Wednesday, October 30, 2019

The effect of music on ones social life Essay Example | Topics and Well Written Essays - 1250 words

The effect of music on ones social life - Essay Example The effect of music on one’s social life A study is set on the different types of behaviors that the listener attaches each the genres of music studied. Of importance to look into is the scope with which the genre of music chosen has influence on the behavior change and influence of the listener of the music. There are a considerable number of music genres. Among the several genres are rock, and roll, Hip Hop, soul, and rhythm and blues. Each of the aforementioned genres has different origins. They evoke different and diverse influences on the listener’s behavior. Listeners of every kind of music mentioned attach different levels of enthusiasms towards listening to their genre of preference. In finding out the influence of the genres on their listeners’ behavior, one needs to embark on a study of personality traits of the listener. Every genre would influence every personality trait in a special and unique manner. Of importance in the study is to find out the importance that listeners of music attach to the ge nre of preference in question. Rock and Roll dates its origin to a long time back in history. This notably was in the 1940s and 1950s. The genre found its invention from African Americans. This genre of music most probably roots its foundation from the United States. The genre often attaches its caliber to the elites. It is more popular among the high-class individuals than to the lower class individuals. The elite class tends to listen to the genre more than the other classes of people. Many concerts and entertainment scenes featuring rock and roll music receive a high turnout of the elite class than others classes in lifestyle. The word â€Å"rock† that the founders of this genre used to refer to it was a disguised manner of quoting the word sex. Hip Hop is a major known genre of music among the youth. Its acknowledgement and spread is significant among the black Americans. The genre of music roots from the, black American, people. Its sole purpose was to address the plight of blacks in America. It is associated considerably with the low-income class and the poor. Its origin dates back to the period of history during the 1970s. Many of the artists of Hip Hop are characters who at one moment in time had experiences with the effects of black supremacy. They might as well be descendants of former victims of the historical atrocities the black underwent. Among the several themes, this genre of music that address mistreat experienced by the blacks. The victims underwent the inhumane experiences during the slavery period. This genre of music tends to inform the authorities of the various problems faced by the black Americans. Sharp criticism of betrayal and neglect by the power holders is among the diverse expressions of the message from this genre of music. Soul music dates back to deep early ages in history. This is notably the time between the 1950s and 1960s. The origin of this genre of music is from the U.S. This genre of music explores a more seductiv e way of presentation than rock and roll music. It is common among individuals who feel the touch of romance with the songs. It plays on a cool and sentimental tone. The overriding theme in a remarkable numbers of soul music is romance and feelings of love that the characters attach to each other. The main associates with this genre of music are the elite class. Soul music is mainly played in instances of paying and merrymaking. It helps show romance and togetherness of parties involved.

Monday, October 28, 2019

The Importance of Being Oscar Wilde Essay Example for Free

The Importance of Being Oscar Wilde Essay Among the writers of the late nineteenth century in Britain, none perhaps has surpassed the reputation and press accorded to the inimitable Oscar Wilde. With controversies plaguing most aspects of his life—from his writing to his personal life—Wilde has eventually become an icon of his generation, resonating with readers far and wide, many celebrating his unique voice and alternative thinking. The man as a poet, playwright, and fiction writer used his wit and intelligence as well as a sharp way with words to create masterpieces that have ultimately become part of the literary canon. Two of these, The Importance of Being Earnest and The Picture of Dorian Gray, are some of the most studied in literary scholarship worldwide, and are practically responsible for catapulting Wilde into iconic status. However, much of the persona of the famed writer included his unconventional sexuality, as well as the infamous period of his incarceration; but, as it normally happens to exceptional talent, the work was able to fight through the dirt and shine on its own merits, earning the admiration of readers throughout the centuries. II. A Wilde History Oscar Wilde was born in October 16, 1854 in Dublin, Ireland, to wealthy parents, a writer and a surgeon. Aside from spending most of his childhood in the company of the equally rich, including summers in fashionable homes, Wilde eventually began his education in Greek literature classics. During his time as a college student, he found his affinity for Aestheticism, which centered on the concept of using life to create art. This manifested in Wilde’s countenance and choice of clothing and lifestyle, constantly deferring to art-related symbols and feminine representations rather than masculine endeavors like sports. Wilde also did a substantial amount of writing during this time and completed his course with honors; however, his controversial image appeared to have started as many of his fellow students professed a great dislike for his unconventional attitude and manner of expression. Because masculinity—part and parcel of Victorian patriarchy—excluded any association with flamboyance in feminine terms, many critics openly attacked Wilde’s lifestyle and writing. The writer’s apparent homosexuality was largely focused upon, and some even referred to him as a negative influence on the youth. Though Oscar Wilde married a woman, Constance Lloyd, with whom he had two sons, his sexual preference and activities were always called into question. Because of his observed relationships with several men, including Lord Alfred Douglas, Wilde became the subject of ridicule and offense; his affair with Douglas, due to the man’s political family, was eventually the reason behind his much-publicized trial and imprisonment. Oscar Wilde passed in 1900, and was buried in Paris where he retreated after being freed from jail. He chose to never return to his native Ireland or to Britain (Merriman, pars 1-10). III. The Picture of Dorian Gray This 1891 novel, which started as a short story published in a magazine, is the only realized work of its genre by Wilde. Largely considered fashionable for its time owing to its gothic horror theme, The Picture of Dorian Gray embodies much of the qualities associated with Wilde himself—art as the center of life, beauty, and homosexuality—and thus was received during its launch with the kind of controversy identified with Wilde all his life. The mind-gripping story revolves around a young, extremely handsome man named Dorian Gray, and the painting of his likeness created by an artist named Basil Hallward. Apparently, the artist was greatly enamored by Dorian’s beauty, which urged him to paint the portrait. However, due to Dorian’s acquaintance with the concept of hedonism and the sole pursuit of beauty, he makes a wish for the painting to take on his physical aging while Dorian’s actual body remained young and beautiful. But for each of Dorian’s sins, changes would take place in the painting—which ultimately mirrored his soul—and make it more grotesque at every turn. His growing fear of seeing his own portrait age led him to affirm his love for beauty even more, and his rejection of everything he deemed unqualified made its mark in every occurrence. In the end, Dorian accuses and kills Basil for bringing this all upon him and attempts to correct all his perceived ills in the hopes of having the portrait return to its normal state. This did not happen, as Dorian was unable to feel guilt or remorse; thus he tried to destroy the painting, which only caused his own aging and death. The portrait, however, returned to its unblemished condition. The dual themes of aestheticism, or the celebration of art and beauty, and homosexuality are present in the novel, both being embodied by Dorian Gray himself. His narcissistic view of beauty and self rendered him at an unending state of discontent, though, and subjects all those who come near him to his exacting ways. These were all part of Oscar Wilde’s personal ideology—the decision to make life an art, constantly seeking for beauty and perfection—which he carried out consistently. However, the novel was considered immoral and ‘dirty’ by the critics of the time, due to the themes projected in the text. IV. The Importance of Being Earnest Oscar Wilde’s hugely popular work is undoubtedly a satire about Victorian society’s rules and regulations, of expectations and etiquette, of hypocrisy and fakeness. It was originally staged in 1895 in London. The famous three-act play is a comedy that revolved around the deception and resulting confusion regarding the use of the name Ernest, which was appropriated by a young man at varying occasions alternating with his real name. Consequently, he meets people who know him through different names, and even falls for a lady who would only marry someone named Ernest. In the maddening turn of events, wherein accusations regarding truthfulness and honesty are made, it is discovered that his name is indeed Ernest, and thus the play ends with all romantic couples satisfied and in love. Clearly, through the mode of comedy, Wilde intended to poke fun at the straitlaced community that frowned upon any deviation from the kind of convention they themselves set. What makes it even more humorous and tongue-in-cheek is the fact that this same society, behind closed doors, defies its own rules while maintaining a consistent and steady front, because of the complications arising from the numerous social obligations necessary to be observed. The trivial and petty arguments coming from the simple use of a name is representative of the superficiality of societal obligation, exemplified by the character Gwendolen’s refusal to marry anyone not named Ernest. While received positively by critics, the exploration of homosexuality in the text was unavoidable, considering Wilde’s reputation. Some claimed that the name ‘Ernest’ subtly referred to being homosexual, and this was somehow confirmed by references to earlier poems by other writers that used this kind of logic, as in John Nicholson’s poem â€Å"Of Boy’s Names†. Nevertheless, other critics and even the actors who had worked on the play denied the claim, and explicitly stated how there was no reference or implication of homosexuality in the piece. V. Other Works and Controversies Oscar Wilde was a prolific writer, churning out exceptional works in the form of poetry, short stories, as well as numerous other plays. He also professed his brand of politics, as evidenced by the impressive collection of articles he published under the titles of â€Å"The Decay of Lying†, â€Å"The Soul of Man Under Socialism†, and â€Å"De Profundis†; all three contained concepts that heralded Wilde’s affinity for aestheticism and socialism. Sadly, Wilde’s public persona was better known for the controversial trial that marred his career, and largely implicated him as an example of immorality arising from homosexual behavior and influence. Gross indecency was the actual crime for which he was being accused, and the event, which was drawn out for a several years, caused Wilde to permanently leave Britain (â€Å"FireBlade Coffeehouse: Oscar Wilde†). VI. Conclusion The intelligence and uniqueness of Oscar Wilde are the qualities that made him the great writer he was, and his conscious deviation from tradition and convention assured the public of works that were always fresh and insightful. However, as with lives tainted by controversy, Wilde could only push his efforts to a degree; he could only leave his literary legacies to a future society. And that he did, with his literature accorded the respect and recognition they deserve—albeit after his death. Wilde was clearly ahead of his time, and his principles on art and beauty would be embraced by many other writers and artists of later generations. Works Cited â€Å"FireBlade Coffeehouse: Oscar Wilde†. Negative Space. 28 June 2009 http://www. hoboes. com/html/FireBlade/Wilde/. Merriman, C. D. â€Å"Oscar Wilde†. 2008. Jalic Inc. 28 June 2009 http://www. online-literature. com/wilde/. Wilde, Oscar. The Importance of Being Earnest. Courier Dover Publications, 1990. Wilde, Oscar. The Picture of Dorian Gray. Macmillan, 1999.

Saturday, October 26, 2019

Computers, Hackers, And Phreaks :: essays research papers

The Internet is a wondrous place. Practically anything you could ever want is available on the Net. It's like a big city, it has the highly prestigious areas, and the sex-ridden slums (Mitchell). It has the upstanding citizens, and it has the criminals. On the Net, crime is more abundant than in a large city, though, mainly because of the difficulties in tracking and prosecuting offenders. Even from its beginnings, the Internet has always been a battlefield between phreaks and administrators.   Ã‚  Ã‚  Ã‚  Ã‚  The Internet hasn't always been a public forum. In fact, the Internet has been around for years. The Internet is just a new fad (Larson). The Internet originally began as DARPANET, a government-created network, which was designed for defense communications. The Net structure is such that it could survive a nuclear war (Mitchell). The creation of the Net can not be blamed for the existence of hackers though, hackers are older than the Net itself, but the Net is the largest 'hacker haven' today (Spencer). The growth of the Net since its creation has been nothing less than astounding. In the 25-plus years since its creation, the Net now has over thirty million users using four million sites world wide. Estimates rate the growth of the Net anywhere from ten to fifteen percent per month (Spencer). The Internet was first released to major universities in the United States of America. Since then, the universities have offered connections to small business, service providers, and even to the individual user. Sometimes these connections cost a fortune, and sometimes they can be obtained for free (Larson). Although some of the original universities have dropped off the Net for various reasons, every major university in the United States, and now, most others in the world, have a connection to the Internet (Quittner).   Ã‚  Ã‚  Ã‚  Ã‚  Although it isn't easy for an individual to get a direct connection to the Net, many private institutions are getting direct access. This is mainly due to the fact that in order to support the very high speed of the Net, a fast computer is needed and a fast connection. A fast computer can cost in the thousands of dollars, at least, and a quick connection can cost hundreds dollars or more. Individuals can still get on the Net through these private institutions. The private institution spoon-feeds the Net to the slower computers over their delayed connection lines (Jones). The Internet began very high-class, due to the fact that only super intelligent college students and professors could access it. The discussions tended to stay intellectual, with very little, if any, disturbance (Larson).

Thursday, October 24, 2019

Tibetan Oracles :: Tibet Religion Papers

Tibetan Oracles In Tibetan tradition, the word oracle, or kuten, literally interpreted means â€Å"the physical basis.† The word oracle is also used to define the spirit which enters into men and women who are acting as a medium between the spiritual and natural realms. Oracles serve as a guide for Tibetans in political decisions, predictions about natural forces, etc. Their decisions help guide internal and external affairs. They most clearly demonstrate their function while in trance. In this mind-altered state prophecies and predictions are made about questions asked. Their answers are taken seriously by Tibetans and high-standing political and religious individuals. The occurrences that take place while in trance cannot all be explained by scientific means and there is some spiritual force acting on the situation. To fully understand Tibetan oracles and their trances, some background information about them must be given. The first recognized Nechung oracle was realized in 1544 AD. This was the first time that the spirit of Nechung was possessed in a human being. The name of oracle was Drag Trang Go-Wa Lobsang Palden. Many oracles used to be present in Tibet, but their numbers have diminished as a result of various factors such as Chinese occupation. However, the phenomenon of oracles still remains central to Tibetan life. The oracle is not only used to predict the future, but they are also sometimes used as protectors and healers. The main function of oracles in Tibet is to answer tough questions about internal and external affairs both religious and political. They way that this is most effectively performed and acted upon is through possession or trance induction. Trance induction in the Tibetan State Oracle is a complex process involving certain physical deprivations and stimuli from various sources of anything from music to hyperventilation. Symbolic elements as well as visualizations induce possession and trance in the oracle. (Ellingson 58) Certain questions about the spirituality of the oracles arise. It could be argued that oracles are taught to act in spiritual ways and that these actions are just reproductions of what they have been taught. Tibetan Oracles :: Tibet Religion Papers Tibetan Oracles In Tibetan tradition, the word oracle, or kuten, literally interpreted means â€Å"the physical basis.† The word oracle is also used to define the spirit which enters into men and women who are acting as a medium between the spiritual and natural realms. Oracles serve as a guide for Tibetans in political decisions, predictions about natural forces, etc. Their decisions help guide internal and external affairs. They most clearly demonstrate their function while in trance. In this mind-altered state prophecies and predictions are made about questions asked. Their answers are taken seriously by Tibetans and high-standing political and religious individuals. The occurrences that take place while in trance cannot all be explained by scientific means and there is some spiritual force acting on the situation. To fully understand Tibetan oracles and their trances, some background information about them must be given. The first recognized Nechung oracle was realized in 1544 AD. This was the first time that the spirit of Nechung was possessed in a human being. The name of oracle was Drag Trang Go-Wa Lobsang Palden. Many oracles used to be present in Tibet, but their numbers have diminished as a result of various factors such as Chinese occupation. However, the phenomenon of oracles still remains central to Tibetan life. The oracle is not only used to predict the future, but they are also sometimes used as protectors and healers. The main function of oracles in Tibet is to answer tough questions about internal and external affairs both religious and political. They way that this is most effectively performed and acted upon is through possession or trance induction. Trance induction in the Tibetan State Oracle is a complex process involving certain physical deprivations and stimuli from various sources of anything from music to hyperventilation. Symbolic elements as well as visualizations induce possession and trance in the oracle. (Ellingson 58) Certain questions about the spirituality of the oracles arise. It could be argued that oracles are taught to act in spiritual ways and that these actions are just reproductions of what they have been taught.

Wednesday, October 23, 2019

Frankenstein: Movie Vs. Book Essay

Frankenstein has been done and redone many many times. The most recent version starring Kenneth Branagh, who also directed it, and Robert DeNiro has many differences when compared to the original story. Mary Shelley?s original story provided a story line for the imagination of the filmmaker, making the movie related to the original story but also unique in itself. For the most part, if one were to only watch the movie they would have a fairly good sense of the book. There are many minor details which are different from the in the book and movie. One of the most apparent differences between the book and the movie is the actual appearance of the monster. In the book the monster is described having ?yellow skin scarcely covered the work of muscles and arteries beneath; his hair was of lustrous black, and flowing, his teeth of pearly whiteness?watery eyes?shriveled complexion and straight black lips (35). In the movie the monster looked completely different than the description that the book provided. In the movie, the monster?s hair was not black rather it was brown. It had absolutely no ?flow? to it because it was cut very short. His skin was no yellow at all, rather he was a bit pale. Also his teeth did not stand out as pearly white. They were in fact white but nothing too noticeable. He did not seem to be a very muscular man as he was described in the book. His lips were not straight black, but were lips like regular people had. The filmmakers did do a great job distorting the monsters face. Also, in the book, the reader got a feeling that the monster had human like characteristics. The monster seemed to have a heart and to love and want to be around people (but he just could not be), while in the movie the monster seemed much meaner and less friendlily. Caroline and Elizabeth?s characters were a little bit different in the movie. In the book the picture of Caroline was found in a locket while in the movie it was just the picture found. Also in the book Caroline died from Scarlet Fever, while in the book she died at childbirth. In the book Elizabeth?s hair is described as being blonde, while in the movie her was brown.  Differences such as these did not take away from the movie. Elizabeth?s death was portrayed very differently in the movie than in the book. In the book the monster punched her chest and ripped out her heard and then threw her in a fire. The scene was very graphic. The scene in the book was not as graphic. There was no way that it could have been as graphic because the monster killed Elizabeth in the way he killed all the other by strangling her to death. In the movie after her death Victor cannot forgive himself and decides to bring her back to life, with her head and Justine?s body. The movie was dramatically different from the book because in the book he does not bring her back to life at all. Also in the movie when Victor brings her back to life, the monster thinks that he has created her for him and they have a little battle over her. Nothing like this happened in the book. Another minor detail that was not mentioned in the movie was that Victor had a brother named Ernest. This minor detail did not take away from the movie at all. What was a little bit different was that in the book Victor and Henry Clerval went to school together as young boys, while in the movie they meet at the University. In the book Henry Clerval dies and in the movie he does not. A bigger difference was that in the book Alphonso Frankenstein, Victor?s father just died, and in the movie the monster killed him. In the book the Victors father was a businessman and in the movie the father was a doctor, which was pretty different but it was not a dramatic difference. In the book Victor traveled to England and Scotland and in the book they did not show this. He was also jailed and then his father came to get him, but in the movie he did not spend any time in jail. There are many differences from the book and the movie. Most of the differences were very minor and did not make the story much different. But the few differences that were dramatically different had a big effect on the movies plot.

Tuesday, October 22, 2019

Proposal MacArthur Foundation

Proposal MacArthur Foundation MacArthur Foundation Awards Prizes is a program that was founded by Catherine T. and John D. The title of the award is a MacArthur’s Fellowship Program which is also and more known as Genius Grant (John et al, 2008).Advertising We will write a custom proposal sample on Proposal: MacArthur Foundation specifically for you for only $16.05 $11/page Learn More Such a title was given because the nominees for these awards are considered genius. These awards require a short-listing of nearly forty candidates who are awarded prizes from the United States of America. However, a potential candidate must possess certain qualities of artistic production in order to feature in the list of nominees for the awards. Moreover, the piece of art one represents should be original and attract attention. The winners of the awards are those whose age ranges from eighteen years to eighty two years (John et al, 2008). Analytically, an individual nominee needs to possess great developmental capabilities, original creativity of ideas, educational values, objective behavior, and skills for promotion of social relationships apart from being a genius in order to qualify for the awards. The nominees for awards are not allowed to apply for the awards themselves. This means that the nomination body gives recommendations to a committee of a few people who are in charge of making decisions regarding the list of nominees. After the committee makes a decision, they pass the list to the Board of Directors as well as the President of the Awards. The nominees carefully look at the decision of the committee after receiving a phone call from the foundation. On the other hand, the criterion used to select the nominees is based on the creativity and originality of their pieces of work. One does not only have to consider the creativity of the piece of work but its originality as well. In other words, creativity is not only about the masterpiece as such, but the information the piece of work delivers to the audience. A potential nominee needs to exhibit characteristics of great social relationship and objective behavior in the piece of artwork presented in order to stand a chance of winning the award because the information displayed is important to the audience who touch or listen to the work. Therefore, the work should be socially acceptable to the society for its creator to be called a genius (Brockes, 2007). This means that it must present social values. For example, the movie â€Å"Think like a man, act like a woman† may not be considered the best movie but the impact it has on both men and women is tremendous. This makes a person who shoots the film a genius because he or she was able to affect the reasoning of a number of people. In summary, social and behavioral impact in any domain of work can be criteria for obtaining the status of the genius.Advertising Looking for proposal on art and design? Let's see if we can help you! Get your first paper with 15% OFF Learn More The educational value of a person can determine his or her level of creativity. The reason why a person is regarded as a genius due to his/her educational level is because education helps to sharpen individual’s wits (Harris, 2007). For example, the filmmakers win awards but information technology experts would be in a better position to create fiction. Therefore, an individual is considered a genius in case a person who lacks information and skills in the sphere of computers manages to create new ideas, in other words, the individual that lacked some necessary background information, nonetheless, invented, created or made something new. On the other hand, a potential candidate for the award can receive awards for the educational value in the domain of work generated; it may me mathematics since it passes knowledge. In summary, a domain of activity can be regarded as criterion for a genius creation depending on the educ ational level or value of the creator of the piece of artwork. A potential nominee needs to exhibit developmental capabilities in the artwork in order to be considered a genius in the award because there are works that lack tangibility but have great effects on the emotions of the audience. For example, a doctor who administers medication from a deadly disease that is known to have no cure can be considered a genius if a patient is healed after the drug administration. It happens so because the doctor invented a cure to the disease which had caused numerous deaths. This means that one should be considered a genius when their piece of work leads to a discovery. In conclusion, the program the MacArthur Foundation Awards Prizes is used to encourage people to be creative. It is also a good way of appreciating the efforts different individuals have put into their artistic works. A winner of the award is called a genius due to the creativity of the work done. This means that an individual nominee needs to possess great capabilities, original creativity of ideas, educational values, objective behavior, as well as skills for promotion of social relationships apart from being a genius in order to qualify for the awards.Advertising We will write a custom proposal sample on Proposal: MacArthur Foundation specifically for you for only $16.05 $11/page Learn More References Brockes, E. (2007). Its art. But is it porn? The Guardian online, 3 (7), 21-25. Harris, D. (2007). The Complete Guide to Writing Effective Award-Winning Grants: Step-By-Step Instructions. New York: Atlantic Publishing Company. John, D., Catherine, T. (2008). 30 Years of the John D. and Catherine T. New York: MacArthur Foundation.

Monday, October 21, 2019

Industrial Workers of the World (IWW) History

Industrial Workers of the World (IWW) History The Industrial Workers of the World (IWW) is an industrial labor union, founded in 1905 as a more radical alternative to craft unions. An industrial union organizes by industry, rather than by craft. The IWW is also intended to be a radical and socialist union, with an anti-capitalist agenda, not just reformist agenda within an overall capitalist system. The current constitution of the IWW makes clear its class struggle orientation: The working class and the employing class have nothing in common. There can be no peace so long as hunger and want are found among millions of the working people and the few, who make up the employing class, have all the good things of life.Between these two classes a struggle must go on until the workers of the world organize as a class, take possession of the means of production, abolish the wage system, and live in harmony with the Earth.†¦.It is the historic mission of the working class to do away with capitalism. The army of production must be organized, not only for everyday struggle with capitalists, but also to carry on production when capitalism shall have been overthrown. By organizing industrially we are forming the structure of the new society within the shell of the old. Informally called the â€Å"Wobblies,† the IWW originally brought together 43 labor organizations into â€Å"one big union.† The Western Federation of Miners (WFM) was one of the larger groups that inspired the founding. The organization also brought together Marxists, democratic socialists, anarchists, and others. The union was also committed to organizing workers regardless of sex, race, ethnicity, or immigrant status. Founding Convention The Industrial Workers of the World was founded at a convention in Chicago called on June 27, 1905, which â€Å"Big Bill† Haywood called â€Å"the Continental Congress of the working class.† The convention set the direction of the IWW as a confederation of workers for â€Å"the emancipation of the working class from the slave bondage of capitalism.† Second Convention The following year, 1906, with Debs and Haywood absent, Daniel DeLeon led his followers within the organization to remove the president and abolish that office, and to diminish the influence of the Western Federation of Miners, which DeLeon and his Socialist Labor Party fellows considered too conservative. Western Federation of Miners Trial At the end of 1905, after confronting the Western Federation of Miners on strike at Coeur d’Alene, someone assassinated the governor of Idaho, Frank Steunenberg.  In the first months of 1906, the Idaho authorities kidnapped Haywood, another union official Charles Moyer, and sympathizer George A. Pettibone, taking them across state lines to stand trial in Idaho.  Clarence Darrow took up the defense of the accused, winning the case at the trial from May 9 to July 27, which was widely publicized.  Darrow won an acquittal for the three men, and the union profited from the publicity. 1908 Split In 1908, a split in the party formed when Daniel DeLeon and his followers argued that the IWW should pursue political goals through the Social Labor Party (SLP). The faction which prevailed, often identified with â€Å"Big Bill† Haywood, supported strikes, boycotts, and general propaganda, and opposed political organization. The SLP faction left the IWW, forming the Workers’ International Industrial Union, which lasted until 1924. Strikes The first IWW strike of note was the Pressed Steel Car Strike, 1909, in Pennsylvania. The Lawrence textile strike of 1912 began among the workers at the Lawrence mills and then attracted IWW organizers to help out. The strikers numbered about 60% of the city’s population and were successful in their strike. In the east and Midwest, the IWW organized many strikes. Then they organized miners and lumberjacks in the west.   People Key early organizers of the IWW included Eugene Debs, â€Å"Big Bill† Haywood, â€Å"Mother† Jones, Daniel DeLeon, Lucy Parsons, Ralph Chaplin, William Trautmann, and others.  Elizabeth Gurley Flynn gave speeches for the IWW until she was expelled from high school, then she became a full-time organizer. Joe Hill (remembered in the â€Å"Ballad of Joe Hill†) was another early member who contributed his skill in writing song lyrics including parodies.  Helen Keller joined in 1918, to considerable criticism. Many workers joined the IWW when it was organizing a particular strike, and dropped membership when the strike was over.  In 1908, the union, despite its larger-than-life image, had only 3700 members. By 1912, the membership was 30,000 but was only half that the next three years.  Some have estimated that 50,000 to 100,000 workers may have belonged to the IWW at various times. Tactics The IWW used a variety of radical and conventional union tactics. The IWW supported collective bargaining, with the union and the owners negotiating over wages and working conditions. The IWW opposed the use of arbitration – settlement with negotiations run by a third party.  They organized in mills and factories, railroad yards and railroad cars. Factory owners used propaganda, strike-breaking, and police actions to break up IWW efforts. One tactic was using Salvation Army bands to drown out IWW speakers. (No wonder some IWW songs make fun of the Salvation Army, especially Pie in the Sky or Preacher and Slave.) When the IWW struck in company towns or work camps, employers responded with violent and brutal repression. Frank Little, partly of Native American heritage, was lynched in Butte, Montana, in 1917. The American Legion attacked an IWW hall in 1919 and murdered Wesley Everest. Trials of IWW organizers on trumped-up charges was another tactic. From the Haywood trial, to the trial of immigrant Joe Hill (the evidence was slim and then disappeared) for which he was convicted and the executed in 1915, to a Seattle rally where deputies fired on a boat and a dozen people died, to the 1200 Arizona strikers and family members detained, put in railroad cars, and dumped in the desert in 1917. In 1909, when Elizabeth Gurley Flynn was arrested in Spokane, Washington, under a new law against street speeches, the IWW developed a response: whenever any member was arrested for speaking, many others would also begin speaking in the same place, daring the police to arrest them, and overwhelming the local jails.  The defense of free speech brought attention to the movement, and in some places, also brought out vigilantes using force and violence to oppose street meetings.  Free speech fights continued from 1909 through 1914 in a number of cities. The IWW advocated for general strikes to oppose capitalism in general as an economic system. Songs To build solidarity, the members of IWW often used music.  Dump the Bosses Off Your Back, Pie in the Sky (Preacher and Slave), One Big Industrial Union, Popular Wobbly, Rebel Girl were among those included in the IWW’s â€Å"Little Red Songbook.† The IWW Today The IWW still exists.  But its power diminished during World War I, as sedition laws were used to put many of its leaders in prison, totaling almost 300 people. Local police and off duty military personnel forcibly closed IWW offices. Then some key IWW leaders, immediately after the Russian Revolution of 1917, left the IWW to found the Communist Party, USA.  Haywood, charged with sedition and out on bail, fled to the Soviet Union. After the war, a few strikes were won through the 1920s and 1930s, but the IWW had faded to a very small group with little national power.

Sunday, October 20, 2019

5 Steps on How to Get Organized in College

5 Steps on How to Get Organized in College With all that you have to balance, getting organized in college can sometimes seem like both a hopeless and useless task. After all, what kind of person can create order out of so much chaos?! You might be surprised, however, to learn just how easy it can be to get organized during your time in school. 1. First and Foremost, Have a Time Management System Whether youre a super senior or an incoming first-year student, time will be your most precious commodity. Just when you need it the most, it will seem the most scarce. And you will rarely if ever, feel like you have enough of it. Consequently, having a good time management system that you use is critical for getting organized - and staying that way - during your time in school. After all, how are you supposed to know what youre supposed to be doing if you arent even sure, well, what youre supposed to be doing? 2. Write Down All Your Academic Responsibilities When you first get your syllabi at the beginning of the semester, find a quiet table at a coffee shop, get a cup of coffee, and sit down with your calendar. Put everything thats on your syllabi into the calendar: when classes meet, when things like required films and labs are scheduled, when midterms are, when classes are canceled, when finals and papers are due. And when you think youre all done putting everything in, double check your work and do it again. Once you have everything inputted into your time management system, you can rest assured that youll know about all required course assignments well before their deadline. Sometimes, just knowing whats coming down the pipeline can account for 90% of your organization prowess. 3. Go Through Something Once a Week It sounds strange, but youll likely be surprised at just how helpful this rule can be when it comes to staying organized in college. At least once a week, go through and organize something. It can be your backpack; it can be your bank statement; it can be your desk; it can be your email. You undoubtedly, however, will find something that slipped your mind or that youve been meaning to get to. And if you hadnt have gone through that item, you would likely have forgotten all about it. 4. Have a Budget and Check in on It Regularly A major part of being organized in college is staying on top of your finances. Even if most of your costs, like room and board in the residence halls, are taken care of through the financial aid office, staying on top of your money situation is still important. Being organized means knowing whats going on in your college life at any given point in time. If you arent sure how much money is in your account - or, worse, if youll have enough to make it through the semester or quarter - you arent organized. So stay on top of your budget and know where youre money has gone, where it is, and where its headed. 5. Be Proactive and Plan in Advance You know that guy down the hall who always is stressing out and cramming last minute for exams? Or that girl who freaks out every time she has a paper due the next day? Chances are youd be hard pressed to find someone who would describe either of them as organized. If you know whats coming - holidays, major events, midterms, papers, lab reports, finals - you can plan in advance and avoid unnecessary chaos. And if you know whats coming, you can organize your life (e.g., get enough sleep) far enough in advance that you can still enjoy yourself during even the worst of the worst.

Saturday, October 19, 2019

Choose one of the specifeic food u like, make an argument, and write Essay

Choose one of the specifeic food u like, make an argument, and write about it - Essay Example In that context, it may sound strange, but canned and frozen foods and vegetables are a veritable source of nutrition, which satisfy a range of consumer choices and expectations. Though canned and frozen foods and vegetables happen to be processed foods, yet the good thing is that they provide people with the much needed nutrition, in a safe, convenient and cost effective manner, while complying with the environmental norms and criteria. The one amazing thing about canned and frozen foods and vegetables is that they have a high nutrition value and content (Belasco 57). It is a fact that fresh foods like fruits and vegetables do lose much nutrition during transit to the stores. In contrast, the canned and frozen foods and vegetables are processed when the food items are still fresh and thereby have a high nutrition value. The processing of fruits and vegetables resorts to an array of traditional activities like peeling and cutting and the subsequent boiling or freezing of the available fresh foods. Thereby, once the fresh fruits and vegetables are canned or frozen, their nutrition potential gets preserved and remains intact for a long period of time. The consumers can consume these canned and frozen foods while benefiting from their high nutrition value. Going by the hectic schedules and scarcity of time that the contemporary consumers have to contend with, canned and frozen foods and vegetables are indeed convenient and save on time (Belasco 70). Canned and frozen foods do save on time in the sense that they are cut, peeled and cooked in advance, and can thereby be readily consumed without resorting to any elaborate processing or cooking procedure. The same cannot be said of the fresh foods, vegetables and fruits. Besides, canned and frozen foods and vegetables are also convenient as they allow the consumers an

Friday, October 18, 2019

Compare the neighbors in Mending Wall and The Ax-Helve- Robert Frost Essay

Compare the neighbors in Mending Wall and The Ax-Helve- Robert Frost - Essay Example The structural background of the neighborhood in the two stories appeared to indicate like attributes. There is a rural sense in Frost’s two poems, with illustrations â€Å"in the woods† (â€Å"The Ax-Helve† pt. 3) to â€Å"beyond the hill† (â€Å"Mending Wall† pt. 12). Common pieces are the provincial atmosphere in which their physical conditions are anchored on. Neighboring values can also be observed, as protagonists enact suspicious stance towards the intentions of their neighbors. With â€Å"The Ax-Helve,† the protagonist deemed in necessary to â€Å"judge if what he (Baptiste) knew about an ax. That not everybody else knew was to count† (pt. 44). On the other side, doubts on other’s motive led the protagonist in â€Å"Mending Wall† to issue an order to â€Å"Stay where you are until our backs are turned† (pt. 19). Such emotions, as explained in naturalism concept, possess internal aspects of uncontrollable in fluence, manifesting itself in the wary way protagonists proceed.

Threats Facing Gulf Cooperation Council (GCC) Assignment

Threats Facing Gulf Cooperation Council (GCC) - Assignment Example The unified economic agreement between the countries of the Gulf Cooperation Council was signed on November 11, 1981 in Abu Dhabi. These countries are often referred to as The GCC States. This area has some of the fastest growing economies in the world, mostly due to a boom in oil and natural gas revenues coupled with a building and investment boom backed by decades of saved petroleum revenues. In an effort to build a tax base and economic foundation before the reserves run out, the UAE's investment arms, including Abu Dhabi Investment Authority, retain over $900 billion in assets. Other regional funds also have several hundred billion dollars. The region is also an emerging hotspot for events, including the 2006 Asian Games in Doha, Qatar. Doha also submitted an unsuccessful application for the 2016 Summer Olympic Games. However, Qatar was later chosen to host the 2022 FIFA World Cup. In 2006, its GDP (nominal) was $717.8 billion (IMF April 2007), led by spectacular growth in United Arab Emirates and Qatar. In 2007, its GDP (nominal) was $1,022.62 billion (IMF April 2008). IMF predicts its GDP to reach $1,112.076 billion at end of 2008 and $1,210.112 billion at end of 2009. ... Recovery plans have been criticized for crowding out the private sector, failing to set clear priorities for growth, failing to restore weak consumer and investor confidence, and undermining long-term stability. Threats being faced by GCC countries are numerous. These threats are both internal and external. Given the vast possession of natural resources like Oil and Gas, many internal and external forces are at work against these countries. Monarchs rule all the GCC countries, although all of them have provided more or less high degree of social welfare in their states there is a growing demand by public for democracy and basic human rights first being freedom of speech. (Web- The GCC in a turbulent world ) GCC states are facing several domestic challenges headed by demographic issues, which are to blame for political and economic problems as well as others associated with security and linked to the presence of a large proportion of foreign workers on GCC soil. The issues include agg ravation of the â€Å"growing fundamentalist Threat, effects of instability in Iraq, fallout of Iranian nuclear issue, over all security of Gulf, US and EU interests in the GCC area, presence of foreign troops in the area, US strategy in the area to â€Å"prevent any force from imposing its hegemony on the GCC area†, security of oil shipments, presence of US forces in consolidating the GCC regimes, Iranian role to undermining Iraq’s stability and Iranian nuclear issue presenting a serious challenge to the stability of the area. GCC countries remain unstable due to impact of host of issues on the region directly. Major challenges being security, economy and demography. These countries face internal conflicts with each other like GCC versus Iran and Iraq.

Thursday, October 17, 2019

Critique Essay Example | Topics and Well Written Essays - 1000 words - 13

Critique - Essay Example The change in the behavior of Zambrano’s participants is systematic and proves his claim that personal roles often change behaviors. Behaviors arise from people’s interaction with their immediate societies. As such, the roles coupled with the beliefs that the society has on such roles systematically influence the behavior of the people playing the role as the discussion below portrays. Both Plato and Zimbardo create an illusionary society by removing their subjects from the society to a new restricted space. While in the spaces, the perceptions of the subjects change based on their understanding of the surrounding. Zimbardo for example sought to establish whether the brutality in American prisons was a result of the guard’s sadistic personality or arose from the prison environment. He therefore recruits his subjects randomly from the society. The participants were normal individuals but without any prior engagements with prisons. As the participants spent more time in the prison environment, their behaviors began to change with the guards becoming increasingly aggressive in their behavior and brutal as they handle the prisoners. The prisoners on the other hand become increasingly submissive to the authority.in his study, Plato criticizes political structures and their effects in indoctrinating people thus influencing their beliefs and social understanding. â€Å"On the other hand, The Allegory of the caves is a discussion of politics: The Republic, from which it is taken, is a treatise on justice and the ideal government† (Plato 2). The limited space in the prison restricts the mindsets of both the prisoners and the guards especially when within the premises. The prisoners spent most of their time talking about the prison and prison life. Additionally, their prior understanding of prisons influenced their stories. The same is the case with the guards who

Law Essay Example | Topics and Well Written Essays - 1500 words - 1

Law - Essay Example 68). There are some cases where a party includes an exclusion clause that states that they are exempted from all liability if things do not go as expected, which is under scrutiny because many people have argued that it only works to protect one party (Bradgate and White, 2007, p. 64). There have also been arguments relating to cases where an exclusion clause should be deemed unfair as per UCTA-Unfair Contract Terms Act 1977. The court of appeal in April 15 2008 overruled a high court decision in the case of Regus Ltd v Epcot Solutions Ltd that had suppliers raise their concerns due to an exclusion clause. In this case, the court of appeal came up with factors that should be put into consideration while deciding whether an exclusion clause is valid or not (Hayward, 2011, p. 43). The case facts were that a supplier company Regus relied on an exclusion clause that stated that Regus would be exempted from liabilities that would occur under any circumstances. In addition, another clause limited Regus’ liability to ?50,000 for any other types of damages. Epcot were Regus’ customers and they complained about air conditioning in their offices. Regus did not act and, therefore, Epcot stopped paying for the charges of their services as per the contract. Thus, Regus sued Epcot for the amount that was due, while Epcot on their part argued that when Regus failed to provide air conditioning, it resulted to a breach of contract. They counterclaimed for damages that had resulted from Regus actions for causing low profits, low opportunities for their business, inconvenience and distress because of not having air conditioning. In order for Regus to win, the case held the responsibility of proving that their exclusion clause was enforceable and fair as per Unfair Contract Terms act 1977. The high court judges ruled that even though it may seem theoretically reasonable for Regus to exempt themselves from liability for profit loss, the clause in this case was too wid e to be enforceable. The clause did not leave Epcot with any remedy for the service of air conditioning and was, therefore, invalid and unenforceable. Regus appealed arguing that the high court judges were wrong in saying that the exemption clause was unreasonable as per unfair contract terms act of 1977. The court of appeal decided in favour of the defendants, thereby reversing the high court’s decision (Andrews, 2011, p. 76). The UCTA plays the role of protecting parties that are contracting from contractual provisions that are onerous like limitation and exclusion clauses. UCTA states limits to which liability for breach of contract and other types of breach of duty can be avoided through an exemption clause. When an exclusion clause fails to meet the restrictions that are stated in UCTA, it is held to be invalid and, therefore, unenforceable. Such a clause is held to be unreasonable and unfair to the other contracting party. Section 3 of UCTA is, in particular, vital whil e dealing with business contracts especially where a supplier is involved (Gillies, 2004, p. 93). This section states that a clause that is deemed to exclude liability of a supplier for breaching a contract can only be enforceable if it passes the test of reasonability. Reasonable test is described in section 11 (1) of UCTA as circumstances that are reasonable and that are known or are to be known by the contracting parties. UCTA schedule 2 has a list of factors that are to be used in assessing reasonability, which are normally

Wednesday, October 16, 2019

Critique Essay Example | Topics and Well Written Essays - 1000 words - 13

Critique - Essay Example The change in the behavior of Zambrano’s participants is systematic and proves his claim that personal roles often change behaviors. Behaviors arise from people’s interaction with their immediate societies. As such, the roles coupled with the beliefs that the society has on such roles systematically influence the behavior of the people playing the role as the discussion below portrays. Both Plato and Zimbardo create an illusionary society by removing their subjects from the society to a new restricted space. While in the spaces, the perceptions of the subjects change based on their understanding of the surrounding. Zimbardo for example sought to establish whether the brutality in American prisons was a result of the guard’s sadistic personality or arose from the prison environment. He therefore recruits his subjects randomly from the society. The participants were normal individuals but without any prior engagements with prisons. As the participants spent more time in the prison environment, their behaviors began to change with the guards becoming increasingly aggressive in their behavior and brutal as they handle the prisoners. The prisoners on the other hand become increasingly submissive to the authority.in his study, Plato criticizes political structures and their effects in indoctrinating people thus influencing their beliefs and social understanding. â€Å"On the other hand, The Allegory of the caves is a discussion of politics: The Republic, from which it is taken, is a treatise on justice and the ideal government† (Plato 2). The limited space in the prison restricts the mindsets of both the prisoners and the guards especially when within the premises. The prisoners spent most of their time talking about the prison and prison life. Additionally, their prior understanding of prisons influenced their stories. The same is the case with the guards who

Tuesday, October 15, 2019

Parental Involvement in Childs Education Essay Example | Topics and Well Written Essays - 1750 words

Parental Involvement in Childs Education - Essay Example The key findings on the effects of parental involvement are likewise summarized based on a compilation of recent research findings. The quality of education is one of the major social issues all over the world, from developing countries in Africa to highly developed ones like America and Europe. The reason is rather easy to see in a world where natural resources are dwindling and the competition for economic power and a high quality of life is intensifying. Ultimately, the continued economic progress of nations would be determined by the quality of their human resources, which in turn depends on the quality of a nation's educational system (Glatthorn, 1999). In America, for example, a government-led initiative that came to be known as the "No Child Left Behind (NCLB) Act of 2001" was meant "to ensure that all children have a fair, equal, and significant opportunity to obtain a high-quality education and reach, at a minimum, proficiency on challenging State academic achievement standards and state academic assessment" (NCLB, 2002, Section 1001). As the law's main aim was to improve the quality of education, educators have been asking uncomfortable but important questions as to how such a goal could be attained. Among the many proposed measures that could have a lasting and positive effect on improving education quality is one that is based on the hypothesis that a lack of parental involvement is detrimental to a child's education. This paper aims to prove the above hypothesis by using research findings to show that the following proposition is true: that increased parental involvement provides beneficial effects on the child's education. Also discussed would be several findings on the ways parents get involved in the education of their children; which type of involvement works best; the effects of parental involvement on student attitudes, self-concept, classroom behavior, and attendance; and at what levels of the child's education would parental involvement be useful. These findings are then summarized into seven major insights on the effects of parental involvement on their children's learning process and ways to encourage and sustain these based on experiences in the U.S. Parental involvement can be characterized in many ways, but all the literature on the topic agree that it includes various forms by which parents participate in their children's education and with the way education is carried out in schools. The range of parental involvement activities is wide: active tutoring of children at home, helping them with homework, becoming role models of positive behavior by showing eagerness to learn and study, or encouraging their children to learn, providing an appropriate place and time for serious study, and supporting their children's schooling by attending school functions and participating in school obligations (PTA, student plays, parent-child excursions, etc.). Parents can also extend their involvement outside the home-school environment by political lobbying, volunteering for community-based school projects, or getting public or corporate

Canadian Economy, Labor, And The Global World Essay Example for Free

Canadian Economy, Labor, And The Global World Essay The Federal Open Market Committee report indicates a decline in output and employment. Household spending has been increasing gradually though there have been several constraints such as high unemployment rates, tight credit, and slight income growth. The United States is the biggest trading partner to Canada and economic slumps within the American economy affect the Canadian economy negatively as well. Such a decline in output will affect the Canadian economy since a decline in goods that Canada obtains from the United States will mean the country will lack them and have to find other countries to trade with. In addition, the low output will result in American businesses importing less goods from Canada that they use in the process of producing their goods. The high unemployment will affect Canadian labor based on the large number of Canadians who work in the United States. During an economic recession as this one most foreign workers lack unemployment in other countries as governments give first priority to their domestic workers first. As such, American nationals would be considered first during employment exercises while the Canadians will be left out and stay unemployed until the economy is seen to have recovered. The role of the state in a global world The worlds today is a global one with people from different countries, social backgrounds and cultures interacting on a daily basis. States are part of these interactions as well as they encompass the geographical boundaries that divide our continents into smaller units. States exist as a result of a host of reasons such as political, historical, economic, social, cultural and militaristic. States form different corners of the world are carrying out trade with one another as a result of the growth of the idea of competitive advantage that allows countries to export what they have in abundance and import what they lack. Apart from trade, there are numerous organizations and agreements around the world that have brought numerous countries together in pursuit of common goals so as to create a modern world that is safe and productive to live in. As such, a state has to find a way to effectively take part in such a global world despite having its own independent political, social, cultural, and corporate way of doing things. This requires states to come up with policies that will enable them to actively take part within the global world without compromising their independence (Plattner, 2002). This creates the need for due attention to the theoretical rationales of the state’s formation that ensure that the state remains pertinent in the global world. This is in line with the fact that domestic policies can not be made to treat the economy as a closed entity but need to consider the implications and counterbalancing effects that arise from globalization. The state has a role in the global world that is aimed at legislating its policies that protect its domestic market as well as give opportunity for its country’s participation in globalization. Labor unions in a global world Globalization has grown over the years and has now become an important part of our corporate and social lives. Labor is one of the institutions that have been greatly affected by globalization as businesses and institutions are now able to employ individuals from anywhere in the world as far as they have the required skills and knowledge needed for the job. With the growth of capitalism and international trade, most companies realized the only way to stay in business and continue making huge profits was to cut down on overall expenses and labor costs were one of the expenses cut. The growth of globalization has also lead to the development of outsourcing where businesses have some of the operations carried out by other institutions that are specialized in that field and therefore do not have to employ people to carry out those jobs internally. Most businesses are opening factories in foreign markets that have cheaper labor such as China and Indonesia. As such, labor unions have responded in order to protect their domestic workers from the increasing amount of unemployment that could result from the employment of foreign workers who could be asking for lower wages and salaries as compared to the domestic workers. Labor unions have responded to globalization by engaging in several strategies that limit the negative effects of globalization on labor. One such strategy has been the opposition towards free trade initiatives and agreements involving several countries. One such agreement has been the North American Free Trade Agreement by asking for there to be provisions within the agreement for the inclusion of a charter that would entail a number of labor principles that would be put into effect and enforced by both domestic and international courts. Secondly, labor unions have began to organize regional as well as international organizations that seek to harmonize the labor needs of their members. This is the case especially for multinational companies that operate in several countries where unions facilitate workers from the different factories in the various countries to be able to have collective bargaining of their needs (Herod, 2002). Thirdly, labor unions have been involved in the process of developing labor regulations that are incorporated in most business codes of conduct. Due to the possibility of business including legally correct phrases that could be detrimental to workers when effected and which would affect workers negatively. By have access to the policy formulation stage, unions are able to prevent the inclusion of such codes and policies that would end up leaving workers at a disadvantaged position. How the federal government responded to growing labor militancy The onset of the depression found the provincial as well as municipal governments in debt following expansion in infrastructure. This was at a time when Mackenzie was the prime minister and he held the belief that the crisis would pass thus failed to provide aid to the provinces. The federal government was reluctant in making efforts of reviving the economy that followed the depression (Robert, 2009). After the depression the government started a relief plan faced with mounting pressure from World War 1 veterans who demanded to be protected from poverty that was known as the New Deal The federal government under R. B Bennett campaigned on high tariffs as well as large scale spending. The federal government also increased welfare and assistance programs as well as programs intended to increase work opportunities. This was a move that led the federal government to more deficit (Neatby, 1963). This worsened the situation based on the fact that it caused a great number of government employees to loose their jobs as well as the cancelation of many public works projects that were underway. The federal government had a burden of the Canadian National Railway that had been highly affected by the depression. The government has as well taken over a number of railways that were bankrupt and out-of-date over the period of the world war. This increased the debt that the government had to a massive sum that was hard to be repaid at the time based on the hard financial time that the nation faced. The decrease in trade had made the Canadian National Railway to loose substantial amounts of funds a crisis that had been worsened by the depression. This created a burden for the federal government on the basis that it had to bail out the CNR baring in mind that the government was as well facing other debts. The failure of the federal government to revive the economy led to its defeat by the liberal party. The future for Keynesian economics Keynesian economics is struggling as it seems to have a dimming future. Since the 1970s when Keynesian economics faced a significant decline due to its failure as a result of the resultant high inflation rates and economic recessions, there has been an emergence of monetarism. In the 1980s, classical as well as supply-side economics have increasingly challenged the appropriateness of Keynesian economics further (Rousseas, 1986). As a result, Keynesian economists have responded to this decline and have created new schools of thought based on early Keynesian economics. These are †¢ The neoclassical Keynesianism †¢ The post-Keynesianism †¢ The new Keynesianism All these school of thoughts have emerged mainly as a response to the criticisms that new classical economists have raised against Keynesian economics (Gordon, 1990). Due to the focus on the demand side, Keynesian economics has proved to be important especially during economic revival after recessions as was witnessed after the recent 2008-2009 global recession where most affected countries engaged in Keynesian economics by providing economic stimulus packages aimed at reviving the economy again. This is based on the Keynesian view that markets usually lack a mechanism to self correct themselves and therefore government interventions are required to restore the economy once again. References Gordon, R. J. (1990). â€Å"What Is New-Keynesian Economics? † Journal of Economic Literature 28, no. 3 1115–1171. Herod, A. (2002). â€Å"Organizing globally, organizing locally: union spatial strategy in a global economy. † In Harrod, J. Robert, O. Global Unions? Theory and Strategies of organized labor in the global political economy. London: Routledge. Neatby, H. B. (1963). William Lyon Mackenzie King, 1924-1932: The Lonely Heights. Toronto: University of Toronto Press. Plattner, M. (2002). â€Å"Globalization and Self-Government†, Journal of Democracy 13(3): 54-67. Robert, L. (2009). The Workplace and Economic Crisis: Canadian Textile Firms, 1929-1935, Enterprise and Society, Vol. 10 Issue 3, pp 498-528. Rousseas, S. (1986). Post-Keynesian Monetary Economics. London: Macmillan.

Monday, October 14, 2019

The Effects Of Interval And Continuous Training Physical Education Essay

The Effects Of Interval And Continuous Training Physical Education Essay In todays society where appearance and health is a major part of modern life, there is a growing awareness of overweight and obesity in the World. For many reasons such as appearance, health many overweight and obese people undertake some form of diet or exercise program to overcome this. In many grocery stores fitness magazine can be found describing new fat diets shed 2 stone in 4 weeks. Weight-loss drinks have become more and more popular as they may aid in weight loss, although most people favour eating actual food than a shake every couple of hours every day. More health clubs have become available all around the country, being easy to access and offering guarantee weight loss. These clubs help people in losing weight, however usually does little to encourage them to stay as they have already received there signing up fee. Success in weight loss programs comes by adherence to exercise, however for a majority of people this is the major issue. These health and fitness clubs strive on selling membership to the general public and most dont encourage people to stay. More exercise and changes in diet are the key factors to weight loss. A change in diet helps weight loss by restricting total caloric as well as fat intake (C. Curioni P.Lourenco, 2005). A change in exercise patterns also aids weight loss by increasing caloric and fat expenditure (L N. Keim et al., 1990 V. Mougios, et al., 2006) Many individuals attempt to lose weight, though never meeting their goals. This is usually due to someone attempting a diet and exercise program for a brief time, lack of changes in their appearance or weight make the participant want to quit (A. Grediagin, et al., 1995) as well as lack of time and interest (Willis Campbell, 1992) have shown to prevent devotion to their weight loss program (Kempen et al. 1995). Body composition is one of the most frequently studied subjects (R. Bryner, et.al 1997). To date, a number of studies have reported the efficacy of high intensity exercise on various physiological parameters related to weight loss (R. Bryner, et al. 1997; J. Jakicic. et al. 2004; V. Mougios et al. 2006). Both men and women begin dieting and exercise programs in an attempt to lose weight however many fail to continue to either exercise or diet usually due to a decrease in results. However, women tend to struggle compared with men when losing weight (Gleim, 1993). Factors include smaller body sizes (Gleim, 1993), less fat free mass (Pollock et al., 1998; Westerterp, 1998), and lower resting metabolic rates (RMR) (Westerterp, 1998) than men. Mens testosterone levels are higher than women, which causes males to have a greater muscle mass and absolute RMR than women (D.W McArdle, et.al 1996). These factors cause females energy expenditures to be less than that of male, so it critical to find an exercise program or diet program for females that will create the necessary results needed for the participants to make sure they continue with that program. The Conventional way of low intensity exercise was considered to be more beneficial way to reduce weight than high intensity exercise because of the greater percentage of fat calories are burned during low intensity exercise (McArdle et al., 1996). Previous research has shown that higher intensity exercise is associated with greater improvements in cardiovascular fitness and greater caloric expenditure, which in turn can assist in improving health as well as weight loss (Perna, et al. 1999, ODonovan, et al. 2005). However it has been shown that high intensity exercise requires a greater percentage of calories (kcal) during and after exercise and is often greater than that of lower intensity exercise (ODonovan, et al. 2005). Substantially following exercise, fat metabolism and RMR has been shown to be elevated for up to 24 hours (Bielinski, Schultz, Jà ©quier, 1985; Treuth, Hunter, Williams, 1996). It is has been highly debated whether if high intensity interval training can be used as a possible treatment intervention in promoting weight loss. In continuous steady state training the speed which the participant exercises at stays the same intensity throughout the duration of the protocol. Whereas the participant completes 10 intermittently exercises at a high intensity alternating with a lower intensity every few moments in the high intensity interval training. Comparing the two training protocols over the same amount of calories expended during a high intensity high intensity interval training program as in a more moderate intensity steady state training program the substrate utilization during these exercises will differ (K. Wallman, et al. 2009). Higher intensity exercise would use primarily use glycogen during exercise whereas a more moderate intensity program would use primarily fat (K. Wallman, et al. 2009). A typical individual would interpret this information as an argument that low steady state intensity exercise is better for burning fat. However, this does not take in to account the fact that fat metabolism is increased after high intensity interval exercise, serving as the bodys fuel source for any post-exercise activity, also to replenish the glycogen stores depleted by the high intensity exercise (K. Wallman, et al. 2009) Its very difficult for many individuals to maintain an extremely high intensity for an extended period of time, thus requiring that near maximal exercise is completed in a high intensity interval training program rather than a continuous steady state program (W. Schmidt et al., 2001) Aims Compare the effects of high intensity interval training versus low intensity continuous steady state training on VO2 max in overweight women. Compare the effects of high intensity interval training versus low intensity continuous steady state training on body composition in overweight women. Lack of studies dealing with high intensity interval training programs as a potential means of weight loss over a short intervention, this specifies that such research is necessary to determine if high intensity interval training is a worthwhile means to reduce total body weight and fat mass over a shorter period. 1.3 Hypotheses / Research Questions The two research hypotheses of this study were null 1) there would be no significant differences between high intensity interval training and low steady state continuous steady state training in V02 max and in body fat percentage; alternative 2) there would be a significant difference between high intensity interval training and low steady state continuous steady state training in VO2 max and body fat percentage. Delimitations Subjects were limited to 18 to 34 year-old female non-smokers, not pregnant, not lactating, and not taking any medications that could inhibit metabolism with a body fat percentage 25% 30%. Subjects, 4 subjects were assigned to either interval training group or continuous steady state training group. Body composition was measured using bioelectrical impedance (BIA) Maximal aerobic capacity was measured using multi stage fitness test (MSFT). The equation was then used to then calculate the VO2max (AD Flouris et.al. 2004 L L ´eger, C Gadoury.1989). V02 max was used to determine the level at which a subject needed to exercise for a given exercise intensity. Limitations A small group, thus limiting the generalizability of the findings. Work environment could not be controlled for. Bioelectrical impedance could only be used for body fat percentage. Multi stage fitness test (MSFT) to assess VO2 max not graded exercise test (GXT). Definition of Terms Aerobic: exercising which requires the use of oxygen Anaerobic: exercising without the presence of oxygen as the work intensity is greater than the rate the body can transport oxygen to be used. Body mass index (BMI): describes relative weight for height. Calculated as weight (kg)/height squared (m2) x 704.5. A BMI of > 25 is considered overweight and a BMI > 30 is considered obese in women. Calorie: energy unit also known as the kilocalorie (kcal). It takes 3500 kcal to be to burn one pound of fat. Continuous training: steady-paced, prolonged exercise (McArdle et al. 1996) Interval training: a form of training that involves high-intensity exercise for a brief period of time with brief periods of rest or low intensity exercise (McArdle et al., 1996) Maximal oxygen uptake (VO2max): is used to measure cardiovascular fitness Obesity: unhealthy high body fat percentages, generally considered >30% for women (McArdle et al., 1996) Overweight: unhealthy high body fat percentages, generally considered 25% to 30% body fat percentage. Steady-state: the point that is reached in continuous exercise where workload and heart rate become constant. 2.0 CHAPTER TWO LITERATURE REVIEW 2.1 Literature Review Obesity is a worldwide issue associated with serious health, social, and economic problems (Brisbon N, et al. 2005). (World Health Organisation 2005) defines overweight and obesity as abnormal or excessive fat accumulation that presents a risk to health. Obesity has been associated with one or more diseases such as diabetes, hypertension, and cardiovascular disease, which have shown to result in serious health issues and even causes of death (C. Stein and C. Colditz 2004). Obesity can be classified into two different sections these being android obesity, where the main proportion of fat mass is situated around the abdomen and waist area, and gynoid obesity, where a large proportion of fat mass is located in the gluteal and femoral areas (A. Kissebah and G. Krakower 1994). Obesity is usually occurs as the result of an imbalance between calories consumed and calories which are expended. An increased consumption of highly calorific foods, without an equal increase in physical activity, will lead to an unhealthy increase in weight. Also decreased levels of physical activity will result in an energy imbalance and lead to weight gain. It is estimated that one billion adults are overweight and more than 300 million are obese (World Health Organisation 2008). At least 2.6 million people each year die as a result of being overweight or obese (World Health Organisation 2008). Once being associated with the higher income countries, obesity is now also widespread into the lower and middle income countries, as over 65% of the worlds population live in a country where overweight and obesity kills more people than underweight (World Health Organisation 2008). This includes all high-income and middle-income countries. Globally, 44% of diabetes, 23% of ischaemic heart disease and 7-41% of certain cancers are attributable to overweight and obesity (World Health Organisation 2008). 2.2 Body Mass Index The most commonly used measure for identifying if an individual is considered overweight or obese is the Body Mass Index (BMI), is a simple index to classify overweight and obesity in adult populations and individuals. The (World Health Organisation) defines the calculations for BMI as the weight in kilograms divided by the square of the height in meters (kg/m2). The classifications of BMI are underweight (=25.0), pre-obese (25.0 29.9), obese (>=30.0), obese class 1 (30.0 34.9), obese class 2 (35.0 39.9) and obese class 3 (>=40.0). The body mass index (BMI) is the same within both sexes and for all ages of adults. However, the BMI should be considered as a rough guideline as it may not correspond to the same body fat percentage in different individuals. The BMI classification system is not yet usable for children as their bodies undergo a number of physiological changes as they grow. 2.3 Bioelectrical Impedance Analysis (BIA) However bioelectrical impedance analysis (BIA) is a commonly used method for estimating body composition (Maughan R 1993). BIA first became available in the mid-1980s the method has become very popular due to its ease of use, portability of the equipment and its relatively low cost compared to some of the other major methods in assessing body composition analysis (Maughan R 1993). In spite of the perception that BIA measures body fat, the device actually determines the electrical impedance of body tissues, which in turn provides an estimate of total body water (TBW) (Maughan R 1993). TBW results from the BIA, can then estimate fat-free mass (FFM) and body fat (adiposity) (Maughan R 1993). 2.4 Exercise Regimes Changes in diet and/or exercise patterns are the primary ways for one to lose weight but a combination of caloric restriction and exercise has been shown to be a more effective nonsurgical intervention (C. Curioni and P.Lourenco, 2005). Recent research from (V. Mougios, et al. 2006) has shown that a combination of exercise and dieting has been more effective to optimize fat loss. Past research from (N. Keim, et al. 1990) agrees with this by stating that a change in diet eases weight loss by limiting the total caloric intake for the day. Caloric and fat expenditure is increased by a change in exercise patterns (N. Keim, et al. 1990). Of relevance, the exercise regime typically employed in an overweight or obese population involves stable aerobic exercise performed at a continuous low to moderately low intensity (Jacobsen et al., 2003). It is undefined whether this form of exercise (continuous), in combination with dieting, is the most effective way to lose fat or to improve general health. Alternatively high intensity exercise burns a larger number of calories when compared with low to low-moderate intensity exercise performed over the same period of time, therefore being more effective solution for fat loss (L. Campbell, et al. 2010, ). Additionally past research from (J. MacDougall, et al. 1998) has shown that high intensity exercise places a larger physiological load on the cardiovascular system compared with lower intensity exercise and therefore may lead to greater results in improvements in aerobic fitness. On the other hand (L. Campbell, et al. 2010) states that many overweight and obese individuals have l ow levels of fitness, the stress which is put upon their bodies by the high bouts of high intensity exercise may be difficult for them, if not impossible. This is supported by Jakicic et al. (2004) who reported the need for obese/overweight participants to divide their exercise sessions into smaller sections due to their incapability of performing a single continuous session of moderate to high intensity exercise. Up to now, certain studies have reported the efficacy of high intensity exercise on various physiological restrictions related to weight loss (Jakicic, Marcus, Gallagher, et al. 2004; Mougios, Kazaki, Christoulas, et al. 2006). In addition, ODonovan et al. (2005) has reported superior improvements in cholesterol, low density lipoprotein (LDL-C) and high density lipoprotein (HDL-C) after research of a 24 weeks period of high-intensity exercise, compared to moderate-intensity exercise. As Interval training includes bouts of high-intensity exercise with stages of rest or lower intensity exercise that allow for part recovery (McArdle et al., 2001), it can be used for most individuals as dependent on their fitness levels the intensity and duration of the interval bouts can be adjusted in order to match an individual, thus making this form of training a suitable option for most people. The studies which have compared high intensity interval training and continuous aerobic exercise in the o bese and overweight population have stated that high intensity interval training resulted in greater fat loss (J. King et al, 2001; E. Trapp et al, 2008). High intensity interval training can be conducted in many forms of exercises from cycling to walking, research from (L. Campbell, et al. 2010) looked at the effects of interval exercise on physiological more specifically into continuous versus interval walking in an obese population, whereas (K. Wallman, et al. 2009) exercise interventions required the participants to exercise on a cycle ergometer (Monark 828e, Sweden) as the reduced strain on the body , would occur via cycling, as an exercise intervention in an overweight population. The research done by (L. Campbell, 2010) stated that potential participants were eliminated if they participated in an excess of 30 minutes of exercise on 3 different occasions per week over the last 6 months K. Wallman, et al. (2009) also stated this. L. Campbell, (2010) also excluded participants if they were ever pregnant, taking medications in relation to beta blockers, blood pressure or a thyroid medication, whereas other research by (K. Wallman, et al. 2009, JW. J. King. 2001, K. Hansen, et al. 2005) didnt look into eliminating participants if they had these advantages. Participants were also excluded if they had diabetes, had a blood pressure (BP) superior than 160/90, had lost more than five kg in the last three months, had musculoskeletal problems that prevented them from walking (L. Campbell, 2010, K. Wallman, et al. 2009). The daily activity data for a week i.e. the number of steps per day was assessed during weeks 1 and 12 of the intervention using a pedometer (Yamax, Dig i-walker, SW-700, Tokyo, Japan) in research by (L. Campbell, 2010). The Yamax Digi-walker pedometer has been reported to accurately and reliably measure steps during walking and running in overweight and obese individuals (Swartz et al., 2003). However other studies did not take into consideration daily activity which is what I did. How different studies measured their results varied as H. Mohebbi, (2011) interventions consisted of the use body mass index and whole body fat mass and free fat mass (FFM) in order to get their results, whereas (K. Wallman, et al. 2009) used the stadiometer for to measure their height and body mass was determined using Sauter scales. Compared with how the intervention that I used to get my results would be the use of body fat percentages from bioelectrical impedance and looking into physiology adaptations by the MSFT. 2.5 Interval Versus Continuous The research results reported by (L. Campbell, 2010) used individuals who there were no significant differences for age, body-mass, height and BMI Prior to the intervention for both groups and there were no significant differences between the two groups for VO2peak (ml ·kg-1 ·min-1) K. Wallman, et al. (2009) also approach their investigations this way. The results by (L. Campbell, 2010, K. Wallman, et al. 2009, K. Hansen, et al. 2005) shown that there were no significant differences between both groups for body mass, fat mass or lean mass at baseline but there were significant main effects for time for body mass and fat mass . Further, while (L. Campbell, 2010) found there were no significant differences between groups for gynoid and android fat mass at baseline or upon the conclusion of the intervention, there was a significant main effect for time found for gynoid fat mass, with reductions in this measure being reflected by large ES in interval and continuous groups. Whereas K. Wallman, et al. (2009) found there was no significant differences, however there was a slight difference in both variables, but results revealed that while there were no significant changes in body mass and android and gynoid fat mass between groups, there was a trend for a decline in android fat mass in the interval group, as established by a large effect size in this group only. Declines in total fat and gynoid fat mass were reflected by significant main effects for time, as well as moderate and large effect in both groups (L. Campbell, 2010). L. Campbell, (2010), K. Wallman, et al. (2009) found that in addition, the decrease in overall body mass over time only was reflected by a moderate effect sizes in the interval group only. These results show that body mass in the interval group are most probable at greater total android fat mass and fat loss in the interventions, as results show interval group are (~22.5% and 28.5%) compared to the continuous group (~17% and 19.2%) (L. Campbell, 2010). Furthermore these results are also support by other similar studies that stated body mass loss (W. Schmidt et al., 2001; J. Volek et al., 2005) and fat mass loss (J. King et al., 2001) after exercise interventions (J. King et al., 2001; W. Schmidt et al., 2001) and also a diet and exercise intervention (J. Volek et al., 2005). K. Wallman, et al. (2009) research looked into the use of a calorie restricted diet when comparing interval versus continuous, while other studies (J. King, et al 2001, K. Hansen, et al. 2005, L. Campbell, 2010) have shown not to directly look into calorie restricted diet. Consequently research suggests a combination of both high intensity interval training and calorie restricted diet has shown beneficial improvement in VLDL-C (L. Campbell, 2010). The studies which have compared high intensity interval training to continuous aerobic exercise in the obese and overweight population have reported that high intensity interval training resulted in greater fat loss (J W. King, et al, 2001; E. Trapp et al, 2008). Nonetheless, the results of the study conducted by (C. Perry, 2008) suggest that further investigation is necessary into the use of interval training on cardiovascular fitness and fat loss amongst an overweight or obese population. C. Perry, (2008) In particular, a longer intervention period, as well as a higher work to relief ratio associated with the interval exercise may result in greater improvements in cardiovascular fitness and fat loss. As the results have shown that interval training appears to be an effective form of exercise when improving aerobic performance and fat loss, (C. Perry, 2008) states that future studies should examine the adoptability and sustainability of a cycling interval training regimen in the overweight and obese population. Furthermore J W. King, et al (2001) indicated that there is a lack of studies investigating high intensity interval training programs as a potential means of weight loss compared with low continuous training. This shows that such rese arch must be conducted to determine if high intensity interval training is a viable means to reduce total body weight and fat mass when in complaisant with low continuous training. 2.6 Summary Even though previous studies exist concerning the effect of high intensity interval training on performance, interval training has yet to be assessed in a shorter duration than other studies which look into the effects of interval training. Most studies look into the effects of high intensity interval training over a period of 8 weeks or longer (Jakicic, Marcus, Gallagher, et al. 2004; Mougios, Kazaki, Christoulas, et al. 2006). These studies have found a significant difference when comparing body fat percentage/Body composition and performance (J. King et al, 2001; E. Trapp et al, 2008). However if an high intensity interval training program is shown to produce changes in body weight and body composition in a shorter time than 8 weeks plus, perhaps that type of program would be more appealing to those who have difficulty adhering to longer continuous steady state exercise programs. 3.0 CHAPTER THREE METHOD The purpose of this study was to compare the effects of high intensity interval versus low steady state continuous training on weight loss and body composition in overweight population. This section will discuss the subjects, instrumentation, research protocol, and the design and analyses that were used in comparing the effects of the two training methods. 3.1 Subjects The primary criterion for subject selection will be that all subjects will be clinically overweight and obese, overweight is classified having an body fat percentage of 25% During the testing the subjects were not be allowed to make any conscious changes in their eating habits. The purpose of the study was to determine the effects of high intensity interval and low intensity steady state training protocols on weight loss and physiological adaptations, any changes in energy consumption would have an effect on this data. For this study there were 8 subjects/volunteers, which were randomized into two different groups using randomized software, these groups being high intensity interval and continuous steady state training groups. The 8 subjects will be randomly drawn into high intensity interval training and low intensity steady state training groups though computer software tools which was also agreed with by participants and the university itself. Prior to the study, all subjects were asked to sign an informed consent form (Appendix A) and Par-Q (Appendix B). The informed consent notified subjects of all potential risks involved, including the possibility of musculoskeletal injury and myocardial infarction (J. King et al, 2001) while the Par-Q gave detailed information about the participants health. The experimental protocol and associated risks were explained orally and in writing form to all subjects before written consent will be obtained. The subjects were told that they would be free to leave the study at any time and that their personal records would be kept confidential. 3.2 Tests and Equipment Each subject completed a 4 week training program, the subjects were told that they would be free to leave the study at any time and that their personal records would be kept confidential. Prior to the study the subjects/volunteers were asked if they are involved in a structured training program and will be excluded from the study if they dont meet the criteria. As this study dealt with the effect of high intensity interval and low intensity steady state training protocols on weight loss, body composition and physiological adaptations, there were be several measures taken. A VO2 max test prior to the study was conducted in order to determine appropriate absolute intensity levels for the subjects. The dependent variables, weight and body composition, was measured at both the beginning and end of the study. Body fat percentage was also recorded both at the beginning and end of the study at similar times in the afternoon. The most precise way to assess aerobic capacity is the direct measurement of maximal oxygen uptake (VO2max) during a graded exercise test (GXT). However, the direct measurement of VO2max is often limited to laboratory, clinical, and research settings. The requirement to assess aerobic capacity in the general public has led to different development of various field based testing. These tests included the multistage fitness test and 1 mile walk test, previous research by (D J. George et al., 1997; P D. Heil et al., 1995; H M. Malek et al., 2005) reported valid estimates of aerobic capacity when using field based VO2 max testing. The multistage fitness was used in this study due to other commitments where all participants couldnt arrive at the laboratorys to conduct the GXT. The 20-m multi-stage shuttle run test (MSFT) is also known as the Leger test, the beep test, the bleep test (Leger, Mercier, Gadoury, Lambert, 1988). MSFT (20-m MSFT, Leger et al., 1988; Leger et al., 1989) is often the most used field based fitness test used when testing aerobic capacities of a person, recent study by (Wong et al., 2001; Mota et al., 2002; Guerra et al., 2002; Vicente-Rodriguez et al., 2003; Vicente-Rodriguez et al., 2004) have used the 20-m multistage fitness test for the measurement of aerobic capacity. The MSFT involved the test subjects to do continuous running in-between two lines which were situated 20 metres apart in time to the recorded beeps. As the test subjects reach the marked line they then stop, turn around by 180 ° and run in the opposite direction towards the other marked line. The subjects were told they must stop when instructed by a beep from a CD. The starting speed of the MSFT is 8.5 km/h and after about a minute a sound indicates an increase in speed (0.5 km/h per minute) (Leger, A L Lambert, J. 1982). As the level increase the time it take for the beeps decreases. The test was stopped when a subject was unable to keep up with the pace dictated by the beep sound, and their score was taken. Throughout the test, the participants had to make sure to cover the set distance and touch each line with their foot before proceeding towards the next line. In order to calculate the predicted VO2 max (predËâ„ ¢VO2 max) for the MSFT an appropriate equations was used (AD Flouris et.al. 2004 L L ´eger, C Gadoury.1989): à ¢Ã¢â€š ¬Ã‚ ¢ MSFT: predËâ„ ¢VO2max = MAS ÃÆ'- 6.592 à ¢Ã‹â€ Ã¢â‚¬â„¢ 32.678 Each subjects was required to attend the exercise physiology laboratory at Wolverhampton university where their height can be assessed using a stadiometer, their mass be assessed and body fat percentage using bioelectrical impedance. However due to time arrangements participants couldnt make it to physiology laboratories for testing, therefore the testing was brought to the participants through the portability of the bioelectrical impedance and a portable stadiometer was used to assess the participants height, also they weight was assessed using scales (Seca 769 Upright Scales). Bioelectrical impedance analysis (BIA) has emerged as one of the most popular methods for estimating relative body fat (National Institutes of Health Technology 1996 V H. Heyward et al., 1996). BIA was first developed in the 1960s; BIA is also relatively simple, quick and portable and is used in diverse settings, including private clinics and hospitals. National Institutes of Health Technology (1996) has shown that the BIA method to have approximately the same accuracy as of the skinfold method in a diverse group as also found by (V H. Heyward et al., 1996 D W. Lockner et al., 1999). Before testing subjects could moderately consume drinks or food, as long as the fluid or food remains within the stomach, not absorbed by body tissue, test results will not be influenced (V H. Heyward et al., 1996). To conduct the BIA all subjects were asked to lie in a supine position on a non-conducting surface, with the arms slightly abducted from the trunk and the legs slightly separated the particular model used was the (Bodystat 1500; Bodystat Ltd, Douglas, UK). The electrodes were placed on the hand and foot of the right side of the body and repeat tests were applied to the same side of the body, new electrodes were employed for each subject. A non-susceptible current then entered the body through the first pair of hand-foot electrodes, and then the second electrode pair is used to determine the voltage drop caused by the body water dependent impedance or total resistance which then determines body fat percentage (V H. Heyward et al., 1996) a few seconds later the test was completed. <

Sunday, October 13, 2019

The cultural relevance of the Bic Maxi lighter :: Culture Cultural Lighters Essays

The cultural relevance of the Bic Maxi lighter According to William J. Thomson, the natives of Easter Island’s â€Å"method of obtaining ï ¬ re requires considerable preparation of material and patience on the part of the operator. A pointed stick of hard wood is rubbed against a piece of dry paper-mulberry until a groove, is formed, which ï ¬ nally becomes hot from the friction and ignites the lint or ï ¬ ber thrown up at the end of the groove. This is blown into a ï ¬â€šame, and dried grass added to it until the ï ¬ re is sufï ¬ ciently established.†1 Society is still dependent on ï ¬ re today. If not for bare survival, ï ¬ re is used for some simple enjoyments of life: candle lights, barbecues, ï ¬ replaces, etc. But contemporary methods of obtaining ï ¬ re often simply require a ï ¬â€šick of the thumb. The portable disposable cigarette lighter is a very ubiquitous tool used by many of us who require a ï ¬â€šame once in a while. This paper will discuss the Bic Maxi lighter (ï ¬ g. 1 soon) a nd its relationship with some of western culture’s contemporary issues, mainly: branding, individual responsibility, the mainstream and ecology. It will illustrate the Maxi’s cultural relevance by presenting the implications of its belonging to the Bic brand, some background issues related to the Child-Guard mechanism, its popularity and omnipresence, and its impact on the environment. Will follow a discussion of the eminent disappearance of the Maxi as a product dependent on a socially deviant behavior. It is branded Although they are regarded by many as threatening to our health, destructive to our environment and corrupting our children, brands are an important part of the postindustrial commercial life.2 Many recent books have been chanting an anti-brand rhyme: Eric Schlosser’s Fast Food Nation (2001), Franà §ois Dufour and Josà © Bovà ©Ã¢â‚¬â„¢s The World is Not for Sale (2001), and most importantly, Naomi Klein’s No Logo: Taking Aim at the Brand Bullies (2000). But still, brands are everywhere: â€Å"products, people, countries and companies are all racing to turn themselves into brands — to make their image more likeable [sic] and understandable.†3 Madonna, Canada, Starbucks, Martha Stewart, The European Union, Microsoft are all selling the greatness of being alive, surrounded by their music, culture, coffee, craft, money, software, etc. Historically, brands were â€Å"a form not of exploitation, but of consumer protection. In pre-industrial days, people knew exactly what went into their meat pies and which butchers were trustworthy; once they moved to cities, they no longer did.