Saturday, August 31, 2019

Compare and contrast the approaches of Hamlet and Laertes to revenge Essay

â€Å"†¦ By the image of my cause, I see / The portraiture of his. † Compare and contrast the approaches of Hamlet and Laertes to revenge. Hamlet is the son of the late king Hamlet and is grieving over his father’s unexpected death. Both Laertes and Hamlet are avengers, avenging their fathers’ murders. He also has to contend with the fact that his mother, the queen, Gertrude, re-marries rather quickly to the new king Claudius (the late king Hamlet’s brother). Hamlet also wishes to return to university perhaps to deal with the incidents of late and to return to some sort of normality. This is somewhat ignored by the Claudius’s need to keep a fixed eye of him. As the play continues you learn that the late king Hamlet was actually murdered and it is Hamlet’s duty to seek revenge and resolve the situation. This he deals with badly, by continuously battling with his conscience as to whether or not he can do it and if it is acceptable to seek such revenge. Laertes is the Lord Chamberlain’s son and also the brother of Hamlet’s true love. His request to return to France is granted and he is away until he hears of the tragedies that occur within his family, namely the death of his father Polonius and the insanity of his sister, Ophelia. Initially characters, Hamlet and Laertes appear to be completely different from one another. It is not until you make a comparison between Hamlet and Laertes that it becomes apparent that there are a number of similarities as well as differences. Hamlet and Laertes are both honourable and noble men and come from very good families; Hamlet is royalty and Laertes is the Lord Chamberlain’s son. The part in the play, which shows true repentance from Laertes, is when he speaks out to Hamlet at the end. He tells him of his foul play, that his mother has been poisoned, that the blade is poisoned too and that it is the king to blame. Laertes also seeks forgiveness from Hamlet for his part of the evil that has spread. This proves that he is deeply an honest man and not one of evil. Hamlet, also of the same nature, exchanges forgiveness. This is a major indication, on Hamlet’s behalf that he is to an honourable man. â€Å"Exchange forgiveness with me, noble Hamlet. † (Laertes Act v Scene ii) â€Å"Heaven make thee free of it! I follow thee. † (Hamlet Act v Scene ii) Both Hamlet and Laertes love Ophelia and are devastated by her death. Also their reactions to certain events are also alike. Initially when Hamlet learns that his father was murdered he shouts out in temper and portrays an angry man ready to seek revenge. However, this gets waylaid by Hamlet dwelling on the truth as opposed to acting on it, whereas Laertes has the same initial reaction but with the intent to seek revenge instantly, with prompting by Claudius. Hamlet’s only prompting is by the ghost, and in one instant acts on impulse. This act of impulse occurs in the Queen’s closet when she and Hamlet are arguing and Hamlet kill’s who ever it is hiding behind the arras. This is most certainly not a natural reaction by Hamlet. â€Å"A sword unbated, and, in a pass of practice, /Requite him for your father. † (Claudius speaking with Laertes privately Act v Scene ii) Another similarity is when the two characters commit themselves to whatever lies ahead, namely a destiny as a result or consequence of their actions. However, a main difference is the fact that this is an almost instant reaction for Laertes but one which Hamlet commits to in Act I scene v but there is a delay and he does not seem to be ‘ready’ until Act IV scene ii. â€Å"Let come what comes† (Laertes Act iv Scene v) â€Å"mine is ready, now or whensoever† (Hamlet Act v Scene ii) However as many similarities as there are, the contrasts are more noticeable and at first glance are clearer and easier to perceive. Some would think Hamlet to be the cowardly avenger, this I feel portrays Laertes to be a more courageous character. Hamlet deliberately attempts to delay the revenge he seeks for his father’s death. He accuses himself of â€Å"bestial oblivion† and â€Å"over-speculation†. He seems to be less focused than Laertes and on occasion battles with his conscience. â€Å"To be, or not to be – that is the question† (Hamlet Act iii Scene I). Laertes on the other hand is very direct, consistent, and almost the single-minded avenger. He doesn’t seem to struggle with his conscience and is more than willing to accept the consequences of his actions. Laertes even states in act iv scene v â€Å"I dare damnation. To this point I stand, That both the worlds I give to negligence†. He really does not care what will happen to him providing his revenge for his father’s death is sort. This play was set in Elizabethan times, an era where attitudes were mixed and ambivalent towards revenge. This helps to truly appreciate this bold behaviour from Laertes. Revenge in these times was known to be against the church and condemned by God. Which in others words meant you would not meet with God after death and would have to deal with the devil damnation. However these attitudes were far more complex and did actually depend more on the circumstances as opposed to a ‘black and white’ theory. In Hamlet’s fifth soliloquy, he reflects on the repercussions of revenge, which is perhaps one reason for his constant dwelling and hesitation on the task of killing Claudius. Laertes does not in the slightest entertain these views. â€Å"When we have shuffled off this mortal coil, /must give us pause. There’s the respect/ That makes calamity of so long life. † (Hamlet Act iii Scene I).

Friday, August 30, 2019

Trade vs. Protectionism

Arjan Chhatwal Poli 305/4 ID: 6178332 International Political Economy Prof. E. Bloodgood Trade vs. Protectionism Trade between countries has been going on for centuries. Movement of goods and services began as a mean for nations to obtain what they couldn’t produce themselves.With the introduction of Ricardo’s â€Å"comparative advantage† – which illustrated how all countries that participate in trade benefit from it-, trade began to focus on what a country is better at producing a product or a service and which country can produce it at a lower cost. Nowadays, developed countries and international organization promote free trade, open borders, and liberalization of the market intensively. However, many of those core countries also practice protectionism in order to shield their industry from foreign competition.This poses a great problem to developing countries which are forced by core countries to practice free trade but would actually benefit from prote ctionist measures. In order to represent this situation, I will analyze the economic situation of two countries with very different economies: Pakistan, representing the developing countries and the United States, which represent the developed countries. I will compare their economic situation and policies under the Bush administration and Musharaf’s government.In this essay, I will demonstrate that our international economic system is very hypocritical in the sense that the countries that would benefit from and help other countries by practicing free trade are practicing protectionism, and those who would benefit from protectionism are forced to implement free trade policies. First, I will observe and describe those two main economic policies: protectionism and free trade.Then I will concentrate on the economic situation in Pakistan and the United States in order to illustrate what use countries are making of free trade and protectionism and, on the other hand, what face the y are showing to the world. Free Trade: A Market Model of Deregulation Free trade is a market model which promotes trade liberalization by the reduction of trade barriers. This model was promoted by the economist David Ricardo in the late 18th century and beginning of the 19th century. He coined the â€Å"comparative advantage† theory. Comparative advantage† is a theory that promotes free trade by demonstrating how trade between countries benefits all parties because of the different opportunity costs. Every country can produce a good at a cheaper price than another country and has to focus on producing and exporting that particular good. If all countries do so and specialize in the production of the good that is cheaper to produce in their country, they can trade those products with each other at lower costs than if they produced all of the goods themselves.Practicing free trade means the abandonment of government restrictions in the flow of goods, workers and services across borders. Those restrictions include taxes, quotas, tariffs, and subsidies. This economic model is based on deregulation and on the elimination of binding rules on corporations. Free trade also prohibits government to give financial advantages to businesses through tax cuts in order to make them more competitive against foreign industries. This results in the elimination of monopolies and oligopolies in countries by allowing full competition.However, negative outcomes of economic deregulation includes less respect and commitment to health, labor, and environmental laws and can help multinationals outcompete smaller local industries. Another important aspect of the free trading model is the principle of Most Favored Nation which basically requires all members of trading agreements to treat other members equally. Nowadays, the biggest promoter of Free Trade is the World Trade Organization, which claims that removing trade barriers would lead to the end of poverty around the wor ld.The WTO argues that in opposition to free trade, protectionism doesn’t help promoting economic expansion. Free trade policies, it is argued by the WTO and major developed countries, promote growth. The free trade model is used by the WTO to rescue developing countries and help them develop economically more efficiently. This means that in order to receive money from the WTO, developing countries are required to follow â€Å"adjustment policies†, also know as â€Å"structural adjustments†. Those policies all push towards economic liberalization.They include cutting back on social spending, devaluation of the currency, trade liberalization, removing price control and subsidies and privatization, better governance and elimination of corruption. The WTO argues that the benefits that the countries will get from free trade outweigh those costs, which include poverty and environmental costs just to name a few. The WTO actually admits that in the short-term, free tra de will lead to inequalities but in the end, the wealth accumulated by the big businesses will trickle down and most people will benefit from the free trade model.However, as J. W. Smith argues: â€Å"That current free trade is just as unequal as the mercantilist trade it replaced is easily demonstrated. The structural adjustments imposed upon weak nations as necessary for free trade are the opposite policies under which every successful nation developed. That they developed under the philosophies of Adam Smith is a myth designed to hide a continuation of plunder through unequal trades. †[1] The paradox here is that, more and more, the developed countries who promote free trade actually practice protectionism.The problem is that free trade can only lead to fair trade if every country practices it, especially core countries that have the means to practice free trade. Nowadays, however, developed countries promote free trade and force developing countries to practice it but the y themselves hypocritically practice protectionism. This penalizes poor countries who are not ready for the global market yet. It is also often noted that even if poor countries practice free trade, it won’t necessary lead to major successes.It obviously results in higher income but social inequalities remain in most cases. This can be called â€Å"Growth without social development†, and free trade is obviously not solving this tendency. Protectionism: A Regulatory Economic Policy Protectionism is an economic policy which restricts trade between countries by imposing economic barriers and policies. We usually tend to believe that protectionism is only a question of tariffs. However, government do have ccess to many other tools to protect their industries, including quotas, government regulations such as anti-dumping laws to protect domestic industries from competition of foreign enterprises, trade restrictions and exchange rate manipulation. Those policies make the pro duction of goods cheaper for the industry that is granted the money or the preferential treatment. Domestic industries can therefore sell their product outside of the country for cheaper. In that perspective, pprotectionism is an isolationist doctrine which, some argue, leads to unfair competition.The main goal of protectionism is to handicap foreign industry. This economic model is associated with neo-mercantilism, which main objective is to maintain a positive trade balance. Protectionism is often practiced by countries that seem to be free-traders, such as the United States and the UK, in order to protect their favorite or influential industries. â€Å"Rich countries’ protectionism† includes subsidies to local industries such as agriculture and textiles.Core countries have the funds to practice that kind of protectionism while developing countries that would actually benefit from protectionism are asked to deregulate their economy. â€Å"UNCTAD estimated that rolli ng back [rich country] protectionism in this area could create additional export earnings of up to $700 billion for developing countries, to be realizable over a 10-year period. This is less than 5 per cent of the combined GDP of industrial countries, but could absorb an important part of unemployed labour in the South and generate a vent for surplus†[2].It is often argued that developed countries are taking away from developing countries what helped them develop their own economy: protectionism policies. Protectionism is necessary to economic development in the sense that it helps build a strong foundation for a strong economy. Protectionism is essential for any developing countries to help their infant industries develop; become mature and competitive for the international market.It is hard for countries to enter market if they are forced to practice free trade; they may need help of protectionism policies in order to protect their infant new industries. The United Statesâ⠂¬â„¢ economy is a perfect example of what â€Å"rich countries’ protectionism† is. By examining its situation, it is easy to understand how developed countries show the face of a free trading nation but practice protectionism interiorly. The United States: The Face of a Free Trading Nation?The United States have always been a model of a Free Trade economy and have always promoted economic liberalization all around the world. When we observe the country’s practices and economic policies from the outside, it is clear that the USA is a firm believer in free trade. Indeed, the country is involved in many free trade agreements all around the world. Those include Free Trade agreements with Australia (2004), CAFTA-DR (2005), with numerous Latin American countries such as Chile (2004) and Columbia (2006), without forgetting NAFTA (1994).United States take great pride in its participation in international trade and promoting free trade between countries. Presently, inte rnational trade is primordial to the economy of the country and accounts for around a quarter of the USA’s GDP as it was mentioned by the Conference on a New Architecture for the U. S. National Accounts in 2004. Governmental economists all agree that Free trade agreements are necessary in order to promote rapid economic growth by increasing competition, cooperation between countries, and specialization.The United States follows Germany as the second most economically open country in the world. Inside a Free Trading Nation: A Hidden Protectionist Economy The United States takes good pride in proclaiming themselves as a non-discriminatory economy and a promoter of open global markets. While USA gives the image to the world of being a pure liberal economy, the country practices protectionism regularly, which shocks many trading partners and developing countries. This can be called the problem of the â€Å"Double Standard†.Rich countries promote the free trade ideology but in practice, they protect their own industry. This situation of double standard and of the USA promoting free trade but practicing protectionism was explained by the eleventh president of the World Bank, Robert Zoellick: â€Å"In order to promote free trade, the US has to manage the home front and the international front. And on the home front the only way that we can continue to get support from the American people for open markets and trade is to use our domestic and international laws to the fullest. †[3]For a society that calls itself a free-trading one, it is quite ironical and even hypocrite that, in 2002, Bush announced the imposition of new tariffs on several influential industries such as the steel industry and the agricultural sector. While developing countries, in order to please foreign investors and international economic agencies, keep on lowering their trade barriers, the USA has, over the last two years, increased its subsidies to farmers, raised tariffs on s teel imports, and still hasn’t agreed to sign the WTO agreement to the patent rights of its pharmaceutical companies.Since the election of George W. Bush, the economy of the United States has proven to be quite protectionist: â€Å"The steel tariff and the farm bill attracted the most attention, but they are part of a broader picture that includes the punitive (and almost completely unjustified) tariff on Canadian softwood lumber and the revocation of Caribbean trade privileges. When it comes to free trade, the Bush administration is all for it — unless there is some political cost, however small, to honoring its alleged principles†[4]Let us examine more in details the three most important policies of the last decade that can help us understand how the United States is giving an image of a free-trade economy but is actually practicing protectionism. The first and very striking example of this protectionism is the Bush administration deciding to protect its steel industry which has been facing very important economic problems because of the European Union competition. The second example would be the case of the automobile industry. The Japanese automobile industry has always been a strong competitor for the USA industry.This is why the United States imposed, from â€Å"In May 1981, with the American auto industry mired in recession, Japanese car makers agreed to limit exports of passenger cars to the United States. This â€Å"voluntary export restraint† (VER) program, initially supported by the Reagan administration, allowed only 1. 68 million Japanese cars into the U. S. each year. The cap was raised to 1. 85 million cars in 1984, and to 2. 30 million in 1985, before the program was terminated in 1994. †[5] The Farm Bill of 2002 also reflects very well the protectionist tendencies of the country.This Bill distributed more than $190 billion to USA farmers and agriculture businesses around the country, and this over the next 10 years. This Bill was passed in order to help the agricultural sector overcome the difficulties it faced due to international competition. Those subsidies will make it harder for foreign producers to compete against the agricultural industry: â€Å"Third World producers will find it harder to sell to the US market and, since the USA exports 25 per cent of its farm production, they will find it harder to sell in other international markets or to resist competition from US products in their home markets.The disposal of increased US surpluses as ‘food aid' is likely to compound the loss of livelihoods. †[6] While rich countries such as the United States can afford to practice protectionism, developing nations are forced to open their economy to free trade. Pakistan, the second country we will analyze in this essay is the perfect example of a country that would benefit from protectionism policies but is forced to liberalize their economy in order to receive funds from the W TO.The United States and Pakistan have been interacting on the international scene since the late 1950s, soon after Pakistan’s independence. This relationship has been successful but has also suffered from intermittent political conflicts, which reflects pretty well the complexity of the geopolitics of South East Asian region. After the events of September 11, Pakistan and the United States became even closer than before because the Bush administration relied on the help of Musharraf’s military dictatorship to eliminate terrorism in the region, mainly in Afghanistan which has a common border with Pakistan.The main difference between the United States during its early stage of development (1880s) and Pakistan’s development phase (late 1990s, 21st century) is that the United States weren’t dominated and repressed economically by major powers and international trade organization such as the IMF and the WTO, imposing economic liberalization and tariff limits on them. The United States weren’t subject to neo-colonialism like Pakistan is today. Protectionism in Pakistan: A Focus on the Textile Industry South Asia has long been seen as one of the most protectionist region in the world.As the World Bank states in the calculations of the GDP growth rates in the World Development Indicators, trade within the region accounts for less than 2% of the GDP which is minimal compared to 20% in East Asia. The region lacks diversity within the market and the products that are traded. In addition, most countries of the region, including Pakistan, still used up until recently import-substitution policies which limited trade possibilities within the region and outside the region. Trade was also hampered by political tensions, especially between India and Pakistan.Protectionism is Pakistan is mostly directed towards one of the most important industry in the country: the textile industry which accounts for more than 60% of the country’s expor ts. Pakistan under Musharraf saw the introduction of few protectionist policies concentrated towards this influential industry. In the policy speech of 2005-2006, the Minister of Commerce announced that all textile exporters that would â€Å"register their products with Pakistani Trade marks in foreign countries for export purposes will be provided subsidy equal to 50% of official fees of such registrations. [7]. Support to this important industry was instituted to help local businesses improve the quality of their product and compete against foreign industries in order to increase the Pakistanis textile industry’s market share. This protectionist policy was put in practice to reassure the industry, which was afraid after the quota restrictions were removed in 2005. It was also introduced to protect the industry from potential job losses and the loss of potential export if the textile industry wouldn’t reinvent itself.The 2005-2006 trade policy speech focused on allev iating costs for Pakistanis businesses in order to make the local industries more competitive on the international scene. Protectionism can also be practiced in the form of tax exemption for local industries. Musharaf’s government in the Federal Budget of 2005-2006 granted tax cuts to prominent industries in the country, including textile industry, sports goods, carpet industry, leather, and surgical instruments. In addition, the imports of necessary materials for these industries are also exempted from duties.Pakistan’s Economy: A Forced Free Trading nation Trade liberalization in Pakistan began in the late 1980s and developed even more during the 1990s under Musharraf’s military government. Today, Pakistan is part of various trade agreements, all leading to economic liberalization. Those include the Pakistan-Malaysia Free Trade Agreement, Pakistan-China Free Trade Agreement, Pakistan-Sri Lanka Free Trade Agreement, Pakistan-Malaysia Early Harvest Program, Paki stan-China Early Harvest Program and Pakistan-Iran agreement.When I briefly presented free trade, I mentioned the â€Å"growth without development† problem that developing countries face nowadays. This is a tendency to grow economically but without promoting social development. It is the result of free trade and is perfectly well illustrated by Pakistan’s situation. The more recent budget of Pakistan is mirrors this tendency, by showing commitment to neo-liberal policies, IMF led-policies. The budget focuses on pleasing the developed countries and on macro-economics rather than on developing the country itself. The budget focuses on the military which accounts for 20% and repaying the debt, 31%.Trade liberalization has been, since Musharraf’s entry in power, another priority within the budget. As the World Bank argues, liberalizing the Pakistanis economy would lead to an increase of 8$ billion if trade barriers were lifted. â€Å"Annual trade between India and Pakistan, the bulk of which is routed through Dubai, is currently estimated at US$1 billion, but could be as great as US$9 billion if barriers are lifted. †[8] In 1999, the Asian Development Bank granted a 300$ million loan to support the Government's Trade, Export Promotion and Industry (TEPI) Program.This program was approved by the ADB, the World Bank and the IMF because it was based on liberalization of trade in Pakistan. TEPI is based on the elimination of nontariff barriers and on the increased access for exporters to the Pakistani market. This program was basically created to end import substitution policies and promote exports by giving as many advantages to local industries as to foreign companies. This program focuses on the privatization of industries and meets all criteria stated by the World Bank concerning quotas, subsidies, and customs.This facilitates foreign investors and promotes economic growth, proven by the fact that â€Å"After more than three decades of near stagnation in per-capita incomes during 1950–80, South Asia showed signs of growth beginning in the 1980s that accelerated in the 1990s and beyond. †[9] Pakistan’s economy used to be based on import substitution and was very little diversified. Taking into consideration those obstacles to trade, the Pakistani ministry of Commerce instituted a program based on diversification of exports and market opening for an increased access to facilitate trade.Pakistani economy has continuously followed WTO required adjustment of liberalization in order to remove trade barriers and obstacles to import. Following the WTO rhetoric, the government argues in favor of opening the market because in order to increase its exports, the country has to encourage imports as well as stated in the trade policy speech of 2005-2006: â€Å"It must be realized that no country has been able to enhance its exports significantly without liberalizing its import regime. †[10] Following this path, exports did increase consistently as well as imports which reached $20. 23 billion at the end of last year according to that same Trade Policy Speech. The irony that we face after having analyzed the economic situation of both countries is that the now-developed countries benefited during their development from an active state that helped them build their industries and protect. As the 1995 OECD Report showed, developed countries achieved growth starting in the 1950s under very protectionist states. â€Å"The unprecedented growth in per capita income in several developed countries during the period 1950-1973, was also achieved under activist states.When they followed the ‘bad' policies of establishing full welfare states with stricter financial market regulations, corporatist wage bargaining institutions, investment co-ordination and in some cases nationalized industries, even the now developed countries saw an exponential increase in their own growth. †[11] However, countries that wish to develop nowadays are required not only to practice free trade but not to use protectionism policies. This is unfair in the sense that they have to develop in an environment that doesn’t promote or help their growth.Developing countries would benefit and even need higher tariffs and trade barriers in order to protect their industry from the more and more competitive and aggressive trading environment. This current tendency is referred to as â€Å"kicking away the ladder†. Core countries act the way they do to ensure their domination over developing nations and keep the poor countries in a vicious circle, as they remain dependant on export of primary and raw materials, not being able to move up the trade ladder. This harms developing countries that struggle in this free trade world economy.In addition, imposing free trade on developing nations actually illustrates the focus of the WTO on short-term benefits and forgetting about the import ance of long-term goals such as deepening the industrialization of the periphery countries. The imposed policies of the WTO prevent the developing countries of using protectionist policies to help their industries develop. Several experiences have already proven that the pressures to liberalize countries’ economy can do more harm than good to new economies.Nonetheless, the WTO continues to force developing countries to open their market and reduce their trade barriers. Liberalization and free trade, although they have great outcomes for developed countries, also lead to greater inequality between the core and the periphery. â€Å"According to one estimate, the Uruguay Round’s combined liberalization increased global economic welfare by $75 billion, of which almost $70 billion went to developed countries, $5 billion to Newly Industrialized Economies (NIEs; Korea, Singapore and Taiwan), and none to developing countries taken together. [12]. Even with such numbers, devel oping countries are still forced to join the free trade movement and the WTO and developed countries continue to promote the benefits of free trading. Today, while the IMF and the WTO force developing countries around the world to practice free trade by reducing trade barriers, Pakistan included, the USA keeps on to implementing protectionist policies in order to save industries in danger or suffering from temporary discomfort.This leads to a greater gap between the productivity of developed and developing countries. The factor that is important to note here is that today’s developed countries once protected their industries behind protectionist policies, but are now promoting free trade in countries that are trying, just like they did, to succeed economically. The developed countries of today reached their economic prosperity through protectionism economic policies, and then started practicing free trade.This irony now rules international trade. It is clear that there is a p roblem concerning trade between countries in the sense that there is an inequality in the terms of trade imposed on developed countries and developing countries. Free trade can only lead to prosperity if all countries benefit from equal treatment. Even then however free trade can lead to economic prosperity but won’t necessarily lead to social development, which is what developing countries need the most.

Thursday, August 29, 2019

Global war wine Essay

The global wine industry is being influenced by a number of factors including consumer demand and changes in the way wine is produced and sold. There has been a shift in the perception of wine in the past half-century as consumers and producers have migrated away from the Old World philosophies to the modern-thinking the New World has brought about. By the 1990’s the average consumer’s palate changed – especially here in the U.S. where consumers were more apt to look for the premium ($7-14) and super-premium ($14+) wines. By this time, there was a drop in consumption in countries that traditionally consumed a great deal (France, Italy, Spain, Argentina, and Chile) while demand in other countries increased (U.K., Canada, Belgium, and some Asian countries). Wine consumption was now becoming truly â€Å"global† and New World producers had the means to handle demand. Shipping overseas was now a cost-effective way to transport wine around the globe allowing consumers even more choices of quality wines. Therefore, one of the most important factors in how the wine industry is changing is in the education of the wine consumer. And consumers now can look at a bottle of wine and tell the type of wine and the region they came from along with the date bottled. 2. How did the French become the dominant competitors in the increasingly global wine industry for centuries? What sources of competitive advantage were they able to develop to support their exports? Where were they vulnerable? French wine producers became the dominant competitor as a result of four reasons. First, their geographic and climatic featuresplayed significant role. As France is in the middle of Europe culture with suitable climate and soilcondition for harvesting grape, had accrued first-mover advantage and established its place as thedominant competitor in the global wine industry. Second, they became the first high-quality winemarket and gained a lot experience. Especially, the negociantstraded wine between France and othercountries and this worked as word-of-mouth effect, increasing the reputation and dominance of Frenchwine. Third, they used the latest innovations such as mass production of glass bottles, the use of cork stoppers and pasteurization. These innovations increased the stability and longevity of wine whichallowed the transportation of wine to distant places, and birth of global wine market. Lastly, the government support made significant effect on the reputation and improvement of French wineindustry. The sources of competitive advantage that they were able to develop to support their exports is to keen to taste and tradition in the production of wine (strongly tight to the French culture), artistic and historical talent and expertise in wine making and well located as to the high demand markets such as England,.. The main vulnerable aspects of French wine industry were highly fragmented vineyard and wine production, increasing vineyard prices per acre, complex distribution and sales system, long multilevel value chain, risk of bad weather and disease; and poor roads and complex toll and tax system. Also, they lack of rational assessment of their place comparing to other countries and they do not have any marketing plan or strategy.

Psychology Essay Example | Topics and Well Written Essays - 500 words - 8

Psychology - Essay Example In his book ‘The Interpretation of Dreams’, Sigmund Freud argued that the foundation of all dream content is the fulfillment of wishes, conscious or not. The theory explains that the schism between ego and id leads to "censorship" of dreams. The unconscious would "like" to depict the wish fulfilled wholesale, but the preconscious cannot allow it — the wish (or wishes) within a dream is thus disguised, and, as Freud argues, only an understanding of the structure of the dream-work can explain the dream. In every dream in which he attempts to do so, he is able to establish a multitude of wishes on a variety of levels — conscious wishes for the immediate future. (Freud, 59) According to Freud, our dreams are important and meaningful in understanding the causes of our problems, hidden issues, and painful issues we cant face during wakefulness. Freud identified two types of content in our dreams; latent content and manifest content. Manifest content is all the parts of the dream that we remember (the actual content). Its not the stuff we associate with our dreams, but the actual story lines of the dreams. This is regarded as Manifest Content. On the contrary, dreams have two types of content, each of which contains different meanings to the dreams. One of these type of content is latent content, which is the underlying, more hidden, but true meaning of a dream (as opposed to the manifest content). Freud believed that the latent content was somehow censored by the subconscious which was a way to protect us from the real meanings of the dreams. This was necessary because the dream content may be difficult for people to deal with, so people disguise the rea l meaning. However, Freud believed that when people were in conflict, if he could uncover or get to the latent content, then he could identify the persons problem and resolve their conflict. This is regarded as Latent Content. Similarly, the sexual motivator is that part of the

Wednesday, August 28, 2019

Summary Movie Review Example | Topics and Well Written Essays - 500 words - 2

Summary - Movie Review Example Anyone who watches this documentary will surely realize that this war was an absurd one because its outcome was very obvious-America, who initiated the war, only won because Spain was a very weak enemy. The documentary shows how the America found a new channel in its first overseas war. As the events of 1898 disclosed, Americans started to become anti-Spain due to the ways Spain used to suppress the rebel army of Cuba. Gradually, the support for a war to purge the Cubans of the Spanish domination grew. The documentary investigates the role played by sensationalist journalism in the war. It pays special scrutiny to the then editor of The New York Journal, William Randolph Hearst. Apparently, Hearst recognized the scope for national fame, as well as the sale of newspapers, that the coverage of a war with Spain would provide. Thus, with this came the existence of the first hostile propaganda in the history of modern media; by putting all the blame on Spain, Hearst increased pro-war opinions and made sure that the hesitant President agreed. However, not all the Americans, especially African-Americans, supported the war. Some of the African-Americans believed that it was wrong for them to fight for the sake of their oppressors. Others believed that their contribution in the war would make things better for their race. However, those who took part in the race were subject to racism and anti-black violence. America won the war easily within weeks. Spain gave up its tyranny over Cuba and handed Guam, Puerto Rico and the Philippines to America after the dispute was settled by the Treaty of Paris. However, instead of rescuing the rebels of Cuba and Philippines, America simply replaced Spain-months later it fought its own provincial war against Filipino rebels. America kept interfering with Cuban matters till 1934, leaving behind feelings of anti-Americanism. Crucible of Empire perfectly

Tuesday, August 27, 2019

Restraint reduction program for stroke patients Assignment

Restraint reduction program for stroke patients - Assignment Example in Amato, Salter, &Mion, 2006, p.237). In this paper, I shall put forward a prospective Quality Improvement program – a multi-component Restraint Reduction Program (RRP) for the stroke rehabilitation unit in our hospital as part of my effort to enhance patient outcomes over here. Emergency cardiac and stroke attacks have become the third major cause of hospitalization and death after cancer and heart disease in America. It has been reported that 8, 00, 000 Americans become the victim of stroke every year which calculates to an average of one American suffering from a stroke every 40 seconds. In fact, stroke accounts for 1, 40, 000 deaths every year and the reason behind other 1, 00, 000 deaths each year in this country. Stroke patients generally suffer a sudden loss of brain abilities such as loss of consciousness, change in behavior, disorientation, dizziness, trouble in moving hands, arms, and legs, difficulty in talking, understanding, or, severe headache. Stroke patients i n acute care settings generally have a high risk of falling or agitated behavior which needs to be handled appropriately. The stroke treatment procedures necessitate every health care provider to identify potential stroke patients and have specialized knowledge, practical experience and the required tools for treating them efficiently. Moreover, it has become urgent for every health care center and acute rehabilitation unit taking care of stroke patients to be equipped with the essential services, techniques and workforce for providing the best treatment (Katz, n.d). For the purpose of enhancing the treatment, I would like to introduce a QI program – a multi-component Restraint Reduction Program in one of our acute rehabilitation unit, the stroke unit. Physical restraints have been constantly used by nurses in acute stroke care settings to avoid falls, to control agitation and to handle impulsive behavior. Although physical restraints have been found to be beneficial, their a dverse effect which may even include death of the patient is a matter of concern. According to various studies, restraint reduction programs have been successful in decreasing restraint use along with maintaining patient safety of stroke patients in both acute care and long term settings (Amato, Salter, &Mion, 2006, p.235). The basis of this QI program, RRP, will be the implementation of a multi-component intervention strategy which could greatly reduce the use of physical restraints and decrease fall rates through a secure and successful approach in the stroke rehabilitation units. The primary aim of the RRP will be to lower restraint use by 25% and to sustain fall rates lesser than 10% above the baseline. The interventions in the RRP were adopted from successfully employed restraint programs in different acute care settings. For the purpose of execution, a planning committee will be formed which will include clinical nurse specialists, unit nurse managers, nurse patient-care coord inators, physiotherapists, occupational therapists and the staff nurses. To achieve the set target, this plan will be primarily including four main arenas – administrative support, education, consultation and feedback (Amato, Salter, &Mion, 2006, p.236-237). Administration Before the execution of the program, it is

Monday, August 26, 2019

Bauhaus Architectural Style Research Paper Example | Topics and Well Written Essays - 500 words

Bauhaus Architectural Style - Research Paper Example Besides functionality aspects, Bauhaus style favored the geometric elements of regularity and symmetry over asymmetry. As aforementioned, creation of optimal space in Bauhaus objects was achieved through cubic shapes, and occasionally pyramidal shapes. In addition, rounded corners were avoided as much as possible, as seen in Bauhaus cradle. Primarily, facades met at right angles, and auxiliary features like curvy handles were scarcely added. Technically, cradles developed in other periods like the Baroque not only occupied more space, but their facades were also irregular and asymmetrically aligned. However, facades possessed by Bauhaus items like the cradle were relatively regular. In the cradle’s image below, the front regular triangular facades corresponds to the hind triangular. Essentially, Bauhaus architectural style employed social aspect of optimal functionality, and economic principle of cost minimization in design and construction of artworks. Below is an image of th e famous Bauhaus cradle. Historically, Bauhaus was introduced and gained immense popularity during the early 20th century, specifically before the rise of Nazi Germany. However, primary features of Bauhaus architectural style are still observable in modern styles. For example, the Seagram Building in New York City is characterized by two features; a flat roof symmetrical to the building’s floors, and right-angled edges. Historically, Bauhaus was introduced and gained immense popularity during the early 20th century.

Sunday, August 25, 2019

Media and communication Essay Example | Topics and Well Written Essays - 1000 words - 1

Media and communication - Essay Example Gerbner’s therefore insists on the economically-determined nature of media violence, this he says undermines our chances of realizing effective reforms in the media. George Gerbner urges the society to think about the impact in complex and new ways and that media violence causes real world violence and therefore encourages us to think about the political, psychological social and development effect of growing up and living within a cultural environment of persistent, ritualized violence images (Gerbner, 1990). He mainly focused his theory of the content of our TVs and the impact of the content on the growing population of the children and the highly growing population. The cartoon network shown to most of the children on the Saturday was his major point of argument where he argue that the viewers are highly affected by what they watch and if they watch violent things on the TV then they will automatically become what they see and that violence comes with power and therefore ou r children will follow suit. Cultivation theory is a social that scrutinizes the long-term impact of television. It proposes that full television exposure produces a world of ideas and mental content that is similar and biased toward reality as is portrayed in media content. The main proportion of cultivation theory states that the more time people spend living in the television world the more they are likely to believe in social reality depicted on televisions and therefore tends to leave people of the misperception of what is true in the world. According to this theory, those who view television are cultivated to view reality the same as what they watch in the television. Most of the television shows are normally very easy to access and very easy to understand and for this reason they provide very easy means through which people socialize within the society without these people considering the social dangers caused by these programs

Saturday, August 24, 2019

A breakthrough drug Essay Example | Topics and Well Written Essays - 500 words

A breakthrough drug - Essay Example A group of scientist under the supervision of NH Director Francis S. Collins reported that the drug Everolimus have the capacity to clear out the protein Progerin from theses children’s body. Everybody’s body produces progerin a mutated form of protein lamin A, which is important for the organizing of the genome contained in the cells of the body. There is number of research which shows that progerin in the body of people accumulates as they age. The studies have also reported that, the drug Everolimus also cut back the protein progerin from the body of healthy man and also prolonged their cell life. On study with mice, Everolimus which is a derivative of immunosuppressant rapamycin, has shown to extend the life span. With a control on cycling process of protein progerin, the drug Everolimus helps in controlling the aging process. The recycling of the progerin is possible because of the ability of this drug to clear toxins from the cells of the body. The FDA approved Everolimus on May of 2011 as a drug to fight the aging process of cell progerin . According to (Rockfeller)â€Å"The Hutchinson-Gilford Progeria Syndrome, also known as Progeria, is a genetic disease that affects small children and toddlers causing them to age prematurely†. Eventhough this drug treat the patients from outside the underlying disease which is genetic remains. However, the drug Everolimus treats the patients and reduces 50% of chances of getting the disease again. This medicine treats 50% of the cell but still there is underlying chance of getting the disease again. Progeria is a rare disease which affects the children, and even children and adults with brain tumor and other carcinogens can be cured with Everolimus. The diseased child has an increased amount of protein A and thus causes disruption in the working o f the cells in the body. The everolimus has got a trade name which is â€Å"

Friday, August 23, 2019

Information Security Planning Essay Example | Topics and Well Written Essays - 750 words

Information Security Planning - Essay Example The company needs to be prepared to combat virus attacks, ingress of unsolicited visitors and possible attacks by competitors on the company's information bank. To provide a safe and working repository of information, it is essential that the company has a well planned security policy in place. 2. The information security should be compliant to IS 17799 standards. This would bring about periodic security audits and would also ensure that there is a clear security policy in line with the objectives of the company. 3. To ensure that there is well defined acceptance criterion and milestones for every security measure and that this adhered to. And that these criterion and the mile stones are in line with the cost and budgeting dictated by the management of the company and to develop a comprehensive information security education policy. 4. To ensure that the company is in a state of readiness to combat potential disasters. Prevention and identification of crime, fraud and theft in the work place by ensuring both physical and logical security. A security review or audit is done to identify the existing security, the degree of protection needed, locate the weaknesses in the system and recommend security steps that are needed. This should also throw out information that has to be secured. Out of the list of jobs that need to be done for the security betterment a priority list is to be made in order of importance for security and the tentative cost for effecting the same. Priorities are laid down based on the company objectives and policies that are critical to company targets. In some of the locations, virus attacks could be frequent and these need to be countered on a priority basis may be because they are eating out on the productive time of the employees of the company and data get lost. In some cases, it might be that the data is getting out of the company through physical means in the form of CDs or flash drives. 3 Establish the feasibility of implementing. A comprehensive list of jobs that has to be carried out and their feasibility in the company needs to be established and accordingly 'what-is-possible' list is produced. 4 Identify whether the planned actions will fit into the budget. Based on the priority and the feasibility list the plan is further fine tuned with another constraint namely, the budget. If the budge should allow then the needed actions may be done, else they get pruned. 5 Need for security is to be fixed. Based on all these factors, the needs for the security is finally fixed and then the requirements are made into one single list. 6 Fix the responsibility for implementing. Using this list, it is important that the responsible person for each activity is fixed and the same is implemented through that specific person. 7 Train the people in the company and create a secure culture. In order to ensure that the implemented security measure continues to bear fruit, the employees of

Thursday, August 22, 2019

Value chain analysis for Starbucks in Australia Essay

Value chain analysis for Starbucks in Australia - Essay Example The practice had helped the Starbucks to maintain quality over the years. However, it increased the dependency on the farmers and the variations in the productions affected the company. This made the price of the coffee in the Starbucks higher and the business was rendered unprofitable. In the case of Australia this was one of the factors for the closure of various shops. (Starbucks Coffee Company, n.d.) Operations: In the case of the Starbucks in Australia, the company operated as in the case of the other countries. There were no modifications of the products and no efforts were made to make the products suit the needs of the people in Australia. The ambience of the stores were similar to that of the other parts of the world which did not provide additional value to the customers in Australia. The main factor for the success of Starbucks in the other parts was the essence on â€Å"coffee culture†. However, in Australia, the â€Å"coffee culture† was already in place and the company could not provide extra facilities to the people. (Why Starbucks failed in Australia, 13th August, 2008) Outbound logistics: The Starbucks operates through the chain of stores in the other parts of the world. In the case of Australia, the company opened over 80 stores that were placed in the urbanized areas. The expansion never took of in a big country like that of Australia and the company had presence only in some of the pockets. (Starbucks goes cold in Australia, 29th July, 2008). Marketing and Sales: Starbucks is a well known brand all over the globe. However, surprisingly, the company has never resorted to the aggressive marketing policies. In the case of Australia, the company never marketed the brand aggressively and there were campaigns like the â€Å"red cups on cars† where starbucks cups were placed on top of cars and taxis. The company depended on the â€Å"word of mouth†

Development of Complex Societies Essay Example for Free

Development of Complex Societies Essay In the early stages of the development of complex societies, many different factors had a powerful impact on the way the societies developed. In some areas of the world, religion was the primary force that led to the creation of organized societies. Other areas developed on trade routes that made it necessary to develop complex societies to incorporate the growth of different economic classes and the wealth they generated into the structure of the government. In each part of the world where complex societies emerged, the communities were responding to different types of challenges and the complexities each society created forced them to confront new challenges which then led to the great, complex societies of history. The urban society of Mesopotamia developed because of the engineering discoveries that allowed residents of the area between the Tigris and Euphrates to increase food production, while the predictability of the Nile River allowed the Egyptians and Nubians to build large, complex societies around their commercial and religious activities. Many simple early societies were based around farming. Through cultivating crops and the land, people learned they could settle down in one place instead of being nomads and support a larger population of people. These villages needed a social structure, but their sizes were limited by the amount of food they could produce. In Mesopotamia, especially Sumeria and Babylon, there is not much rainfall, but farmers learned they could artificially irrigate their crops using the fresh water in the Tigris and Euphrates rivers[1]. The large-scale engineering projects required greater social organization than the simple farming communities that came before, but they also resulted in increased food production that allowed them to build cities. The urban centers that resulted required more sophisticated organization to make sure that the population was productive: that building projects could be completed, that resources were distributed fairly, and that the city could continue to grow[2]. The division of labor also created different economic classes, which resulted in various social classes as well. Some merchants grew wealthy catering to customers who came to the city from other places, and community building projects required supervision, organization, and funding[3]. Such a large society could not exist as small farmers trading with one another. Political authority was needed to maintain order between the citizens and protect the interests of the entire community, especially the cropland that existed outside the city walls. An example of the way that authority influenced society is the codification of laws by Hammurabi, especially as they related to family relationships and how husbands could treat their wives. Upper-class people whose marriages represented political and economic alliances were subject to the same law, so that even if a husband had a right to punish his wife for a suspected affair, he could not do anything to her unless he caught her in the act. If he did act out on his jealousy, he would be punished. Hammurabi’s laws treated women like the property of their husbands and fathers, but they also described certain standards of behavior that citizens should be expected to follow for the sake of stability and to reign in people’s behavior[4]. The innovation of urban development also led to the Sumerian creation of military power, as each city-state had to protect its farmland and irrigation projects from one another and from outside invaders. Once the city-states had organized themselves into relatively peaceful social organizations united under a single government, their growing populations often led them to go out and try to conquer other city-states or areas with more resources to increase their wealth[5]. In Mesopotamia, the social organization created in the first cities led to the establishment of the first empires. Along the Nile River in northern Africa, small city states also emerged due to the increased production of food that agriculture made possible. Agriculture first developed in Sudan, where people first cultivated wheat crops and domesticated animals that roamed the grassland. The growing populations made these cities into cultural and commercial centers, as well, and they also required political authority to keep the peace and maintain the functioning of all of the complex institutions of a city: dividing up resources, keeping the peace, and protecting their resources from other city-states[6]. These cities were often ruled over by Kings who were not only thought of as political authority but were also considered to be divine themselves, so they also held a great deal of religious authority[7]. Over time, the grasslands became desert and agricultural activity centered along the floodplains of the Nile River in Egypt and Nubia. Egypt, particularly, had a very wide and predictable floodplain which attracted immigrants and allowed the population to grow. United under one ruler, who was also considered to be divine, Egyptian society became increasingly complex. Massive amounts of resources, especially wheat from the fertile harvests, had to be dealt with, marketplaces had to be managed, and armies had to be raised to protect the fertile land from invaders. The main organizing force in Egyptian society was its strong religious component. The Pharaoh was considered a god as well as a king, and the religious power he held was just as important as the political power. The colossal building projects that the Egyptians embarked on, such as the pyramids and temples, required a very complex society and highly skilled workers and engineers[8]. They developed a very complex writing system not only to keep commercial records, but also to record their spiritual beliefs and the history of their empire. Harkhuf used it to document his exploration of Nubia and opening of trade routes there, showing the high levels of complexity that each of those societies had risen to[9]. Both the African and Mesopotamian civilizations developed out of small farming communities who practiced small-scale agriculture. In both areas, advances in agriculture led to increased populations living in densely-populated cities, which allowed the people to divide labor and specialize in different things. The division of labor led to advancement in almost every area: from engineering and agriculture to art and, especially, the political organizations that organized the whole society and made all of those things possible. Both civilizations developed writing systems, originally developed to keep records, but soon used to express imaginations, beliefs, and to write down the histories of their nations. While Mesopotamian cultures were organized around the complex building projects needed to irrigate their fields, societies in the Nile River had other pressures. Their cropland was regularly fertilized and irrigated, so their complexity developed out of a need to organize the wealth of the city-state and the empire that came as a result. Without the pressure of constantly trying to keep their crops irrigated, the Egyptians organized around religious beliefs, which they expressed in their greatest building projects and influenced almost everything they did. The pressures that led smaller societies to develop more complex structures were different in each case, but they both resulted in the building of the first great cities which are necessary for the political, social, and technological innovations of complex society. Although the places they lived were very different, the Sumerians and the Egyptians both developed writing to record their progress, political innovations to maintain control of growing populations, and laid the foundations for great building projects and the great civilizations that would come after them. Bibliography Bentley, Jerry H. and Ziegler, Herbert F., Traditions and Encounters Vol. 1 from The Beginning to 1500, 5th ed. New York: McGraw-Hill, 2010 [1] Jerry H. Bentley and Herbert F. Ziegler, Traditions and Encounters Vol. 1 from The Beginning to 1500, 5th ed. (New York: McGraw-Hill, 2010), 25 [2] Bentley and Ziegel, Traditions, 27 [3] Bentley and Ziegler, Traditions, 33 [4] Bentley and Ziegler, Traditions, 36 [5] Bentley and Ziegler, Traditions, 29 [6] Bentley and Ziegel, Traditions, 50-51 [7] Bentley and Ziegel, Traditions, 52 [8] Bentley and Ziegel, Traditions, 53 [9] Bentley and Ziegel, Traditions, 56

Wednesday, August 21, 2019

Types Of Cogeneration System

Types Of Cogeneration System Cogeneration which is also known as combined heat and power, can be described as two different forms of energy being generated from one single energy source. These two different forms of energy are usually thermal and mechanical energy. These two types of energy are then used for different functions. The mechanical energy is usually used to produce electricity through an alternator, or else to work rotating equipment such as compressors, motors or pumps. Thermal energy on the other hand can be used for the production of hot water, steam, hot air for dryers or also another typical use is for chilled water for process cooling. The main advantage of cogeneration is the overall efficiency of energy, which in some cases can be as high as 85 per cent. Another advantage of cogeneration is also the fact that it helps reduce the emissions of greenhouse gases and pollutants. Therefore, cogeneration is basically the use of a heat engine or else an entire power station to generate both electrici ty and heat simultaneously. A fact is that all power plants emit a considerable amount of heat during the process of generating electricity. Therefore, by using this fact, cogeneration is used to capture and use some, or even in some cases all, of this emitted heat for heating purposes. Types of cogeneration systems These days, a number of different cogeneration systems are used, namely the following: Steam Turbine Cogeneration System Internal Combustion Engine Cogeneration System Gas Turbine Cogeneration System Steam Turbine Cogeneration System Two different types of cogeneration systems are widely used, which are: The backpressure steam turbine The extraction condensing type steam turbine One would have to make a distinct choice between the two. This choice depends on a number of factors, which include the quantities of power and heat, economic factors, as well as the quality of heat. Also, another type of steam turbine cogeneration system is the extraction back pressure turbine which is normally used where the end result needed in thermal energy at two different temperature levels. On the other hand, the condensing type steam turbines are usually used when the heat rejected from a process will be finally used to generate electricity. So why use steam turbines and not any other type of prime mover? This would give the user an option of using a large variety of conventional and alternate types of fuel, such as biomass, fuel oil, natural gas, as well as coal. In order to optimize heat supply, the power generation efficiency of the cycle in some cases may not be as good. Steam turbines are therefore mostly used in cases where the demand is greater than 1MW up to hundreds of MW. Therefore, due to the inertia in the system, steam turbines are not suitable for areas with intermittent demand. Internal Combustion Engine Cogeneration system When comparing to other cogeneration systems, this system has a higher power generation efficiency. The two sources of heat for recovery are the exhaust gas at high temperature as well as the engine jacket cooling water at a low temperature. This type of system is more widely used in areas and facilities which consume a small amount of energy because heat recovery is efficient for smaller systems. Therefore it is widely used in facilities which have a greater need for electricity than thermal energy and also in places where the quality of heat required is not high. Even though the most common type of fuel used is diesel, this type of system can also operate with natural gas or heavy fuel oil. Another fact about this type of system is that, unlike gas turbines, it is not sensitive to changes in ambient temperature, therefore this makes it an ideal machine to use for intermittent operation. Gas Turbine Cogeneration Systems Gas turbine cogeneration systems can be used to generate all or in some cases part of the actual requirement of energy needed by the plant. In this type of system, the energy released at high temperature through exhaust can be recovered and used for certain applications of heating and cooling. Even though the most common means of fuel used is natural gas, in some cases other fuels like light fuel oil and diesel are also used in such a system. The range of gas turbines usually varies between a few MW to 100MW. Due to certain factors such as a greater availability of natural gas, a big reduction in installation costs, greater environmental performance, as well as a fast and large progress in technology, gas turbine cogeneration systems are the best developed systems in recent years. The following are some advantages of using a gas turbine cogeneration system: Gas turbines have a short start up time Gas turbines provide flexibility of intermittent operation At high temperatures, more heat can recovered Also, in case of the heat output being less than what is required, and in order to ensure that the thermal output efficiency is kept high, natural gas is used by mixing additional fuel to the exhaust gas. In the case of more power being required at the site, it is also possible to use what is called a combined cycle, which entails a combination of both steam turbine and gas turbine cogeneration. The steam which is being generated from the exhaust gas of the gas turbine is passed through either a backpressure steam turbine or an extraction condensing type steam turbine, which in turn will generate more power. Also, the exhaust from the steam turbine will also provide an amount of required thermal energy. Classification of system How does one classify a cogeneration system? These systems are usually classified according to the sequence of energy use as well as the operating procedure used. Therefore, a cogeneration system can usually be classified as either one of the following: A topping cycle A bottoming cycle The system is known as a topping cycle when the fuel supplied is first used to produce power, and then later in the process to produce thermal energy. The thermal energy in the system is used to satisfy process heat or other thermal requirements. Topping cycle cogeneration is the most widely used type and is nowadays the most popular type of cogeneration system. On the other hand, in a bottoming cycle the primary fuel is used to produce thermal energy at a high temperature. The heat rejected in the process is then further used to generate power through a recovery boiler as well as a turbine generator. Nowadays, bottoming cycles are widely used for manufacturing processes that require heat at high temperatures in furnaces, and also reject heat as very high temperatures. Even though they are used in the list mentioned below, bottoming cycle plants are less common and not used as much as topping cycle plants. A bottoming cycle is used in the following types of plants: Cement industry Steel industry Ceramic industry Gas and petrochemical industry Topping Cycle Cogeneration Systems Combined Cycle http://htmlimg1.scribdassets.com/73nqb7y9fk14zby9/images/6-c5da667d2f.jpg Extract from http://www.scribd.com/doc/65871557/Cogeneration This type of system includes a gas turbine or diesel engine which produces electrical or mechanical power followed by a heat recovery system/boiler which is used to generate steam and drive a secondary steam turbine. Steam Turbine http://htmlimg1.scribdassets.com/73nqb7y9fk14zby9/images/6-c5da667d2f.jpg Extract from http://www.scribd.com/doc/65871557/Cogeneration This type of system generates electrical power as well as process steam by burning fuel to produce high pressure steam, which is then passed through a steam turbine to produce the power needed, as well as using the exhaust from the turbine as low pressure process steam. Internal Combustion Engine http://htmlimg1.scribdassets.com/73nqb7y9fk14zby9/images/6-c5da667d2f.jpg Extract from http://www.scribd.com/doc/65871557/Cogeneration This type of system includes heat recovery from an engine exhaust and jacket cooling system flowing to a heat recovery boiler, in which it is converted to process steam or hot water for further use. Gas Turbine http://htmlimg1.scribdassets.com/73nqb7y9fk14zby9/images/6-c5da667d2f.jpg Extract from http://www.scribd.com/doc/65871557/Cogeneration This type of system is known as a gas turbine topping system. A natural gas turbine drives a generator to produce electricity. The exhaust from the turbine is passed through a heat recovery boiler which is used to generate process steam as well as process heat. Bottoming Cycle System http://gotoknow.org/file/khunchailek/topping.gif Extract from http://www.gotoknow.org/blogs/posts/183558 In this type of system, fuel is burnt in a furnace to produce synthetic rutile, which is a mineral. The furnace produces waste gases which in turn are used in a boiler to generate steam. This steam is then used to drive a turbine to produce electricity through a generator. Selection of cogeneration system The following factors are taken into consideration when trying to select what type of cogeneration system should be used: Base electrical load matching Base thermal load matching Electrical load matching Thermal load matching Heat to power ratio The quality of thermal energy needed Load patterns Fuels available Trigeneration Trigeneration is known as the process of generating three different types of energy in a combined manner. These three different types of energy are electricity, heat and cooling. All these are simultaneously produced from a fuel source referred to as combined heat power and cooling. Therefore, in other words, trigeneration takes the process of cogeneration of heat and electricity to another level, with the utilization of wasteheat for purposes of cooling with the use of an absorption chiller. A trigeneration system is basically the integration of two types of technology, namely the cogeneration system as well as cooling technology which is done through compression or absorption systems. As mentioned earlier in the document, the two most widely used types of cogeneration are through gas reciprocating engines and combustion engines. Though, fuel cells are also being used in the integration of trigeneration. Natural gas, due to being reliable, having low environmental effects, having low maintenance costs, as well as being efficient, is currently the best fuel to use for trigeneration systems. It is also widely used due to the fact that it burns so efficiently in the combustion chamber ensuring lower emissions of pollutants whn compared to heavier fuels. As natural gas consists mainly of methane, it leads to lower emissions per unit of energy stored, as methane is a gas which consists of a very important characteristic, it has a high hydrogen to carbon ratio. According to the U.S. Department of  Energy in the year 2009, 2.5 billion tons of CO2 were emitted by power plants in the U.S., which correspond to 576g of CO2 per kWh.  [1]  Therefore by using trigeneration, companies and plants worldwide can have a major impact in reducing the amount of pollutants emitted. Trigeneration is considered a new type and way of generating power, which is becoming even more common in a number of countries which have a warm climate. This is due to the fact that in these countries the heating required is only needed in the winter season. Therefore a demand of electrical power, cooling as well as heating is needed in a number of different entities, such as: Universities Gyms Shopping malls Hospitals Public Buildings Manufacturing facilities Data centers A trigeneration plant is extremely similar to a cogeneration plant, the only difference being the addition of an absorption chiller, which is used to produce a cold flow using the heat recovered from the hot exhaust gases. Absorption chillers Absorption coolers are used to provide cooling using a liquid refrigerant and a heat source. By using heat, usually heat recovered from hot flue gases, absorption chillers provide cooling to buildings. The main advantages of using absorption chillers are that they use much less energy than conventional equipment as well as cooling plants and buildings without emitting harmful pollutants. The main difference between conventional electric chillers and absorption chillers is that whilst conventional electric chillers use mechanical energy in a vapor compression process to provide refrigeration, absorption chillers on the other hand use heat energy. Absorption chillers can be powered by waste heat, steam as well as natural gas. Therefore, an absorption chiller transfers thermal energy through a refrigerant from the heat source to the heat sink. Absorption systems are widely used in cooling, heating and power systems. When used with a micro turbine and engine driven generator, absorption chillers can use the waste from these components and use it to generate power, whilst also producing cooling for space conditioning. Absorption chillers therefore shift cooling in a building from an electric load to a thermal load. Different types of absorption chillers are as follows: Direct fired Indirect fired Single effect Double effect Triple effect Trigeneration is therefore a very attractive use in certain situations where all three (power, heating, cooling) needs are a must. A typical example is in production processes which demand cooling requirements. Therefore it is widely used in areas where electricity, heating as well as cooling are needed. It is important to realise that cogeneration was used in some of the earliest installations of electrical generation. Industries which generated their own power used to commonly use exhaust steam for process heating. Hotels, stores as well as large offices generated their own power and also heated up the building using waste steam. Cogeneration is still very common in certain industries, namely pulp and paper mills, chemical plants as well as refineries. In the  United States,  Con Edison  distributes 66 billion kilograms of 180  Ãƒâ€šÃ‚ °C steam each year through its seven cogeneration plants to 100,000 buildings in  Manhattan, the biggest steam district in the United States. The peak delivery is 10 million pounds per hour.  [2]   How does the New York steam system work? This system is a district heating system which uses steam from steam generating stations and is distributed under the streets of Manhattan. This steam is used to either heat, cool or supply power to a number of businesses as well as apartments and other types of buildings. In my opinion this is a great initiative and way of reducing the emission of pollutants as well as increasing the efficiency of fuel usage. Con Edison is also using trigeneration for cooling in the summer months through the use of absorption chillers, a system which further increases energy and pollution savings, whilst also reducing peak electrical loads.

Tuesday, August 20, 2019

Japanese intern camps :: essays research papers

Barabara ni naru Civilian Exclusion Order No. 79 Effective Friday 22 May 1942 On this fateful day the evacuation of 100,000(+) Japanese immigrants and Japanese American citizens during World War II were forced into incarceration (internment compounds). These compounds were placed inland throughout the Western United States. The Japanese peoples of the greater Seattle and Puget Sound areas were forced to leave their homes, schools, temples (and churches), and shut down family businesses in Seattle’s Nihonmachi (Japantown) community area. In the basement of the â€Å"Panama Hotel†, at the corner of sixth and main street, a time capsule of eight days of diaspora that scattered Japanese American Heritage exsists. Because the Federal government acting upon President Roosevelt’s signed Executive Order 9066, employed agencies including the FBI and the Army, giving those Japanese peoples only eight days to settle their personal affairs while processing them for wholesale evacuation from Seattle’s Nihonmachi community, and forcing their culture into internal exile. The internees were allowed to take only what they could carry with them. All other items were to be discarded or left behind, such as the many personal items placed into suitcases and trunks found in the basement of the â€Å"Panama Hotel. In that darkened basement room, an accidental time capsule, can be seen worn suitcases and trunks adorned with travel tags from Tokyo or Kobe, along with stacks of other household belongings left behind 57 years ago when the American government incarcerated its own Seattle citizens and shipped them via truck, bus, and train to internment compounds like Idaho’s Minidoka and yet closer to Seattle was the Puyallup Assembly Center. More than, 7,000 Japanese spent the spring and summer of in the Puyallup Assembly Center, an internment camp, located on the Washington State fair grounds. They were greeted by barded wire and armed guards and placed into bad housing. The whole fair grounds area was to house 7,000 (+) . Living in every space around the race track and under the grandstands. Japanese men were immediately employed to build and set up further livingquarters, mess halls, and administrative buildings. The living quarters were comprised of barracks that were 15 by forty feet buildings and each divided into 6 rooms, each room was 20 square feet. Each room would house a Japanese family. Euphemistically called â€Å"apartments† the furnishing consisted of army cots, family personal items and suitcases, one window and one light bulb hanging from the ceiling. The apartment walls gave no privacy for they did not reach the ceiling.

Monday, August 19, 2019

Homers The Odyssey Essay -- Homer Odyssey Epic Poem Essays

Homer's "The Odyssey" The Odyssey is a companion to The Iliad, a story of the Trojan War. Both The Iliad and The Odyssey are epic poems written by Homer. In The Odyssey, Homer relates the misadventures of Odysseus, king of Ithaca, that occur during the decade following the defeat of Troy. In doing so, the fates of his fellow warriors are also made known. The Odyssey begins on Mount Olympus, in the palace of Zeus, king of the gods, where a discussion takes place regarding the woes of humans and their determination to blame it on the gods. Athene, daughter of Zeus, appeals to her father to help Odysseus, who through no fault of his own, has been kept prisoner on the island of Ogygia for seven years by Calypso, daughter of the god Atlas. After receiving sanction to help Odysseus, Athene visits Telemachus, Odysseus' son, to motivate him to begin searching for his father. It is here that we learn of the situation awaiting Odysseus at home in Ithaca. Penelope, Odysseus' wife, is besieged by suitors who wish to marry her. She has no desire to remarry because she still laments for Odysseus and prays that he will return, even though it's been twenty years since he left to fight against Troy. These suitors, rather than courting her from afar, have taken up residence in her palace and are eating her and her son out of house and home. It is under these circumstances that Telemachus, directed by Athene, leaves Ithaca to search for news of his father. Meanwhile, Calypso is sent word that she must release Odysseus and allow him to return home. It is during his trip home that we learn of all that has befallen Odysseus since he left Troy. His journey home is not without incident either. However, with the help of Athene, Odysseus finally arriv... ...his voyage, The Ulysses Voyage, which describes his findings. Even people who have never read The Odyssey have been influenced by Homer because the books they read or the movies they watch are written by people who were influenced by Homer, and the languages they speak have words and expressions that have come down to us from Homer. Xenophanes, quoted in Scott's book, says it the best: "From the beginning, for all have learned from him." (Scott 93) Ifwe read Homer's The Odyssey, we can learn from him too. Works Cited: Finley, M. I. The World of Odysseus. New York: The Viking Press, 1954 , Lefkowitz, Mary R. The Lives of the Greek Poets. Baltimore: The John Hopkins University Press, 1981. Scott, John Adams Scott. Homer and His Influence. New York: Cooper Square Publishers, Inc., 1963. Severin, Tim. The Ulysses Voyage. New York: E. P. Dutton, 1987

Sunday, August 18, 2019

Tennessee Williams: Author and Playwright :: Biography Biographies Essays

Tennessee Williams: Author and Playwright      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Thomas Lanier Williams was born on March 26th, 1911 in Columbus, Mississippi. Williams wrote fiction and motion picture screenplays but is primarily acclaimed for his plays. Thomas was the first son and second child of Cornelius Coffin and Edwina Dakin Williams. He was named after his paternal grandfather and insisted to be called Tom by the age of ten. His siblings include an older sister named Rose and a younger brother named Dakin. Williams spent a great deal of time with his sister Rose because she was not very stable, emotionally or mentally. Daryl E. Haley once said that Rose "was emotionally disturbed and destined to spend most of her life in mental institutions." Tom was primarily raised by his mother because his father was a traveling shoe salesman. Edwina Dakin Williams was the daughter of a minister and very over protective of Thomas. She began to be over protective after he caught Diphtheria when he was five years old. His mother was also an a ggressive woman caught up in her fantasies of genteel southern living. Amanda Wingfield, a character in his play The Glass Menagerie, was modeled after Williams' mother. Cornelius Coffin Williams, Tom's father, spent most of his time on the road. Cornelius came from a very prestigious family that included Mississippi's very first governor and senator. Mr. Haley also states that Tom's father was "at turns distant and abusive," that is, when he was actually around. Toms father also repeatedly favored his younger brother Dakin over both of his older children. Big Daddy, in Tom's play Cat on a Hot Tin Roof, is modeled after his father. Thomas once said, in reference to his parents relationship, "It was just a wrong marriage." From 1923 to 1926 Thomas attended Ben Blewette Junior High, and was at this time that some of his first stories were published in a local newspaper.    Thomas Williams lived in Clarksdale, Mississippi for several years before moving to St. Louis in 1918 at the age of seven. At age sixteen Tom had his first brush with the publishing world when he won third place for his essay "Can a Good Wife Be a Good Sport?". Besides winning third place, he also got five dollars from this National Essay Contest. In 1927, also at age sixteen, he published "The Vengeance of Nitocris." In the fall of 1929 he attended the University of Missouri to study journalism.

Saturday, August 17, 2019

Pestel Analysis for the Irish Rail

The Makro environment is the context in which a business operates. This takes in various factors including those outside its control, for example, laws or standards. Each factor can have an effect on the business positive or negative and so companies make plans and strategies to try to anticipate these effects. If a company does not plan for Makro environment changes or ignores them, then it may miss opportunities to grow or losing business to a competitor. Successful managers need an all-round view of their environment for decision-making.The Irish Rail uses PESTEL analysis to draw attention to each of the key external environmental factors. Political * Investing more in the railways by the Government would give environmental benefit but at the cost of the taxpayers money; * An introducing lower road tax for the newer cars make number of new cars owners increase; * Open access to rail infrastructure is available to other operator; * New Government may implement new international pol icies that may not necessary be advantageous for the Irish Rail;Economica * More jobs means more commuting; * Business expansion means more business travel; * Investing in major project to reduce delays; * The absence of large, heavy industry, such as coal, iron, est. . for which it is ideally suited; Socio-Cultural * People are aware that there are more accidents on the Road * The Rail covers most parts of the country, it means that Irish Rail has an important relationship with the public. Rail has a major role to play in educating the public especially children about the dangers of the rail environment. * Persuading the public that rail travel is a real alternative to car use is vital Technological * Some railways need to be transform and adopted to rail freight * Rail is environmentally friendly and safely * Irish Rail has use advanced technology to reduces costs, running to time. Legal The Irish Rail as a large national employer needing skilled and committed staff * The Rail has to comply with a very wide range of legislation * Compliance with employment laws is particularly important. * Safety and health legislation affects almost all of Irish Rail's activities. Environmental * Using the Railways is much more energy-efficient than travel by Road or Air. * Irish Rail takes its environmental responsibilities seriously e. g. buying the wood for the rail track which are properly managed and renewable.

Friday, August 16, 2019

Supernatural machinery of Rape of the Lock

British working-class movement for parliamentaryreformnamed after thePeople's Charter, a bill drafted by theLondonradicalWilliamLovettin May 1838. It contained six demands: universal manhoodsuffrage, equal electoral districts, vote by ballot, annually elected Parliaments, payment of members ofParliament, and abolition of the property qualifications for membership. Chartism was the first movement both working class in character and national in scope that grew out of the protest against the injustices of the new industrial and political order in Britain.While composed of working people, Chartism was also mobilized around populism as ell as clan identity. lmagesThe movement was born amid the economic depression of 1837-38, when high unemploymentand the effects of the Poor Law Amendment Act of 1834 were felt in all parts of Britain. Lovett's charter provided a program acceptable to a heterogeneous working-class population. The movement swelled to national importance under the vigorous le adership of the IrishmanFeargus Edward O'Connor, who stumped the nation in 1838 in support of the six points.While some of the massive Irish presence in Britain supported Chartism, most were devoted to the Catholic Repeal movement ofDaniel O'Connell. A Chartist convention met in London in February 1839 to prepare apetitionto present to Parliament. â€Å"Ulterior measures† were threatened should Parliament ignore the demands, but the delegates differed in their degrees of militancy and over whatform â€Å"ulterior measures† should take. In May the convention moved to Birmingham, where riots led to the arrest of its moderate leaders Lovett and John Collins.The rump of the convention returned to London and presented its petition in July. Parliament rejected it summarily. There followed in Novemberan armed rising of the â€Å"physical force† Chartists atNewport, which was quickly suppressed. Its principal leaders were banished toAustralia, and nearly every other Cha rtist leader was arrested andsentenced to a short prison term. The Chartists then started to emphasize efficient organization and moderate tactics.Three years later a second national petition was presented containing more than three million signatures, but again Parliamentrefused to consider it. The movement lost some oflts mass support later in the 1840s as the economy revived. Also, the movement to repeal theCorn Lawsdivided radical energies, and severaldiscouraged Chartist leaders turned to other projects. The last great burst of Chartism occurred in 848. Another convention was summoned, and another petition was prepared. Again Parliament did nothing.Thereafter, Chartism lingered another decade in the provinces, but its appeal as a national mass movement was ended. With the onset of the relative prosperity of mid-Victorian Britain, popular militancy lost its edge. Many Chartist leaders, however, schooled in the ideological debates of the 1840s, continued to serve popular causes, and the Chartist spirit outlasted the organization. Five of the six points†all except the annual Parliaments†have since been secured.

Comparing coverage in two different Newspapers Essay

The incident covered in the two articles I have studied was a train fire in the Austrian ski resort of Kaprun on Saturday 11th November 2000. The first article I looked at was in the tabloid paper the Sunday Express. The second article I looked at was in the broadsheet paper the Observer. The two articles were very similar but had some differences. Both the articles emphasised that British people were among those that had died. The Sunday Express said â€Å"Britons among 170 victims† and The Observer said â€Å"Britons among 170 dead† The Observer also stated that children died â€Å"Children among victims†. Although both articles covered the same subject and seemed to emphasise the greatness of the tragedy, they had different approaches, The Sunday Express’ article was sensationalist and over emotive â€Å"†¦ inferno as it tore through carriages† The Observers article was a calmer and more concise report â€Å"†¦ and, within a few minutes, almost everyone on board was dead. † The articles both contained similar factual information. In the Article in the Sunday Express, facts were intertwined with opinions and emotive language. â€Å"†¦ engulfing tourists in temperatures of up to 1,000 degrees Centigrade. † The Observer had some emotive language but seemed to keep the facts separate â€Å"†¦ which reached temperatures of more than 1,000 C† The only discrepancy between the two articles was over the initial cause of the fire. The Sunday Express interviewed a cable car technical expert Klaus Einsenkolb. â€Å"He said†¦ that either a short circuit in the batteries or the possibility that someone had started it with a naked flame was more likely,† This was their only reference to the cause of the fire. The Observer had many different statements about the cause of the fire. â€Å"Yesterday’s fire is believed to have started†¦after one of the cables that pull the train up the mountain snapped, apparently starting the blaze† They also had a statement from the local company Gletscherbahn Kaprun who owned the train. â€Å"†Due to a fire in the tunnel there was a shorting in the electrical circuit, consequently causing the train†¦ to catch fire. â€Å"† They also interviewed Klaus Einsenkolb, but stated nothing about his opinions of what caused the fire as in The Sunday Express. Both articles used similar language, but The Sunday Express used more emotive variations of language to put across the same point. The Sunday Express said â€Å"†¦ the harrowing task today of identifying 170 young skiers burned alive† The Observer stuck to the facts, however, some sensationalist language was used. â€Å"†¦ 170 people were killed yesterday when a fire†¦ engulfed an Austrian funicular train† The Sunday Express sensationalised the incident by using words like â€Å"inferno† and â€Å"disaster† repeatedly throughout their report. This created a mood in the article, expressing how terrible this tragedy was. Despite The Observer being a broadsheet paper, their article also used this type of language, such as â€Å"inferno† and â€Å"tragedy†. I think this also was used to create the mood. The underlying feeling in The Observers report was that this incident could have been prevented or its consequences reduced, had their been adequate safety measures and better maintenance. â€Å"†¦ Manfred Muller, security director for the railway, admitted that there had been no emergency fire fighting equipment in the tunnel, or on the train† The journalist’s use of â€Å"admitted† in this sentence supports his views that safety precautions were inadequate. After reading this article the reader was left with the impression it was just a terrible accident. â€Å"Yesterdays disaster was the second tragedy to hit Kitzsteinhorn this year. † â€Å"†¦ announced a criminal investigation into the tragedy. † No blame seemed to be pointed at anyone in this article. The Sunday Express’ article contained many interviews and comments from people involved with the incident. Most of the people interviewed were officials linked with the accident, like Norbert Karlsboeck, the town mayor of Kaprun, and Franz Schausberger the Salzburg governor. â€Å"Mr Karlsboeck said: â€Å"I did not realise the full extent of the catastrophe†Ã¢â‚¬  â€Å"Salzburg governor Franz Schausberger said: â€Å"I have declared a day of mourning. We can presume that everyone still on board the train is dead. â€Å"† They were commenting on their feelings about the incident. Klaus Eisenkolb, a cable car technician who worked on the planning of the line was also interviewed and spoke of what he thought about the occurrence of this incident and what could have possibly caused it. One witness and one survivor were also quoted. The Observer had fewer people interviewed, but had interviews with relatives and witnesses. They also had a statement from the company who owned the train, Gletscherbahn Kaprun, who commented on their feelings about this incident. â€Å"In a statement, the company said: ‘We and the whole town of Kaprun are in mourning. ‘† An unidentified man whose son had gone skiing that day, and a deacon were also interviewed. This gave the article a more personal feel, as the reader felt that they could relate to the people who’s lives had been affected by this and so understand the tragedy better. The layout of these reports was very different. Article I had a large bold headline on the front cover saying â€Å"INFERNO† in capital letters, to draw people’s attention. There was also a large illustration of one of the survivors with a caption. There was then a double page spread. On the first side of the double spread was a pull quote in large bold letters â€Å"There’s no hope left, the fumes were just terrible† next to another illustration of a survivor with a caption. This would also get peoples attention; the reader may look at the pictures and then want to read on. Under the title was a diagram of the mountainside with text pointing out where the events took place. This was quite easy to understand and gave the basic information. Inside that diagram was another diagram showing where Kaprun was in context to Austria and then to the rest of Europe. The text was in columns around these illustrations. The double page was split into three blocks of text, an individual report started on the second page written by Greg Swift, a continuance of the first article by David Dillon, and then an additional report: â€Å"Rising tide of Alpine tragedies†. The Observer had a medium sized headline â€Å"Inferno in the Alps† in bold letters. Underneath was a large illustration of a survivor (the same as in article 1) with a caption. The article was started with two large bullet points, which would grab the reader’s attention. There was then a tiny diagram of where in Austria the incident took place, and where it was in relation to Europe. The article was again written in columns. It then too went to a double page. The headline on this double page â€Å"A couple of breaths and they were lost† was also a pull quote, keeping the readers attention. There was a block of pictures with quotes in the top centre of the pages showing the rescue team, survivors and their families, and the train. This was really effective. The block of pictures would really attract the reader’s attention, urging them to read the article. There was a large diagram showing a picture of the mountainside and where the tunnel was, and then a diagram of the actual train, showing in steps what happened and when. This diagram was very clear, showing exactly what happened in an easily understandable way. The double page was again split into sections of text. There was the main report by Denis Staunton, and then two smaller reports. One was by Jason Burke telling how former British Olympic skier Martin Bell feared that some of his friends could have been on the train. This linked the incident back to this country and how it affected people here. The other was by Anthony Browne, talking of worries over how many recent tragic accidents have occurred in the Alps. I think that the article that explained what happened and suggested the full horror of this incident more effectively was the article from The Observer. I felt that the way in which it was written managed to create a balance between putting across the facts but still expressing the horror of the tragedy. I think because the facts were not clouded with opinions, they were easier to understand. I thought that the double page spread was particularly effective. The pictures were clearer and attracted the reader’s attention. The diagram on the double page was very clear and easy to understand. It showed exactly what happened in stages, with information about the mountain and the tunnel. I also thought that the headline â€Å"Inferno in the Alps† on the front page was really effective. It gave enough information for you to know what had happened but was short enough for the reader to read at a glance. I felt that The Sunday Express’ article was more difficult to understand as there were fewer facts and the writing was very opinionated. Also because there were fewer interviews with people who were directly affected by the incident, such as survivors, and relatives of victims, it wasn’t as easy to relate to that article. There was less text in general, as much of the space was taken up by large illustrations and headlines. Although the articles seemed to be similar they had differences which although may not be drastically apparent I felt they made a big difference to the effectiveness and success of the articles.