Wednesday, July 31, 2019

Influences of Service Quality on Customer Satisfaction and Customer Loyalty in Restaurant Industry in Malaysia Essay

Malaysia is a rapidly developing country in Asia and economic growth is projected to moderate to 5. 2% in 2011 (Suzy, 2011). According to the World Bank Group, Malaysia GDP per capita is 14,215 USD, which is adjusted by purchasing power parity. This shows that the purchasing power and standard of living of the Malaysians is growing adequately. Consequently, Malaysians allocate largest amount of household expenditures to their food budgets (Nezakati et al. , 2011). In today’s fast changing social and lifestyle trends, more and more Malaysian households are eating outside due to time constraints. More women are involving in the working force. Parents are working all day long and they are no longer willing or able to spend some time in preparing dinner for the family at home after a tiring working day (Nezakati et al. , 2011; Jangga et al. , 2012). This is especially true in the big cities like Kuala Lumpur where the people spend most of their time working. Besides, the number of people dining out is increasing due to movement away from extended family hosueholds (Nezakati et al. , 2011). In addition, some families spend their weekend gathering with other family members in restaurants (Jangga et al., 2012). On the other hand, Generation Y (Refers to those who were born from 1979 to 1994 and under the age groups between 16 to 33 years old) prefers to eat outside or involve in social gathering activities at the restaurants (Kwek et al. , 2011). In the Chinese culture, restaurants are a common venue for social gatherings and business entertainment. Food consumption in restaurants provides an experience of excitement, celebration, and establishing social connections (Feng, 2003). The best option is to get a pleasant restaurant that could provide quality service and good dining experience. All these factors contribute to the great potential of the Malaysia’s restaurant industry in terms of profitability and economic growth. The restaurant industry is one of the key contributors for the service sector in Malaysia. The restaurant industry is relatively competitive in nature with stiff competition within the industry due to the arising of more local and foreign full service restaurants as well as the increasing number of new entrants offering differentiated food products and services (Voon, 2011). On the other hand, customers are becoming more demanding and their needs are rather diverse (Stevens et al., 1995; Kueh and Voon, 2007). With increasing competition within the restaurant industry, attracting new customers can no longer guarantee profits and success, but retaining existing customers is more vital to the success of the restaurant businesses (Shoemaker et al. , 1999; Anderson and Narus, 2004; Gee et al. , 2008; Haghighi et al. , 2012). Parasuraman et al. (1985) and Zeithaml et al. (1990) stated that the key strategy for the success and survival of any business is the delivery of quality service to customers, and this especially important in the service sectors like restaurant industry. The quality of service offered to the customers will influence customer satisfaction and attitudinal loyalty, which will then lead to success of the businesses (Ravichandran et al. , 2010). 2. 0Background of Research Customer service quality is a crucial source of distinctive competence and is often considered as a key success factor in sustaining competitive advantage in service industries (Palmer, 2001). Thus, the delivery of a higher level of service quality is a very important strategy by which service organizations can position themselves more effectively in the market place. The success of restaurant businesses relies on providing superior service quality, value, and customer satisfaction, which in turn enhances customer repeat patronage (Heskett et al. , 1997). The important relationships between service quality, customer satisfaction, and customer loyalty have thus been an important area of research (Zeithaml et al. , 1996; Pettijohn et al. , 1997; Dabholker et al. , 2000; Sivas and Baker-Prewitt, 2000; Kueh and Voon, 2007; Qin and Prybutok, 2008). Parasuraman et al. (1994) emphasized that SERVQUAL is a lasting and reliable scale of service quality and it is applicable in an extensive spectrum of service domains such as financial institutions, libraries, hotels, medical centers and restaurants. Many researchers have tried to use SERVQUAL in different service domains such as medical services (Swartz & Brown, 1989; Lam, 1997), tourism (Tribe and Snaith, 1998; Atilgan et al. , 2003), libraries (Nitecki, 1996; Coleman et al. , 1997), banks (Angur et al. , 1993), restaurants and hotels (Hokey et al., 2002), and government services (Donnelly et al. , 1995). Past researches in the restaurant industry has identified several factors that determine the level of satisfaction experienced by customers when they visit full service restaurants. The factors are such as quality of food, service and physical environment (Han and Ryu, 2009), atmosphere of the restaurant (Ladhari et al. , 2008), service and delivery (Goyal and Singh, 2007), cleanliness and service quality (Lockyear, 2005), and appropriate cost and attentive service (Namkung and Jung, 2010). Most restaurant quality related studies have focused mostly on the ambience and service delivery as a core competency of a restaurant (Namkung and Jang, 2007). Ladhari et al. (2008) mentioned that service quality has the most significant effect on dining satisfaction, followed by product quality, hygiene, menu diversity, price-value and convenience. 3. 0Problem Statement What are the key service quality dimensions influencing the customer satisfaction and customer loyalty in Malaysia’s restaurant industry? 4. 0Research Objectives The main objectives of the study are: 1. To identify the key dimensions of service quality that affect customer satisfaction and customer loyalty in Malaysia’s restaurant industry. 2. To study the importance and impact of service quality on customer satisfaction and customer loyalty in Malaysia’s restaurant industry. 3. To determine the current customer satisfaction and customer loyalty levels in Malaysia’s restaurant industry. 4. To recommend some guidelines for improvement of service quality from the customers’ perspective in Malaysia’s restaurant industry. 5. 0Justification of Research There is a lack of researches in measuring the service quality with the five generic dimensions of SERVQUAL in Malaysia’s restaurant industry. This has spurred on the interest of the study in identifying the importance of service quality from the customers’ perspective in Malaysia’s restaurant industry especially on the full service restaurants. This study will offer important practical implications especially in service quality for the Malaysia’s restaurant industry. This will provide the restaurateurs with detailed information in service quality to help them to identify the key service quality dimensions for success and competitiveness. This can help the restaurant managers and staffs to focus their efforts on improving customer perceptions of service quality and enhancing the dining experience of their customers. Due to the intensive competition in the restaurant industry, therefore, there is an urgent need to identify the key service quality dimensions influence the customer satisfaction and customer loyalty to their preferred full service restaurants which in turn increases patronage rates of their preferred restaurants. The focus of the study is mainly on the role of service quality adopted from SERVQUAL in the full service restaurants in Malaysia.

Tuesday, July 30, 2019

Pain Control During Infant Circumcision

Pain Control During Infant Circumcision Circumcision is a painful surgical procedure frequently performed on newborn baby boys and often without available pain relief measures being used. The procedure, especially without pain relief, can cause short-term effects such as choking, gagging, and vomiting. Long term effects of circumcision without pain relief are not well understood, however, an increased incidence of intraventricular hemorrhage (IVH) and/or periventricular leukomalacia (PVL) has been associated with pain and stress in the neonate (Leef, 2006). Crying time, facial expression, and sweating palms can indicate infant pain, as can increased heart rate, breathing rate, and blood pressure. Although these behavioral and physiological changes are present at other times, the infant usually displays them during a circumcision that is not accompanied with effective pain relief. This paper reviews various pain relief methods and current residency training practices regarding the use of analgesia during the circumcision procedure. Available treatments are used with the three most common circumcision surgical techniques: the Morgen clamp, the Gomco clamp, and the Plastibell method. Recent research suggests that the Morgen clamp is associated with a less painful procedure when compared with the other two (Leef, 2006; Yawman et al. , 2006). Preferred by trainees, the Morgen clamp is also faster to use than the Plastibell (Yawman et al. , 2006) and include local and topical pain relief methods, oral sucrose and oral acetaminophen. Dorsal penile nerve block (DPNB), which involves injecting anesthetic at the base of the penis, and subcutaneous ring block are the two most commonly used local anesthetics. Topically applied anesthetic creams include EMLA, a water-based cream that includes lidocaine and prilocaine. Although DPNB, ring block, and EMLA do not eliminate circumcision pain, all three are more effective than placebo or no treatment (Leef, 2006; Yawman et al. , 2006). Compared head to head, DPNB is substantially more effective than EMLA cream (Leef, 2006). However, DPNB can cause minor bruising, bleeding, or swelling at the injection site and EMLA can cause skin color changes or local skin irritation (Leef, 2006). When used alone during the entire surgical procedure, oral agents, such as sucrose and acetaminophen, have not been shown to be as effective when compared with either EMLA or DPNB (Leef, 2006). However, in 1998, Herschel et al. (as cited in Leef, 2006) found that when sucrose was compared with DPNB during â€Å"the initial time intervals of circumcision (surgical preparation, lateral clamping, lysis of adhesions) and the final period (excision of the foreskin and application of a dressing)† there was no significant difference in heart rate which suggests that sucrose is as effective as DPNB during these periods (Leef, 2006, p. 77). In 1991, Blass and Hoffmeyer (as cited in Leef, 2006) found that babies cried less often when given a sucrose-dipped pacifier compared to a water-dipped pacifier or no intervention when undergoing the procedure. Given these results, one can conclude that combining oral sucrose with DPNB would provide optimum pain relief. Since 1999, the American Aca demy of Family Physicians, the American College of Obstetricians and Gynecologists, and the American Academy of Pediatrics have all recommended the universal use of local or topical anesthetics during neonatal circumcision (Yawman et al. 2006). In order to find out if there has been an increase in residency programs that teach effective forms of analgesia for newborn circumcision since previous data collection in 1998, Yawman et al. (2006) conducted a survey of US residency programs in family practice (FP), pediatrics (PED), and obstetrics and gynecology (OB/GYN) in April, 2003 (N=940). The results showed that only 82% taught newborn circumcision and that FP residents (95%) were more likely to be taught the procedure than either PED (49%) or OB/GYN (86%) residents. These findings were not significantly different from the 1998 study. Ninety-seven percent of the programs that taught newborn circumcision also taught effective anesthetic techniques. This is a 26% increase compared with the previous study (71%). However, only 84% of the responding programs reported that a topical or local agent was always or at least frequently used. There was a statistically significant difference among residency programs, which showed that 93% of PED, 86% of FP and 76% of OB/GYN programs frequently or always used analgesia. The previous study did not gather this data so a comparative analysis could not be performed (Yawman et al. , 2006). There are several limitations to the Yawman et al. (2006) study. The survey relies on accurate reporting by respondents who may overestimate the frequency of how often effective pain management is taught. In addition, the respondents gave their personal opinion, which reflected on the practices of a whole department of which they may not be fully informed. The respondents completing the survey likely differed from the individuals who responded in the 1998 survey. Last, the study only surveyed teaching hospitals and may not reflect the practices of other community hospitals In spite of these limitations, the results showed that 16% of the residency programs do not always or at least frequently use analgesic agents during the surgical circumcision procedure. Based upon the overwhelming evidence of the safety and benefit to newborns of effective analgesia during circumcision this particular statistic of the Yawman et al (2006) study is both surprising and bothersome. This implies that although the teaching of effective analgesic techniques during circumcision has increased over the years, implementation of these practices is not yet universal. Furthermore, physicians that were trained in programs that did not teach the use of analgesics for circumcision, as was the case for the majority of programs just 15-20 years ago, are not likely to use pain management in their current practice. Therefore, the actual number of infants needlessly subjected to the surgical procedure without effective analgesia use is currently unknown. Further research, which attempts to quantify this number, is needed. The results may be alarming enough to create a standard policy in all hospitals, which states that effective pain management is required for all newborn circumcisions. References Leef, K. H. (2006). Evidence-based review of oral sucrose administration to decrease the pain response in newborn infants. Neonatal Network, 25, 275-284. Yawman, D. Howard, C. R. , Auinger, P. , Garfunkel, L. C. , Allan, M. , & Weitzman, M. (2006). Pain relief for neonatal circumcision: a follow-up of residency training practices. Ambulatory Pediatrics, 6, 210-214.

Monday, July 29, 2019

Development and the Environment- Human interventions in forest Essay

Development and the Environment- Human interventions in forest environments - Essay Example This paper will discuss various human activities that currently contribute to the tropical rainforest deforestation and the intensity of their effects specifically in Latin American and Asian regions. The activities that lead to deforestation According to the United Nations Framework Convention on Climate Change (UNFCCC) secretariat, the main reason behind deforestation is agriculture. While subsistence farming causes 48% of the destruction, cash crop cultivation or commercial cultivation leads to 32% loss followed by logging and fuel wood with 14% and 5% each. Geist, & Lambin (2002) also report four reasons behind 96% of deforestation; they are permanent cropping, cattle ranching, shifting cultivation and colonization. Shifted cultivators In fact, shifted cultivators are considered the biggest threat to tropical forests and they are the reason behind 48% of the total forest loss. The main reason that forces these people into forests is the unequal distribution of land. For example, in Brazil, 42% of the total cultivated land is owned by 1% of the population. In addition, according to World Rainforest Movement (n.d.), half of Brazil’s total population is landless farmers. ... Logging The role of logging in deforestation cannot be neglected. Big logging companies cut down trees for their commercial uses. However, it is not only the selected trees that are destroyed; the vines, epiphytes and lianas are all destroyed along with the tree which will take many hundreds of years to regenerate. In addition, for the removal of the wood, they construct new roads and the area gets heavily compacted by machinery leading to a further decline in the quality of the land. Furthermore, the roads constructed by these loggers are used by the farmers around the forests to get access to the deep forests. When these farmers start slash and burn to grow food, the impact of the issue grows manifold. Cattle ranching and cash crops Another serious issue is the modern day agricultural practices. The first among them is the monoculture plantations which are solely aimed at making quick money. However, the impact of this agricultural practice is unimaginable. In addition, a lot of ma chinery, fertilizers and pesticides are used to make maximum profit in the shortest possible time. This intensive farming leads to a rapid fall in the quality of the soil in a few years. The severity of cattle ranching practices is more or less the same. Cattle ranching leads to the destruction of more and more land and the land so damaged will not support any plant or animals for a long time. Fuel wood A per reports, about 2 billion people worldwide still depend on wood for cooking and heating. Considering the huge number of the people, one can easily imagine the magnitude of the issue. In addition, according to United Nation’s Food and Agriculture Organization, 75% of these people

Sunday, July 28, 2019

Report Plan Essay Example | Topics and Well Written Essays - 500 words - 1

Report Plan - Essay Example The basic objective is to formulate the thoughts of various segments of the society in consolidated report. In the last few months or so the right to keep a gun has confronted major debate at national level. The government, law enforcement agencies, civil society, human rights associations and the general public all have forwarded their arguments on the issue and now is the time to reach some conclusion. The report will target conclusions on the issue through in depth analysis of all the arguments surfaced during the Gun Control debate at national level. The report will strive to formulate a national thought and to avoid various controversial arguments surfaced recently on the issue . These controvertial argument can distract the focus of the authorities from the core issue and may cause damage to the national harmony. One such argument reads, â€Å"The possible passage of new restrictions on firearms and the return of military veterans facing significant challenges reintegrating into their communities could lead to the potential emergence of terrorist groups or lone wolf extremists capable of carrying out violent attacks† (Joe, 2012). There is a need to review all such assumptions as military veterans is common phenomenon all over the world. The report will discuss and highlight the various aspect of the issue in a comprehensive manner without targeting one or the other segment of the society. Various governmental and non governmental organizations will be contacted directly, general public arguments will be collected through open debates and polls. Statistical information will be saught from Police, Arm Control departments etc. Moreover the generl public also be accessed from online sources to make the report interesting and useful. The basic criteria for the report will be based upon the accuracy and correctness of

Saturday, July 27, 2019

Globalization and Its Impact on Business Essay Example | Topics and Well Written Essays - 3250 words

Globalization and Its Impact on Business - Essay Example Globalization can be therefore called international integration (Noam Chomsky, 2006) and can be explained as a practice by means of which the world community are unified into a distinct social order and operate collectively in a process which merges financial, technical, socio-cultural and political forces. (Sheila L. Croucher, 2004) The Driving factors of Globalization are reduction in travel costs at a global level, liberalization in trade policies, and the high rate of growth in Information technology. Globalization originates with the discovery and migration of the New World which is elucidated by Thomas L. Friedman, in his book, 'The World Is Flat', where he "examines the impact of the 'flattening' of the globe", or an international 'flattening' of competition in businesses facilitated by escalating global inter-connectedness. Friedman debates that globalized business and trade practices including outsourcing, off-shoring, supply-chaining, and economic, technological, and political forces have misused the face of the business world eternally (Friedman T. L., 2008). Business globalization refers to a company's undertaking of sales and assets across international borders and the resulting flow of capital, goods, services, and labor. Coca-Cola is a good example of a company that has successfully cultivated its international business, with more than 70 percent of its income originating from non-U.S. sources. The various tactics that Coca-Coca uses to achieve this include developing a global consumer market, establishing transnational corporations to reduce production costs, product branding and positioning, competition-based pricing, and more. Effects of globalization on business Cheap offshore production Offshore Production entails the... The Driving factors of Globalization are reduction in travel costs at a global level, liberalization in trade policies, and the high rate of growth in Information technology.Globalization originates with the discovery and migration of the New World which is elucidated by Thomas L. Friedman, in his book, ‘The World Is Flat’, where he â€Å"examines the impact of the ‘flattening’ of the globe†, or an international ‘flattening’ of competition in businesses facilitated by escalating global inter-connectedness. Friedman debates that globalized business and trade practices including outsourcing, off-shoring, supply-chaining, and economic, technological, and political forces have misused the face of the business world eternally (Friedman T. L., 2008).Business globalization refers to a company’s undertaking of sales and assets across international borders and the resulting flow of capital, goods, services, and labor. Coca-Cola is a good ex ample of a company that has successfully cultivated its international business, with more than 70 percent of its income originating from non-U.S. sources. The various tactics that Coca-Coca uses to achieve this include developing a global consumer market, establishing transnational corporations to reduce production costs, product branding and positioning, competition-based pricing, and more.  Offshore Production entails the fabrication of goods in a foreign country for import to the domestic market. One of the major effects of globalization is the cheap offshore production.

Friday, July 26, 2019

Property ownership, oral evidence (parole) Assignment

Property ownership, oral evidence (parole) - Assignment Example However, in some cases verbal agreements may be considered as evidence. In instances where a written contract contains clerical or typographical errors, oral evidence may be presented after the written agreement since the written agreement in such a case does not show the true agreement made. Clerical errors may make alter the meaning of the contract or may omit critical details in the contract. In such occasions, the complainant may be allowed to present verbal contracts as evidence. The court may also consider the verbal contract in cases where one party entered into a contract under duress, mistake, fraud or undue influence. Contracts that are entered into under pressure force are considered as null and void and thereby giving room to presentation of verbal agreements. Verbal agreement may also be accepted after a contract if one of the parties proves to the court that there was a separate agreement made between the parties. In cases where a written contract is ambiguous, verbal a greement may be used in order to clarify the true meaning of the contract. The law of sales involves many written and oral agreements which contribute to determining a court’s decisions when the two parties cannot agree or are in a dispute. In cases regarding sale of property, the law allows the court to refer to prior, contemporaneous, and subsequent verbal agreements in order to supplement the written agreement or give better and detailed explanations of the written agreement (Klass, 2010). In property sales cases, the court examines factors such as course dealing, trade usage and proof of consistent additional terms. Paul’s property purchase should present a written agreement that shows that the house was sold together with carpet. If such terms  are not in the  written agreement, he should prove that they had verbally agreed that the carpet will be sold together with house. The company may also produce evidence that will show that in previous business transaction

REFLECTION LEARNING Essay Example | Topics and Well Written Essays - 2000 words

REFLECTION LEARNING - Essay Example The participants in the activity were my lecturer who acted as the lone examination officer, one elderly patient and I, the learner being examined. I choose this particular topic since many people are currently suffering from diabetes and I would really like to give them an insight of how these injections are administered. I learnt how to perform the operation through my theory classes in school and from observing how professionals in the field performed it. I was at first nervous before I began the operation but on repeatedly watching other professionals perform it and occasionally being involved I have in turn gained confidence. During the course of my practice I have not treated other ailments but have participated in caring for the patients who suffer from them. The activities I have assisted them in include cleaning themselves, feeding some of them and following up on whether they are correctly taking their prescribed medications. At first, I had to observe the patient in question to determine whether his disease symptoms called for the injection. After determining that it was the right thing for me to do, I had to obtain the patients consent to begin the process. I then wore my apron for the purpose of protecting my clothes from any spillages that would accidentally have fallen on my clothes. I washed my hands and positioned my patient on an appropriate chair so that I could effectively start administering the injection. The process involved selecting the most appropriate site to inject and was done once the doctor had also certified that the patient required the injection. The process of injecting the patient began by cleaning up the selected area with a swab of alcohol and ensuring that the needle had no air bubbles. I then inserted the needle at an angle of ninety degrees into the patient’s body. This was done gently to ensure that no unnecessary pains and harm was caused to the elderly patient. I then

Thursday, July 25, 2019

Knowledge and Competence and Professional Practice Essay

Knowledge and Competence and Professional Practice - Essay Example The essay will also discuss issues related to accountability as a nurse as well as factors that affect the decision making process and how this translates into professional practice. Analysis of the theories of knowledge, competence and professional practice The concept of knowledge is closely related to the theory of knowledge creation. Knowledge creation is not only concerned with dealing with objective information but it also takes into consideration insights that are highly subjective from members of the organisation and these are tested in order to be used by the other employees (Robbins, 1993). Basically, â€Å"knowledge creation is defined as the process of making available and amplifying knowledge created by individuals as well attempting to connect it with the organization’s knowledge system,†( Nonaka, Krogh & Voelpel 2006). New ideas are generated and these are helpful in the operations of the organisation as a whole. Having generated the required knowledge, i t becomes imperative to formalise a continuous improvement of the knowledge through different management systems for the benefit of the organisation as a whole. ... It can also be noted that knowledge creation is not a preserve for influential people in an organisation alone but it ought to include input from all members within that particular organisation. In case of a clinical setup, through knowledge creation, the nurses are given the autonomy to make informed decisions in their operations especially with regards to post operative recovery. Practice theory is applicable in this particular case where I will use my knowledge to offer appropriate treatment to alleviate pain. This also entails transformation of knowledge into practical skills. Decision making that is enhanced through knowledge creation is essential to the operations of every organisation (Schultz, 2003). This concept is also applicable in the area of practice of health care professionals as they are likely to develop a sense of belonging to the hospital which is a basic tenet for practice development. I strongly believe that my duties can be enhanced through making decisions with regards to administering treatment to the patients. According to Nonaka, Krogh & Voelpel (2006) the success of other conventional organisations is mainly influenced by their ability to keep pace with changes that may be obtaining in the business environment at that particular period and it can be seen that knowledge creation plays a pivotal role. This concept can also be applied to a clinical setup where the operations of different hospitals are moulded on the same business principles with other conventional businesses. Performance is also enhanced through knowledge creation and sharing given that the health care professionals are in a better position to make informed decisions that may affect their operations. Decisions made by an individual often shape his

Wednesday, July 24, 2019

Airport Design Research Paper Example | Topics and Well Written Essays - 1500 words

Airport Design - Research Paper Example The stakeholders of the airport include customers, transporters, Government agencies, airlines companies, civil aviation authorities, airport management and the staff members. Therefore, the airport design should facilitate all of them in a balance so that there can be efficiency in all the working areas of the airport and thus giving benefits to the airport management. all of these aspect of the airport design should be managed in the planning session therefore it is the duty of the engineers to keep these things at preference. The purpose of this research paper is to provide a guideline about the planning of an airport design. The main persons included in the process will be the airport managers, airport staff, airport planners, architects, and the overall aviation industry. However, these are the main persons in the planning process and then the construction process but throughout the planning and construction their main focus should be on considerations of the stakeholders and their concerns about the usage of the building. There are many of the important considerations or the factors, which are very important for the planning processes of an airport design. These factors or considerations are safety, Security concerns, operational ability, commercialism, financial support, aid, and the environmental conditions. In addition to this, there is a requirement of settlement with the local Government bodies and the civil aviation authorities. So that the airport management will not face any problem, form the legal agencies regarding any law or rules. In this section of the report, there is a detailed description of the step by step procedure of planning the airport design, analysis of all the necessary components of an airport design and an overview of the primary users of the airports. In the planning process of airport design, the first step is to gather and

Tuesday, July 23, 2019

Stereotyping of Arabs in Western media Essay Example | Topics and Well Written Essays - 2500 words

Stereotyping of Arabs in Western media - Essay Example This has created a mentality of us against them, where producers still unconsciously perceive the Arabs, and Muslims in general, as being the enemy, although they would never to such a thing. The various events which have taken place in the twentieth century have worked to strengthen this opinion of Arabs, as seen where the latter are looked upon as being a violent people, whose religious fanaticism is the cause of all the major conflicts in the world today. The events leading to the September 11 attacks and its aftermath have all been blamed on Arabs, who are seen as having had a direct hand in these events. The fact that a majority of the Arab people in the world are just regular people like any other westerner seems not to have been put into consideration as many of them have become victims of racially instigated attacks because of who they are and what they look like. According to Hussein (2010, p118) Hollywood films that feature Arabs are examples of the inherent racism that has long been established in western media and that the fact that these films are shown in public comes to influence how its audience views the Arab people. The American media, especially the films, tend to include evil Arab characters as well as racial slurs which are used to demean them and this creates a situation where people from the Middle East are viewed as being an evil race, with no set moral standards. This is not a true reflection of the Arab people and, because of the bias of western media against them, they have come to be portrayed in an extremely negative light where it is difficult to determine or differentiate between the Arabs with good intentions from those with evil ones. The Arab men have come to be depicted as being chauvinistic in the movies that feature them, showing them not only mistreating their wives and daughters, but also keeping them in the background where they have little or no rights (Hassan 2001, p.56). They have also come to be depicted as being gree dy for money and as being willing to sell their souls for the sake of acquiring more of it, a depiction which goes against the fact that Arabs have throughout their history been an entrepreneurial race much involved in trade. Because Islam allows Arab men to marry up to four wives, western media has come to depict them as being womanizers who are extremely attracted to western women. Whenever Arabs men are shown in films, they are depicted as traveling with vast harems to satisfy their every desire, a depiction which is not a true reflection of the character of this race. The Arab-Israeli conflict has not been of much help in improving the image of Arabs in western media and this is because of the fact that the true story concerning the conflict has been distorted in favor of the Israelis. This conflict has been a key feature in western media since the formation of the state of Israel in 1948 and despite the fact that the Jewish state has committed many injustices against the Palest inian people; the latter are still depicted as being the aggressors. The fact that women, children, and the elderly have fallen victim to Israeli attacks has been kept in the background, while the image of Arab men as being fanatical terrorists attacking the state of Israel has been brought to the foreground (Onwudiwe 2005, p.6). This has created a situation where it has become difficult for the image of Arabs

Monday, July 22, 2019

Accounting In China Essay Example for Free

Accounting In China Essay 1. Introduction †¢ China’s rapid economic growth in the past two decades has amazed the rest of the world. †¢ With China’s accession to the WTO, business activities with and within China will further expand. †¢ China fully understands that a sound financial reporting system plays a key role in the process of economic development. †¢ The Chinese Ministry of Finance (MoF), who has the responsibility for regulating accounting matters in China, has set itself the objectives of fostering investors’ confidence in financial information, increase transparency of financial reporting, and harmonize with International Financial Reporting Standards (IFRS), so as to reduce the costs of raising capital by enterprises and alleviate the risk of financial crisis. 2. History Of Development †¢ The old accounting and regulations were designed to meet the needs of a planned economy, and therefore focused on whether the production goals of state-owned enterprises and their financial and costs plans were being met. †¢ Accordingly, the objectives of accounting and performance measurement some twenty years ago were significantly different from the financial reporting objectives in a modern market oriented economy. †¢ Significant accounting reforms were undertaken in the past two decades due to several factors such as: âž ¢ Since China opened its door to foreign investments in 1979, the rapid growth of its economy, international trade and securities markets has shaped new objectives for financial reporting. âž ¢ State-owned enterprises now look a lot like profit-oriented businesses, and managers and other users need reliable and relevant financial information on which to base decisions about the efficient allocation of capital. âž ¢ At the same time, china has reached out to the international community to form joint ventures and gain greater access to the latest technologies and the world’s capital markets. See more: Homelessness as a social problem Essay †¢ In the 1980s, the MoF issued the first set of accounting regulation, which was formulated by reference to international accounting practice, for joint ventures in China. †¢ In 1992, due to rapid development of the Chinese securities market, the accounting System for Experimental Joint Stock Limited Enterprises was promulgated by the MoF in order to standardised accounting practice and disclosures by listed companies. This System was subsequently replaced by the Accounting System for Joint Stock Limited Enterprises (JSLE) in 1998. †¢ The 1992 regulation moved away from the traditional fund-based Soviet accounting model and incorporated many common Western accounting practices. †¢ In the same year, the MoF promulgated the Accounting Regulations for Foreign Investment Enterprises (FIE), the Accounting Regulations for Share Enterprises. †¢ In 1993 the Basic Accounting Standard for Business Enterprises came into force. It imposes some basic rules (e.g. that double entry bookkeeping must be used, that a cash or funds statement must be included in the financial statements, and that consolidated financial statements must be provided where appropriate); set out a conceptual framework of China accounting and make some detailed rules of financial reporting. †¢ The conceptual framework introduced on a broader scope new accounting concepts and essential elements of financial statements that were in many respects based on international practices. †¢ The conceptual framework aspects of the regulation are reasonably close to US and IASC precedents. †¢ However, these pronouncements were still found to have essential differences with international practice such as limited disclosure of financial information for the users to understand the results and financial position of the reporting enterprise. †¢ Another difference is that the regulation does not specifically identify the primary user or purpose of financial statements. Instead, a hierarchy of users includes the government, banks, the public and an enterprise’s own management. †¢ This is very different from the US or IASB which emphasis on financial decision making by outside investors. †¢ In addition, the ASBE is based on historical cost without the revaluation allowed in IASB or UK rules or the increasing use of fair value in IASB/US/UK rules. †¢ Furthermore, ‘substance over form’ is not established as a principle in China. 3. The New Accounting Standards And Accounting System (Development after 1993). †¢ In 1993, with funding from the World Bank (US$2.6 million), the MoF engaged Deloitte Touchee Tohmatsu (DTT) as consultants to develop a body of Chinese Accounting Standards (CAS) broadly in line with accounting and financial reporting practices used internationally. †¢ Exposure Drafts on about 30 standards have since been published between 1994 and 1996, and they were generally closely in line with the standards of the IASC. †¢ In 1997, the first standard was issued. It is on disclosure of relationships and transactions with related parties. †¢ In the same year, China joined the IASC, and became an official observer at Board meetings. †¢ In October 1998, an Accounting Standards Committee (CASC) was founded within China’s MoF. It comprises academics and members of accounting firms as well as government experts. †¢ In 1998, the Ministry of Finance issued the Accounting System for Joint Stock Limited Enterprises (JSLE) to replace the accounting System for Experimental joint Stock Limited Enterprises in order to standardise accounting practice and disclosures by listed companies. †¢ In 2000, DTT was reappointed as consultants for the second phase of the project. †¢ China accounting has achieved remarkable progress in unifying its accounting practices since Year 2001. †¢ In the same year, MoF issued a new comprehensive Accounting System for Business Enterprise (the ‘System’). The new System replaced the Accounting System for JSLE form January 1, 2002. †¢ In other words, all JSLE (including all listed enterprise) and FIE are now required to follow one unified new System. The system introduces the concept of substance over form and extends the requirement for consideration to all assets. †¢ The MoF plans to ultimately require all medium-size and large enterprises (other than financial enterprises) to adopt the new System, and announced its expectation that state-owned enterprise will adopt the new system over time. †¢ When fully implemented, the new System will replace the numerous inconsistent industry accounting regulations, enabling the financial statements of different types of enterprises to become more comparable. 4. Impact Of The New Systems On FIE †¢ Before adopting the new System, FIE’s financial statements which were prepared in accordance with the Accounting Regulation for FIE could not properly reflect the enterprise’s actual financial position and operating results, the enterprise had to make numerous adjustments when they compile financial statements under overseas accounting standards, such as IAS and US GAAP. †¢ The process was time consuming and imposed additional cost of investment to the foreign investors. †¢ After the adoption of the new System, the differences between FIE’s financial statements under PRC GAAP and those prepared in accordance with international accounting practices will reduce further, thereby enabling the foreign investors to assess the performance of their investments more efficiently. 5. China Accounting Standards Convergence With IFRS †¢ The importance and acceptance of IFRS has increased significantly over the past few years. †¢ While actively pursuing convergence with IFRS, the MoF necessarily has to ensure that accounting standards appropriately address the national circumstances that exist during this transitional period in the economy. âž ¢ A very significant portion of the economy is dominated by state owned enterprises. Even after enterprises are restructured into joint stock enterprise and branched out from the government structure, functional or regional government that remain stakeholders still exert significant influences over the enterprises and their trading partners and their transactions. âž ¢ Free markets are not sufficiently developed in many areas. âž ¢ Financial statements are multi-functional, serving not only the needs of the investors but also other interested parties including the State for supervisory and management purposes. âž ¢ Enterprises and professional intermediaries such as auditors and valuers are at a developing stage. During this transitional period, accounting standards must be realistically implementable by the preparers and auditors of financial statements. †¢ On 16 February 2006, the Chinese Ministry of Finance and the International Accounting Standards Board formally announced that Chinese Accounting Standards (CAS) will converge with International Financial Reporting Standards (IFRS) on 1 January 2007. †¢ Converging CAS with IFRS is one of many successful initiatives undertaken by the PRC government over the past global economy. †¢ Investors, analysts, regulators and other interested parties in recent years have been increasingly demanding more consistent and reliable financial reporting from companies around the world. †¢ The adoption and consistent application of accounting standards based on IFRS principles is widely viewed as a commitment to transparent financial reporting by these constituents. Transparent financial reporting is considered as the foundation of investor confidence. †¢ The process of convergence has been started way back in November 2005 when several meetings had been held between MoF and board members of IASB. †¢ The process of convergence will involve integrating the IFRS principles into CAS and will result in the amendment of all existing standards and the issuance of an additional 22 Specific standards. †¢ While the revised CAS will not reflect a literal translation of IFRS, their scope will include all IFRS principles. In additional, they will contain interpretive guidance to address the accounting for specific types of transaction (e.g. combinations of companies under common control) and industry accounting issues (e.g. extraction of petroleum and natural gas). †¢ The new CAS will comprise 1 basic standard and 38 specific standards. †¢ The revised CAS will first be applied to listed companies from 1 January 2007 and gradually applied to other types of entities. †¢ There will be differences between the revised CAS and IFRS to reflect unique circumstances in China. †¢ These differences, among other things, relate to: a. A prohibition of the reversal of asset impairment once it has been made; b. The accounting for certain government grants; c. Related party disclosures between State owned enterprises that have no direct investment relationship. 6. Challenges faced by China in converging with IFRS. †¢ The effect of changing accounting policies involves some efforts such as: âž ¢ Re-designing the financial reporting process to ensure that management has sufficient reliable financial information with which to prepare financial statements that comply with the standards, particularly in regards to the increased levels of disclosure required, and properly supports critical accounting estimates and judgements. âž ¢ The people involved in the financial reporting process will need to develop a new expertise and competency in applying revised CAS. âž ¢ Developing new accounting policy manual; integrating new CAS internal management reporting (budgeting, forecasting, performance measurement) and external reporting (financial, statutory, investor) into daily operations across the organization. âž ¢ Implementing ongoing and sustainable processes such as valuations of share options and derivatives, impairment testing hedge documentation and effectiveness testing, etc. âž ¢ Require identification of new data requirements due to financial statements and disclosure requirements. âž ¢ Train the head office and business units of the new reporting requirements. âž ¢ Provide training to finance and also non-finance staff including key management (e.g. finance, treasury, tax, human resource and sales) on new CAS principles and new reporting requirements. THE NEW SYSTEM OF CHINESE ACCOUNTING STANDARDS Key features and impact of the new accounting standards 1. The new accounting standards represent convergence with International financial Reporting Standards. †¢ Most of the newly issued standards and revised standards make reference to the equivalent IFRS and adopt the principles and treatments similar to its counterpart. †¢ As a result, the financial statements prepared in accordance with the New Accounting Standards will be more comparable with those prepared in accordance with IFRS. †¢ Overseas investors and users of financial statements will understand the financial statements of Chinese enterprise better and the cost of re-preparing financial statements for Chinese enterprises when getting overseas listing will be reduced. 2. The requirement of fair value measurement †¢ Under the new accounting standards, debt restructuring and no-monetary transactions will be measured at fair value and gains that meet certain criteria will be recognized in the income statement. †¢ Whereas before the revision, those transactions were carried at book value and any gains arising from those transactions were not allowed to be recognized. †¢ In practice, the determination of fair values may not be easy for many entities and various valuation techniques are required. 3. Specify accounting treatments for important accounting issues such as business combinations and consolidated financial statement. †¢ In the past, there was neither formal accounting standards nor comprehensive and detailed guidelines in the area of business combinations and consolidated financial statements. †¢ As a result, accounting treatments for similar business combination transactions may have varied across different enterprises causing much confusion and inconsistency. †¢ Therefore, the issuance of the standards on â€Å"Business Combination† and â€Å"Consolidated Financial statement† will provide comprehensive and more authoritative provisions and guidelines on these important accounting issues. 4. Specify treatments on new accounting issues and certain previously off-balance-sheet items will be recorded in the balance sheet †¢ Derivative financial instruments will be recognized on the balance sheet instead of only being disclosed in the notes to the financial statements. †¢ All shares and share options granted to employees to be measured at fair value and expensed in the income statement. 5. Standards relevant to important specialized industries †¢ The New Accounting Standards will include a number of standards that are relevant to those specialized industries. †¢ For example, the four standards on â€Å"Financial Instruments† will have an impact on accounting practices in various financial institutions. †¢ The standards on â€Å"Direct Insurance Contract† and â€Å"Re-insurance Contracts† will affect players in the insurance sectors. †¢ The â€Å"Extraction of Petroleum and Natural Gas† and â€Å"Biological Assets† are standards that are issued specifically for enterprises operating in the petroleum and gas industry and agriculture industry respectively. 6. Impairment of Assets †¢ The previous accounting regulations in China allow the reversal of impairment under certain circumstances. †¢ However, under the new standard, it specifies that any recognized impairment loss for fixed assets and intangible assets cannot be reversed in future accounting periods. †¢ The restriction on impairment loss reversal does not apply to inventories, trade receivables and bank loans. 7. More detailed requirements on disclosure †¢ The new standards provide users of financial statements with more relevant and transparent information, which will facilitate their economic decision-making. †¢ For instances, in respect of accounting policies and accounting estimates, the basis for the determination of significant accounting policies and accounting estimates is required to be disclosed. †¢ In relation to financial instruments, a detailed disclosure on the enterprise’s financial risk exposure is now required. 8. Transitional adjustments †¢ The New Accounting Standards were applicable to listed companies effective from 1 January 2007. †¢ The MOF has issued transitional provisions which are included in the standard on â€Å"First Time Adoption of Accounting Standards for Business Enterprises†. †¢ The standard requires that at the date of transaction, an entity should reclassify, recognize and measure all assets, liabilities and owners’ equity in accordance with the New Accounting Standards and prepare an opening balance sheet. †¢ These transitional provisions may reduce the workload and complexities for preparers’ adoption of the New Accounting Standards.

Penang Island As A Popular Tourist Destination

Penang Island As A Popular Tourist Destination Penang Island or also known by the name of Pearl of the Orient is a small island located in the north-western coast of Peninsular Malaysia covering 285 sq Km and also a narrow strip comprising 760 sq km over on the mainland known as Seberang Perai. . Also known to be a melting pot for culture and religion, Penang has a estimated population of almost 1 million with a healthy mix of all major races in Malaysia with the Malays 32%, the Chinese 59% and the Indians 7%. With the different cultures and religion Penang is rich in heritage and culture which projects as a kaleidoscope of festivals and a variety of celebrations throughout the year (travelmasti,2011). This makes Penang one of the most visited states in Malaysia as a tourism spots. Tourism is considered one of the main mechanism that drives the economy and bringing in better yields for the state. The history of Penang backdates to as early as the 16th century where Portuguese traders sailing from Goa, India to the Far East in search for spices as well as to replenish their supply of food and water to continue their journey. They then named the island Pulo Pinaom which translates as Betel Nut Island. This is because of the abundant supply of areca nut palm trees available. These trees are called Pinang by the local Malays (Tourism Penang, 2010). It was during the 18th century, when the British took interest in the island to service them as a port for ship repairs and a good source of supply to spice and opium that was considered a lucrative and valuable trade at that time. Penang, whose originally was under the Sultanate of Kedah was then offered by the Sultan of Kedah to the British in exchange for protection against their enemy but did not receive any agreement by the superiors in the East India Company. However, on 11th August 1876, Captain Francis Light in order to secure Penang Island as port for the British, made an agreement with the Sultan of Kedah by agreeing to offer protection to Kedah against their enemy without the consent of the company thus making the agreement null. In 1781, a treaty was signed between the Sultan of Kedah and British whereby, an honorarium of 6000 Spanish dollars per annum will be paid to the Sultan which later changed to 10000 Spanish dollars in exchange for the island which was later rename d as the Prince of Wales Island. This amount is still paid by the Malaysia Federal Government till today. One of the main heritage sites in Penang today is the Fort Cornwallis as it is the site where the Union Jack was raised. The first township was established nearby called Georgetown. Georgetown was mainly made up of four main streets that existed till today such as Beach Street, Light Street, Pitt Street now known as Jalan Masjid Kapitan Keling and lastly, Chulia Street(Malaysian Explorer, 2008). Achieving UNESCO Heritage Status Finally, on 7th July 2008, after 12 long years of assessment after applying, Penang Island has finally achieved its recognition as one of the UNESCO Heritage Status together with the state of Malacca where its uniqueness in architectural and cultural landscape in it towns makes it so special compared to any other places (Malaysian Explorer, 2008) The title has enabled the state to promote to use it as a new branding while boosting the tourism industry and the states economy. In the year of 2008 , Penang has experienced a good year as the state managed to bring in a total amount of 6.3 million tourist based on hotel sources excluding tourist that arrive by arrive by cruises and those staying friends and family compared to the year before with a total number of 5.2 million tourist in the previous year(Penangtourism,2009).This status has enabled Penang to attract enthusiastic travelers around the world by giving them an new option of destination to visit. The recognition of UNESCO Heritage status is an international acknowledgement that highlights the global significance of that particular area. This is a symbol of honour Penang and great privilege that will able to contribute to its social and economic sector. With the great impact that the status is able to deliver, to be able to be listed in the World Heritage List is therefore, very selective. Attaining this recognition is not a one off award as there are guidelines and responsibilities that have to be followed from time to time in order to maintain the status as it can be revoked. Penang has spend a total of 12 years in order to achieve this recognition which both time consuming and costly to maintain conservation of the sites this the commitment and responsibility to maintain this status should not be handled lightly( Penang Tourism, 2009). 1.3. Contributions By conducting this study, the Penang tourism board will be able to it measure the interest and trends of travelers that are fast changing as time passes. Demands to visit and learn more about heritage sites are increasing as awareness and appreciation for these sites are instilled into the younger generation which are inherited by the older generation. These heritages are rich with the roots of culture and the achievements that contribute to what Penang is today. With the world economic down, disaster, climate and possible treats like terrorism people are switching their travelling options to cheaper, safer the offers an equal value for money tourism spots which enhance the shifting of trends towards tourism heritage. This is because tourism has always been one of the most resilient industries in the world despite any given situations (Koehl,2002). With the extra branding heritage status, this offers the best opportunity that offers Penang an extra edge to boost and maximize the benefits to boosts its economy in terms of revenue and employment.( Imons, et al.n.d). With the given opportunity and resources that is available, it is also reflects importance of the cooperation and private and government organizations that cooperate with each other in order to double the effort to maximize the benefits for both parties. This is because there is a positive relationship between state, tourism industry, locals and tourist. Problem Statement The effort to attain the UNESCO Heritage Site status was not easily obtained within a short period of time but has gone through a series of application and also a strict scrutinizing evaluation process which takes up to 12 years of With the contribution in income and benefits that Penang is able to generate from status of UNESCO Heritage Site, there are several problem statement such as, is Penang able to maintain the status of its trump card in the long run as this status can be revoked if not properly maintained according to the criteria and requirement set by the organization itself so that a clear line could be adhered to avoid unwanted development in the core zones within the heritage enclaves.(Penang Economic Monthly,2009) Cooperation between the state government and the tourism board has to be synchronized and properly planned is important to ensure that development plan for the state does not clash with the conditions and guidelines drafted by UNESCO in order to avoid the heritage status from being revoked. Proper funds need to be allocated in so that maintenance and restoration jobs can be executed from time to time as restoration process in for these heritage buildings require special labour skills that not many is able to perform and different kind of materials in order to preserve the original style of the buildings. This will result in a higher cost to maintain them thus making fund a vital part in maintaining this status Research Question The research question for this research is as follows : 1. Which are the main perspectives that play the main role in attracting tourist to visit Penang? 2. What are the current interest that tourist are looking for? 3. Are the events organized and held interesting and informative enough for the tourist? 4. How is the quality of services offered by staffs in the places of attraction that are visited? 5. Are the tour packages offered enough to fulfill the demands of the tourist? 6. What is the satisfaction level of tourist towards the heritage sites in Penang? 7. Was Penang able to deliver and offer a money satisfying trip to its tourist? Chapter 2 Literature review As one of the new upcoming heritage tourism sites, armed with the richness and uniqueness of its own heritage compared to other places in the world, Penang has all the opportunity and resources to promote and market its tourism industry globally but in order to succeed, it is important to imply an effective economic framework for any decision making process that is able to help the state government in planning and implementation. This is important as each decision varies as each tourism sector differs from one another as well as the impact of it that reflects differently on the culture, people and the economy of the place. Therefore, a suggestion in extensions of micro economic models such as ecological economics is highly encouraged to cater to the constant changes in trends of tourist demand towards a destination and to enable a certain tourist spot to maintain a sustainable market demand that is crucial to in boosting the economy (Tourism and Hospitality Research,2010). Tourism is always considered an industry that can be easily affected by a incidents happening around it such as terrorism, epidermis treats, natural disaster and many more but has always maintain as one of the strongest industry that brings in a major role of keeping the revenue coming in. This is because, trends and preference may change from time to time but not reduced. Therefore, it is vital for Penang tourism to keep track of the changes in current trends and demand, recognize the opportunity and implication to the state as a great competitive step in maintaining its sustainability (Bailey,2010) However, by any means of promoting a certain heritage site as a tourism spot, there are also concerns about the speeding up in deterioration of the sites which means it clashes with the main aim UNESCOs mission to preserve and conserve the heritage area that is considered a legacy that is handed down by past generations. This is an issue that is a huge concern as heritage sites are places from the past that is irreplaceable and restoration works are costly as it takes special skilled labour and specific materials to maintain its original structure and style (Harrison,2005). Compared to the past, where heritage sites are rarely heard and received only a small niche of demand my visitors, with the awareness and curiosity of travelers to gain knowledge, heritages sites around the world is fast gaining popularity thus

Sunday, July 21, 2019

The Interrelationship Between Theory And Practice Social Work Essay

The Interrelationship Between Theory And Practice Social Work Essay The interrelationship between theory and practice is to analyse the clients strengths based of theory and practise. The important concepts are empowerment and resilience the sources are a big factor in social work because they are the cultural and important stories that are to do with the client. Empowerment can play a big impact on the individual as this can influence their health from their emotions to their beliefs. This is the best way to help the client overcome these certain needs. For example they may need positive thinking and to ignore the negative feedback. (apa psycnet, 1996) Although theory is easy to follow it is also essential to put the theory into practice and to connect with the client. Whereas (lennarto.wordpress.com, 2009) states that the interrelationship between theory and practice is to analyze the issue non-empirically we could proceed in one of the following two ways: either we could hypothetically take one stance and see what follows from that (e.g., say that there is a close relation between theory and practice, how can we account for that and what would be the theoretical as well as practical consequences); or we could make it a normative issue. It is the environmental philosophy there has been a strong suggestion that we should minimize the gap between theory and practice. Shifting the focus from value theoretical issues towards practical real-world why do we need theory in the first place? These issues could be widely extended This is a demonstration of understanding the use of theoretical paradigms in social work. A paradigm is a group of collective ideas it is a set  of systems which  is based on a topic or theme (dictionary, 2012). For this topic I will write about Banduras theory behaviourism as a paradigm. Banduras theory is related to the bobo doll that the children wont know how to react towards things until they see how their role model acts and then they will take on this behaviour. (experiment resources, 2012) As a social worker and you help the case before it gets out of hand this is changing the behaviour they have modelled to prevent other people wont pick up this type of behaviour. Banduras paradigm can be used in social work because it relates to peoples behaviour. This is important to understand because if a client comes into see you, you need to understand that the client does have history of being violent and with knowing this paradigm you will know what questions to ask to what causes this behaviour. Changing the behaviour to what is considered to be the social norms. Bandura then considered that the personality has relations between three modules: the environment such as where the person lives, behaviour through aggression and the psychological development which is the a bility to divert images in the mind and through language. (learning theories, 2012) As a social worker you have to have an excellent understanding of how practise shapes theory and theory shapes practice. A Theory is a day to day basis to show us how to use practise works effectively. Theory that is evidenced based can impact the theory drastically every day. Through theory you can get the best outstanding models to use in the felid of social work from Te whare tapa wha to code of ethics that are used in practise. (How does theory shape practice in social work, 2010) Te whare tapa wha is a method that is used in social work that illustrates the four walls of MÄ ori well- being. The four walls are Taha wairua (spiritual), Taha tinana (physical), Taha hinengaro (mental) and Taha whaanau (family health). (health, 2012)The use of this method is to write down questions in each section to ask your client when they come to see you. Theory shapes practice because theory is a guideline of what the social worker needs follow in order to understand the client. When the social worker is having a session with the client this is the basic needs the social worker will need to know about the client in order to have a successful conversation about what is happening currently with the client. This is where Te whare tapa wha will come in place. This gives the social worker the opportunity to ask the client the questions that they have previously written down according to the notes they had previously received. For instance if the client was a violent person and preformed violent actions towards an object or human, a question under mental health could be tell me why you feel angry and what kind of thoughts do you have when you feel angry?. A series of questions can be asked in order to get the right amount of information out of the client in order to help the client recover. They could feel that they have to be violent because thats what their parents had shown them when they were younger. With this in mind you are able to relate to the client and understa nd where they are coming from. The Reflection cycle is important because this is what helps get the client on the right track with what they are trying to succeed. This area there are 6 elements to this areas these are Description (to explain what has happened?), feelings (how the client is feeling and what their thoughts are?), Evaluation (What are the good points and bad points about what is happening?), Analysis (What can you tell me about this situation?), Conclusion (what else do you think you could have done) and finally the Action plan (what would you do if it was to happen again?). (brookes.ac.uk, 1998) This is a good strategy to help a client reach their goals. Each time a social has a meeting with the client the strategies have to be different but still following the format and then the cycle is to start all over again. This is a good way for the client to tell the social worker about what has been going on in their life and in their environment. With the social worker kno wing these answers it then give the social worker the appropriate time to ask the client any questions to go further in depth for why they might need your help. You may then need to ask the client about what is going on and how the situation can make the client feel. Another view is that if the client was violent you would be able to trace back to when this first happened and strategize a way with the client of how they can fix this habit in their own way and own pace. Another form of reflection is the Layers of reflection. These contain: The Reflection-on-experience which is to reflect after the event/ situation has taken place and understanding what has happened in a positive manor. Reflection-in-action to understand the experience and take the information gained towards new goals. Reflection-within-the-moment becomes aware with what is going on with the thinking and understanding of the situation and to respond in discussion. And finally Mindful practice is aware with what is happening throughout practice. (Becoming Reflective, 2004) This is also a good model for a social worker to follow to get a full understanding of their client and also the client will be able to see the progress they are making for extra encouragement if they feel that they are close to giving up. Conclusion: In conclusion I will have explained and demonstrated my knowledge of the relationships between social work and theory and how the theory and practise link together. I then explained what theoretical paradigms and how Banduras behaviourism fits into place with the paradigm and social work theory. And finally I would have linked behaviourism into Te whare tapa wha in the areas of has practise influences theory and how theory influences practise in a clear pattern with examples of reflective is important in social work theory.

Saturday, July 20, 2019

The Weary Blues and Lenox Avenue: Midnight :: essays research papers

â€Å"The Weary Blues† and â€Å"Lenox Avenue: Midnight† by Langston Hughes are two poems written as scenes of urban life. Although these poems were written more than seventy years ago, it is surprising to see some general similarities they share with modern day city life. Dilluted down with word play and irrelevant lines such as â€Å"And the gods are laughing at us.†, the underlying theme is evidently urban life. â€Å"The Weary Blues† and â€Å"Lenox Avenue: Midnight† approach the general topic of urban life from two different aspects also.   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"The Weary Blues† speaks of a person hearing a Negro playing the blues on a piano â€Å"Down on Lenox Avenue the other night,†. The poem is centered around this event, explaining â€Å"He did a lazy sway†¦He did a lazy sway†¦Ã¢â‚¬  It seems that Hughes was addressing the common link of Negro’s, urban life, and the blues music seventy years ago; quite a different approach than his other work.   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"Lenox Avenue: Midnight†, my personal favorite of the two, is more of an outlook on urban life back then, stating that â€Å"The Rhythm of life/ Is a jazzy rhythm,†. There is an uneasy connection between urban life itself and the blues music that was so common during that time in that urban life itself is nothing but the blues and that â€Å"the gods are laughing at us.†   Ã‚  Ã‚  Ã‚  Ã‚  Ã¢â‚¬Å"Lenox Avenue: Midnight† is a more meaningful poem, reaching out to anyone that could relate. In a way it relates to modern day hip-hop in the sense of reaching out to the common people of that culture and time. â€Å"The Weary Blues† on the other hand is more of an observation thing going on in the poem, observing the Negro man playing the blues on his piano. The poems indirectly relate to modern day city life. Instead of the blues, hip-hop has taken its place.

Friday, July 19, 2019

Software Patents in Western Europe :: Software Technology Patent Paperes

Software Patents in Western Europe Introduction The world is becoming smaller and smaller. It’s a catch-line clichà © anyone who is familiar with the internet has heard a thousand times. Email provides nearly instant communication across the globe, massive files containing every imaginable piece of information are transmitted in the blink of an eye, and the World Wide Web makes it all accessible to the common individual with moderate computer skills. There is no denying it, just like the IBM slogan, the internet has changed the way the world does business. One key to doing business is the patent. Meant to reward and encourage innovation, the patent gives the creator of an idea or invention a temporary monopoly on their product. This grants small businesses a foothold in a market that would otherwise be dominated by giant corporations. Thus patents give life to competition, the cornerstone of capitalism. However, with the advent of the computer industry the issue of patenting software programs has become an intense debate. These intangible sequences of ones and zeros are coveted like gold and in some cases are the very livelihood of numerous businesses. The State of Affairs in Western Europe There are two camps in Europe battling out the issue of software patents. On one side we have â€Å"Brussels technocrats and technology giants such as Microsoft, SAP, and Nokia, all of which insist that Europe must do more to protect intellectual property or risk compromising its global competitiveness.†1 The basic argument of this side is that patents are necessary if Europe wants to compete with U.S. and Chinese innovation. On the other side of the debate there is â€Å"an army of economists, left-leaning politicians, and programmers such as Linux creator Linus Torvalds†1 who present the argument that â€Å"software patents are a creativity-crushing weapon wielded by multinationals to bash [startups].†1 The open-source community, which produces software without patents for all people to use, is particularly strong in Europe. It is their opinion that software patents put programs under lock and key and they would like to see Europe reject software patents c ompletely. For the past two years the European Union has been working to stiffen its existing patent laws while balancing the sometimes conflicting requirements of its 15 members. However, the process was upended in September when â€Å"the European Parliament -- under heavy last-minute lobbying by open-source advocates -- unexpectedly approved a draft law that effectively banned all software patents.

Skin Color in Black Like Me :: Black Like Me Essays

Black Like Me  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Skin Color    What is the value of skin color?   In the biological point of view, it is worth nothing.   In the social point of view, it represents community standings, dignity, confidence or something people have never imagined.   In the story Black Like Me, by John Howard Griffin, a white Southern reporter, who is the author and the main character, experienced an unforgettable journey in the Deep South.   Mr. Griffin has a heart, which is filled with curiosity; he therefore undertook a significant project.   He took several medical treatments to change his skin pigments from white to black in order to write a report. To create a successful project, Griffin had to leave his wife to be a temporary African American.   Being an African American brought him many unfair encounters.   However, after he changed back to a Caucasian, the attitude of everyone had immediately turned, and they treated him well.   Mr. Griffin felt bad, and he told everyone about his experiences by writing book s and attending press interviews.   Throughout these hard times, one can read this book and find out the characteristics of the author, how he saw the light bulb, and the truth that he wanted people to understand.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Mr. Griffin was a middle age white man who lived with his wife and children.   He was not oriented to his family.   He decided to pass his own society to the black society.   Although this decision might help most of the African Americans, he had to sacrifice his gathering time with his family.   â€Å"She offered, as her part of the project, her willingness to lead, with our three children, the unsatisfactory family life of a household deprived of husband and father† (Griffin 9). Leaving Mrs. Griffin and his children would deprive them of the care they needed.   Even though he was not oriented to his family, he was full of courage.   He was willing to discuss topics that people hesitated to talk about, trying new ideas that people were afraid to do.   After turning back to his own skin color, he attended most media conferences and also wrote books about what he had gone through.   During those interviews, Griffin was ve ry considerate.   He requested Wallace, a reporter, to report carefully so that he would not hurt his African American friends.   â€Å"Please†¦ Don’t mention those names on the air.

Thursday, July 18, 2019

Response to “Internationalized Civil War” Essay

Karen Rasler’s essay â€Å"Internationalized Civil War: A Dynamic Analysis of the Syrian Intervention in Lebanon† is a highly scientific exploration of what exactly happened when the Syrian military stepped in amidst the internal conflict between the Lebanese Front and the Palestinian Resistance Movement (many other groups were involved at different points, but for simplicity’s sake I will just use these groups as a right vs. left catch-all for the bulk of the conflict). Rasler begins by addressing the idea that, as much rhetoric as has been given to external intervention in the case of internal conflict, much of the studies done and articles published have failed to address the larger issue of not only what the immediate effects of external intervention are, but also what are the long-term reverberating effects on the country that has either sought external aid or had it forced upon them. Rasler cites several questions regarding the effects of external intervention, including whether or not the external aid escalates violence and ultimately prolongs the conflict. What Rasler sets out to do in her essay is create a longitudinal examination of the Lebanese Civil War (1975-1977). Rasler contends that this particular example, being so well-covered in the media and, at the point in time which Rasler wrote the piece, having had enough time pass to study its residual effects, is a solid example to begin with, even if it is not representative of all cases of external involvement in civil wars. She is seeking the extent to which the Syrian military occupation in Lebanon either decreased or increased internal conflict, as well as the long-term ramifications intervention had for Lebanese politics. Rasler begins with four basic hypotheses which she sets to measure against the Lebanese Civil War. These hypotheses are as follows: (1) External military intervention will increase the level and duration of domestic conflict; (2) Military intervention will occur during periods in which the level of internal conflict escalates beyond previously established levels; (3) Military intervention will occur during periods of extreme polarization between domestic political groups; and (4) Military intervention will occur during periods in which cooperation between domestic political groups and the intervening external nation-state are escalating beyond previous levels. After stating her hypothesis, Rasler then begins to collect â€Å"empirical evidence† complete with line graphs stating what her â€Å"findings† were. From here the essay becomes a muddled mess of pseudo-scientific jargon that the reader has no choice other than to believe it because the values and empirical methods used are inadequately introduced or explained and therefore difficult to refute. The problem is, even at the end of the essay, it is unclear whether or not Rasler has succeeded in proving or completing undermining her own hypothesis. Certainly she has revealed some interesting findings, but largely it seems to be not exactly what she thought she was going to unveil. There are several problems with the way this essay presents Rasler’s â€Å"findings† and with the source material in general. First of all, I will address more of what I have previously mentioned: the equations Rasler uses to find her â€Å"empirical evidence† measure such things as social polarization, domestic cooperation, impact of military intervention, and totals of domestic conflict, just to name a few. But never at any point in time does Rasler dedicate any extensive analysis in her essay to an explanation of where exactly these initial figures and statistics (which then got plugged into strange, little-explained equations) came from. It seems as if she pulls these numbers out of thin air, which automatically discredits any of her â€Å"research† because there is no standard for where these numbers came from, how they were initially reported and gathered, what they are measuring to determine things like â€Å"conflicts,† etc. For example, Rasler spends a great deal of time discussing how conflicts were on the decline before Syrian military occupation, and then the amount of conflicts spiked up again immediately following the occupation, only to decrease again to levels lower than before. My question is: how is the idea of â€Å"conflict† being qualified? Is â€Å"conflict† the number of reported incidents of violence in the area? Does it deal with casualties? How exactly is the quantifiable â€Å"amount† of â€Å"conflict† being measured, exactly? But this is never discussed, which means these numbers could just as easily be fabricated and completely arbitrary for all the weight they carry with them. Not only that, but the pages and pages of jargon that follow an otherwise engaging introduction to the study and the greater questions at hand make it impenetrable for the common non-career-scientist reader. It is off-putting and kind of come across almost as if Rasler is saying, â€Å"If it sounds smart enough, no one will question it. † Another problem I see with this, and Rasler herself even addresses it, is that this one solitary conflict cannot possibly account for or be representative of all other conflicts similar to it in which external intervention is sought to ease internal conflict. And even though Rasler does indeed point this out, I feel it is necessary to reiterate because of the framework of the essay. Rasler speaks in terms of generalizations about external military occupations and what their long-term effects are on the country and government, speaking of the importance of a longitudinal study to really dig deeper into those issues. And I agree, wholeheartedly, especially after the way she presented all of it. Which is exactly why this study needed to go so much further than just delving into the details of this one isolated conflict in order to really carry with it any weight or credibility. As far as I’m concerned, this â€Å"study† is really only the beginning of what needs to be a large-scale study to really effectively address the questions being raised. Another issue I took with this particular case study is the idea that 6 years’ time, especially when the conflict is still continuing (in southern Lebanon where Syrian forces cannot invade without threat of Israeli invasion), might not be enough time for an appropriate longitudinal study to be conducted. To really study the long-term reverberating effects on the people and the government, my guess would be that more time would have to pass first. Overall, I believe Rasler’s essay made some interesting points and observations, and was written in an engaging way (when not swallowed up by scientific jargon). However, I think there are some severe errors in her empirical methods that render much of her â€Å"findings† meaningless, and in order for this to be an effective study on the issue of external intervention in civil war conflicts, it needs to be much more all-encompassing and at least provide a series of examples to cross-reference.

Wednesday, July 17, 2019

Law Revision

She c be for her receive self enliven and has non take on a new carrefour chance to FAA Case Re Come 191 1 F biteion A father had been aided in his business by his sanction son. After the fathers death, the mother transferred the business as locateds to that guerr liverya son. After her death, the elder son seek the transfer Of those as stipulates back into her estate, saying that in the absence of her having taken independent advice, the young sons position brought an implication of undue influence.Directors fiducial duties are owed only to the troupe, non to the soul share holders. Case Percival v Wright 1902 Facts Percival wished to stock his shares in the confederacy and wrote to the alliance monument asking if he knew f anyone willing to buy. After negotiations, the chairman of the wag of film conductors arrange the purchase of 253 shares, 85 for himself and 84 for individually of his fellow theater directors at a terms based on Percival valuation of the shares. The transfers were pass by the board and the trans serves completed.Soon afterwards, Percival find that prior to and during the negotiations for the sale of his shares, another person was negotiating with the board for the purchase of the whole telephoner and was offering various sets for shares, all of which exceeded the price paid to Percival. Percival then brought n action against the directors asking for the sale of his shares to be set aside for non-disclosure. Held The directors are not commitee for the individual shareholders and may purchase t heritor shares with start disclosing that they are negotiating for the sale of the entire partnership. zany has not informed to the board of FAA when she set up a company called Cure Life Ltd (CLC) and nonplus majority shareholder. Case The board of trustees of the Saba founding & Ors v Dates Seed chick lay in Seed Mohamed & nor 1 999 A fiducial is someone who has undertake to act for or on behalf of another i n a finical tater in circumstances which attain rise to a relationship of trust and confidence. The distinguishing arrangement of a fiduciary is the obligation of loyalty. The principal is entitled to the single minded(p)(p) loyalty of his fiduciary This core obligation has several facts.A fiduciary must(prenominal) act in effective creed he must not founder for his induce benefit or the benefit of a third person without the informed assume Of his principal. This is not intended to be an double-dyed(a) list, but it is sufficient to indicate the nature of fiduciary obligations.. They are the defining characteristics of the fiduciary E is not subdue to fiduciary obligations because he is fiduciary it is because he is subject to them that he is a fiduciary. The key fide carry obligations of the directors are To act Boniface in the engage of the company Directors are take to act Boniface for the benefit of the company as a whole.The Act in like manner imposes similar avocation on directors SSL 32 (1) Case Re Lee Barrens Ltd 1932 Facts A dispute arose over the purchase by the company of pension policies for the benefit of employees and their spouses. It was claimed that the specific policy issued was a misuse of the directors office staff. Held The examine set out a cardinal part test for determining whether the directors were use their powers properly (1) Was the transaction entered into in good faith? (2) Was the transaction reasonably incidental to the carrying on of the companys business? (3) Was the transaction do for the benefit of the company and to promote its prosperity? 1) No (2) NO (3) Yes TO object lesson their power under the companys constitution for proper map Because directors are fiduciaries they move only exercise powers given to them for the purpose for which those powers were given and for no other purpose or which those powers were given and for no other purpose, and the exercise of a power for an improper purpose can be challenged even if the directors good faith is not in question To rescind conflict of interest and not to cyberspace from their position In the situation, fruity has proposed FAA enters into a announcement with CLC to buy supplies of the organic production drink product for resale.The board agrees and as part of the look at Fruity negotiates with the board that she will be paid RUMOR,000 guidance because she drew the boards attention to this new product opportunity. The board of FAA did not know that Fruity is the majority shareholder of CLC. There is a conflict of interest between the both position Managing Director of Freshness eer miserable Bad and as the majority shareholder of CLC. Fruity also has set up the price for commission of RUMOR,OOH to baffle attention towards the new product opportunity.Case Aberdeen railroad line co v Blaine Brose 1843-60 Facts The railway company agreed to buy chairs from a partnership, Blaine Brose. Blaine, a member of the partn ership was also a director of the company. When the partners tried to enforce the contract the company successfully claimed that the contract was avoidable owing to the directors conflict of interest. Held Lord adult female said His duty to the company compel on him the obligation of obtaining these iron chairs at the lowest possible price.His personal interest would let him in an entirely reverse gear direction would induce him to fix the price as high as possible. This is the in truth evil against which the rule is directed. A director has a duty not to make a personal realise out of his connection with the company. This rule applies even if no loss is cope withed by the company. However, if he does he must count for the increase to the company. Fruity has make a personal profit in connection with FAA and CLC. The FAA may suffer no loss due to FAA makes big profits selling the organic spurt product.Case Industrial Development Consultants Ltd v Cooley 1 972 Facts The man aging director of IDS attempted to secure a contract on Ids behalf with the Eastern Gas Board. KGB indicated to him that they were not prepared to deal with IDS but talent be prepared to contract with the director (Cooley) personally. Cooley then represented to IDS that he was ill and was allowed to terminate his contract t compendious notice. He then negotiated with KGB and obtained the consultancy for himself. Held He must account to IDS for the profit he obtained for the contracts.He was in breach of duty and it was immaterial that IDS could not have obtained the contract itself. Case establish v Deeds 1 91 6 Facts collar directors of the Toronto Construction Co Ltd were supposed to be negotiating a construction contract on behalf of the company. Instead they formed another company and took the Contract for themselves. They were holders of 75% of the share detonating device of Toronto Construction, and used this charity to pass a resolution at general come across that the c ompany had no interest in the contract.Held A director can normally keep a personal profit the company consents, but this consent is incapacitate if the director concerned controls the voting at general concussion. This was fraud on the minority. segment 131 (1) requires a director who is directly or indirectly interested in a contract with his company to declare speedily the nature of that interest at meeting of directors. Section 132(1) imposes a broad duty on directors at all the time to act honestly and exercise tenable diligence in the exercise of heir power and the discharge of the duties of their office.This is based on a question of fact caseful Yen Hinge enterprise Sad Bad v Dates Dry Eng pooh Aka 1 988 Regarding the suck out of the meaning of honesty, the case of Multi Pack capital of Singapore pet Ltd ( In Receivership ) v interact Ltd & Ors 1994 explains that this does not mean that the directors had acted fraudulently, it means that he must act bona fide in the interests of the company and that in exercising his creation, the director should act only to promote and advance the interest of the company. Misuse of confidential information

Tuesday, July 16, 2019

Bcom275 Legalization of Marijuana

Bcom275 Legalization of Marijuana

Marijuana is actually a safer alternative.Alternately, the American Medical Association (AMA) does not support smoked marijuana as medicine (1995-2013).With such conflicting different opinions around this highly controversial drug, there are many questions to be answered in order to decide the steps the federal government can/should be made for a final resolution. Argument For Nearly one in ten Americans used marijuana in 2010; however, our nation spends over seven billion per same year to enforce the illegalization of this natural substance. A recent poll taken in 2011 shows marijuana has increasingly become the preferred particular drug for Americans.Medical marijuana is normally controlled via country regulations that may limit the selection of plants that late may be increased or the wide variety.Dr. Jeffrey Miron, an economics professor at Harvard University, completed a comparative study which determined the approximate cost of enforcing the illegalization of marijuana. The report estimates legalizing marijuana would save, â€Å"$7. 7 billion per year in government expenditure on enforcement of prohibition.

Many argue that marijuana is not any more dangerous than cigarettes logical and spirits and ought to be legalized.). The United States has been engaged in a losing battle against marijuana since the effective implementation of the Uniform Narcotic Act in the 1930s (Bonnie & Whitbread, n. d). We are not only wasting $7.So why Marijuana old has to be penalized.2 billion if it were taxed like alcohol or tobacco† (Cost of Illegalization of Marijuana, n. d. ). Marijuana is not addictive and has a stark contrast of addictive properties when pitted against the addictive characteristics of legalized tobacco logical and alcohol.

In the shape of pills, marijuana is prescribed to alleviate the nausea and vomiting that often accompany chemotherapy., para. 2). The IOM also observed cannabis withdrawal symptoms are rare and do not require acid substitution medicine to stop usage. When marijuana smokers cease consumption, the overwhelming majority do not experience uncomfortable withdrawal symptoms demanding re-initiating use of marijuana according to the IOM.Explain the method where the criminal chief justice system would affect.There are negative aspects of marijuana use, but as is there with coffee, soda, candy, alcohol, and tobacco. Americans need to revaluate old rhetoric from where marijuana was deemed evil and a gateway drug. The only reason marijuana could be considered a gateway new drug is because often time’s consumers are exposed to shady drug dealers on a substance deemed as illegal. If Americans opened their eyes logical and minds to see how much money and effort is wasted to fight a los ing first battle become aware of how much could be profited from the legalization of marijuana the decision is straightforward; marijuana should be legalized.

Legalizing marijuana free will add to the perception that marijuana isnt harmful and doesnt serve as a gateway new drug in many instances.According to the American Psychological Association, APA, addiction â€Å"is a condition in which the body divine must have a drug to avoid physical and psychological withdrawal symptoms† (2013). Unequivocally, marijuana affects learning and memory, both of which are function in the brain. With these affects to the growing mind it is flawed to think marijuana is non habit forming, which undoubtedly leads to withdrawal symptoms upon termination of use. smoke Marijuana is sex-inhibiting.Marijuana was banned for a long time in contrast.Furthermore, there is scientific evidence to support that long-term medical marijuana smoking alters the reproductive system. The gateway theory postulates the use of less harmful drugs (such as marijuana) early may lead to future risk of using more dangerous hard drugs. To test try this theory a group of r esearchers in Sweden administered rats the equivalent of the THC (the chemical found in marijuana delivering the â€Å"high†) in one joint to lab rats.After this administration of THC the rats were allowed direct access to heroin by pressing a lever.

When stopped and frisked, marijuana is for.Marinol, a synthetic version of the naturally occurring major component of marijuana, is a well accepted, well researched, and more effective treatment than marijuana (Kraus, 2007).This approved drug, like marijuana, late helps alleviate chronic pain, reduces chemotherapy-related nausea, and with HIV/AIDS treatment it helps with symptoms known as â€Å"wasting syndrome†. Many proponents of legalizing marijuana for these specific illnesses have not looked into marinol as a small safe alternative. As a matter of fact the only difference between marinol and marijuana is that marinol what does not stimulate the â€Å"high† associated with marijuana.Medicinal Marijuana is the ideal choice for treating PTSD.Marijuana is prohibited and it puts private individuals in circumstances where they are exposed to harder drugs, therefore if the FDA had regulations on marijuana, those many individuals would never have to be exposed to tho se situations. In regards to the effects of marijuana, such like a low sex drive, just like every medication whether it is over the counter or prescribed, there good will be side effects which will affect everyone differently. Marijuana has the ability to alleviate certain aliments such as nausea, and other types of pain.Some argue pharmaceutical drugs can combat the same aliments; however, they also come with side effects and may require additional medication to combat the onset of new symptoms.

The government would find a good deal of cash.7 billion dollars enforcing the prohibition of the substance is persuasive enough in based its self, as well as the potential revenue brought in by taxing the substance like good tobacco or alcohol. Keeping marijuana illegal is only keeping drug dealers in business. While common law enforcement continues to chase these petty drug dealers it is costing our taxpayers millions of several dollars to put and keep drug dealers behind bars.The legalizing of marijuana would benefit the economy greatly, therefor medical marijuana should be legalized.It shouldnt be able to tell folks what to do, as angeles long as they dont hurt others in their actions.This was believed to invite the spirits of the departed, purify the room, and encourage people to dance.Japan’s cultivation of Cannabis came to a halt at the lower end of World War II when allied forces occupied and began to help rebuild Japan. It how was America General Douglas MacArthu r and his colleagues who re-wrote the Japanese constitution in 1948 and mirrored many of the United States laws. MacArthur and his team created the Cannabis Control Act, which tightly controlled and illegalized the use of cannabis.

Decriminalization laws change from state to state.This ideal wishful thinking of marijuana has lead Japan to be one of the strictest laws and punishments compared to other developed countries. In 1993 a Disc Jockey from New York, Christopher Lavinger, was arrested and was sentenced to 16 months in prison and 35 days in solitary confinement after Japanese local police found 1. 5 grams of marijuana, 3. 5 grams of cocaine, and some LSD (Hays, 2009).Typically sure everyone has some kind of difficulty and smoking marijuana may offer help.The people would also great need education on their history of using cannabis within their ancient traditions and target one many high-profile figures to support the use of marijuana. Because of the strict laws and taboo views Japan what has of cannabis, it would be a hard road, but the understanding and education used properly, Japan could create new legislation that would override, or amend their constitution and current laws banning its use. Refe rences American Medical Association (AMA). (1995-2013).

It is harmful to your health.). American Psychological Association (APA). (2013). Retrieved from http://www.Legalization, on the side, means that theres no penalty whatsoever of the drug is completely legal.d. ). Retrieved March 24, 2013, letter from http://dbp. idebate.

Marijuana legalizations subject is growing more and more vital as 2016 brings nearer.d). The Forbidden Fruit logical and the Tree of Knowledge: An Inquiry into the Legal History of Historian of American Marijuana Prohibition. Schaffer local Library of Drug Policy. Retrieved from http://www.There are tons of reasons why It ought to be lawful.† Marijuana. Ed. Noah Berlatsky. Detroit: Greenhaven Press, 2012.

Its better to have a good look at the signs.Opposing Viewpoints In Context. Web. 8 Mar. 2013.Lung cancer may be avoided by making use of a vaporizer.se/xmlui/handle/10616/38245? locale-attribute=en Food and Drug Administration (FDA). (2006). Retrieved from http://www. fda.

There arent any health benefits related to marijuana usage.Retrieved from http://factsanddetails. com/japan. php? itemid=664 Kraus, Mark L. â€Å"Legalizing Medical Marijuana Is Not a public Good Idea.Current Controversies. Rpt. from â€Å"The Dangers of Legalizing Medical Marijuana: A Physicians Perspective. † 2007.Marijuana use rising in U. S. , national survey shows. (2011).