment for this disease. It is a hard and intense diet to stick to. There are many complications that happen to the body when on a gluten free diet. The body doesn’t get enough vitamins and minerals. Gluten is any wheat, rye or barley. Ninety percent of the food that is eaten today has gluten in it at some degree. Very rare does a person not respond to a gluten free diet, they call this non-responders. The disease is a genetically inherited disease associated with the HL4 locus found on the arm of the chromosome six. schaffner,small-bowel and bacterial overgrowth 2006 pg. 99). We should have all of our family checked for this disease if someone in the family has had it. This is a disease this country is starting to see more and more. References Ciclitira, MD, PhD, FRCPJ; Lamont, MD; Grover, MD MPH; Up to date, 2012 www. uptodate. com Greenberger; Blumberg; Burakoff; current diagnosis & treatment;2009; McGraw Hill companies Hauser, MD; pardi, MD; Poterucha MD; mayo clinic gastroenterology and hepatology board review, second edition;2006

Thursday, August 29, 2019

Limitations on Freedom during the Cold War Essay

Limitations on Freedom during the Cold War - Essay Example It also explores the reactions of Americans in each era. The main similarities between the Cold War and the Red Scare are that they were both based on â€Å"fears† against the â€Å"leftist† other and they also led to reckless accusations and curtailment of freedoms of association and speech. The fear of communism both stimulated the Cold War and the Red Scare. It was during the Red Scare that the federal government exercised its full power against the labor and political left-wing parties. During the Red Scare, a national anti-radical hysteria ensued, because there were fears for a Bolshevik revolution in America. This Bolshevik revolution threatened to reshape the American way of life and basic social institutions, such as home and family. From 1916 to 917, the Industrial Workers conducted several strikes, which the media portrayed as leftist and anti-democratic. The government systematically arrested and detained people who were suspected as spies and among those aff ected were labor organizations, anti-war activists, members of different communist organizations, journalists and writers, African American activists, and other groups that fought for just wages, better benefits, and child labor laws. On January 2, 1920 alone, 10,000 people were arrested without warrants. The Congress, however, could not tolerate such wide-scale abuses of constitutional rights and by 1922, the Red Scare ended.

Wednesday, August 28, 2019

How to Make a C-Clamp Essay Example | Topics and Well Written Essays - 1750 words

How to Make a C-Clamp - Essay Example This improved and more efficient device is there since it is able to handle the operations required efficiently. Progress To date, we have identified the points of the c clamp that need improvement to ensure that the device is more effective and meets the needs put upon it with minimal change on the structure of the tool at an affordable rate. Some technical upheavals encountered in the restructuring of the parts as the bore made on the head and the efficient threading which are cumbersome to effect. However, the improvement made the device meet the required standards of the quality products. Additional Work There are two sets of tasks for completion in the coming weeks to ensure the perfection of the device quality. We will ensure that the product is a creation of a model tool that meets the need of the current competitive market and the demanding job descriptions. Expected Results Out of the project, we expect a result of an effective product. The assembly of the device will ensure a better screw head and a more efficient clamping plate. A C- clamp is a clamping device that is used for the holding of materials either wood or metal and in some instances the holding or clamping of materials of plastics or glasswares. It has a shape like the letter C, however, or a G clamp; because when the screw is added, it looks similar to the uppercase letter G. The clamp is made of

Tuesday, August 27, 2019

Values, Beliefs, Norms, and Behavior in the Context of Human Culture Essay

Values, Beliefs, Norms, and Behavior in the Context of Human Culture - Essay Example Culture consists of the foods that we cook and eat, our living arrangements, communication with society, and our behavior. The author makes this point very well. He suggests that human nature and culture are different things but there is a lot of interplay between them. But culture itself can be broken down in smaller parts too. In order to get a full picture of a culture in a general sense, we should look at four important aspects: Values, beliefs, norms, and behavior. What are values? Everyone decides for themselves what they believe to be right and wrong, but they are often powerfully influenced by the people and traditions around them. Some people have been colonized by other dominant countries and therefore have a slight inferiority complex. Others belong to ethnic and linguistic minorities—facts which influence the way they see the world. Some countries have religions that encourage them to have large families. All this must be taken into account when entering another country with the intention to practice business there. Beliefs can be summed up as ideas that are held by a large number of people—perhaps not always based on empirical facts. They might be a religion held in common, for example, or an idea of history, which perhaps does not perfectly accord with the facts. These are often powerful motivating factors in a culture. Norms are very similar to values, but they are broader. Norms are what the society at large tends to believe are the correct values or morals to live by. In most societies, the idea that lying is wrong is considered a norm. Norms might change, but usually, they change very slowly. Especially in cultures that are religious and conservative.  

Monday, August 26, 2019

Cloning Essay Example | Topics and Well Written Essays - 1500 words

Cloning - Essay Example Natural cloning has been going on for billions of years. Natural cloning occurs when an organism reproduces asexually or when two genetically identical twins are produced by a splitting of a fertilized egg. For example, when one takes a stem from a yam plant and plant it in the ground, a new plant would grow as it takes root. The new plant can be considered a clone in the sense that it is identical to its parent. Similar cloning takes place in grass, potatoes and onions. This is a technique for propagating plants asexually. Humans have been using this vegetative technique in agriculture for thousands of years. The process has been helpful in environments where flowering and seedling establishment are infrequent. Another example of natural animal cloning is identical twins. Even though they are genetically different to their parents, they are naturally occurring clones of each other. Artificial cloning of animals is now normal in laboratories. The most famous example of animal cloning is Dolly the Sheep, born in the UK in 1997 using a technique called cell transferring. Â   It could be very useful and practical for us to be able to clone animals because they could provide extra food and could help find cures for diseases and further the research of medicines and vaccines. There are many reasons as to why cloning is important today, and in the years to come. First of all, food shortage is increasingly becoming a major global dilemma. This is due to the high demand on food as the global population increases dramatically (the population is thought to rise from 6.5 billion to 9 billion in the next 10 years) this indicates that food is going to be a very important aspect in preventing world hunger. Presently, almost 1 billion people eat less than three times every day and approximately 400,000 die daily due to starvation. There are other factors such as extinction of species that have to be taken into account as well, but

Sunday, August 25, 2019

Technologies For Students With Disabilities Assignment

Technologies For Students With Disabilities - Assignment Example Nowadays, such students can take great benefit from assistive technologies varying from high technology tools to simple and usable low tech gadgets. The main purpose of such tools and technologies are to assist students with disabilities to give up to their full potential, increasing their self-confidence and motivation to learn and prosper. Simple and easily usable tools for students will learning disabilities include:†¢ Tape Recorders: Students with any sort of memory disabilities can use a tape recorder to help themselves to memorize more quickly and efficiently.†¢ Calculators: Calculator makes complex calculations easy for students who are not goofing with math.High tech tools and latest technologies which could assist students will disabilities include:†¢ Software that can read aloud written text†¢ Speech recognition software that converts verbal text in written text†¢ Grammar correctors that can edit spellings and tenses for students who are weak in gra mmar and tenses. These tools and technologies, specially designed to help disabled students do not cost much and are easily available for a very reasonable price. Such technologies are important for these students because they reduce the dependency need of these students on someone. The skills of the students are polished, as they get the self-confidence that they can finish things on their own. Students are also motivated and they become more comfortable in adjusting to the class environment

Saturday, August 24, 2019

Denial or doubters of the environmental global warming Essay

Denial or doubters of the environmental global warming - Essay Example These experts include Frederick Seitz, Ph.D. Richard S. Lindzen, Ph.D., S. Fred Singer, Ph.D, Patrick J. Michaels, Ph.D.,Robert C. Balling, Jr. Ph. D.1 They have expressed doubts over climate change and challenged the consensus of mainstream scientists (Granados). This paper briefly explains the biggest theory of denial or doubters of the environmental global warming Lord Crimson (n. d) has cited the opinions of 19,000 scientists in order to argue against the established theories of global warming. These scientists have established that the current theories about the responsibility of the human in global warming are in question. They have signed a petition saying global warming is probably natural and not a crisis (Lord Crimson). United States is depending heavily (around 85%) on fossil fuels for its energy needs. Fossil fuels are exhausting day by day and it is difficult for United Sates to meet all its energy needs in future in the absence of fossil fuels. So, they want to reduce the usage of fossil fuels as much as possible by other countries and for that purpose they have attributed the global warming problem to the emissions from the fossil fuels. â€Å"Dr Sami Solanki, the director of the renowned Max Planck Institute for Solar System Research in Gottingen, Germany, ha conducted a research in order to find out the reasons behind global warming. He has concluded that the Sun has been at its strongest over the past 60 years and may now be affecting global temperatures† (The Global Warming Scam). In other worlds, instead of searching for the reasons of global warming on earth, we must look in to the sky to find out reasons. The solar radiations were intensified a lot for the last 1000years as per the studies conducted by Dr. Solanki. These rise in solar temperature causing the atmospheric temperature rise and melting of ice from the Polar Regions. Increased amount of flood, the sea level rise and the melting of huge ice blocks

Friday, August 23, 2019

Reason of study Personal Statement Example | Topics and Well Written Essays - 250 words

Reason of study - Personal Statement Example Tuition and salaries were paid in cash. While working in the human resources department, I had to do everything handwritten and my first priority was to shift toward more productive methods so that the company could grow. I created methods for computerizing the operations and helped update the company to where it was digitized and, therefore, more up-to-date. I was on a mission for finding effective solutions because at the rate the company was going, there was no growth and no incentive for teachers to stay employed there. I faced a lot of resistance from staff members but after a year, I finally was able to achieve credibility which allowed me to implement many other systems that became helpful. I am most interested in MCPHS because of personal reasons having a brother who was born being extremely weak. I was in high school and he seemed to be slipping away from us every day. After finally being diagnosed, he had numerous surgeries and the doctors were telling our family each different theories of treatment. The doctors did not collaborate on his diagnosis and my brother’s health continued to fail. I know he was not the only victim of poor management and communication. There was no steady system in my country for hospitals and health care. Though doctors were qualified, care lacked. My parents traveled to the United States for him to receive treatment and were told he needed constant care. Knowing how my brother suffered, I also volunteered throughout the last semester of my fourth year at the children’s cancer ward in Prince Sultan Center. When I graduated from college and started to work, that was when I started to further understand the problems in manageme nt departments that focus on policy and regulation. It was then that I decided to specialize in the field of Regulatory Affairs and Health Policy (RAHP ). It is exactly what I am looking for in order to help others find what they need for health care purposes.

Case Study Essay Example | Topics and Well Written Essays - 1000 words - 7

Case Study - Essay Example Basement and much of first floor occupying the administrative office, emergency room, operations, and cafeteria were flooded to about six feet. When we inspected the premises to put up a temporary office along with surgical suites and clinical laboratory on the second floor, which was not affected by flood water, we noticed heaps of trash and debris. The task I was assigned, to guide Incident Commander on the safe entry, cleanup procedure, appropriate PPE for all recovery works, and hazard assessment for the most critical items or operations that can cause acute or chronic health effects, illness or disease, was most challenging. We recognized that without organizational skills and knowledge of time tested processes we will achieve little with manpower, massive resources, and technical expertise. Only through a definite written plan, adequate training and basic safety knowledge of the workers engaged in cleaning, and a centralized control and coordination such a herculian activity could be materialized. To achieve the goal, following broad overview of the duties and recommendations has been chartered, according to priority, and submitted to the Incident Commander: â€Å"Industrial hygienists recognize that engineering, work practice, and administrative controls are the primary means of reducing employee exposure to occupational hazards. Engineering controls minimize employee exposure by either reducing or removing the hazard at the source or isolating the worker from the hazards.† (NOSH interim recommendations for the cleaning and remediation of flood-contaminated HVAC system: A guide for building owner and managers, 2004). Being a hospital, the main Industrial Hygiene concerns for our team and the clean-up recovery workers were exposure to skin and respiratory disorders. It is possible that during flooding the systems for heating, ventilation, and air conditioning (HVAC) could

Thursday, August 22, 2019

International Students Essay Example for Free

International Students Essay Attention getter- â€Å"Did you have a lion in your backyard when you were growing up?† â€Å"Did you have to hunt for your food?† Reveal Topic- These were the questions asked by my classmates when I first moved to the United States. Often times, international students are asked bizarre questions about their culture. Frequently, international students are asked what their names mean and although most may know, some don’t have the slightest idea. My name, Taiwo, means first of the twins to be born and the first to taste the world. From the audience survey I received back, only 2 out of 16 people that took the survey knew the meaning of their name. Most questions asked of international students can be humorous but some are very offensive. Credibility Statement- I moved to the United States when I was 12 years old, and my biggest problem was readjusting to the weather, which by the way I’m still not adjusted to. In Nigeria, my home country, there are only two seasons which are the wet and the dry season. Although I am not an international student, I can relate because I had to go through so many changes and at one point it was unbearable. Each year, Johnson County Community College is home to international students from more than one hundred countries with their own cultures, skills, and struggles. Preview of main points- Today, I am going to inform you about international students struggle with challenges like cultural and social adjustment. Connective- First, I would like to explain I. International student’s struggles with cultural adjustments. A. According to Gregory Trivonovitch, there are four transitional stages: a honeymoon, hostility, integration/acceptance, and finally, the home stage. 1. The honeymoon stage is described as the stage full of joy and excitement because most international students that are just arriving are captivated with everything new. They  a excited to start studying at a United States university. The second stage is hostility that â€Å"is characterized by frustration, anger, anxiety, judgementalism, fear, and sometimes depression† (Claremont). The third stage  is integration and acceptance, meaning when international students start to feel comfortable and relaxed in their new environment. At this stage they can join different clubs like the international club. The international club at Johnson County Community college â€Å"brings together students from America and around the globe for educational and social activities† (Johnson County Newspaper). The last stage is the home stage. This final stage is the â€Å"feel at home† stage that allows the students to absorb both their culture and the American culture. 2. Students go through these stages because they feel that they have lost but at the same time gained their identity. B. The anxiety and stress of being separated from their families, relatives, and their friends in their native countries can be overwhelming for them. 1. Leaving a culture and surroundings that one is very familiar with while transitioning to a new one can be difficult. 2. For instance, my friend john, an international student, said he asked one of his friend to â€Å"hook up†, meaning he wanted to hang out, but his friend taught he meant to â€Å"hook up† â€Å"hook up† as in sexually. John also mention how difficult it was for him to adjust to this new lifestyle and is still learning how to. Connective- Now that I have informed you about international students struggle with cultural adjustment and along with it explaining the four stages of cultural shock, II. I am going to explain international students’ struggles with social adjustment. A. International students usually stay in the United States for a short period of time or depending on how long they study for. They face sets of challenges such as interacting with others and making new friends. B. â€Å"International students may also experience a loss of social status and self-respect because their social standing in their home country may not be recognized in the U.S.† (Eunyoung). 1. Even though their suffering might be too much there are ways to manage. As mentioned earlier, the Johnson County Community College International club is a great way to network. a. The club â€Å"is an organization that works to increase international understanding and friendship† (JCCC brochure). b. This club as many goals in mind like â€Å"support for new students, social activities that increase awareness about American culture, fundraising activities to support scholarships for international students† and more (JCCC brochure). 2. Fear of belonging and coping with it. Conclusion- In closing we have learned the struggle international students face with challenges like cultural and social adjustment challenges. International students badly need to be given full initial and ongoing explanations of what is expected of them, how the system works, and where to get help. Being in a country you’re not familiar helps you learn. If you go to a foreign country you are not familiar with, these tips will be very useful in adjusting without any complications. Bibliography Stages of Cultural Adjustment. CGU Writing Center. Claremont Graduate University, n.d. Web. http://www.cgu.edu/pages/945.asp. Hurtado, David. Students Clubs Aim to Increase Involvement. The Campus Ledger 21 Sept. 2012: 6. Print. Johnson County Community College International Club. Johnson County: n.p., 2012. Print. Eunyoung, Kim. An Alternative Theoretical Model: Examining Psychosocial Identity Development of International Students in the United States. Rep. Project Innovation (Alabama), n.d. Web.

Wednesday, August 21, 2019

Key Economic Theories Of Price Fixing Economics Essay

Key Economic Theories Of Price Fixing Economics Essay 2A. Features of an oligopoly and key economic theories of price fixing : Introduction : This part of the coursework aims to identify the key features of oligopolistic competition in market and the economic theories related to price fixing. In monopoly one company controls the major market share while in oligopoly; market is controlled by more than one firm or a group of small firms. This analysis describes the features of oligopoly and kinked demand curve in oligopolistic situation. It also explains the pricing theories in context with game theory and Nash Equilibrium. Oligopoly : In oligopoly, large percentage of market is captured by leading firms, producing same product or services. Such firms agree to cooperate and act as single monopoly thus making a cartel to generate maximum profits. Key features of oligopoly are: Same product or service by the group of dominated firms. Branded product by each firm. Entry barriers. Interdependence among the firms. Non-price competition. Small firms may exist in oligopoly but the market is usually controlled by large players having more than half of the industry output. Each firm produces branded product, therefore creating high competition resulting in high marketing and advertising costs. Entry barriers such as government regulations, patents, setup cost and undivided resource ownership, restricts a new entrant to enter the oligopolistic market. Interdependence means that each firm must take into account the likely reactions of other firms in the market when making pricing and investment decisions (Begg Ward). Such an uncertainty in market can be resolved by the use of game theory which is applied by a firm taking account of the decisions made by the rival firm. Non-price competition among the oligopolistic firms, aim at increasing their market share significantly e.g. media advertising, promotional offers and discounts, use of technology, customer friendly services such as self scanning machines and customer loyalty benefits etc. Kinked demand curve theory According to Paul Sweezys assumptions, if an oligopolistic raises its price, the rivals are unlikely to follow the same suit because keeping the prices constant will increase their market share. Revenue of the firm that raised its price will fall by fairly large amount, making the demand curve relatively elastic. However if the firm reduces the prices, it is highly likely that the competitors will also reduce the prices. Source: Tutor2u Limited,2010 This non-collusive theory explains the stability once the price is set but fails to explain how the stable price is achieved. In oligopolistic situation; each company has an option either to start a price war with the rival or to cooperate. Game theory deals with the prediction of probable outcomes of the games of strategy in which rivals have incomplete information about others intensions e.g. Prisoners dilemma is a situation in which two suspects are interrogated in separate rooms, depicts an example of game theory. Each suspect has simple options either confesses and bears the consequences or denies and hopes the other has also done the same. To explain which strategy the firms will adopt can be explained by Nash equilibrium, in which each firm considers its rivals response before taking their own strategy.(Begg Ward,p.131) Equilibrium occurs when each player takes the best possible action for themselves given the action of the other player. Nash equilibrium is a situation in which none of the firms could improve pay-off, given the rivals strategies e.g. firm A would not be able to improve profits , given firm Bs strategy and vice versa. Each firm may indulge in high or low price strategies. If both firms collude to adopt high price strategy, both would yield above normal profits and if both adopt low price strategies, both would yield normal profits. Suppose in long run, each firm fails to trust the rival and indulge in low price strategy to increase its profits and the rival adheres to the high price than the rival may face heavy loss. Such a fear that the rival may adopt a damaging strategy exists within the firms and it is therefore in the interest of both the firms to adopt a low price strategy. Such a situation is called Maximin strategy where the player adopting the strategy yields maximum profits, assuming that the rival may inflict maximum damage. At times a group of oligopolists engage in an overt agreement to fix the prices and the level of production. Such an overt collusion, in order to act as a monopolist, is called collusive oligopoly and aims to earn maximum profits by restricting the production and increasing the prices. Price changes of one firm are sometimes matched by the other firm and the firm initiating the price change is called price leader; such collusion is called as tacit collusion. Rectangle abcd depicts the cartels profits. Cartels are likely to break in long run as the members are intended to cheat sometime or the other by increasing production. By producing more output than decided, the member can increase its share from cartels profit. If each member cheats than cartel ends up in earning monopoly profits and thereby leaving no reason for the firm to remain in the cartel. Conclusion Interdependence is the key feature of oligopolistic market. The outcome of any strategy by a firm is uncertain and the price competition may lead to price-war. Entry barriers help the dominant firms to maintain their control over the market. Formation of cartels may yield short term gains but are hazardous in long run. It is also observed that non-price competition may benefit oligopolists to increase market share and sustain in long term. 2B.Extent to which telecom sector in India is an oligopoly and price determination strategy Introduction Indian Telecommunication industry is the second largest and fastest telecom industry in the world with around 706.37 Million telephone (landline and mobile) subscribers and 670.60 Million mobile phone connections as of Aug2010.Dominance of few major players has made this sector perfect case of Oligopoly in India. Due to the presence of limited number of players, each player is aware of the rivals actions and therefore the decisions of one firm is affected by the action of the other firm. Service Provider wise Market Share as on 31-7-2010 Source: Telecom Regulatory Authority of India Concentration Ratio Players Market Share(%) Bharti (Airtel) 21.34 Reliance 17.37 Vodafone 17.08 Tata 11.47 Concentration Ratio 67.26 Table above shows that four firm concentration ratio is above 40% Barriers to entry in Telecom The high entry barriers in telecom sector as mentioned below turns the market oligopolistic in nature. High capital investment required by the new entrant for initial setup competition with well established operators Airtel, Vodafone, Reliance and Tata license fee on revenue sharing basis plus one time entry fee continuously emerging technology e.g. VOIP,3G lowest tariffs in the world acquiring spectrum high initial operating losses. Lower rates makes it longer for the new entrant to achieve equilibrium as most new subscribers churn from one network to another. Low Tariffs: Facet of Competition Indian telecommunications is the lowest cost market in the world. The cut throat competition among operators has left no scope of having single price leader in market as all the operators compete for lower prices and high customer base. Increased number of players has resulted in increased price wars among the competitors, with consumer being the beneficiary. Such factors declines the profit margins which are expected to consolidate the industry. Offset of price wars In mid nineties, at the start of cellular services in India, operators used to charge heavily for the incoming calls on their network. After the launch of BSNLs free incoming call facility, other operators followed the same suit. Still the major chunk of customer remained with BSNL due to its low call rates and better network coverage. With the launch of Reliance Communications as a new telecom giant, teledensity in India raised enormously to 8.2% in 2004 from that of 2.32% in 1999 and to 54.10% in April 2010 (as per TRAI).Introduction of low cost cellular services, along with handset, made Reliance the price leader in telecom industry attracting a huge chunk of customer base. Other leading service providers like Airtel, Vodafone and Hutch had to match their prices with that of Reliance. To monitor and regulate the irregularities in tariffs charged by telecom operators, Telecom Regulatory Authority of India was formed by the government of India. The Telecommunication Tariff Order 1999 started declining tariffs and influenced the rapid growth of cellular phone users. TRAI is also responsible to monitor and prevent the formation of cartels by cellular operators in the cover of associations such as COAI and AUSPI. Source: Telecom Regulatory Authority of India Source: Telecom Regulatory Authority of India Graphs show the percentage decline in national and international call rates. This occurred due to intense competition that generated after TRAI regulations. Steps taken by TRAI that affected tariffs: Interconnect Usage Charge payable by one operator to another for using their network Reduction in Access Deficit Charge also contributed in bringing down the call rates Calling Party Pays regime fixed low termination charges further reduced prices Unified Access Service License gave operators the privilege to determine tariffs Impact of price-war Price war among operators hits the revenue growth significantly. For the new entrants, the break-even point at which expenses equals revenue also increases. The decline in prices due to competition increases the consumer base to unsustainable levels. Previous data suggests that only 50% of the subscribers are new and the rest are either churning the network or keeping an additional connection. Graph shows increase in demand with decrease in price Table below shows market revenue growth in terms of MRPU. major players.jpg Marginal Revenues Per Minutes (MRPU) Graph below depicts the growth in usage actuated by reduction in tariffs. Apart from low call rates, reduced cost of handsets and free handset facility by service providers also contributed to the increase in customer base. Source: Telecom Regulatory Authority of India Non-Price Competition Recent launch of per second billing option by Tata, pushed its rivals to indulge in non-price competition. Most of the operators have now started offering similar per second billing to its customers and this has resulted in creating more pressure on margins. Value added services and customer friendly facilities like online payment, internet access and better network coverage constituted in non-price competition. Conclusion The above research and analysis of data implies that Indian telecom industry exist in oligopolistic situation where few major players are having large share of the market. Strategic change of one operator impacts the strategy of other players, resulting in interdependence among operators. High entry barriers restrict new entrants to enter the industry and regulatory authority like TRAI monitors the formation of cartel in the industry. Analysis also shows that competition in oligopolists is not only due to price-wars but other factors such as better services and low cost of handsets also influence a large customer base.

Tuesday, August 20, 2019

How Research Has Changed Nursing At The Bedside Nursing Essay

How Research Has Changed Nursing At The Bedside Nursing Essay Research is crucial in defining the best practices of the nursing profession. It provides a means of ascertaining efficient medical practices and further advancing the existing body of knowledge regarding nursing. This paper therefore seeks to find out how research has revolutionized conventional nursing. The emerging technological changes and adjustments in health care policies have greatly changed the health care environment. This have prompted the nursing profession to re-invent itself to enable it provide satisfactory health care to patients in this new scenario. As part of the changes, nurses contemporarily have a more defined and professional role to play in the health care field. The role of ordinary nurse practitioners has further been widened to prescribe drugs and treat common illnesses, a role previously left only to doctors. Apart from looking after patients under doctors supervision, clinical nurse specialists now make diagnosis on patients and prescribe medication for p atients. How Research has Changed Nursing at the Bedside Nursing research constitutes a systematic inquiry designed to develop, refine and broaden knowledge in the nursing field. The nursing profession is undergoing tremendous changes and experiencing new challenges. To counter these social and technological challenges, the profession must employ patient oriented practices based on reliable findings from research. Research is normally used to assess the impact of nursing care on health of patients and effectiveness of nursing procedures (Gibbs Lowton, 2012). Significance of Research in Nursing Research in this field includes all the aspects of health care that are vital to nursing. These range from disease to injury prevention, promotion of healthy lifestyles and patient support. The changing legal, technological, educational and professional environments are also important areas for research in nursing. All nurses should therefore be involved in the research process though their roles may vary depending on educational and professional qualifications. The knowledge gained though research is crucial in implementing evidence-based nursing practice (Gibbs Lowton, 2012). Research has always been used to guide the nursing practice and nurses efforts to improve patients wellbeing. Positive findings are then adopted into patient while increasing efforts to eliminate sources of patient discomfort. To fit these findings into the clinical setup, the procedure involved their critical analysis and evaluation. By incorporating research findings into clinical practice and evaluating the progress achieved, the gap between researches and actual nursing practice has been effectively reduced (Curie, 2007). Higgins et al., (2010) suggest that clinical research is vital in finding new treatments and improving patient care. Research in nursing has improved amongst others the early diagnosis of patients, providing proper prescription and developing effective processes of looking after patients. Consultant nurses are at the forefront of research since they interact with patients at more personal levels and thus better understand their needs. An example of recent research involved finding ways of reducing accidental falls by hospitalized elderly patients at North Shore University Hospital (North Shore University, 2012). The use of low beds in the acute care setting resulted in elimination of vest restraints and received positive feedback from staff members, ailing patients, and their families. However, consultant research nurses need a thorough understanding of the research process and an in-depth knowledge of the specialty under investigation. Teamwork is also crucial in research investigations to achieve the intended purpose. Each member of the research team has unique skills and expertise to hasten the process. Participants first-hand knowledge further gives researchers better insight into important issues to address that may otherwise be overlooked by clinical officers. Duties of a research nurse include preparing trial protocols and documents for the research. They must also submit study proposals to the relevant legal authorities and coordinate the research to its (Gibbs Lowton, 2012). Accordingly, nurses must play the key role of patient advocacy during research studies to ensure their safety and protection. The patients must further willingly consent to participate in such research. This requires that participating patients be given full information regarding any potential benefits and risks they may be exposed to. It is therefore, crucial for nurses to have excellent communication and other interpersonal skills. Research nurses further need organizational skills in information technology to effectively manage the research process in the new millennium. A solid foundation based on years of experience in nursing is vital to this role. A comprehensive understanding of the specialty of research area and extensive knowledge of the research process and research-related legislation are also crucial. Collaboration with other researchers and members of the multidisciplinary team is crucial for successful research (Gibbs Lowton, 2012). How Research has Revolutionized Nursing The conventional role of the bedside nurse has changed over time due to adoption of technology and changes in the educational curriculum of nurses. Although the traditional role of nurses still guides nurse practitioners, more efficient ways of caring for patients have also emerged. The rapid changes in the health care environment means that nurses cannot only rely on school acquired knowledge but must constantly modernize their practices. According to Young (2012) the changing burden of disease requires a shift from acute care in hospitals to supporting people with long term conditions in the community. This can be facilitated through research to develop more efficient mechanisms of caring for terminally ill patients. Consultant nurses are at the forefront of revolutionizing nursing from the conventional bedside caring role. They are involved in establishing more reliable ways of caring for patients. They are also clinical leaders who can ensure that all quality initiatives are directed towards achieving the best outcomes for patients and to documenting and publishing patient, clinical and service-centered outcomes in ways that allow patients, families and members of the public to see how local healthcare providers perform. Clinical nurse specialists improve patient outcomes and are cost effective, so it is unwise to cut expenditures on health care research (Young, 2012). Darkins (2012) affirms that technological solutions have further modernized the nursing practice from the traditional perspective of bedside caring. Telehealth applications enable nurses hold face to face meetings with patients from remote locations. These applications also assist nurses to monitor patients from diverse localities. For instance, telehealth applications enable nurses to retrieve and transmit patients data in real time from their sick beds. Such technology has helped medical facilities with adequate nursing resources. The new technology has also reduced the need for home visits and 24 hour home based care. By adopting telehealth applications, nurses can extend their knowledge through easy information sharing (Darkins, 2012). The role of implementing recommendations from research is the responsibility of the individual nurse and requires restructuring of the entire health facility. Individual nurses should further be continuously striving to improve their practice to provoke significant change in the health care centre. For nursing practitioners to actually utilize evidence, the proposed solution must both be relevant and appropriate to solving the problem. Evidence Based Nursing Evidence based nursing uses evidence from research to make decisions concerning patient needs (Winters Echeverri, 2012). Based on existing resources and patient preferences, clinical officers are able to implement strategies that best address their patient interests. To gain the full benefits of evidence based nursing, nurses must adopt the most reliable sources of information including medical publications. It uses the premise that outcome on patients is highly dependent on the quality of information and how effectively it is used in decision-making. Evidence based practice seeks to replace the conventional bedside nursing practice. It uses controlled research trials to guide action from research results. It further raises accountability in nursing by identifying the best nursing practices. The major aim of evidence-based practice is to increase patients satisfaction and reduce instances of trial- error treatment. This is achieved through provision of high quality and cost-efficient nursing care. The focus is therefore shifted from common nursing habits and traditions to research oriented nursing. It eventually advances the quality of care provided by nurses (Winters Echeverri, 2012). It is imperative to note that nurses who participate in research projects promote research utilization and are more likely to apply research techniques in their daily practice. Furthermore, nurses who appreciate the significance of evidence-based nursing assume the role of mentoring their colleagues who are yet to realize the impact research inform ation in their duties. Conclusion Nurses are considered as key decision makers within the healthcare team. However, to make the right call, they need reliable and accurate first hand information concerning their patients. This is only possible from conducting accurate research regarding the problem area with clear set objectives (Curie, 2007). Patients provide the most accurate and reliable source of information in nursing research. By applying a holistic approach to patient care, nursing research has developed initiatives that are both effective and widely acceptable. Evidence based practice is a good example of the success of nursing research in patient care. The evidence-based practice decision-making model follows the path of searching, appraising and implementing effective strategies in patient care (Winters Echeverri, 2012). The health sector makes crucial advances daily that constantly expand the boundaries of conventional medicine. Nursing research implements these changes by developing new therapies for pat ients.

Monday, August 19, 2019

Natural Language and Computer Programs :: Computers Technology Technological Essays

Natural Language and Computer Programs Anyone who has tried to explain the workings of a computer, or even a VCR, to an older relative has a very good idea of why natural language operation is a goal of computer science researchers. Simply put, most people have no desire to learn a computer language in order to use their electronic devices. In order to allow people to effectively use computer-based systems, those systems must be programmed to understand natural language – the language a regular person speaks – and respond in kind. Most natural language-processing systems break that task down into two parts, comprehension and production. Some systems, like the search engine ask.com, where the user types in a whole interrogative sentence instead of a few terms to search for, are programmed to take commands in English and so have comprehension as their goal. Others, particularly those designed to pass the test proposed by Alan Turing in which a computer must pass as a human in conversation with an interrogator, are designed to simply produce realistic responses, sometimes without bothering to break down the input at all. For the purposes of simplicity, most natural language programs operate through typed input and printed or on-screen output, since speech recognition and production are just complications at this point and can always be integrated later, simply by having the program convert the speech to text and vice-versa. By working only with typed input, a whole host of obstacles to understanding are avoided. People, when speaking, have accents, slur words, change sentence structure mid-thought, stick in â€Å"like† anywhere they want, and do many other things that make everyday speech much less straightforward than the slightly more formal process of typing. Even typed, however, an English sentence is not an easy thing to parse. An example of this difficulty can be seen in the sentence â€Å"I left a job for my wife†. Out of context, it is impossible to determine which of two possible meanings is the correct one. Did the speaker leave a job (i.e. quit) because of his wife, or did he leave a job (i.e. let one remain) for his wife? A computer must be able to refer to the context around such a sentence in order to extract the meaning from it.

Sunday, August 18, 2019

The Philip Morris Anti Smoking Campaign Essay -- Essays Papers

The Philip Morris Anti Smoking Campaign Traditionally, many advertisements released by cigarette brands under the Philip Morris label have depicted happy people joined together in friendship (supposedly due to their common habit). Other advertisements attempted to associate cigarettes with sleek mystical figures, sometimes even sexually desirable ones. All this has changed, however, due to recent legal developments in which the cigarette giant was pressured to offer anti-smoking ads, in addition to the usual fictional ones depicting happy mannequins. In no way were they to advertise cigarettes, and they were mandated to help stop youth smoking. These requirements placed Philip Morris in a difficult situation. They needed to satisfy the courts, but at the same time also make their advertisements as unsuccessful as possible. To the joy of Philip Morris, Ogilvy explains that "the consumer perceives that the product is inferior and never buys it again" (103). The product is of course not a cigarette, in this case, but rather the message of the advertisement, "don't smoke". Through the use of dull visual features and two reversed advertising tactics, Philip Morris has successfully designed a campaign certain to reach no one. The side benefit of positive PR for the company, of course, was guaranteed regardless of the ad content. The first goal of this article is to attract as little attention as possible. At first glance, the eye finds no special focus point. We see two silhouettes seated at the far opposite ends of a small fishing boat out on a motionless river. It looks more like a mournful life insurance advertisement than anything else. The reader almost expects it to ask "Who will take care of your children?". There are no ... ...hat this awkward conversation was in fact their responsibility. The viewer is left feeling frustrated, overwhelmed, and unhappy. What better solution than to turn the page and gaze instead at a graceful Dorothy Hamill figure skater telling them to purchase a wonderful mysterious product named Vioxx? * Gramatically incorrect sentences used for style Works Cited Fowles, Jib. "Advertising's Fifteen Basic Appeals." Common Culture, 3rd Edition. Ed. Petracca, Michael, and Sorapure, Madeleine. New Jersey: Prentice Hall, 2001. 60-77. Ogilvy, David. "What's Wrong with Advertising?" Common Culture, 3rd Edition. Ed. Petracca, Michael, and Sorapure, Madeleine. New Jersey: Prentice Hall, 2001. 95-104. Solomon, Jack. "Masters of Desire." Common Culture, 3rd Edition. Ed. Petracca, Michael, and Sorapure, Madeleine. New Jersey: Prentice Hall, 2001. 46-59. The Philip Morris Anti Smoking Campaign Essay -- Essays Papers The Philip Morris Anti Smoking Campaign Traditionally, many advertisements released by cigarette brands under the Philip Morris label have depicted happy people joined together in friendship (supposedly due to their common habit). Other advertisements attempted to associate cigarettes with sleek mystical figures, sometimes even sexually desirable ones. All this has changed, however, due to recent legal developments in which the cigarette giant was pressured to offer anti-smoking ads, in addition to the usual fictional ones depicting happy mannequins. In no way were they to advertise cigarettes, and they were mandated to help stop youth smoking. These requirements placed Philip Morris in a difficult situation. They needed to satisfy the courts, but at the same time also make their advertisements as unsuccessful as possible. To the joy of Philip Morris, Ogilvy explains that "the consumer perceives that the product is inferior and never buys it again" (103). The product is of course not a cigarette, in this case, but rather the message of the advertisement, "don't smoke". Through the use of dull visual features and two reversed advertising tactics, Philip Morris has successfully designed a campaign certain to reach no one. The side benefit of positive PR for the company, of course, was guaranteed regardless of the ad content. The first goal of this article is to attract as little attention as possible. At first glance, the eye finds no special focus point. We see two silhouettes seated at the far opposite ends of a small fishing boat out on a motionless river. It looks more like a mournful life insurance advertisement than anything else. The reader almost expects it to ask "Who will take care of your children?". There are no ... ...hat this awkward conversation was in fact their responsibility. The viewer is left feeling frustrated, overwhelmed, and unhappy. What better solution than to turn the page and gaze instead at a graceful Dorothy Hamill figure skater telling them to purchase a wonderful mysterious product named Vioxx? * Gramatically incorrect sentences used for style Works Cited Fowles, Jib. "Advertising's Fifteen Basic Appeals." Common Culture, 3rd Edition. Ed. Petracca, Michael, and Sorapure, Madeleine. New Jersey: Prentice Hall, 2001. 60-77. Ogilvy, David. "What's Wrong with Advertising?" Common Culture, 3rd Edition. Ed. Petracca, Michael, and Sorapure, Madeleine. New Jersey: Prentice Hall, 2001. 95-104. Solomon, Jack. "Masters of Desire." Common Culture, 3rd Edition. Ed. Petracca, Michael, and Sorapure, Madeleine. New Jersey: Prentice Hall, 2001. 46-59.

Saturday, August 17, 2019

19th Century London in A Christmas Carol by Charles Dickens Essay

19th Century London in A Christmas Carol by Charles Dickens 'A time for finding yourself a year older, and not an hour richer' this is a good example that represents Scrooges overall attitude to Christmas and those who celebrate it. The central character of a Christmas Carol is Ebenezer Scrooge a man portrayed by Dickens as a miser who cares little for others around him, a man whose only interest in life is money that can be made from exploiting other people. The novel is set in Victorian London in the 19th century, a London that is very different to the London we know today; there was no welfare state, National Health Service or environmental laws. Real poverty existed and those that had no money either starved or ended up in the workhouses, debt prisons or turned to crime. It is interesting that the novel is set during Christmas, a time that is traditionally for giving, a time to be spent with the family, and a time for reflection. Scrooge at the beginning of the novel does not appreciate this, and calls everything ‘Humbug’, and it is only through his visits with the ghosts that he realizes that pleasure can be found from giving as well as receiving. The picture that is painted by Dickens of life and the conditions in which people lived is very depressing by today’s standards: ‘The ways were foul and narrow; the shops and houses wretched; the people half naked, drunken, slipshod, ugly. Alleys and archways, like so many cesspools, disgorged their offences of smell, and dirt, and life, upon the straggling streets; and the whole quarter reeked with crime, with filth, and misery.’ Throughout the novel Dickens focuses on many different aspects and issues about life in 19th century London. He o... ... a year older, and not an hour richer' and he does not believe in giving or supporting any charities and he does not believe in goodwill. This is suggested in many different things Scrooge says in the novel. ‘God bless you, merry gentlemen!’, ‘Scrooge seized the ruler with such energy of action, that the singer fled in terror.’ This was said by Scrooge when he was visited by the carol singers, it shows how much anger and hate Scrooge has towards Christmas and those who celebrated it. In conclusion, the image that one is left with from Dickens is a very depressing one, one of dark, smelly, and polluted streets. Images of poverty and hardship, and a society that cared little for the welfare of others, where if you had money you could live comfortably, but if you did not life was very tough. It is not a place where, I feel, anyone today would like to live. 19th Century London in A Christmas Carol by Charles Dickens Essay 19th Century London in A Christmas Carol by Charles Dickens 'A time for finding yourself a year older, and not an hour richer' this is a good example that represents Scrooges overall attitude to Christmas and those who celebrate it. The central character of a Christmas Carol is Ebenezer Scrooge a man portrayed by Dickens as a miser who cares little for others around him, a man whose only interest in life is money that can be made from exploiting other people. The novel is set in Victorian London in the 19th century, a London that is very different to the London we know today; there was no welfare state, National Health Service or environmental laws. Real poverty existed and those that had no money either starved or ended up in the workhouses, debt prisons or turned to crime. It is interesting that the novel is set during Christmas, a time that is traditionally for giving, a time to be spent with the family, and a time for reflection. Scrooge at the beginning of the novel does not appreciate this, and calls everything ‘Humbug’, and it is only through his visits with the ghosts that he realizes that pleasure can be found from giving as well as receiving. The picture that is painted by Dickens of life and the conditions in which people lived is very depressing by today’s standards: ‘The ways were foul and narrow; the shops and houses wretched; the people half naked, drunken, slipshod, ugly. Alleys and archways, like so many cesspools, disgorged their offences of smell, and dirt, and life, upon the straggling streets; and the whole quarter reeked with crime, with filth, and misery.’ Throughout the novel Dickens focuses on many different aspects and issues about life in 19th century London. He o... ... a year older, and not an hour richer' and he does not believe in giving or supporting any charities and he does not believe in goodwill. This is suggested in many different things Scrooge says in the novel. ‘God bless you, merry gentlemen!’, ‘Scrooge seized the ruler with such energy of action, that the singer fled in terror.’ This was said by Scrooge when he was visited by the carol singers, it shows how much anger and hate Scrooge has towards Christmas and those who celebrated it. In conclusion, the image that one is left with from Dickens is a very depressing one, one of dark, smelly, and polluted streets. Images of poverty and hardship, and a society that cared little for the welfare of others, where if you had money you could live comfortably, but if you did not life was very tough. It is not a place where, I feel, anyone today would like to live.

A Letter To Myself Essay

No one knows you better than you know yourself.   Moreover, out of all you will experience receiving a letter from yourself 50 years ahead in space-time will be your most profound experience.   So, here I am communicating with myself to inform what I have to look forward to in life. In writing I’m remembering receiving this letter five decades ago.   The odd thing is remembering its receipt but experiencing the writing for the first time.   With only 500 words, rather than focus on the strangeness addressing what will be is my mission.   Your life will be a strange and cruel mix of wonder and despair.   You will experience a living nightmare for love.   You’ll marry a woman who’ll turn out to be schizophrenic.   Dealing with her will be more than troublesome, yet the finer qualities of your character will arise out of the ashes of that experience. Knowing I received this letter will not prevent you from having the experience.   We all are purposed to play a role in life.   Writing this letter affirms some things are inevitable, even when you know about them in advance. You’re at an age where talk of marriage and difficult times are somewhat distant to your experience.   You’re yet to reach your teen years and the joy those years will bring.   Like yourself mom will undergo a troublesome marriage after she and dad divorce.   What you see in her next marriage will be a prophecy for your own.   In the midst of seeing her struggles will be happenings in your life that others will envy.   You’ll be very popular in high school and college.   You’ll turn out to be a champion sprinter and hurdler, you’ll sing in a singing group that will gain national prominence and you’ll have girlfriends that most men could only hope for.   Your teen and early adult years will be rewarding.   Those times I still treasure all these years having passed. Your love for learning will be a beacon to illuminate the way through your marital troubles.   Your field of study, along with your faith would be means to help you recover from troublesome times following your marriage.   This will be a battle however, one that would probably break the average man.   You’ll spend almost two decades unraveling the turmoil you experienced in being married for one decade.   In this you’ll get to know yourself as few people do.   You’ll become very wise and insightful as a result and you’ll be a blessing for what life will take you through. Do not be dismayed at what tomorrow will bring, it will lead to wonderful ends.   You will have a son who will do well in life.   A woman will come into your life who will be a dream come true and you’ll wind up content in your living.   You will appreciate life’s foibles and remember , â€Å"Try not to become a man of success but a man of value.†Ã‚   (Albert Einstein, Great Quotations, pg. 225)   That’s what you’ll do I’m proud to say. References Einstein, Albert, The Great Quotations, 225, George Seldes, May, 1978.

Friday, August 16, 2019

Administrative Law Notes Essay

Please note that this is a draft. The material is under revision. ?This material has been prepared by John P. Sangwa and was initially part of a larger study undertaken by the author. The material is meant for students studying L341. The reproduction for any purpose whatsoever of this work or any part thereof in any form or manner is not allowed without the permission of the author. What is Administrative Law? Administrative law, as a subject, has defied definite and concrete definition. Most scholars have confined themselves to formulating working definitions within the context of their works. There is, however, agreement that administrative law is concerned with powers and procedures for the use of those powers by public officers and institutions responsible for the performance of the functions of the state. It includes, especially, the law governing judicial review of administrative actions. Administrative law is law that governs those who administer any part of governmental activities. Administrative law is not the substantive law produced by the agencies, and it is not the substantive law created by the legislative bodies or courts and administered by the agencies; instead, administrative law is the law, which governs the powers and procedures of agencies. It includes procedural law created by the agencies but not the substantive law created by them, such as tax law, labour law, public utility law, transportation law, welfare law, town and country planning law, and the like. Administrative Law Distinguished from Constitutional Law There is a distinction between constitutional law and administrative law. Constitution law refers to the formal rules, in the case of Zambia, embodied in one single document referred to as the constitution, which establish the main institutions of the state, prescribe their powers, their relation with each other and their collective position vis-a-vis the citizens. Administrative law on the other hand focuses on the powers vested in these institutions and how they use them. For instance, the Banking and Financial Services Act, 1994, confers on the Bank of Zambia, the powers to regulate banking and regulated financial services and issue the necessary regulations from time to time. The Act itself and the regulations made pursuant thereto are not themselves of concern of administrative law. However, administrative law would touch on the authority of the Bank of Zambia to make regulations and upon the procedure employed in making them. Administrative law tends to focus on three aspects of administration: rule-making procedure, where the public institutions or officers are conferred powers to make rules, adjudicative procedure where there is power to make decisions and judicial review, which focuses on the power of the court to review decisions of public institution to ensure that they are intra-vires the empowering legal instruments, and to declare them ultra-vires, where they are not 2 The Scope and Administrative Law Administrative law is concerned with public authorities. It is concerned with the way power is acquired, where the public authorities get their powers from and the nature of those powers. It determines whether the exercise of a power subject to any particular procedure, or whether it must be exercised in any particular form. If so, it addresses the effect of failing to do so. It focuses on how to ensure that powers are used only for the purpose for which they are given – and that they are used effectively and efficiently. Administrative law is concerned not only with power but also with liabilities both of authorities and of their employees. It is concerned with the bodies, which exercise these powers – central government departments, public corporations, local authorities and other institutions. The role of the courts, as independent institutions, in providing some checks on the exercise of public powers is the concern of administrative law. The courts are concerned with the legality of the administrative actions. Administrative law must be seen as an instrument of control of the exercise of administrative powers. Administrative law, like any other branch of law is not an end in itself but means of getting things done by creating through the legal process, institutions, and granting them powers and imposing on them duties. The decision maker is subject to the law, but at the same time, he sees the law as something to use to achieve some end which society has chosen. Administrative law is a concern of a lawyer as much as for the public officers. There is need for public power, but there is also need for protection against its abuse. Administrative law attempts to address the age-old problem of abuse of power. Administrative law as discussed in this course is limited to law concerning powers, procedures, and judicial review. It does not include the enormous mass of substantive law produced by the various agencies. Although public institutions are created by statutes, by executive order authorised by statute, and by constitutional provisions, and although their principal powers and functions are normally defined by the instruments, which create them, the great bulk of administrative law is judge-made law. Some of the judge-made law either is or purports to be founded on constitutional or statutory interpretation. However, other judge-made law is made sometimes without reliance on either constitutional or statutory provisions. 3 SOURCES OF ADMINISTRATIVE LAW Introduction By sources we mean where one can look for answer whenever and administrative law issue arises. Administrative law is wherever law is. It is founded on the Constitution. It is in the statutes and in any form of statutory instrument. Administrative law is also in the form of common law made by the courts and in the form of procedural rules made by administrative agencies themselves. Constitution The entire Zambian Constitution is in a way a source of administrative law. It is a limitation on government. It creates various organs of government and prescribes what they may or may not do and how they can do what they are empowered to do. For instance, Article 30 of the Constitution confers power upon the President to declare, after consultations with Cabinet, that a state of public emergency exists in Zambia. The said provision puts a limitation on the exercise of this power by the President. The President can declare a state of emergency only after he has consulted with Cabinet. Failure to do so may render such a declaration null and void. Whether or not there has been compliance with the provisions of the constitution or whether the power has been exercised for the intended purposes is the concern of administrative law. Statutes Very often statutes, which create public institutions, prescribe their powers and how they are to be exercised. It is the concern of administrative law to ensure that such powers are used for the realisation of the policy objectives on which in the statute is founded and not any other goals. Common Law The common law is creation of the courts. Following the concept of staredecisis, courts will decide a case today in the same way they decided in other cases in the past if comparable factual situations are involves. There is therefore a huge volume of guidelines on how the courts will decide a given case and this collection of clues is called common law. Common law prevails on a point of law so long as there is no statute, regulation, or constitutional provision, which contradicts it. Judicial interpretations of statutes, regulations, and constitutional provisions are part of the common law. Much of the administrative law principles are in the form of common law. Formal laws do not regulate every aspect of administrative authority. For instance, the idea that no one should be punished unheard is law, which has been embraced by the courts as one of the common law principles. 4 Much of what is administrative based on the constitution is in fact common law. The Constitution is brief and at times vague. It is therefore, interpreted by the courts. It is in sense good that the Constitution is sometimes vague. This enables the each generation to interpreter it to accommodate social, political and other changes Administrative Instruments Some of the instruments with the force of law, which regulate public institutions, are made by the institutions themselves. This kind of law is imposed on the institutions by the public institutions themselves. It is often in response to public pressure and public expectations exerted in different ways throughout the political process. For instance, the Industrial and Labour Relations Act has created the Industrial Relations Court. In order to ensure that people have access to the Court and receive fair hearing the Court has set its own rules, binding on itself and parties to the dispute, who have moved the Court. The rules, which the public institutions impose upon themselves, are often found in the same statute along with other rules and regulations made by the institutions. For instance, in 1996, the President issued a directive that housing units owned by the government and local authorities be sold to sitting tenants. A circular to that effect was issued by Cabinet govern this exercise. Any dispute in this regard has been resolved by referring to this circular. As for the units owned by local authorities, the Ministry of Local Government and Housing issued a similar circular. The first phase began from the moment British influence was established in the territory, which became known as Northern Rhodesia. The second phase, began long after the first phase had been properly grounded, focuses on judicial review; and the dominant part of judicial review is constitutional and statutory interpretation. Whereas other Western countries have already gone through the third phase, which focuses on procedures for formal adjudication and formal rule making, Zambia is just embarking on this phase. 9The value of such an approach is ably illustrated by Gordon R. Woodman, â€Å"Constitutions in a World of Powerful Semi-Autonomous Social Fields†, Third World Legal Studies – 1989, 120. He observes at pp. 2-3. : Although the skills of a lawyer are useful in the study of non-state laws, an adequate appreciation requires some revision of the traditional approach of students of state law. It is necessary to discard the concepts and axioms induced by the tendency o f state laws to deny the legitimacy of other laws†¦. An effective state constitutional order takes account of the social realities which affect its objects and functioning. In Africa, where the relative unimportance of state law is at least as marked as anywhere else, other social orderings cannot realistically be overlooked. 39 The Development of Administrative Structures Zambia is a product of greed and conquest by the powerful, and of the weak seeking a haven for peace and security. The dispersal from the north, which involved the Lozi, Bemba, Lunda and other tribes, was largely precipitated by smaller chieftaincies seeking independence. However, the migration of the Ngoni and the Kololo from the south was for the search of a sanctuary. The coming of Europeans brought another dimension to the history of Territory. Their conquest of the Territory was for economic reasons: to find raw materials to keep the wheels of the factories in Europe turning and good land to settle the landless people of Europe. The realisation of the economic objective was possible only if both internal and external threats to British presence in the area were taken care of. The internal threats were addressed through the power of the pen, like in the case of the Litunga of Barotseland, and through the power of the sword as against the Ngoni. The motivating force was the greed of the private entrepreneurs. The role of the Imperial Government was merely that of protecting the interests of its citizens when threatened by another imperial power or forces within the Territory. The history of Northern Rhodesia is also a history of two competing cultures, one claiming superiority over the other. The Europeans came with new ideas about social formations. All the existing tribal groupings were broken down and made part of one heterogeneous society curved out of the entire continent without regard to history, customs and origins. The impact of Western colonial rule is still indelibly imprinted in Zambia decades after independence. As Europeans moved into the non-Western world, north of the Zambezi, as traders, merchants, missionaries and adventurers, they carried with them expectations that all societies should be properly organised as states possessing attributes of sovereignty and adhering to rule of law. 0 This was not the case in the area, which became known as Northern Rhodesia. After the establishment of settlements, Europeans insisted that human relations, and more particularly the management of disputes, should fall under explicit and universally based laws. 21 To make life much more amiable 20Lucian W. Pye, â€Å"Law and the Dilemma of Stability and Change in the Modernization Process,† Vanderbilt Law Review 17 (1963), 24-25. 21Ibid. 40 they started building the state structures. The administrative structures, which emerged, made up the constitutional structures for the Territory. 2 The Making of Northern Rhodesia As a geographical unit, Zambia was created through the initiative of Britain during the partition of Africa. Following the examples of other European powers at the time in staking claims to large territories in the Africa, Britain was keen to extend sovereignty north of South Africa. Little effort was necessary to persuade the Crown to grant John Cecil Rhodes, at his request, a Charter incorporating the British South Africa Company, which was to pursue British interests in the area. This Charter was granted in 1889. The Charter empowered the Company to acquire territories through concessions, agreements and treaties by or with indigenous rulers and administer it – without any financial assistance from the British Government. The Company’s field of operation was defined to be the territory north of the Crown colony of British Bechuanaland and of the Transvaal and west of the Portuguese possessions in East Africa. Rhodes sent agents to conclude treaties with local rulers. Through such treaties and conquests of the more militant tribes, Rhodes effectively asserted his, and ultimately British presence. It now remained for Britain to secure the agreements of other European powers in accordance with the terms of the Berlin conference of 1884 – 1885. This was done through a series of treaties, which collectively determined the present border of Zambia. The name â€Å"Rhodesia† was first used to refer to the territories (obtained by Rhodes) in 1895. It was officially approved in 1897, by the British Government. In 1895, due to its vastness the territory was, administratively, divided by the BSA Company into two: North-Western Rhodesia and North-Eastern Rhodesia. Both of them were being administered by the Company under the supervision of the British High Commissioners in South Africa and Nysaland respectively. At the time, a few outposts of administration were being established in the sparsely populated territories. In 1899 and 1900, two very important Orders in council were promulgated. The Orders, the Barotse North-Western Rhodesia Order in council and the North-Eastern Rhodesia Order in council, clarified the provisions relating to 22See H. F. Morris and J. S. Read, â€Å"Indirect Rule and the Search for justice†, (1972), 287, quoted n Filip Reyjents, â€Å"Authoritarianism in Francophone Africa from the Colonial to the Post Colonial State†, Third World legal Studies – 1988, p. 59. 41 the administration of the two territories to which they referred and also established the territories as â€Å"colonial protectorates†. Under the North-Eastern Rhodesia Order in Council, 1900 North Eastern Rhodesia was to be admin istered by an ‘administrator’, appointed by the Company with the approval of the Secretary of State for Colonies. The administrator was empowered to make regulations for the administration of justice, the raising of revenue and generally for â€Å"†¦ he peace order and good government†. These regulations had to be approved by Her Majesty’s Commissioner for the British Central African Protectorate (Nyasaland now Malawi) and could be disallowed by the Secretary of State. The Commissioner himself could initiate legislation termed â€Å"Queen’s Regulations†. Under the North-Western Rhodesia Order in Council, 1899, the British Government retained firmer control in North-Western Rhodesia through the High Commissioner in South Africa because of the unresolved issue of the western border of the territory with the Portuguese territory of Angola. The issue was not resolved until 1905. The High Commissioner had the power to legislate by proclamation. The Company had administrative powers, which were exercise through an administrator. Developments in the two areas indicated that they would best be administered as one territory. In 1911, Barotse North-Western Rhodesia and North-Eastern Rhodesia were merged to form Northern Rhodesia. The Company retained its administrative authority in the new territory. It was empowered to appoint an administrator for the territory, subject to the approval of the Secretary of State. The legislative authority, which was to be exercised by proclamations, remained in the High Commissioner in South Africa. This arrangements prevailed until 1924 when company rule was terminated. Administration of Justice (a) Developments Under Company Rule: The major concern of the settlers was to establish structures for the settlement of disputes. Amongst the first institutions to be established in the territory were the courts. The major task of the Company was to establish the basic instruments of government administration. The judicial functions of the government were undeveloped. Nonetheless, the legislative framework for the establishment of courts was already in existence. The Africa Order in Council of 1889, provided that every person holding Her Majesty’s Commission as a Consul-General should, if so authorised by the Secretary of State, form a consular court. This Order in Council even provided a code for criminal and civil procedure. In the event, it was not found 42 necessary to establish any consular courts as reliance was placed upon the second method of establishing courts: the Charter of the British South Africa Company itself. One of the fundamental principles which was to be respected in the administration of justice was the need to differentiate between the indigenous people and the immigrants. Section 14 of the Charter directed the Company to have â€Å"careful regard† to the laws and customs of the local tribes. Thus, the courts which were established were limited in their jurisdictions to give effect to this principle. Between 1899 and 1909, two hierarchies of courts were established in Barotse North-Western Rhodesia and North-Eastern Rhodesia. Each consisted of a High Court, Magistrates’ courts, the Administrator’s Court and Native Commissioners Courts. The High Courts were courts of unlimited jurisdiction and administered English law and local enactment, except in civil cases between Africans, when they were required to administer African customary law. The Administrators’ Courts also had similar jurisdiction as the High Court. They were introduced to enable the Administrators of the territories to have a role in the administration of justice. The Magistrates’ Courts were courts of first instance with limited jurisdiction. They were mainly concerned with adjudicating over disputes between white settlers and with administering criminal law. The law administered in these courts was English law. The Native Commissioners’ courts were established in order to administer African customary law between natives. All the judges and the members of the other courts were nominated by the Company but appointed by the British High Commissioner in South Africa. They were amenable to dismissal as well. Although existing African traditional courts were not officially recognised, some limited protection was extended to customary law. First by the Barotse North-Western Rhodesia Order 1899 and later by the North-Eastern Rhodesia Order 1900, which for the first time invoked the repugnancy clause. This clause provided that customary law be to be administered so far it was not â€Å"repugnant to natural justice or morality† or to any statutory law. Two systems of courts were established in each of the two territories by 1909. One system administered English law and statutory law between Europeans in civil cases. It also administered English penal law for all the inhabitants of the territory. The other system administered African customary law in civil cases between Africans. In 1911, when it was decided to combine North-Western Rhodesia and NorthEastern Rhodesia into a single country, it also became necessary to re-organise 3 the judicial system. However, as there also existed two well-established judicial systems, few changes were necessary beyond merging the two systems into one. There emerged a High Court of unlimited original and appellate jurisdiction, magistrates’ courts and native commissioners’ courts. The Administrator’s court was abolished. High Court judges were henceforth appointed by the Secretary of State in Britain. The officers in lower courts were appointed by the Company. Between 1911 and 1924, only minor changes effected to the judicial system and none of these affected the judicial system or its basic structure. b) Developments During Direct British Administration: During the early part of the 1920’s it became apparent, Northern Rhodesia was becoming too costly and complicated a territory to be administered by a company. In 1924, the company relinquished its powers in favour of direct British rule. The 1911 Northern Rhodesia Order was revoked and in its place was promulgated the Northern Rhodesia Order in Council, 1924 and the Northern Rhodesia (Legislative Council) Order in Council, 1924, and the Royal Instructions to the Governor of 1924. These three documents together constituted the basic constitutional instruments of Northern Rhodesia. The Northern Rhodesia Order established the office of Governor, to represent the Crown. He was assisted by an executive council, the members of which were appointed by the Crown and served at his pleasure. In accordance with the â€Å"colonial protectorate† status of the territory, constituent power remained in the Crown and was exercised through Orders in Council made under the Foreign Jurisdictions Acts of 1890 and 1913. However, for the purpose of enacting laws to facilitate the administration of the country, a legislative council, dominated by (appointed) officials, was established. This council exercised its legislative power through the enactment of ordinances. The change from company rule to direct British rule did not necessitate radical changes to the judicial system. The changes made merely reflected change-over to colonial rule. The power to determine the number of judges and magistrates in the country and to appoint them subject, in the case of judges, to such instructions as the Crown might give was vested in the Governor. There were also provisions permitting appeals from the High Court to the Privy Council. In 1938, it was decided to establish a court of appeal for the three British colonies in central Africa, comparable to the East African Court of Appeal and Court of Appeal for West Africa. This Court was called the Court of Appeal 44 for Rhodesia and Nyasaland. The court was established under Ordinance No. 35 of 1938. It became the highest court for the three territories in criminal cases but provisions were included for further appeals to the Privy Council in civil cases. Meanwhile, the important issue of how best to administer the affairs of Africans was receiving much attention. It was decided soon after the assumption of direct British administration to extend the famous principles of indirect rule, to the territory. This principle, which had already been applied in other British colonies, entailed the use of existing African institutions to effect colonial rule, thereby minimizing both the antagonism of the people and expenditure. Indirect rule was implemented in Northern Rhodesia by establishing native authorities and recognising native courts. Native authorities were established in all areas of the territory nd were vested with minimal local government powers such as taxation and policing. Native courts were first recognised by statute in 1929, with the enactment of the Native Courts Ordinance. Under this ordinance, the Governor was empowered to constitute any â€Å"chief, headman, elder or council of elders† in any area into a native court. This did not, however, prevent the exercise of judicial powers by those who already did so in their own com munities. The Native Courts established under this Ordinance were separate from the rest of the judiciary: the High Court and the magistrates’ courts. No appeals lay from the Native Courts to the Magistrates’ Court or to the High Court. Nevertheless, there were already in existence some Native Commissioner’s Courts. These assumed the role of appellate courts in relation to the Native Courts. Native courts were only empowered to administer customary law and to adjudicate over civil cases in which the parties included Africans. In 1936, it was deemed necessary to clarify the status and jurisdictional limitation of native courts. This was done by the enactment of the Native Courts Ordinance 1936 and the Barotse Native Courts Ordinance 1936. Apart from these changes, which enabled the Government to establish a number of native courts covering the whole territory, this system of administering justice remained in force until 1966. (c) Developments During the Federation of Rhodesia and Nysaland: Even before the Second World War, two issues were to dominate Northern Rhodesian politics and determine its constitutional development: the demand by African nationalists for majority rule and/or self-determination and the campaign by white settlers for closer association or amalgamation with 45 Southern Rhodesia. As early as 1929, the Hilton Young Commission advised that: In the present state of communications the main interests of Nyasaland and Northern Rhodesia, economic and political, lie not in association with the eastern African territories, but rather with the self-governing colony of Southern Rhodesia. In 1938, the Bledisloe Commission was appointed to â€Å"explore the feasibility of closer association between the two Rhodesias and Nyasaland. † The Commission also endorsed the idea of closer association between the three territories, but did not recommend immediate steps in that irection. Nonetheless, consultations continued between white politicians in Northern Rhodesia and Southern Rhodesia and the British Government. Finally, at a conference held at Victoria Falls, in Northern Rhodesia, in 1951, a firm decision was arrived at recommending to the British Government the establishment of a federation in Central Africa. This recommendation was accepted. The Federation of Rhodes ia and Nyasaland Act, enacted by the British Parliament in 1953, authorised the Queen to establish such a federation. In the same year, the Federation of Rhodesia and Nyasaland (Constitution) Order in Council joined the three territories to form the Federation of Rhodesia and Nyasaland. Under the federal scheme, the three territories retained their respective statuses: Northern Rhodesia and Nyasaland remained protectorates, while Southern Rhodesia remained a colony. The Constitution provided for the office of a Governor-General, appointed by the Crown. He was the personal representative of the Crown. The Constitution also established a federal legislature of thirty-five members. This body had legislative power over certain matters exclusive of the territorial legislatures (the federal legislative list) and powers to legislate over other matters concurrently with the territorial legislatures. The establishment of the Federation had one important effect upon the judicial system of Zambia. The Federal Constitution established a Federal Supreme Court. The Court consisted of the Chief Justice, appointed by the Governor-General and between two and six judges, who were to include the Chief Justices of the three territories. Under Article 53 of the Constitution, the Supreme Court had exclusive jurisdiction over matters relating to the interpretation of the Constitution and matters in which the Federal Government was a party. The Supreme Court also had appellate jurisdiction from the High Courts of the three territories. Article 61 provided for appeals from the Supreme Court to the Judicial Committee of the Privy Council. 46 The idea of establishing the Federation of Rhodesia and Nyasaland was not supported by all the sectors of the population. The Africans of Northern Rhodesia, in particular, had vehemently opposed any form of association with Southern Rhodesia. Instead, they had campaigned for reforms to the electoral law to introduce universal adult suffrage. As African political parties were formed Africans began to demand self-government and independence from British rule. The decade 1953 to 1963 was volatile in Northern Rhodesia. The many factors of that era culminated in a general election, based on â€Å"one man one vote†, in 1962, which was won by the United National Independence Party, led by Kenneth Kaunda. He formed a coalition government with the African National Congress in 1963. The Federation was dissolved in that year. In 1964, under yet another constitution, fresh elections were held which were won outright by the United National Independence Party. This Party formed the first Government when Northern Rhodesia was granted independence in October 1964. (d) Developments After Independence: The new constitution provided for a popularly elected executive President who was also the Head of State. It also provided for a Vice-President and a cabinet appointed from among the members of the National Assembly. The legislative power was vested in a Parliament consisting of the President and single chamber National Assembly. The Assembly consisted of seventy-five elected members, not more than five nominated members nominated by the President and a Speaker. The legislative power was exercised through Bills passed by the National Assembly and assented to by the President. Enactments were termed â€Å"Acts of Parliament†. Quite expectedly, independence brought about some changes in the judicial system of Zambia. The dissolution of the Federation of Rhodesia and Nyasaland ended the Federal Supreme Court. Within Zambia, the January 1964 Constitution established a Court of Appeal with unlimited appellate jurisdiction. The Independence Constitution also provided for a Court of Appeal consisting the Chief Justice, one Justice of Appeal and other puisne judges. The Constitution also empowered the President to declare that the Judicial Committee of the Privy Council should be an appeal court for the Republic. The President never exercised this power and the provision was not repeated in the 1973 Constitution. The Independence Constitution created a Judicial Service Commission under the chairmanship of the Chief Justice. The Constitution conferred advisory and executive functions over appointments to judicial offices upon the 7 commission. The provisions relating to the Judicial Service Commission were substantially retained under the 1973 constitution. The subordinate courts were retained by and large in their old form even after independence. Various aspects of the Subordinate Courts had undergone changes since the enactment of the Subordinate Courts Act in 1934. The changes related mostly to jurisdi ction and other related matters, and did not affect the basic structure and status of these courts. After 1964, the notable change was in the manner of appointing magistrates. They were to be appointed by the Judicial Service Commission. Some radical changes were made at the level of the Native Courts. The general feeling at the time was that Native Courts had to be integrated in the judiciary. The first step came in the form of provision that appointments of the Native Courts’ presiding justices were henceforth to be made by the Judicial Service Commission. Meanwhile, initiatives were underway for the enactment of a new statute to provide for Native Courts. The Local Courts Act was enacted in 1966. It repealed the Native Courts Ordinance and the Barotse Native Courts Ordinance. It constituted Local Courts in place of Native Courts. It provided for appeals from Local Courts to Magistrates’ Courts. The 1966 Local Courts Act was aimed at integrating the Local Courts into the judiciary to produce one hierarchy of courts instead of two. The introduction of the one-party system did not bring about major changes in the judicial system of Zambia. It did, however, bring about one important change. The Court of Appeal was abolished and in its place, a Supreme Court was established. Very little has changed in the judiciary even after the introduction of the Constitution of 1991. The same is true even after the enactment of the Constitution amendment Act No. 18 of 1996. Before concluding this part, it is important to summarise the judicial system in place today. The Supreme Court of Zambia, established under Article 91 of the Constitution is the highest court in the country. It is a court of unlimited appellate jurisdiction. It consists of the Chief Justice, the Deputy Chief Justice and seven appeal judges or such greater number as may be prescribed in an Act of Parliament. The High Court of Zambia is the second highest court. It is a court of unlimited original and appellate jurisdiction, except for matters specifically reserved for the Industrial and Labour Relations Court and has original jurisdiction over all civil and criminal matters. The High Court consists of the Chief Justice (ex-officio) and such number of puisne judges as may be determined in an Act of Parliament. The High Court also has supervisory powers over all proceedings in all the courts subordinate to it. 48 The Constitutional Amendment Act No. 18 of 1996 has introduced an interesting development in the number of courts for the Republic. The Industrial Relations, which was from its inception a tribunal is now, became part of the Judicature of Zambia. The real benefits of this change are hard to see, but the most immediate problem has been confusion between the powers of the High Court and that of the Industrial Relations. Furthermore, whereas the role of the Industrial Relations Court is to do substantial justice, there is a steady departure from this guiding principle. The Industrial Relations Court has become more and more legalistic in its determination of cases although, as an institution, is it ill-equipped for this role. Cases are determined not on the basis of the facts of the case or in order to do substantial justice, but because there are legal precedents to that effect especially those from the Supreme Court. The other courts down the hierarchy are the subordinate courts. These are provided for under the Subordinate Courts Act. They are presided over by magistrates. Both the courts and the magistrates are divided into classes, and the relationship of the various classes of magistrates to the various classes of subordinate courts is clearly stated by Section 3 of the Act. There shall be and are hereby constituted courts subordinate to the High Court in each district as follows: (i) A Subordinate Court of the first class to be presided over by a Senior Resident magistrate, Resident Magistrate or a magistrate of the first class; (ii) a Subordinate Court of the second class to be presided over by a magistrate of the second class; (iii)a Subordinate Court of the third class to be presided over by a magistrate of the third class. The jurisdiction of each subordinate court is limited both territorially and substantively on a graduating scale depending on the class of the court and the magistrate. Subordinate courts also have appellate jurisdiction to hear appeals from local courts. Finally, at the bottom of the hierarchy of courts are the Local Courts, established under the Local Courts Act 1966. They are presided over by Local Court presidents. Their jurisdiction is limited both territorially and in terms of the substantive law. With regard to the latter, the statute provides that they may only administer African customary law and such other statutory laws as may be explicitly extended to them.