Friday, November 29, 2019

History Of Jury Essays - Legal Procedure, Juries, Criminal Procedure

History Of Jury THE RIGHT OF JURIES TO JUDGE OF THE JUSTICE OF LAWS Section I For more than six hundred years-that is, since Magna Carta, in 1215--there has been no clearer principle of English or American constitutional law, than that, in criminal cases, it is not only the right and duty of juries to judge what are the facts, what is the law, and what was the moral intent of the accused; but that it is also their light, and their primary and paramount duty, to judge the justice of the law, and to hold all laws invalid, that are, in their opinion, unjust or oppressive, and all persons guiltless in violating, or resisting the execution of, such law. Unless such be the right and duty of jurors, it is plain that, instead of juries being a palladium of liberty-a barrier against the tyranny and oppression of the government-they are really mere tools in its hands, for carrying into execution any injustice and oppression it may desire to have executed. But for their right to judge the law, and the justice of the law, juries would be no protection to an accused person, even as to matters Of fact; for, if the government can dictate to a jury any law whatever, in a criminal case, it can certainly dictate to them the laws of evidence. That is, it can dictate what evidence is admissible, and what inadmissible, and also what force or weight is to be given to the evidence admitted. And if the government can thus dictate to a jury the laws of evidence, it can not only make it necessary for them to convict on a partial exhibition of the evidence rightfully pertaining to the case, but it can even require them to convict on any evidence whatever that it pleases to offer them. That the rights and duties of jurors must necessarily be such as are here claimed for them, will be evident when it is considered what the trial by jury is, and what is its object. The trial by jury, then, is a trial by the country-that is, by the people- as distinguished from a trial by the government. It was anciently called trial per pais-that is, trial by the country. And now, in every criminal trial, the jury are told that the accused has, for trial, put himself upon the country; which country you (the jury) are. The object of this trial by the country, or by the people, in preference to a trial by the government, is to guard against every species of oppression by the government. In order to effect this end, it is indispensable that the people, or the country, judge and determine their own liberties against the government; instead of the government's judging of and determining its own powers over the people. If the government may decide who may, and who may not, be jurors, it will of course select only its partisans, and those friendly to its measures. It may not only prescribe who may, and who may not, be eligible to be drawn as jurors; but is may also question each person drawn as a juror, as to his sentiments in regard to the particular law involved in each trial, before suffering him to be sworn on the panel; and exclude him if he be found unfavorable to the maintenance of such a law. So, also, if the government may dictate to the jury what laws they are to enforce, it is no longer a trial by the country, but a trial by the government; because the jury then try the accused, not by any standard of their own-not by their own judgments of their rightful liberties-but by a standard dictated to them by the government. And the standard, thus dictated by the government, becomes the measure of the people's liberties. If the government dictate the standard of trial, it of course dictates the results of the trial. And such a trial is no trial by the country, but only a trial by the government; and in it the government determines what are its own powers over the people, instead of the people's determining what are their own liberties against the government. In short, if the jury have no right to judge of the justice of a law of the government, they plainly can do nothing to protect the people against the oppressions of

Monday, November 25, 2019

Leopold and Loebâ€Murder Just for the Thrill of It

Leopold and Loeb- Murder Just for the Thrill of It On May 21, 1924, two brilliant, wealthy, Chicago teenagers attempted to commit the perfect crime just for the thrill of it. Nathan Leopold and Richard Loeb kidnapped 14-year-old Bobby Franks, bludgeoned him to death in a rented car, and then dumped Franks body in a distant culvert. Although they thought their plan was foolproof, Leopold and Loeb made a number of mistakes that led police right to them. The subsequent trial, featuring famous attorney Clarence Darrow, made headlines and was often referred to as the trial of the century. Who Were Leopold and Loeb? Nathan Leopold was brilliant. He had an IQ of over 200 and excelled at school. By age 19, Leopold had already graduated from college and was in law school. Leopold was also fascinated with birds and was considered an accomplished ornithologist. However, despite being brilliant, Leopold was very awkward socially. Richard Loeb was also very intelligent, but not to the same caliber as Leopold. Loeb, who had been pushed and guided by a strict governess, had also been sent to college at a young age. However, once there, Loeb did not excel; instead, he gambled and drank. Unlike Leopold, Loeb was considered very attractive and had impeccable social skills. It was at college that Leopold and Loeb became close friends. Their relationship was both stormy and intimate. Leopold was obsessed with the attractive Loeb. Loeb, on the other hand, liked having a loyal companion on his risky adventures. The two teenagers, who had become both friends and lovers, soon began committing small acts of theft, vandalism, and arson. Eventually, the two decided to plan and commit the perfect crime. Planning the Murder It is debated as to whether it was Leopold or Loeb who first suggested they commit the perfect crime, but most believe it was Loeb. No matter who suggested it, both boys participated in the planning of it. The plan was simple: rent a car under an assumed name, find a wealthy victim (preferably a boy since girls were more closely watched), kill him in the car with a chisel, then dump the body in a culvert. Even though the victim was to be killed immediately, Leopold and Loeb planned on extracting a ransom from the victims family. The victims family would receive a letter instructing them to pay $10,000 in old bills, which they would later be asked to throw from a moving train. Interestingly, Leopold and Loeb spent a lot more time on figuring out how to retrieve the ransom than on who their victim was to be. After considering a number of specific people to be their victim, including their own fathers, Leopold and Loeb decided to leave the choice of victim up to chance and circumstance. The Murder On May 21, 1924, Leopold and Loeb were ready to put their plan into action. After renting a Willys-Knight automobile and covering its license plate, Leopold and Loeb needed a victim. Around 5 oclock, Leopold and Loeb spotted 14-year-old Bobby Franks, who was walking home from school. Loeb, who knew Bobby Franks because he was both a neighbor and a distant cousin, lured Franks into the car by asking Franks to discuss a new tennis racket (Franks loved to play tennis). Once Franks had climbed into the front seat of the car, the car took off. Within minutes, Franks was struck several times in the head with a chisel, dragged from the front seat into the back, and then had a cloth shoved down his throat. Lying limply on the floor of the back seat, covered with a rug, Franks died from suffocation. (It is believed that Leopold was driving and Loeb was in the back seat and was thus the actual killer, but this remains uncertain.) Dumping the Body As Franks lay dying or dead in the backseat, Leopold and Loeb drove toward a hidden culvert in the marshlands near Wolf Lake, a location known to Leopold because of his birding expeditions. On the way, Leopold and Loeb stopped twice. Once to strip Franks body of clothing and another time to buy dinner. Once it was dark, Leopold and Loeb found the culvert, shoved Franks body inside the drainage pipe and poured hydrochloric acid on Franks face and genitals to obscure the bodys identity. On their way home, Leopold and Loeb stopped to call the Franks home that night to tell the family that Bobby had been kidnapped. They also mailed the ransom letter. They thought they had committed the perfect murder. Little did they know that by the morning, Bobby Franks body had already been discovered and the police were quickly on the way to discovering his murderers. Mistakes and Arrest Despite having spent at least six months planning this perfect crime, Leopold and Loeb made a lot of mistakes. The first of which was the disposal of the body. Leopold and Loeb thought that the culvert would keep the body hidden until it had been reduced to a skeleton. However, on that dark night, Leopold and Loeb didnt realize that they had placed Franks body with the feet sticking out of the drainage pipe. The following morning, the body was discovered and quickly identified. With the body found, the police now had a location to start searching. Near the culvert, the police found a pair of glasses, which turned out to be specific enough to be traced back to Leopold. When confronted about the glasses, Leopold explained that the glasses must have fallen out of his jacket when he fell during a birding excavation. Although Leopolds explanation was plausible, the police continued to look into Leopolds whereabouts. Leopold said he had spent the day with Loeb. It didnt take long for Leopold and Loebs alibis to break down. It was discovered that Leopolds car, which they had said they had driven around all day in, had been actually been at home all day. Leopolds chauffeur had been fixing it. On May 31, just ten days after the murder, both 18-year-old Loeb and 19-year-old Leopold confessed to the murder. Leopold and Loebs Trial The young age of the victim, the brutality of the crime, the wealth of the participants, and the confessions, all made this murder front page news. With the public decidedly against the boys and an extremely large amount of evidence tying the boys to the murder, it was almost certain that Leopold and Loeb were going to receive the death penalty. Fearing for his nephews life, Loebs uncle went to famed defense attorney Clarence Darrow (who would later participate in the famous Scopes Monkey Trial) and begged him to take the case. Darrow was not asked to free the boys, for they were surely guilty; instead, Darrow was asked to save the boys lives by getting them life sentences rather than the death penalty. Darrow, a long-time advocate against the death penalty, took the case. On July 21, 1924, the trial against Leopold and Loeb began. Most people thought Darrow would plead them not guilty by reason of insanity, but in a surprising last-minute twist, Darrow had them plead guilty. With Leopold and Loeb pleading guilty, the trial would no longer require a jury because it would become a sentencing trial. Darrow believed that it would be harder for one man to live with the decision to hang Leopold and Loeb than it would be for twelve who would share the decision. The fate of Leopold and Loeb was to rest solely with Judge John R. Caverly. The prosecution had over 80 witnesses that presented the cold-blooded murder in all its gory details. The defense focused on psychology, especially the boys upbringing. On August 22, 1924, Clarence Darrow gave his final summation. It lasted approximately two hours and is considered one of the best speeches of his life. After listening to all the evidence presented and thinking carefully on the matter, Judge Caverly announced his decision on September 19, 1924. Judge Caverly sentenced Leopold and Loeb to jail for 99 years for kidnapping and for the rest of their natural lives for murder. He also recommended that they never be eligible for parole. The Deaths of Leopold and Loeb Leopold and Loeb were originally separated, but by 1931 they were again close. In 1932, Leopold and Loeb opened a school in the prison to teach other prisoners. On January 28, 1936, 30-year-old Loeb was attacked in the shower by his cellmate. He was slashed over 50 times with a straight razor and died of his wounds. Leopold stayed in prison and wrote an autobiography, Life Plus 99 Years. After spending 33 years in prison, 53-year-old Leopold was paroled in March of 1958 ​and moved to Puerto Rico, where he married in 1961. Leopold died on August 30, 1971, from a heart attack at age 66.

Thursday, November 21, 2019

Web design project. Phebra, Australia Case Study

Web design project. Phebra, Australia - Case Study Example Phebra is a pharmaceutical company based in Australia. They specialise in medicines which are considered to be innovative for the hospital market. Their market place is tailored to serious and life-threatening conditions. They are specialists in their field. They have a range of pharmaceuticals to cater for the majority of conditions in the "serious" and "life threatening" categories.This project has arisen out of a need to review and improve the existing Phebra website. The task of the new look website will be to communicate the Phebra message in a simple easily readable format. As much information about the company should be placed on a single page, rather than splitting the information into separate pages. This should also make the site easier to navigate. As Phebra were previously known as PharmaLab, it could also be considered as a "rebranding" promotion. Therefore the look and feel of the new site is important, from the perspective of customer branding and effective marketing.T he existing design is based on a blue and white colour scheme. The main focus of the front page is the pull down menu which details the products on offer from the company. The site is fairly simplistic on the front page, in that the main sections include the business, products, ordering information and a contacts page. The main theme of the business is covered with the title "Life-enhancing medicines." This is quite effective. The news section on the left of the web page provides information on recent events. At the right of the home page a typical product is featured. The target audience is not obvious from the home page, even though the intended audience is hospitals. There are no links or information on current customers, even though they market to several countries. The areas Phebra cover is not easily identifiable from the home page information. The colour scheme is easy on the eye, and has a friendly outlook. The marketing message is good overall, but leaves room for improvement and could be more targeted. The information on the products however, is not easy to understand to the lay-person i.e. anyone who is not a pharmaceutical professional, and could be improved. Evaluation of existing design solution The existing design of the Phebra website is partly based on history, following the change in branding from "PharmaLab" to "Phebra". The site is well established and is attractive. The main problem with the site is that the information is quite technical and not understood by the everyday user. The site may be fine for pharmaceutical professionals, but in order for managers and the general public to find information a description of terms and products could be provided in a more user-friendly manner. They provide a useful contact us page, and the current format is suitable, as is. From a marketing perspective the text used does get to the point, but could do with a facelift. Their objective is to sell pharmaceutical products to hospitals in several countries. Therefore a simple statement about the products they sell is fine up to a point. However, in order to compete with numerous other companies in the same field, it would help to include demonstrations of products perhaps in flash movie format. Another way of gaining competitive advantage would be to include testimonials and a list of established customers. This would enhance Phebras reputation is a market leader in their field.

Wednesday, November 20, 2019

Separation of Powers Essay Example | Topics and Well Written Essays - 1500 words

Separation of Powers - Essay Example Montesquieu echoes Aristotle's arguments that having the mixture of the traditional governing bodies would balance the power and authority. Further more, he references Aristotle in his book by saying; "The inhabitants of a particular town are much better acquainted with its wants and interests than with those of other places; and are better judges of the capacity of their neighbors than of that of the rest of their countrymen. The members, therefore, of the legislature should not be chosen from the general body of the nation; but it is proper that in every considerable place a representative should be elected by the inhabitants" (Montesquieu). Aristotle, Montesquieu, and Locke all support the notion that civil society originates when, for the better administration of the law, men agree to delegate legal functions to certain officers. They are all against a "monarchy" government as it does not support a civil society. It by definition corrupts the individual who is given all of the power. Both Aristotle and Montesquieu allow for a balance between the oligarchy/monarchy and the democracy by allowing an "executive" element who's function is to balance that of the legislative/democratic element. 2) Aristotle believed that there were three classes. At the bottom were the farmers, laborers, and poor. As this class of people did not have the leisure time to pursue education, they would make a meager ruling class. The ruling class Aristotle argued should be comprised of the leisured classes, and the "middling element". He clarifies that the governing body with a larger "middling" element is more stable as they relate best to both of the extreme elements and are less concerned with power so as not to become corrupt. This combination of the "leisure class" and the "middling element" Aristotle referred to as citizens; "Citizens are distinguished from other inhabitants, such as resident aliens and slaves; and even children and seniors are not unqualified citizens (nor are most ordinary workers). After further analysis he defines the citizen as a person who has the right to participate in deliberative or judicial office" (SEP) Montesquieu viewed class as an outcome of the ability of the legislative body. He acknowledges that people are born into different circumstances, but argues that "the laws should disguise as much as possible the difference between the nobility and the people, so that the people feel their lack of power as little as possible" (SEP). In other words, the nobility who are likely the majority of those elected to be in the governing body should exercise care in order to not alienate those subjected to their rulings. When they fail to do so, the nobility will lose its spirit of moderation, and the government will be corrupted. 3) Montesquieu believed that "it is the masterpiece of legislation to know where to place properly the judicial power" (SL) According to Vile, Montesquieu was not the first philosopher to separate the judicial from the legislative but rather his writing was published at a time which

Monday, November 18, 2019

The Sacred Realm of Art Essay Example | Topics and Well Written Essays - 250 words

The Sacred Realm of Art - Essay Example The essay provided distinct art forms exemplified by four religions, to wit: the jade statue of the ancient Olmecs, revealed to have existed some 1500 to 300 b.c.; the masks of the indigenous Bwa from West Africa; the painting of images of the Tathagata Buddha from Central Tibet; and the painting of the image of the Virgin Mary, as Madonna Enthroned from Italy. There were marked differences but also intriguing similarities depicting prominent figures, profound meanings, portrayal of messages through expressions, positions of body parts and symbolisms. The jade figure of the ancient Olmecs, for instance, revealed contrasting expressions of two images manifesting the significant role of a shaman, an intermediary between two worlds. The masks of the Bwa people, on the other hand, likewise serve as a spiritual manifestation of presence that provides guidance and assistance to humans through various traditions and practices. The comparative discourse provided by the paintings of the image s of the Tathagata Buddha and the Madonna Enthoned showed remarkable similarities despite the diversity in religious beliefs. Depicting the central image as the signifying the most reverent role in the respective religions (Buddhist and Christian), the juxtaposition of body parts (hand, face, and other images) give meaning to the viewers.

Saturday, November 16, 2019

Floating Restaurants Are A New Phenomenon Marketing Essay

Floating Restaurants Are A New Phenomenon Marketing Essay Floating restaurants are a new phenomenon for dining out in Cairo, where customers can be provided not only with a meal but also an entertaining casual dining experience with unrivalled views of the Nile River. This study aims to identify customers perceptions of the floating restaurants sailing down the Nile River and also explores the different attributes that influence customer satisfaction with, and increase the intention of repeat patronage for, Sailing Floating Restaurants. Frequencies, means, Pearson correlations, cross tab and factor analysis were used for the data analysis. The results indicate that aspects such as parking spaces, healthy, and local dishes, along with rest-room cleanliness are pivotal attributes to create satisfied customers and to increase repeat patronage intentions. Floating restaurant managers should reasonably take into consideration the trip length, which contributes significantly to customers satisfaction and repeat patronage intentions.(Published in 2011).Likewise, if there are any local traditions when the behaviour of domestic guests may seem disturbing to uninitiated foreign guests, such as the rowdy lutefisk evenings in some Norwegian restaurants (Jensen and Hansen, 2007). The study by Jensen and Hansen (2007) suggested that harmony is the most emphasized value among experienced restaurant consumers in Norway .The findings of other studies on value and satisfaction provide support for linking value to satisfaction, not satisfaction to value (Babin, Lee, Kim, Griffin, 2005; Jones, Reynolds, Arnold, 2006).For example, studies show that neighborhoods composed of racial and ethnic minorities have more than twice the number of fast-food restaurants (Block, Scribner, and DeSalvo 2004; Ball).Such women may be more likely to encounter environmental barriers to healthy food choices, often living in neighborhoods with fewer supermarkets (Morland et al, 2002b) and more fast food restaurants (Block et al, 2004).Dining motivation may affect this relationship because it determines consumers evaluative judgments during their dining experiences (Park, 2004).Consumers expect safe food and demand information about the origin of their food (Van Rijswijk Frewer, 2008).It has been found in many studies that restaurateurs are concerned with making lasting impressions, perpetuating a wonderful dining experie nce and creating an impressive ambiance for their customers (Cheng, 2006; DiPeitro, Murphy, Riviera, Muller, 2007; Gupta, McLaughlin, Gomez, 2007; Lacey, 2007; Oh, 2008; Ryu, 2005).If customers are satisfied with the food or service in a restaurant then they are more likely to re-visit it and thus increase its profits (Gupta et al., 2007).Several researchers controlled for the effect of advertising and promotions in their studies on customer loyalty because of their influence (Buckinx Van den Poel, 2004; Chu et al, 2007; Gupta, McLaughlin, Gomez, 2007).Service differentiation means enhancing perceived value by providing services or service attributes not provided by the competition (Claycomb and Martin, 2001, p. 391).Here, a small number of studies note the importance of the congruence and compatibility between the perceived attitudes and behaviours of fellow customers within the service setting, that is, the extent to which patrons within the service environment behave in a man ner that is deemed appropriate by other customers present (see Grove Fisk, 1997; Martin, 1996).Park (2004) defined the consumer value of eating-out as the value consumers derived from food, service, and restaurants when eating-out, which suggests that customers do not pursue dining value only to satisfy their hunger.On the other hand, less restrictive zoning in low-income areas may have contributed to an abundance of unhealthy food options, particularly fast food (Block et al. 2004; Morland et al. 2002).Restaurants tend to be less active in preferred customer program unlike hotel or airline industry because restaurant customers favor immediate, necessary, and monetary gratification (Jang Mattila, 2005).Convenience therefore becomes one of the main motivators for restaurant customers in choosing a restaurant (Jang Mattila, 2005).Kivela (1997) segmented restaurant customers on the basis of preferred restaurant types, including fine dining/gourmet, theme/atmosphere, family/popular a nd convenience/fast-food restaurants In the history of restaurant management, providing compelling sensory experiences to patrons has been critical for deriving patron satisfaction, and restaurants have thus invested large amounts of expenditure in interior/exterior decoration (Kivela, 1997; Law, To, Goh, 2008) and food presentation (Kivela et al, 1999; Namkung Jang, 2008; Raajpoot, 2002).Research conducted by Mona and Roy, (1999); Pettijohn, Pettijohn, and Luke (1997); Kivela (1997); Gregoire, Shanklin, Greathouse, and Tripp (1995); Auty (1992), and Lewis (1981) found food quality, including food safety and hygiene, to be either the first or second most important restaurant choice factor.In fast-food restaurants, price, convenience, and limited service are the basic characteristics, which have led to quality being one of the principal concepts of the marketing strategy (Baek, Ham, Yang, 2006).The consumption of fast-food has also increased throughout the industrialized world in countries as diverse as Spain, Korea, the Philippines, and Australia (Baek, Ham, Yang, 2006; Bryant Dundes, 2008; Mohammad, Barker, Kandampully, 2005).Previous studies have examined restaurant preferences associated with different groups such as origins of nationality (Barta, 2008; Gyimothy, Rassing Wanhill, 2000), different meal purposes (Cullen, 2004; Koo, Tao, Yeung, 1999), length of stay (Gyimothy et al, 2000), and age (Gyimothy et al, 2000; Yamanaka, Almanza, Nelson, DeVaney, 2003).According to the study conducted by Cullen (2004), portion size is a more important attribute to young consumers.To date numerous studies have been undertaken seeking to address such selection variables including but not limited to customer loyalty (Kim and Han, 2008), ambience (Rowe, 2004), pricing strategy (Pedraja and Yague, 2001), location (Buchtal, 2006; Knutson et al, 2006), menu variety (Choi, Lee and Mok, 2010), food type and food quality within occasion (Auty, 1992), consumer demographics (Bareham, 2004; Kim, Raab and Berg man, 2010), nutritional content (Wootan and Osborn, 2006) and service and/or product quality Fu and Parks, 2001) While many previous studies were also conducted in an actual restaurant setting (Jang Namkung, 2009; Kivela, Inbakaran, Reece, 2000); the uniqueness of this research is that the notion of Gestalt was adopted, and the interactive effects of perceived congruency and individuals pleasure or arousal on satisfaction were being tested.The perception that a restaurant has a reputable, green operation adds a value that is a little more intangible, but definitely important, in the customers mind. Just ask Chipotle how in the world they get away with selling an $8 burrito in a fast casual environment. Customers recognize the value of their green practices and locally sourced ingredients. There are hundreds of ways to make your restaurant more green, and advertising your practices to your customers add value. (Greg McGuire , 2012).Another top restaurant trend is portion sizes. Reduced portion sizes allow customers to spend less or pick and choose more than one dish. This is also a hot trend b ecause the perceived value for the customer is that they have options, and not all of them require a lot of money. (Greg McGuire , 2012) Restaurant Marketing: Using the Internet to Create Customer Value By Rohit Verma, Executive Director, Cornell Center for Hospitality Research Co-authored by Glenn Withiam, Executive Editor, Cornell Hospitality Quarterly Customer value extends far beyond the table or the restaurant itself. Restaurateurs have the opportunity to create customer value from the first contact, whether that means a telephone reservation or an electronic order or reservation. The restaurant operators decision of whether to permit electronic ordering or to accept reservations via the web depends on numerous factors, including balancing guest preferences against the cost of participating in third-party reservation sites. Studies of consumers who have made electronic reservations find that those who prefer the web tend to be younger customers who dine out more frequently than others. The age-old principle of customer value for the restaurant industry is to put the value where the customer can see it. Putting the value on the plate, is essential and that concept hasnt changed in many years. But the customer value chain for restaurants starts long before the guest is seated. Given heavy competition and ever-expanding marketing channels, a restaurateur may never get the chance to demonstrate the value of the plate on the table-if guests book a different restaurant. The battle begins in just getting the guest to the table in the first place. In this article, we offer a roadmap to electronic reservations and distribution, based on several studies of guests use of electronic food ordering, flash deal couponing, and third-party reservation applications. We frame this discussion in terms of customer value for the simple reason that guests seek value throughout the experience, and they will not become involved where they do not see value. This is particularly true in term s of flash deals. While guests may try a restaurant once using a daily deal coupon, they will not do so twice if value has not been received. The presence of social media and web commentaries seems to have altered customers decision process as they decide which restaurant to book. In the usual process, guests have in mind a set of potential restaurants, and then they apply their own criteria to choose one of those restaurants. The way social media affect this process is that would-be customers who read online reviews may add new restaurants to their choice set during the decision process. Thus, the winning restaurant might well be one that was suggested by the review of a perfect stranger, rather than one that was originally under consideration. Daily deal offers also exert considerable influence on the process. A study by Cornell Professor Chekitan Dev found that an astonishing 70 percent of purchases for travel experiences were made within 15 minutes of receiving an offer from the group coupon firm LivingSocial. In this instance, the decision appears to be a function of price, rather than one of brand. As weve discussed previously, daily deals must be carefully crafted to ensure that the offer is successful for both the restaurant and the purchasers. If you are reading this in a location where social media have not yet penetrated, you may have the luxury of preparing for a time when the internet gains increasing power in your distribution process. While some of our discussion here focuses on restaurants that use reservations, its also true that social media influence the decision process for restaurants that take only walk-ins and use a queue to control table occupancy, rather than reservations. Beyond that, there may come a day when guests will expect to be able to view your queue on the web, and thus determine whether they want to wait in that queue or choose another restaurant. Its easy to foresee a possible marketing approach of letting guests know that your queue is only 15 minutes long if they come immediately to the restaurant. Food Ordering With that background, lets examine how the internet is affecting food-service purchases and restaurant reservations. Considering that the internet is a logical method for ordering food deliveries, Cornell Professor Sheryl Kimes examined the use of the websites for ordering food for carryout or for delivery. While about half of the 470 people surveyed had used some form of electronic ordering, the number-one channel remains the telephone call, which was used for 53 percent of the orders in this study. This study covers U.S. residents, so the proportions may be different elsewhere. Nevertheless, the webs impact continues to rise everywhere. While theres no indication that the telephone will be eclipsed any time soon, electronic ordering is growing steadily. Just over 38 percent of the survey respondents had placed an electronic order, mostly using the restaurants own website. The number-one benefit that customers cited for electronic ordering was accuracy. They also liked websites that were convenient, gave them strong control, and made ordering easy. Its worth noting that convenience in this case also extended to offering delivery of the food once it was ordered. On the other side of the coin, customers who avoided the web for food ordering preferred personal interaction-they wanted to talk to someone. There was also a current of technological anxiety among those who didnt use the web to order food. A comparison of the demographics and purchase patterns of technology users and nonusers provides reasons for restaurants to offer as many ordering channels as possible. Respondents who made electronic orders tended to be younger than those who did not, and the technology users also patronized restaurants more frequently. An earlier study by Technomic found that 60 percent of people between 18 and 34 years have ordered online, but for people over 35 that figure falls to 35 percent. Restaurant operators in the United States are not oblivious to this trend. Just under one-fourth of the 326 largest U.S-based chains offered online food ordering. While we do not have figures for other nations, the direction of the trend is clear. For this study, the type of food ordered most frequently is Italian-style food, particularly pizza. Electronic Reservations If your restaurant accepts reservations, chances are they are being made by telephone. Just as the phone remains the top channel for ordering food, the same is true for restaurant reservations. However, what is not clear when the phone rings is how your guest found you. In this study of 474 U.S. consumers, Professor Kimes (working with co-researcher Katherine Kies) again found a steady growth in the use of websites and mobile phone apps for making restaurant reservations. What she also found was a trend that connects electronics and the telephone. Guests would use the web or a mobile app to locate a restaurant, and then they would complete the reservation on the telephone. More on that in a moment. Respondents to this survey had similar feelings about internet reservations as they did about electronic food ordering. Those who made reservations on the phone preferred the personal touch. Once again the online group is noticeably younger than the telephone-only group, and the web users have a tendency to visit restaurants more frequently than do other customer groups. So, once again, the online crowd appears to be an attractive demographic. One of the difficult decisions for restaurateurs is whether to use a multiple-restaurant reservation site. The decision is not always a simple one, even though reservation sites are growing in popularity, because they do incur an expense. Most reservation sites charge a monthly fee, plus a per-diner fee. Signing an agreement with one of these sites also removes a certain amount of control over the reservation process. Perhaps the greatest concern regarding these sites is the possibility that they do not provide incremental business. That is, a restaurant could very well be paying for an electronic reservation that would have been made anyway, by telephone or on the restaurants own website. Even if the reservations do represent incremental business, restaurants thin operating margins also raise questions about the value of third-party reservation sites. Balanced against the concerns regarding reservation sites is their undeniable popularity among some would-be restaurant guests. About 60 percent of the respondents who had made an electronic reservation used a multiple-restaurant site for their transaction. Two favorable considerations are that using the web reduces the need to have someone answering the phone for reservations and theoretically the restaurant can promote itself by its presence on the reservation site. The sites also provide an electronic reservations book and offer certain table management tools, as well as capturing customer data. The top reason for choosing a restaurant given by this surveys respondents was their previous experience with the restaurant, following by recommendations of friends. However, when this question was posed to those who use multiple-restaurant sites, social media became entwined in the decision process, as we described at the beginning of this article. While experience and cuisine had strong influence, the users of multiple-restaurant sites were significantly more likely to rely on online reviews in choosing a restaurant. Regardless of how they placed the reservation, the most important element, according to these respondents, is the ability to get the time and date they wanted. Reservation accuracy was also important. This group was relatively not concerned about personal contact. The study found that website users do more than just place reservations through the multiple-restaurant sites. They also use these sites to check table availability and to locate a particular restaurant. Additionally, the would-be guests also use websites to find a new restaurant. It is this finding that raises the possibility that restaurant operators should consider the theoretical marketing value of being listed on a multiple-restaurant site. Having located a restaurant, about one-third of the respondents completed the reservation using the telephone. The rest either continued with the reservation on the multiple-restaurant site or they switched to the restaurants own site. In conclusion, the decision of how to connect with your customer depends on your knowledge of how to create value for your customer. It may be that being listed on a multiple-restaurant site or offering delivery for electronic orders is an ideal fit for your restaurant. On the other hand, the cost of third-party reservation sites may not be justified by either the incremental reservations or marketing value. Moreover, for the restaurant industry, personal contact through the telephone is still important. By remembering that the creation of customer value begins with the first contact, you can ensure an excellent experience that puts the value where the customer can see it. http://hotelexecutive.com/business_review/3133/restaurant-marketing-using-the-internet-to-create-customer-value

Wednesday, November 13, 2019

St. Louis Communities :: essays research papers

"Where do you live?" If you have ever met anyone in St. Louis, this is probably one of the first questions asked. Whether you are from the city, county, north, south, east or west, most people in St. Louis are convinced that they can identify you by what community you come from. The actual city of St. Louis is broken into three main parts; the North Side, South City and the Central West End. The three areas combined have approximately eighty established neighborhoods. If you decide to add the western part of St. Louis County, this number is most likely to double. Many areas of the city were originally established by separate ethnic groups while most others were developed by social groups. You don't have to be a genius to realize the area known as "Dutchtown" was established by German immigrants. However, it may not be so easy to identify areas such as "Dogtown" or "The Hill" as the Irish and Italian areas of town. The Central West End is historically a very liberal yet sophisticated part of the city. This area can be further subdivided into a middle class and a very wealthy area depending on which side of Kingshighway you live on. University City was started mainly by Washington University students and is still predominantly populated by area college kids. This portion of the city has also grown a subdivision known as "The Loop." The Loop is extremely liberal and thought of by most people as almost mysterious or bizarre. A new phenomenon happening in our city is the rebirth of many of our older and rundown areas. One of the best examples of this is the "Soulard" area of town, which now has an established nightlife as well as exquisite historical antique homes. Lafayette Square has also enjoyed the same type of success as Soulard. It is still in the middle of a high crime area, but is populated by upper-class people with beautiful homes with elaborate wrought iron fences and intricate security systems. This trend of fixing up old flats is spreading out from the areas of Soulard and Lafayette Square to neighboring communities at a rapid pace. The Compton Heights area is coming back with rebuilt old Victorian styled houses and private gated streets that contrast the French styled flats of Soulard. The Shaw and Tower Grove area are also following the lead of revitalization similar to these charming old neighborhoods.

Monday, November 11, 2019

Explain the Biological Mechanisms by Which Stress Can Induce Depressive Behaviour

Explain the biological mechanisms by which stress can induce depressive behaviour. Introduction Depressive behaviour is a core feature of several major psychological disorders, most obviously major depression (MD) and depressive episodes of bipolar depression (BP). Depression is also frequently found to be co-morbid with psychotic disorders such as schizophrenia and with anxiety-related disorders (e. g. social phobia or OCD). Depression is the biggest major risk factor for self-harm and suicide, thus posing a real clinical problem to try to understand and reverse the mechanisms involved.Traditional anti-depressant treatment has only shown a modest benefit to placebos in treating the disorder; therefore, more effective drugs that target the right biological mechanisms are imminently needed. The majority of experimental research in the area has used rodents to test medication and model known psychopathological aspects of depression in humans, such as learned helplessness, cognitive def icits and increased co-morbidity with anxiety-related behaviours. There are many factors that may explain why some people (around 16% of the population) will experience a depressive episode in their lifetime and others won’t.Genetic vulnerability and epigenetic changes, psychosocial support, socioeconomic status or even climate-related factors all have to be considered in considering the right treatment for individual cases. Whilst the causal link between many of these and the onset of depression is somewhat inconclusive, the strong association between chronic mild stress (CMS) and depressive behaviour is now a huge area of research, resulting in the stress-induced model of depression.Even where there is evidence for the role of genes in depression, such as allele variants for the 5-HTT promoter region, it is shown to vary as a function of exposure to stressful life events. The mechanisms by which environmental stressors can lead to depressive behaviour have been explored tho roughly, with a strong focus on the role of the Hypothalamus-Pituitary-Adrenal (HPA) axis and its dysfunction in depression. The consequent rise in levels of the glucocorticoid hormone cortisol, following HPA activation, has been shown to become chronic increased in depressed patients.This is thought to be due to the development of glucocorticoid resistance, whereby high levels of cortisol are present in the bloodstream and peripheral tissue but negative feedback to shut down the HPA axis no longer works. Due to the numerous roles of cortisol within the body, several biological processes may be affected as a consequence of CMS that may lead to depressive behaviour. Direct and indirect effects of HPA dysfunction include changes in immune response, neuronal damage, decreased rates of neurogenesis and the serotonin pathways.These processes tend to interact and exacerbate one another; therefore, understanding each proposed biological mechanism of stress-induced depression and their impa ct upon each other is likely to lead to a better treatment outcome. Acute Stress and the HPA Axis The experience of acute mild stress is a normal and adaptive process, triggered by an environmental ‘stressor’ deemed to be potentially harmful. From an evolutionary perspective, this serves to protect the individual from danger via activation of the sympathetic nervous system, preparing the individual for ‘fight or flight’ mode.Stress, as well as input from the amygdala, hippocampus and midbrain, directly activates the ‘stress response’ via the Hypothalamic-Pituitary-Adrenal (HPA) axis. The first immediate response is the release of corticotrophin releasing hormone (CRH) from the hypothalamus, which travels to the pituitary where it binds to CRH Receptor 1 (CRHR1). CRH can also act directly on other brain regions, e. g. the amygdala at this early stage. CRH1 activation stimulates the release of adrenocorticotrophin release hormone (ACTH), which tr avels via the bloodstream to the kidneys, stimulating the delayed release of the glucocorticoid (steroid) cortisol.Cortisol acts throughout the body in all cells, via binding to cytoplasmic glucocorticoid and mineralocorticoid receptors (GR and MR) (see Figure 1). Figure 1: Cortisol can pass through the cell membrane due to its lipophillic properties. Binding of cortisol to the GR complex in the cytoplasm causes dissociation of GR from the complex, resulting in an active GR monomer. Two GRs then dimerise to form a GR dimer. This can act as a transcription factor in itself by attaching to Glucocorticoid Binding Elements (GBE), or it can interact with other Hormone Binding Elements and transcription factors to initiate gene transcription. http://jimlund. org/blog/? m=200910] A rise in cortisol levels, alongside CRH, leads to adaptive changes in behaviour, cognition and immune function. Importantly, this rise is followed by a negative feedback loop of cortisol and CRH acting upon its o wn receptors (NC3R1 and CHR2, respectively) to shut down the HPA axis once the ‘threat’ has been resolved. This homeostatic mechanism terminates the production of any more CRH and therefore brings cortisol levels back to baseline (pre-stressor), vital for returning the individual back to a normal ‘resting’ state.It is this negative feedback mechanism which has been shown to be disrupted in patients with depression. Chronic Stress and Glucocorticoid Resistance In a situation of CMS, the prolonged activation of the HPA axis leads to abnormally elevated cortisol levels. However, chronically elevated cortisol can be dangerous, due to its role in suppressing the immune system and increasing vulnerability to infection. It is possible that in order to counteract the constant influx of circulating cortisol causing potentially unwanted downstream effects, GRs in lymphocytes become unresponsive or resistant to glucocorticoids.This dysfunction of GRs is typically seen in depressed patients and has been shown numerous times using the dexamethasone suppression test (DST). Dexamethasone (a synthetic glucocorticoid) mimics cortisol by binding to GRs and shutting down HPA activity in healthy controls. Therefore, dexamethasone-treated individuals have almost no detectable cortisol over the course of the following day. On the other hand, in depressed patients, the DST doesn’t show any significant repression of HPA activity.Whilst they already show significantly higher overall levels of cortisol, they also show reduced suppression of dexamethasone during the DST. This shows that the GRs are unresponsive to glucocorticoids, leading to the typical feature of glucocorticoid resistance in depressed patients. The Inflammation/Cytokine Hypothesis Glucocorticoid resistance has important implications for immune system function. Under normal acute stress, cortisol suppresses lymphocytes in peripheral tissue from producing pro-inflammatory cytokines by act ivating intracellular GRs and leading to transcription of downstream regulatory genes.Key targets of GR-mediated transcription related to immune function include the upregulation of anti-inflammatory genes annexin-1, IL-10 and I? B? (inhibits NF-? B) and down-regulation of pro-inflammatory cytokine genes, such as IL1-6, 9, 11-13, 16-18 and TNF-?. However, glucocorticoid resistance following chronic stress can mean that lymphocytes stop responding to cortisol, so there is an increase in the proliferation of leukocytes and production of pro-inflammatory cytokines.The proposed mechanism for how these peripherally-generated cytokines are able to affect the central nervous system (CNS) involves several pathways. These cytokines (IL-1? , TNF-? and IL-6) cannot typically diffuse across the blood-brain-barrier, but they can enter the CNS in regions of high BBB permeability or be actively transported across the BBB by endothelial cell transporters. Additionally, without crossing the BBB, cyt okines are able to activate endothelial cells to produce soluble factors (e. g.PG-E2) to indirectly activate neurons, as well as activating certain afferent neurons (e. g. the vagus nerve) that carry information to the CNS about the inflammation. In these ways, peripheral inflammation can cause typical changes in the CNS and ‘sickness behaviour’ seen in depressed patients: lethargy, anhedonia, reduced locomotor activity and sleep and weight disturbances. Support for this proposed mechanism comes from findings that clinically depressed patients show an abnormally high production of pro-inflammatory cytokines (IL-1? IL-6 and TNF-? ), cytokine-based immunotherapy often causes depression in cancer or hepatitis C patients and cytokine administration causes depressive behaviour in animal models. Reversal of this depressive behaviour can be seen by administration of anti-depressants, which target and reduce the inflammatory response in both patients and animal models. In a sim ilar fashion, anti-inflammatories such as cyclooxygenase (COX)-2 inhibitors or omega-3 have strong anti-depressant effects on behaviour. Inflammation-Induced NeurodegenerationAnother approach to modelling stress-induced depression has focused on the controversial findings of clinically depressed patients show changes in volume of structural brain regions, including the hippocampus, amygdala, anterior cingulated, prefrontal cortex and basal ganglia. The mechanisms by which some brain regions, in particular the hippocampus as implicated in stress-induced depression, might decrease in volume appear to be a combination of both neurodegeneration (increased apoptosis of neurons) and a decrease in adult neurogenesis in the subgranular zone of the dentate gyrus (DG).Stress-induced HPA hyper-activity may explain the atrophy seen in some brain regions of clinically depressed patients. Glucocorticoids stimulate the breakdown of tissue into glucose for the quick release of energy; therefore, ch ronically increased levels may result in brain tissue loss in regions where cortisol acts, such as the hippocampus. Furthermore, the link between stress, inflammation and an increase in oxidative stress may also explain a large portion of the neurodegeneration apparent in depression.Inflammation has been shown to increase oxidation and the fact that the CNS has no proper defence against oxidative damage makes it very vulnerable to oxidative stress (OS). This has been demonstrated as a key feature in neurodegenerative diseases and depression, implicating a causal role of stress-induced inflammation in triggering degeneration. The damage caused by OS can lead to mitochondrial dysfunction, which can lead to further intracellular build up of damaging oxidised proteins.The only way for cells to cope in this situation is to activate programmed cell death (apoptosis), or in less controlled circumstances, necrosis can occur, leading to a decline in cell numbers and lateral effects on the ne ural network. This mechanism of oxidative stress-induced neurodegeneration can be slowed down and treated by the application of antioxidant enzymes, which serve a neuro-protective role. These enzymes eradicate free radical oxidising particles and also suppress pro-inflammatory cytokine action.A further damaging feature seen in neurodegeneration and depression is nitrosative stress (NS), which may contribute to neurotoxicity and therefore cell death. An increase in the production of cortisol after acute stress will temporarily cause a suppression of neurogenesis in the DG. Neurogenesis in the DG has been demonstrated to be vital for healthy cognition and memory, impacting mood, the sleep-wake cycle and appetite; all affected in depression. Therefore, CMS leads to prolonged suppression of neurogenesis and may explain the behavioural outcomes typical of depression.The decrease in neurogenesis following exposure to stress may possibly involve the neurotrophin Brain Derived Neurotrophic Factor (BDNF), shown to be greatly reduced in regions that also show a decrease in neurogenesis and related to brain regions typically affected in depression. Animal models exposed to CMS show decreased neurogenesis and BDNF levels in overlapping brain regions and elicit depressive behaviours associated with dysfunction of these regions. Furthermore, anti-depressant treatment that successfully increases BDNF levels also leads to recovery from depressive behavioural symptoms.However, the causation here is not clear; whether the BDNF levels dropping are a result of other stress-induced mechanisms or whether it is partly the cause of the behaviour. Some evidence suggests that anti-depressants can work independently of BDNF restoration. Hagen and colleagues set out to control for possible variables such as age, time of cortisol readings and overall brain volume. Whilst there has been no robust evidence for a link between baseline cortisol levels and hippocampal volume, this study did fi nd that hippocampal volume was negatively correlated with length of depressive episode pre-hospitalisation.Furthermore, better responsiveness (lowering of cortisol levels) after treatment was predicted by greater hippocampal volume (relative to overall brain volume). b) antineurogenic effects and reduced brain-derived neurotrophic factor (BDNF) levels; and c) apoptosis with reduced levels of Bcl-2 and BAG1 (Bcl-2 associated athanogene 1), and increased levels of caspase-3. Stress-induced inflammation, e. g. increased IL-1? , but not reduced neurogenesis, is sufficient to cause depression. Antidepressants a) reduce peripheral and central inflammatory pathways by decreasing IL-1? TNF? and IL-6 levels; b) stimulate neuronal differentiation, synaptic plasticity, axonal growth and regeneration through stimulatory effects on the expression of different neurotrophic factors, e. g. trkB, the receptor for brain-derived neurotrophic factor; and c) attenuate apoptotic pathways by activating Bc l-2 and Bcl-xl proteins, and suppressing caspase-3. It is concluded that external stressors may provoke depression-like behaviours through activation of inflammatory, oxidative, apoptotic and antineurogenic mechanisms.The clinical efficacy of antidepressants may be ascribed to their ability to reverse these different pathways. Neuronal damage and apoptosis Activation of the Kynurenine Pathway (KP) 5-HT Accumulated evidence indicates a role of the hippocampal 5-hydroxy-tryptamine (5-HT) and neuropeptide Y (NPY) in the response to stress and modulation of depression, but it is unclear whether and how the hippocampal 5-HT and NPY systems make contributions to chronic unpredicted mild stress (CUMS)-induced depression.Here we observed that rats receiving a variety of chronic unpredictable mild stressors for 3 weeks showed a variety of depression-like behavioral changes, including a significant reduction in body weight, sucrose preference, and locomotion, rearing and grooming in open fiel d test, and a significant increase in immobility time in forced swimming test. These CUMS-induced behavioral changes were suppressed or blocked by intra-hippocampal injection of 5-HT (31. 25 microg/microl) or NPY (10 microg/microl). These data suggest a critical role of reduced hippocampal 5-HT and NPY neurotransmission in CUMS-induced depression.

Friday, November 8, 2019

Chicago essays

Chicago essays In 1890, Congress approved a World's Columbian Exposition in Chicago, to celebrate the 400th anniversary of the discovery of America. During the second half of the 19th century there were fairs and expositions held in London, Paris, and other great cities throughout the world. The World's Columbian Exposition, held in 1893, was the first significant and economically successful U.S. world's fair. In this paper I will discuss the history of the Columbian Exposition by analyzing and answering these important components. Why was it built? Who attended? What were the attractions? Finally, I will end with a discussion about the Nations connection to the rest of the world during the Columbian Exposition. In order to have a successful worlds fair you must find someone whom can make such a dream into a reality. Beginning in 1891, the Exposition's Chief Planner, Daniel Burnham and Chief Landscape Architect, Fredrick Olmstead, managed the design and construction. Olmstead chose marshy Jackson Park to create his visions. A group of well-known architects, including Henry Ives Cobb (Fish and fisheries building) Richard Morris Hunt (Administration building) Charles McKim- ( Agricultural building) George B. Post (Manufactures building) and Louis Sullivan (transportation building) Sophie Hayden (Woman's Building.) Other architects that took part include, W. L. B. Jenney (Horticultural Building) Peabody Planners selected a neo-classical architectural theme for the fair over the objections of the more original Chicago architects. Although two architects shunned the neo-classical style. Cobb the designer of the famo...

Wednesday, November 6, 2019

Free Essays on Double Talk

. Lutz argues that doublespeak is â€Å"Insidious because it can infect and ultimately destroy the function of language, which is communication between people and social groups.† Thus goes on to say, â€Å"Doublespeak is the product of clear thinking and is language carefully designed and constructed to appear to communicate when in fact it does not.† Lutz describes at least four kinds of doublespeak: euphemism, jargon, gobbledygook, and inflated. Euphemism is a word or phrase that is used to avoid a â€Å"harsh or distasteful reality.† For example, â€Å"I am sorry your father has passed away,† instead of, â€Å"I am sorry your father is dead.† Euphemism is used to protect one’s feelings of another person, and to communicate concern over the grieving person. When euphemism is used to mislead or deceive, it has now become doublespeak. For instance, the government does not use â€Å"killing† anymore, but â€Å"arbitrary deprivat ion of life.† Jargon is a specialized language of a certain profession. For example, doctors, lawyers, mechanics, etc†¦ all have a kind of code talk. Codes like jargon is used to communicate clearly, quickly, and efficiently. When a member of a certain profession uses jargon to communicate with a person of the outside group and knows that the person does not understand su... Free Essays on Double Talk Free Essays on Double Talk William D. Lutz’s article on â€Å"Language, Appearance, and Reality: Doublespeak in 1984,† is about the disguising of words to make sentences â€Å"more appropriate.† What I mean here by â€Å"more appropriate,† is the notion that people can say something using misleading words to get the real message across, without the listener or reader realizing it. Doublespeak in my point of view is like a magician doing a trick, for example he does his trick without the audience knowing how he does it. Same concept with a person using doublespeak, he gets his message across without his audience realizing what the true meaning behind his words. Lutz argues that doublespeak is â€Å"Insidious because it can infect and ultimately destroy the function of language, which is communication between people and social groups.† Thus goes on to say, â€Å"Doublespeak is the product of clear thinking and is language carefully designed and constructed to appear to communicate when in fact it does not.† Lutz describes at least four kinds of doublespeak: euphemism, jargon, gobbledygook, and inflated. Euphemism is a word or phrase that is used to avoid a â€Å"harsh or distasteful reality.† For example, â€Å"I am sorry your father has passed away,† instead of, â€Å"I am sorry your father is dead.† Euphemism is used to protect one’s feelings of another person, and to communicate concern over the grieving person. When euphemism is used to mislead or deceive, it has now become doublespeak. For instance, the government does not use â€Å"killing† anymore, but â€Å"arbitrary deprivat ion of life.† Jargon is a specialized language of a certain profession. For example, doctors, lawyers, mechanics, etc†¦ all have a kind of code talk. Codes like jargon is used to communicate clearly, quickly, and efficiently. When a member of a certain profession uses jargon to communicate with a person of the outside group and knows that the person does not understand su...

Monday, November 4, 2019

Pros of technology in society Term Paper Example | Topics and Well Written Essays - 2250 words

Pros of technology in society - Term Paper Example However, human have normal tendencies of failures and shortcomings due to imperfection and limitations. Legal and ethical aspects of computer technology were not able to keep up with the rapid race of technology, that tend to create social, legal and ethical concerns that considered important aspects of our lives. Even then, this paper will discuss that technology being weighed against its cons, is still considerably a blessing to human society. Technology: A Blessing Introduction The world’s lifestyles have always undergone change. Largely because technology has sparked a continuous revolution that had a profound effect on human society. What was innovative in yesterday is redundant today, and what is trendy today will be obsolete tomorrow. However, rapid changes on technology have a marked impact in the business world, medical advances, education field, and social life, as well. Imagine having at your fingertips a collection of literature that would rival some of the worldâ €™s greatest libraries. Imagine millions of articles and similar items from thousands of books, magazines, newspapers, and other works that would fit on your desk. Students and educators benefited a lot. Even medical researchers can assimilate updated information at a glance. Imagine the comfort and convenience of electronic emails to business entities. Aside from the convenience and comfort, this advancement on technology creates a productive human society. But despite of these benefits on advancing technology, legal and ethical aspects of the internet are not able to keep pace with rapid revolution of technology that tend to create social, legal and ethical concerns that deals with â€Å"protection of intellectual property, prevention of fraud, protection of freedom of expression versus problems of defamation, protection of privacy, control of internet indecency versus free speech, and control of spamming† (â€Å"Study Guide: Legal and Ethical Aspects†, n.d, intr oduction section, para.1). Likewise, an article entitled â€Å"Social and ethical issues in computer science†(n.d), described computer technology as a double-edged sword because of the technological issues on potential dilemma of loss of privacy and theft besides its significant industrial revolution (p.2). Absolutely, there is no perfect technology. Since, the rapid computer revolution has overtaken the development of legal and ethical aspects that supposed to guide the application of computer innovations, there are only few clear rules that govern ethical computer behavior. Therefore, Computer and Information Ethics, or computer ethics, in a more specific term, is being designated as the branch of applied ethics that studies and analyzes social and ethical impacts of information and communication technology, and may also refer to kind of professional ethics wherein computer professionals apply standards of good practice within their profession (Computer and Information ethi cs, 2008). However, despite the risk that technology offers, at present, the main thrust of research` seems to focus on continuous improvement of technology that is already available. Most often, successive steps in technology are revolutionary and bring improvements that are hundreds of times better. Technical Issues According to Stanford Encyclopedia of Philosophy (2008), American scholar Norbert Wiener was the founder of the new branch of applied science of â€Å"cybernetics† in the mid 1940s, which is now known to us as â€Å"

Saturday, November 2, 2019

Reflective Essay Example | Topics and Well Written Essays - 3000 words

Reflective - Essay Example The goal of the essay is reflecting on the learning experience in totality which will make me a comprehensively better practitioner. The nursing reflection in this case will be classified as a tool for importance in elemental learning. In its exclusion, it cannot be entirely expected to develop my clinical practice as I go into the previous situation which I gain the diversely relevant insights for ways in which approaching certain situations again is appropriate. Moreover, the effective form of learning does not overly occur in exclusion of reflection (Jasper 210). The initial comparison I will focus on making regards to neurological assessments. The physiotherapy assessments need to be clear logical processes of ensuring that findings for which there are both transferable and complete skills to others (Wheeler 28). For the placements, I sought to complete at least four comprehensive assessments on my own hence completing the concise objective and subjective investigations. In one o f the wards, I was expected to correctly complete such assessments while writing them up concisely and the feedback I got was that I had not reasoned clinically enough across the objective process that would later relay on the part of the treatment. From Florence Nightingale to the modern day form of nursing, it is inevitable to consider an escape for which nurses have while faced with challenges of being in a position of having a critical impact to the delivery and management of care. Such challenges continue changing across the years even though there is various factors which have insured that, all aspects ranging from the government level all the way to the ground work force coupled with the challenges are well managed and have a positive on change (Hendrick 201). This is based on the advanced of education in terms of having individuals wanting to implement such changes in place. In the long run, Florence was in a position of implementing changes while articulating and having the education of arguing the need for such changes with evidence and facts, across all levels. For today’s world, more pressure is towards nurses in delivering and managing total individualistic care for the ever fluctuating economic climates coupled with the role of nurses in going above and beyond the expectations of previous practice in cases where the wards could be ran by matriarchal matrons (Howatson-Jones 29). They passed their orders to the ‘sisters’ who later enforced them in the ward. The modern day nurses have become rather qualified autonomous professionals towards delivering care that also encompasses the fundamentals, evidence based theory, health promotion, intuition, interdisciplinary working, ethical practice, advocacy, self awareness, autonomy as well as legal frameworks. For this reason, it is through the clarity of the placement experiences for which there are various hours in a given shift for which nurses are able to provide the fundamental car e, liaise with doctors, referrals, observations, social workers, dressing changes, family members while other healthcare professionals as well as the patient themselves are able to include advocacy. For purposes of being in a position of doing this in an effective manner, I understand that nurses need to be skilled