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M.I.T Application for MBA Program †Example Essay

M.I.T Application for MBA Program †Example Essay Free Online Research Papers M.I.T Application for MBA Program Example Essay 1...

Wednesday, December 25, 2019

Death Penalty for Juveniles

In 2005, he U.S. Supreme Court voted 5-4 to outlaw the death penalty for juveniles who were under the age of 18 at the time of the crimes, calling the execution of children unconstitutionally cruel. Pros Those who favor keeping the death penalty for juveniles make the following arguments: State legislatures should determine whether or not juveniles should be executed for capital crimes, not the courts.Juries should determine the culpability of juveniles on a case-by-case basis, on the nature of the crime and the maturity level of the individual juvenile.In a society, which is experiencing an increase in violence by juveniles, banning the death penalty would remove a much-needed deterrent.What other countries do concerning executing juveniles should not be relevant to the courts consideration of what the United States Constitution demands. Cons Those who oppose the  death penalty for juveniles  make these  arguments:​ Executing children is immoral and uncivilized.Scientific research shows that juveniles are underdeveloped and immature, particularly in the areas of the brain that dictate reason, impulse  control, and decision-making, and therefore should not be held culpable.A high percentage of juveniles on death row have suffered from mental abuse, physical abuse,  sexual abuse, drug addiction, abandonment and severe poverty.The execution of juveniles is expressly forbidden in the International Covenant on Civil and Political Rights, the American Convention on Human Rights,  the Geneva Convention  Relative to the Protection of Civilian Persons in Time of War, and the United Nations Convention on the Rights of the Child.With the exception of Somalia, the United States is the only country in the world that still executes juveniles.

Tuesday, December 17, 2019

In Ralph Ellison’S Novel Invisible Man, Man Is Often Equated

In Ralph Ellison’s novel Invisible Man, man is often equated to a vital part of what constitutes a greater â€Å"machine.† The character of Invisible not only encounters figures who liken their efforts and sense of entrapment to working at the heart of a much larger apparatus, but he eventually finds that his own actions within organizations such as the Brotherhood also contribute to the whole of the machine’s operation. In such instances where the black man’s body becomes a functioning part that remains both confined and fixed in place, we witness how the machine becomes an interconnected symbol for the unwavering power of technology over man. The machine also tends to represent how societal divisions can generate a growing disinterest in†¦show more content†¦Broadnax in the dream and Mr. Norton in reality are behaving with the same intentions, especially since Mr. Norton persuades Jim to tell the story and even ends up paying him. In a way, Jim is being encouraged to participate in the stereotype of the uncontrollable black man whose sexual desires must be tamed. The mechanical clock in the dream is what keeps Jim confined to a negative stereotype, a stereotype which allows whites to maintain their systemic notion that black men are inherently dangerous creatures who must be kept on the outskirts of society. Thus, Mr. Norton’s payment is only working to sustain Jim as a part of the white man’s exploitative system. Jim’s attempt to run toward and away from the clock, or what we can establish as the working system, harks back to an earlier dream sequence in the novel where the narrator opens a series of envelopes, the last one containing a document reading, â€Å"Keep This Nigger-Boy Running.† (33). When thought of in the same context as the machine, the narrator is now understood as yet another black man whom the system can keep running in his place. Unfortunately, his failure to recognize white power’s perpetuation of the stereotypical black man through a machine is

Monday, December 9, 2019

Tourism Transport and Development for Destination- myassignmenthelp

Question: Discuss about theTourism Transport and Development for Destination Success. Answer: Transportation link to Tourism and Destination success Transportation is regarded as an important part of the Tourism industry. Transportation connects the tourists with the other tourist destinations. In many parts of the world, the tourism is not up to the mark when compared to the countrys natural heritage(Murphy, 2013). One of the main reasons behind this decline is that the poor growth of the development of tourism. Transportation, which is needed for the promotion of tourism and development is the maintenance of the roads, construction of more air transportations, rail tracks and roads. The proper construction of local airports and operations of local flight are also needed to be done properly. Tourism sector can grow bigger, if more betterment could be done to the transportation system (Murphy, 2013). In the sphere of economic system, tourism sector is considered important. In this respect, it is impossible to think the development of tourism without the proper transportation sectors. Whether role played by transportation is enriching the sector of tourism ultimately depends upon the efficiency of transportation (Cooper, 2013). Transportation can transform into an important attraction for tourists such as cruising, low cost flights, trips on boats and so forth. These are the major examples for the attractions of tourists for the several destinations, which gives tourists the comfort, security, benefits and competition (Hall Page, 2012). The important forms of transportation in Singapore are Air transportation, which is an important form of transportation and it is increasing every day. Sea transportation is another means of transportation in Singapore, which provides tourists with the travel opportunities. These are the important means of transportation for tourism in Singapore (Duval, 2013). The Singapores services of bus and the availability of MRT and LRT trains are available for the particular duration The primary aspect for the tourist destination is the environment, cleanliness, unique appearances and beauty which are the main components of the places environment and each of them is important for creating the perfect appearances. In Singapore, in order to make a successful destination, the transportation plays a vital role, which carries tourists to their wishful destinations. It is being an important form of tourism by providing connections both internationally and domestically (Duval, 2013). The location, efficiency and connectivity of transport plays an important role while providing connection to the destination, which develops. At the same time, the increasing number of travelers creates a number of challenges in the context of infrastructure of transports and inters operability of the technologies with the providers of tourism services. As the nature of tourism developing gradually, it is leaving an impact on the types of destinations and the activities are linked to more t ravels. The system of transportation and services are the heart for the attraction of tourists. The companies such as travel management especially in the sector of travel are trying to put forward the smart travels in order to patch up with the sustainability and the satisfaction of customers. This concept incorporates the promotion solutions through video conferencing or decreasing the levels of the stress of traveling. Reducing Impact of tourism transport on environment In Singapore, the transport by the means of air, road is on rise in response to the increasing number that reported that the worldwide passengers rose to more than 88 million. On this increasing of tourism is also leaving a deep impact on the air transport and water transport. The tourism is accounted for 60% of the population of air travel, which is responsible for the share of the emissions in air (Buckley, 2012). Mainly the air pollution from the transportation of tourists are leaving an impact on the global sites, leading to the increase of global warming. Noise pollution from the different transport system such as vehicles, jet skies are the problems for the modern life as well. This in turn leads to the stress out of annoyance and the loss of hearing of the humans (Newsome, Moore Dowling, 2012). Therefore, by keeping these important issues in mind, it is important to take into account the important aspects, which are needed to reduce the pollution in the air as well as the who le in context of the impact of terrorism on the environment. The bus operators are needed to be encouraged in order to reduce the impact of the operations of bus on the quality of air, particularly inspiring the drivers to introduce a type of vehicles having the standard emissions. Measures are needed to be taken to encourage the service operators based on subsidized operators of service where the drivers are required to switch off their engines whenever they are stopped for at least 1 minute. These policies are proved to be effective in Singapore in terms of minimizing the emissions from the subsidized services (Newsome, Moore Dowling, 2012). Noise, is another form of causing trouble in the transportation system and it depends upon the using heavier vehicles for the purpose of tourism. Singapore transport provides a double glazing which can provide an alternative ventilation. In some cases, the amount of noise can be diminished by changing the characteristics of the flight and road surfaces, by removing the defects of the road surfaces. A great deal of potentiality while creating a greater quality of environments of streets which is providing the car parking. Another important step that can be taken is the Environmental auditing and transportation of tourism. It is where the environment auditing is a voluntary exercise where the operators of the tourist transport contract the services of tourism that undertakes to assess that the ways their activities affect the environment and the ways, they can reduce the impact by creating modifications to the existing practices to the business (Glasson, Therivel Chadwick, 2013). It has a stage of consideration, formulation, implementation and decision. In the consideration stage, the legislation and the capacity of the issues regarding environment are considered. In the stage of formulation, the policy of environment is developed. In the stage of implementation, both proposed activities are needed to be taken into consideration. In the decision making stage, the operations of transport are either being modified or left unchanged in pursuit of the environmental policy. Tourism Transport challenges in Singapore In the year 1965, Singapore is facing the transition towards urbanization, initially Singapore faced in terms of driving skills, infrastructure which is vital for the growth of economy (Larsen Guiver, 2013). The growth of economy gives birth to the opportunities giving access to increase the load of infrastructure, which is demanding an effective mode of transportation. If this issue is not addressed, this would further lead to the decline of economic growth. Singapore is still going through the phases of urbanization. The future of the tourism transport is gradually becoming critical. With the rise of population and the development of tourism, there would be an increase in the transport system in proportionate ways. This would give birth to the pressure on the transportation and the demand of the population. The increasing rate of transportation would include various problems such as transportation of public and development of the proper roadways for the tourism transportation. However, with the increase in population and the growth of tourism in Singapore, the various problems are being faced by the developing cities (Meng Pham, 2013). The first approach is to solve the problems of traffic with the size of roads and the inculcation of the number of lanes. However, with the growth of tourism, the increasing number of lanes cannot be accommodates with the volumes of project of traffic. The availability of the geographical locations is one of the biggest challenges. The low cost airlines are also c hanging its target market for the higher income tourists, which is as well affecting the tourism industry, specially the people who cannot afford much. At the same time, the continuous rise of fuel also would impact on the demand for the tourism sector in Singapore (Meng Pham, 2013). In order to address these issues, Singapore needs to think of arranging some local summits between the eminent hotels, restaurants, the components of tourism such as cities. Singapore is looking forward to meet these challenges arising in the transportation system. Singapore is managing the pollution made by the cars and the demands for the usages of roads in terms of visiting local sites in Singapore is being done through the implementation of the various types of schemes such as Electronic pricing of road, Quota system of vehicle and the certificate of entitlement. Since the proper implementation of Vehicle Quota System (VQS), the growth of the population caused by the road vehicles was reduced to 3% since the year 2009 (Teo Chang, 2012). Singapore in the year 2013, has introduced transport system on water which is limited to the along the river of Singapore known as River taxi. The river Taxi do not causes pollution much and it is quite healthier for the environment. To meet the demand of the growth of tourism in Singapore, the Tourist pass of Singapore offers an unlimited passes to tourist on the public transport to Singapore. Singapore is also thinking about increasing the low cost airlines, which would meet the demands of the tourist and can fly to Singapore at a cheaper rate (Teo Chang, 2012).b References Buckley, R. (2012). Sustainable tourism: Research and reality.Annals of Tourism Research,39(2), 528-546. Cooper, C. (2013).Essentials of tourism. Pearson Higher Ed. Duval, D. T. (2013). Critical issues in air transport and tourism.Tourism Geographies,15(3), 494-510. Glasson, J., Therivel, R., Chadwick, A. (2013).Introduction to environmental impact assessment. Routledge. Hall, C. M., Page, S. (2012).Tourism in south and southeast Asia. Routledge. Larsen, G. R., Guiver, J. W. (2013). Understanding tourists perceptions of distance: a key to reducing the environmental impacts of tourism mobility.Journal of Sustainable Tourism,21(7), 968-981. Meng, X., Siriwardana, M., Pham, T. (2013). A CGE assessment of Singapore's tourism policies.Tourism Management,34, 25-36. Murphy, P. E. (2013).Tourism: A community approach (RLE Tourism). Routledge. Newsome, D., Moore, S. A., Dowling, R. K. (2012).Natural area tourism: Ecology, impacts and management (Vol. 58). Channel view publications. Teo, P., Chang, T. C. (2012). Singapore: tourism development in.Tourism in south and southeast Asia, 117.

Monday, December 2, 2019

Symmetric Asymmetric algorithms

Introduction Algorithm is a field of study mainly found in either mathematics or computer science disciplines. In fact, it is an efficient technique, which takes the form of a finite list comprising of distinct instructions for conniving a function. In most cases, experts use algorithms to perform a number of roles such as data processing, automated reasoning and even calculating functions.Advertising We will write a custom essay sample on Symmetric Asymmetric algorithms specifically for you for only $16.05 $11/page Learn More In other words, algorithm is a bit by bit process, which enables qw986c to perform calculations. This brings us to the concept of encryption, which is mainly a method of converting data into a form (ciphertext) through complex mathematical processes. Consequently, encryption results into a definite set of data mainly composed of bits or binary numbers. This means that the key with maximum number of bits will have plethora binary n umber combinations, which decreases the chances of breaking the code. There are two notable types of encryption algorithm: symmetric encryption and asymmetric encryption (Encryption, 2011, p.1). Symmetric algorithm Of the two, symmetric encryption appears to be the ancient and widely used by many people. It normally involves the use of a secret key unlike asymmetric encryption, which uses a public key. The secret key can take a number of forms, for example, it can be just a letter, a number, or just a word like â€Å"word† itself. In other instances, the programmer can choose a set of random numbers to be the secret key. Overall, the main role of a secret key is to change a particular text message into another form by altering the content. Normally, this technique is not complex as compared to asymmetric algorithm. For instance, in realigning a text, one can decide to shift every single letter by assigning it new places within the alphabet. It is important to note that since the key is secret, both the sender and the receiver of the text should be conversant with the key. This means that both the sender and receiver can either encrypt or decrypt any message or information that utilizes the secret key. In other words, the key that encrypts the message is the same again that decrypts the same message (Cobbs, 2011, p.1). Strengths of symmetric algorithm Symmetric algorithm is fast compared to asymmetric algorithm. Of course, the main advantage with symmetric algorithm is that it does not devour too much computing power hence, making it the most preferred. Some common examples include BLOWFISH, Triple-DES and IDEA among others.Advertising Looking for essay on math statistics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Vulnerabilities of symmetric algorithm Although being the preferred algorithm, symmetric algorithm has its own disadvantages. For instance, it is quite easier to break symmetric encryption using e ither brute force or cryptanalysis. In brute force attack, the attacker employs several possibilities to decode the ciphertext into a plaintext. It is imperative to not that brute force attack can decipher any software. Therefore, it is important to have the highest number of keys to limit the chances of cracking the software using this method. On the other hand, cryptanalysis is a form of attack where the attacker targets the characters of the algorithm to construe an explicit plaintext or key in use. Another vulnerability of symmetric algorithms is that is comprises of some weak passwords meant to enable the recipient to read the information. Once a third party other than the recipient and sender knows the password, the algorithm becomes useless. Thus, the sender and receiver ought to keep top secrecy of the secret key to prevent outsiders from encrypting or decrypting data. Additionally, if one forgets the password, then it is impossible to decrypt the encrypted data. Otherwise, strong passwords always protect software form attack and it is advisable to store a backup copy or change the secret key regularly (Kurt, 2000, p.1). Asymmetric algorithm Also known as, public key algorithm, asymmetric algorithm is a method of encryption algorithm that employs a different key of encryption from that of decryption. The two keys are unique in that one cannot derive decryption key from the encryption key. While the encryption key is public, the decryption key is private and only the receiver of the message is able to decrypt it. In other words, the public that has the same software can send messages using the public key but only those with the private key can read the message (Christof Jan, 2009, pp.3-7). Strengths of asymmetric algorithm Widely used in the electronic commerce industry (e.g. RSA asymmetric algorithm for SSL), asymmetric algorithm provides sufficient security as there is neither the sharing of the secret key nor the use of advanced executions.Advertisi ng We will write a custom essay sample on Symmetric Asymmetric algorithms specifically for you for only $16.05 $11/page Learn More Thus, there is minimal risk of third parties knowing the secret key and decrypting data. Additionally, the interdependency of the two key, that is, one for encrypting the message and the other for decrypting the same message is paramount in creating additional features such as digital signatures which not only guarantees the security of the message, but also, the authenticity or remote systems. However, as compared to symmetric algorithm, asymmetric algorithm is slower since, data encryption normally involves the process of symmetric algorithm, and then using RSA, the short symmetric key is encrypted, thus, allowing the sending of decryption key to other parties together with the symmetrically encrypted data securely (Jevons, 1985, pp. 141-148). Asymmetric algorithm vulnerabilities Although this method is resistant to brute force attack, it is not lost that it enjoys security. For instance, the man-in-the-middle attack can tamper with the security of this type of algorithm by intercepting and altering the public keys when communication is in progress. Nevertheless, as compared to symmetric algorithm, asymmetric algorithm is more resistant to security breach, and in addition, it warrants integrity and authentication (Public key cryptography, 2011, p.1). Reference List Christof, P. Jan P. (2009). Introduction to Public-Key Cryptography. New York: Springer. Cobbs, M. (2011). What are the differences between symmetric and asymmetric encryption algorithms? Web. Encryption. (2011). Web.Advertising Looking for essay on math statistics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Jevons, W. (1985). The Principles of Science: A Treatise on Logic and Scientific  Method. New York: Dover Publications. Kurt, G. (2000). Symmetric vs. asymmetric algorithms. Web. Public key cryptography. (2011). Web. This essay on Symmetric Asymmetric algorithms was written and submitted by user Julianne Kirk to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Tuesday, November 26, 2019

Something to Remember You By

Something to Remember You A lock of hair might be fitting (albeit obsolete, overly sentimental, and just plain weird.) A wallet photo maybe? Awkward. So what could you possibly give an editor or agent at a conference to help them remember you or your project once they shuffle back into their office the following Monday? I’ll tell you: The author one sheet. I recently attended a writer’s conference in which I was scheduled to pitch my new novel. To better my odds, I researched book pitches, and discovered the one sheet – a single-paged marketing document, aka author one sheet or pitch sheet, which describes a person, project, or concept. Brilliant! When one considers how many book pitches an editor or agent has endured, or how many queries and manuscripts they have likely slogged through in their career, the odds of an author or book standing out – being remembered – are not great. Anything you can get into an agent’s hands to take back with them from a conference will help, other than handing them your complete manuscript, of course. You’d never bring a manuscript to a conference, right? Everything you’ve ever read and heard has stated unequivocally not to. (Admit it – you brought it anyway.) Some one sheets are more elaborate, including word count, genre, endorsements, and agent name and contact info – designed more for promoting already-published works. Or you could opt for one more basic, including only information that one would find on a back cover of a novel. I chose the latter, since I was seeking publication. At the very least, your one sheet should include: Book title Logline/hook – One sentence that describes the concept of your book, and gets their attention. (My entire novel was easier to write.) Blurb – Short 3-4 sentence paragraph that describes your book and defines genre/audience. Who is the protagonist, what do they want, what’s in their way, and most of all, what makes your story unique? Think â€Å"back cover.† Author

Saturday, November 23, 2019

The English Language as Spoken in Pakistan

The English Language as Spoken in Pakistan In the country of Pakistan, English is a co-official language with Urdu. Linguist Tom McArthur reports that English is used as a second language by a national minority of c.3 million in a population of c.133 million (The Oxford Guide to World English, 2002). The slang term Pinglish is sometimes used as an informal (and often unflattering) synonym for Pakistani English. Examples and Observations: English in PakistanPakistani Englishshares the broad characteristics of South Asian English in general and is similar to that spoken in contiguous regions of northern India. As in many former British colonies, English first enjoyed the status of an official language alongside Urdu after independence in 1947...The grammatical features . . . [of] Indian English are largely shared by Pakistani English. Interference stemming from background languages is common and switching between these languages and English occurs frequently on all levels of society.Vocabulary. As might be expected, loans from the various indigenous languages of Pakistan are to be found in local forms of English, e.g. atta flour, ziarat religious place....There are also word formations consisting of hybrids and blends with inflectional elements from English and stems from regional languages, e.g. goondaism hooliganism, thuggish behaviour, biradarism favouring ones clan.Still further word-formation processes are atteste d in Pakistani English with outcomes which are not necessarily known outside this country. Back-formation: to scrute from scrutiny; blends: telemoot from television and moot meeting; conversion: to aircraft, to arson, to change sheet; compounds: to airdash depart quickly by air, to head-carry.(Raymond Hickey, South Asian Englishes. Legacies of Colonial English: Studies in Transported Dialects, ed. by Raymond Hickey. Cambridge University Press, 2004) SubvarietiesLinguists generally describe the three or four subvarieties [of Pakistani English] in terms of proximity to the British Standard: the samples most distant from itand any other varietyare often regarded as genuinely Pakistani. American English, which has gradually infiltrated the spoken and written idiom, is discounted in most studies.(Alamgir Hashmi, Language [Pakistan]. Encyclopedia of Post-Colonial Literatures in English, 2nd ed., edited by Eugene Benson and L.W. Conolly. Routledge, 2005)The Importance of English in PakistanEnglish is . . . an important medium in a number of key educational institutions, is the main language of technology and international business, has a major presence in the media, and is a key means of communication among a national elite. The constitution and the laws of the land are codified in English.(Tom McArthur, The Oxford Guide to World English. Oxford University Press, 2002)English and Urdu in PakistanIn some ways, I have a lover’s qu arrel with the English language. I live with it and I cherish this relationship. But there is often this feeling that in preserving this bond, I have betrayed my first love and my childhood’s passionUrdu. And it is not possible to be equally faithful to both of them. . . .A bit subversive it may be deemed but my contention [is] that English is . . . a barrier to our progress because it reinforces class division and undermines the main purpose of education as an equaliser. In fact, the domination of English in our society may also have contributed to the growth of religious militancy in the country. Whether English should be our official language, in spite of its value as a means of communication with the rest of the world, is surely a major issue . . ..At the heart of all this discussion, of course, is education in all its dimensions. The rulers, supposedly, are very serious about it. Their challenge is to realise the slogan of ‘education for all.’ But, as the â €˜policy dialogue’ would suggest, it should not just be education for all but quality education for all so that we can truly be liberated. Where do English and Urdu belong in this venture?(Ghazi Salahuddin, Between Two Languages. The International News, March 30, 2014) Code Switching: English and Urdu[T]he use of English words in Urducode switching for linguistsis not an indication of not knowing the two languages. If anything, it may be an indication of knowing both languages. First, one switches code for many reasons, not just lack of control of languages. Indeed, code switching has always been going on whenever two or more languages have come in contact. . .People who do research on code switching point out that people do it to emphasize certain aspects of identity; to show informality; to show easy command of several languages and to impress and dominate others. Depending on the situation, one can be humble, friendly, arrogant or snobbish through the way one mixes languages. Of course, it is also true that one may know so little English that one cannot manage to sustain a conversation in it and has to fall back upon Urdu. That might well be the case but that is not the only reason for code switching. And if someone does not know English and fal ls back upon Urdu, then he or she knows Urdu best. It is still untrue to argue that this person does not know any language. Not knowing literary Urdu is one thing; not knowing the spoken language quite another.(Dr. Tariq Rahman, Mixing Languages. The Express Tribune, March 30, 2014) Pronunciation in Pinglish[S]oftware designer Adil Najam . . . took time to define Pinglish, which according to him, emerges when English words are mixed with words of a Pakistani languageusually, but not solely, Urdu.Pinglish is not just getting the construction of the sentences wrong, but also about pronunciation.Many Pakistanis often have trouble when two consonants appear together without a vowel in between. The word school is often mispronounced as either sakool or iskool, depending on whether your native tongue is Punjabi or Urdu, pointed out blogger Riaz Haq.Commonplace words such as automatic is aatucmatuc in Pinglish, while genuine is geniean and current is krunt. Some words also take a plural form such as roadien for roads, exceptionein for exception and classein for classes.(Get Set for Pakistani English or ‘Pinglish. The Indian Express, July 15, 2008)

Thursday, November 21, 2019

Developing a Health Advocacy Campaign Assignment

Developing a Health Advocacy Campaign - Assignment Example Driving while drunk or intoxicated is very dangerous because the risk of car accidents increase significantly when a person has a high level of alcoholic content in his/her blood. A large number of vehicular deaths and injuries occur annually in the United States because of drunk driving. It is due to this reason that the government of the United States has taken some prevention measures in collaboration with the state governments and different not-for-profit organizations to decrease the number of incidents associated with drunk driving. â€Å"In 2013, the rate of alcohol-impaired driving fatalities per 100,000 population was 3.2, representing a 65% decrease since 1982, when record keeping began† (Foundation for Advancing Alcohol Responsibility [FAAR], 2015). Although there has been a great decrease in the number of such casualties for the last two decades, but a lot more still needs to be done to prevent drunk-driving based road accidents. The purpose of this paper is to propose a drunk driving prevention policy based on the review of some existing prevention programs and laws surrounding this public health issue. The paper also includes discussion on the challenges associated with the proposed policy and the ways to overcome those challenges to make the proposed policy applicable in all respects. The people that are more prone to drunk driving include those between 21 to 35 years of age. Therefore, the targeted population for this paper includes adults of the above-mentioned age group. Some of the ways that can be used to reduce the severity of this public health issue include revoking or suspending driver licenses, establishing DWI courts, confiscating or impounding vehicle plates, immobilizing vehicles, increasing fines and incarceration for drunk driving (Hanson, n.d.). Along with all these measures, the most important step that needs to be taken at the government and nursing organizations level is

Tuesday, November 19, 2019

The E-Trade Baby Essay Example | Topics and Well Written Essays - 500 words

The E-Trade Baby - Essay Example In order to identify the rhetorical strengths and weaknesses of the E-Trade Baby commercials, their ethos, logos, and pathos should be examined. Ethos implies the personality and trustworthiness of the speaker associated with the argument. Ethos raises issues of ethics and confidence between the speaker and the audience. In terms of ethos, the E-Trade Baby ads are quite effective in drawing out the interest of the audience by using an ‘infantile’ personality that normally appeals to the emotion of audiences. In terms of integrity, the ads are also successful since the babies’ ‘voices’ are from trusted people in the finance and investment industry. The E-Trade Baby simply used the attractive and adorable personalities of the babies to convey its reliable messages about financing and investing. The ads successfully identified with their audiences and their argument. They also appeal to the sense of necessity of the audiences by building a whole new real m of investing, or also referred to as electronic trading. Logos denotes the application of numbers, statistics, reason, and logic. Quite frequently, logos appears concrete and material, far more tangible and ‘real’ compared to other rhetorical techniques that it does not appear an advertisement approach at all. In terms of logos, the E-Trade Baby ads are quite illogical since it is commonsensical knowledge that babies cannot talk in the way they are portrayed in the ads making the entire endeavor weak within the domain of logos. But in terms of the presentation of statistics and facts, the ads have been concise and straight to the point. Pathos appeals to the emotions of audiences. The E-Trade Baby ads try to appeal to the emotions of love, compassion, affection, sympathy, and happiness. They successfully used an emotional appeal by identifying with the sense of their audience. The ads did not abuse any ethical or emotional appeal since

Sunday, November 17, 2019

The purpose of Johns Gospel Essay Example for Free

The purpose of Johns Gospel Essay To tell the truths about Jesus rather than recount the facts of his life. Critically examine and evaluate this claim concerning the purpose of the author of the Fourth Gospel. There are several alternative views about the purpose of Johns Gospel. I plan to examine the view that it was written to tell truths about Jesus, and discuss its likelihood within the context of some of the other theories. In order to assess this view of the gospels purpose, it is necessary to discuss for whom John was writing, as his purpose will hinge upon his audience. If he was writing so his audience could see and have faith in Jesus then he may well have been writing for unbelievers. Karl Bornhauer has proposed that the gospel was written as a straightforward missionary tract for unbelieving Jews. Only Jews, he claims, would have understood the document, because it is preoccupied with Jewish matters and omits any reference to the institution of the Christian rites of Baptism and the Lords Supper. In its final edition, the gospel was written in Greek, possibly because this is what Hellenistic Jews spoke. On these grounds, the gospel was written to convince Jews of the Christian claim that Jesus is the Messiah. Robinson agrees with this view but Smalley thinks that by the time this gospel was written, the Christian mission to Israel was largely over. The Jews featured in the gospel are Jesus enemies, not potential Christians while some believe in him (12:11) the majority are responsible for his death. Johns attitude to them would therefore have been polemical not missionary. This seems like a relevant view, also, because it is doubtful that John would have succeeding in converting these Jews by casting them into the role of Jesus enemies; he would merely have alienated them. Therefore I do not believe Johns Gospel was written to convert unbelieving Jews. Another theory, from Raymond Brown, is that John was addressing Diaspora Jewish-Christians; Greek speaking Jews already converted to Christianity, or those torn between their faith in Jesus and their loyalty to Judaism. They were mistrusted and seen as subversive to the law, and attempts were made to exclude them from the synagogue. The polemic against Jews would not apply to them, and the authors emphasis on Jesus as the Messiah and as the fulfilment of all the Jewish feasts and institutions would be a strength to their faith if they were allowed to remain in the synagogue, and an encouragement to them if they were forced to withdraw. There are three references to being put out of the synagogue in Johns Gospel, and two instances of those who overcame their fear of the Jews, and even at risk of expulsion from the synagogue, publicly acknowledged Jesus (the blind man, and Joseph of Arimathea). Jesus is also portrayed positively, attending festivals. Brown concludes that John is inviting Jewish-Christians in the synagogues of the Diaspora to follow the example of such people. However, despite the fact there is internal evidence to support this, it is unlikely these were the sole intended recipients. Smalley suggests that the gospel could also have been written for Christians, to challenge their faith, to encourage their belief and to help them grow into the Christian way of life. There is nothing exclusive about the gospel; its perspective is infinitely wide, and it may well have been intended for all Christians everywhere. It is, however, also possible that John was writing for a particular group around him, because his gospel was originally anchored in a real life situation which helped to shape its tradition, and caused its publication. Smalley thinks the Johannine church was made up of many disparate groups of people suffering under the Romans persecution. These groups included Judaisers, ex-heretics, ex Gnostics, those from Gentile and Jewish backgrounds and ex-pagans, but all were followers of the beloved disciple, and the purpose of writing a gospel for all of these people would be to reconcile them, and thus show the universality of Christianity. C H Dodd and C K Barrett are the two scholars most associated with the belief that John is a work of evangelism. The gospel itself states that it contains an evangelical purpose: so that you may believe Jesus is the Christ (20:31). Thus its main purpose would be to persuade people to grow in faith, (which is a different thing from belief). A discussion between Jesus and Thomas (20:26-28) seems to emphasise this Thomas sees because he believes. Jesus is saying that without actually seeing him on earth, faith is a spiritual perception. Thomas needs to see reality. This theme is running through the gospel, the light and dark imagery symbolising seeing faith, and demonstrating that Jesus is the light of the world and the source of eternal life. So, Smalley concludes that the gospel was written so that its readers could find out truths about Jesus and believe he is the life-giving Messiah (v 31). Dodd thinks the gospel is written in two parts, chapters 2 11 being the signs, and 12 20 b eing the passion. Thus Jesus is shown being glorified. It has been suggested that the gospel is a polemic or an apology, and according to Bultmann, one against the Baptist sect. Its main purpose would be to demonstrate the inferiority of John the Baptist to Jesus. John the Baptist is described only as a man sent from God (1:6) and his role is heavily played down in comparison with the synoptics Jesus, not John, is the light (1:8), the Baptist is neither the Christ nor the Elijah, but merely a crying voice (1:19-23), Jesus existed before John, and is greater (1:30), Jesus performed many signs, but John never worked a miracle (10:41). Only in this gospel does Jesus not get baptised. Therefore, the suggestion has been raised that Johns gospel was written to refute the claim of a Baptist group. Bultmann argues that the author of the gospel was a former Gnostic who had been part of a Baptist sect before becoming a Christian Gnosticism flourished in the 2nd Century and his disciples were given to Jesus. Smalley is very critical of this view, saying the only other evidence we have of a Baptist sect is in Acts 19, and this is debatable. Although it is possible there was a Baptist sect in the 3rd Century, this wasnt unusual judging by the other sects in existence e.g. Manichaeism and there is little evidence to suggest such a group created any real problem for the early Christian church. Furthermore, I do not think the author could have been meaning to downgrade John the Baptist, because he isnt mentioned very much the gospel is about Jesus. Another possibility is that the gospel is a polemic against heresy, in particular, against Gnosticism. Gnostic influences, or pre-Gnostic ideas, were brought to bear on the Christian gospel once it was carried from a Palestinian to a Graeco-Roman environment. We also know from Gnostic redeemer myths, in which deliverance from the lower world of matter is effected by a non-earthly, ideal, saviour figure and appropriated by knowledge, that such ideas when taken over by Christians involve a denial of the physical reality of Jesus in his life and death. Edwin Hoskyns argued the gospel was anti-Gnostic, as did E Scott, who thought John was basically a reinstatement of the Christian good news in Hellenistic terms. But he also found evidence that the author of John wrote to counteract heretical, Gnostic teachings he insists on the reality of Christs life, denies the Gnostic hierarchy of intermediate spiritual agencies, opposes the Gnostic idea that divine sonship is possible apart from t he Christ, avoids Gnostic watchwords, and so on. Barrett thinks John was writing whilst Gnosticism was developing; and essentially was trying to nip it in the bud before it really became successful (although Bultmann disagrees and thinks it was already established by c.100 AD). Gnostics, in general, think Jesus message is for an elite, and only some will get to Heaven. The author of John was clearly conscious of Gnosticism, and apparently not completely or directly critical of it he uses Gnostic imagery such as light and dark, heaven and earth, is sensitive to the importance of knowledge, and accepts a dualist framework for his theology of salvation. Bultmann believes that the author of John is actually a former Gnostic who is editing the sign source (which is the heart of the ministry), and that John uses a separate source from the synoptics, in which the signs do not feature. Bultmann thinks Gnosticism used the sign source too, but attached the redeemer myth to it. John is therefore editing out Gnostic influences, reclaiming the text this means that Gnosticism and John are similar, but the conclusion is different. So through using Gnostic ideas, John is actually showing that Christianity is universal. However, this to me does not hold much weight as an argument because the author has been so ambiguous he swings between supporting the Gnostic way of thought and opposing it. Had the author been writing a polemic, he would surely have left no doubt about his point. It has also been questioned whether John might have been trying to interpret or complement the synoptics, or perhaps going beyond them completely to write an ultimate gospel. Evidence for this is that it was part of Jewish tradition to write a commentary on something previous: Windisch and Lightfoot think it is an assumption to say that the author of Johns gospel used the synoptics as a source, (although John was written late, C 100 AD) and he might have used a non-synoptic sign source. Windisch thinks John was written, to supersede the synoptics, by a single author who must have known the gospel of Mark and other synoptic material. Windisch claimed John was autonomous and sufficient so might have been replacing them completely. Lightfoot developed this idea, but said that the synoptic gospels would have had too strong a position in church for Johns gospel to achieve this, and was only interpreting them, to draw out the significance of the original events. This was suggested long before by Clement of Alexandria, when he wrote of a spiritual gospel. I think the idea of interpretation is probably more likely than that of replacement, as John does not seem to be meant to be independent, but probably complements the synoptics. The title asks whether the purpose of Johns gospel was historicity or not. For a large part of history, it was not thought to be accurate in the modern historians sense, especially as St Clement of Alexandria referred to it as a spiritual gospel. Some events in John appear to occur in a different order to the synoptics, e.g. the last supper, which occurs at Passover in the synoptics but is first thing in John. But according to Lightfoot, the author was well aware of the historical truth lying at the heart of the Christian tradition, and even if he can sit lightly to subordinate aspects of his main historical subject, he may give us better guidance than the synoptics. Smalley has tried to answer the question by examining Acts: Martin Dibelius believes Acts is not historical at all, F F Bruce says it is a summary of history but a sanitised version. But why would an author write one factual gospel and one inaccurate gospel? Paul is the main character in Acts, and Pauls inaccurate writings seem to contradict. Galatians also mentions a missing journey to Arabia which Acts leaves out though according to Catchpole, this could have been because it wasnt successful. But Smalley points out that in Acts, the council of Jerusalem is mentioned, which isnt in Paul. This means Acts and Luke are probably not historical, so John could still be. Despite this, Schmeitzer has said that the only thing the gospel shows is that Jesus existed, not anything about him. I do not think this can be true judging by the apparent structure of the gospel. Smalley divided it up into four parts (the prologue, the ministry, the passion, and the epilogue). Guilding identified a two-year cycle within the narrative, although he thought it was a liturgy. However this does suggest history was important, or why would the author put the gospel into a historical context? The gospel has a clear time period, and mentions historical figures. Smalley identified that the author must have thought about structure as well, and said that the main purpose was to show who Jesus is (thus agreeing with the titles claim). Jesus performed miracles which C H Dodd called sign sources, and Smalley thinks that these, along with the discourses and the I am sayings, are meant to show the reader who Jesus actually is, and what his purpose is. None of these three things have a historical purpose, although John might be historically accurate, containing historical and geographical tracts. I could accept this view, as it allows for the miracles to be only literary devices, designed to show the role of Jesus. The gospel is certainly centred about Jesus, who seems to be acting as a pastor he cares about his people (as in Pauls letters). Smalley questions whether or not Johns Gospel contains the same kind of Kerygma as the rest of the New Testament writings. C H Dodd identified the Kerygma in early speeches of Peter in six different parts throughout Acts: 2:16-21, in which the Old Testament prophecy is fulfilled, 2:22-32 and 3:15, where it is stated that Jesus is from the Davidic line, 2:33-36 and 4:11, stating that Jesus is the lord, 2:33 and 2:38, in which the Holy Spirit is given, 3:20 and 10:42, where it proclaims that Jesus will return, and 2:38-40 and 3:19 which says man should repent their sins. In John, the Old Testament prophecy is fulfilled in John 1:1 and 1:14. 1:14 and 7:14 state that Jesus is from the Davidic line, 17:20-22 and 15:1-6 that Jesus is the lord, 20:21 that the Holy Spirit has been given, 6:39, 6:44, 14:3 that Jesus will return, and 20:31 that man should repent. C H Dodd thinks this Kerygma is in John, Peter and Paul. Smalley accepts it is there in John and Paul but thinks it is less developed. He also believes there is a significant difference between its presence in John and in Paul, because Jesus is supposed to be the second Adam in Paul, but John has a greater emphasis on surpassing Moses. He argues that the fourth gospel is much closer to the synoptics than to Paul, that Paul never saw the historical Jesus, only the risen Jesus, and is therefore incomplete. I would agree with Smalleys reasoning because in the Kerygma and in Paul there is little reference to Jesus historical life, so the purpose of the gospels might have been to put teachings of Jesus into a historical setting. In conclusion, it is impossible to be sure of the purpose of Johns Gospel, but it seems likely that the author wanted to communicate truths about Jesus, his role on earth, his divinity, etc. Smalleys views seem well supported by evidence, and I would agree that the gospel couldnt have been a purely historical account although it may well have a true frame of events. Surely spreading the good news about Jesus would be more important than relating everything he said and exactly as it happened. Robinson, who thought the gospel was written before the synoptics, said that historicity might have been a purpose, but not the main one. Most of those who think the synoptics came first will disagree and think Johns history is inaccurate, but as Brown as said, the accuracy is irrelevant, as the narrative frame is probably only there to strengthen teachings about Jesus.

Thursday, November 14, 2019

Aristotles Legacy in the Federalist Papers -- Federalist Papers Essay

Aristotle's Legacy in the Federalist Papers While the government of the United States owes its existence to the contents and careful thought behind the Constitution, some attention must be given to the contributions of a series of essays called the Federalist Papers towards this same institution. Espousing the virtues of equal representation, these documents also promote the ideals of competent representation for the populace and were instrumental in addressing opposition to the ratification of the Constitution during the fledgling years of the United States. With further reflection, the Federalists, as these essays are called, may in turn owe their existence, in terms of their intellectual underpinnings, to the writings of the philosopher and teacher, Aristotle. In 1789, the Confederation of the United States, faced with the very real threat of dissolution, found a renewed future with the ratification of the Constitution of the United States. This document created a structure upon which the citizens could build a future free of the unwanted pitfalls and hazards of tyrannies, dictatorship, or monarchies, while securing the best possible prospects for a good life. However, before the establishment of the new United States government, there was a period of dissent over the need for a strong centralized government. Furthermore, there was some belief that the new constitution failed to provide adequate protection for small businessmen and farmers and even less clear protection for fundamental human rights. To counter these and a variety of other arguments, statesmen Alexander Hamilton, James Madison, and John Jay composed a series of articles that would logically and critically address the grievances of those opposed to the... ...Federalist Papers: The House of Representatives," The New York Packet, No. 52, 1788. 6. Hamilton, Alexander and James Madison, "Federalist Papers: Method of Guarding Against the Encroachments of Any One Department of Government by Appealing to the People Through a Convention," The New York Packet, No. 49, 1788. 7. Aristotle, The Politics, Trans. Benjamin Jowett, Book 3, Part XV. http://classics.mit.edu/Aristotle/politics.html 8. Hamilton, Alexander and James Madison, "Federalist Papers: Method of Guarding Against the Encroachments of Any One Department of Government by Appealing to the People Through a Convention," The New York Packet, No. 49, 1788. 9. Hamilton, Alexander and James Madison, "Federalist Papers: The Structure of the Government Must Furnish the Proper Checks and Balances Between the Different Departments," The New York Packet, No. 51, 1788.

Tuesday, November 12, 2019

Journal of Consumer Behavior Essay

Consumer complaints and recovery through guaranteeing self-service technology NICHOLA ROBERTSON1*, LISA MCQUILKEN1 and JAY KANDAMPULLY2 1 Deakin University, 221 Burwood Highway, Burwood, Victoria 3125, Australia 2 Ohio State University, 266 Campbell Hall, 1787 Neil Avenue, Columbus, OH 43210, USA ABSTRACT Self-service technologies are shaping the future of consumer behaviour, yet consumers often experience service failure in this context. This conceptual paper focuses on self-service technology failure and recovery. A consumer perspective is taken. Recovering from self-service technology failure is fraught with difficulty, mainly because of the absence of service personnel. The aim of this paper is to present a theoretical framework and associated research propositions in respect to the positive role that service guarantees can play in the context of self-service technology failure and recovery. It contributes to the consumer behaviour domain by unifying the theory pertaining to consumer complaint behaviour, service recovery, specifically consumers’ perceptions of justice, and service guarantees, which are set in a distinctive self-service technology context. It is advanced that service guarantees, specifically multiple attribute-specific guarantees, are associated with consumer voice complaints following self-service technology failure, which is contingent on the attribution of blame in the light of consumers’ production role. Service guarantees are argued to be associated with consumers’ perceptions of just recovery in the selfservice technology context when they promise to fix the problem, compensate only when the problem cannot be remedied, offer a choice of compensation that is contingent on failure severity, afford ease of invocation and collection, and provide a personalised response to failures. Previous classifications of SSTs are used to highlight the applicability of guarantees for different types of SSTs. Managerial implications based on the theoretical framework are presented, along with future research directions. Copyright  © 2011 John Wiley & Sons, Ltd. INTRODUCTION The growing application of technology in services has  transformed the way that organisations interact with consumers (Liljander et al., 2006). Self-service technologies (SSTs) are technological interfaces that enable consumers to generate benefits for themselves, without the presence of the organisation’s personnel (Meuter et al., 2000). They enable consumers to take an active role in the production of their service experience. As SSTs are a major force shaping consumer behaviour (Beatson et al., 2006), the implications for both consumers and organisations need to be considered. The failure of SSTs is commonplace (Forbes, 2008; Robertson and Shaw, 2009). SST failure, or consumers’ perception that one or more aspects of SST delivery have not met their expectations, is attributed to poor service and failing technology (Meuter et al., 2000). Failures are inevitable with all services, especially SSTs that introduce new types of failures, such as consumer failures (Forbes, 2008; Meuter et al., 2000). However, SST recovery, e.g., fixing the problem and providing compensation, is generally reported to be poor (Forbes, 2008). While consumers demand a superior response to SST failure, complaints are largely ineffectively handled in this context (Collier and Bienstock, 2006). This is despite the fact that SST failure intensifies the need for recovery because consumers are often remote from service personnel (Collier and Bienstock, 2006). SST providers have ignored consumers, denied responsibility for failure, blamed consumers for the problem, *Correspondence to: Nichola Robertson, Deakin University, 221 Burwood Highway, Burwood, Victoria 3125, Australia. E-mail: nichola.robertson@deakin.edu.au  and provided a generic complaint response (Forbes, 2008; Holloway and Beatty, 2003). Unsurprisingly, consumers might not bother voicing because they believe that it will be useless (Holloway and Beatty, 2003; Snellman and Vihtkari, 2003). If consumers are dissatisfied with an SST encounter and service recovery is perceived to be inept, they will switch and/or spread negative word of mouth and/or mouse (Collier and Bienstock, 2006; Dong et al., 2008; Harris et al., 2006a). In the interpersonal service context, it has been argued, albeit rarely, that service guarantees, or explicit promises made by organisations to deliver a certain level of service to satisfy consumers and to remunerate them if the service fails (Hogreve and Gremler, 2009), are an effective recovery tool (Bjà ¶rlin-Lidà ©n and Skà ¥là ©n,  2003; Kashyap, 2001; McColl et al., 2005). In a recovery encounter, service guarantees have been found to provide benefits, such as reducing consumer dissatisfaction, negative word of mouth, and switching (Wirtz, 1998). We argue that in the context of SST failure, service guarantees could act as a surrogate for service personnel who, in the interpersonal service context, encourage consumer complaints and facilitate recovery. Following our extensive review of service guarantees employed in the SST context, it was revealed that guarantees are uncommon in practice for non-Internet SSTs, such as kiosks and interactive voice response (IVR). However, in the Internet context, they appear to be more widespread. For example, guarantees are often used in the context of online banking, where online security, in particular, is guaranteed. They are also prevalent in the hotel context, typically in the form of online price matching guarantees. Therefore, the ‘real-life’ examples of SST guarantees provided throughout this paper are skewed toward Internet SSTs. However, in  N. Robertson et al. guarantees also have the ability to enhance consumers’ perceptions of fairness following failure. SST guarantees indicate justice in a context that is mostly devoid of interpersonal and other external cues, thereby encouraging consumer voice, facilitating service recovery, and, ultimately, retaining the organ isation’s reputation and its consumers. Our paper contributes to the consumer behaviour domain by adding to the underdeveloped literature on consumer complaints, consumer recovery perceptions, and service guarantees in the SST context, in addition to bringing these independent streams of literature together. As SST recovery in practice is reported to be deficient from the consumer perspective, further exploration of this topic is warranted. The remainder of this paper justifies a conceptual framework that describes how guarantees applied to different types of SSTs can encourage consumers to voice following failure and enable organisations to provide just recovery for consumers. We close with theoretical contributions, managerial implications, and an agenda for  future research. developing our propositions, we apply the SST classification schemes developed by Dabholkar (1994) and Meuter et al. (2000) in respect to technology type, purpose, and location. These schemes will be used to highlight the SST contexts that best fit the application of guarantees, which is beyond Internet SSTs. There are two key types of guarantees commonly offered in interpersonal services, unconditional and attributespecific, that also appear to be relevant in the SST setting. An unconditional guarantee covers the core service offering, and consumers are free to invoke it whenever they are dissatisfied (Wirtz et al., 2000). The attribute-specific guarantee is narrower in breadth, covering either a single or multiple service attributes (Van Looy et al., 2003). It is directed to areas within an organisation where consumers perceive that the guarantee adds value (Hart et al., 1992). The attribute-specific guarantee is the type most common in interpersonal services (Van Looy et al., 2003 ). Our review revealed that this also applies to SSTs. For example, Hertz car rental offers its consumers online check-in for rentals. It guarantees that online check-in enables consumers to pick up a rental vehicle within 10 minutes or less. If it fails to fulfil this specific promise, consumers are credited $50. In another example, match.com, an online dating service, guarantees via its ‘Make Love Happen Guarantee’, that if consumers do not find someone special in six months of using its site, it will provide them with six months free service. In the interpersonal service context, consumers have been found to prefer attribute-specific guarantees when they consider invoking the guarantee, ‘. . . probably for their clarity and manifest nature’ (McDougall et al., 1998: 289). We further argue that in the SST context, generally devoid of service personnel and, therefore, with reduced opportunities for consumer monitoring, the clarity of an attribute-specific guara ntee is less likely to attract consumer abuse (McCollough and Gremler, 2004). Therefore, we advocate and assume for the remainder of this paper an attribute-specific guarantee. This can cover multiple SST attributes, which is referred to as a multiple attribute-specific guarantee. For example, BestPrintingOnline.com, an online printing service, guarantees both the quality of its product and on-time  delivery. This type of guarantee provides consumers with the opportunity to complain about several SST problems via guarantee invocation (Bjà ¶rlin-Lidà ©n and Skà ¥là ©n, 2003). In the context of service recovery, the examination of service guarantees has been scarce, and the use of service guarantees in the SST context has not been examined before. This is confirmed by Hogreve and Gremler (2009) in their review of the past 20years of service guarantee research. To begin to address these gaps, our paper conceptualises the role of service guarantees in the SST failure and recovery context from the consumer perspective. We consider different types of SSTs in developing our propositions. We argue that SST guarantees encourage consumers to voice their complaints via guarantee invocation in the absence of service personnel. In line with the call for research examining the justice dimensions (i.e., distributive, procedural, and interactional justice) of service recovery in the SST context (Forbes et al., 2005), we propose that SST Copyright  © 2011 John Wiley & Sons, Ltd. CONCEPTUAL FRAMEWORK The conceptual framework proposed (see Figure 1) is grounded in the theory pertaining to service guarantees, consumer voice, attribution theory, and justice theory. In justifying the framework, the distinctive characteristics of the SST context were considered, including the requirement of consumer co-production that is independent of service personnel, a lack of interpersonal interaction with service personnel, and consumers being obliged to interface and interact with technology (Robertson and Shaw, 2009). When studying SSTs, it is important to distinguish meaningfully between their types (Meuter et al., 2000). In terms of categorising SSTs, two key classification schemes can be drawn. The most cited classification scheme is that proposed by Dabholkar (1994). Her classification scheme considers the following variables: (i) who delivers the service (degree and level of consumer participation); (ii) where the service is delivered (location of the SST, i.e. remote, such as IVR or onsite, such as kiosks); and (iii) how the service is delivered (technology type, i.e. Internet and non-Internet, such as kiosks and IVR). More recently, Meuter et al. (2000) proposed a similar classification of SSTs. As per Dabholkar’s (1994) scheme, they included the different types of technologies that organisations use to interface with consumers (i.e.,  Internet and non-Internet) and the purpose of the technology from the viewpoint of consumers, that is, what consumers accomplish from using the technology (i.e., transactions and/or customer service).

Sunday, November 10, 2019

Christmas card making Essay

What I would like to achieve by making Christmas cards with a group of 3-4 children at a time, is to see how and what they think Christmas is all about, their creative side and if the can write their own names at the bottom of their card. The learning intentions for each child are to either write their own name without help or copy it from another piece of paper. Again in this activity the children will have to learn to share the equipment. Fridrich Frebel believed and emphasised that creative play was important part of a Childs worlds and growing up, he also thought physical play, song and rhymes was a symbolism, and best developed though play. Aim: To get all the children who do a card to try to write their name inside. What the children will learn: The children today will learn how to write their name correctly, I don’t think they will remember all of how to do it but next time they need to write it they will find it easier. What I will learn: I should learn to help and supervise children properly and to help understand what they should and shouldn’t being doing at this age and weather or not they understand the way I am asking them to do an activity for me. What happened? I choose three random children who were wondering around not doing any other activity. I choose two girls and a boy, to come sit at a table, first of all their put on aprons the table already had glue and card on it with scissors and glitter pens the children did not understand straight away what I wanted them to do I sat down and tried to explain luckily I had bring in one that I had did at home with my brother who is their age. The two girls KL and CW knew what I wanted them to try and do I even said can you do your name inside when you have finished. This time I didn’t have an early year’s practitioner with me but one of them came over to see if I was okay. The Stephanie Jewell 3rd January 2005 boy I had asked to do a card didn’t want to he found some thing else he anted to do, so one of the early years practitioner gave me another boy DK as he needs help with his name. I gave them red card and folded it KL wanted hers folded twice so I did as it was her Christmas card. The children took their time at making the outside of the card about 20 minutes later I said â€Å"is anyone nearly finished? † they all stopped their work and said â€Å"Yes† but they was not, so I told them to carry on then a couple minutes later DK finished the front so I wrote the inside for him and asked if he can do his name e but he was very aliment that he could not do it so I wrote it on a bit of paper to copy and he tried really hard but we only got half of it done as he got a little upset because he didn’t want to do it. The two girls finished as well as are older they started to write letters inside but they didn’t make any words but I thought that was really good bas they were trying. They both wrote their names and kisses, the children letters were back to front or upside but you can tell what their name was. Evaluation: The activity of making cards with the children went better then I excepted as the children didn’t argue with each other and wanted to speak to me one after another instead of shouting and screaming. I thought I explained what to do well as the two girls that I choose to do this got on with the work straight away and didn’t really need my help until the end with the writing of their names. The child who didn’t want to do card making made me feel as if I was doing some thing wrong but he didn’t take in ant activities that day. The children left their cards to dry and the next day we put them into envelopes and they took them home. I would like to carry it out again if possible as I enjoyed myself as I was helping and watching them does it. If you were to carry out this activity then I would say have no more then two children at a time that way you can give them almost your full attention and this way the children tend not to want to talk over each other as there are only two of them sitting on a table. The children did learn how to do their names correctly even though DK got upset as he didn’t want to write his even though I kept encouraging him to Stephanie Jewell 3rd January 2005 try. I think I should have spoke more about Christmas and how a time for giving and why we give out cards to people. I put down a mat on the table as the children was working with glue, and glitter what make a lot of mess in the hands of 3, 4 year olds. The children put on aprons to protect their clothing which was a good idea, they did make a lot of mess with the glitter pens and didn’t know when to stop putting on to the card I had to keep telling them it was enough but they some times didn’t listen. The cutting of paper made mess around the table. But all of the mess made was easily cleared up within minutes and all the children had to do is wash their hands. I didn’t realise the children would take as long as they did to make the cards and even writing their name took longer then expected, I gave myself half and hour when I should have allowed an hour to do this kind of activity. When the children sit down they took a little while to get started. The planning I did for both the activities were helpful I did follow both the plans I think the planning is good to have but on the day it all depends on the children weather or not they want to do it or if they are going to muck about for you, the best part about the planning is to see if you can complete the learning intentions you set for the children and knowing what equipment ids needed before hand in case its any thing that they wouldn’t have usually.

Thursday, November 7, 2019

Roman History essays

Roman History essays Italy is a peninsula jutting out into the Medditerranean sea west of Greece. Italy has poor mineral resources and very few useful harbors, however it is wealty in both fertile land and precipitation. Three - quarters of the peninsula is covered in foothills and mountains. The alps, a mountian range to the north of Italy, cut off the peninsulas only land connection, which resulted, in the times of Ancient Rome, in the people The Etruscans were mysterious people who settled on the Italian Peninsula somewhere between 900 and 800 BC. No one is really certain about their origin, however archaeologists suspect that they came from the eastern Medditerannean. The Etruscans ruled in north-eastern Italy, between the Appentine mountian range and the Tyrrhenian Sea. Their civilization streched from the Arno River in the north to the Tiber River which is more towards the center of the Italian Peninsula. Te Tiber River is where the Roman Empire would sit years later. The Etruscans lived in independent city-states. In the earliest times, these city-states were ruled by a monarchy, but were later ruled by oligarchies that governed through a coucil and elected officials. The Etruscans were largely agricultural people, however they also had a strong miliatary,which they used to dominate te surrounding societies. These dominated populations were forced by the Etruscans to do their ricultural labor, which left time for the Etruscans to devote to commerce and industry. They were sophisticated people, with and alphebet based on the Greek alphabet, an original style in sculpture and painting, a religion based on human like gods, and a complicated set of rituals which they performed annually. While the Etruscans were concentrating on building their power over all of Italy and engaging in commerce, a city to their south began to the grow. This city seemed to immitate the Etruscans in many ways. This new kingd...

Tuesday, November 5, 2019

Inferno and Infernal

Inferno and Infernal Inferno and Infernal Inferno and Infernal By Maeve Maddox When I see the word inferno, I think fire, but originally, the word did not carry the connotation of intense heat. The association with burning derives from beliefs taught by some religions about the afterlife. The OED offers only one definition of inferno: Hell; a place of torment or misery compared to hell; a place likened in some respect to the Inferno of Dantes Divine Comedy. Merriam-Webster offers three definitions of inferno: 1. a place or a state of torment and suffering. 2. a place that resembles or suggests hell in being dark, noisy, chaotic, lawless. 3. intense heat. English speakers, British as well as American, use inferno to mean an intense conflagration: Tracking the inferno: where wildfires are hitting California, other states hardest- The Guardian. Scientists find planets that survived red giant inferno- The London Times. Thirty people feared dead and 40 more injured after shopping centre inferno causes mall to collapse in Russia  - The Daily Mail. Multiple fire departments reported to the scene of the inferno just after 7 p.m. Sunday, and spent nearly the next 12 hours battling the blaze.- Galloway Patch (New Jersey). Small Fire Becomes Inferno, Burning Homes in California- New York Times.   Like inferno, the adjective that derives from it, infernal, refers to the realm of the dead or a place of punishment after death: Paradise Lost  opens with the fallen angels in hell. Mammon proposes that they build an infernal kingdom of their own, imitating the majesty of heaven through the material riches of the kingdom of hell. Infernal is commonly used as a synonym for hellish, damnable, damned, diabolical, and fiendish. Here are some examples: City Tells Ice Cream Trucks To Keep That Infernal Racket  Down When will these so-called â€Å"voters† stop with their infernal meddling? Will you stop with your infernal fear-mongering? Gatlin and his ilk have brought not only themselves down with their infernal lies  but the whole athletics community. I turned my eye towards him and immediately caught his eye, which he kept staring upon me for more than a minute, with the most infernal expression I have ever seen upon a human face. An â€Å"infernal machine† is â€Å"a machine or apparatus maliciously designed to explode and destroy life or property, especially one in the form of something harmless. For example: To greet the Princes return to Sofia this month, the Chief of the Russian Secret Police sent him an  infernal machine disguised as a  box of the finest cigars.- Sherlock Holmes and The Case of The Bulgarian Codex, Tim Symonds, 2012. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Vocabulary category, check our popular posts, or choose a related post below:15 Terms for Those Who Tell the FutureUse a Dash for Number RangesUsing "May" in a Question

Sunday, November 3, 2019

See requirement Essay Example | Topics and Well Written Essays - 1250 words

See requirement - Essay Example e 1970s and 1980s, whose advocates support widespread reductions in government spending, free trade and economic liberalization in order to improve the role of the single sector in the economy. It originates from the principles of neoclassical economics. The policies of neoliberalism help to establish a lenient atmosphere for economic development. The anti-politics machine by James Ferguson presents a Foucauldian critique of the development apparatus that the development dialogue produces an illusion of a country that is less developed, how the disjunction of fantasy causes the development plan to fail at its stated objectives, and why the development apparatus has the consistent effect of strengthening and expanding bureaucratic state power. It is adapted from Ferguson’s 1985 dissertation. It examines the reasons for the collapse of Thaba-Tseka range management/livestock development project to establish commercial cattle industry in Lesotho. According to Robertson (1984), development equipment is a practical tool that solves universal problems. It originates from the action of nation-states attempt to establish ideal worlds and development agencies are left with the mandates to implement these unrealistic projects. Scholar’s role in this apparatus is to ensure that the ideal worlds pursued by states are steady with the knowledge of the work of real societies so that development planning can locate itself goals capable of being achieved. Talking too much of the failure of Thaba-Tseka project would be a mistake since most of the rural development projects in Lesotho had faced the same problems. While declaring result of his experience with the project and admitting that the project had its share of frustrations, one of the original planners of the Thaba-Tseka project argues that he would never again be involved in any field management project. Talking to the author, he indicates that of all the development projects launched in Lesotho, only Thaba-Tseka had

Friday, November 1, 2019

Low Self Esteem and Luxury Marketing (Apples iPhone as a Luxury Dissertation

Low Self Esteem and Luxury Marketing (Apples iPhone as a Luxury Product) - Dissertation Example Brands like Louis Vuitton, Cartier, and Gucci have started investing in their marketing campaigns. While old brands continue to lead the market, new luxury brands have also emerged. One such luxury product includes Apple’s iPhone. The definition of luxury has been presented by many researches and books and these have been drawn mainly through the consumers’ perception of luxury. Luxury has been known to impact the consumers through different ways. Luxury is loosely referred to products that are priced high, have a high perceived quality and provide an exceptional experience of the consumers. Products such as the iPhone redefine the concept of luxury to a certain extent. Such products are not always targeted to the rich and affluent class but also to those consumers who wish to improve upon their self-esteem by buying luxury products. Therefore, a correlation is observed between low self-esteem and luxury products. Significance of the Study As the global market is being revived after the long global recession that struck the world in 2007, demand for luxury goods is on the increase. This means that marketers around the world have to focus their attention back to marketing luxury goods. As the concept of luxury is being continuously redefined, luxury has been categorized into old luxury and new luxury. In the study, the aim is to evaluate the impact of self-esteem on the buying decisions of consumers

Tuesday, October 29, 2019

International Outsourcing of Clothing Industry Dissertation

International Outsourcing of Clothing Industry - Dissertation Example At international level several attempts have been made by the international trading bodies like WTO to liberalize the trade system and as a result there is increase in the outsourcing of different industries. Globalization has drawn lasting effects on the clothing industry as well and global outsourcing is occurring in the industry at increasing rates. Outsourcing of different industries draws significant impacts of the performance of that industry as well as on the entire economy. There are different view points about the potential effects of global outsourcing. Some researchers (e.g. Antras, Helpman, 2004) believe that increased global outsourcing cause unemployment of thousands of domestic highly skilled professionals as the companies offer the employment opportunities to the labor of another country from where they might get the labor at low wages or salaries. On the other hand some social scientists (e.g. Bruce S. Berton, 2004; Amiti, Wei, 2005) strongly believe that the economies in the 21st century must need outsourcing in different industries because it bring variety of benefits and advantages to the countries like the consumers get more choices available in front of them and they also have an easy access to purchase the products at different levels of distribution. Along with these effects of global outsourcing attempts are also made to examine the impacts of outsourcing on the workforce of the countries (e.g. Campa and Linda S. Goldberg 1997; Maria Pia Hernandez, 2004). Despite the fact the a considerable portion of literature is concerned with examining the effects of global outsourcing on industries and the economies, there are few researches that study the impact of global outsourcing of clothing... The dissertation unfolded the international outsourcing of the clothing industry from the US and also provided the information about the various issues that are related to the clothing industry outsourcing. It came out from the study the clothing industry is being outsourced internationally from America for many years ago. It means that there is enough awareness in the businesses of the American clothing industry that they paid attention towards the outsourcing and discovered that the outsourcing will provide them certain benefits. As a result of this thinking outsourcing of clothing industry by the US, clothing firms become a common practice and many of the famous brands also get their clothing assembled in other countries where the manufacturing cost is less than America. The two important factors that were pointed out as the main player that encourage the outsourcing of industries (Technology advancement and Trade liberalization measures) also played an active role in the internat ional outsourcing of the US clothing industry. The clothing firms of US is not only facilitated by the technology to get into the outsourcing practice but the favorable investment and trade condition also makes it possible that the companies to look towards international outsourcing and save the money that is saved from the labor salaries. The clothing industry mostly looks towards the positive consequences of the international outsourcing and they do not take much care of the matter that what will happen to the skill and unskilled labor of home country.

Sunday, October 27, 2019

Media: Government Transparency And Accountability

Media: Government Transparency And Accountability The media plays significant roles in acting as a medium in transferring the information between the government and the public. The information that the public received have ability to influence the perception and the decision making of the public. The media and the government have dependent relationship. Each of them has an influence on each other. However, the media, especially newspaper and television, are outlets that are likely to be influenced, by either the government or private interests. The intervention on the media may prevent the freedom of expression provided by the democracy. These interventions can be counted as corruption. Corruption is one way to reflect government transparency and accountability. Introduction It is obviously seen that nowadays the media plays a very important role in the development of the country. The development of the society, culture, economics, education, or politics are depending on the media since the media act as a major instrument in transferring the information between different people in the society. The media can have a strong influence to the people. What are written in the newspaper, what are shown on the television, or what are spoken through the radio can change the perception of the people. During the time when Thailand was under the absolute monarchy system, media was a significant part that helped moving Thai society toward modernization. However, after Thailand changed to the democratic system, the freedom of expression of the media was emphasized. Democracy can prosper only in societies where information and ideas can flow freely. The most accessible media in Thai society are newspaper and radio. However, the sources of media that are easy to capture by the government are the newspaper as well as the television. We will then focus on these two outlets in our study. The print media, the earliest kind of media in Thai society, are limited to only small number of people in the early period. However, as time passed, the situation was changing. There were papers with criticisms about the ruling class and government officials, as well as papers that were provided with some entertainment features. The role of the press then changed from serving the ruling class, government officials and foreigners to providing information for common Thai people. The newspaper industry grew along with Thailands economic growth. However, Thailands economic crisis in 1997 was a time when newspaper industry was affected by the economic downturn. When we look at the newspaper business in Thailand today, it is obviously seen that the newspaper business has constantly become more competitive. For the daily newspaper of Thai-language, the market shares are gained mostly by Thai Rath, accounted for 34per cent, and Daily News 19per cent. The two leading newspapers, Thai Rath and Daily News, are conservative in their political disposition. For the Business Daily Newspaper, Krungthep Thurakit is the dominant player, contributing for 85per cent of the maket share, while Puchadkarn and Post Today are taken for the other 15 per cen. For the English Daily papers, Bangkok Post and the Nation are the two players, taking about 55 per cent and 45 per cent of the market share respectively. Still, there are political influences in the newspaper business. The government has ability to influence the news contents or to make adjustments that created the desirable situations for them. The politicians can directly give bribery or they can give something not in the form of money but in kind of gifts or other kind of influences. For example, according to Who Owns the Asian Media: Thailand Media Report By Ubonrat Siriyuvasak, during Prime Minister Thaksin Shinawatras second term in 2005, the Bangkok Posts front-page report on an alleged crack on the runway of the new Suvarnabhumi airport. The time of the report was the time when the government was under the investigation by the Opposition Party about the corruption of the constructing of the new airport. After the published of this report, the news editor, Chadin Thepwan was forced to resign by the Bangkok Post. This case showed that even though the government was not directly managed the newspaper or the news contents; it could do something to influence the business to be according to its way. For the most-consumed media in Thailand, the television, 86 per cent of the Thai population watching TV on a daily basis. Previously, there are six television stations in Thailand which broadcast freely on air and nation-wide. Three of the channels: Channels 5, 9, and 11, were operated by State operators, while the other three: Channels 3, 7 and iTV are operated by private concessionaires. iTV or Independent Television, was launched in 1996 as the first television station that was not owned by the State. It seemed to provide independent and critical programs for the people as well as act as a voice of democracy. However, iTV is becoming more and more profit-oriented and after the economic crisis in 1997, the company faced massive debts and finally, Shin Corporation of Thaksin Shinawatra took over iTV in 2000 before the Thai Rak Thai Party won the election in January 2001. Since the Thai Rak Thai and Thaksins Shin Corporation were related, during the election campaign, the news agenda and the contents were controlled by the new executive team. Journalists who went against such interference were fired. As a result, the pro-Thai Rak Thai news campaign was one factor that led the party to win in the election. A survey by the ABAC poll showed that television news coverage was overwhelmingly biased towards Thaksin and his Thai Rak Thai government However, iTV, who was not able to pay back high debts after the crisis, was forced to stop broadcasting, now has continued broadcasting again under the Thai PBS name. Moreover, Channel 9 has been changed to MODERN 9 under the Mass Communication Organization of Thailand (MCOT) regulation; Channel 11 to NBT and are under the Public Relations Department. Since media are the powerful sources of information, many sectors, including both the private and the government, are trying to gain control of the media in order to manage the information sent to the public. Because the media has the ability to influence people as well as government, the government who depends on media by using media to get into the people, is the one who wish to take control, as we have seen in the previous examples. Every day, the media reports political news, telling the current government movements and government actions that show people how the government is working to help develop the country and solve the problems. The credibility and the image of the government are then depended on the information and the pictures that the media send out to the people. The government, therefore, wants to limit the information and take control of the media so that only the good things are presented to the public. As a result, many media are under the government intervention. From the measurement of transparency international; the global coalition against corruption website, it shows that the corruption perceptions index (CPI) of Thailand, according to the survey in 2009, is about 3.4 and is ranked on 84th from 180 countries around the world. Since the government intervention in media is associated with the corruption, Thailand who claims to be governed by democracy may not be able to say we are governed by complete democracy. Thailand has been involved with the problem of corruption for long time ago, in the past people may not know terminology and its importance since the corruption might be embedded with Thai culture so that people get used to it or it was known in other names. The problem of corruption also relates to the administrative system of the country. From Sukhothaià ¢Ã¢â€š ¬Ã¢â‚¬ ¢the first era of Thailandà ¢Ã¢â€š ¬Ã¢â‚¬ ¢up to the present, Thailand has been ruling by various forms of administrative systems depending on the influences or situations at the time so that the forms of administrative system are different in each era. We would like to talk about the administrative system in each era in order to make them as the basis for explaining corruption and how it came from. In Sukhothai era, the beginning era of Thailand, the administrative system was in the form of Father-Son or Paternalistic. King played a role as father while public played role as his children or family ruled in hierarchical pattern. It created good relationship among parties. After Sukhothai era exhausted its power, Ayutthaya era was replaced. The administrative was changed from Paternalistic to the Divine Rights system. This system was distinguishingly characterized as states come into existence by Gods will, God chooses the rulers of the states, and the rulers are responsible only to God. Divine Rights system was derived from Hindu influence, this system is unlike Father-Son system as it separated the rulers and public leading to different classes and privileges; the public were under the control of the rulers. This form of administration gave King the absolute power causing the distance between King and public. After very long period of powerful, Ayutthaya era was eventually fall. Thonburi era had been replaced, since King Taksin aimed to collect power to build the new kingdom, the administrative system was not different from Ayutthaya era. After Thonburi era, the current era, Rattanakosin era, has flourished instead. For Rattanakosin era, we would like to divide the era into early and lately Rattanakosin because in the period of King Rama V, there was dramatically change in Thailands administrative system; the abolishment of slavery, the education support, and the idea of reformation in administrative system to democracy. However, the idea of reformation to democracy was not shown up in the period of King Rama V, the idea has been established in Thailand and public began to participate in the administration. So,the administrative system in the early Rattanakosin before period of King Rama V still be the same as in Ayutthaya era. In the lately Rattanakosin era and after King Rama VII period, Thailand is governed by democracy up to the present. The Constitution of Thailand have been giving the freedom of expression to individual and the press since Thais ruling system was changed from absolute monarchy to democracy for almost 78 years, however, there have always been criticisms about the degree of freedom of expression of Individual and the press in Thai society since it came to associate with the government. The media still has freedom, but now its freedom is decreasing as the government tries to put its hands in. The objective of this study is to combine theoretical, empirical and other evidences in order to understand the relationships and their interactions among the media, the government and the public in Thailand. Understanding all these things will explain how media affect the transparency and the accountability of the Thai government. The role that the government plays in the media and the role that the media plays in the government are being interested increasingly by the society in these recent days. Therefore, as part of the Thai society, we would like to focus on performance of the media and government, particularly the effects from media on government accountability and transparency occurred within Thailand. When government tries to control media, this can be considered as corruption, so, the corruption problems will be highlighted as they play role in indicating the transparency of the government. As corruption can be categorized into private-to-private corruption and public corruption, our concentration will be only on public corruption; according to the Legal Information Institute of Cornell University Law School, public corruption is defined as a government official, whether elected, appointed or hired, may violate federal law when he/she asks, demands, solicits, accepts, or agrees to receive anything of value in return for being influenced in the performance of their official duties, and the further use of word corruption refers to this. Corruption can be one indicator to point out government transparency and accountability as well as a degree of democracy. The study will include; the corruption in election since the incumbents intervene on the media in order to present themselves i n a positive ways, the intervention of the government on media in sense of taking ownership and capturing the media such as television and newspaper. We will mainly focus on television and newspaper as the representatives of all kinds of media. Looking at the ownership of the television station and the newspaper outlet, these can point out the degree of government intervention and media capture since media have influence on government. Still, our study has some comparisons in some particular parts with other countries in order to make our analysis more clearly. Literature Review Matias Warsta (2004) described the overall frameworks about corruption problem in Thailand, as well as the suggestions for solving the problems. This empirical literature argues that the problem of corruption has been in Thailand for a long time and also deeply rooted as a part of Thai culture. The corruption problem has a great impact on the economic growth of a country. Warsta (2004) pointed out the relationships among government, media, and public in the corruption problem. Government tries to use its power to control media to get its desirable outcome since media has ability to communicate as well as to influence the public which can affect their perceptions about the credibility and the image of government. There are many reasons for corruption shown in this literature. Corruption Perception Index (CPI) is referred as the measurement of perception of corruption ranked form 0 to 10 where 0 means a country seems totally corrupt and 10 means no corruption. As CPI 2009 shown, Thaila nd entitled to 84th rank on the list of 180 countries which is interpreted as equitably high. Free media is one of the characteristic of democracy which plays a significant role as the watchdog to ensure that things are performed in the democratic way. However, government and politicians tend to increasingly get into the media by buying shares of the media or granting the money to media. Thailand attempts to reduce the problem of corruption by using various methods, but this literature gave the suggestion that in the long run Thailands key to success to reduce this problem is to reduce the huge gap between the rich and the poor as this gap is the top of the corruption problem in Thailand. Besley and Prat (2005) developed a baseline model suggesting that there is a possibility for the government to capture media and therefore influence political outcomes. The model states that the media plays role in providing information for the voters in the time election. The voters use the available information to make their voting decision. Besley and Prat (2005) show the relationship between media and political activities through the baseline model, which is a pure adverse selection model where the policy outcome is depended on the politicians type; whether the politician is good, giving benefit to the voters, or bad, giving no benefit to the voters. The model is set up as a game, having two components, a bargaining game and an election game. The bargaining game between the media and the politician determines whether the media is an effective information provider or not, since the politicians have abilities to hide bad news by make an offer to the media outlets. Those who accept the offers suppress the signal about the bad politicians. When the media receives a transfer in exchange for silence, the media is captured. On the other hand, the media is independent. The model and its extensions give number of predictions on the relationship between features of the media industry, media capture as well as political outcomes. John Zaller (1999) analyzes that the outcome of the media politics come from the goal-oriented and strategic behaviors. Zallers basic theoretical posture is that politicians, journalists, and citizens behave in ways that generally reflect individual goals and interests that in pursuing their various goals. He emphasizes the role of journalists, which the journalists have their own roles in acting as a voice of the politicians to communicate with voters. However, they can choose what to report. The journalists can add or reduce something before reporting in the news. The politicians also want the space about themselves in a good way in the news as well. This then create conflict between politicians and journalists for the control of the news. They are struggling to control news content within constraints set by the mass audience. ARTICLE 19 (2005) described the background of Thailand in many aspects, the history of media in Thailand, the media situation. All these provide good fundamental understanding about the media in Thailand. The empirical literature suggested that for the media to protect their freedom of expression, it is necessary that the media should be permitted to operate independently without the control from the government. This necessity should be held when the media claimed to have freedom of expression to ensure that the media play role as the watchdog and also serve the public interests. This literature argued that, for people, to understand the media in Thailand, they have to go far beyond the understanding of their function as the communicator among participants in the society, they have to bear in mind that the media are the business associations who seek for the profits from their self-interest. The literature has categorized the media ownership into the state-owned media and the private media. There are statistical shown that television and radio are the most accessible media among Thai public. Freedom of expression is also supported by Ubonrat Siriyuvasak (2006). The empirical analysis criticizes the lack of freedom in the media business in the recent year. Ubonrat provides the statistical data about the ownerships of the media, including the state and private ownerships of the radio and television stations, as well as the ownership of the newspaper. This literature criticizes the aim to control the media by the government, especially in the time of Thaksin and his Thai Rak Thai government. Since during the Thaksin government, there were many changed took place including the change in media business, the paper then gives evidences of how the media outlet, especially, the newspaper and the television, were influenced by the government power. The question of who really own the media was emphasized by the author. Chapter 3 Analysis Since Thailand is governed under the democratic system, with democracy, it allows the equality, rights, and freedom to people in the society; people can enjoy all these things as long as they do not violate the others in the society. The provision of rights and freedom are in many aspects; freedom of expression is one of those aspects that relates to our paper. People in the democratic society can freely express what they think. In some societies, an opposing and unfriendliness relationship between media and government represents a vital and healthy element of fully functioning democratic system. However, the media and government depend on each others. Sometimes the media overlaps other functional areas of democracy and governance. Since the government nowadays can do some media managements or even can capture the media, the goal of media development should be to move the media from one that is directed or even controlled by government or private interests, to one that is more open and has a degree of editorial independence that serves the public interest. Many different kinds of mass media can create transparency. But the dominant medium of political communication and hence the dominant medium of political transparency is television. When we use television to understand politics, we see things in the way that television allows us to see. Television can create new forms of political reality that exist because they are seen on television. Television tends to emphasise entertainment value. People tend to interest in the entertaining things. The more entertaining news is more likely to survive in the broadcast world. Therefore, most television programs, public events, politics, and even law, are made to grab the attention of the viewers by entertaining them. They will launch the programs and present the news in the way that they think can catch the viewers. In the political news, television coverage of politics tends to focus less on substantive policy issues than on the other interesting news such as the inside stories about strategy and achieving political advantage. People tend to be interested on the issue of who the winner is and how they achieve their victory. These kinds of news tend to dominate in the television. Since the media, especially the television can portray the political issues in the ways it preferred, this affect the politicians as well as the government. Politicians and government understand that media become an important tool to influence the people and to retain their power. They therefore want to make sure that those things on the television are beneficial for their image and for the political situation. There are number of ways that the politicians and the government can influence the political contents in the media. Being part of the media can made it easier for them to influence the political contents. The ownership of the media, especially the television stations, is often under the state ownership. The state ownership of the media increases the likelihood that the media are being captured. Media ownerships are ranged from the private ownership to the state ownership. In theory, media ownership can be categorized into 2 groups: State-owned media, which often view information as a public commodity to be protected against a private sector monopoly in the public interest; and Private media, which, although they may distort information under the influence of political parties or commercial pressures, are at least not government controlled. There are laws and regulations that established to support for the independent of the media. The new Broadcast Act requires that all radio and TV stations be subject to license. Thai television channels remain under the tight control of various government agencies. Table 1: Owners and operators of Thai Television channels TV channel Owner Operator Channel 3 MCOT Bangkok Entertainment Co. Ltd. Channel 5 Royal Thai Army Royal Thai Army Channel 7 Royal Thai Army Bangkok Broadcasting Television Company (BBTV) Modernine TV (MCOT) MCOT MCOT National Broadcasting Services of Thailand (NBT) Governments Public Relations Department (PRD) Governments Public Relations Department (PRD) Thai Public Broadcast Station or TPBS (TPBS) Governments Public Relations Department (PRD) Private Channel 3 is owned by MCOT a former state enterprise under the ownership of government and the Royal Thai Army. It is operated by Bangkok Entertainment Co. Ltd. a subsidiary company of BEC World Public Co. Ltd., under contract. Channel 5 is both owned and operated by the Royal Thai Army. Channel 7 is owned by the Royal Thai Army and operated by the Bangkok Broadcasting Television Company (BBTV) under contract. Modernine TV or MCOT is both owned and operated by MCOT. National Broadcasting Services of Thailand (NBT) owned and operated by the governments Public Relations Department (PRD) of the Prime Ministers Office, and TPBS, previously iTV, is now a privately run independent TV station. TPBS is free from government control or influence, with its budget financed by sin tax. It is less likely to get any intervention from politicians or state power. According to table 1 showing the owners and operators of Thai television channels, the broadcast media are entirely owned by the state. However, the state has the ability to give concessions to the private operators in a limited number. The concessions were often given on a privileged patronage relationship. Those who had political powers or have connections with the concessionaries would have the priority to get the concessions which are given either in the short-term or in the long-term. As a result of the limited concessions, the state and a small number of media corporations have monopolized the channel on the rights and freedom of information and communication, for which ideas and culture are distributed. Moreover, since the state owns most of the countrys television stations, no broadcasting about corruption are not unusual. Not only the television can be bribed or influenced, the newspaper can be in the same situation as well. For the newspaper industry in Thailand, they are strongly owned by a single family or small groups of investors who share familial relationship, or a publishing group. Even they are privately owned, not being captured because of the state ownership, they can still be influenced as well. Table 2: Owner of Thai Newspapers Newspaper Owner Thai Rath Vacharaphol Family Daily News Hetrakul Family Khao Sod Matichon Pcl, a publishing group Kom Chad Luek Nation Multimedia Group Krungthep Turakij Nation Multimedia Group Post Today Post Publishing Pcl Phoojadkarn Daily Manager Media Group. Bangkok Post Chirathivat family, the South China Morning Post of Hong Kong, GMM Grammy Pcl. The Nation- Nation Multimedia Group Each newspaper has its own political stance, and they serve different group of readers. However, even the newspapers in Thailand are privately owned, they can still be under the political pressure as well. Being under the pressure, newspapers then have the ability to present the news contents in which bias toward government or against the government, depending on who pressure them. In addition to the direct political pressure, if the owner of the newspaper is interested in which side or political groups, he is more likely to accept the bribery. The side they take depends heavily on sponsorship by and private relationships developed between the newspaper and influential individuals or groups. Bribery can be in form of money and non-money, even though, the owner does not get money in order to support that side, he is still willing to receive the bribe in form of the special privilege or some kind of protections.. If the government or the politicians want the news to present information that is desirable for them, they can choose to pressure or bribe them. We can see that there is still a chance for the politicians or the government to influence the news. Most of media in Thailand are subjected to the influence of either government or groups of people. For the television, most of the channels belong to the state, indicating the lack of freedom of expression and the ability to influence outcome. For newspaper, the influence comes in form of bribery rather taking ownership. The state will get into the media, trying to manage their working process. It can arrange the information received and released by the media in order to control the information to be in its desirable outcome. With this action of state, the information is distorted, some truths are not revealed. The benefits of the distortion or the concealment will fall into hands of a group of people, not the whole. Thus, the intervention of state on the media is not desirable outcome for the society as a whole and it is inefficiency. Therefore, this is the way that can lead to the corruption problem. Corruption problem is one of the major issues in Thailand which tends to be more important through time. This does not mean that in the past Thailand had no corruption. Actually, the problem of corruption has been rooted in Thailand for ages but it may not be concerned or realized much as in the present. The possible reason is that the administrative system in the past gave absolute power to the king, the gap between king and public was quite large and classes in the society were existed. Moreover, people had no ability to make decisions in all kind of things, in other words, they had no rights and freedom in their own life. Since the administrative system of Thailand has changed to democracy and the country has developed, things have been improved especially the communication that tends to be more advanced. Because of rights and freedom people are allowed to enjoy especially the freedom in expressing opinion, so what people perform will have more opportunity to be revealed to public for them to realize unlike in the past that there was no freedom, thats why things were kept as with those who were relevant while the public could not know the truth at that time. Corruption problem that has been in Thailand for a long time starts to be recognized and people also start to realize that it is bad thing since it is extremely destroying the pattern of interaction for the society as a whole, it also creates the distortion and inefficiency in economic development, so the country cannot develop to its highest or even expected position with this constraint. Furthermore, corruption in Thailand may come from many possible reasons including low salaries of public servants, low education of people, big financial gaps between social classes, lacking transparency of governance, unstable political situation, lack of democracy, lack of freedom of word, heavy bureaucracy, and centralized power. However, in this paper, we will scope the reasons to the lack of transparency of governance, the lack of democracy, and the lack of democracy. In democratic society, people can participate in governing the country by electing the representatives to work and serve their interests. People can choose their representatives through election holding the principle of majority voting, in other words, those who get the highest voting will be the representatives. However, we can see that Thailand does not govern by complete democracy; Thailand is governed by semi-democracy, the possible reasons may come from many aspects such as culture that make the country cannot be governed by complete democracy. However, we are not able to judge whether complete democracy is suitable for Thailand because the country may have constraints or facts that the complete democracy cannot be used. Furthermore, the corruption problem can have great impact on transparency and accountability of the government as well as the image of the country. One of measure of transparency and accountability of government can be shown by election. Media provide information to public which influence their decision making in voting. Politicians may present themselves by using media since media can reach the majority of people. Moreover, as politicians desire to win the election, positive image is necessary, so they need desirable information to be sent out to public. The possible way to reach the target is bribery. As Thailand is governed by democracy system, the right in freedom of expression is provided to both public as well as the media. Thus, the interventions from government and politicians in the media companies contradict to their providing right. Moreover, such interv