Thursday, October 31, 2019

Milgram Study findings and importance Essay Example | Topics and Well Written Essays - 2000 words

Milgram Study findings and importance - Essay Example Milgram experiment involved three main characters, namely the experimenter (E), the subject or the teacher (T) and the learner (L). The experimenter (authority) and the recipient or the learner plays some secret roles, not to be known by the subject. The subject is made to believe that for every wrong answer the recipient is subjected to some electric shock, however, in reality; the learner was never subjected to such punishments. The learner who should be an actor plays some pre-corded sound to convince the subject that he/ she actually receives the electric shock. The teacher and learner are put in two separate rooms where they do not see each other, but can communicate to each other. The teacher is provided with some words to teach the learner. The teacher was made to read the initial pair of words then enables the learner to predict the possible match, the teacher also reads for possible answers; then the learner gave his/ her feedback by pressing a certain button to select the correct answer. The teacher would then execute some electric shock to the learner, for every wrong feedback, the shock increased by about 15 volts as the test progressed. However, could the learner give the correct answer, the subject moved to the next question (Walton, 2009). The learner could complain about the heart condition to convince the subject that he/she is receiving an actual electric shock. Furthermore, he banged the wall as a response to the shock stimuli. A subject was expected to stop the test after subjecting about 140 volts to the learner. It was at t his juncture that the subject would actually inquire what the experiment was about. Some subjects offered to continue with the test only after assurance that they would not be held accountable for all the damages on the learner, some laughed it off while some were stressed or depressed on learning that the learner is actually hurt. At some point, the subject wished to stop out of moral belief that the learner was in actual pain, but the experimenter or the authority would order him/her to continue. However, the experiment was stopped should the subject make four or five successive attempts to stop or after subjecting 450 volts of electric shock to the learner, on three successive operations. The experimenter would always assure the subject that the learner would not suffer any permanent tissues damage; hence he was to continue until the learner learnt all the words. To ascertain the result of the experiment, Milgram selected about 100 senior psychology students to determine the response among the 100 subjects or hypothetical teachers. It was found that only three su bjects out of the hundred would continue with the experiment, until the maximum voltage of 450volts was executed to the learner (Moore, 2004). Milgram also selected about forty psychiatrists who ascertained that majority of subjects would quit the test after subjecting the learner to a ten successive shock executions. They also found out that after reaching 300 volts, most subjects would stop the test once requested by the learners, and only three out of the hundred subjects would continue with the test even after the learner stopped responding to the questions, out of the pain from electric shock. It was clear the very few subjects were willing to execute full voltage to the learner, out of moral beliefs. Furthermore, at some point majority of subjects inquired the implication of the experiment, and were willing to give back the amount they were paid. This was out of pity or remorse to the inflicted learners. Subjects demonstrated some degree of stress and depression during the exp erimental session. The majority was sweating, groaning, biting their lips

Tuesday, October 29, 2019

Pre contract cost planning and pre contract cost controlling Essay

Pre contract cost planning and pre contract cost controlling - Essay Example James Nisbet was the first who conceived and developed the technique of elemental cost analysis for construction projects. Nisbet technique demanded the architects to ‘design to cost’ in opposition to the approximate quantities’ method of estimating, which basically involved costing a design: with very little control. Thus, the elemental costing approach facilitated the client to get a more consistent pre-tender estimate, and offered the design team a model so as to control cost at the design development stage itself. As per Nisbet, the cost planning should be developed jointly by the quantity surveyor and the architect and postulated that such close cooperation could, in the long run, result in the integration of the profession of quantity surveyors and the architects as one-stop supply of consultancy firms. In 1962, the cost research panel of RICS (Royal Institute of Chartered Surveyors) established the Building Cost Information Services (BCIS) mainly to gather cost data for the introduction of such cost plans. Now, BCIS has developed a national database in excess of 16,000 element cost analysis, which is available online now. Such data can be utilized to prepare the pre-contract approximating process in the construction sector together to make sure the value for money by assisting the designer to make certain about the most proper distribution of costs well within the concerned project. Thus, cost management is the process of assisting the design team to design to cost instead of the quantity surveyor costing a design (Potts & Ankrah 2013:59). Cost management is a complete process, which make certain that the contract amount is within the approved budget or cost limit of the client. The modus of the design cost control is that by employing the cost planning method which is the evaluation of existing projects into various functional elements so as to offer a means of evaluation between

Sunday, October 27, 2019

Care For Patient Undergoing A Ileostomy Nursing Essay

Care For Patient Undergoing A Ileostomy Nursing Essay The patient involved was supposed to make care of an ileostomy. In this scenario, the patient must eat a well balanced diet regularly and also drink at least six glasses of water. The patient should also try about six small meals per day instead of three large meals. The patient should also insist on eating solid food before taking in any liquid to avoid gurgling in the stomach. Food such as garlic, onions, cabbage, broccoli or asparagus may produce odor. Even if the pouch is odor proof, eating this type of food may create a strong odor while emptying the pouch. It is therefore advisable for the patient to avoid these kinds of foods. Meals with parsley, buttermilk and yogurt can reduce the odor. Thought I intended to reduce the odor that comes as result of the food that the patient may be consuming ignorantly. The odor generates a lot of comfort to the patient and even those who are around him and this can easily lead to stigmatization of the same patients who wanted a close monitoring to ensure quick recovery. Feelings. The feeling at the time was that of sympathy because most of the patients with this condition are highly stigmatized not because of their wish but because of their ignorance. The reason why i designed this schedule was to ensure that such kind of situations is minimized. Evaluation Everything went as planned with a few mistakes due to little exposure to these form of treatment to the patient. Most patients have not been exposed to this kind of medical care and therefore very few of them know either nothing or little about the condition. Fear is a major concern to the patient with some of them still sticking to their traditions and thinking that certain practices are considered taboos in their culture Analysis The reason why there was some success is because of the cooperation by the target patient and also some education on the benefits that are going to be realized if the patient sticks to the highlighted rules e.g. avoiding certain types of food to stop the smell. This was mainly influenced positively by the use of examples and close monitoring of the same patient. Examples highly motivated the patients and giving them chances to test on the issue. Reframe The alternative to this situation is the use of force especially if the patient refuses to follow or adhere to instructions as it was in many cases. Use of force can make most patients to stick to the rules and adapt to them with time. Future action From this case, it is advisable that before any kind of teaching is perform, it is imperative that the patient be thoroughly exposed to some of the practices the are going to help him or her to an easy time during the teaching. The mode of teaching should not entail much detail but just an overview of the practices that are intended to be adhered to on a regular basis by the patient. Reflective account Various gastrointestinal and genitourinary etiologies may need the creation of urinary or fecal diversion. These may include inflammatory bowel disease, diverticular disease, intestinal obstruction, colon-rectal cancer, gynecological cancers and gastrointestinal trauma (Beitz, 2004). Indications for coming up with the urinary stoma include; neurogenic bladder, bladder cancer, refractory radiation cystitis and interstitial cystitis. The cause of the disease will determine if the condition will be a temporary or permanent one (Thomas McGinnis, 2004). Among various types of surgically created ostomies, colostomy involves the opening made on the large intestine to allow for the passage of stool. The location of colostomy can be in sigmoid, transverse or ascending position. In this case, surgical resection will ultimately determine the stool output consistency. Ileostomy is a surgical construction from the small intestine and it is located high in the gastrointestinal route hence the stool output is comparatively of high quantity and liquid consistency (Gordon and Vasilevsky, 2004). Ileal conduit or urostomy is made using a short portion of the ileum to assist in urine elimination. Ureters are connected to conduit to allow urine to flow out of the body into ostomy pouch through the stoma (McGinnis Tomaselli, 2004). Whether the ostomy is temporary or permanent, nurses must posses the knowledge to give the patient and the family the necessary information to improve recovery and enable a positive experience when obtaining information about ostomy care. Patient Education Any patient who is scheduled for an ostomy surgery can experience a number of feelings like fear, anxiety, depression and loss of body image especially if the cause of the surgery is a diagnosis related to cancer. Pre operative teachings assist the patient by receiving these feelings and contribute to quick recovery of the patient (Oshea, 2001). A very important ingredient in the teaching procedure before the operation is the Wound Ostomy and Continence Nurse (WOCN). Counseling before the operation allows for the assessment of the patients knowledge about the disease, support systems, level of education, employment, physical activity involvement, financial concerns and hobbies. Assessment of any physical shortcomings is also necessary because poor manual dexterity, poor vision and loss of hearing may affect the patients ability to undertake ostomy self care. Patients spiritual and cultural beliefs should be also assessed because certain particular rituals concerning ostomy care may n eed to be taken in. Employing all these factors can assist the patient to recover successfully and feel confident in managing the condition (Oshea, 2001). WOCN reviews the cause of the disease, stoma characteristics, surgical procedure, peristomal skin care, dietary considerations and a variety of ostomy appliances. If appropriate teaching proceedings may enable the patient to have an insight of the ostomy pouching system. Use of teaching booklets and illustrations helps to improve the education. Another component of preoperative teaching is the stoma site marking. This is recommended for all who are set to undergo a permanent or temporary stoma (Goldberg and Carmel, 2004). A poorly located stoma on the patients abdomen can lead to peristomal skin complications, stool and urine leakage, stoma, emotional and physical stress for the patient. During stoma site marking, there is abdomen assessment with the patient in sitting standing and lying positions. Also the abdomen can be assessed for the skin folds, bony, creases, scars and prominences. Patients belt and line should be avoided from the stoma site and not affect any prosthetic devices. The stoma site should also be put in an area that the patient can visualize and access. Ideal stoma site is situated in the anal muscle that extends to symphysis from the xyphoid process (Goldberg and Carmel, 2004). Nursing Education In stoma assessment the patient must enter the operating room with the pouching system on stoma. Immediately after the operation the, a transparent pouch is recommended to enable the nurse to have a view of stoma characteristics and stool and urine presence (Goldberg and Carmel, 2004). Initially after the operation period, the stoma can appear edematous, red, shiny and moist. In general terms, the stoma is red to pink in color according to tissue that was used in construction. Brown to dark color may show stoma ischemia and the consultations must be made with the physician. The shape of the stoma ranges from round to oval. It changes its shape and size in a period of six to eight weeks after the surgery. Since the stoma decreases in size with time, the nurse must use a skin barrier that has been cut to fit to the stoma (Goldberg and Carmel, 2004). For the first six to eight weeks after the surgery, measurements of the stoma should be taken each time the barrier of the skin is changed. Measuring guides are provided to measure round stomas, oval stomas will need the length and width measurements of the stoma (Colwell, 2004). Lack of sphincter by the stoma to regulate the passage of urine or stool, then the opening should be placed near the center of the stoma to aid the flow of urine and stool (McCann, 2002). The stoma may not or may protrude out of the skin surface. Stomal protrusion varies from a flush stoma at the skin level to a moderate one which is about 1-3 cm in length (Erwin-Toth and Doughty, 2002). Actually, stoma protrusion should be at least 0.8 inches above the skin level (Colwell, 2004). Protruding stoma helps urine and stool to flow into the pouch directly. A flush stoma is not suitable because it can cause difficulties when skin barrier attaches to it and leakage of stool below the skin barrier leading to peristomal skin irritations. The stoma output is determined by the location of ileostomy. The output resulting form the ascending colon produces a semi liquid consistency whereas the one from the transverse colon produces a semi-liquid to pasty consistency and the one located in a sigmoid or descending colon will be more of a solid stool (McCann, 2002). An Ileostomy stool output is constant and watery with a lot of digestive salt and digestive enzymes. At the initial postoperative stages, the stool may be greenish and thick. The stool output from Ileostomy range from 800-1,700 cc in one day (Colwell 2004). When the patient comes back to the regular diet, there is development of the stool consistency from the ileum and a reduced out put in a daily basis ranging from 500-800cc/day. With time the small intestines recovers and with a decrease in stool output (McCann, 2002). Urine is immediately produced after the surgery by the Ileal conduit stomas. It is usually normal for the urine to be blood-tinged after the operation. Also the small intestines produce mucous which may be seen in urine (Colwell, 2003). Peristomal skin care involves the protection of the peristomal from coming into contact with the urine and stool to stop the occurrence of peristomal skin complications. Skin barrier needs to be properly measured to suit the stoma. If the skin barrier opening is too large, urine or stool will cause irritation on the peristomal skin area. The opening should not be more than 2cm larger than the size of the stoma. Cleanliness of the peristomal skin can be done by gently using warm water then dry it. Moisturizing soaps must be avoided because they affect negatively the skin barrier attachment. Male patients need to be taught trimmed peristomal using electric razor, scissors and other safety devices in an outward manner from the stoma (McCann, 2002). When choosing the pouching system of the patient, the information that was gathered before the operation is heavily relied upon. Other factors to be considered include location of the stoma, its size and shape plus the anatomical location. Pouching system should give anticipated wear time and protect the underlying skin from stool and urine (Colwell, 2003). Most of the pouching systems are designed in a way that the weight is light, easy to maintain and odor-proof (Colwell, Carmel and Goldberg, 2001). One of the most important components of the pouching systems is the skin barrier because it protects the peristomal skin from stool and urine (Colwell, 2004). Skin barriers can be found in either cut-to fit or pre-cut product. The pre-cut models are meant for the round stomas. Barrier opening should fit stoma size to limit the probability of the urine and stool coming into contact with the peristomal skin. The cut-to fit models can be used in oval stomas or the ones which are irregular in shape. The cut-to fit barriers are the commonly recommended in initial postoperative stage because the size of the stoma will reduce for not less than six to eight weeks from the day the surgery was performed. A large skin barrier may cause peristomal skin problems resulting from the exposure to stool or urine (Colwell, 2004).

Friday, October 25, 2019

Essay on the Artful Paradox of Sonnet 66 -- Sonnet essays

In sonnet 66, Shakespeare creates a paradoxical difficulty for himself as a poet. As Helen Vendler points out, the censorship described in line 9 necessitates an absence of art from the poem (309-10), yet coevally Shakespeare must keep the reader interested. He straddles this problem by speeding the tempo, creating questions in the reader’s mind, and representing intense emotions-- all through apparently artless techniques. Most obtrusively, both sound technique and constant end-stoppage speed this poem’s tempo in an apparently craft less way. The sound techniques of sonnet 66 jingle horridly, fulfilling the requirement of artlessness, yet they also speed the tempo, preventing the reader from becoming bored with the poem. Vendler points to the presence of tri and quadrisyllabic rhymes as particular errors (310), but such sound repetition rushes the reader through the poem. Alliteration, as in "beggar born" (2) and "needy nothing" (3); assonance as in "I cry" (1) and "And captive" (12); and consonance as in "and gilded" (5) achieve the same end, though with less apparent craftessn...

Thursday, October 24, 2019

Optical Distortion Essay

I. Executive Summary The dilemma ODI faces is whether introduce its product at a higher price and continue process its multiproduct and multimarket strategy. Based on ODI limited resources and current situation of poultry industry in United States, it should focus on large-sized chicken farms and price ODI lenses at a higher level for the sake of its profits and its future business plan. II. Introduction With the fact existed in poultry industry in late 1970s that most of the chickens in United States were owned by some large farms. Optical Distortion, Inc., a contact lens company, has developed a kind of contact lens applied on chickens considered to hold enormous market potential. However, it is hard for ODI to decide how to price its products and how to extend its business nationwide considering its own limited resources. III. Analysis and Problem Identifications * Consumer Needs and WTP There are various-sized customers: small farm, medium farm, and large farm. They all suffered the loss caused by pecking order and cannibalism, and now most of them adopt the method of debeaking to reduce the impact of peck order, however, debeaking has some defects itself, and no matter what choice farmers make, they would concern following aspects before making the decision: whether the product or service is cost effective; the trauma that would bring to chickens, since traditional depeaking method would cause damage to the chickens in some degrees; the convenience of product usage is important especially for large farm; the after-sale services means if the company can provide professional follow-up services to the farm after purchasing. The larger farms, the more suffered from pecking order, will be more interested in our product and care about more on the quality of product or service and what economic value the product will bring to them. The value of OD I lens for farmers is the incremental benefit over existed depeaking methods minus the switching costs from depeaking to ODI lenses. Therefore ODI should take all the possible benefits that ODI would bring to farmers and also the costs of adopting ODI lens in to consideration. (See Exhibit 1) * Marketing Strategy Price The company agreed on the minimum price of $0.08 per pair, however, benefits the farmers would obtain justify a higher price than it. Nevertheless, with the price higher than $0.08, it would be risky to convince farmers take the products in to consideration seriously until they experienced the products themselves. Because of ODI limited resources, it should obtain maximum contribution as soon as possible to support its increasing fixed cost and variable cost. So I think ODI should price its lens higher than $0.08 per pair from the beginning, and forget the idea about introducing the lenses at lower price and raising it later since chicken farmers would probably not agree. Product Now ODI focus on developing contact lenses for chicken applications, and it is an innovative product for poultry industry that contains many advantages compared to depeaking method. However, it remains some problems like the lenses probably could not be reused. For ODI most potential customers, in this case, large farms, this problem may bring doubts about product’s economic value and ease of use which may increase the purchasing frequency and labor input. In addition, ODI may also think about becoming a multiple-product company in the future after establishing ODI lenses business with large chicken farms. They may consider develop additional product related to poultry industry based on more sophisticated technology and higher-level demand, they could also develop contact lenses for human applications as well as for nonhuman applications. Marketing and Communications ODI mainly focus on two ways approaching to its customers: advertising in the leading poultry industry publications, participating in the most important industry trade shows. I think ODI should continue the strategy and also take a multiple-dimension advertising strategy, such as advertising on some Business-to-Business commercial website related to poultry industry, since most of ODI target customers are large farms. Currently, ODI has one salesperson cover no more than 80 farms and one technical representative for each five salespeople, although it may bring labor cost if ODI decided to hire more people, the number of salespeople might not be enough for ODI to process its â€Å"think-big† strategy and when dealing with its large farm customers, ODI may need more technology representative as well as salespeople. ODI may also seek cooperation with large-sized farms by obtaining long-term licenses from them. Distribution Based on the region-by-region strategy, and the fact that most of the large farms which have the flock size 100,000 and over are located in California region and south Atlantic region, ODI should build its regional office and ware house in those regions and gradually establish the net to cover other regions by setting up smaller-sized regional office or warehouse in regions of lower demand. Promotion Since the customers usually would order large amount of pairs of lenses especially large farms, ODI could offer promotions like if purchasing over some level of amount, they might get a rebate or discount on the products. However, since ODI is still fragile with its limited capital resource and the margin of its products is connected tightly with the price, the price promotion may introduced after gaining more power of capital and coming up other competitors. Before ODI having the capability of processing price promotion, it could improve its service like prolong the time for which salespeople and technology representatives can track the entire course of application. * Competitive Strategy Benefit from its innovative technology and its patent and licensed protection of its products, ODI can hold off competitions for at least three years, therefore, ODI should not relax on its goal of multiproduct and multimarket company in the country, find a way to build brand image and close business relationship with suppliers and consumers, ODI should prepared well for confronting competitors by continuing product update and improving services, and ODI should also protect its proprietary technology by issuing patent. * Intermediary Consideration – Supplier New World Plastics is the exclusive supplier to one of the materials for ODI lens. Because New World Plastic controlled the patents for hydrophilic polymer, on one hand, ODI should maintain the relationship with New World Plastic since ODI obtained a long-term license from it for exclusive use of hydrophilic polymer for nonhuman applications, and New World Plastic agreed not to produce polymer for other firms seeking nonhuman markets, this would provide more time for ODI to expand its influence in industry, on the other hand, ODI should keep the multiple-product strategy so that seek more bargaining power in this relationship and try to diverse risk of depending on limited suppliers IV. Alternatives Evaluation Option 1: Keep â€Å"think-big† strategy with lower price If ODI plan to cling to its multimarket and multiproduct strategy, it should try to open the market as soon as possible, since for now it was limited by its scale and resources, it is hard for ODI to obtain considerable investment. To this end, ODI may consider capturing market at first place, therefore, it should provide price which its customer preferred. However, once the price is introduced, it is difficult for ODI to raise it in the future, moreover, it is urgent for ODI to obtain maximum contribution on account of its current situation. Option 2: Keep â€Å"think-big† strategy with premium price Although farm owners may not recognize the benefits of adopting ODI lenses are much greater than $0.08 per pair, ODI can altering this by advertising extensively or promoting products by free samples and making more approaches to customers. Because ODI lenses are a kind of innovation for poultry industry, and there are certainly no incumbents in the market or competitors in at least 3 years, ODI have some level of pricing power. Given premium price, ODI are able to maintain its marginal profits, and also beneficial for its business expansion, since the margin should cover the costs of additional region offices and warehouse and advertising costs. Once ODI established its ODI lenses business, it can seek more opportunities in the market by expanding its production lines and creating newly favorable categories with additional capital and production capability. Option 2: Keep â€Å"one-product† strategy with premium price Considering its limited resources, it is unrealistic for ODI to expand its production lines immediately, the ODI lenses are still an immature product in market, and ODI will face uncertainties as the project carrying on. Therefore, ODI currently has not extra resources regarding other products and markets. Despite of growing numbers of chickens and farms, poultry industry shows a trend that chicken population are more and more focus on large farms but the growth in number of large farms of over 100,000 flock size is not as rapid as in the number of the chicken that they own (See Exhibit 2). Therefore, the market potential is quite limited in the long run and ODI should open a broader market. V. Recommendations and Conclusion If ODI lenses priced at a premium level at first, ODI could obtain more margin and it don’t need to worry about the difficulties in raising price in the future. It should also focus on improving the quality and services of ODI lenses, try to build up solid business relationship with its suppliers and customers, also find multiple ways of advertising and increasing the customers’ awareness and accessibility of products. For ODI business expansion plan, I think ODI should focus on large-sized farms at the beginning; put aside its business expansion temporally and focus on promoting ODI lenses regionally based on its limited resource. ODI should rely on technology updating, more effective advertising, and better services to build up brand image and occupy market share. After ODI lenses widely accepted by the market, ODI can start marching to other categories maybe poultry related products or non-poultry industry, based on its experiences a nd technology in this field.

Wednesday, October 23, 2019

The Odyssey – the Role of the Gods

The Role of the Gods The role of the Gods is very significant in the Odyssey. The ancient Greeks believed that the Gods were the source of all ideas, and everything that happened, good or bad, happened because of the Gods. However after the Trojan War, Odysseus claimed to the Gods that he did not need them, and he came up with the idea of the wooden horse on his own. This is the sin of hubris and arrogance, one of the sins that angers Gods the most. It is because of this that Poseidon vows to show Odysseus that he is nothing more than a mortal man, and men need the power of the Gods to survive.However according to Zeus, Poseidon cannot kill Odysseus, he can only hinder his journey. It is because of the Gods that Odysseus’ journey home was, in fact, an odyssey. The main Gods that play a part in Odysseus’ journey home are Zeus, Poseidon, Athena and Hermes, however there are also some minor Gods and Goddesses including Circe and Aeolus. Each of these plays their own crucia l part in the journey of Odysseus. The role of Athena is to be a guardian to Odysseus, and to guide Telemachus.There are many ways in which Athena helps Odysseus: She is the one that persuades Zeus to free Odysseus from the island of Calypso, she also calms the stormy winds sent by Poseidon. Also, Athena appears to the daughter of King Alcinous in a dream, convincing her to wash her clothes so that she will discover Odysseus washed up on the shore. Finally, when Odysseus arrives home to Ithaca, she disguises him as an old beggar, so he can roam his kingdom unnoticed, and spy on the suitors of his wife. Athena also plays a crucial role in the life of Telemachus.When Telemachus wants to find more information on his father, Athena appears to him as a family friend Mentor, encouraging him to seek the wisdom of Nestor and Menelaus. She also sends favourable winds to help him on his way. The role of Poseidon is equally as important. It is his job to set obstacles and tasks to prevent Odys seus from returning home to Ithaca. When Odysseus blinds the Cyclops Polyphemus, Poseidon’s son, he swears vengeance on him. Poseidon destroys his raft, and one of his monsters, Scylla, eats six of Odysseus’ crew members.The rest of his crew are swallowed by Charybdis, Poseidon’s whirlpool. Finally, the roles of Circe and Calypso are to tempt Odysseus to forget about his kingdom, and more importantly, his wife Penelope. Calypso holds Odysseus prisoner on her island for seven years against his will. She encourages him to stay on her island forever and to forget about his kingdom of Ithaca. However she eventually lets him go on the orders of Zeus. The reason why the Gods put Odysseus through so much in the first place was because he was arrogant after the victory in Troy.The role of the Gods (particularly Poseidon) was to show Odysseus that all men need the Gods to survive. There was a point in his journey where Odysseus was reduced to nothing. He had no crew, no ship and he was in the power of the Gods. This is where he realised that men are at the disposal of the Gods, and he is no better than anyone else. As a result of his experience with the Gods, and his journey home, Odysseus learns to respect the Gods, he learns the true importance of his family and he learns to always be humble, and never become too arrogant.

Tuesday, October 22, 2019

Free Essays on Suitors, Death Awaits Them

Suitors, Death Awaits Them The Odyssey is about one man’s epic struggle to return to his homeland to deal out a fair death to the suitors who have invaded his son, wife, great hall, and homestead. There are many reasons as to why Odysseus waits so long to kill the suitors, however here we will discuss the few main points, which Homer makes relevant throughout the whole story. Homer shows us that one of Odysseus’s few, but key flaws is the reason to why he postpones the suitors death. Odysseus has a problem with revealing his identity too early, which you will see causes him problems and delays his journey home throughout the story. Also, it will be proven that it is very important to Odysseus’s morality to know if his wife was faithful, what maids and servants were loyal, and which suitors if any did not attend in the unlawful doings to Odysseus and his home. Last but not least, Odysseus also postpones the suitors’ deaths so he can find their weaknesses and their flaws to put them to death by this very meaningful way. Besides the obvious fact of the right place and the right time to clear out the suitors, the preceding claims will show you why Odysseus chooses to wait until everything is perfect for killing the suitors. The first reason that is probably the most important and evident throughout the book is Odysseus’s problem with revealing his identity too early. A persons’ identity, to Homer, is what makes ones life have purpose. In essence, one lives to prove themselves Smith2 to their followers. Whether it is with friends or foes, Odysseus is always displayed with having this weakness, and him revealing it to early only comes back to hurt him. This is ironic because Odysseus is supposed to be a well-controlled man but his anger comes over him in situations with his enemies, which only hurts him in the long run. For instance, as Odysseus escapes the Kyklopes island on his boat, he turns and yells his real... Free Essays on Suitors, Death Awaits Them Free Essays on Suitors, Death Awaits Them Suitors, Death Awaits Them The Odyssey is about one man’s epic struggle to return to his homeland to deal out a fair death to the suitors who have invaded his son, wife, great hall, and homestead. There are many reasons as to why Odysseus waits so long to kill the suitors, however here we will discuss the few main points, which Homer makes relevant throughout the whole story. Homer shows us that one of Odysseus’s few, but key flaws is the reason to why he postpones the suitors death. Odysseus has a problem with revealing his identity too early, which you will see causes him problems and delays his journey home throughout the story. Also, it will be proven that it is very important to Odysseus’s morality to know if his wife was faithful, what maids and servants were loyal, and which suitors if any did not attend in the unlawful doings to Odysseus and his home. Last but not least, Odysseus also postpones the suitors’ deaths so he can find their weaknesses and their flaws to put them to death by this very meaningful way. Besides the obvious fact of the right place and the right time to clear out the suitors, the preceding claims will show you why Odysseus chooses to wait until everything is perfect for killing the suitors. The first reason that is probably the most important and evident throughout the book is Odysseus’s problem with revealing his identity too early. A persons’ identity, to Homer, is what makes ones life have purpose. In essence, one lives to prove themselves Smith2 to their followers. Whether it is with friends or foes, Odysseus is always displayed with having this weakness, and him revealing it to early only comes back to hurt him. This is ironic because Odysseus is supposed to be a well-controlled man but his anger comes over him in situations with his enemies, which only hurts him in the long run. For instance, as Odysseus escapes the Kyklopes island on his boat, he turns and yells his real...

Monday, October 21, 2019

Expository Essay on Depression

Expository Essay on Depression Expository Essay on Depression Even though depression entails one having sad feelings, it is actually a condition that is by far more than merely having some degree of sadness. This is because the magnitude of sadness that one feels when depressed is so intense, it may also be accompanied by numerous other symptoms. There are many types of depression, one of which is referred to as the major depressive disorder in clinical terms. This type of depression is serious because the individual is depressed for a large portion of a day, year-round. The symptoms for this depression include loss of interest in favorite activities and an unexplained gain or loss in weight. Insomnia, difficulty i falling asleep, is also one of the many symptoms. An individual who has a major depression is also more likely to feel like he or she is dissatisfied with all that life has to offer. The other symptoms of this condition include feeling very tired the entire day, even without having done any work, experiencing trouble when concentrating and in one trying to make decisions. Doctors usually diagnose this depression if a patient has suffered five or more symptoms, if the patient has been experiencing the aforementioned symptoms for a period of two or more weeks, and if one of the symptoms is the loss of interest in activities that the patient once found very interesting. Major depression can be treated with a mixture of therapy and medication or the taking of antidepressants. When these two methods of treatment do not work, some of the other treatment options that may be suggested by physicians include those of repetitive trans-cranial magnetic stimulation and electro-convulsive therapy. These methods work by using magnetic fields to stimulate certain parts of the brain in order to help an individual to work better or even have better control of their moods. The other major type of depression is the persistent depressive disorder which is a type of depression that can last for at least two years. This type of depression has numerous symptoms which include a drastic change in one’s appetite where one eats too much food or not enough. This type of disorder also greatly affects an individual’s sleep patterns, either causing the patient to sleep too much or too little. An individual suffering from persistent depression also tends to be fatigued for most of the day and generally feel like he or she lacks energy to perform even the simplest of tasks. This lack of energy, in turn, causes the individual to experience low self-esteem and to generally develop a feeling of hopelessness. As we can see, depression is a serious condition that requires medical attention. If any of the symptoms occur, it is essential to consult a specialist to prevent a big issue. Our custom essay writing service can easily write your expository essay on depression from scratch. Just visit our companys website now!

Saturday, October 19, 2019

A Child Safety

Children and personal health and safety A parents worst nightmare is for a child to be hurt or abducted by someone. Here are simple tips for children’s health and safety for children of all ages. A parent’s worst nightmare has to be their child being hurt or abducted by a stranger. When dealing with a small child, there is little they can do to get away from an adult who has decided upon a hurtful course of action. There are precautions that can be taught to children that will improve their safety and chances of getting away. We are all taught from birth not to bite. This has been a die-hard rule in most households from the beginning of time. For their own safety, children need to learn WHEN and how to bite. During an attack, teeth can make a formidable weapon. Teach your children to use this to their advantage. Biting doesn’t have to be limited to the attacker’s hands. Have your children know it is OK to bite arms, legs, stomachs, ears and necks. When they do bite, have them geared to draw blood and take a piece of the attacker with them. Head butts can be extremely effective as well. For your child to do one properly have him practice it on you. One word of caution, make sure you keep your face averted from your child’s head. When an attacker grabs a child, they often do so in a bear hug manner. This means they wrap their arms around the child’s body while making the arms impossible to move. In this situation, the child can drop their head forward onto their chest, and then slam it back into the attacker’s face with as much force as they possibly can. Have them practice yelling at the same instant to focus their strength. A good solid hit by what all parents know to be a hard head, can cause a broken nose and spilt lip. Both of these conditions are painful and cause tears and swelling around the face. In this article, it is explaining what you need to do as a parent to protect your child from being harm or kidnap. It is probably the worst fear that a parent will go through, but if the child is prepared then he/she could protect him/herself from the attacker. In these few paragraph it explain how a child’s bite can be affected and how a head butt can cause serious damage. If a child is caught in a situation he/she could bite on the ear, neck, shoulder, legs, arms and stomach. The website does state that the child should draw out blood from the attacker. This will let the attacker bleed or cry giving your child to run away from the attacker. Another attack is the head but. The child can force pain to the attacker that the attacker can bleed with a broken nose or a split lip. You can practice this with the child but you have to be careful because you can get injure. In the website there are other advice that if an attacker tries to harm the child. The child could defend themselves by breaking the grip of the attacker by bending a finger (either thumb or pinky finger) backwards which will break. Also, if the child is being kidnap then he or she should draw attention to him/her by yelling rape, fire, help, pervert and shouting No. I believe that we should tell our children that it’s not OK if a person touches you and you didn’t want them to. We should also emphasize that they could come to you when this situation happen. And tell him/her that it is not there fault. In this article there are some guidelines that parents should obey. This teaches them that a child could defend themselves if the situation arises. This situation is a parents’ worst fear but if you prepare them then the child will know what to do.

Friday, October 18, 2019

PERFORMANCE MEASUREMENT AND MANAGEMENT Essay Example | Topics and Well Written Essays - 2000 words

PERFORMANCE MEASUREMENT AND MANAGEMENT - Essay Example The performance management system at Thermo Scientific is majorly past-performance oriented. There is a very Limited focus upon future performance i.e. evaluation of an employees potential or setting future performance goals or his suitability for handling bigger responsibilities. Since the rating scale ranges from 1-4, less chances of a bell shaped curve resulting due to Forced distribution. Use of Bell curve creates a lot of dissatisfaction amongst employees as this system leads to forced categorization; reduced organizational flexibility even for deserving candidates. A component of self appraisal for employee’s involvement & commitment to the improvement process could be added. Citation of reasons for variations between ‘expected’ & ‘actual’ performance should be a necessary component of self appraisal.67 Competencies vary across managerial levels. But, in the performance appraisal form, no such categorization seems to have been made. The same form applies to all the employee designations. It is suggested that more sophisticated methods for senior executive positions should be used. The filling of appraisal form should be made online. This will save time for an organization like Thermo Scientific which has branches across diverse areas. It will also lead to savings of a lot of paper. There is a need for a Mandatory ‘Appraisal & Counseling’ Interview; staff should be given opportunity to discuss performance which encourages a two-way communication and allows the candidate to address his concerns The component of Management by Objectives (MBO) should be a necessary addition to the Performance Management System at Thermo Scientific. In MBO, the management & employees agree upon a set of objectives and then work to attain them. It is a process of participative goal setting. The employee feels more accountable if he is involved in deciding his

Interaction Analysis Essay Example | Topics and Well Written Essays - 1250 words

Interaction Analysis - Essay Example Although it was short, a brief introduction of his cultural background was established. The actual meeting had begun with a brief prayer outside the house, which was interpreted as a religious ritual to welcome a special guest in the house. The Jordan region is mainly inhabited by Muslims with a distinct Arabic origin. A great percentage of the population upholds Islamic values and Mohammed is not an exception. As a Christian, I had to respect this religious and cultural situation and consent to the prayer although my religion does not agree with some aspects of Islam. This is an example of the behavioral code that is expected when interacting with people from different cultures. The meals session was a great experience and a great opportunity to understand the cultural values by observing the non-verbal codes. Particularly, this was an opportunity to understand the culture by observing the eating habits, type of food, and the overall family involvement during mealtime. Our meal was a reflection of the Arabian-Jordan dining culture. Halloumi, a pita-style bread sandwich was served with grilled meat marinate and fresh vegetables as the main course. This type of food is an identity of the Jordan community and a lot can be learned about the culture by just looking at the food. According to Mohammed, mealtimes are respected and, therefore, people should not talk during mealtime. However, the best time for verbal communication and interaction came immediately after the meals. We shared a debate and a discussion about different cultural values that Mohammed upholds. Certainly, he values religion and it seems that his culture is deeply entrenched into the Islam. This is one of the most important sessions since I got a chance to compare and contrast his cultural values and mine. For instance, I observed that religion has a great influence on his morals, since they are founded on Islam. However, this contrasted with my cultural background, whereby, my religion has nothi ng to do with my cultural background. Indeed, the two are very different. My cultural background does not stem from religion, but rather, encompasses religion as an important aspect of life. Nevertheless, we still uphold similar family values and beliefs. Although there are very big differences in the societal roles especially for women, the roles within the family remain relatively the same for both cultures. Mohammed does not let his wife go to the Mosque simply because the larger community does not encourage that. However, he feels that the cultural values are changing rapidly and that he may decide to embrace the changes and give her permission to attend prayers and Islamic gatherings. This was a memorable moment since I was able to differentiate the contrasts in which different cultures accept changes. Whereas, our culture is fast and swift to adapt to changes, some cultures are very conservative and, therefore, very slow and resistive to changes. It is evident from the verbal communication pattern that Mohammed can be classified in the high-context culture group. He comes from a culture that has strong values and most of the life aspects are strongly associated with the culture. For instance, he would conclude many sentences with the phrase â€Å"Inshallah.† I came to realize that this phrase simply means God willing. It is an expression of hope that a premeditated endeavor will be

Response Paper 2 Essay Example | Topics and Well Written Essays - 750 words

Response Paper 2 - Essay Example For example, if someone is in a concentration camp for nothing but being Polish, they are a victim. But, if they are extorting other people in the concentration camp by acting as an informant to the Nazi guards, they are also victimizing other people. Therefore, it is possible to be, at the same time, victim and victimized; there is always someone on some higher level, who is victimizing the person victimizing you. In Gross’ book, this relationship is made very clearly. Gross’ book is not perfect, although it does refer to patterns of concentration camp victimization, because the book is also the victim, and perhaps has been victimizing the reader. Time will tell, but there are accusations that Gross left out dozens of licenses for different people - witnesses, defendants, etc., who spoke on the role of the German outbreak of food poisoning, and instead just quoted the witnesses, which indicated the participation of Poles. It was argued, among other things, the first test of a chef Julia Sokolowski, which was later withdrawn, and the material Karol Bardon, a German policeman, who was sentenced to death, tried to dilute its responsibility and blame residents of the city. Professor Gross has never explained the reasons for his choice. He never explained why he accepts some of the documents and rejects others. â€Å"I am convinced that Neighbors is a book which had to be written and which is needed. Facing up to the painful truth of Jedwabne i s, in my conviction, the most serious test that we Poles have had to confront in the last decade† (Strembzosz, 2001). In reality, ideas of victimization in terms of this book may run deeper than expected, if any part of it is found to be fabricated. â€Å"A subsequent investigation conducted by the  Polish Institute of National Remembrance  (IPN) largely supported Grosss conclusions  The IPN investigation concluded that "residents of Jedwabne and its environs, of Polish nationality, committed

Thursday, October 17, 2019

Pay for performance increases job satisfaction Essay

Pay for performance increases job satisfaction - Essay Example Another point is that with financial reward workers tend to remain more reliable and honest in work. A contrasting view to this is that the employees can take the employer for granted and also they can end up in accidents due to excessive work. The paper will analyse all four different views and ultimately try to assess whether the pay for performance will give satisfaction to workers. The first argument states that workers are more satisfied when they are paid for their performance. The employees work more sincerely if they are give incentives for their work. Employees do respond well to incentives for better performance and to recognition for doing especially outstanding work. Employers shouldn’t ignore incentives if they want great performance from their employees. Workers always look forward for ways to achieve incentives for their handwork. Achen(2007)claims that â€Å" Properly designed performance incentive programs not only employees develop or enhance job skills†. The employees become even more committed once they realize that their work is being appreciated by the employer. They will try all the more to be sincere in their job and try to enhance their working skill to bring more productivity. The second argument is that when the employees are paid for performance they bring in more profit to the organization..According to Blinder(1990,p.41), â€Å" Since incentive system pay more to more productive workers, workers who are inherently more productive will tend to sort them towards incentive – using firms†. This shows that incentive giving companies receive more hardworking employees which in turn will increase their productivity.Billikof (2006)states that â€Å" Incentive pay has the potential to increase worker productivity if properly designed and maintained.†When the workers see that they are achieving financial reward for their work they are encouraged more to do better performance .They feel like achieving the goal of

Special Education Essay Example | Topics and Well Written Essays - 3750 words

Special Education - Essay Example Qualitative research can â€Å"see precisely which events led to which consequences and derive fruitful explanations† (Miles and Huberman, 1994, p. 1). Moreover, it has a higher chance of being able to arrive at unanticipated findings and new combinations and relationships. These reasons are why the qualitative research design had been chosen for this study as it can give a clear view of why students with disabilities drop out of high school. It must be clarified that although quantitative data, such as statistics and percentages, were used in the study, it only acted as supportive numbers that laid the groundwork for this study. Furthermore, it is intended for this qualitative research to act as a recursive study for more accurate and extensive quantitative study on the same topic. The study employed a qualitative research design that was based on active observation. The qualitative research design has been criticized by many for its supposed inexactness due to its â€Å"interpretative, subjective, impressionistic and diagnostic† nature as it has been claimed that there is no unbiased observer (Thomson, 2007). However, when contending with abstract data, like â€Å"the often contradictory behaviors, beliefs, opinions, emotions, and relationships of individuals† and in this case, the reasons why certain people act a particular way, active observation is best employed as its strength lies in its capability to be able to provide a textual characterization of complex events such as human experience (Mack, et al., 2005).

Wednesday, October 16, 2019

Response Paper 2 Essay Example | Topics and Well Written Essays - 750 words

Response Paper 2 - Essay Example For example, if someone is in a concentration camp for nothing but being Polish, they are a victim. But, if they are extorting other people in the concentration camp by acting as an informant to the Nazi guards, they are also victimizing other people. Therefore, it is possible to be, at the same time, victim and victimized; there is always someone on some higher level, who is victimizing the person victimizing you. In Gross’ book, this relationship is made very clearly. Gross’ book is not perfect, although it does refer to patterns of concentration camp victimization, because the book is also the victim, and perhaps has been victimizing the reader. Time will tell, but there are accusations that Gross left out dozens of licenses for different people - witnesses, defendants, etc., who spoke on the role of the German outbreak of food poisoning, and instead just quoted the witnesses, which indicated the participation of Poles. It was argued, among other things, the first test of a chef Julia Sokolowski, which was later withdrawn, and the material Karol Bardon, a German policeman, who was sentenced to death, tried to dilute its responsibility and blame residents of the city. Professor Gross has never explained the reasons for his choice. He never explained why he accepts some of the documents and rejects others. â€Å"I am convinced that Neighbors is a book which had to be written and which is needed. Facing up to the painful truth of Jedwabne i s, in my conviction, the most serious test that we Poles have had to confront in the last decade† (Strembzosz, 2001). In reality, ideas of victimization in terms of this book may run deeper than expected, if any part of it is found to be fabricated. â€Å"A subsequent investigation conducted by the  Polish Institute of National Remembrance  (IPN) largely supported Grosss conclusions  The IPN investigation concluded that "residents of Jedwabne and its environs, of Polish nationality, committed

Special Education Essay Example | Topics and Well Written Essays - 3750 words

Special Education - Essay Example Qualitative research can â€Å"see precisely which events led to which consequences and derive fruitful explanations† (Miles and Huberman, 1994, p. 1). Moreover, it has a higher chance of being able to arrive at unanticipated findings and new combinations and relationships. These reasons are why the qualitative research design had been chosen for this study as it can give a clear view of why students with disabilities drop out of high school. It must be clarified that although quantitative data, such as statistics and percentages, were used in the study, it only acted as supportive numbers that laid the groundwork for this study. Furthermore, it is intended for this qualitative research to act as a recursive study for more accurate and extensive quantitative study on the same topic. The study employed a qualitative research design that was based on active observation. The qualitative research design has been criticized by many for its supposed inexactness due to its â€Å"interpretative, subjective, impressionistic and diagnostic† nature as it has been claimed that there is no unbiased observer (Thomson, 2007). However, when contending with abstract data, like â€Å"the often contradictory behaviors, beliefs, opinions, emotions, and relationships of individuals† and in this case, the reasons why certain people act a particular way, active observation is best employed as its strength lies in its capability to be able to provide a textual characterization of complex events such as human experience (Mack, et al., 2005).

Tuesday, October 15, 2019

Florida Shrimp Industry Analysis Essay Example for Free

Florida Shrimp Industry Analysis Essay What if it were logical and profitable to merge two of the fastest growing shrimp industries in the United States today? That is exactly the idea behind â€Å"bait shrimp production†, the latest development in the combined evolution of the valuable live bait shrimp industry and the continual growth arena of aquaculture. Farm-raised bait shrimp is a very appropriate combination of the two businesses; both have a historical development in Florida for over forty years. Florida has been proclaimed the â€Å"Fishing Capital of the World† with its 1,197 statute miles of coastline hosting 3. 4 million anglers annually. The statistics regarding the recreational fishing industry in Florida are astounding. The Florida Fish and Wildlife Conservation Commission (FWC) reports: †¢The economic value of recreational fishing to Florida is $7.0 billion and supports 75,000 jobs. †¢Recreational fishing is the second largest sports industry in Florida with over 700 world-record fish caught. Live bait shrimp is the nucleus around which evolves Florida’s saltwater sport and recreational fishing. It is the preferred bait for fishing near shore species such as snook, sea trout, redfish, snapper, cobia and mackerel. The business of catching and supplying live bait shrimp began with a few individuals supplying themselves, and a few bait shops in the 1950’s to becoming a multi-million dollar industry with exports throughout the Southeast United States. This growth is a testimony to the pre-eminence of shrimp as the most popular live bait among saltwater anglers in Southeast United States. The message is clear the recreational/sport fishing industry and live bait shrimp are well established in Florida. And their popularity is growing amongst the14 million people (75% living within 10 miles of the coast) and the 40 million tourists who visit each year. Commercial fishermen currently supplying 100% of the bait shrimp market experiences regulatory restrictions, seasonal declines in wild stocks, and unreliable labor causing unpredictable shortages and as such are unable to meet the increase in the market demands. The FWC and Florida Department of Agriculture and Consumer service reports: †¢As the tourist and recreational fishing industry continues to increase in Florida so will the bait shrimp business. †¢Fishermen love to use live bait shrimp and retailers are always running out of bait before they run out of customers. †¢The retailer wants consistent deliveries of bait shrimp in numbers that will keep the customers walking through the door of their shop †¢Although the fishing effort has increased 50% over the past ten years, the live bait harvesters cannot meet the market demands. This increase in demand without an increase in supplies has resulted in an extremely high dollar value of live bait. This increase in demand, low supply and high dollar value has attracted the attention of shrimp producers. Now for the other half of the combination shrimp aquaculture. As the demand for live bait shrimp has expanded without an increase in supplies, the inevitable has begun to take place culturing Florida’s endemic penaeids for bait size shrimp using hatchery and production technologies developed for other economically important penaeids. Wholesale distributors cannot get adequate supply of bait shrimp certain times; retailers are forced to accept inaccurate counts and variable sizes of wild bait, which they will loose almost 30% in mortalities during the course of the day. Retailers cannot consistently provide the customer with the desired size and often sell â€Å"mixes†. Fishermen are reliant on the seasonal migration, molting periods and life cycles of the natural population; as such they cannot guarantee quality or volume. Shrimp spawn in April/May releasing eggs that move with the tides and currents into estuaries, where they spend their postlarval and juvenile stages before migrating back to deeper waters. Bait size shrimp are virtually impossible to harvest in June, July, and August due to this natural life cycle; and are in short supply September through December. It is the winter months January through April that suppliers, wholesalers and retailers can experience marketable size bait shrimp. However, even during this time period, harvesting of small animals causes immediate stress and holding them in â€Å"live† haul tanks for long distance deliveries results in high mortalities. Enter the growth industry, Aquaculture, dedicated to providing consumers what they need – healthy, quality seafood and aquatic products at market prices. The inability of the fishermen to provide year round live bait shrimp, there is a significant gap supplies. From this lack of product will grow the combination of live bait shrimp and aquaculture— Live Bait, Inc. Live Bait, Inc. will produce bait shrimp is at high densities in enclosed facilities equipped with multi-phase, recirculating systems. Bait size shrimp will be cultured to three variable sizes, (8,10, and 12 grams) to provide the retailer with desired â€Å"mixes†. Bait shrimp production facilities, unlike shrimp boats, can be located through out Florida in high value areas that support a large volume of recreational fishing and tourism. Live Bait, Inc. will focus on providing existing market channels with high quality bait at market prices, in a consistent and reliable manner through out the year. The first bait shrimp production facility is said to have been an offshoot of a Texas AM project developing production systems for Gulf of Mexico endemic shrimp. The species of choice for this area are brown shrimp (F. aztecus) and it is believed that the company, although small scale, Lone Star Fishery, is experiencing continued success. There is a tremendous interest amongst fishermen and wholesale dealers in developing culture systems for bait shrimp. However, once they realize the capital investment and risk involved, they become interested in buying from Live Bait, Inc. The market for live bait shrimp is continuing to grow, especially during the summer when local residents and tourists target inshore species. This year-round demand, unreliable supplies and high dollar value ensures a continued market for this commodity. Industry Participants There are several groups of industry participants, which must come together in order for Live Bait, Inc. to function well. 1.Wholesale Dealers. Everything begins and ends with this customer. Wholesale distributors have established marketing channels and will be buying directly from the production centers. Each production center must first identify the base of the wholesaler from which the high volume, high value business will be drawn. Their attitudes, needs and abilities must be the genesis of each decision in designing the size and location of production facilities. 2.The Nuclear Breeding Center. For long-term sustainable production and the Florida Department of Aquaculture’s support and sanctions; it is imperative that a breeding program for F. duorarum be established from the beginning. Experience has proven the necessity of SPF stocks in minimizing the incidents of diseases and animal stress from high density, mass production. 3.. For Live Bait, Inc to produce, cost-effective, quality bait shrimp it needs outstanding seedstock. Large numbers of seedstock at affordable prices will needed, on a weekly basis in order to maintain the sequential stocking required by multi-phase systems. 4.Management/Production Team. This is the triangulation point where it all comes together. The team must identify the best locations; design the most cost effective facilities and production systems, produce shrimp using state-of-the-science technologies to provide high quality bait shrimp available for daily pickup. Who are the individuals or groups that are likely customers of farm raised live bait shrimp? Fortunately, there are some marketing surveys that have been conducted Florida state agencies, the US Department of Commerce and Mariculture, Inc. that can provide some answers even in this new concept. The target market for Live Bait, Inc. is the wholesale dealer/distributor, who currently is supplied 100% by the bait shrimp fishery. Currently, wholesale dealers either buy dockside from shrimpers and/or they use their own boats. As such they are located within close proximities of bait shrimping boats and not necessarily in the high value tourist areas. Each GLB’s locations will develop its facility, production numbers, sizes and services around the target audience –wholesalers. GLB will target several distinct groups: 1.Wholesalers, which fit the basic demographic characteristics of supplying retailers from great distances. These will be wholesalers who either buy dockside from shrimpers and/or they use their own boats. As such they are located within close proximities of bait shrimping boats, which are in five major regions: Hernando (Citrus, Hernando, Pasco, Pinellas and Manatee) with 47% of total bait shrimp landings; Pine Island (Lee County) with 33% of total bait shrimp landings, Biscayne Bay (Dade and Monroe Counties) with 18% of total bait shrimp landings and Jacksonville (Fernandina Beach) with 2% total bait shrimp landings. Wholesalers will truck live bait shrimp 220 miles from Homosassa to Naples or from Miami, which is 107 miles. Wholesalers from these regions supplying the North-Central East Coast, the Keys and Panhandle will be targeted. 2.Wholesalers who supply retailers dealing in large volumes. For example marinas that sell 275,000 – 300,000 or more bait per day during the winter months and 65,000 – 80,000 per day during the summer months. Volume in these areas severely restricted due short supplies and distance from suppliers. Retailers claim they could sell up to 300% more, if the supply were available. Wholesalers supplying large marinas, high-end fishing piers located in metropolitan areas, and retail bait/tackle stores that promote popular sport fishing tournaments will be targeted. 3.Wholesalers who supply high dollar bait to retailers located in areas support high value recreational/sport fishing and tourism. Wholesale prices for live bait vary considerably with location. For example prices in Pine Island will run $30/1,000 shrimp while in Marco Island and Naples, which is just south of Pine Island, will have prices up to $70/1,000. Wholesalers who supply retailers who are willing to pay the higher market price will be targeted. 4. Wholesalers who are receptive of farm-raised bait and will promote the product among retailers. Currently, an overwhelming majority of retailers accept the idea of farm-raised bait. Most are willing to pay between 50-100% above current prices for farm raised bait as long as the supply is consistent and reliable. Wholesalers who are willing to promote our product, pay premium prices for premium farm raised bait shrimp will be targeted. 5.Wholesalers who are either currently exporting to neighboring states, or who would like to export to other states. Florida Bait shrimp wholesalers export live bait nine months out of the year to different neighboring states. Currently they supply 60% of the Alabama Market, 20% of the South Carolina and 50% of the Georgia market. Wholesalers exporting to other states will be targeted. 6.Bait Brokers dealing in frozen bait are currently importing small frozen shrimp that are severely damaged from outside the United States. The shrimp exotic species, which may or may not be infected with viral diseases. These brokers currently cannot meet the needs of their large contracts such as those with Wal-Mart and Publix. Process them, as most of the brokers also have processing plants. 7.Wholesalers who are supplying retailers whose customers would prefer farm raised bait over wild bait for ecological and environmental reasons. These six primary target groups provide fertile ground for GLB to become a profitable operation within the first year of production. In fact, GLB will become the top producer of farm-raised bait for Florida and the entire southeast coastal corridors. Live Bait, Inc. production centers will be established in key locations through out Florida. The marinas, retail bait shops, bait and tackle shops within a thirty-mile radius will match the demographic target profile – high volume, high market price, pro-farm raised bait, easy assess to interstate highways and are being supplied by wholesalers from great distances. A marketing survey conducted by the Florida Department of Agriculture and Consumer Service’s, Bureau of Seafood and Aquaculture Marketing has documented annual landings (harvests), volumes of bait sold by retailers, wholesale/retail prices, peak seasonal demands and months of supply shortages. Major harvesting areas are divided Hernando Regions (Citrus, Hernando, Pasco, Pinellas and Manatee) with 47% of total bait shrimp landings; Pine Island (Lee County) with 33% of total bait shrimp landings, Biscayne Bay (Dade and Monroe Counties) with 18% of total bait shrimp landings and Jacksonville (Fernandina Beach) with 2% total bait shrimp landings. Annual Landings report to Florida’s Fish and Wildlife Conservation Commission by licensed bait shrimpers in 2000 was 2.46 million pounds (246 million bait size shrimp using a 100/1b count). This is 50% above the reported landings for 1991 of 1.23 million pounds 123 million bait size shrimp using a 100/lb count). Fishery managers feel the harvest numbers are under-reported on trip tickets. And since live bait shrimp is a cash industry sales are not accurately reported. Also not all shrimp caught as live bait is sold as live bait, there are high mortality rates associated with harvesting, holding and transporting. Larger shrimp will often be culled and sold as food. It is likely that the farm production needed to supply current markets will have to be 50% above reported landings to approximately 3.69 million pounds (369 million bait size shrimp using a 100/lb count).

Monday, October 14, 2019

Overview Of Chomskys Theory English Language Essay

Overview Of Chomskys Theory English Language Essay Introduction: The question to consider is how children acquire language and at which stage they could improve their speaking and listening skills. In particular, syntax and vocabulary are the main concern of the language acquisition domain. The task of psycholinguistics is to discover the relationship between language and the human mind (Field: 2003). Many theories, therefore, have emerged in exploring this relationship, which seek to explain the way in which children understand and acquire language. Over the last five decades these theories have offered various ideas and interpretations of the relationship. For example, in Behaviourist theory, which is associated to skinners research into language, language acquisition is considered a collection of habits. It is thought that children learn how to form correct utterances through positive reinforcement from the people around them (Patten and Benati: 2010). Cognitive theory, which is associated with Piaget, is considered a way of discovering how ind ividuals create and use language in their social context (ibid, p71). Interaction theory, related to Bruner, holds that language comes from the interaction between children and their environment (ibid, p99). There are, however, two theories in the relevant acquisition literature which oppose one another and provoke countless debates: Chomskys theory and Tomasellos theory. In Chomskys theory, children biologically possess an innate ability to acquire their language. This ability is mainly specific to language. Whereas, in Tomasellos theory language is acquired through language use by means of social skills, such as, joint attention and general learning mechanisms (Behrene: 2009). This paper seeks to explore these two theories in order to contrast them. The first and second parts of the paper present an overview of the main ideas in the two theories. The third part focuses on their different aspects, including the: poverty of stimulus argument, linguistic creativity, modularity and language specific domain versus domain- general learning mechanisms. The fourth and final part, discusses some weak points in the two theories. Overview of Chomskys (Innatist) theory: In language acquisition domain, Chomskys theory is called an innatist theory, because he proposed that children biologically possess suitable abstract knowledge for the task of first language learning .This abstract knowledge shapes the linguistic system which they learn. In fact, through this innate knowledge children can discover the rules of their language system and reduce hypothesis formation and guessing. (Patten and Benati: 2010). Chomskys main argument is that all human beings are born with an innate knowledge which is particularly designed for language acquisition (ibid). This argument is indeed, opposed to the one that language is a result of the interaction between human beings and the environment or item-usage learning (e.g. Skinner, 1957; Tomasello, 2003). Furthermore, The term Language Acquisition Device (LAD) was coined by Chomsky in this context to refer to such innate knowledge or the little black box (Patten and Benati: 2010).The (LAD) comprises the universal princi ples of all languages, by which children can be kept on track and not confused by all the complex rules of particular languages. When this (LAD) is activated, the child can discover the structure of the language s/he is to learn by matching the innate knowledge of basic grammatical relationships to the structures of the special language in the environment (Lightbown and Spada: 1999). However, since the 1960s, instead of (LAD) universal grammar hypothesis (UG) was introduced by Chomsky. It was given much concern by him instead of, the (LAD), because, in Chomskys view this hypothesis means that there is an innate knowledge source which governs the shape of natural language (Patten and Benati: 2010). It should be noted that the first appearance of Chomskys theory was in 1959 in his critical review of Skinners book Verbal Behavior in 1957. Chomsky in his review pointed out many shortcomings in applying Skinners theories to language acquisition. For example, Skinners experiment using rat boxes is not relevant to language because the behaviour of rats is unlike human behaviour. As a result, Skinner has a mistaken understanding of the nature of language. Furthermore, the environment considered solely as learning mechanism can not be the basis of language acquisition and therefore, mans ability to acquire language must be innate (Aitchison, 2007). Overview of Tomasellos theory (usage-based theory): The account of language acquisition provided by Tomasello comes under the umbrella of usage-based theories. Recently, a new view of language and human linguistic competence has emerged (Tomasello: 2003). This view comes from a set of theories usually called cognitive-functional linguistics, and also called usage -based linguistics in order to emphasize their main ideas that language structure is produced or appears from language use (e.g. Langacker, 1987a ; Croft, 1991; Tomasello, 1995, 2003). It is note worthy that this view stands in direct opposition to Chomskys innatist theory. Because, Tomasello in his theory is mainly concerned with the question of how children get from here to there from the constructions of infant level speech to the abstract constructions of adult thought through one set of processes of acquisition (Tomasello: 2003:3). In Tomasellos theory it is impossible that humans can have been born with a specific collection of communicative behaviours only for language . This collection more probably learned by children during their years from the linguistic conventions used around them. They must possess flexibility in order to learn both the different words and the suitable expressions of each language and the different types of abstract constructional pattern which historically these languages have grammaticized (ibid). Tomasello emphasizes, however, four points in his theory: First, the innate skills which people have are not specific to language but can be used as means for language learning. Second, theory of mind is central to symbol use, because humans can understand symbols while nonhuman do not possess this ability, because they use signal system. Thirdly, word-learning skills include: joint attention, which means the ability that children possess in their first year old whereby they can understand other people as intentional agents and interact socially through an object to which both pay attention; children note this attention to both it and themselves; Intention reading, means the ability to understand the social world around them through imitating adult acts; the construction-learning skills encompassing: analogy and pattern-finding. The latter means the distributional analysis based on statistical information in the primary linguistic data and the ability to form perceptual and conceptual figures of similar objects or situations (Tomasello: 2003). The differences between the two theories: It is noteworthy that the accounts provided by Chomsky and Tomasello comprise many opposed aspects, of which the main ones are as follows: 3.1. Poverty of stimulus argument: The basic argument of the nativist theory is based on Chomskys assumption of the poverty of stimulus (1965).This assumption means that the data provided by the input to which people exposed are not rich enough to account for language acquisition (Patten and Benati:2010). In other words, it means that the language to which children are exposed as their input or the primary linguistic data is solely a set of individual utterances yielding some abstract principles of grammar which seem ambiguous for language acquisition .The best solution he can provide is the universal grammar hypothesis (UG), which means that all humans are born with an innate universal language containing a number of abstract principles which can lead the acquisition process (Tomasello: 2003). Despite the fame of the poverty of stimulus argument in the language acquisition domain and childrens language research, it has certain, if we contrast it with the account provided by Tomasellos usage-based theory. We find that the research into the developmental psychology of language acquisition has provided many arguments which support the richness of stimulus in usage-based theories (e.g Clark2003, Tomasello 2003). In fact, the significance of social pragmatic interaction in language acquisition is evidenced by extensive findings in this domain (Tomasello: 2003). To put it more simple, Tomasello in his theory emphasizes that: There is no poverty of the stimulus when a structured inventory of construction is the adult endpoint (Tomasello: 2003:7). He notes that the hypothesis of an innate universal grammar has two major problems, namely, first, the linking problem and the problem of continuity. The first problem is how children can connect their abstract universal grammar with the particular language which they learn. The second problem deals with the developmental changes in childrens language, for example, how people can understand childrens language during their developmental change if we accept that universal grammar is always the same. It, therefore, seems useful to provide a description or explanation of child language acquisition which ignores any hypothesis of universal grammar which creates these problems (Tomasello: 2003). Accordingly, it is important to note that Chomsky and Tomasello are opposed on the argument of the poverty of stimulus. Tomasellos view, however, seems stronger, because nativists provide no support for their claims. As Pullum and Scholz (2002:47) point out, the poverty of stimulus argument still a waits even a single good supporting example. Moreover, Akhtar (2004) seems to agree with this criticism, in that she indicates that this argument was the basis for a number of nativist claims, yet indeed lack supporting empirical evidences. 3.2. Language is creative: Another difference between Chomsky and Tomasello is the formers belief that language is creative. From Chomsky perspective, creativity in language has three- fold support. First, people possess the ability to understand and produce strange sentences which they have never before heard or spoken (Aitchison: 2007). Second, the creative use of language is free from the external and internal affects of the stimulus control (Chomsky: 1968). Third, the way in which people use the language considered to be coherent and appropriate to the situation (Hegde: 1980). By the way of contrast, we can see that Tomasello does not ignore creativity in language, but he has little concern for it. According to him, it results from the attempt of humans to create categories in their own language (Tomasello: 1995). Chomsky asserts that the creativity in language is something which can not be acquired solely through environmental learning methods (Aitchison: 2007). Tomasello contrastingly asserts that, during a period of time, children obtain the communicative conventions are obtained step by step from the people around them. For example, their social cognitive skills and developing cognition are utilised to internalise these conventions. Childrens basic abilities are used to learn their first words. They create concepts so as to understand adult speech and then to produce suitable new words in their communicative contexts (Tomasello: 1995). It is thought, however, from the contrast between the two views that Chomskys view about the creativity of language has some limitations. For one thing, nativists assert that every utterance we hear and say is completely novel and accepted. This assertion seems to be wrong. The reason is that to accept it we would need to assume that each word or sentence has a separate existence. Moreover, we have to assume that our past language experience is sufficient to provide a clear understanding of the present utterances. But, if these assumptions are accepted, the result will be that human communicative behaviour has no continuity (Hegde: 1980). The second point, on the creativity of language free from the control of stimulus, seems to be weak, because, as discussed above in section (3.1) no evidence has been offered in its support. Furthermore, with regard to the third point, in Chomskys view the way that people use language is coherent and appropriate to the situation. It could be argued that this point is somewhat vague, since Chomsky admits that he can give no clear meaning to the terms appropriateness and coherent in this context (ibid). However, he stresses that the creative aspect of language is common. Humans constantly create novel utterances and many who lack this ability might be brain damaged (Aitchison: 2007). This view would be more popular if it took into account the effect of environmental learning methods in producing our utterances, since the one question that needs to be asked here is, how humans can produce them without communication with their input. 3.3. Modularity: In the areas of linguistics and philosophy of mind, the idea of modularity has raised a great deal of concern (Garfield: 1987). There seems to be another difference between Chomsky and Tomasello, about the modularity of mind in language acquisition. To illustrate, the definition of modularity according to Crystal (1998: 246) is: A term used in recent discussion of language in two slightly different ways. On the one hand, it is proposed, especially in J. A. Fodors The Modularity of Mind, that the mind is modular in the sense that it consists of a number of different systems ( modules) each has its own distinctive properties , such as the language system and the vision system. On the other hand, it is suggested, especially in government-binding theory that language system itself is modular in the sense that it consists of a number of different subsystems which interact in specific ways. The concept of modularity is that the brain is divided into separate parts, an idea to which Chomsky gives much attention (1965).He identifies the language area as a separate faculty of mind, in that language is autonomous in the mind and a separate module in the brain (Aitchison: 2007). Furthermore, he goes on to argue that the human mind is, like other complex biological systems, modular in its internal formation (Chomsky: 1984). The main idea of modularity, according to him, is that the modularity of syntax means that the structures of syntax are not the same as the structures exist in other cognitive (Chomsky: 1968 cited in Tomasello: 1995). By the way of contrast, we can see that Tomasello does not agree that language is a separated module in the brain, because, by his reasoning, in order to have a perfect grammatical theory the syntactic abilities should be combined into cognition and not like an autonomous sub-system (Parisse: 2005). To sum up, Chomskys view is a modular view in which there are different sub-parts in the mind each one possessing special characteristics. Tomasello, however, take the non-modular view that there are general principles employed in all cognitive domains which control the mind (Archibald: 1993). However, to return to the account of modularity provided by Chomsky, one of the difficulties with this account is the claim that syntactic structures are not like the structures which exist in other cognitive domains. This seems to be wrong, because it gives the idea that the syntax module is innate, yet if we give the example of the game of chess, we find that it possesses a number of unique structures, such as, the images of a knight fork or queen-a side attack- in human cognition. But there is no need to presume that this uniqueness chess- playing form needs an innate mental form (Bates et al. 1991). Moreover, the structures of cognitive thought which adults utilise in order to play the game of chess come through a process in which people employ general cognitive processes to face their problems in their social interaction which they may have had in learning to play a constructed game (Tomasello:1995). Hence, it is thought that Chomskys view seems to be weak because it is difficult to specify which part of the brain is responsible for language. As Bates asserts, it still far from knowing perfectly which parts of the brain are responsible for language (Bates in press, cited in, Tomasello 1995). 3.4. Language- specific versus domain- general learning mechanisms: Another point of difference between Chomsky and Tomasello concerns the way in which children acquire language. is another different point between Chomsky and Tomasello. The difference lies in the contention over whether language should be a specific domain or a domain general learning mechanism. A specific domain in this context means a domain specific to language, whilst, domain general refers to learning mechanisms which are not specific to language, yet applied generally. From Chomskys perspective, since, human beings are able to learn language and animals are not, this ability is considered genetically inherited (Aitchison: 2007). Nativist theory, in fact, hypothesises that children are born with universal grammar (UG), a set of innate principles and parameters. This possession helps children to learn language without making errors as they learn (Conroy and Thornton: 2005). Therefore, this assumes that children possess a pre- existing domain- specific innate form which specifies the form of their language knowledge. Moreover, in language learning in particular, syntax children obtain ability without exposure to adequate stimulus (Chomsky; 1986, Pinker; 1994). However, Tomasello believes that it is false to suppose that children have genetically endowed grammar (Tomasello: 2003). To his mind, children in order to learn their language employ item-based learning integrated with some general learning mechanisms that are used in other cognitive domains , such as, analogy (Conroy and Thornton: 2005). Moreover, in Tomasellos view the properties of language structure come from joint attention figures and not from innate language specific mechanisms (Segalowitz: 2001). As a result, Tomasello significantly did not ignore language universals; however, to him they not universals of form or a special type of syntax or linguistic symbols but are instead, the universals of human communication and cognition. For example, human beings use language in similar social contexts in order to provide solutions in language for communicative tasks, such as, describing specific entities (Tomasello: 2003). Consequently, Chomskys view that language has a specific-do main is weak , because languages differ in their grammatical relations, of subject and object, for example, Acehnese, an Indonesian language, and Tagalog, a Philippine language, do not possess these grammatical relations ( Tomasello:1995). 4. Some weakness in both theories: Tomasello, then, introduced a new model of usage-based theories in language acquisition in which he paid attention to a main set of skills, namely, intention reading, joint attention and pattern-finding skills. These skills are general skills utilised also in other types of cognition and not in language alone. Furthermore, although they are innate, they are not like the universal grammar (UG) invented by Chomsky, because they are not specific to language (Tomasello, 2003). But Tomasellos account seems to entail some limitations. It is thought that he does not provide a clear explanation for the fact that these skills are sufficient for language acquisition. As Wilson (2006:138) points out: Tomasellos central claim is that joint attention and intention reading are foundational and prerequisite for language acquisition. It does seems reasonable to assume that they are necessary for language development, but the big question is, are they sufficient? Can they entirely account for all of the complexities of language à ¢Ã¢â€š ¬Ã‚ ¦ from parsing speech stream to the emergence of complex grammatical structures? Hollich et al. (2000), on the other hand, seems to agree with this criticism, because they assert that Tomasellos theory, which is one of the social constructivist theories, does not possess a complete or sufficient explanation for the fact that children can produce increasingly inserted sentences in their utterances. Moreover, the problem with these theories is that they still offer no clarification of childrens ability to discover the relationships between language units. In contrast to this, Chomskys theory is considered one of the famous theories in the language acquisition domain. It has indeed, affected the entire literature language acquisition, because of the controversy surrounding it. Yet this theory too attracts a number of criticisms. In this section, we focus on four critical points made against this theory. A major criticism concerns the universal grammar hypothesis (UG) which has been discussed above. Although (UG) aroused widespread interest in language acquisition debates, it is thought, that it is based solely on abstract thinking and lacks empirical support. As Kadarisman (2007a) points out, the concept of universal grammar must be without meaning unless it has empirical evidence. But, without adequate explanations, it seems to be more a slogan than a scientific effort. Moreover, due to its abstraction, (UG) neglects the local importance of language used in the cultural context (Becker: 1995). Second, Chomskys theory is criticised for relying on logical arguments only. As Palmer (2000) indicates, Chomskys nativist claims remain are still the same as they have been fir the past two decades. Because his claims are based on logical arguments instead of, direct evidences or reasonable interpretations, his argum ents have no external support. Tomasello seems, agree with Palmer in this criticism because he states that Chomsky in his account relies strongly on logical arguments, not using the scientific study of human behaviour and cognition (Tomasello: 1995). Third, it is criticised because it can not be tested. This creates some contention around Chomskys account. The reason is that his theory has no clear cut procedures which could be examined. To put it more simple, Chomsky considered theory-construction in linguistics as similar to theory- construction in the physical sciences, particular, physics. Yet, there is a deference between these two domains, because, the mathematical model in physics depends on physical phenomena and is testable, whereas, Chomskys model relies on subjective judgments made by individual native speakers who may disagree with each other. Consequently, it can not be tested (Moor and Carling: 1987). Fourth, Chomskys theory is criticised in terms of its ideas, if considered as philosophical ideas, for instance the adoption of such innatist ideas as, the universal grammar (UG) hypothesis which is based on the hypothesis of an innate language faculty. Subsequently, many linguists (e.g. Hegde, 1980; Moore and Claring, 1987) have strongly criticised these ideas. For example, Hegde asserts that the concept of a nativist theory is merely part of an ancient philosophical idea. Furthermore, Moore and carling believe that Chomskian linguistics are linked by these ideas to philosophy, in particular, epistemology, the part of philosophy concerned with knowledge theories. Conclusion: The domain of language acquisition possesses a varied collection of theories. Their main concern is to discover the way in which people, in particular children, can acquire language. The accounts given by Chomsky and Tomasello can be critically contrasted, as seen above. They obviously stand on two opposite sides. In Chomskys theory, children are born with an innate ability by which they acquire their language, whereas, in Tomasellos theory, language is acquired through language use and not by biologically innate ability. Furthermore, the innate abilities which children have are not specific to language. However, the main aspects which have been contrasted in this paper comprised: first, the poverty of stimulus argument, in which, according to Chomsky, the input is not sufficient to acquire language, while, from Tomasellos perspective there is no poverty of stimulus; second, Language to Chomsky is creative, because it is free from the control of stimulus while in Tomasellos view lang uage results from the attempt of humans to create categories in language; third, modularity, Chomskys assertion that the mind is separated into sub-parts, whereas Tomasello believes, that general principles control the mind; and fourth, Language- specific versus domain- general learning mechanisms; either there are universals specific to language, as in (UG) hypothesis of Chomsky or, as Tomasello states universals is not specific to language but apply to all human communication and cognition. Hence, we can conclude that Chomskys account strongly relies on the hypothesis of universal grammar (UG) to support his view on the poverty of stimulus argument, creativity of language, modularity and the language- specific domain. It should be noted that the universal grammar hypothesis (UG) brought a great deal of debate among scholars of language acquisition, even though one of its limitations is that it has no empirical evidence to support it. Tomasellos account, conversely, depends on general skills in language acquisition, such as, joint attention, intention reading and pattern finding skills. Yet he did not provide adequate explanation to convince us that these are sufficient for language acquisition.

Sunday, October 13, 2019

The Wife The Taming of the Shrew and Today :: Taming Shrew Essays

The Wife The Taming of the Shrew and Today Today many wives always want to have same position with their husband. So that they always have conflict with each other. Why they always have conflict? Actually, it is effected by wife who changes the traditional role. As I remembered that wife and husband lived together very well in sixteenth century. They didn't have any conflict. Many wives would obey their husband when their husband order them to do everything. What different image of the wife between sixteenth centuries and today? We can divide three different images to explain in the Shakespeare's play " The Taming of the shrew" and two articles for ' Japanese women no longer resigned to traditional roles" and " Men, women more confused about roles". The first different image is that many wives liked to live with their husband together in sixteenth centuries. In "The Taming of the shrew", Katherine needed to live in the Petruchio's house. When she pointed out the mistake to her husband, her husband would call her who came back to their home. We can see that the respect of Katherine " Forward, I pray, since we have come so far, and be it moon, or sun, or what you please." 1 In fact, she needed her husband to support her life. If Petruchio didn't support her life, then she couldn't live only herself. Oppositely, many wives have their new style of life today. They don't need their husband to support their life. They can take care themselves. In article "Men, women more confused about roles" , Lillian is an example, " When her marriage ended, she returned to work but would prefer to return full time to mothering." 2 , who doesn't need her husband to support her life. The second different image is that many husbands married their wife just for love in the sixteenth centuries. In " The Taming of the shrew" Lucentio loved Bianca very much, so that he disguised as a teacher who taught her Latin everyday. He wanted to express his love to Bianca. However, many husbands marry their wife not only for love today. Actually, they marry their wife who have