Saturday, August 31, 2019

Concepts of Business Education Essay

Presentations: The nurses will be shown presentations by experienced nurses and doctors. 5. Quiz: There will be quizzes held for the nurses on the things taught. 6. Evaluation: The nurses will be evaluated according to their performance. 7. Demonstrations: The nurses will be given demonstrations by the experienced nurses on care giving. 8. Implementation: The nurses will have to demonstrate whatever they have learnt under the supervision of the department head. 9. Post evaluation: Depending on the performance of the nurses, they will be posted in the required departments. The most basic problem of philosophy of education is that concerning aims: what are the proper aims and guiding ideals of education? What are the proper criteria for evaluating educational efforts, institutions, practices, and products? Some of the AIMS proposed or involved in the educational endeavor are †¢cultivation of curiosity and the disposition to inquire fostering of creativity †¢production of knowledge and of knowledgeable students †¢enhancement of understanding †¢promotion of moral thinking †¢feeling and action †¢enlargement of the imagination fostering of growth, development, and self-realization Based on the AIMS concept we are building an online learning system for our employees: Ideally, the learning outcomes in order of priority are ?Translated into course content, resources and an approach to the teaching and learning process that will enable a student to achieve those outcomes. ?Once these basic parameters have been thought through, the courseware development team will share the responsibility of translating the theory and intentions into courseware and online learning functions. These courses will then be delivered by the learning management system (LMS) ? LMS will interface with the library and other digital resources & related services along with the student information system (SIS) ? This activity will be done through a secure server that can authenticate the student login. From the students’ point of view, they will connect to the LMS and the related services through a user-friendly users’ portal, with a single login, they can have access to their courses and can be linked to all related resources and services. Finally, to ensure ongoing improvement, an evaluation process for the effectiveness of the system, based on achievement of the learning outcomes and students’ feedback will be put in place, in the form of an independent quality assessment process, which also provides feeds back into the development cycle. Through the above steps the organization plans to provide quality education by making them online, the courses would cover organizational development programs like oTime Management oLeadership Skills Training oConflict Management Workforce Development Relating LMS ; Courses to AIMS as per John Dewey †¢AIMS always relate to results, the first and most important thing is whether the work assigned possesses intrinsic continuity †¢AIMS implies an orderly and ordered activity, one in which the order consists in the progressive completion of a process †¢AIMS means foresight in advance of the end or possible termination †¢AIMS as a foreseen end gives direction to the activity; it’s not an idle view for the spectator but influences steps taken to reach the end. How each prior event leads into its successor while the successor takes up what is furnished and utilizes it for some other stage, until we arrive at the end, which summarizes and finishes the process? †¢Foresight functions in 3 ways ?Involves careful observation of given conditions and means available to reach the end. ?Suggest the proper order or sequence in the use of means, facilitating economical selection and arrangement. ?Makes choice of alternatives possible

Zoot Suit

Richard Martinez Professor George LIT413 September 29, 2011 Theme Essay Today there are many different pieces to choose from in literature. This paper will be discussing the two novels of Zoot Suit by Luis Valdez and The Milagro Beanfield War by John Nichols. Zoot Suit is also a play and The Milagro Beanfield War was made into a film. Zoot suit is actually the first Hispanic play to be written. It is to be the only Hispanic play that exists today. The main character in Zoot Suit is Henry Reyna the leader of the 38th street gang.The main character in The Milagro Beanfield war is Joe Mondragon a hardworking family man. These two pieces of work have some of the same themes but one that stands out the most is the Hispanic culture. Zoot Suits Description The main character in the novel Zoot Suit is Henry Reyna and he is the leader of the 38th street gang. There is also the narrator which was called Pachuco meaning a Hispanic gangster who dressed really nice in that time in a Zoot Suit, cl ean cut, slick back hair, and belonged to a neighborhood gang.A Zoot Suit is a suit that has a long coat with wide shoulders, baggy pants but cuffed tight at the bottom with a big chain hanging on the side from the wallet pocket to the front belt loop. Hispanic gangs have been around for years now and are still on the rise. Many Hispanic gangs set new trends and tried hard to fit in with others. In the 1940’s Zoot Suitors’ were the popular gangs of the Hispanics and even some African Americans. In this story there was even a Caucasian in the 38th street gang. The Zoot Suit gangs originated in Los Angeles and expanded to New York and other big cities.Henry Reyna Henry Reyna is a young man trying to join the navy. Henry ends up getting blamed for the crime Pachuco committed. Henry was tried with many of his Zoot Suit amigos. It was a fishy trial to begin with his only way out was to be convicted and filing for an appeal. During the trial Henry’s defense attorney w as incapable of getting any objections. The judge was Caucasian and was prejudice and was on the prosecutions side. During this time frame Hispanics were not treated very well. In the 1940’s Hispanics were looked down on. Hispanics were at the bottom of the food chain.Many time Hispanics were frowned upon because of the crimes committed by Hispanics and not the good things that were done by Hispanics. Hispanics were always stereotyped by Americans. Language In Zoot Suit there is strong language used. There is also Spanish used as well as Spanish slang. Many nicknames were used to refer to certain people. There was also profanity used that made the book more exciting to read. It brought out the emotion in characters. Enrique Reyna, Henry’s father mentioned that calling Hispanics Chicanos means trash and to say Mexicanos instead because it is a better term to use.Many of the terms used in this book are only going to be heard by veteranos today, or Hispanic gangs. Huisa t oday is not a common word used in today’s society. Conclusion Zoot Suit and The Milagro Beanfield war are both Hispanic novels that are similar to one another in many ways. The themes for these novels are culture and pride between the characters of Henry Reyna and Joe Mondragon. These two individuals are both strong individuals that carry a lot of pride because that’s the way that Hispanics carry themselves. Hispanics fight for what is right.Today Hispanics still get mistreated because of their skin color and the gangs that they affiliated with. Both Henry Reyna and Joe Mondragon had to deal with the people in order to accomplish their goal. Henry Reyna had to fight to prove his innocence. Joe Mondragon had to fight to have his beanfield. Another common thing in these novels is Hispanics fighting Hispanics. This situation still exists in society today. Not just Hispanics but everybody is trying to fit in. ? References Nichols, John. The Milagro Beanfield War. New York, 1974, 1994. Print. Valdez, Luis. Zoot Suit. 1992. Print.

Friday, August 30, 2019

Crime Examined Through Four Theoretical Perspectives

Crime Examined through Four theoretical Perspectives Crime is defined as a breach of rules or laws that have been set by the government. Society has been given a set of rules that everyone who believes in good morals, follow. A crime would be anyone who has broken these set of laws for personal reasons such as greed. As of 2006, the crime rate of Toronto was 1,000 per 100,000. This has as shown a decrease since 2002. Crime has become an entity that is a part of society, without it, society would not function correctly. In the study of sociology, crime can be explained in four theoretical perspectives; Functionalism, conflict, interactionism, and feminism. Functionalism is a theoretical orientation which views society as a system of interdependent parts whose functions contribute to keep society alive and stable. Crime has been a part of society since the beginning and yet we have not done anything drastic to reduce or even remove it because it is needed for society to function normally. Crime has become the somewhat normal in society because of it creates employment opportunities for everyone. Law enforcement, lawyers and judges, security guards all have jobs built around the negativity of crime. People commit crimes for personal reasons such as to support family, themselves, and/or drug addictions. There are endless reasons to why people commit crimes. When a crime has been committed, it disrupts social by changing the normal function of society. The Conflict theory is a perspective that accentuates the social status, political, and discrimination in the social group. Society has a stereotypical view on those who commit a crime. Race and social status has played a large role in this discrimination. Crimes

Thursday, August 29, 2019

Company in Crisis Essay Example | Topics and Well Written Essays - 5250 words

Company in Crisis - Essay Example Research questions: taking failure as a phenomenon in everyday life that ought to be crossed either by winning or not we are left with the questions about the ways to win the debacle. In a business firm that faces distress, the big boss must get himself equipped with the capabilities to retrieve answers to questions on the cause and depth of the crisis and then questions regarding the salvation process are to be evolved. The purpose of the research that I conduct is to elucidate answers for these questions about the cause and depth of the distress simultaneously finding the way in which organisation culture has to be reformed or remodelled to get the favourable results in the turnaround process. Changing the organisation culture or cultural renewal is the vital part of the turnaround process, since culture is the base of the entire realm of a business. The methodology of turnaround comprises mainly of grass root changes. Turnaround decisions are hard to conceive, although everybody i n a crisis torn company is eagerly waiting for a fresh mechanism to thrive. I have collected feedback data from many companies worldwide that underwent crisis management and companies that foresaw the crisis and adopted prudent approaches to circumvent the crisis. The research papers and journals on the subject of crisis management were of highly helpful in my research. Throughout the search I found that a strategic change was a must in the turnaround endeavour. A company shows symptoms of distress in six ways. They are: 1. Dividend reduction 2. Plant closing. 3. Losses. 4. Lay offs. 5. CEO resignations. 6. Plummeting stock prices. Operating losses of a company results in the reduction of its capital leading the firm towards bankruptcy. In Kenya, companies such as Barclays Bank, Standard Chartered and National Oil Corp are laying off their staff. Many a companies are left with options to take turnaround steps in the following ways only. 1. Disposing of real property. 2. Merging with other firms. 3. Reducing capital spending on R & D. 4. Issuing new shares. 5. Negotiating with creditors. 6. Liquidation. 7. Lay offs. Of these a successful negotiation with the creditors to extend the duration of debt servicing, interest and paying period fetches a good result of saving the company from liquidation. (Jonah Aiyabei, 2000). 1.1 CAUSE OF THE CRISIS Corporate misconduct is the root cause of crisis to creep in a company. The direction of movement of corporate behaviour is normally from top to the bottom. Integrity must permeate a company from the level of chief executive who are supposed to blend ethical values to their traits of integrity. The survey results of the Investor Responsibility Research Center, Washington D.C., survey of board practices and pay, 2004 delineates that an internal campaign organised by the CEOs emphasises the company was taking the reforms seriously and provide an opportunity for discussion among the employees. Responses received from many of the respondents revealed an inability and impossibility to legislate morality and ethics and at the same time greed was felt at the core of many of the past problems. A grade point average (GPA) of 2.6 in the field of accounting management encompassed the view of the respondents that CEOs should meet with department heads and create a direct

Wednesday, August 28, 2019

Finance Coursework Example | Topics and Well Written Essays - 250 words - 2

Finance - Coursework Example When staffs are able to access the company financials, they feel the existence of trust and transparency in management. As a result, they become motivated in contributing to ways used to run the company such as decision making processes. The second benefit is the sense of community. Allowing access to financial information creates an open environment where employees feel honest and open with one another. This increases happiness and relationships enabling the staffs to connect on a professional and personal level (Case, 1996). The other benefit is development of unique ideas. Through sharing of operational and financial information with staff, the top officials may likely to find unique ideas from them. In addition, individuals may offer new insights on how to tackle a certain problem. Failing to disclose financial information to employees leads to them ‘operating in the dark’. Without employees accessing financial data, they tend to lack information on the critical facts of the company such as profits and losses. This implies that even when a company suffer loss, employees are not able to help; lack of financial information hinders good decisions (Case, 1996). In addition, if a company make some profits and employees are not informed about it, they tend to become reluctant in their daily work. This prevents the company from meeting its

Tuesday, August 27, 2019

Compare and contrast the glass-steagall act with the Essay

Compare and contrast the glass-steagall act with the gramm-leach-bliley act, also known as the citigroup relief act - Essay Example It removed barriers and obstacles that securities companies, banking companies, and insurance companies had to endure. In this paper, I will seek to compare and contrast the Glass-Steagall Act with the Gramm-Leach-Bliley Act, also known as the Citigroup Relief Act (White 3). To begin with, the Glass-Steagall Act prohibited all commercial banks from taking part in the issuance and flotation of securities. It remained unclear as to why the Congress decided to mandate this divorce but one thing is clear, it made the involvement of commercial banks in securitizing insurmountable burden. This came due to the dichotomy between and among the actual motivation behind Congress’ decision and the ostensible legislative intent. On the other part, enactment of the Gramm-Leach-Bliley Act revolutionized the circumstances since it repealed a section of the Glass-Steagall Act of 1933 whereby it did away with obstacles or barriers present in the market among insurance, securities, and banking companies. In other words, it relived these companies of any barrier that deterred any single firm from acting as a combination of a commercial bank, investment bank, and an insurance company (White 12). Secondly, a study conducted within almost three thousand banks in years between 1856 and 1936 proved that securities were not to blame for most of banks failure or collapse however; they were a particular hazard to banks. More intense studies revealed that the underwritten securities of commercial banks were actually of higher quality as opposed to the prior claim that the affiliate underwritings were of poor quality. The history of Glass-Steagall Act reflects the common notion that the possible underlying cause of the 1929 market crash came about because of using bank credit in excess to speculate stock market. Quiet a number o econometrics assert that what prompted the

Monday, August 26, 2019

Scavenger Hunt Research Paper Example | Topics and Well Written Essays - 500 words

Scavenger Hunt - Research Paper Example Researchers have to plan for the whole process and allow adequate time for each activity in the research (Ronald, 2013) Some information is not easy to collect given the security and limited access to certain types of information. This paper will reflect on the importance of gathering information in PR. This essay also outlines processes and procedures involved in collecting data in research as well as reflecting overall experience of research. This will be based on five questions that the researcher sought answers from different sources in order to have a firsthand experience of research in Public Relations. Reliable data and statistics about different issues and trends in the United Arab Emirates can be obtained from different sources. Reliable sources are those that have authority either from the government of UAE or from other international organizations that work collaboratively with the UAE. Five main sources of information on various topics in the UAE include the National Bureau of Statistics of the UAE, The World Health Organization (WHO), International Labor Organization (ILO), The United Nations Organization (UNO), and the Forbes magazine (Aaref, 2005). These sources give data on different topics ranging from demographics, economic trends, politics and social lifestyles. This list of sources comes from international and local sources that have authority in their specific areas. Power toothbrushes are more effective that manual toothbrushes in the short term. Power tools are automatic and easier to manage. The brushes can regulate themselves for instance by preventing one to brush too hard on the gums. These toothbrushes are however very expensive and out of reach for most people. The current infant mortality rate in the United Arab Emirates stands at 0.9 in 1000 births (Aaref, 2005). This is a relatively good rate in relation to rates in other countries in the world and

Sunday, August 25, 2019

Consider how a currency appreciation might affect national income Essay - 2

Consider how a currency appreciation might affect national income - Essay Example If an economy of a nation presents a favorable environment for investments that are relatively better than other nations, then the nation will experience inflow of capital. With flexible foreign exchange rates, this capital inflow will tend to increase the value of the country’s currency. Factors such as relative product prices, monetary policy, inflation rate differences and income changes influence the appreciation of a country’s currency (LIPSEY & CHRYSTAL, 2011 p 167). The effects of these factors are discussed below: Suppose that the income of major trading of a country increase to a greater margin, there will be greater increase in domestic income which is associated with increased consumption of the imported goods. The nation’s trading partner demand for the local goods will increase; thereby the demand for local currency will exceed quantity supplied hence appreciation. Deflation is always associated with appreciation. Suppose the price levels of a nation’s commodities decreases while that of its trading partner remains the relatively stable. The local goods will seem cheap to foreigners hence increasing the demand for local goods. This will increase the demand for money hence appreciation of the local currency. Countries that implement restrictive monetary policies will be decreasing the supply of their currency hence currency appreciation. The appreciation of a country’s currency is relative to the currencies of its trading partner. Higher rates of interest make it more attractive to save in a nation. This is because there is a better rate of return on saving accounts. Therefore there will be inflow of money in country hence appreciation of the currency. Stronger economic growth tends to cause an appreciation in the forex market. This is so due to the fact that with higher economic growth, there is likelihood that the nation might experience increase in interest rates (DAÃŒ ¨BROWSKI 2001, p 10).

Saturday, August 24, 2019

Charity and charitable purposes Essay Example | Topics and Well Written Essays - 3250 words

Charity and charitable purposes - Essay Example In Incorporated Council of Law reporting for the State of Queensland v Federal Commissioner of Taxation , the judge had the following observation with what amounts to a charity: â€Å"The benefit should be charitable in the Elizabeth sense†. Understanding from the context of the judge, we arrive at the conclusion that any activity which amounts to the benefit of the public, or a section of the public amounts to a charitable purpose. A trust which carries out the duties of helping the needy and the poor sections of the society amounts to charity.This definition of charity encompasses all the above definitions mentioned: "The relief of aided, impotent and poor people, the maintenance of sick and maimed soldiers and mariners, schools of learning, free schools and scholars in universities, the repair of bridges, ports, havens, causeways, churches, sea-banks and highways, the education and preferment of orphans, the relief, stock or maintenance for houses of correction, the marriag e of poor maids, the support, aid and help of young tradesmen, handicraftsmen and persons decayed, the relief or redemption of prisoners or captives,   the aid or ease of any poor inhabitants concerning payment of fifteens, setting out of soldiers and other taxes†Understanding the Ambit of Charitable TrustA charitable trust is a trust which provides charity services to a particular section of the society, and such services should be for charitable purposes only. Relief from poverty:The main question that was sought to ask was how poverty.... This definition of charity encompasses all the above definitions mentioned: "The relief of aided, impotent and poor people, the maintenance of sick and maimed soldiers and mariners, schools of learning, free schools and scholars in universities, the repair of bridges, ports, havens, causeways, churches, sea-banks and highways, the education and preferment of orphans, the relief, stock or maintenance for houses of correction, the marriage of poor maids, the support, aid and help of young tradesmen, handicraftsmen and persons decayed, the relief or redemption of prisoners or captives, the aid or ease of any poor inhabitants concerning payment of fifteens, setting out of soldiers and other taxes†4 Understanding the Ambit of Charitable Trust A charitable trust is a trust which provides charity services to a particular section of the society, and such services should be for charitable purposes only.5 Relief from poverty: The main question that was sought to ask was how poverty could be defined, and within the definition, which kind of people needed to be brought in to given relief to. Poverty is a very relative concept and thus includes people who are not able to provide a lifestyle for themselves that include the basic necessities like shelter, food and clothing. As found in a number of cases, only showing kindness or generosity to someone is not enough to come under a charitable trust or purpose because a factor of poverty must be defined so that it also serves the purpose of having benefit to the public in a way that it is useful to a certain community and helps to fight the problems that those people face with regard to poverty. In the case of Oppenhiem, we understand that

Friday, August 23, 2019

Evolving Slavery Assignment Example | Topics and Well Written Essays - 1000 words

Evolving Slavery - Assignment Example This is a worldwide event which has existed for hundreds of centuries up to the present. During the ancient times, slavery was brought about by social backgrounds. Slavery was the term used during the ancient period until a certain period when human trafficking was used instead.1 In some cultures, slavery is a hereditary event. Children born to parents who are slaves will automatically be slaves. Thus, their future children will also have the same fate. Slavery has been noted to have occurred at all the ancient civilizations in 4 continents namely Africa, Asia, Europe and pre-Columbian America.2 There is that perception that once a slave, forever that person will remain a slave as well as his or her descendants. It has also been said in an ancient Sumerian code, The Code of Hammurabi, that when a non-slave helps a slave to get out of slavery, the non-slave will be put to death.3 In modern days, as previously stated, slavery is being pertained too, one example of which is human traffi cking.4 With the tradition of slavery being carried through in more recent decades, even if a person is still a child, that person is not free from slavery. However, this is not the only way by which a child becomes a victim of human trafficking. Besides the cultural and traditional factors, poverty is the main reason why there are increasing numbers of children being victimized by human traffickers or syndicates. Cultural influence is one of the factors in human trafficking. Another factor is age. Children can be abducted easier than adults as they are smaller and do not have the physical capabilities and intellectual maturity to fight back against abductors. These factors go together as culture teaches children to obey adults and not fight back. So this also makes abduction easier. Kidnapped children are then enslaved either to do hard works, seek alms on streets or worst be abused and killed.5 In human trafficking, when the victim is said to be a child, it means that it is below the age of 18. The phrase itself evolved from the term slavery by the middle of 20th century. Human trafficking was defined as â€Å"the recruitment, transportation, transfer, harbouring or recipient of persons, by means of the threat or use of force or other forms of coercion, of abduction, of fraud, of deception, of the abuse of power or of a position of vulnerability or of the giving or receiving of payments or benefits to achieve the consent of a person having control over another person, for the purpose of exploitation.†6 On the other hand, slavery has been defined as â€Å"a relationship in which one person is controlled by another through violence, the threat of violence, or psychological coercion, has lost free will and free movement, is exploited economically, and is paid nothing beyond subsistence.†7 It is not just the term which has evolved through the ages. The definition itself has evolved. Bottom line is that whether it is slavery or human trafficking, it is a clear violation of human rights to live freely and improve a person’s way of living. In ancient times, slavery was inherited. There is no way out of slavery, no chance to improve the way of living as if slaves are not human. In recent decades, human trafficking is forcing a person to become a slave. One thing that is common between slavery then and human trafficking now is that both

Thursday, August 22, 2019

Comparative Politics Research Paper Example | Topics and Well Written Essays - 2250 words

Comparative Politics - Research Paper Example Federalism is antagonistic to separatism and the federalists believe in achieving a common good by running the affairs of the government by sharing power and at the same time a reasonable degree of autonomy is granted to the units of federation. Federalism is currently being practiced in many countries of the world which include United States, Canada, India, Brazil, Mexico, Argentina and is found to be very useful for sharing power between a central government and the provinces and states. In most of the federal democracies, important issues like currency, foreign policy, energy and defense are governed by the central government whereas the issues related to public welfare and social service such as health, food, education and infrastructure development etc are dealt by the provincial government (Pennington). The division of power in federalism is explicitly stated in the constitution of the federation and thus the right of government of the central government and the states is safeguarded by the constitution and a rational autonomy is granted to the states and provinces forming the federation. Keeping foreign policy, national security and currency with the central government is imperative for creating a strong federation and thus in most of the federations these powers rest with the central government. The remaining powers are divided between the central government and the provinces as per the political and geostrategic scenario of the federation and thus the power sharing pattern differs from one federation to the other. For example in the federation countries like United States and Germany the powers about which the constitution is silent and are not explicitly stated to rest with central or the provincial/state government are retained by the state governments whereas in India, Canada and Argentina such powers are retained by the central government. Federalist system of government provides a

Internet Addiction Essay Example for Free

Internet Addiction Essay Abstract Problematic computer use is a growing social issue which is being debated worldwide. Internet Addiction Disorder (IAD) ruins lives by causing neurological complications, psychological disturbances, and social problems. Surveys in the United States and Europe have indicated alarming prevalence rates between 1.5 and 8.2% [1]. There are several reviews addressing the definition, classification, assessment, epidemiology, and co-morbidity of IAD [2-5], and some reviews [6-8] addressing the treatment of IAD. The aim of this paper is to give a preferably brief overview of research on IAD and theoretical considerations from a practical perspective based on years of daily work with clients suffering from Internet addiction. Furthermore, with this paper we intend to bring in practical experience in the debate about the eventual inclusion of IAD in the next version of the Diagnostic and Statistical Manual of Mental Disorders (DSM).Problematic computer use is a growing social issue which is being debated worldwide. Internet Addiction Disorder (IAD) ruins lives by causing neurological complications, psychological disturbances, and social problems. Surveys in the United States and Europe have indicated alarming prevalence rates between 1.5 and 8.2% [1]. There are several reviews addressing the definition, classification, assessment, epidemiology, and co-morbidity of IAD [2-5], and some reviews [6-8] addressing the treatment of IAD. The aim of this paper is to give a preferably brief overview of research on IAD and theoretical considerations from a practical perspective based on years of daily work with clients suffering from Internet addiction. Furthermore, with this paper we intend to bring in practical experience in the debate about the eventual inclusion of IAD in the next version of the Diagnostic and Statistical Manual of Mental Disorders (DSM). Keywords: Addiction, Computer, Internet, reSTART, Treatment. INTRODUCTION The idea that problematic computer use meets criteria for an addiction, and therefore should be included in the next iteration of the Diagnostic and Statistical Manual of Mental Disorders (DSM), 4th ed. Text Revision [9] was first proposed by Kimberly Young, PhD in her seminal 1996 paper [10]. Since  that time IAD has been extensively studied and is indeed, currently under consideration for inclusion in the DSM-V [11]. Meanwhile, both China and South Korea have identified Internet addiction as a significant public health threat and both countries support education, research and treatment [12]. In the United States, despite a growing body of research, and treatment for the disorder available in out-patient and in-patient settings, there has been no formal governmental response to the issue of Internet addiction. While the debate goes on about whether or not the DSM-V should designate Internet addiction a mental disorder [12-14] people currently suffering from Internet addiction are seeking treatment. Because of our experience we support the development of uniform diagnostic criteria and the inclusion of IAD in the DSM-V [11] in order to advance public education, diagnosis and treatment of this important disorder. CLASSIFICATION There is ongoing debate about how best to classify the behavior which is characterized by many hours spent in non-work technology-related computer/Internet/video game activities [15]. It is accompanied by changes in mood, preoccupation with the Internet and digital media, the inability to control the amount of time spent interfacing with digital technology, the need for more time or a new game to achieve a desired mood, withdrawal symptoms when not engaged, and a continuation of the behavior despite family conflict, a diminishing social life and adverse work or academic consequences [2, 16, 17]. Some researchers and mental health practitioners see excessive Internet use as a symptom of another disorder such as anxiety or depression rather than a separate entity [e.g. 18]. Internet addiction could be considered an Impulse control disorder (not otherwise specified). Yet there is a growing consensus that this constellation of symptoms is an addiction [e.g. 19]. The American Society of Addiction Medicine (ASAM) recently released a new definition of addiction as a chronic brain disorder, officially proposing for the first time that addiction is not limited to substance use [20]. All addictions, whether chemical or behavioral, share certain characteristics including salience, compulsive use (loss of control), mood modification and the alleviation of distress, tolerance and withdrawal, and the continuation despite negative consequences. DIAGNOSTIC CRITERIA FOR IAD The first serious proposal for diagnostic criteria was advanced in 1996 by Dr. Young, modifying the DSM-IV criteria for pathological gambling [10]. Since then variations in both name and criteria have been put forward to capture the problem, which is now most popularly known as Internet Addiction Disorder. Problematic Internet Use (PIU) [21], computer addiction, Internet dependence [22], compulsive Internet use, pathological Internet use [23], and many other labels can be found in the literature. Likewise a variety of often overlapping criteria have been proposed and studied, some of which have been validated. However, empirical studies provide an inconsistent set of criteria to define Internet addiction [24]. For an overview see Byun et al. [25]. Beard [2] recommends that the following five diagnostic criteria are required for a diagnosis of Internet addiction: (1) Is preoccupied with the Internet (thinks about previous online activity or anticipate next online session); (2) Needs t o use the Internet with increased amounts of time in order to achieve satisfaction; (3) Has made unsuccessful efforts to control, cut back, or stop Internet use; (4) Is restless, moody, depressed, or irritable when attempting to cut down or stop Internet use; (5) Has stayed online longer than originally intended. Additionally, at least one of the following must be present: (6) Has jeopardized or risked the loss of a significant relationship, job, educational or career opportunity because of the Internet; (7) Has lied to family members, therapist, or others to conceal the extent of involvement with the Internet; (8) Uses the Internet as a way of escaping from problems or of relieving a dysphoric mood (e.g., feelings of helplessness, guilt, anxiety, depression) [2]. There has been also been a variety of assessment tools used in evaluation. Young’s Internet Addiction Test [16], the Problematic Internet Use Questionnaire (PIUQ) developed by Demetrovics, Szeredi, and Pozsa [26] and the Compulsive Internet Use Scale (CIUS) [27] are all examples of instruments to assess for this disorder. PREVALENCE The considerable variance of the prevalence rates reported for IAD (between 0.3% and 38%) [28] may be attributable to the fact that diagnostic criteria and assessment questionnaires used for diagnosis vary between countries and studies often use highly selective samples of online surveys [7]. In their  review Weinstein and Lejoyeux [1] report that surveys in the United States and Europe have indicated prevalence rates varying between 1.5% and 8.2%. Other reports place the rates between 6% and 18.5% [29]. â€Å"Some obvious differences with respect to the methodologies, cultural factors, outcomes and assessment tools forming the basis for these prevalence rates notwithstanding, the rates we encountered were generally high and sometimes alarming.† [24] ETIOLOGY There are different models available for the development and maintenance of IAD like the cognitive-behavioral model of problematic Internet use [21], the anonymity, convenience and escape (ACE) model [30], the access, affordability, anonymity (Triple-A) engine [31], a phases model of pathological Internet use by Grohol [32], and a comprehensive model of the development and maintenance of Internet addiction by Winkler Dà ¶rsing [24], which takes into account socio-cultural factors (e.g., demographic factors, access to and acceptance of the Internet), biological vulnerabilities (e.g., genetic factors, abnormalities in neurochemical processes), psychological predispositions (e.g., personality characteristics, negative affects), and specific attributes of the Internet to explain â€Å"excessive engagement in Internet activities† [24]. NEUROBIOLOGICAL VULNERABILITIES It is known that addictions activate a combination of sites in the brain associated with pleasure, known together as the â€Å"reward center† or â€Å"pleasure pathway† of the brain [33, 34]. When activated, dopamine release is increased, along with opiates and other neurochemicals. Over time, the associated receptors may be affected, producing tolerance or the need for increasing stimulation of the reward center to produce a â€Å"high† and the subsequent characteristic behavior patterns needed to avoid withdrawal. Internet use may also lead specifically to dopamine release in the nucleus accumbens [35, 36], one of the reward structures of the brain specifically involved in other addictions [20]. An example of the rewarding nature of digital technology use may be captured in the following statement by a 21 year-old male in treatment for IAD: â€Å"I feel technology has brought so much joy into my life. No other activity relaxes me or stimulates me like technolo gy. However, when depression hits, I tend to use technology as a way  of retreating and isolating.† REINFORCEMENT/REWARD What is so rewarding about Internet and video game use that it could become an addiction? The theory is that digital technology users experience multiple layers of reward when they use various computer applications. The Internet functions on a variable ratio reinforcement schedule (VRRS), as does gambling [29]. Whatever the application (general surfing, pornography, chat rooms, message boards, social networking sites, video games, email, texting, cloud applications and games, etc.), these activities support unpredictable and variable reward structures. The reward experienced is intensified when combined with mood enhancing/stimulating content. Examples of this would be pornography (sexual stimulation), video games (e.g. various social rewards, identification with a hero, immersive graphics), dating sites (romantic fantasy), online poker (financial) and special interest chat rooms or message boards (sense of belonging) [29, 37]. BIOLOGICAL PREDISPOSITION There is increasing evidence that there can be a genetic predisposition to addictive behaviors [38, 39]. The theory is that individuals with this predisposition do not have an adequate number of dopamine receptors or have an insufficient amount of serotonin/dopamine [2], thereby having difficulty experiencing normal levels of pleasure in activities that most people would find rewarding. To increase pleasure, these individuals are more likely to seek greater than average engagement in behaviors that stimulate an increase in dopamine, effectively giving them more reward but placing them at higher risk for addiction. MENTAL HEALTH VULNERABILITIES Many researchers and clinicians have noted that a variety of mental disorders co-occur with IAD. There is debate about which came first, the addiction or the co-occurring disorder [18, 40]. The study by Dong et al. [40] had at least the potential to clarify this question, reporting that higher scores for depression, anxiety, hostility, interpersonal sensitivity, and psychoticism were consequences of IAD. But due to the limitations of the study further research is necessary. THE TREATMENT OF INTERNET ADDICTION There is a general consensus that total abstinence from the Internet should not be the goal of the interventions and that instead, an abstinence from problematic applications and a controlled and balanced Internet usage should be achieved [6]. The following paragraphs illustrate the various treatment options for IAD that exist today. Unless studies examining the efficacy of the illustrated treatments are not available, findings on the efficacy of the presented treatments are also provided. Unfortunately, most of the treatment studies were of low methodological quality and used an intra-group design. The general lack of treatment studies notwithstanding, there are treatment guidelines reported by clinicians working in the field of IAD. In her book â€Å"Internet Addiction: Symptoms, Evaluation, and Treatment†, Young [41] offers some treatment strategies which are already known from the cognitive-behavioral approach: (a) practice opposite time of Internet use (discover patientâ €™s patterns of Internet use and disrupt these patterns by suggesting new schedules), (b) use external stoppers (real events or activities prompting the patient to log off), (c) set goals (with regard to the amount of time), (d) abstain from a particular application (that the client is unable to control), (e) use reminder cards (cues that remind the patient of the costs of IAD and benefits of breaking it), (f) develop a personal inventory (shows all the activities that the patient used to engage in or can’t find the time due to IAD), (g) enter a support group (compensates for a lack of social support), and (h) engage in family therapy (addresses relational problems in the family) [41]. Unfortunately, clinical evidence for the efficacy of these strategies is not mentioned. Non-psychological Approaches Some authors examine pharmacological interventions for IAD, perhaps due to the fact that clinicians use psychopharmacology to treat IAD despite the lack of treatment studies addressing the efficacy of pharmacological treatments. In particular, selective serotonin-reuptake inhibitors (SSRIs) have been used because of the co-morbid psychiatric symptoms of IAD (e.g. depression and anxiety) for which SSRIs have been found to be effective [42-46]. Escitalopram (a SSRI) was used by Dell’Osso et al. [47] to treat 14 subjects with impulsive-compulsive Internet usage disorder. Internet usage  decreased significantly from a mean of 36.8 hours/week to a baseline of 16.5 hours/week. In another study Han, Hwang, and Renshaw [48] used bupropion (a non-tricyclic antidepressant) and found a decrease of craving for Internet video game play, total game play time, and cue-induced brain activity in dorsolateral prefrontal cortex after a six week period of bupropion sustained release treatment. Methylphenidate (a psycho stimulant drug) was used by Han et al. [49] to treat 62 Internet video game-playing children diagnosed with attention-deficit hyperactivity disorder. After eight weeks of treatment, the YIAS-K scores and Internet usage times were significantly reduced and the authors cautiously suggest that methylphenidate might be evaluated as a potential treatment of IAD. According to a study by Shapira et al. [50], mood stabilizers might also improve the symptoms of IAD. In addition to these studies, there are some case reports of patients treated with escitalopram [45], citalopram (SSRI)- quetiapine (antipsychotic) combination [43] and naltrexone (an opioid receptor antagonist) [51]. A few authors mentioned that physical exercise could compensate the decrease of the dopamine level due to decreased online usage [52]. In addition, sports exercise prescriptions used in the course of cognitive behavioral group therapy may enhance the effect of the intervention for IAD [53]. Psychological Approaches Motivational interviewing (MI) is a client-centered yet directive method for enhancing intrinsic motivation to change by exploring and resolving client ambivalence [54]. It was developed to help individuals give up addictive behaviors and learn new behavioral skills, using techniques such as open-ended questions, reflective listening, affirmation, and summarization to help individuals express their concerns about change [55]. Unfortunately, there are currently no studies addressing the efficacy of MI in treating IAD, but MI seems to be moderately effective in the areas of alcohol, drug addiction, and diet/exercise problems [56]. Peukert et al. [7] suggest that interventions with family members or other relatives like â€Å"Community Reinforcement and Family Training† [57] could be useful in enhancing the motivation of an addict to cut back on Internet use, although the reviewers remark that control studies with relatives do not exist to date. Reality therapy (RT) is supposed t o encourage individuals to choose to improve their  lives by committing to change their behavior. It includes sessions to show clients that addiction is a choice and to give them training in time management; it also introduces alternative activities to the problematic behavior [58]. According to Kim [58], RT is a core addiction recovery tool that offers a wide variety of uses as a treatment for addictive disorders such as drugs, sex, food, and works as well for the Internet. In his RT group counseling program treatment study, Kim [59] found that the treatment program effectively reduced addiction level and improved self-esteem of 25 Internet-addicted university students in Korea. Twohig and Crosby [60] used an Acceptance Commitment Therapy (ACT) protocol including several exercises adjusted to better fit the issues with which the sample struggles to treat six adult males suffering from problematic Internet pornography viewing. The treatment resulted in an 85% reduction in viewing at post-treatment with results being maintained at the three month follow-up (83% reduction in viewing pornography). Widyanto and Griffith [8] report that most of the treatments employed so far had utilized a cognitive-behavioral approach. The case for using cognitive-behavioral therap y (CBT) is justified due to the good results in the treatment of other behavioral addictions/impulse-control disorders, such as pathological gambling, compulsive shopping, bulimia nervosa, and binge eating-disorders [61]. Wà ¶lfling [5] described a predominantly behavioral group treatment including identification of sustaining conditions, establishing of intrinsic motivation to reduce the amount of time being online, learning alternative behaviors, engagement in new social real-life contacts, psycho-education and exposure therapy, but unfortunately clinical evidence for the efficacy of these strategies is not mentioned. In her study, Young [62] used CBT to treat 114 clients suffering from IAD and found that participants were better able to manage their presenting problems post-treatment, showing improved motivation to stop abusing the Internet, improved ability to control their computer use, improved ability to function in offline relationships, improved ability to abstain from sexually explicit online material, improved ability to engage in offline activities, and improved ability to achieve sobriety from problematic applications. Cao, Su and Gao [63] investigated the effect of group CBT on 29 middl e school students with IAD and found that IAD scores of the experimental group were lower than of the control group  after treatment. The authors also reported improvement in psychological function. Thirty-eight adolescents with IAD were treated with CBT designed particularly for addicted adolescents by Li and Dai [64]. They found that CBT has good effects on the adolescents with IAD (CIAS scores in the therapy group were significant lower than that in the control group). In the experimental group the scores of depression, anxiety, compulsiveness, self-blame, illusion, and retreat were significantly decreased after treatment. Zhu, Jin, and Zhong [65] compared CBT and electro acupuncture (EA) plus CBT assigning forty-seven patients with IAD to one of the two groups respectively. The authors found that CBT alone or combined with EA can significantly reduce the score of IAD and anxiety on a self-rating scale and improve self-conscious health status in patients with IAD, but the effect obtained by the combined therapy was better. Multimodal Treatments A multimodal treatment approach is characterized by the implementation of several different types of treatment in some cases even from different disciplines such as pharmacology, psychotherapy and family counseling simultaneously or sequentially. Orzack and Orzack [66] mentioned that treatments for IAD need to be multidisciplinary including CBT, psychotropic medication, family therapy, and case managers, because of the complexity of these patients’ problems. In their treatment study, Du, Jiang, and Vance [67] found that multimodal school-based group CBT (including parent training, teacher education, and group CBT) was effective for adolescents with IAD (n = 23), particularly in improving emotional state and regulation ability, behavioral and self-management style. The effect of another multimodal intervention consisting of solution-focused brief therapy (SFBT), family therapy, and CT was investigated among 52 adolescents with IAD in China. After three months of treatment, the scores on an IAD scale (IAD-DQ), the scores on the SCL-90, and the amount of time spent online decreased significantly [68]. Orzack et al. [69] used a psychoeducational program, which combines psychodynamic and cognitive-behavioral theoretical perspectives, using a combination of Readiness to Change (RtC), CBT and MI interventions to treat a group of 35 men involved in problematic Internet-enabled sexual behavior (IESB). In this group treatment, the quality of life increased and the level of depressive symptoms decreased  after 16 (weekly) treatment sessions, but the level of problematic Internet use failed to decrease significantly [69]. Internet addiction related symptom scores significantly decreased after a group of 23 middle school students with IAD were treated with Behavioral Therapy (BT) or CT, detoxification treatment, psychosocial rehabilitation, personality modeling and parent training [70]. Therefore, the authors concluded that psychotherapy, in particular CT and BT were effective in treating middle school students with IAD. Shek, Tang, and Lo [71] described a multi-level counseling program designed for young people with IAD based on the responses of 59 clients. Findings of this study suggest this multi-level counseling program (including counseling, MI, family perspective, case work and group work) is promising to help young people with IAD. Internet addiction symptom scores significantly decreased, but the program failed to increase psychological well-being significantly. A six-week group counseling program (including CBT, social competence training, training of self-control strategies and training of communication skills) was shown to be effective on 24 Internet-addicted college students in China [72]. The authors reported that the adapted CIAS-R scores of the experimental group were significantly lower than those of the control group post-treatment. The reSTART Program The authors of this article are currently, or have been, affiliated with the reSTART: Internet Addiction Recovery Program [73] in Fall City, Washington. The reSTART program is an inpatient Internet addiction recovery program which integrates technology detoxification (no technology for 45 to 90 days), drug and alcohol treatment, 12 step work, cognitive behavioral therapy (CBT), experiential adventure based therapy, Acceptance and Commitment therapy (ACT), brain enhancing interventions, animal assisted therapy, motivational interviewing (MI), mindfulness based relapse prevention (MBRP), Mindfulness based stress reduction (MBSR), interpersonal group psychotherapy, individual psychotherapy, individualized treatments for co-occurring disorders, psycho- educational groups (life visioning, addiction education, communication and assertiveness training, social skills, life skills, Life balance plan), aftercare treatments (monitoring of technology use, ongoing psychotherapy and group work), a nd continuing care (outpatient treatment) in an individualized, holistic approach. The first  results from an ongoing OQ45.2 [74] study (a self-reported measurement of subjective discomfort, interpersonal relationships and social role performance assessed on a weekly basis) of the short-term impact on 19 adults who complete the 45+ days program showed an improved score after treatment. Seventy-four percent of participants showed significant clinical improvement, 21% of participants showed no reliable change, and 5% deteriorated. The results have to be regarded as preliminary due to the small study sample, the self-report measurement and the lack of a control group. Despite these limitations, there is evidence that the program is responsible for most of the improvements demonstrated. CONCLUSION As can be seen from this brief review, the field of Internet addiction is advancing rapidly even without its official recognition as a separate and distinct behavioral addiction and with continuing disagreement over diagnostic criteria. The ongoing debate whether IAD should be classified as an (behavioral) addiction, an impulse-control disorder or even an obsessive compulsive disorder cannot be satisfactorily resolved in this paper. But the symptoms we observed in clinical practice show a great deal of overlap with the symptoms commonly associated with (behavioral) addictions. Also it remains unclear to this day whether the underlying mechanisms responsible for the addictive behavior are the same in different types of IAD (e.g., online sexual addiction, online gaming, and excessive surfing). From our practical perspective the different shapes of IAD fit in one category, due to various Internet specific commonalities (e.g., anonymity, riskless interaction), commonalities in the underlying behavior (e.g., avoidance, fear, pleasure, entertainment) and overlapping symptoms (e.g., the increased amount of time spent online, preoccupation and other signs of addiction). Nevertheless more research has to be done to substantiate our clinical impression. Despite several methodological limitations, the strength of this work in comparison to other reviews in the international body of literature addressing the definition, classification, assessment, epidemiology, and co-morbidity of IAD [2-5], and to reviews [6-8] addressing the treatment of IAD, is that it connects theoretical considerations with the clinical practice of interdisciplinary mental health experts working for years in the field of Internet addiction. Furthermore, the current work gives a good  overview of the current state of research in the field of internet addiction treatment. Despite the limitations stated above this work gives a brief overview of the current state of research on IAD from a practical perspective and can therefore be seen as an important and helpful paper for further research as well as for clinical practice in particular.

Wednesday, August 21, 2019

Effect of Brexit on the Special Relationship Between the UK and US

Effect of Brexit on the Special Relationship Between the UK and US ‘The UK cannot retain its â€Å"special relationship† with the United States whilst being semi-detached from the European Union’ â€Å"Success is the ability to go from one failure to another with no loss of enthusiasm† ‘Sir Winston Churchill’[1] The United Kingdom (UK) has no closer ally than the United States (US), and the British foreign policy underlines our close coordination with the United States.   These close relations were considerably strengthened by the United Kingdom’s alliance with the US during both World Wars, in the Korean conflict, in the Persian Gulf War, and more recently in Iraq and in Afghanistan conflicts, additionally through its part as a founding member of the North Atlantic Treaty Organization.   This has contributed to forming a special relationship with the US.   Within this essay the ‘special relationship’ is defined as a political or technical term between the UK and the United States governments[2].   Semi dethatched is defined as no longer being a member of the European Union (EU) following referendum.   During 2016 a major event was the referendum in the UK on 23 June to withdraw from the European Union, which resulted in the British population voting to leave th e EU.   Following the announcement it posed a number of uncertainties, one of these was our ‘Special Relationship’ with the US. In answering the question of the UK cannot retain its â€Å"Special Relationship† with the US whilst being semi-detached from the EU’ there are 3 key areas that this essay will look at are political, military and economy.   I have considered these points because, the two countries continue to have a number of fundamental common interests in global political aspects, economic stability, military cohesion and with these structures they are able to cooperate closely as permanent members of the United Nations Security Council.   This essay will consider the implications on both sides of the Atlantic and argue that the UK can retain its †special relationship’ with the US whilst being semi detached from the EU, others may feel this is a failure by leaving the EU. Is the â€Å"Special Relationship† amid Britain and the US fundamentally damaged? It’s an old alliance based on shared histories and values, one that has developed the cornerstone of British foreign policy after two world wars[3].   The element of the special relationship is nothing new, it has been well established since Winston Churchill coined the phrase â€Å"special relationship† during a lecture tour of American universities in 1945 and his words are certainly resonate today.   The specialness of the two countries’ relationship has endured, although it could be seen as cool at times, this has been particularly difficult when the personal relationship between the US President and the British Prime Minster wasn’t so strong.   Whilst the degree of closeness between the nations is and has been largely determined by judgments of joint political, trade subsidies, military cohesion and the personal factor have continued to have a strong influence.   Some may say that the imbalance between the relative power between the two nations, may have possibly been one-sided and occasionally the UK has been made to appear rather subservient.   In the eyes of both nations, this was evident when the then Prime Minister Tony Blair was seen to freely take the acceptance of the Bush regimes’ polices over Iraq. This resulted in a certain amount of criticism of the British government in the UK and many felt that Britain is tied to closely to the US.   In 2016 there was two main political events that were headline news, the first being Britain voted to leave the EU in June after 43 years of increasingly ambivalent membership was greeted with a mixture of defiance, fear and jubilation across the continent. The second big political event being on the early hours on 9 November, when Donald Trump took to the stage in New York to declare his victory as the new President of the US.   Some said a political novice, however Mr Trump along the way had defeated the most experienced presidential candidate in decades.   The public opinion of the special relationship between the UK and US is being further divided amongst both populations; this was evident and highlighted during the Presidential campaign in November 2016.   Throughout the campaign President Trump campaigned on â€Å"making America great again’.   In January 2017 Theresa May agreed to â€Å"renew the special relationship for this new age† when she met with president Donald Trump.   MPs, including a number of May’s own Conservative party, had expressed their personal reservations about May’s visit given Trump’s previous controversial comments and stances on a range of issues[4].   The UK and the US closely work and frequently consult on foreign policy issues and global problems and share major foreign and security policy objectives. Worryingly as we look to the future there are many unknowns, on both sides of the Atlantic and the UK post Brexit will drive to sustain global influence and without the EU the UK could find themselves largely dependant on the US. The ‘Special relationship’ may well be further tested and could mean a much wider separation than that just of the EU. This no doubt would be devastating for the UK politically, militarily and more importantly financially. This role for the UK as a given global partner to the US is far more likely to survive following the decision to leave the EU than will the UK’s which maybe used as a diplomatic bridge between the US and Europe. Since 1917, well before the ‘special relationship’ was ever mentioned or quoted by Winston Churchill, the UK and US have collaborated to triumph in two world wars, two Gulf wars, and during the Cold War.   During the 1980s, the mutual support provided by this alliance has developed to the success of unilateral American and British military actions against Libya and Argentina, both of these actions were resisted by other European allies. Throughout the 1980s, the conclusive decade of the Cold War, the elimination of Soviet SS-20 missiles from Europe and the removal of Soviet troops from Afghanistan occurred as a consequence of Anglo-American initiatives that were either opposed or disregarded on the continent.   Ever since the well coordinated terrorist attack in 2001, that made headlines all over the world and became known as 9/11, the UK has remained beside the US in Iraq and Afghanistan as its most right-hand and reliable ally in the war on terror[5].   These joint military efforts have been based upon much of an arrangement of strategic interests with the similar political and legal culture and values with a world wide view. Also the effective use of intelligence sharing and close practical battlefield collaboration, has been made possible by the shared use of military equipment and technology.   Both the UK and US have agreed that both defence departments, will now continue to search for increased interoperability across the spectrum of military operations.   The US Defence Strategic Guidance[6] and UK Strategic Defence and Security Review[7] recently reached many common conclusions, including the need for increased cooperation in dealing with the threats we face.   We are committed to working together, and with other close allies, wherever possible.  The maritime commitment has been strengthened with Secretary Panetta and Secretary Hammond recently signed a Statement of Intent directing the US and Royal Navy to seek ways to better developed aircraft carrier doctrine and maritime power projection capabilities[8].   On the Land environment both the UK and US continue to develop very similar initiatives in order to enhance the already close ground force relationship however increased training opportunities in Europe and exchanges in the US.   As close Allies, the US and UK continue to host each others forces in order to conduct training and be prepared to deploy when necessary, and in future conduct current operations.   The US presently has over 9,000 personnel stationed in the UK, primarily on joint Royal Air Force bases such as RAF Mildenhall and Lakenheath in Suffolk, where US regiments conduct fighter, transport, logistics and aerial refuelling operations.   The Joint Analysis Centre at RAF Molesworth is a example of the cooperation, where British analysts and US monitor the world’s trouble areas together.   The four US services continue to send exchange personnel to work with the UK armed forces, and exchange both senior and junior military officers in British defence schools.   The UK currently has around 800 British personnel in the US. In the Air the UK is a partner in the development of the Joint Strike Fighter, which is a unique program with each country’s defence industries sharing the development of a common future platform that will ensure the US and UK, and other partners posses the latest technology in air superiority for the next generation.   Our Military cohesion was extended even further in 2014, when the UK and US signed a new agreement that was critical to Brittan’s Trident nuclear weapons system, was signed by British and US officials, the news stated that the 1958 UK-US Mutual Defence Agreement has been updated.   This new amendment that will last for 10 years, one which will permit the transfer between the US and UK of classified nuclear information concerning nuclear technology, atomic weapons and controlled nuclear material and critical information.   At the time the President Obama stated â€Å"intends to continue to maintain viable nuclear forces into the foreseeable future† he also mentioned that it was in America’s interest, to continue to help the UK â€Å"in maintaining a credible nuclear deterrent†[9].   The continued close security cooperation between the UK and US is probably going to continue, particularly in intelligence sharing. The EU has been traditionally excluded from aspects of the conversation of intelligence which has taken place between the English speaking â€Å"Five Eyes† states US, UK, Canada, Australia and New Zealand[10].   Evidence and history has shown that the UK and US stand shoulder to shoulder with each other in order to deter and if necessary, defeat the threats to our common way of life.   The future does indicate a number of new opportunities to strengthen this relationship further.   With any new strategic circumstances, come new reasons to cooperate.   We certainly cannot afford to miss these opportunities.   With both countries recognising that many of the problems that we both face can’t be solved alone. That shoulder to shoulder stance, was put in the spotlight and made headlines across the world, when on the 23 June 2016 the decision for the UK to exit from the EU was a clear demonstration that history is not linear.   The following day the previous prime mister David Cameroon resigned and the UK pound plummeted. The FTSE 100 lost significant ground, but then the pound rallied past the previous February levels and the FTSE closed on a weekly high of 2.4%, this was it’s best performance in 4 months on what many speculated would be a future of economic gloom.   The previous US president Obama decided we ‘wouldn’t be at the back of the queue’ after all, and that or ‘special relationship’ was still strong.   Following the Brexit vote in June 2016, this will now allow the UK to charter a new course as a sovereign, it will become a free nation and one which will be able to implement free trade agreements with countries across the world once the UK exits the EU in 2019.   On the 29 March 2016, the UK changed its history by submitting a six-page letter from Mrs May triggering Article 50, which was handed to European Council President Donald Tusk[11].   When the UK leaves the EU in 2019 this will open the opportunities for the future of a free trade agreement between the UK and US. Currently the UK has the fifth largest economy and the US the largest in the world respectively.   Just seven days after taking office Teresa May was the first foreign leader to visit Donald Trump after being elected for president[12]. History has shown us that in the past the economic polices of the UK and the US has been seen as a similarity since the 1970s. The UK economic growth has held up netter than expected in the 12 months following the Brexit vote, in the longer term, the UK economy show continue to grow to around 2%, following Brexit. Currently when it comes to UK exports to a single nation, the US is the UK’s largest export destination with a current market worth some  £3.5 billion. Equally, the US is the UK’s third biggest after China and Germany, procuring some  £2.9billion of products form the US.   In my mind there does appear to be two key thoughts that Brexit is having much less of an effect and impact in the US. Firstly the relative isolation of the US economy, as only 15% of GDP is related to international trade. Secondly, in the last 18 months investors in the US were anticipating a rise in the interest rate, which would have had a negative impact. Following Brexit and the global uncertainty caused by the outcome, the Federal Reserve System put the increase on hold.   This has allowed the US markets plenty of opportunity to go even higher[13].   For the future the UK and the US should persist exploring areas where the alignment of bilateral regulatory systems can lead to new business opportunities and reduce costs of unnecessary regulation.   The UK and US Governments should also increase collaboration in higher education, especially between our world-leading universities, this would allow for our countries to build on their joint leadership role and pull together on the great economic potential linked to it.   The UK and the US economies are described by large and growing services sectors and should explore ways of enhancing trade in services, particularly in business services, which are key input for global supply chains[14]. In summary, If Britain’s world influence weakens, and the US continues to change its priorities away from Europe to other more surging geopolitical challenges, the special relationship could face a low-spirited future. The UK’s valuableness to the US could increase if the EU were to acquire a much more active global position. It is true trade deals will be forged with the US following the semi-detached status from the EU, and clearly no longer part of the EU economy. There is no doubt It will have a much weaker negotiating power and gravitational pull than previously held, thus relying on the proven ’special relationship’ in order to take the alliance forward and beyond 2019. The ‘Special Relationship’ has been the world’s most powerful bilateral partnership for over 70 years and is fundamentally important to both London and Washington. It has played a vital role in the defence of the free world since World War II and has been instrumental in advancing economic freedom across the globe.   The UK and US has built a ‘special relationship’, which was formed and built well before any mention of the UK leaving the EU. The UK can retain its ‘special relationship’ by working closely with the US, we continue to set an example for others and will persist to deliver a basis for further collaboration with our Allies and partners around the world, which include through NATO, in the future years to come.   Bibliography http://transatlanticrelations.org/wp-content/uploads/2017/02/HFAC-US-UK-testimony-Feb-1-2017-dh-final.pdf https://www.chathamhouse.org/expert/comment/planning-post-brexit-britain-s-place-global-stage https://uk.usembassy.gov/our-relationship/policy-history/ http://www.newstatesman.com/politics/uk/2016/03/why-britain-should-end-special-relationship-us http://www.newstatesman.com/politics/staggers/2017/03/theresa-mays-article-50-letter-what-she-said-and-what-she-meant http://www.independent.co.uk/news/uk/politics/can-the-special-relationship-survive-outside-the-eu-7107966.html http://www.telegraph.co.uk/news/2016/12/31/2016-review-world-events-changed-history/ http://www.nationalreview.com/article/436687/brexit-us-british-military-cooperation https://obamawhitehouse.archives.gov/the-press-office/2012/03/14/joint-fact-sheet-us-and-uk-defense-cooperation http://www.jcs.mil/Portals/36/Documents/Publications/2015_National_Military_Strategy.pdf https://www.gov.uk/government/uploads/system/uploads/attachment_data/file/575378/national_security_strategy_strategic_defence_security_review_annual_report_2016.pdf https://www.state.gov/r/pa/ei/bgn/3846.htm http://www.bbc.co.uk/news/av/uk-politics-38778452/may-meets-trump-three-key-things http://www.bbc.co.uk/news/uk-politics-39431428 http://www.economywatch.com/economy-business-and-finance-news/the-uk-and-the-us-same-problem-different-results.07-07.html?page=full The economic impact of Brexit https://www.ft.com/content/9a5cd3ee-4acc-11e7-a3f4-c742b9791d43 Moving Forward The future of the UK-US economic relationship [1]The Quotation page 2087 [2] Oxford bibliographies [3] The New statesman, Mar 2016 [4] The guardian 26 Jan 2017 [5]Nationalreview.com/article/436687/brexit-us-british-military-cooperation [6] jcs.mil/Portals/36/Documents/Publications/2015_National_Military_Strategy.pdf [7] National_security_strategy_strategic_defence_security_review_annual_report_2016.pdf [8] Whitehouse joint-fact-sheet-us-and-uk-defense-cooperation [9] Theguardian.com/world/defence and security 29 Jul 14 [10] The Independent 28 Jun 16 [11] bbc.co.uk/news/uk-politics-39431428 [12] bbc.co.uk/news/av/uk-politics-38778452/may-meets-trump-three-key-things [13] woodfordfunds.com/economic-impact-brexit-report [14] https://www.babinc.org/moving-forward-future-uk-us-economic-relationship/

Tuesday, August 20, 2019

The Building Defects Of Construction Construction Essay

The Building Defects Of Construction Construction Essay Introduction Building defects are always under the spotlight and the grave concern of the construction industry. Different buildings or structures produce different types of defects and require numerous levels and types of quality, which rely on the building functions, the construction or maintenance systems and also materials adopted. According to Watt (1999), a defect may be considered to be a failing or shortcoming in the function, performance, statutory or user requirements of a building and it might manifest itself within the structure, fabric, services or other facilities of the affected building. Josephson and Hammarlund (1998) quoted from Svensk Standard, SS 020104 (1987) states that defect is defined as the non-fulfilment of intended usage requirements in which requirements are determined by law, regulations, building standards as well as in contract documents, site meeting records and other project documentation. However, not all requirements can be specified as there are many details which are difficult to specify such as non-expressed basic needs of each individual. Therefore, these demands are referred as usage requirements. Opinions and responses from project participants are needed whenever specified requirements are wrong and defects will likely occur if those opinions are not complied. There is a clear difference between failure and defects. Failure is defined as deviation from original specifications which can or cannot be corrected prior to the handing over of the building. On the other hand, defect is termed as deficiency of the performance which becomes apparent once the building is operational. Failing to differentiate the two terms may lead to inaccurate and incomplete measurements, cost determination and perhaps inappropriate methods to reduce its occurrence (Atkinson, 1987). Georgiou et al (1999) suggest that defects can be classified as major defect or minor defect. Major defect is considered as those which cause the building to become unsafe, unsuitable for living in and not suitable to be used for the purposes for which the building was designed. On the other hand, minor defects is considered as those originate from poor workmanship or deficient materials used in the construction of the building but do not cause the building to become unsafe, unsuitable for living in and not suitable to be used for the purposes for which the building was designed. Defects which require less than Australian $500 to repair are considered as minor defects. In the meantime, major defects are defects exist after 12 months which need more than Australian $500 to repair and most of them are structural deficiencies (Georgiou et al, 1999). Georgiou (2010) and, Andi and Minato (2003) state that defects occur if a component has a shortcoming and does not comply its intended functions and acceptable level of quality as required by owners, contractors or regulations. Causes of defects Some of the defects are caused by natural consequences that developed over the period of time such as aging and typical uses. However, many premature defects occur due to the fact that improper skills and care are assigned on the building. The study by Building Research Establishment concludes that over 90 per cent of the building defects are caused by the promptly diagnosable faults in design or construction which could be foreseen beforehand and prevented. Generally the causes of defects are stated as the followings: (Lee, 1987) Insufficient brief Defects are often interpreted as originated from the strokes of designer or on the drawing board in many instances but in some cases they can be attributed as occurring at an even earlier stage. For instance, client may lay down unrealistic cost limits or fail to give clear indication about the functional requirement of the building. Normally, there is no clear information about the intended building life-cycle or maintenance requirements. Inaccurate design decisions The most common faults can be sorted as follows: Failure to follow well established design criteria in the choice of structural system and selection of materials Ignorance of the basic properties of material. For example, failing to make allowance for the differing thermal and moisture movements of materials used in combination. Usage of new materials or technologies which have not been thoroughly examined its effectiveness. This is often the result of uncritical reliance on manufacturers literature quoting stimulated laboratory tests. Misjudgement of user and climatic conditions under the material will have to perform. Complex details which have low probability of successful execution on an open building site. Poor communications between different parties such as design and construction teams. Construction method The construction projects normally take place in less ideal conditions and always emphasize on speedy completion due to time constraint which often resulted in careless delivery. Some manufacturers of so-called high technology components have little awareness of the strictness of a building site or the standards of accuracy achievable under such conditions although only a small proportion of defects were attributable to faulty materials. Materials may easily be damaged during transportation, loading and unloading, inappropriate condition of storage on site and placing in position even though the materials may be flawless upon leaving the factory. The defects can be prevented with by taking greater care during all the stages during construction project, providing appropriate training to all the workers and staffs, and ensuring closer supervision. User Activities Defects may be caused by unintended misuse due to the lack of knowledge on the correct method of usage or intentional acts of vandalism. This problem can be solved by providing more information such as the degree of severity of use and condition of use to the designer so that a better output can be yield. Besides, some defects may be correlated to the users financial conditions and also social attitudes. For instance, condensation is affected by the amount of money spent on heating and ventilating, and occupancy pattern. Maintenance Incorrect identification of root of the defects may lead to inappropriate remedial work. It wont rectify the original defects but may deteriorate the condition of the building further. Furthermore, negligence during inspection and repair works may lead to defects in previously satisfactory structures or elements. For example, stepping on unprotected felted roof can drive the gravel into the felt which can cause splits and cut and eventually lead to roof leaking. On the other hand, defects often occur due to the designers decisions. Designers often do not take into consideration how the materials will behave and react toward other adjoining materials during construction and during the life of the building. For instance, the application of green, rotting or damaged timber for floor joists will result in floor in the floor after completion. It is obvious that a material is often wrongly used even though the material itself is in perfect condition. Effective communication between designers and construction workers aids in solving problems. Sometimes, construction workers readily implement their own ideas of how to construct rather than discussing with designers when they encounter with messy construction drawings produced by inexperience designers. This is quite common in design-and-build form of contracts as the contractor stands to gain contractual advantage from drawing attention to design defects (Evans, 2005). Building defects are a matter of concern for a various reasons: The employer is eligible for what he or she is investing for. The presence of defects means that he or she doesnt get anything proportional of the amount paid for. Defects might delay the completion of the project and thus affecting the handover of the building. This is because it will take some time to inspect and rectify the defects. Lot of time and money may also be used up in identifying possible causes of defects, especially to attach blame. There may be significant disruption and consequential loss if defects are to be corrected in occupied buildings. Resources spent on defect rectification are not available for use elsewhere. Defects represent inefficiencies in construction procurement processes. Design defects affecting maintenance Civil Inadequate provision for movement Ignoring aggressive environment and weather condition effects Ignoring biological effects Inadequate structural design such as foundation Ignoring variations in soil conditions Ignoring load impact on structural stability Exceeding allowable deflection limits Ignoring wind effect on the structure Inadequate concrete cover on the reinforcement Improper locating conduits and pipe openings at critical structural locations Architecture Narrow stairs, passages doors Incompatible finishes with climate Specifying finishes which need complete replacement Ignoring climatic effects on exterior shapes Inadequate joints between faces Maintenance practically Ignoring access for maintenance equipment Designing permanent fixing which should be removable for maintenance Ignoring maintenance equipment availability Ignoring maintenance requirements in the design Civil Inaccurate measurement Damaged form work Excavation too close to the building Painting in unsuitable condition Inadequate water proofing and drainage Insufficient reinforcement concrete cover Cold joints Loss in adhesion between materials Early form work removal Poor soil compaction Inadequate curing Materials Different thermal movement in dissimilar material Selection of material which is unsuitable for the existing climatic condition Use of non-durable material Use of expired material Poor material handling storage Inadequate provision for movement This happens when designers ignore the spacing needed for contraction and expansion movements. Such movements will cause cracking of the structures which will result in corrosion of the structural elements such as beams, columns and slabs. It will also cause cracking on the wall which will affect the aesthetic value of the building. The most severe case attributed to inadequate provision for movement will be the structural collapse. Ignoring aggressive environment and weather condition effects The designers should always select and specify the suitable materials which are capable of withstand the existing weather condition during building design. This will result in less maintenance during the post-occupancy stage. Problems occur when a designer is used to certain weather condition in a region and then moves to another region which has different weather without giving consideration to the weather changes. It will cause material to deteriorate in a shorter time and might affect the other parts of the building. Ignoring biological effects Designers should be familiar with the building location and type of plants and insects existing in that area or in the vicinity. Designers should also determine whether any special treatments are needed to prevent these biological attacks. These preventions should be specified in the design drawings with certain degrees of clarity. Failing to deal with biological factors might require continuous maintenance which can be avoided during the design and construction stage. Inadequate structural design such as foundation Inadequate structural design happens when designers didnt design or under-design the structural elements of the building. This will lead to buildings settlement or failures. Besides, it will also cause cracking of the wall finishing. Settlement is movement within a structure due to the distribution or re-distribution of loading and stresses within the various elements of construction. Foundation failures may be caused by the changes in ground conditions affecting early footings, failure of foundation arches, and decay of timber piles or chemical attack on concrete foundation (Watt, 1999). Ignoring variations in soil conditions Soil conditions are almost the same in most places. But, soil structure may vary in certain places or conditions. Hence, designers should always determine whether buildings are able to be built on it by determining the soil condition and structure. This can be done by carry out proper soil investigation and surveyor geo-technical test. Poor soil condition might cause cracking of the structural elements or exterior and interior walls of the building. Ignoring load impact on structural stability The impact of movement resulted from physical or mechanical activities such as elevators, lifts, the vibrations of central air-conditioning systems or wind load in high rise building might causes cracking on the wall surface. Besides, vibrations from heavy traffic, machinery and piling operations will more or less produce the same impact of movement. The problem cannot be solved until the impact of the movement is isolated. Inadequate concrete cover on the reinforcement Insufficient concrete cover may result in the corrosion of the steel bars and cracking of the concrete. This is because the corrodents might reach the concrete reinforcement faster if there is inadequate cover or protection to the steel bars. The failing of the steel reinforcement will cause the failure in the structure. Improper locating conduits and pipe openings at critical structural locations Some designers do not amend the layout of the mechanical and electrical design which installs the conduits and pipes at a very critical location which might cause defects or cracking of the structural elements and damage to the electrical and mechanical system of the building. Incompatible finishes with climate Designers should always consider the climate, weather and environmental condition that the buildings will exposed to before choosing suitable buildings exterior finishes. Suitable colour and type of exterior building finishes should be selected carefully in order to prevent environmental effects on the finishes. For example, building with dark colours painting might not resist heat during hot weather. Specifying finishes which require complete replacement Designers should always prevent the usage of finishes which require complete replacement after failure. On the other hand, finishes which are easily available and require minimum maintenance should be adopted. The usage of wallpaper as wall finishes is not encourage as it requires total replacement if any part if it is damaged in order to match the colour. Ignoring climatic effects on exterior shapes Designers should make sure that the collection of moisture, water and dust can be prevented after the buildings are ready to be occupied. Proper designs which consider the climatic effects on exterior shapes might result in less maintenance need on cleaning and repairing damages due to climatic effects such as moisture, water and dust. Improper exterior designs might cause water collection at the building roof which in turn might constitute to moisture penetration into the building. Inadequate joints between surfaces Designers should specify appropriate joints between structures such as floor slabs and walls to accommodate the expansion and contraction caused by thermal. This is because insufficient joints will cause overlapping of the floor tiles and cracking of the surfaces such as walls and tiles due to thermal expansion. Ignoring access for maintenance equipment Buildings should be designed to allow for the maintenance access. The maintenance access factor should consider the clearance of the maintenance staffs and equipment. Failure to provide necessary access for the maintenance to be carried out will obstruct the maintenance work and deteriorate the specific part further which will cause the raise in maintenance cost. Designing permanent fixing which should be removed for maintenance Designers should avoid the usage of permanent fixations which require continuous maintenance and complete removal during maintenance works. All these will increase the maintenance frequency and also the maintenance time needed to be carried out. Permanent fixations that should be avoided are lamps, carpets and external windows. Ignoring maintenance equipment availability Building designs should be designed according to the current and existing maintenance equipment on the market. Designers should aware of the maintenance equipment on the market in designing a certain building. For example, problem may occur when cleaning a building exterior or window in a high-rise building and also changing light bulbs in a very high location. Maintenance cost may be accelerated if maintenance equipment is not available. Inaccurate measurement Inaccurate measurement happens when the construction contractor wrongly measure the building element size and the material mixture ratio such as concrete ratio. For example, the changes or alteration of the gap between door and door frame or window and window frame will causes water and moisture penetration. Besides, the construction contractor wrongly increases the water content to the concrete mixture will yield porous concrete which in turn will causes corrosion to the steel reinforcements and then, collapse of the structure. Damaged formwork Damaged formwork will produce a honeycomb or porous concrete surface which decreases the quality of the formwork. The porous concrete surface will enable moisture penetration which can cause corrosion of the steel bars and cracking of the structure. Inadequate water proofing and drainage Water proofing and drainage of building are normally being carried out wrongly and inadequately. Inadequate water proofing or water proof membrane may result in water seepage or leakage through slab, wall, balcony or deck. The building will be exposed to erosion, mold, decomposition, and construction damage if there is no proper waterproof membrane to prevent water penetration. For example, the building will expose to serious construction defect if there is no water proof membrane under the ground slab which helps to prevent ground water from penetrate into the foundation. Cold joints Cold joints normally happen between old and new concrete as the concrete is poured in part and left to dry before the rest of the concrete is poured. The dried concrete will not totally combine or fix together and lines will appear on the concrete. The cold joints will decrease the aesthetic value of the building. The severe case of cold joints will allow the water penetrate into the concrete gap which might cause damage to the steel bars inside the concrete. Cold joints can be overcome by inserting reinforcement bars into the fresh concrete which will bind the new concrete effectively. Construction materials Defects can be caused by the wrong selection or specification of materials by the designers. Selection of non-durable or low quality materials that is available at cheaper price may require plenty of maintenance during post-occupancy period. The climatic factors must be considered during selection of materials as materials quality will be affected and require replacement in a short time. For example, specifying indoor materials to be used at outdoor will cause the materials to perform irregularly. In addition, some materials which is highly adopted in overseas, might not perform effectively in Malaysia due to its hot climatic condition. On the other hand, the properties of materials should be considered when combining two or more materials together. This is due to the chemical reactions that might occur between them. For instance, tile glue and cement will separate from each other when used together as thermal expansion of cement is higher than the tile glue. The selection of the materials needs to be done carefully as it will affect the building quality and maintenance needs. Unqualified designers

Monday, August 19, 2019

Executive Summary of Anheuser-Busch Companies, Inc. Essays -- Brewery

Executive Summary of Anheuser-Busch Companies, Inc. Anheuser-Busch Companies, Inc. continually seeks opportunities to maximize shareholder value and increase efficiency. Through their extremely effective marketing strategies A-B has gained control of over 47% of the global market share. In the process of doing this, Anheuser-Busch has become one of the most recognizable trademarks. This is not without its faults though. Anheuser-Busch’s aggressive advertising campaign has targeted more than who they bargained for. Through A-B’s catchy advertisements, they have attracted customers other than the 21+ age group, and recreational drinkers. It is the opinion of many researchers that Anheuser-Busch is negligent in their advertising, and insists that changes need to be made. Through proper regulation of their advertising, consumers would be allowed to make choices free of media persuasion. Situation Analysis Environment: Cooperative Anheuser-Busch Companies, Inc. continually seeks opportunities to maximize shareholder value and increase efficiency. As noted in the Annual Report for 1999, Anheuser-Busch remains focused on three major objectives to enhance shareholder value: ï  ± Increasing per barrel profitability which, when combined with continued market share growth, will provide solid long-term earnings per share growth. ï  ± Profitable expansion of international beer operations by building the Budweiser brand worldwide and making selected investments in leading brewers in key international beer growth markets. The company has made significant marketing investments to build Budweiser brand recognition outside the United States and operates overseas breweries in China and the United Kingdom. The company also has a significant equity position in Grupo Modelo, Mexico’s largest brewer and producer of the Corona brand. ï  ± Continued support of profit growth in packaging and entertainment operations. Packaging operations provide significant efficiencies, cost savings and quality assurance for domestic beer operations, while entertainment operations enhance the company’s corporate image by showcasing it’s heritage, values and commitment to quality and social responsibility to 19 million visitors annually as well as adding their profit contribution. The company’s strong commitment to achieve these objectives benefits a... ...th the regulations. Works Cited 1999 Annual Report, Anheuser-Busch Companies â€Å"Anheuser-Busch Announces Record Sales and Earnings for the Fourth Quarter and Full Year 1999; Worldwide A-B Brand Shipments Exceed 100 Million Barrels.† Business Wire, 2/2/2000. Online. Electric Library. Atkin, C.K., â€Å"The Role of Alcohol Advertising in Excessive and Hazardous Drinking.† Journal of Drug Education 1993, p.313-325 Best, Kathleen. â€Å"Simon Wants Warning on Liquor Ads.† St. Louis Post-Dispatch 3/31/93, p. 15A. Online. Electric Library. Fox, RichardJ.;Krugman, Dean M.; Fletcher, James E.;Fischer, Paul M., â€Å"Adolescents’ attention to beer and cigarette print ads and associated product warnings.† Journal of Advertising, 9/22/98. vol. 27. p. 57. Online. Electric Library. Gerbner, G., â€Å"Stories That Hurt.† Journal for Substance Abuse Prevention, 1990, p. 53-57 Saffers, H., â€Å"Alcohol Advertising and Motor Vehicle Fatalities.† Review of Economics and Statisitics. 1993, p.431-442 Sellers, Patricia. â€Å"Selling: How Busch Wins in a Doggy Market.† Fortune Magazine, 6/22/87, p. 99. Electric Library. â€Å"Tax and Sin in Moderation.† St. Louis Post-Dispatch 2/26/98. Electric Library.

Sunday, August 18, 2019

Sexual Passion in The Turn of the Screw :: Turn of the Screw Essays

Sexual Passion  in  The Turn of the Screw   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In a criticism on Henry James’s story The Turn of the Screw, Strother Purdy suggests that large amounts of sexual passion may be assumed to exist underneath the surface of the narrative. Purdy says that under a Freudian interpretation of the story, the sexual element is easily recognized and is used as the whole source of the action. According to this theory, the governess wishes to impress her master because she is in love with him and, therefore, exceeeding her authority with the children. Although the governess only sees her master twice, Purdy refers back to what Douglas had said,† it was the beauty of her passion.† Since the master is not impressed by her initial and ordinary course of governessing, she must make up some life-threatening danger to the children so she can rescue them and win the masters love and affection. She figures the danger must be terrible because he told her he did not want to be bothered with matters dealing with the children. He basica lly tells her he cares nothing for the children. Purdy suggests the governess is unconscious in doing this because she is sexually repressed and cannot admit her sexual motives to herself She believes she is actually protecting the children against an outside evil, which happens to coincide with her drive to demonstrate heroism and devotion to the master. According to Purdy, the governess conjures up ghosts because she invited them and willed them to come. Purdy feels the housekeeper plays her trump card and the governess' concern is not for the children but for all that would become of her, her bargain with the master, her relationship, and her passion for him. Purdy finds the following quotes to show her passion for the master and show that this serves as the motive of action. â€Å"She did not know- no one knew- how proud I had been to serve him and to stick to our terms.† â€Å"I set in motion the fine machinery to attract his attention to my slighted charms.