Saturday, August 31, 2019

Gustave Flaubert’s Madame Bovary Essay

Gustave Flaubert’s Madame Bovary is undoubtedly one of the most controversial works in its age due to the immoral nature of its protagonist, Emma Bovary. Emma passes with good reason for one of the most powerful portraits of a woman in fiction, the most living and truest to life where sentimental young woman whose foolishly romantic ideas on life and love, cause her to become dissatisfied with her humdrum husband and the circumstances of her married life. Her feeling of disillusionment led her first into two desperate hopeless love affairs, and then to an agonizing and ugly death from arsenic. Emma is first and foremost, a person of sensuous nature, and more a romantic. Her sensuality is combined with vulgar imagination and a considerable degree of naivete. She symbolizes the double illusion. First the illusion that things change for the better in time; then the same illusion of spatial terms, the closer things were something that should be turned away from. She accepts Charles, the healthy doctor, because he represents the outside world. She sees matrimony in terms of a candle-lit midnight wedding. But marriage itself utterly disappoints her. She begins to dream of a happiness that can exist in faraway places but to no avail. Emma’s monotonous existence is disrupted by the invitation to a real ball. Slowly her fantasies come to crystallize in a particular town. It is accompanied by neglect of all materials and an over readiness to fall in love. Emma loves life and pleasure, much more than she loves a man. She is more ardent than passionate. She was in love with Leon, but his physical presence troubled the voluptuousness of this meditation. The Rodolphe affair is in fact a kind of physical parody of the idealized relationship she maintained with Leon. Rodolphe exists on a lower plane, an animal existence. Her marriage, her boredom, her newly awakened sexual desires, and her romantic dreams – all contribute to her fall. Emma is undoubtedly a victim of circumstances. Unlucky coincidences, stupid men and human weaknesses force her fate to be damned for ever. Charles has been systematically invented to be her undoer. She made efforts to love him and repented on tears for having given into another. She could have experienced the great revenge and pride of women, to give birth to a man; but it is a girl. In looking for religious help, she might have had better luck than with the unusually inept Bournisien, another character worthy of her bad luck. The walls against which she will finally dash herself to the pieces have been erected around her as by an evil artist. Emma is sustained by willpower neither from within nor from her husband. In the absence of will power she has enough passion, a somber selfishness to drive a man to criminal deeds. We see her willingness to make Rodolphe into a murderer and she would make Leon, a thief. Though she is a creature of passion, she does not kill herself out of love, but for money. She reconstructs a world of love and luxury, joined like body and soul in the dream of an ideal life. Her life will follow a parallel course on the financial and on the sentimental plane. The disappointment of one coincides with the troubles of another. Flaubert treats her death as damnation where the devil is present in the garb of a blind man, a grimaced monster she glimpsed during her adulterous trips to Rouen. She dies with an atrocious laugh of horror and despair. Emma lacks all capacity for sympathy. Imagination has consumed all other faculties and sentiments. She never had an image dependent on moral beauty. In fact, her life was spent in seeking an image for herself. The search was doomed to destruction because no earthly role of herself or of love could satisfy her. In her own self determined embrace of romantic passion, she traces her own path to destruction. In doing so she moves us not to pity but simply to horror. Emma is essentially a novelistic creation set forth in all her internal complexities. Her dreams are destined by reality to wither into lies. Flaubert’s great success with Emma is that he makes the reader come into imaginative contact with his heroine, a kind of intimacy as the tale progresses and finally ends with tragedy for its heroine.

Friday, August 30, 2019

Implications of Gambling Industry on UK Business Environment Essay

Gambling opportunities have sharply increased all over the UK in a short period of a couple of years. It has been transforming into a socially acceptable means of entertainment due to the increasing leniency in laws regarding gambling. Gambling has been made available in all areas of the city and special facilities have opened for this purpose. Betting offices, clubs, and casinos are just a few examples of such places. â€Å"Gambling is playing games involving chance or placing bets in the hope or expectation of winning money. Gambling takes many forms, from buying lottery tickets in a raffle to playing the football pools or betting on the Grand National to table gaming in casinos. † (Basic facts about the British Gambling Industry, pg. 2) Developments in science and technology have open new gates for gamblers on a global scale. Nowadays, gamblers can take advantage of online gambling facilities to indulge themselves in these activities without leaving their houses just by using their credit cards. The government has further opened opportunities to gamble on telephones if you have activated an account with a bookmaker. According to a report prepared by KPMG, the total amount betted on gambling activities in Britain in the year 1998 reached 42,121 million pounds. The amount spent in casinos was the topmost which calculated up to 18,547 million pounds. A Brief History of Gambling in Britain â€Å"The high point of gambling in Britain is considered to be a period of aristocratic excess in the late 18th and early 19th centuries. Upper-class gaming was characterized by â€Å"deep play† (defined by the philosopher Jeremy Bentham as gambling for stakes so high that it becomes irrational) and crazy, eccentric wagers, such as the one apparently struck by the northern baron who bet he could make it to Lapland and back within an allotted time, accompanied by two reindeer and two native females. He won his bet. † (Atherton, pg. 28+) The Gaming Act of 1845 declared the games of chance as illegitimate. For a long period of time until 1960, gambling carried on inside the UK as an illegal business. It was in 1960 that the government took a major step in the legalization of this industry. Hence, the betting and gaming Act of 1960 was introduced for this legalization process. The Betting and Gaming Act of 1960 altered the previous laws and paved the way for the development of gambling outlets especially casinos all over the UK. Since this was the first time that gambling was permitted in the UK, the government did not take necessary precautions to control the side effects that are associated with gambling activities. This was the major cause of the rise in crimes in Britain at that time since criminals found these new legalized gambling outlets and casinos as a good place to strengthen their footholds. Moreover, loans and losses in gambling gave birth to new criminals as addicted gamblers adopted thefts, burglaries, and other money-making crimes to fulfill their gambling compulsions. As time passed, lawmakers realized the need for a new act that would focus on these issues that have risen after the legalization of gambling. Therefore, the Gaming Act of 1968 was brought in to impose certain restrictions on the gambling industry. With the introduction of the Gaming Act of 1968, the Gaming Board was seriously planning to put a ban on Roulette but they succumbed to the demands of the gambling industry. (http://www. hca. heacademy. ac. uk/resources/TDG/reports/gaming-example-wolfe. ppt) The launching of the National Lottery and the increasing trend in online gambling during the 1990s led to the revision of betting duty by the British government. Afterwards, the government decreased the taxation on betting activities by a considerable amount. General Betting Duty (GBD), a particular type of tax on betting activities that was charged on the percentage of stakes has been replaced by another one, known as Gross Profits Tax (GPT). This new type of tax is charged on the net profits that a bookmaker makes. They also decided to replace the current general betting duty (GBD), levied as a proportion of betting stakes, with a gross profits tax (GPT), based on the net revenue of bookmakers. (Paton, et. Al, pg. F296)

Thursday, August 29, 2019

Biography of Charlie Parker

Charlie Parker's biography Charlie Parker is one of the few musicians who can say that jazz has been permanently changed. He can play a very fast line, and if you slow down to half speed, you will notice that each sound makes sense. Charles Christopher Parker was born in Kansas City, USA on August 29, 1920. He was born on the Kansas side of the state, but in fact it was born from the Kaw River in Kansas City, Missouri. Everyone who intends to write a suitable biography of Charlie Parker must eventually master the essence of genius itself. Very recently, in the life of the great contemporary jazz saxophonist Stanley Crouch, the first volume of the long-awaited two volumes is close to a conversation with the William Biddy fleet, he is a troublesome guitarist, After he arrived in New York in 1938, he explored his own style and new concept that jazz may still be his teens. I like birds (Parker), I told the writer, This is not a person who has to write down, go home and study, and I will do anyone when I meet next time. I like birds Things will do it as soon as you find out what it is. The legendary jazz musician Charlie Parker was born on 29th August 1920 at Charles Christopher Park in Kansas City, Kansas. His father, Charles Parker, is an African American performing artist and his mother, Eddie Parker, is a traditional American maid. Charlie is the only child who moved to Kansas City, Missouri with his parents at the age of seven. Back then, the city was the center of African-American music, including jazz, blues and gospel. Charlie discovered his musical talent by attending a public school class. As a teenager, he played the school band's baritone horn. When Charlie was 15 years old, Alto Saxophone was his favorite instrument. (A few years ago, Charlie's mother handed him sax to help cheer his father after he threw away his family.) During school, Charlie began a band at a local club It was. The famous saxophonist Charlie Parker was acclaimed for Bebop's inventio n. Next to Charlie Park is Dizzy Gillespie (one of the greatest trumpet players in my life). Dizzy Gillespie and Charlie Parker are praised for the birth of Bebop. In 1945, Charlie Parker co-starred with Dizzy Gillespie and founded his own band. Dizzy Gillespie believes that Bebop was the way to adopt the world of racism at the time. After all, they joined the 6 - night night club tour and together they made a new jazz style, bop or bebop.

Wednesday, August 28, 2019

Blog Post Comments Article Example | Topics and Well Written Essays - 500 words

Blog Post Comments - Article Example This is mainly because of their sexual orientation. There are laws in place, which prohibit sexual discrimination and harassment in the workplace (cavallkm 1). Currently, many company policies also provide job security for the gay community. Employees are being desensitized and educated on equality and gender equity. Many believe that military work is masculine, and this is why the gay community finds it hard blending in such institutions like the army and the police force. It will take time before accept the gay community. Policies such as Don’t Ask Don’t Tell is widely in place as those of the gay community choose to keep to themselves. The case of Landon Wilson puts into perspective the challenges faced by the lesbian and gay community. They face constant discrimination in the workplace and usually find it hard settling in many work settings. In order for this group of people to be allowed to integrate with other members of society, it will take a joint effort from all the concerned parties. Not until recently has same-sex marriage been legalized in many countries in Europe, as well as a number of states in the US. For a long while, same-sex couples had been living together in secret. The legalization of gay marriages has been debated in the Senate for many years. As recent as January 2015 did the US Supreme Court agree to rule on gay marriage. The first legal gay marriage in the USA took place in May 2004 (Rimmerman and Wilcox 1). The Christian Church community as a whole have collectively opposed same-sex marriage. The constitution defends the right of two people of the same-sex to marry. The Senate constantly debates on the issue of the freedom and rights of same-sex couples. European countries including Denmark and UK allow same-sex marriage. Currently, same-sex marriage is legal and effective in 37 states of the USA. Recently, 15 states called the Supreme Court to uphold the same-sex

Tuesday, August 27, 2019

Drosophila Parkinson's disease model for Investigating Sleep Disorder Thesis

Drosophila Parkinson's disease model for Investigating Sleep Disorder of PD - Thesis Example Introduction Parkinson’s disease (PD) is an advancing and persisting neurodegenerative disorder that influences the control of the central nervous system (CNS) on the voluntary movement. It was first reported by James Parkinson in 1817, as â€Å"An Essay on the Shaking Palsy† (Parkinson, 2002). Much research has been carried out in two centuries towards understanding Parkinson’s disease but no definite cure could be attained so far. PD has emerged as the second most prevalent neurodegenerative disease after Alzheimer’s disease (AD). Diagnosis of Parkinson’s disease is difficult in early stages of the disease. Estimates reveal that only 75% of the clinically diagnosed cases are confirmed at autopsy (Gelb, 1999). Although the disease is non fatal but the linked complications culminate into life threatening consequences especially in the later stages of the disease (Morgante, 2000). The neuropathological studies disclose characteristics of PD and its c onnection with neuronal degeneration in substantia nigra pars compacta (SNpc), loss of dopaminergic neuron results in imbalance between dopamine and acetylcholine. As less amount of dopamine is secreted, there is overtone of cholinergic activity in basal ganglia, responsible for various clinical features of Parkinson’s disease. ... Lewy bodies are associated with neurological conditions, they enclose protein components of the ubiquitin proteosome system (UPS), hsp, neurofilaments, ?-synuclein and synphilin-1 (Olanow, 2004). Cardinal features of Parkinson’s disease is associated with motor symptoms encompassing resting tremor, rigidity, bradykinesia/ akinesia, shakiness in posture, gait and posture disturbances may be common including shuffling of the feet, decreased arm swing and stooped forward- flexed posture, pin rolling movements of thumb, drooling of saliva from mouth, expression less face or masked face, micrographia, impaired agility (Nussbaum, 1997). The non motor symptoms occur due to loss of non-dopaminergic pathway resulting in the distress in the patient and hence impairing life (Hely, 2005). Mood alteration is common in PDs, including depression (Lieberman, 2006), anxiety, cognitive disturbance, impaired attention, prioritizing, interpreting social cues, and subjective awareness, dementia, h allucination, delusion, short term memory loss, enhanced sexual activity and psychosis (Frank, 2005; Levin, 2005). Sleep disturbances, disproportionate daytime sleepiness with nighttime sleeplessness, distressed REM sleep (Freedom, 2007). Disturbed visual sensations, spatial analysis and color differentiation, PD cases are unaware of their body position (Adler, 2005). Nocturia, orthostatic hypotension, distorted weight (Martignoni, 1995). Risk Factors for Parkinson’s disease encompass advancing age, environmental predisposition, and genetic factors in the select genes. The onset of Parkinson occurs in the individual above 50 years. The cause of PD is idiopathic and genetic

Monday, August 26, 2019

Education - Communication with Families Essay Example | Topics and Well Written Essays - 500 words

Education - Communication with Families - Essay Example Also, the teacher has provided translators for parents whose first language is not English. Since â€Å"translators† is plural, it is possible the teacher arranged for translators of more than a single language to be present at the meeting. Also, the teacher announces a willingness to stay late one day a week until 8:00 PM. Showing sensitivity to parents provides instant benefits. Thanking attendees for their presence is a basic element in many addresses, because it focuses attention on the audience and the effort they made to get to the meeting. As Mendoza (2003) notes, geographic distances can be difficult for some parents to cross so they can get to school events. By providing translators, the teacher is indicating an understanding that language barriers might exist and need to be addressed. This action says, â€Å"Those of you who can’t speak English deserve to know this, too.† The teacher’s willingness to stay late once a week would positively affect parents who could not make it to the school during regular school hours. Mendoza (2003) cites a study that showed how the structure of the school day limited information exchange to transition periods. A meeting at 6:00 PM would be more peaceful and productive for both parties than a hurried exchange in the parking circle at 3:00 PM. While the speaker clearly has good intentions, the speech is not without examples of insensitivity. The teacher states, â€Å"E-mail is one of the best ways for us to communicate!† This is only true for homes with Internet access, though. Students in households with low incomes might not have such access. Also, while the teacher has not peppered the speech with jargon, it is still not free from confusing vocabulary such as â€Å"state education office,† â€Å"national standards,† and â€Å"country reports,† though she does make an attempt to explain her â€Å"disclosure document† (there has got to be a friendlier name for that!). Such

Sunday, August 25, 2019

Motivation of Employees In Ainu Shamsi Hauliers Limited Essay

Motivation of Employees In Ainu Shamsi Hauliers Limited - Essay Example A presentation of the results and findings and its intrinsic analysis follows suit, after which a summative conclusion is afforded, and befitting recommendations geared to abate unbecoming organizational human resource dynamics ultimately propounded.This paper declares that  depending on our level of motivation, it may function to further determine the quantity of effort we infuse into our work, thus out rightly augment the standard of output. Employee motivation indicators capture the propellants of commitment, creativity, and energy levels by workers of a company on their jobs. They describe the psychological forces determining an individual’s effort level, level of persistence and behavior within an organization.  Numerous business managers are contemporarily ill aware of the effects that motivation can engrain in business. It is therefore pertinent that they learn and comprehend factors that function to determine positive motivation within the workforce. The size of th e business not withstanding; whether the intent is to obtain the best output out of thirty of your staff or only one, everybody requires motivation of some for.  Motivation is a paradigm approached through different facets by different businesses. It therefore emerges that the responsibility ascribed to its integration lies with the entire immediate supervisors of staff. It is the mandate of the business owner to initiate motivation as a strategic guideline for the attainment of organizational goals.   I therefore categorically assert that it is exigent to review the key factors or indicators in the motivation of employees, in order to facilitate affirmative work output in the organization. Literature Review Motivation is a function performed by mangers to encourage, impel, and inspire personnel to take action. In order to motivate employees, they must be reached, and reaching them entails a holistic comprehension of their make up’s complexity. Efforts of motivation must be directed at improving the organizational operation. However, for these efforts to be effective, they must also be designed in a way that exhibits benefits to employees. In actual fact, motivation can be accomplished aptly in the event that workers have the capacity to merge personal ambition with the objectives of the organization (Lundin and Christensen 2000). The existent relationship between the employee and the employer should be one characterized by understanding so that the employee is able to identify with his work as well as with his affiliate business. Deficiency in motivation consequently affects productivity. Several symptoms may point to low morale; increased number of grievances, high absenteeism, high number of defective products, and high employee turnover (Bowles and Cooper 2009). A motivated employee is loyal, and being loyal implies the employee’s support of the firm’s actions and objectives. In fact, the job’s appearance as a whole carries a bearing on the willingness in addition to the

Financial Aspects of Business Essay Example | Topics and Well Written Essays - 1250 words

Financial Aspects of Business - Essay Example It took 20 years for the industry to reach the one billion user mark, but over the last three years the amount of users double to surpass the three billion user mark (Cellular-News). According to Wireless intelligence the exact amount of cellular users is 2.5 billion. 3G technology has revolutionized this industry. 3G is a third generation cellular technology which is associated with services such as simultaneous transfer of both voice and data, downloading information, exchanging email, and instant messaging (Wikipedia). The cellular device has become more than just a handheld phone. The evolution of the capabilities of mobile phones has created new opportunities for companies to generate revenues. Downloading songs for the phone device is an example of an opportunity to create income. The services related to 3G technologies can create approximately $30-60 a month of revenue per subscriber of such services. Another emerging trend is global positioning satellite (GPS) utilization within the phone devices. Korea is a market in which GPS services have been a big success. â€Å"The Korea Association of Information and Telecommunication estimates that cell phone GPS tracking service are growing at an annual rate of 74%†( Wireless, Wi-Fi, RFID & Cellular Industry Trends, 20). An emerging product within this industry are phone devices with the capability to switch from the wireless cell phone network into WiMAX networks. A Wi-MAX network is a wireless internet network with 30 mile radius coverage. These phones hack into the Wi-MAX network an allow user to make p hone calls using the internet. This creates a scenario in which users don’t depend on their cellular service providers. This is a threat mobile companies have to track closely. The Wi-MAX scenario is one of the many reasons 3G technologies must be developed further for the continued profitability of companies in this industry. Also growth within this industry has

Saturday, August 24, 2019

Islamic Culture (week 9) Essay Example | Topics and Well Written Essays - 500 words

Islamic Culture (week 9) - Essay Example By following this etiquette of differing the Muslim society can maintain the characteristics of love and brotherhood between Muslims (Al-Hashmi, 2007). It is easy for the people to control themselves during the situation of agreement and behave in proper manner. However, when people enter into any kind of disagreement it gets difficult for them to behave in appropriate manner. In order to justify their argument and point of view people indulge in unethical way of arguing which at times also leads to fighting. It is acceptable to have a different opinions regarding any specific topic or matter. The acceptable disagreements allow the people to get hold of different viewpoints with strong evidence and increase their knowledge. However, there are some etiquette of differing in the Muslim society which should be followed by the Muslims. Some of these etiquettes are as follow (Al-Hashmi, 2007): Muslims should use appropriate and good words while arguing and debating with other people and should avoid the use of harsh words, as mentioned in Holy Quran: ‘And Speak good to the people’. [Soorah al-Baqarah 2:83] The purpose of discussion should be to get clarification and to identify truth. The reason behind the discussion or differing opinion should not be for the purpose of satisfying ego or for feeling proud. Lastly, the parties and people involved in debate or discussion should respect the opinion of other people and if no agreement or mutual result is achieved the debate should be ended on positive notes (Baianonie, 1998). Islam has provided the concept of harmony, peace, love, and brotherhood between the Muslims and whole mankind. The concept of brotherhood and harmony among the Muslims is an important element in Islam and huge emphasis have been placed on it from the very start. It is important and essential to maintain the characteristics of love and brotherhood between Muslims because it

Friday, August 23, 2019

Green energy Essay Example | Topics and Well Written Essays - 1000 words

Green energy - Essay Example However, the ongoing debates have led to the rise of people against green energy. Critics who claim that green energy can only be technically achieved rather than being achieved in real life. Green energy can be harvested from natural sources such as the sun, wind and tidal waves in seas and oceans. Scientist has proven the use of green energy technically possible. However, how will the public take the new technology on green energy? That question has caused mixed reactions in energy debates globally. Not all people in the society may accept green energy. The producers may go ahead and produce green cabs and cars but who will buy them? Most people prefer buying vehicles that they have been used to rather than those using green energy such as electricity. In some cases, since they have not undergone massive tests, they do not work as to the set standards and conditions. For example, one may purchase a green vehicle to help in solving the global warming change but he/she makes a very s mall fraction of the whole population globally. These ideas are mostly generated in developed countries and introduced to markets in the same countries. However, in the second and third world countries, the problem of pollution is still a menace. Industries and production firms that produce poisonous gases into the atmosphere leading to global warming may not make their ways in developed countries but in the third world countries. Legal and economic structures in these countries are not stable like those found in the developed countries. This means that with all the ideas, there are no enough implementation plans that backup technology. For example, due to inappropriate leadership styles in underdeveloped countries, factories and industries may continue polluting the environment. This at times happen in the presence of strict warning and fines but due to corruption they continue producing. This means that the use of green energy is realistically impossible. There is an

Thursday, August 22, 2019

A Description of the Attributes a Presidential Candidate Should Have Essay Example for Free

A Description of the Attributes a Presidential Candidate Should Have Essay The American President represents much more than an institution. To people around the world he is representative of their hopes and fears for the future and is the focus of intense feelings and emotions. The voting process represents an extremely significant period in American politics where US citizens vote for their President. Their votes are reflective not only of the candidate they like and respect the most, but are also an indication of the person that they predict will be the most effective once in office. Despite this, their decisions are based on the candidate’s performance prior to, and during, the election process. This performance that may not necessarily be a good indication of their actual ability to run the country; the qualities needed to become a President are very different from those required to be a successful President once in office. This paper will address the attributes that are commonly cited as being necessary for someone to become a President and will dispute a number of these, offering the opinion that they are not necessarily the correct basis on which judgments should be made. See more:  Masters of Satire: John Dryden and Jonathan Swift Essay The skills and methods by which an elective may become a President are explored and will be compared to those that are actually required and valued once in office. In the United States the absence of a monarchy entails that the President often becomes the object for nationalistic or monarchical type sentiments that people in countries like England would direct at their Queen. The President is undoubtedly the most important figure in the US and holds several roles including Chief Executive, Commander in Chief, Head of the National Party and Chief Legislator. However, like the Queen in England, his supreme court have opposing powers to him and thus limit his ability to carry out some of his roles. Many people recognize one of the most important attributes for a Presidential candidate to be is a good, strong decision maker with a clear vision and direction. Candidates often use the election process to discuss problems that are evident in the way in which the country is currently being run and make willful claims as to how they would do things differently. They swear that they will have the backbone to take decisions that Presidents before them have failed to take. These type of statements appeal to the American public as they provide hope for a better future and an expectation that things will change for the better. The truth, however, is very different. Congressmen have their own electorate, interest groups and opinions on how the country should be run. The President is actually very limited in his ability to command congress to do anything and thus, the implementation of his decisions is actually a very difficult thing to achieve. What is, perhaps, more important than an ability to make decisions is an ability to persuade and influence others. If you ask people if they would vote for someone who uses strong powers of persuasion to sway their vote they would probably say no, they would prefer to vote for some who have a strong direction and vision. They wouldn’t like to feel that clever vocabulary or some type of sales approach has influenced them. No, they prefer to consider themselves people who have made a good decision based on the facts. The truth, however, that they probably were persuaded and swayed during part of the election process. This is not such a bad thing. The ability to persuade others is crucial to a successful President as he needs to be capable, through whatever means necessary, to convince others to carry out the decisions he makes. It is therefore clear that, whilst a clear vision and direction is important, what is more important both in gaining the role and completing it successfully is an ability to persuade and influence. The person who manages to influence others will do the better job, once in power it will help him get things done and in becoming President it will help him win. A further attribute that the American public will look for when selecting a Presidential candidate is a consistency of purpose. People want a President who will have courage to commit to their course of action and achieve the plans they lay out during the electoral process. However, again this may not be an attribute that delivers success once a candidate is in power and we often see very different expectations of the President. President George Bush can be cited as a prime example of this. George Bush was clear and strong in his plan to rid Iraq of Saddam Hussain, so much so that he took the United States to war. However, he later faced a great deal of criticism for his actions and many camps argue that he should have admitted he was wrong and should withdraw US troops from the US. His commitment to action was no longer valued. This paper is not intended to debate this point and pass judgment on George Bush’s actions but is using this example to show that the attributes that people may look for when selecting a President; consistency and relentless purpose may not always be what they expect once they are in power. An attribute that features heavily in people’s decision when selecting a President is realism, they like a family man whose values and emotions may seem to reflect their own. They want to feel that their President, as much as possible, has the same feelings and fears that they do and will thus act in a way that is in their interests. Whether appropriate or not, the past and present personal life of a Presidential candidate features heavily during the election process and people look for someone who has lived their life in a good and true manner. Whilst such attributes provide an indication of a person’s character and may be seen to represent the way in which they will behave once they are in power, they are not necessarily what people look for once their President are in power. They are more concerned with a person’s ability to cut themselves off emotionally from any decisions they make, distancing themselves from a situation in order to look at a bigger picture. The phrase â€Å"don’t mix business with pleasure† could not be more appropriate for a President in power. Once in the Whitehouse people consider the figurehead to be an American institution; he works for them. Personal life is no longer to be considered to be of relevance and, in many respects; they do not wish a President to show feelings as these can be construed as a weakness. Other commonly cited attributes that people discuss when they are asked what they look for in a President include honesty, integrity, leadership and intelligence. These types of attributes entail that the opinions people form of candidates prior to their election, and thus the benchmark against which they are judged once they are elected, can never be met; they are all extremely subjective values. A candidate who is elected as a new President, a replacement for the incumbent, will always be heralded as the next big thing. The nation will feel strong hope for the future of America and will truly believe that things will change for the better. However, the likelihood is that these expectations can never really be met. Time will change the position that the President occupies in people’s minds; what people perceive as good leadership now will almost certainly change over the course of the four years between elections. As such, these attributes cannot accurately be used as representations of how well a candidate will perform once in office. This paper has addressed a number of the common attributes that people cite as important within a Presidential candidate. Through exploring the difference between winning an election and actually running a country, the flawed nature of the factors upon which many votes are cast is revealed. Whilst people recognize they are voting for someone who will run their country, they rarely seem to consider the attributes that will be valued in this role, instead focusing on those required to get there. Fighting a Presidential campaign is very different from being a President. Along these lines more emphasis should be placed on attributes such as attention to military threats and needs, the economy and American interests, both at home and abroad.

Wednesday, August 21, 2019

Sugarcane Bagasse Characterization

Sugarcane Bagasse Characterization The major composition of a lignocellulosic biomass is lignin, cellulose and hemicellulose, which is responsible for the structure and rigidity of plant. These components has been reported to have high potential energy and are been widely used as fuel in automobile and industries. The components of the bagasse were chemically characterized by measuring their dry weight. Table # represents the composition of dry sugarcane bagasse analysed in the present study compared with data collected from other research articles. The dissimilarities in composition of lignin and cellulose might be due to genetics variations, growing location, methods of harvesting, growing conditions and analytical procedures. Table 1. Major component of sugarcane bagasse Cellulose (%) Lignin (%) References 46 19.6 Present Study 40.57 25.93 (Zeng, Tong, Wang, Zhu, Ingram, 2014) 25 16.2 (Dhabhai, Jain, Chaurasia, 2012) 40 23 (Irfan, Gulsher, Abbas, Syed, Nadeem, 2011) 45.4 23.4 (Pereira, Jacobus, Cioffi, Mulinari, Luz, 2011) As per the generated data, cellulose content in the bagasse was 46%, which was further reformed into accessible form for the saccharification enzyme. While the lignin constituted 19.6%, thus removal of lignin was carried out by the pre-treatment of bagasse for an efficient enzymatic hydrolysis. Cellulose Unit Activity The AumEnzymes, India generously donated two commercial cellulases, Acid Cellulase and Neutral cellulase. The cellulase activity of Aspergillus terreus, acid cellulase, and neutral cellulase were compared in order to proceed for the optimization of saccharification phase. The International Unit for enzyme activities (IU) of all the three cellulases were based on the total cellulase activity and endoglucanase activity, determined by the CMCase assay and FPU assay respectively. Table# represents the FPU and CMCase activity presented by all the three enzymes. The data in the table# clearly concluded that all the three cellulase have negligible total cellulase activity, while they have a high amount of endoglucanase activity. Table 2. Comparison of Cellulase Activity Cellulase CMCase Activity (IU) FPU Activity (IU) Aspergillus terreus 0.273 0.045 Acid 0.966 0.028 Neutral 0.223 0.000 Which might indicate that all the cellulases has endoglucanase activity but, the negligible exoglucanases activity resulted in considerable reduction in total cellulase activity. Since the Acid cellulase had relatively higher enzyme activity, it was further used as the saccharifying enzyme. The protein content in the Acid cellulose was found using the protein assay and it was found to be 67.67 ÃŽ ¼g/mg of Acid cellulase powder. The specific activity was 14.11 IU/mg of Acid cellulase, indicating that 14.11 ÃŽ ¼mol of sugar is released by 1 mg of Acid cellulase (protein) in one unit. Optimization of alkaline The statistical design used for the microwave assisted alkaline pre-treatment is a four factors (weight of bagasse, power of microwave in wattage, NaOH concentration and the exposure time period) system, the response of the pre-treatment was based on the cellulose composition and reduced lignin after the pre-treatment. The design summary is shown in the Table #. Table 3. Design Summary Study Type: Response Surface Runs: 21 Initial Design: Central Composite Design Model: Quadratic Factor Name Units Low Actual High Actual Low Coded High Coded Mean A Bagasse g% 2.5 10 -1 1 6.25 B Microwave W 100 600 -1 1 350 C NaOH g% 1 5 -1 1 3 D Time minutes 5 10 -1 1 7.5 Response Name Units Analysis Minimum Maximum C.V % R2 Y1 Cellulose g% Polynomial 0 81.2 9.3 0.9679 Y2 Lignin Removal g% Polynomial 0 67.25 8.54 0.9735 The design was a set of 21 runs, combinations of four factor experimental design, based on the RSM and CCD (Tabel#). The RSM is mathematical based system to study the interactions between the factors, while the CCD enables us to deduce an optimal condition for the pre-treatment. Table 4. Test design and results of response surface analysis Factor 1 Factor 2 Factor 3 Factor 4 Response 1 Response 2 Std Run A:Substrate B:Microwave C:NaOH D:Time Cellulose Lignin Removal g W g% minutes g% g% 16 1 6.25 350 3.0 11.7 76.8 48.14 15 2 6.25 350 3.0 3.3 59.2 42.7 6 3 2.50 100 5.0 5.0 55 44.35 21 4 6.25 350 3.0 7.5 72.3 46.7 8 5 2.50 100 1.0 5.0 48.5 35.38 10 6 12.56 350 3.0 7.5 74.6 42.7 13 7 6.25 350 -0.4 7.5 48.25 40 5 8 10.00 100 1.0 10.0 50.6 38.4 9 9 -0.06 350 3.0 7.5 0 0 19 10 6.25 350 3.0 7.5 71.2 46.8 20 11 6.25 350 3.0 7.5 79.5 50.3 2 12 10.00 600 1.0 5.0 56.2 42.7 4 13 2.50 600 1.0 10.0 59.98 48.25 3 14 10.00 100 5.0 10.0 60.6 52.1 11 15 6.25 -70 3.0 7.5 61 48.53 18 16 6.25 350 3.0 7.5 77.1 44.23 7 17 2.50 600 5.0 10.0 75.6 62.5 12 18 6.25 770 3.0 7.5 76.3 67.25 17 19 6.25 350 3.0 7.5 69.7 48.9 1 20 10.00 600 5.0 5.0 71.85 57.23 14 21 6.25 350 6.4 7.5 81.2 60.56 According to the table#, runs #17, #18 and # 21 had maximum lignin removals while the #1, #1 and#21 showed maximum retained cellulose. The quadratic polynomial equations describes the correlation between the significant coefficients i.e. p-value (Prob>F) less than 0.05 and is used to obtain the regression values of coefficients where only significant coefficients are considered. But since this model supports hierarchy, the insignificant coefficients were not omitted. This equation was used to derive the predicted responses for cellulose (equation 1) and lignin removal (equation 2) Equation1 Equation 2 The adequacy of the quadratic model for the experimental responses (cellulose Y1 and lignin removal Y2) was checked using the Analysis of Variance (ANOVA), which was verified using the Fisher’s statistical model (F-value). The table# shows the ANOVA for Y2 response. Table 5. ANOVA result of quadratic regression model for lignin removal Source Sum of Squares Mean squares F-value p-value (Prob > F) Model 3411.23 14 243.66 15.74 0.0014 significant A-Bagasse 911.65 1 911.65 58.88 0.0003 B-Microwave 175.22 1 175.22 11.32 0.0152 C-NaOH 541.91 1 541.91 35.00 0.001 D-Time 14.80 1 14.80 0.96 0.366 AB 3.88 1 3.88 0.25 0.6347 AC 3.14 1 3.14 0.20 0.6684 AD 0.86 1 0.86 0.06 0.8216 BC 4.67 1 4.67 0.30 0.6028 BD 534.56 1 534.56 34.52 0.0011 CD 2.48 1 2.48 0.16 0.7031 A2 955.51 1 955.51 61.71 0.0002 B2 362.14 1 362.14 23.39 0.0029 C2 74.46 1 74.46 4.81 0.0708 D2 3.95 1 3.95 0.25 0.6317 Residual 92.90 6 15.48 Lack of Fit 71.34 2 35.67 6.62 0.0539 not significant Pure Error 21.56 4 5.39 Cor Total 3504.13 20 ANOVA of the regression model for lignin removal had 15.74 â€Å"F-value† which described that the model is significant and also defined that there is only 0.14% chance that a â€Å"Model F-value† this large could arise due to noise. Since the â€Å"p-value† 0.0014, lesser than 0.005, it indicates that the lignin removal is sensitive to the coefficients/factors in the model. In other words weight of bagasse (A), microwave exposure (B), NaOH (C), BD, A2 and B2 have strong influence on the lignin removal. The p-value 0.0011 for BD (B-coded for microwave, D-coded for time), indicates the strong mutual interaction between B and D in removal of lignin. The â€Å"Lack of Fit F-value† of 6.62 justifies that there are 5.39% chances that such large values of â€Å"Lack of Fit F-value† might occur due to noise, where lack of fit is an error that would occur when one of the factor is omitted from the process model. Another statistical measurement that is a sig nal to noise is the ‘‘Adequate precision’’. The desirable ratio is greater than 4, as such the Adeq Precision value is 20.22, this model can be used to navigate design space and further optimization. â€Å"Multiple correlation corfficient or R2† value denotes the correlation between observed and predicted values, i.e. if the value is closer to 1, it means better correlation. In this case the R2 value is 0.9735, indicating better agreement between experimental values and predicted values. The â€Å"coefficient of variation (CV)† indicates the degree of precision to which the experiments are compared. The lower reliability of the experiment is usually indicated by a high value of CV. In the present case the CV value is low (8.5%) indicates a good precision and reliability of the experiment. At the same time, Adjusted determination coefficient (Adj R2)† was high specifies improved precision and reliability of the conducted experiments. The 3D surface plot illustrated below (Figure#) shows co-operative effect of microwaves and NaOH on the removal of lignin. From the plot, it can be predicted that with rise the concentration of NaOH and high powered microwaves exposure a increased degradation of lignin was observed, maximum lignin removal is observed with 5% NaOH concentration and microwave irradiation with power of 600W. But the low power microwaves and NaOH concentrations had no substantial removal of lignin. Figure 1. Co-operative effect of Microwaves and NaOH on lignin removal The second response considered in the pre-treatment was the amount of cellulose retained (Y1) after the process. The ANOVA of quadratic regression model for cellulose retained after pre-treatment illustrated in Table # is a significant model as evident from the Fishers F-test value (12.91) with a very low probability value [(Prob > F) = 0.0165]. This also indicates that there is only 0.24% chance that the F-value occurs due to errors during the experiments. Among model terms A, C, BD and A2 are also significant with probability of 99%. The interaction between B and D significant effect on increase in cellulose retaining response. The goodness of fit of the model was checked by determination coefficient (R2). In this case, the value of the R2 (0.9676) indicates that only 3.24% of the total variation between experimental values and predicted values are not explained by the model. The value of the adjusted determination coefficient (Adj. R2=0.8929) was also high, at the same time a rela tively lower value of the coefficient of variation (C.V. = 9.3%) which indicates model is significant and the conducted experiment is consistent and has a good precision. The level of noise that affected the model is also very low, i.e. 11.16% determined using the Lack of Fit F-value (3.99). The Adequate Precision (15.608) for this model is greater than 4, this suggests the model can be used for navigating the design space and optimizing the experiment. Table 6. ANOVA result of quadratic regression model for cellulose concentration after pre-treatment Source Sum of Squares df Mean Squares F-value p-value (Prob > F) Model 6226.99 14 444.79 12.91 0.0024 significant A-Bagasse 2782.58 1 2782.58 80.76 0.0001 B-Microwave 117.05 1 117.05 3.40 0.1149 C-NaOH 779.62 1 779.62 22.63 0.0031 D-Time 154.88 1 154.88 4.49 0.0783 AB 36.72 1 36.72 1.07 0.3417 AC 1.56 1 1.56 0.05 0.8387 AD 8.14 1 8.14 0.24 0.6441 BC 27.27 1 27.27 0.79 0.4079 BD 1626.88 1 1626.88 47.21 0.0005 CD 1.51 1 1.51 0.04 0.8414 A^2 2013.06 1 2013.06 58.42 0.0003 B^2 4.08 1 4.08 0.12 0.7426 C^2 54.52 1 54.52 1.58 0.2552 D^2 8.46 1 8.46 0.25 0.6379 Residual 206.74 6 34.46 Lack of Fit 137.67 2 68.83 3.99 0.1116 not significant Pure Error 69.07 4 17.27 Cor Total 6433.73 20 Figure # is a 3D response surface plot generated for 6.25 g of bagasse and 7.5 minutes of treatment by the regression mode, illustrates the effect of microwave irradiation (B) and NaOH (C) variables and the interactive effects of each on the cellulose concentration. It can be observed that by increasing both factors B and C results in increased cellulose concentration. The shading on the graph indicates the NaOH concentration from 3% to 5% is adequate for increasing the cellulose concentration to 75% and above along with the microwave irradiation within range of 350 W to 600W. Which indicates that higher microwave irradiation favours lignin removal. This results in high power consumptions and charring of cellulose. To avoid the destruction of cellulose to an inaccessible substance, the treatment can be carried at lower power microwave irradiations under high pressures. The two response models of microwave assisted alkaline pre-treatment have shown positive influence on the removal of lignin and increased cellulose in bagasse. Thus the statistical analysis is reliable to generate the optimal conditions required for pre-treatment, the optimum condition was predicted using numerical optimization. The optimal values selected were, 6.37 g of bagasse irradiated at 350 W in 5% NaOH solution for 8.87 minutes. The predicted cellulose concentration was 81.94% and 56.6% lignin removal. The figure # represents the graph obtained using the numerical optimization methods. Figure 2. Co-operative effect of Microwave and NaOH on cellulose concentration Figure 3. Counter plot for predicted values of Lignin removal and cellulose concentration at optimized condition There was 48% loss in dry weight of the bagasse after pre-treatment at optimized conditions, which might be either due to removal of lignin or lost during the washing process after pre-treatment bagasse. The result was similar to the work done by (Farid, Noor El-Deen, Shata, 2014). Optimization of Saccharification The pre-treated bagasse was washed and further used for saccharification using the Acid cellulase. The efficiency of saccharification is evaluated by the saccharification%, it is the ratio of sugar released and the amount of polysaccharide present in the bagasse. Thus the saccharification% was used as the response factor for the statistical design used to optimize saccharification. The saccharification% response was assessed as a function of pre-treated bagasse loading (A), Acid cellulase loading (B) and time of incubation (C). The design developed using RSM and CCD is summarized in the Table # below. Table 7. Design Summary Study Type: Response Surface Runs: 20 Initial Design: Central Composite Design Model: Quadratic Factor Name Units Low Actual High Actual Low Coded High

Tuesday, August 20, 2019

The Cobb Douglas Function

The Cobb Douglas Function This chapter will discuss the estimated techniques theories and the equation, it is include the Unit root test and Autoregressive Distributed Lag (ARDL) Bounds test. And the data sources also discuss in this part. 3.1 Endogenous growth theory and modeling In the economic condition, the Cobb-Douglas functional form of production functions is commonly used to represent the relationship of an output to inputs. It was predictable by Knut Wicksell (1851-1926) and tested against statistical evidence by Charles Cobb and Paul Douglas in the years of 1900-1928. The production function is shown as below: Y = ALÃŽÂ ±KÃŽÂ ², (1) Where the symbol of transformation for the Cobb-Douglas function is: = Total production (the monetary value of all goods produced in a year) = Labor input = Capital input = Total productivity growth The and are the output elasticity of labor and capital simultaneously. These values are constant determined by available technology. For output eleasticity the receptiveness of output to a change in levels of both labor and capital used in production in the condition of ceteris paribus. Such as if =0.20, it will show that the 1% increase in labor will lead to a 0.2% increase in output. ÃŽÂ ± + ÃŽÂ ² = 1, These function indicate that the constant return to scale in production function. That means if L and K are each increase 30%, Y will increase in 30% too. If the return to scale are decreasing and return to scale are increasing, this will be show as below: Expect it on the perfect competition, the and can be indicate to be the both labor and capital share of output. The Cobb-Douglas function are influnced by statistical evidence that come into sight to show that labor and capital shares of total output are constant over time in developed countries, the researchers clarified this by statistical fitting least squares regression in their production function. It is show that having doubt over whether constancy over time exists. But according to Yao and Wei (2007), through joint ventures local firms have been able to imitate foreign technologies and started to produce their own models or supply parts to foreign industries. There is no doubt that FDI has not only helped improve the production efficiency of domestic firms but also helped to push Koreas production frontier towards the worlds most advanced levels. Assume that there are two countries in the world: one is an industrialized economy A and the other is a newly industrializing economy (B) and both countries will follow a Cobb-Douglas production technology: (2) Where Y, K, L are respectively to GDP, capital and labor, j and t denote country (A, B) and time. And g(z) is a function of various factors affecting production efficiency and the production frontier, including exports, human capital, FDI, institutions and others. As country A is richer and has a higher K/L ratio than country B, country A tends to make investments in B in order to maximize returns to capital, as long as à ¢Ã‹â€ Ã¢â‚¬Å¡YBt /à ¢Ã‹â€ Ã¢â‚¬Å¡KBt > à ¢Ã‹â€ Ã¢â‚¬Å¡YAt /à ¢Ã‹â€ Ã¢â‚¬Å¡KAt holds true. According to Yao and Wei (2007), in this two-country perspective, both countries should have mutual benefits for cross-border movement of capital to take place. The benefit for A is that it can maximize returns to its capital and has access to Bs market. The benefit for B is that it can have access to As technology and improve per capita income so that the income gap between A and B declines over time. Another assumption is that both countries invest in science and technology to create knowledge and innovation. However, because A has better endowments in both physical and human capital, it is more able to innovate and hence produce a higher level of output given the same level of inputs in comparison with B. The only way for B to decrease this technological gap is through importation of As technology embedded through FDI. But again from according Yao and Wei (2007) that the role of FDI can recommend by their two propositions. Firstly, they given the same steady state of Bs technology, FDI can improve Bs production efficiency because foreign invested firms are front runners in the adoption of GPTs because of their superior human capital, management and organizational structure. Domestic firms can be trained from foreign invested firms through learning by watching. They also have incentives to become more proficient and competitive because they fear losing out to foreign invested firms. The moving effect of FDI on production efficiency of B can be illustrated in Figure 1. Production frontier of A and B, denotes the production frontier of B. At a steady state when input is fixed at X0, the actual level of domestic production is Yd0 without the effect of FDI. If FDI has a positive impact on production efficiency at this steady state, or à ¢Ã‹â€ Ã¢â‚¬Å¡YB/à ¢Ã‹â€ Ã¢â‚¬Å¡FDIB > 0, the actual level of production will rise to Yf 0. The net moving effect of FDI on country Bs production is (Yf 0 à ¢Ã‹â€ Ã¢â‚¬â„¢ Yd0). Second proposition examine that FDI is a shifter of the domestic production frontier. If FDI does not have a shifting effect, the maximum output of B can never go above PFB. If FDI has a shifting effect, country Bs maximum potential output can be as high as those located on PFA, which is the production frontier of A. (Cobb-Douglas. Wikipedia. Retrieved April 20, 2010, from: http://en.wikipedia.org/wiki/Cobb%E2%80%93Douglas) Figure 3.1: Production Frontier of A and B and the role of FDI in B. Y PFA Yft PFB Ydt Yf0 Yd0 0 X0 X1 X For example, without a shifting effect, the actual level of production may move from Yf 0 at the initial steady state to Ydt at the new steady state with a new input mix Xt. The maximum possible output of B at the new level of input will be on PFB or below. If FDI has a shifting effect, the actual level of output can go above PFB, with a maximum potential output to be on PFA. In Fig. 1, if the new actual output is Yf t , which is situated between the two frontiers, it means that the production frontier of B has been shifted towards PFA from PFB. This positive shifting effect can be expressed as à ¢Ã‹â€ Ã¢â‚¬Å¡YB/à ¢Ã‹â€ Ã¢â‚¬Å¡FDI = f (t)>0, implying that the marginal product of FDI is an increasing function of time (Yao and Wei, 2007). According to Yao and Wei (2007) indicate that with Propositions 1 and 2, country Bs production function can be rewritten as: (3) And FDI is part of the multiplier ABt along with a set of other variables Z1 which can also improve production efficiency. Besides, FDI enters the residual term to be a shifter of the production frontier along with other variables, including a time trend t , which captures the Hicks neutral technological progress in B in the absence of FDI or foreign technologies, t * FDI captures the additional technological progress that is attributed only to FDI. The total effect of FDI on economic growth in country B can be expressed as: (4) The first part on the right-hand side of (4) measures the moving effect, and the second part the shifting effect of FDI on YB. If both effects are positive and significant, the above two propositions hold true. While the traditional growth theory considered only two factors of production, namely capital and labor, this new growth theory adds a third, technology. Endogenous growth theory or new growth theory focuses on the wider concept of technology, which is expressed through ideas, instead of objects or products. It necessitates a different set of institutional arrangements, like pricing systems, taxation or incentives to ensure the efficient allocation of ideas. These types of models are sometimes called Schumpeterian models because Schumpeter emphasized the importance of temporary monopolistic power over discoveries, as a motivating force for continued innovative process. A great deal of evidence has been produced in recent years casting doubt on endogenous growth theory. Mankiw, Romer and Weil (1992) argue that the neoclassical growth model of Solow and Swan with exogenous technological progress and diminishing returns to capital, explains most of the cross-country variation in output per person. The Schumpeterian variant of endogenous growth theory that emphasizes technological progress, innovation and RD has come under particularly heavy fire. Endogenous growth models attempt to explain a greater proportion of observed growth as well as why different countries experience different growth rates. They generally use the neoclassical model but allow the production function to exhibit increasing returns to scale, focus on externalities and assume that technological change, although important, is not necessary to explain long-run growth. In 1986, paper of Romer ignores physical capital and only considers knowledge but a general form of his model can be written as: Y = A(R) F (Rj, Kj, Lj) (5) Where R j, K j and L j are, respectively, stock results from research and development expenditure by firm j, physical capital of firm j and labor of firm j; R is the aggregate stock of knowledge. Any private research effort will have a spillover effect for the public stock of knowledge A(R). This type of model can explain why countries experience different growth rates. A country with an initial higher level of K experiences a higher rate of growth of K leading to a higher rate of growth of per capita income because such a country is more experienced through learning by doing. This is an external effect that prevents diminishing returns. 3.2 Model specification The previous empirical studies have proved that GDP can be determined by the following variables: labor and capital as basic physical inputs; export, FDI and foreign exchange rate policy as variables of openness. The following model regression will include all these variables. (6) Where t (t = 1976, , 2008) denote year t, k and l capital stock (Gross fixed capital accumulation) and total labor force, fdi = FDI inflow, exp = total export and exc = real exchange rate. Lastly, the Y is the Gross domestic product in economic growth and the is error term. Data for GDP are gross domestic product and capital is calibrated below based on investment in fixed assets. All the variables are calculated in 2000 constant prices. GDP is derived from real GDP annual indexes by province. Labor is total labor force in each province. FDI is actually used FDI inflows. Export is the total value of exports. The description of FDI in the production model needs careful consideration. Because capital stock is the accumulation of fixed asset investment, which includes both domestic and foreign investments, the production function would be mis-specified if FDI, either measured as a flow or stock, were added as another explanatory variable along with capital stock. In the previous literature, export and exchange rate also has been found to be relevant variables in the production function. Like FDI, export is defined as total FDI inflows and total export in Korea therefore can effect to output. The values of exports and FDI are provided in US dollars (USD) in the official statistics. Since they are measured in US dollars, most economic analysts do not bother to deflate the values in current prices into values in constant prices (e.g. Liu et al., 1997; Liu, 2000). It is important to conduct an appropriate deflation. One relevant deflator is the US consumer price index. The values of trade and FDI in nominal dollars are deflated by this index. Since all the other variables in the model are measured in KRW100, it is useful to change these two variables in KRW as well. Exchange rate is real exchange rate, which is time-variant but location-invariant as all the provinces faced the same foreign exchange rate. Beside this, real exchange rate should be derived from the exchange rates and price indexes of Koreas main trading partners. However, since KRW follows the US dollar very closely, albeit not pegged to the dollar, only the dollar exchange rate and the US price index are used to calculate the real exchange rate. Real exchange rate is expected to have a positive sign influence on economic growth because it represents Chinas competitiveness in international trade and the extent of market liberalization in the foreign exchange market from Yao and Zhang (2001). The expectation result for the variable of capital stock, labor, human capital, FDI, export and real exchange rate are expect getting the significant and positive relationship to economic growth. 3.3 Empirical methodology 3.3.1 Unit root test A unit root test is vital in observing the stationery of time series data. It is main to estimate about the variables observed have a tendency to return to the long term trend follow a shock (stationery) or the variables follow a random walk which containing a unit root. If the variables follow a random walk after a temporary or permanent shock, the regression between variables is spurious (Amiruddin, Nor and Ismail 2007). According to the Grauss-Markovs theorem, in such cases, the series do not have a finite variance. Hence the OLS will not produce consistent parameter estimates. A stationary series is one whose basic properties, for example it mean and its variance, do not change it over time. In contrast, a non-stationary series has one or more basic properties that do change over time. If the time series variable is stationery, i) The mean of is constant over time ii) The variance of is constant over time iii) The simple correlation coefficient between and depends on the length of the lag (k) but on no other variable (for all k). The unit root test can separate into 2 test, that is Augmented Dickey Fuller (ADF) test and Phillips Perron (PP) test. This will test for level (original series), first differences and second differences (changes). If stationary at level, then the series are integrated of order zero, I(0) and if stationary at first differences and second differences, the series are integrated of order one and two, I(1) and I(2) respectively. The Augmented Dickey-Fuller test statistic and Phillips-Perron test statistic to estimate the stationary for the variables. The results are and the hypothesis will indicate as below: Hypothesis: Ho: No stationary Ha: Stationary Hence, p-value should small tahan 0.05, then rejected Ho, that is stationary, if failure to reject Ho, that means no stationary]. 3.3.2 Autoregressive distributed lag (ARDL)-Bound test The Bound Testing Method can use to estimate the small size sample data in between 30 observations. Therefore, one of the conditions is the dependent variables must be in I(1) and the dependent variables can be mixed in I(0) and I(1), but not the I(2). For example: Y=a+b1X1+b2X2+b3X3+e. The variable Y must stationary at order one or I(1) and the X1,X2 and X3 can be in I(0) or I(1) or mixed. For the simplicity, the Bound testing can be shown as: (7) The Autoregressive Distributed Lag (ARDL) method developed by Pesaran et al. (2001) was used to establish co-integration relationships among the variables. And it can use to overcome the stationary problem in the time-series regression. The advantage of the ARDL method is it can be applied to the model whether the independent variables are stationary at I (0) or I (1). The dependent variable must stationary in I (1). As a result, a dynamic model known as the Autoregressive Distributed lag model (ARDL) will be estimated and can be written as: (8) This equation shows that output growth is effects by values of explanatory variables as well as the lagged dependent and explanatory variables. The bound test used the conventional F-test compare to the critical value to detect the presence of co-integrating relationship. The critical value is base on the Narayan (2005) table of critical values for the bounds test case III: Unrestricted intercept and no trend. If the F-test is higher than the upper bound critical value, the hypothesis of no-co-integration is rejected. Beside this, if an F-statistic is lower than the lower bound critical value implies that the absences of the co-integration. If the F-statistic is in between the lower bound and upper bound, there is no clear indication of the absence or existence of co-integration relationship. Using Wald test to investigate the joint hypothesis is, Ho: Ha: The conclusion for the hypothesis can be separate to three part, that is: i) If the Wald F-statistic fall above the upper critical value- cointegration exists. ii) If the Wald F-statistic falls down between the lower bound and upper bound critical value- inconclusive. iii) If the Wald F-statistic falls below the lower bound critical value-no cointegration exists. Furthermore, an Error Correlation Model (ECM) also use with the Bound test, the form is: (9) Where, : 1-L is the difference operator : f(yt,xt) trend: trend term : long run multiplier Therefore, from the ARDL model, we can use the Bewleys (1979) regression approach to obtain the long run model. (i=1,2,à ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦,k) (10) Where, and , i= 1,2,à ¢Ã¢â€š ¬Ã‚ ¦Ãƒ ¢Ã¢â€š ¬Ã‚ ¦, k are the selected (estimated) values of and , i=1,2,à ¢Ã¢â€š ¬Ã‚ ¦..,k. However, the short run dynamic model is estimated base on the Unrestricted Error Correction Model (UECM) model. (11) Where ECT represents as a long run steady point or partial adjustment term as below: (12) And using the Wald test to compute the long run elasticities and it standard error is: 1-Sum of the dependent coefficients= Sum of the independent coefficients (13) 3.4 Data The secondary data set consists of the annually data of the Korea economy for the period of 1976 to 2008 obtained from World Bank database, UC Atlas of Global Inequality, International Monetary Fund (IMF), International Financial Statistic (IFS), Korea National Statistical and United Nations Conference on Trade and Development (UNCTAD). Since the ultimate goal is to perform regression analysis with the data expressed in natural logarithms, it may instead wish to work with the log and proxy for variable as below: CHAPTER 4 REGRESSION RESULTS 4.0 Introduction Augmented Dickey Fuller (ADF) test and Phillips Perron (PP) test and Autoregressive Distributed Lag (ARDL). 4.1 Unit root test In this study, two stationary tests on individual stochastic trend are conducted, that is Augmented Dickey Fuller (ADF) and Phillip-Perron (PP) tests which have been used frequently I time series data. The value of ADF t-statistic and PP z-statistic will be compared to the critical value given by MacKinnon (1991). The time series under consideration should be integrated in the same order before we can proceed to cointegration analysis and causality test. The result can be show as below: 4.1.1 Augmented Dickey Fuller (ADF) test Based on the result as below Table 4.1.1, it show that result for Augmented Dickey-Fuller test statistic in Unit Root test. This test is function to know the stationary of data for variable. In the result, the dependent variable and all explanatory variables are significant on the first and second differences for the constant with trends and constant without trends. This is because the p-value is small than 0.05 at significant level. So, we will rejected Ho and conclude that the data is stationary when first difference. Therefore, all series are I(1) process. Variable Level First Differences Constant with trends Constant without trends Constant with trends Constant without trends t-stat p-value t-stat p-value t-stat p-value t-stat p-value Economic growth (y) -2.070027(0) 0.5421 2.327602(0) 0.9999 -5.756136*(0) 0.0003 -4.782721*(0) 0.0006 Capital stock (k) -1.911924(0) 0.6251 -0.546014(0) 0.8689 -4.515321*(1) 0.0060 -4.361648*(0) 0.0017 Labor force (l) -0.459604(0) 0.9804 -1.009485(0) 0.6241 -4.564489*(0) 0.0051 -4.425029*(0) 0.0014 FDI (fdi) -4.190134(1) 0.0125 -1.009485(3) 0.7363 -2.892944*(8) 0.1825 -6.300895*(2) 0.0000 Export (exp) 2.708182(0) 1.0000 5.784347(0) 1.0000 -3.567930*(0) 0.0495 -2.184710(0) 0.2155 Real exchange rate (exc) -2.246001(0) 0.4496 -1.594207(0) 0.4739 -5.035710*(0) 0.0016 -5.101766*(0) 0.0002 Table 4.1.1: Result Augmented Dickey-Fuller (ADF) test Criteria: Schwarz Info Criterion (SIC) Variable Level First Differences Constant with trends Constant without trends Constant with trends Constant without trends t-stat p-value t-stat p-value t-stat p-value t-stat p-value Economic growth (y) -2.815698(18) 0.2023 3.136859(7) 1.0000 -6.399643*(11) 0.0000 -4.778071*(1) 0.0006 Capital stock (k) -2.096298(2) 0.5282 -0.519748(5) 0.8745 -4.100869*(7) 0.0153 -4.204347*(7) 0.0026 Labor force (l) -0.631981(1) 0.9699 -1.228256(1) 0.6498 -4.564489*(0) 0.0051 -4.423468*(1) 0.0014 FDI (fdi) -1.392163(31) 0.8440 -1.577055(31) 0.4824 -4.828185*(12) 0.0027 -5.032975*(13) 0.0003 Export (exp) 4.407935(8) 1.0000 6.050077(5) 1.0000 -3.555909*(1) 0.0507 -2.042327(1) 0.2683 Real exchange rate (exc) -2.374756(1) 0.3848 -1.615847(1) 0.4631 -4.981815*(3) 0.0018 -5.068019*(2) 0.0003Note: The number in parenthesis are lag length. The test employ a null hypothesis of a unit root. All series are log transformed. *Indicate that 5% at significant level. Table 4.1.2: Result Phillips-Perron (PP) test Criteria: Schwarz Info Criterion (SIC) Note: The number in parenthesis are lag length. The test employ a null hypothesis of a unit root. All series are log transformed. *Indicate that 5% at significant level. 4.1.2 Phillips-Perron (PP) test Based on the result as above Table 4.1.2, it show that result for Phillips-Perron (PP) test statistic in Unit Root test. This test is function to know the stationary of data for variable. In the result, the dependent variable and all explanatory variables are significant on the first and second differences for the constant with trends and constant without trends. This is because the p-value is small than 0.05 at significant level. So, we will rejected Ho and conclude that the data is stationary when first difference from the result of PP test. Therefore, all variables are integrated of order I(1). 4.2 Autoregressive Distributed Lag (ARDL) test The condition of the bound testing is the dependent variable must be in I(1) and the independent variables can be mixed in I(0) and I(1). The y is I(1) and the independent variable is mixed in I(0) and I(1)., the estimation of co-integration can be done by using the Autoregressive Distributed Lag (ARDL). The Bound test technique is applied to examine the long run relationship between the exchange rate and its determinants. The result of the estimated ARDL model for Malaysia is reported as Table 4.2. The goodness of fit of the model (adjusted R-squared (Adjusted-R2)) and the standard error of regression are higher. Based on the table 4.2, includes the diagnostic tests used to confirm the validity of the model. These several important diagnostic test has been carry out in order to strengthen the accuracy of the results. The result of the diagnostic test indicated that the residual of the model is normally distributed. Beside this, there are no heteroskedasticitity and no serial correlation. However, the model successes to pass the Ramsey RESET test. Since all the probability is larger than 0.05 (5%) significant level. Thus, hypothesis failed to reject the Ho, hence there are absence of those problem in the model carried out. Note: The critical values are cited from Narayan(2005).(Table case III: Unrestricted intercept and no trend;pg1988). *,**and *** denote significant at 10%,5% and 1% significance level, respectively. Based on the Table 4.3, the results of bound cointegration test obviously demonstrated that the null hypothesis is, against the alternative hypothesis is easily rejected at 1% significant level. The model shows that the determinant variables are strongly cointegrated with economic growth in Korea. The result showed that the F-statistic compute by Wald test is highly significant at 1% significance level. The F-statistic is 8.742069, which is greater than the upper critical bound value of 6.040, so it is showed that cointegration exists. Hence, based on the test result, there exist cointegration or long run relationship among the economic growth, capital stock, labor, foreign direct investment, export and real exchange rate. (14) Based on the Table 4.4 reported the long run elasticity between the variables use the ARDL test. The expected sign of the variables are indicate in this table and the estimated coefficient for capital stock (k) is positive 0.764333 and has consistent sign with the expected sign. This implies that an increase in the capital stock by 1 billion US Dollar (US$), the gross domestic product (GDP) will increase 0.764333 billion US Dollar (US$). The standard error is 1.594101 and probability 0.6359 is the p-value in the model. For the labor force (l), the estimated coefficient is positive sign, it is 25318.75 and which is consistent with the expected sign. The coefficient means that when 1 unit labor force increase, the GDP will increase 25318.75 US Dollar (US$). The probability is 0.4858 and standard error is 35765.61. In addition, the foreign direct investment (fdi) in estimated coefficient is positive 5.627353 and same with the expected sign. This indicate that when increase 1 billion US Dollar (US$) in the foreign direct investment, the GDP will increase 5.627353 billion US Dollar (US$). The p-value is 0.4313 and standard error is 7.032203. The estimated coefficient for export (exp) is positive 0.798721, it has consistent sign with the expected sign. This implies that an increase 1 billion US Dollar (US$) in export, the GDP will increase 0.798721 billion US Dollar (US$). The standard error for export is 0.204665 and the probability is 0.0007. In the case of real exchange rate (exc), the estimated coefficient is positive 173672187.2 and is similar with the expected sign. The coefficient means that when real exchange rate increase in 1 units of Korea Won 100 (KRW100) per US$ 1, the GDP will leads to increase in 173672187.2 US Dollar (US$). The p-value for real exchange rate is 0.1910 and standard error is 1.29E+18. 4.5 The Error Correction Model (ECM) test The result of the Error Correction Model is reported at Table 4.6 and the Error Correction Term (ECT) is shows as below: (15) So, the ECT equation will be generated into short run dynamic model. Based on the Table 4.5, the error correction term (ECT) is -0.090218. This implies that speed of adjustment to the long run stability is very slow which is 0.09. It is negative sign and rapid adjustment from a short term imbalance. The negative sign of the ECT means when there is a short run shocks occur, the gap is closed towards the adjustment process to the long run stability. This implies that the imbalance of output growth in the short run maybe adjusted with error corrections that resume the long term equilibrium. Approximately a high percentage of 89.7% of the gross domestic product can be clarify by the capital stock, labor, foreign direct investment, export and real exchange rate selected. Furthermore, the variable of capital stock (k) is significantly influence the gross domestic product (GDP/y) in the short run. The capital stock represents the gross fixed capital formation to be the most important factor that influences the gross domestic product in Korea. The capital stock, labor (l), foreign direct investment (fdi), export (exp) and real exchange rate (exc) is statistically positive influence in the current year of gross domestic product. As mentioned in literature review, this all explanatory variables should be elastic, portrays a positive sign and is should be a statistically variable in most of the research. In the short run, capital stock is statistically significant and positive sign to the gross domestic product for Korea. When capital stock is increase 1 billion US Dollar (US$), the gross domestic product will attracts approximately increase 1.249795 billion US Dollar (US$). Beside this, when the labor is increase 1 unit labor force, the gross domestic product will increase 2308.908 US Dollar (US$). And if the foreign direct investment increase 1 billion US Dollar (US$), the gross domestic product will increase 0.508124 billion US Dollar (US$). If export increase in 1 billion US Dollar (US$), gross domestic product will increase 0.072330 billion US Dollar (US$). Lastly, when the real exchange rate is increase in 1 units of Korea Won 100(KRW100) per US$ 1, the GDP will increase in 15708616 US Dollar (US$).

Monday, August 19, 2019

Custom Written Term Papers: Othello’s Feminine Roles :: Othello essays

Othello’s Feminine Roles  Ã‚        Ã‚  Ã‚   The audience finds within the Shakespearean tragic drama Othello several female characters who figure into the plot of the play. Their roles are varied and their lives end tragically.    Alvin Kernan’s â€Å"Othello: an Introduction† explains Desdemona’s role as a model of faith and chastity for the protagonist who converts to a belief in her after her death:    His willingness to speak of what he has done – in contrast to Iago’s sullen silence – is a willingness to recognize the meaning of Desdemona’s faith and chastity, to acknowledge that innocence and love do exist, and that therefore The City can stand, though his life is required to validate the truth and justice on which it is built. (81)    In the volume Shakespeare and Tragedy John Bayley explains the roles of the two main women characters in the play:    Even the risk of alienating the onlooker from the tragic action produces a corresponding gain: that action and behaviour remain in the play perennially controversial, and the focus of sexual and social awareness sharp and clear. In a production today, the implications of this are usually more interesting than the actual intrigue can be, and a lot of weight is usually put on Emilia’s role as a figure of common sense and common humanity, correcting the romantic excesses of the lovers. [. . .] But no figure in these three tragedies has such a symbolically positional status. Besides, Emilia, for all her virtues, has a stupidity and lack of imagination comparable in its own way to that of her husband; while her views on the sex war, from the feminine angle, are as pungent as his. Certainly the role of women is important, but it is Desdemona alone who, because of her love, can remain unconscious of the tragedy/comedy element, as she does of the polarity between sex and love. (218)    At the outset of the play Iago persuades the rejected suitor of Desdemona, Roderigo, to accompany him to the home of Brabantio, Desdemona’s father, in the middle of the night. Once there the two awaken the senator with loud shouts about his daughter’s elopement with Othello. This is the initial reference to the role of women in the play – the role of wife. In response to the noise and Iago’s vulgar descriptions of Desdemona’s involvement with the general, Brabantio arises from bed.

New Social Movements, how they arose and affect us. Essay -- essays re

What factors account for the rise of new social movements and what effect have they had on contemporary society? We are all familiar with the stories of suffragettes burning their bras, and environmental enthusiasts breaking into labs and liberating rats back to the wild. But what caused women to abruptly rip of their pinnies, tell dad dinner’s in the dog and start running around without appropriate underwear? What caused contented homemakers to leave the cosy warmth of their gas fires in favour of chaining themselves to trees? And are such people an eccentric minority, or have they profoundly affected the way we live and think in the western world today? To address these questions I will begin by defining New Social Movements (or NSMs). To follow I will break down a few movements in more detail, first discussing what they stand for, and then examining how they originated and matured. In the latter section I will try to determine the scope and boundaries of their influence on contemporary society. Quite strict guidelines have emerged as to what a New Social Movement is, and the kind of characteristics a political movement must have to classify as an NSM. Dalton and Kuechler suggest: ‘A set of opinions and beliefs in a population that represents preferences for changing some elements of the social structure and/or the reward distribution of society’. However, by this definition anyone with any concern for any aspect of pollution, nuclear power, the quality of life and many other issues is a member of the social movement. Most writers agree there are more definitive ways of identifying an NSM. ‘They have ideological, organisational and tactical aspects.’ (Lovenduski and Norris, 1996) The ideological side is the most ambitious and romantic: ‘ . . . social movements are challengers which seek to change the agenda of the system in which they work. They advance ideas which, to be realised, would require fundamental and widespread change in policies and in values – change which may be partially achieved through government action and legislation, but can not be wholly achieved in this way. They raise issues which question the dominant values that constitute the political culture of their society, and hence have a ‘political’ and ‘cultural’ dimension. They aim to change people attitudes on a personal as well as public level.’ The organisational side is ... ...provided the opportunity for extreme growth and broader and deeper support networks – which led to international organisations and further networking. The shift in the government’s position regarding society and its decision in favour of their causes justified and stabilised NSMs. There is now a sway towards socialism and libertarianism as in the new millennium we demand our individual rights and equality, but whether NSMs caused this or were a manifestation of it difficult to be sure about. Most likely they are mutually supporting pillars, but it is undeniable that NSMs have had a profound effect on our society and expectations. Our culture now accepts the diversity inherent in people and has a more citizen orientated set of interests with a dedication that gives our generation today the impression it has always been the way. A far cry from the slavery and the legal inferiority of women of not so long ago. NSMs have forced a new caution regarding technological and industrial progress, and they have modified the priorities, structure, and position of government. They have liberalised our attitudes towards the family, sex, drugs, film and literature, for better or for worse.

Sunday, August 18, 2019

John Watson Essay -- Psychology, Behaviorism

Watson’s life history John Broadus Watson was a famous American psychologist who lived between the year 1878 and 1958. He was born in a place called Greenville in South Carolina. John’s father was called Pickens and Emma was his mother and he was their fourth born child. The family was not well of financially they just lived in poverty. In spite of the poverty that engulfed the family, John’s father turned to be a habitual drunkard who cared less for his family. However, Emma John’s mother was a devoted religious woman who struggled to take care of the children with less support from her husband (Watson, 1999). In 1891, Pickens John’s father left the family and disappeared since he was somebody who engaged in extra marital affairs with other women a situation which even strained their marriage with his wife Emma and the relationship with his children. When Pickens had disappeared from home, John became a naughty boy and he became so confused in life due to lack of the full p arental care of both parents. He became defiant at school even he did not want to listen to the advice from his teachers. He bullied his fellow students and involved in other antisocial behaviors which were quite unacceptable at the school environment, further more he became violent and even rebelled his mother. John’s life started to turn around by the help of his teacher called Gordon Moore at the time he was a student at Furman University. He later on developed a positive attitude towards academic work since he realized that at least he can now contribute to the community regardless of the poverty state of his family. His academic performance was quite brilliant and he was able to succeed and secure a chance in the University of Chicago to pursue his m... ...eover, critics argue that animals and people can easily adapt behaviors when new information is introduced even if the previous pattern of behavior has been already established by reinforcement. In conclusion, the theory of behaviorism is based on observable behaviors for easier quantification and data collection. Effective techniques such behavior intervention and discrete trial training originates from this school of thought. The approaches are very essential in altering the maladaptive behaviors in adults and even children (Cherry, 2011). Therefore, Professor John Watson is greatly saluted for his tremendous contribution to modern psychology since his work was a big transition from the work of earlier scholars to the modern scholars. His life history is quite inspiring and serves as a role model to the young scholars who are interested in studying psychology.

Saturday, August 17, 2019

Finance Report ASOS ESSAY

With a rate much higher than the sis free rate of return (4%) investors are likely to invest in the company (risk Free Rate Of Return Definition I Investigated', 2003). Return on sales Return on sales (ROSS) stands at 8. 59% in 2008 and stays fairly consistent through to 2009. In 201 0 it increases marginally by 0. 68% to 9. 11%, however falls to 6. 30% by 2012. The target Return on sales is often around 10% dependent on the type of industry, so SASS falls below the target. However SASS have a high sales volume, which does not necessarily mean a low ROCK (France, 2013).The year preceding August 2013 they received 19,372 orders; a 43% increase on the previous year. (Sass ply. Results & reports, 2013) Gross Margin % The gross profit margin in 2008 showed a pleasing 46%; however between 2008-2011 there is a continuous downfall, with a decrease of 7. 23% over the 3 years. Although this increased by 12. 4% in 201 2, the 7. 23% fall in gross profit could potentially be catastrophic for a c ompany with low ROSS. However this could be due to a change in the price of raw materials or selling prices. (France, 201 3) Liquidity and gearing Sass' current ratio is always between 1. 5-1. 56:1. However they have not borrowed any money over the 5 year period, so carry a low risk to investors. Therefore even though they are not at the ideal ratio of , they have not borrowed any money; indicating they have good short-term financial strength (LetsLearnFinanceFinance in Simple Terms, 2011) Activity Debtor turnover began at 8 days in 2008, however made a vast improvement in 2009 falling to 2 days and then from 2010-2012 remained at 1 day. Creditor turnover days began at 68 days in 2012 which is fairly high, however this creased to 42 days in 2012.This suggests that SASS have good credit control and a low risk of bad debts as their debtor turnover is always at least 40 days less than their creditor days. (France, 201 3) Stock turnover has increased from 98 days to 121 days from 2008-2 012 and remains fairly consistent throughout. However due to the seasonal nature of the industry with fashions changing regularly, they should try to decrease their stock turnover days. Employee Ratios Sales per employee started at a commendable IEEE,477 and despite falling y EYE,801 between 2008-2012, increased to IEEE,835 by 2012.This totals El 27,358 increase in sales per employee over the 5 year period. Profit per employee remains consistent throughout, ranging between EYE,058-EYE,557; an exception being 2011 where it drops drastically to EYE,212. This correlates with the low profit margins and return on sales for the year. Growth ratios From 2008-2009 sales increased by 104% as they entered the market, most likely due to promotion. However the following year it dropped 69% and then increased a steady 1 1 % over the next two years.The operating profit was 100% after the first year and dropped dramatically to -22% in 2011 resulting in a loss. However this was recovered by 2012 wi th a 96% growth. To remain sustainable they must try and keep their growth rates consistent. Conclusion The company appears stable due to their good cash flow. They have a low risk to investors, with high potential returns. SASS have no gearing, which gives them the potential to expand in the future to remain competitive in such a tough industry. If they were to borrow this would also improve the company's current ratio.

Friday, August 16, 2019

Qualitative Research Critique Essay

â€Å"High rates of staff turnover in nursing homes is not a recent phenomenon. As far back as the mid-1970s studies have documented average turnover rates for registered nurses (RNs), licensed vocational nurses (LVNs) and certified nurse’s aides (CNAs) ranging between 55% and 75%† (Mor,V., Mukamel, D.B., & Spector,W. D. 2009, 1). Long term care facilities (LTC) have staffing issues related to the high turnover of licensed staff. The effect can have a heavy financial burden and also affect the care given to residents. Many ask the question why is it hard to attract and keep nurses at a long term facility. The International Journal of Nursing Studies conducted a qualitative study titled: â€Å"Making tradeoffs between reasons to leave and reasons to stay employed in long-term care homes: Perspectives of licensed nursing staff† (Boscart, V.M. Bowers, B., Brown, M., & McGilton, K. S. 2014, 917). This study focuses on how the nurses feel about where they work and wha t makes them want to leave or stay at a job. Problem Statement The high turnover of licensed staff in nursing homes, it not only effects the resident’s quality of care and the morale among staff members, and is also very costly to the facility. The purpose of the study was to understand what influences nursing staff to stay at a LTC facility. There have been studies conducted in the past but they were primarily done with nonlicensed staff or within the acute care setting. The goal of this study was to gain insight on how to retain nurses in LTC facilities. This study is significant as administrators in LTC facilities have a hard time attracting and retaining licensed nursing staff. When there is a high turnover of staff, it can affect the care of residents and morale of staff in a negative way, and is very costly. Purpose and Research Questions The purpose of the study was to understand what factors influence nurses to make a decision to stay at an LTC facility. The questions that the study  determined to answer was: what is the motivations that nurses have that cause them to stay at their present facility? Another question would be: what are the reasons or factors that would cause a nurse to terminate their employment? The purpose and questions related to the problem; the findings resulted in learning about what is important to nurses when they are making decisions to stay or terminate employment. The methods used in this study were stated as qualitative –descriptive. The sample size was 17 RN’s and 24 LPN’s which, for a qualitative study is sufficient. The participants were mostly female with an average age of 48 years. They interviewed staff from seven different LTC homes across Ontario, Canada. Prior to the study, permission was obtained from the Toronto Rehabilitation Institute Research Ethics Board, and also from the administrators of each facility. The researchers also obtained consents from staff who were interested in participating in the study, prior to setting up focus groups†¦ Each focus group was digitally recorded; confidentiality was assured and information was analyzed, coded, and reached a level of saturation. â€Å"The sample was sufficient to explore and develop analytic generalizations about working circumstances that influence the nurses’ intention to stay in LTC facilities† (Boscart, V. M., Bowers, B., Brown, M., & McGilton, K.S.2014). Literature Review The author used several qualitative resources that were cited throughout their article, and were dated from the year 2000-2012, which is relevant to this type of study. The author clearly states the gaps of the study were that no retention research had been completed in LTC settings. Limitations were listed as interviewing both LPN’s and RN’s together. This could have been a limitation for the LVN’s as they may have felt intimidated to discuss information with their supervisors present. Discussions about their intentions of leaving, or the factors they feel make the work environment less than desirable. The researchers tried to minimize that problem by having staff attend focus groups with others that they did not work directly with. Another limitation was possible bias, as the lead researcher was a nurse. All members of the research team reviewed the findings to minimize any potential bias (BoscartV. M., Bowers, B., Brown, M., & McGilton, K.S.2014). The study ga ve helpful insights to retaining staff, but the study  does not give any information about whether any of the facilities actually implemented any of the employees’ ideas. Conceptional/ Theoretical Framework The author did not identify a specific theory or perspective from which the study was developed. The theory that most relates to this study is the Herzberg’s two-factor theory.This theory examines the reasons employees are satisfied or dissatisfied with their jobs. â€Å"From this research, Herzberg suggested a two-step approach to understanding employee motivation and satisfaction: which were hygiene factors and motivator factors† (Riley, J., 2012, paragraph 1). This theory gives valuable information to employers on what is important for employee satisfaction and for retaining employees. Several themes resonated throughout the article, a few of the main ones were why the nurses were staying in LTC, which was because of the relationships they had with the residents and their coworkers. The framework that was developed from the studies indicated why nurses stay or leave a job. Some of the reasons listed for terminating a job were regulations in LTC that effect role flexibility, and not being able to exercise professional judgment. The lack of supportive leadership and personal commitments were also mentioned. Nurses listed reasons to stay as: relationships with the residents, their coworkers, and having opportunities to learn and be educated. Conclusion As evidenced in the study, there are many reasons for leaving or staying at a job. With high turnover there are many disadvantages for the facility as well as the resident and employees. The study indicated what was important to nurses for job satisfaction. With the shortage of nurses and the difficulty in retaining nurses in the LTC facilities, this information could be very crucial to those who hire nurses in these settings. For future studies it would be good to follow up and see if any of the facilities in the study implemented the information given by the staff. This study is important for nursing, as it gives nurses a chance to voice their concerns and give employers the opportunity to make changes. References Boscart. V. M., Bowers, B., Brown, M., & McGilton, K.S. (2014). Making tradeoffs between the reasons to leave and reasons to stay employed in long-term care homes: Perspectives of licensed nursing staff. International  Journal of Nursing Studies,51(6). 917-926.dpo:10/1016/j.ijnurstu.2013.10.015 Mor, V., Mukamel, D.B., & Spector, W. D. (2009). The costs of turnover in nursing homes. The Costs of Turnover in Nursing Homes. Retrieved from www.ncbi.nlm.nih.gov/†¦ National Center for Biotechnology Information Riley, J. (2012). Motivation Theory – Herzberg. From Motivation Theory – Herzberg – Tutor2u Retrieved from www.tutor2u.net/business/people/motivation_theory_herzberg.asp