Tuesday, December 24, 2019

Essay Political Corruption in the United States - 2518 Words

â€Å"Corruption, improper and usually unlawful conduct intended to secure a benefit for oneself or another its forms include bribery, extortion, and the misuse of inside information. It exists where there is community indifference or a lack of enforcement policies.†(Encyclopedia Britannica). Today political Corruption in all forms exists in every country in the world. In some countries it is more prominent then in others, but no matter where you go it still occurs. Recently in mid 2013 some political corruption was brought to light in New York. â€Å"Since 2007, state senators have been more likely to be arrested then to lose their seats in a general election,† (New York Public Interest Research group). In April of 2013 New York State†¦show more content†¦The companies then purchased about thirty-five million acres of land which they then sold to the public and other land companies, and made tons of profit from this. This fraud eventually reached the p ublic eye, and by 1796 most of the involved legislators had deserted Georgia. Today there is one company that aims to increase the awareness of political and all other types of corruption in the world, its name is Transparency International. Transparency International has visited almost every country in the world(exceptions include North Korea and Somalia) and done extensive research into the corruption of that country. They take surveys and polls about corruption in order to figure out which countries are least corrupt and which are most corrupt. They have ranked every country in the world based on their research and polls. Through this research they have learned what countries do that only increase the corruption, and what measures other countries have taken to try and prevent corruption. There are three countries that tied for least corrupt overall by their measurements and those countries are Denmark, Finland and New Zealand. There was also a three way tie between Somali a, North Korea, and Afghanistan for most corrupt all around. On this list, that was recently updated in 2013, the UnitedShow MoreRelatedThe Political Corruption Of The United States1089 Words   |  5 PagesPolitical Corruption â€Å"All contributions by corporations to any political committee or for any political purpose should be forbidden by law† This quote from Theodore Roosevelt illustrates how corporate money can be disastrous when involved in election cycles. Unfortunately, this is not the case. The Supreme Court decided in Citizens United v. Federal Election Commission that companies and Super PAC’s could donate unlimited amount of money to support candidates. The Citizens United ruling has causedRead MoreAnalyzing Mexico And United States:. 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Monday, December 16, 2019

Mixed Schools Is the Optimum Free Essays

Mixed Schools is the optimum Coeducation or mixed-gender education is the integrated education of male and female students in the same environment, while unisex education is the education where male and female students attend in separate classes or in separate buildings or schools. In the past, mixed schools were not acceptable, but by the time it became popular. Mixed schools are better for students socially, and it also develops their educational skills and psychological things. We will write a custom essay sample on Mixed Schools Is the Optimum or any similar topic only for you Order Now Parents recommend mixed schools because it develops many skills for the kids. Mixed schools make students get used to the social life. Supporters of the unisex schools believe that the school is not a place for developing your social life skills, but just for studying. Also, some parents do not want their children to be in mixed school because at certain ages, students of the opposite sex can be a distraction. However, the best place that helps children to get ready for the real social life is the school. Students in single-sex classrooms will one day live and work side-by-side with members of the opposite sex. Educating students in single-sex schools limits their opportunity to work cooperatively and co-exist successfully with members of the opposite sex† (Stanberry, 2009). It’s so important to have friends from both sides of the fence. â€Å"You would never find a workplace with only females, so this prepares you for the outside world much better† (Davidson, 200 3). According to the Education International, statistics indicated that mixed schools students have recorded the highest success rate. People who believe that unisex schools are the best say that mixed schools distract students’ attention. On the other hand, the researchers conducted extensive interviews with individual students and found excellent students do not get distracted. In the 1960s and 70s, Dale reported (1969, 1971, 1974) that boys, girls and teachers were happier in co-educational secondary schools, and boys did better academically within them. Professor Analia Schlosser, an economist from the Eitan Berglas School of Economics at Tel Aviv, found that elementary school, co-ed classrooms with a majority of female students showed increased academic performance for both boys and girls† (Schlosser, 2006). In high school, the classrooms with the best academic achievement were consistently those that had a higher percentage of girls. Moreover, mixed schools will provid e creative environment because both genders think differently so that they could share information and get more experience to come up with better results. We often hear of things like boys and girls learn differently, but the biology of learning is exactly the same† (Halpern, 2002) On the psychological side, students in the mixed schools feel as they were one family. Some parents who support the unisex schools think that their children get affected psychologically because they get shy from the opposite sex. However, children must get used to deal with the opposite sex to get more social skills and feel comfortable when dealing with the opposite sex. Males and females who do not regularly interact with each other are likely to entertain stereotypical beliefs about the other sex. To sum up, boys studying in mixed schools become kind and not aggressive because they deal with the soft gender. Both genders also become in a good psychological conditions. Students also feel free in mixed schools because they feel as they were in their home. Mixed schools provide better environment and atmosphere for the students. Students studying in mixed schools get common with members of the opposite sex. Also, these schools provide the students with an environment that helps them to share ideas and become experienced. Dealing with the opposite sex makes you feel free because you deal with each other as relatives. Works Cited Davidson, M. (2003). Single-sex and mixed schools. Ms Davidson. Halpern, D. (2002). Diane Halpern. Schlosser, A. (2006). Mixed schools. Analia Schlosser. Stanberry, K. (2009). Single-sex education. Kristin Stanberry. Dale, A. and Egerton, M. with Joshi, H. and Davies, H. (1997) Highly Educated Women: Evidence from the national child development study, DfEE (HMSO, London). How to cite Mixed Schools Is the Optimum, Essay examples

Sunday, December 8, 2019

African Americans In The South Essay Example For Students

African Americans In The South Essay As a social and economic institution, slavery originated in the times when humans began farming instead of hunting and gathering. Slave labor became commonplace in ancient Greece and Rome. Slaves were created through the capture of enemies, the birth of children to slave parents, and means of punishment. Enslaved Africans represented many different peoples, each with distinct cultures, religions, and languages. Most originated from the coast or the interior of West Africa, between present-day Senegal and Angola. Other enslaved peoples originally came from Madagascar and Tanzania in East Africa. Slavery became of major economic importance after the sixteenth century with the European conquest of South and Central America. These slaves had a great impact on the sugar and tobacco industries. A triangular trade route was established with Europe for alcohol and firearms in exchange for slaves. The slaves were then traded with Americans for molasses and (later) cotton. In 1619 the first black slave arrived in Virginia. The demands of European consumers for New World crops and goods helped fuel the slave trade. A strong family and community life helped sustain African Americans in slavery. People often chose their own partners, lived under the same roof, raised children together, and protected each other. Brutal treatment at the hands of slaveholders, however, threatened black family life. Enslaved women experienced sexual exploitation at the hands of slaveholders and overseers. Bondspeople lived with the constant fear of being sold away from their loved ones, with no chance of reunion. Historians estimate that most bondspeople were sold at least once in their lives. No event was more traumatic in the lives of enslaved individuals than that of forcible separation from their families. People sometimes fled when they heard of an impending sale.During the 17th and 18th century enslaved African Americans in the Upper South mostly raised tobacco. In coastal South Carolina and Georgia, they harvested indigo for dye and grew rice, using agricultural expertise brought with them from Africa. By the 1800s rice, sugar, and cotton became the Souths leading cash crops. The patenting of the cotton gin by Eli Whitney in 1793 made it possible for workers to gin separate the seeds from the fiber some 600 to 700 pounds daily, or ten times more cotton than permitted by hand. The Industrial Revolution, centered in Great Britain, quadrupled the demand for cotton, which soon became Americas leading export. Planters acute need for more cotton workers helped expand southern slavery. By the Civil War, the South exported more than a million tons of cotton annually to Great Britain and the North. An area still called the Black Belt, which stretched across Georgia, Alabama, Mississippi, and Louisiana, grew some 80 percent of the nations crop. In parts of the Black Belt, enslaved African Americans made up more than three-fourths of the total population.Even though slavery existed throughout the original thirteen colonies, nearly all the northern states, inspired by American independence, abolished slavery by 1804. As a matter of conscience some southern slaveholders also freed their slaves or permitted them to purchase their freedom. Until the early 1800s, many southern states allowed these emancipations to legally take place. Although the Federal Government outlawed the overseas slave trade in 1808, the southern enslaved African American population continued to grow. By 1860 some 4 million enslaved African Americans lived throughout the South. Only Southern states believed slavery to be a major, and essential, economic factor. Whether on a small farm or a large plantation, most enslaved people were agricultural laborers. They worked literally from sunrise to sunset in the fields or at other jobs. Some bondspeople held specialized jobs as artisans, skilled laborers, or factory workers. .u824b5d0c500bb29699abee82ebdbf8ad , .u824b5d0c500bb29699abee82ebdbf8ad .postImageUrl , .u824b5d0c500bb29699abee82ebdbf8ad .centered-text-area { min-height: 80px; position: relative; } .u824b5d0c500bb29699abee82ebdbf8ad , .u824b5d0c500bb29699abee82ebdbf8ad:hover , .u824b5d0c500bb29699abee82ebdbf8ad:visited , .u824b5d0c500bb29699abee82ebdbf8ad:active { border:0!important; } .u824b5d0c500bb29699abee82ebdbf8ad .clearfix:after { content: ""; display: table; clear: both; } .u824b5d0c500bb29699abee82ebdbf8ad { display: block; transition: background-color 250ms; webkit-transition: background-color 250ms; width: 100%; opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #95A5A6; } .u824b5d0c500bb29699abee82ebdbf8ad:active , .u824b5d0c500bb29699abee82ebdbf8ad:hover { opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #2C3E50; } .u824b5d0c500bb29699abee82ebdbf8ad .centered-text-area { width: 100%; position: relative ; } .u824b5d0c500bb29699abee82ebdbf8ad .ctaText { border-bottom: 0 solid #fff; color: #2980B9; font-size: 16px; font-weight: bold; margin: 0; padding: 0; text-decoration: underline; } .u824b5d0c500bb29699abee82ebdbf8ad .postTitle { color: #FFFFFF; font-size: 16px; font-weight: 600; margin: 0; padding: 0; width: 100%; } .u824b5d0c500bb29699abee82ebdbf8ad .ctaButton { background-color: #7F8C8D!important; color: #2980B9; border: none; border-radius: 3px; box-shadow: none; font-size: 14px; font-weight: bold; line-height: 26px; moz-border-radius: 3px; text-align: center; text-decoration: none; text-shadow: none; width: 80px; min-height: 80px; background: url(https://artscolumbia.org/wp-content/plugins/intelly-related-posts/assets/images/simple-arrow.png)no-repeat; position: absolute; right: 0; top: 0; } .u824b5d0c500bb29699abee82ebdbf8ad:hover .ctaButton { background-color: #34495E!important; } .u824b5d0c500bb29699abee82ebdbf8ad .centered-text { display: table; height: 80px; padding-left : 18px; top: 0; } .u824b5d0c500bb29699abee82ebdbf8ad .u824b5d0c500bb29699abee82ebdbf8ad-content { display: table-cell; margin: 0; padding: 0; padding-right: 108px; position: relative; vertical-align: middle; width: 100%; } .u824b5d0c500bb29699abee82ebdbf8ad:after { content: ""; display: block; clear: both; } READ: Constitutionality of Same Sex Marriage Essay A smaller number worked as cooks, butlers, or maids. Slavery became an issue in the economic struggles between Southern plantation owners and Northern industrialists in the first half of the 19th century, a struggle that culminated in the American Civil War. Despite the common perception to the contrary, the war was not fought primarily on the slavery issue. Abraham Lincoln, however, saw the political advantages of promising freedom for Southern slaves, and the Emancipation Proclamation was enacted in 1863. This was reinforced after the war by the 13th, 14th, and 15th amendments to the US constitution (1865, 1868, and 1870), which abolished slavery altogether and guaranteed citizenship and civil rights to former slaves. Following the Civil War, Southern states passed laws called Black Codes. A Black Code was a law which limited or restricted a certain activity or way of life for the African Americans. Mississippi banned interracial marriages with the threat of certain death if the law was broken. Other codes restricted where the Blacks could own land. All were attempts to keep the government from giving the forty acres of land to former slaves. Since a majority of the Southern population was made of Blacks, whites feared they would eventually take over. This led to the brutal killings of many Blacks by the KKK and other white supremacist groups. Blacks who tried to exercise power were either killed or had some other form of physical action taken against them. Although in 1880 voting booths were open to all, only some Whites let Blacks vote, usually when this happened, they were watched under the careful eye of a KKK leader. Sadly enough a Black trying to pursue his right to vote was often met with death or loss of income. According to the Ku Klux Klan, they stand for five simple views. The first being The White Race being the Aryan race and its Christian faith. The second, America First states that America comes first before any foreign or alien influence or interest. The Constitution as they believe should be followed exactly as written and intended, and is considered by their group the finest system of government ever conceived by man. The fourth, Free Enterprise was the end to high-finance exploitation. And finally, Positive Christianity was the right of Americans to practice their Christian faith, including but not limited to prayer in school. Preconceived notions are quite arguably the most widely acknowledged form of racism today. Use of derogatory terms, such as the quite offensive n-word and slang such as spook, porch monkey, etc. are all terms people of all races use to refer to Blacks. Even situations can become unnecessarily frightening because of preconceived notions we have been led to believe about Blacks. For example, if a white woman has gotten lost while driving and stumbles into a predominantly black neighborhood, she would be more likely to panic and become frightened then if she were lost in a neighborhood considered to be predominantly white. Fears and ideals such as these have been instilled in our society for years, which leads to the occurrence of racial hate. It is obvious that racism still exists in many forms throughout our nation and throughout the world. Example of this racism is present in almost every aspect of society to this day. Although slavery was outlawed in our country following the Civil War, African-Americans have never been able to enjoy the freedom that Caucasians have, and probably never will. Years and years of oppression have led to an attitude of inferiority by the African Americans that will, quite possibly, never fade. What a humility to society in general that this institution existed. Bibliography:

Saturday, November 30, 2019

The Multics Operating System Project

Multics (Multiplexed Information and Computing Service) was a time-sharing operating system developed by MIT, Bell Telephone Laboratories, and General Electric Company since 1965 (Saltzer, 1974, pp. 8-24). Multics last known installation was shut in 2000 in Canada.Advertising We will write a custom essay sample on The Multics Operating System Project specifically for you for only $16.05 $11/page Learn More Features Multics had some unique features. Multics had a program that controlled all hardware elements by relying on â€Å"symmetric multiprocessing, paging, and multiprogramming† features (Multics, 2013, para. 1; Daley and Neumann, 1965, pp. 84-100). The system had virtual memory. The hardware had to change virtual addresses from the CPU into real addresses (Multics, 2013, para. 1). Users could gain access to virtual memory through hierarchical levels by depending on disks, storage and page components. The OS had a segmented memory, which the u ser could interact with directly. In some cases, different processes shared a segment. Every segment had addresses â€Å"consisting of up to 1MB or 0 to 256K words† (Multics, 2013, para. 1). The architect linked â€Å"the file system with the memory access system† (Multics, 2013, para. 1). This allowed others programs to access files by referring to the memory.  Multics also had high standards of language usages. It used PL/I language based on the IBM proposal. The use of high-level language for OS in 1960s was an ambitious approach at the time of Multics development. In addition, the system could support several languages.  The system also used relational database. This was the first commercial relational database in the market. Developers designed a secure system from the start of the project. Its security features earned B2 rating awarded by NCSC of the US government. The OS had online reconfiguration (Schell, 1971, p. 86). The system could run without stopping throughout its lifespan. Users could add or remove some components of the system while it was still running. Such components included CPUs, disk drives, and memory among others. Paul Karger and Roger Schell studied Multics vulnerability and noted that the OS could not meet security requirements in its original form (Karger and Schell, n.d, pp. 1-24; Downey, 1977, p. 45). Thus, it was not suitable for an open multi-level system. On the other hand, these researchers noted that Multics had superior security features than other current systems.Advertising Looking for essay on computer science? Let's see if we can help you! Get your first paper with 15% OFF Learn More They observed that Multics could still work today as a basic Secret or Top Secret system. Multics could also provide a platform in which new systems could rely on to develop advanced secure multi-level systems.  During software engineering processes, the team spent resources in order to create an effective O S (Gedda, 2009, pp. 1-4). They developed and wrote the manual prior to the project implementation. The manual contained details about the system. Multics operated on a high-level language together with different codes, designs, programming, and layering technologies. These aimed at controlling the system complexity. Goals Developers of Multics aimed at creating a convenient system that could offer remote terminal abilities. They wanted to create a system that could operate in analogue manner like electricity and telephone services. The system had different approaches to configuration. These were alterable without the system or user involvement in the process. In addition, developers of Multics wanted to build a system with highly reliable internal files (Multics, 2013, para. 1). The system could support selective processes of sharing information (Saltzer, 1974, pp. 388-402).  Developers of Multics aimed to create â€Å"a hierarchical structure system, which could support informat ion sharing, administrative roles, and decentralized user activities† (Multics, 2013, para. 2; Organick, 1972, p. 74). At the same time, developers strived at building a system that would run on different types of applications. This would allow Multics to support several programming approaches and other external interfaces. Finally, the team wanted to create a system that could change based on unique needs of users and changes in technologies. Impacts and influences on Modern day trends Programmers of Unix operating system had extensive knowledge in the Multics operating system. Influences of Multics are evident in naming of features such as files and segments. However, these two systems had different internal design approaches. Unix aimed at improving some weaknesses in Multics. For instance, Unix wanted to develop a small and simple system in order to reduce the need for many resources. In other words, Unix would operate on limited hardware compared to Multics.  Some schol ars claim that the name Unix, which was initially Unics, originated from Multics. They also argued that the ‘U’ stood for uniplexed rather than the complex Multiplexed of Multics. On this note, critics asserted that Unix developers rejected the complex approach to programming.Advertising We will write a custom essay sample on The Multics Operating System Project specifically for you for only $16.05 $11/page Learn More Instead, its developers concentrated on a single workable method for small computers. The name reflected a low or a ‘castrated’ form of Multics i.e., the pun was UNICS (Garfinkel and Abelson, 1999, pp. 21-41).  Peter Seibel noted that Ken Thompson referred to Multics as an overdesigned and overbuilt system (Seibel, 2007, p. 449). These qualities almost made the system unusable. MIT and Fernando J. Corbato claimed that the system was a success. However, Ken Thompson believed that Multics failed to achieve its goa ls (Gedda, 2009, pp. 1-4; Seibel, 2007, p. 449). Today, the hierarchical file system and the use of the shell in Multics still have strong influences on programmers because these methods provided simple approaches of replacing other processes while programming. Fernando Corbato believed that the name Multics was serious and suggested the value and goal of the system. In this context, developers did not associate the name with any of the involved organizations. Corbato agreed that Multics and Unix shared a pun of the name Multics (Gedda, 2009, pp. 1-4). Other operating systems with Multics influences Apart from Unix, Multics has also influenced other operating systems. For instance, the Prime Computer operating system (PRIMOS) relied on Multics designs. In addition, the Domain/OS have also used Multics ideologies.  The Stratus VOS operating system had relied on â€Å"Multics to design its internal and external features† (Seibel, 2007, p. 449). For instance, Stratus VOS OS bo rrowed reliability, security, and availability features from Multics. These two projects had some resembling features in reliability, support, and security (Schroeder and Saltzer, 1972, pp. 157-170). Stratus VOS has a direct connection with the Multics, and it remains one of the surviving OS developed from Multics ideologies. The ICL’s VME operating system relied on Multics security features. Such features had the ability to control access to resources at one side of the system. There are also other operating systems, which have borrowed other features from Multics. Overall, Corbato observes that modern computing relies on Multics approaches like â€Å"hierarchical file systems, file access controls, and dynamic linking on demand† (Gedda, 2009, p. 2) in order to develop their operating systems. Corbato notes that the approach of high-level language was rather ambitious at the time of developing Multics. However, he asserts that it was necessary to improve the effective ness of every input in the system. Today, he believes that developers would have picked a simple programming language than the PL/I.Advertising Looking for essay on computer science? Let's see if we can help you! Get your first paper with 15% OFF Learn More References Daley, R and Neumann, P. (1965). A General Purpose File System for Secondary Storage. Montvale, N.J: AFIPS Press. Downey, P. (1977). Multics Security Evaluation: Password and File Encryption Techniques. Hanscom AFB, MA: HQ Electronic Systems Division. Garfinkel, S., and Abelson, H. (1999). Architects of the Information Society: Thirty-Five Years of the Laboratory for Computer Science at MIT. Massachusett : MIT Press. Gedda, R. (2009). CIO Blast from the Past: 40 years of Multics, 1969-2009. Web. Karger, P., and Schell, R. (n.d). Multics Security Evaluation: Vulnerability Analysis. Web. Multics. (2013). Web. Organick, I. (1972). The Multics System: An Examination of Its Structure. Cambridge, MA: The MIT Press. Saltzer, H. (1974). Protection and the Control of Information Sharing in Multics. Comm. ACM, 17(7), 388-402. Saltzer, J. (1974). Introduction to Multics. Cambridge: MIT Press. Schell, R. (1971). Dynamic Reconfiguration in a Modular Computer System. Cambridge: MIT Pro ject MAC. Schroeder, D. and Saltzer, J. (1972). A Hardware Architecture for Implementing Protection Rings. Comm. ACM, 15(3), 157-170. Seibel, P. (2007). Coders at Work: Reflections on the Craft of Programming. New York: APress Publications. This essay on The Multics Operating System Project was written and submitted by user Mess1ah to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Tuesday, November 26, 2019

The eNotes Blog The moment of change is the only poem Remembering AdrienneRich

The moment of change is the only poem Remembering AdrienneRich Adrienne Rich: May 16, 1929 – March 27, 2012 The literary world lost one of our most unique and influential voices last week. Poet and essayist Adrienne Rich, who wrote eloquently about feminist issues, died from complications of rheumatoid arthritis, a condition from which she had suffered for many years. Rich was 82. Richs talent was recognized early on.   In 1951, while still an undergraduate at Yale, poet W.H. Auden selected Richs work for the prestigious Yale Younger Poets Series Award.   She continued to write and receive numerous awards, but famously turned down the usually coveted National Medal of Arts in 1997 because she was incensed at then-Speaker Newt Gingrichs drive to end funding for the Arts. You can listen to Richs impassioned speech about her refusal to accept the award here. Throughout her long career, Richs beautiful, image-rich poems championed the causes of women in general and lesbian women in particular. Rich talked about her poetry, life, and activism in an hour-long interview with Terry Gross on NPRs Fresh Air.   Particularly interesting are her musings about mother/daughter relationships. She said: I think that it is perhaps that tendency that we have to try to correct the mythologies that we feel have harmed us, the mythologies that deny the strengths and the powers that women have passed onto women, that mothers have passed onto daughters. And these are very real, and we know that they are very real. But at the same time, there are other stories, and I feel as though there needs to be a corrective to the corrective, if you will. We tried in the early years of the feminist movement to look under and behind the myths, the legends that always depicted the stepmother as cruel, the bad mother, the myths in popular psychology of the evil mother, the evil mother-daughter bond. We tried to correct those, and in so doing, I think we unearthed a great deal that was real and important and useful. To idealize, to sentimentalize, to mythologize that- those powers, those strengths, those teachers- takes us into yet another place where I think we are disempowered. To close, here are a few of my favorite verses from Richs poem, Tattered Kaddish, which serve as a fitting goodbye: Praise to life though it crumbled in like a tunnel on ones we knew and loved Praise to life though its windows blew shut on the breathing-room of ones we knew and loved Praise to life though ones we knew and loved loved it badly, too well, and not enough Praise to life though it tightened like a knot on the hearts of ones we thought we knew loved us Praise to life giving room and reason to ones we knew and loved who felt unpraisable. Praise to them, how they loved it, when they could.

Friday, November 22, 2019

Definition and Examples of Symbolism in Rhetoric

Definition and Examples of Symbolism in Rhetoric Symbolism  (pronounced SIM-buh-liz-em)  is the use of one object or action (a symbol) to represent or suggest something else. German writer  Johann Wolfgang von Goethe famously defined true symbolism as that in which the particular represents the general. Broadly, the term symbolism may refer to the symbolic meaning or the practice of investing things with a symbolic meaning. Though often associated with religion and literature, symbolism is prevalent in everyday life. The use of  symbolism  and language, says Leonard Shengold, makes our minds flexible enough to grasp, master, and communicate thoughts and feelings (Delusions of Everyday Life, 1995). In Dictionary of Word Origins (1990), John Ayto points out that etymologically a  symbol  is something thrown together. The words ultimate source is Greek  sumballein  . . .. The notion of throwing or putting things together led on to the notion of contrast, and so  sumballein  came to be used for compare. From it was derived  sumbolon, which denoted an identifying token- because such tokens were compared with a counterpart to make sure they were genuineand hence an outward sign of something. Examples and Observations [T]he symbolic elements in life have a tendency to run wild, like the vegetation in a tropical forest. The life of humanity can easily be overwhelmed by its symbolic accessories. . . . Symbolism is no mere idle fancy or corrupt degeneration; it is inherent in the very texture of human life. Language itself is a symbolism.(Alfred North Whitehead, Symbolism: Its Meaning and Effect. Barbour-Page Lectures, 1927) The Rose as a Symbol Pick the rose. It used to symbolise the Virgin Mary and, before her, Venus, the pricking of its barbs being likened to the wounds of love. The association still survives in the common meaning of a bunch of roses (I love you). Flowers might be delicate and short-lived but they have acquired a vast range of unpredictably durable meanings, a whole bouquet of significances: affection, virtue, chastity, wantonness, religious steadfastness, transience. The modern multiplication of floral emblems and trademarks has, however, taken its toll. When the red rose can stand for the Labour Party, a box of chocolates and Blackburn Rovers FC, it seems fair to say that its symbolic potency has been somewhat diluted by over-use. (Andrew Graham-Dixon, Say It With Flowers. The Independent, September 1, 1992)The rose . . . has collected around itself many layers of meanings, some of which contradict or challenge each other. As associated with the Virgin Mary, the rose symbolizes chastity and purity, whil e as associated with sexuality in medieval romance literature, it symbolizes carnality and sexual bliss, its tightly furled bud a favorite symbol of female virginity, its full-blown blossom a symbol of sexual passion.Multiple meanings may jostle for dominance around a symbol, or, in contrast, a symbol may over time, come to possess a single, fixed sense. Symbols, therefore, can enrich language by bringing it an array of different possible meanings, or they can reinforce a single meaning, as with images that constantly dehumanize. (Erin Steuter and Deborah Wills, At War With Metaphor: Media, Propaganda, and Racism in the War on Terror. Lexington Books, 2008) Jung on the Range of Potential Symbols The history of symbolism shows that everything can assume symbolic significance: natural objects (like stones, plants, animals, men, mountains and valleys, sun and moon, wind, water, and fire), or man-made things (like houses, boats, or cars), or even abstract forms (like numbers, or the triangle, the square, and the circle). In fact, the whole cosmos is a potential symbol. (Carl Gustav Jung, Man and His Symbols, 1964) Real and Symbolic Suns Once when I was analyzing the symbolism of sun and moon in Coleridges poem, The Ancient Mariner, a student raised this objection: Im tired of hearing about the symbolic sun in poems, I want a poem that has the real sun in it.Answer: If anybody ever turns up with a poem that has the real sun in it, youd better be about ninety-three million miles away. We were having a hot summer as it was and I certainly didnt want anyone bringing the real sun into the classroom.True, a distinction could be made here corresponding to the difference between concept and idea in the Kantian terminology. The notion of sun qua sun, as the sheerly physical object that we grow our crops by, would be a concept. And the notion of the sun as avenger . . . would carry us into the realm of ideas. The student was correct in feeling that a stress upon symbolism can blunt our concern with the sheerly literal meaning of a term (as when critics become so involved with the symbolism of a story that they ignore its natu re simply as a story). (Kenneth Burke, The Rhetoric of Religion: Studies in Logology. University of California Press, 1970) The Symbolism of the Filibuster The filibuster has at times symbolized, justifiably or not, the courageous stand of principled individuals against a corrupt or compromised majority. That symbolism was captured in Mr. Smith Goes to Washington, the classic Frank Capra film in which James Stewart plays a naà ¯ve newcomer who holds the Senate hostage for longer even than Strom Thurmond did, before collapsing in fatigue and triumph. (Scott Shane, Henry Clay Hated It. So Does Bill Frist. The New York Times, November  21, 2004) The Symbolism of Book-Burning As an act of wanton barbarism, there is little to rival the symbolism of setting fire to a book. It is, therefore, genuinely shocking to learn that book-burning is taking place in south Wales. Pensioners in Swansea are reportedly buying books from charity shops for just a few pence each and taking them home for fuel. (Leo Hickman, Why Are They Burning Books in South Wales? The Guardian, January  6, 2010) The Dumber Side of Symbolism Butt-head: Look, this video has symbols. Huh-huh-huh.Beavis: Yeah, is that what it means when they say videos have symbolism?Butt-head: Huh-huh-huh. You said ism. Huh-huh-huh-ha-huh.(Customers Suck. Beavis and Butt-Head, 1993)

Thursday, November 21, 2019

Drawing Competition Award Ceremony Essay Example | Topics and Well Written Essays - 500 words

Drawing Competition Award Ceremony - Essay Example Research shows that THALASSAEMIA has transformed from a fatal childhood disease into a mere chronic one. This shows that health authorities are concerned about improving the condition of the patients. Why then due to economic downfall have we neglected the necessity of financing an issue which has shown the potential for improvement? Healthy citizens are an asset to the nation; they help make a country grow and reach its goals. A country that does not see the importance of the wellbeing of its people cannot hope to prosper. It is an obligation for all of us to voice out this issue so that recession does not become a threat to our health. Let us be a part of the struggle that the health sector is making in trying to eradicate these diseases from the face of this world. Let us join hands and be the voice of the patients who suffer from such a disease. So that they have hope to see in the near future their children and grandchildren devoid of the pain they went through. Health is a basi c right for all the citizens and for patients it is a necessity. And so we as a nation should make sure that this sector does not go unnoticed due to the economic downfall. Creating awareness about the seriousness of the issue a drawing competition was held. The topic was â€Å"Economic Recession: Observe- Join Forces- Safeguard Health: The right to quality health care for every patient†. High School Students and Senior High/ Technical School Students were allowed to register for the competition. This competition aimed to create awareness about the attention not being paid to the health department with respect to Thalassemia due to the economic recession. It is a reminder to the people and authorities that quality health care is the right of every patient and it must be considered seriously when allocating budget for health. A big applause to these young men and women who have gathered here and made this competition possible. You feel strong when you see the youth of your cou ntry so ready to improve the health condition of the world. The people gathered here to make you believe that change is possible and we will make it possible.

Tuesday, November 19, 2019

Biology lab report ( includes abstract, intro, results, dissections ) - 1

Biology ( includes abstract, intro, results, dissections ) - Lab Report Example It was found from the comparison that the on average the northern population of Crotalus atrox has much greater heterozygosity than the southern population. Thus it can be considered that the northern population has more genetic variation than the southern population. Various reasons can be accounted for this genetic variation such as mutation in migration because of changed habitat, inbreeding within the southern population, as well as the genetic mechanisms such as genetic drift and gene flow bringing in forces like founder effect and population bottleneck. Therefore it can be concluded that the highway construction has impacted the genetic variations of the populations of Crotalus atrox. Crotalus atrox is an eminent species in semiarid communities, deserts of North America and reside in various regions. Although this specific rattlesnake’s species are not regarded as endangered, however, investigating this species will aid in the development of better protection and conservation practices (Brennan, 2008). The heterozygosity of Crotalus atrox, the Western Diamond-backed Rattlesnake’s two populations has been explored in order to ascertain if any change has occurred within the microsatellite diversity amongst the chosen two populations of Crotalus atrox. Investigation of microsatellite diversity leads to better comprehension of genetic fitness and variation within the species. It also provides an opportunity to penetrate on ways of conservation to prevent endangerment caused by the human made (anthropogenic) barriers, which are introduced into the natural habitats. There have been various studies done to explore the influence of anthropogenic barriers on the lives of various organisms. Landscape genetics reveals the way landscape features may impact the population structure by associating genetic discontinuities with environmental or landscape features. These features include climatic, edaphic, biotic and other

Saturday, November 16, 2019

Heroin Addiction Essay Example for Free

Heroin Addiction Essay According to The National Institute on Drug Abuse, heroin is an illegal, highly addictive drug. It is both the most abused and the most rapidly acting of the opiates. Heroin is processed from morphine, a naturally occurring substance extracted from the seed pod of certain varieties of poppy plants. It is typically sold as a white or brownish powder or as the black sticky substance known on the streets as â€Å"black tar heroin†. Although purer heroin is becoming more common, most street heroin is†cut† with other drugs or with substances such as sugar, starch, powdered milk, or quinine. Street heroin can also be cut with strychnine or other poisons. Because heroin abusers do not know the actual strength of the drug or its true contents, they are at risk of overdose or death. Heroin also poses special problems because of the transmission of HIV and other diseases that can occur from sharing needles or other injection equipment. According to the 2003 National Survey on Drug Use and Health, which may actually underestimate illicit opiate (heroin) use, an estimated 3. 7 million people had used heroin at some time in their lives, and over 119,000 of them reported using it within the month preceding the survey. An estimated 314,000 Americans used heroin in the past year, and the group that represented the highest number of those users were 26 or older. The survey reported that, from 1995 through 2002, the annual number of new heroin users ranged from 121,000 to 164,000. During this period, most new users were age 18 or older (on average, 75 percent) and most were male. In 2003, 57. 4 percent of past year heroin users were classified with dependence on or abuse of heroin, and an estimated 281,000 persons received treatment for heroin abuse. According to the monitoring the Future survey, NIDA’s nationwide annual survey of drug abuse among the Nation’s 8th, 10th, and 12th graders, heroin use remained stable from 2003-2004. Lifetime heroin use measured 1. 6 percent among the 8th graders and 1. 5 percent among 10th- and 12th graders. The 2002 Drug Abuse Warning Network (DAWN), which collects data on drug related hospital emergency department (ED) episodes from 21 metropolitan areas, reported that in 2002, heroin -related ED episodes numbered 93,519. NIDA’s Community Epidemiology Work Group (CEWG), which provides information about the nature and patterns of drug use in 21 areas, eported in its December 2003 publication that heroin was mentioned as the primary drug of abuse for large portions of drug abuse treatment admissions in Baltimore, Boston, Detroit, Los Angeles, Newark, New York, and San Francisco. How is heroin used? Heroin is usually injected, sniffed/snorted, or smoked. Typically, a heroin abuser may inject up to four times a day. Intravenous injection provides the greatest intensity and most rapid onset of euphoria (7 to 8 seconds), while intramuscular injection produces a relatively slow onset of euphoria (5 to 8 minutes). When heroin is sniffed or smoked, peak effects are usually felt within 10 to 15 minutes. NIDA researchers have confirmed that all forms of heroin administration are addictive. Injection seems to be the predominant method of heroin use among addicted users seeking treatment; in many CEWG areas, heroin injection is reportedly on the rise, while heroin inhalation is declining. However, certain groups, such as White suburbanites in the Denver area, report smoking or inhaling heroin because they believe that these routes of administration are less likely to lead to addiction. With the shift in heroin abuse patterns comes an even more diverse group of users. In recent years, the availability of higher purity heroin (which is more suitable for inhalation) and the decreases in prices reported in many areas have increased the appeal of heroin for new users who are reluctant to inject. Heroin has also been appearing in more affluent communites (z). According to the NDIA the immediate effects of heroin (the short term), soon after injection (or inhalation), heroin crosses the blood-brain barrier. In the brain, heroin is converted to norphine and binds rapidly to opioid receptors. Abusers typically report a feeling a surge of pleasurable sensation-a â€Å"rush†. The intensity of the rush is a function oof how much drug is taken and how rapidly the drug enters the brain and binds to the natural opioid receptors. Heroin is particularly addictive because it enters the brain so rapidly. With heroin, the rush is usually accompanied by a warm flushing of the skin, dry mouth, and a heavy feeling in the extremities, which may be accompanied by nausea, vomiting, and severe itcing. After the initial effects, abusers usually will be drowsy for several hours. Mental function is clouded by heroin’s effect on the nervous system. Cardiac function slows. Breathing is also severely slowed, sometimes to the point of death. Heroin overdose is a particular risk on the street, where the amount and purity of the drug cannot be known. The long term effects of heroin use and the most detrimental is addiction itself. Addiction is a chronic, relapsing disease, characterized by compulsive drug seeking and use, and by neurochemical and molecular changes in the brain. Heroin also produces profound degrees of tolerance and physical dependence, which are also motivating factors for compulsive use and abuse. As with abusers of any addictive drug, heroin abusers gradually spend more and more time and energy obtaining and using the drug. Once they are addicted, the heroin abuser’s primary purpose in life becomes seeking and using drugs. The drugs literally change their brains and their behavior. Physical dependence develops with higher doses of the drug. With physical dependence, the body adapts to the presence of the drug and withdrawal symptoms occur if use is reduced abruptly. Withdrawal may occur within a few hours after the last time the drug is taken. Symptoms of withdrawal include restlessness, muscle and bone pain, insomnia, diarrhea, vomiting, cold flashes with goose bumps (cold turkey), and leg movements. Major withdrawal symptoms peak between 24 and 48 hours after the last dose of heroin and subside after about a week. However, some people have shown persistant withdrawal signs for many months. Heroin withdrawal is never fatal to otherwise healthy adults, but it can cause death to the fetus of a pregnant addict. At some point during continuous heroin use, a peson can become addicted to the drug. Sometimes addicted individuals will endure many of the withdrawal symptoms to reduce their tolerance for the drug so that they can again experience the rush. Physical dependence and the emergence of withdrawal symptoms were once believed to be the key features of heroin addiction. We now know this not to be the case entirely, since craving and relapse can occur weeks and months after withdrawal symptoms are long gone. We also know that patients with chronic pain who need opiates to function (sometimes over extended periods) have few if any problems leaving opiates after their pain is resolved by other means. This may be because the patient in pain is simply seeking relief of pain and not the rush sought by the addict. The Medical consequences of chronic heroin injection use include scarred and/or collapsed veins, bacterial infections of the blood vessels and heart valves, abscesses (boils) and other soft –tissue infections, and liver or kidney disease. Lung complications (including various types of pneumonia and tuberculosis) may result from the poor health condition of the abuser as well as from heroin’s depressing effects on respiration. Many of the additives in street heroin may include substances that do not ready dissolve and result in clogging the blood vessels that lead to the lungs, liver, kidneys, or brain. This can cause infection or even death of small patches of cells in vital organs. Immune reactions to these or other contaminants can cause arthritis or rheumatologic problems. Ofcourse, sharing of injection equipment or fluids can lead to some of the most severe consequences of heroin abuse-infections with hepatitis B and C, HIV, and a host of other blood-borne viruses, which drug abusers can then pass on to their sexual partners and children.

Thursday, November 14, 2019

Financial Instability Essay -- Financial Market Finances Accounting Es

Financial Instability The soaring volume of international finance and increased interdependence in recent decades has increased concerns about volatility and threats of a financial crisis. This has led many to investigate and analyze the origins, transmission, effects and policies aimed to impede financial instability. This paper argues that financial liberalization and speculation are the most reflective explanations for instability in financial markets and that financial instability is likely to be transmitted globally with far reaching implications on real sector performance. I conclude the paper with the argument that a global transaction tax would be the most effective policy to curb financial instability and that other proposed policies, such as target zones and the creation of a supranational institution, are either unfeasible or unattainable. INSTABILITY IN FINANCIAL MARKETS In this section I examine four interpretations of how financial instability arises. The first interpretation deals with speculation and the subsequent â€Å"bandwagoning† in financial markets. The second is a political interpretation dealing with the declining status of a hegemonic anchor of the financial system. The question of whether regulation causes or mitigates financial instability is raised by the third interpretation; while the fourth view deals with the â€Å"trigger point† phenomena. To fully comprehend these interpretations we must first understand and differentiate between a â€Å"currency† and â€Å"contagion† crisis. A currency crisis refers to a situation is which a loss of confidence in a country's currency provokes capital flight. Conversely, a contagion crisis refers to a loss of confidence in the assets denominated in a particular currency and the subsequent global transmission of this shock. One of the more paramount readings of financial instability pertains to speculation. Speculation is exhibited in a situation where a government monetary or fiscal policy (or action) leads investors to believe that the currency of that particular nation will either appreciate or depreciate in terms relative to those of other countries. Closely associated with these speculative attacks is what is coined the â€Å"bandwagon† effect. Say for example, that a country's central bank decides to undertake an expansionary monetary policy. A ne... ...onal Financial Markets,† in Gerald Epstein, Julie Graham, Jessica Nembard (eds.), Creating a New World Economy: Forces of Change and Plans of Action (Temple University Press, 1993). Charles Hakkio, â€Å"Should we Throw Sand in the Gears of Financial Markets?† Federal Reserve Bank of Kansas City Economic Review, 1994. Richard Herring and Robert Litan, Financial Regulation in the Global Economy (Brookings Institution, 1995). Ethan Kapstein, â€Å"Shockproof: The End of Financial Crisis† Foreign Affairs, January/February 1996. Charles P. Kindleberger, The World in Depression (London: Penguin 1973). Paul Krugman, â€Å"International Aspects of Financial Crises† in Martin Feldstein, ed., The Risk of Economic Crisis (Chicago: University of Chicago Press, 1991). John McCallum, â€Å"Managers and Unstable Financial Markets† Business Quarterly January 1, 1995. James Tobin, â€Å"A proposal for international monetary reform† Eastern Economic Journal 1978, volume 4. John Williamson, The Failure of World Monetary Reform 1971-1974) (NY:NYU Press, 1977) L.B. Yeager, International Monetary Relations: Theory, History, and Policy 1976. .

Monday, November 11, 2019

Bronze Age Mesopotamia Leadership

The Epic of Gilgamesh Bronze Age Mesopotamia had a distinct culture and tradition; their rich cultural heritage was passed down by some incredible fictitious and non-fictitious writings like the ‘Epic of Gilgamesh’. There are many inferences that can be made about Bronze Age Mesopotamia by reading the ‘Epic of Gilgamesh’. It’s clear from this document that the dichotomy between a tyrannical and a just leader existed in the society where the leaders were expected to be courageous, bold and adventurous.The importance of the role of religion on leadership cannot be overlooked and religion seemed to mingle with and govern the lives of the leaders. One of the most powerful deductions that can be made about Bronze Age Mesopotamia is the constant struggle between a tyrannical ruler and a just ruler. In fact one can go as far as claiming that the entire document highlights the need for a leader who rules well over his people. In the end of the tale we see Gil gamesh, a tyrannical barbaric ruler, repent by pledging to become someone who loves the people he rules (Kovacs).This shows that perhaps corrupt tyrants who thrived at the expense of the common people marred the Bronze Age Mesopotamia. Similarly another key deduction on leadership is the apparent divine mandate to rule. The Persian Empire is known to have solidified the ‘divine mandate to rule’ and it seems that the Bronze Age Mesopotamia wasn’t too far off from the same notion. In the story we see Gilgamesh as a ‘hero’ mandated by the Gods to rule and after he displeases the Gods we see the birth of another ‘hero’ once again mandated by Gods to challenge Gilgamesh (Kovacs).This intricate relationship between heroes and Gods is something that seems to be a key feature of leadership as no ordinary person could simply become a leader. The Bronze Age Mesopotamian society had somewhat unique expectation from their leaders. The most important expectation dealt with courage and strength, which is to clear from the numerous incidents during the ‘Woe unto Gilgamesh who slandered me and killed the Bull of Heaven! † We see Enikdu and Gilgamesh fight off ‘the bull of heaven’ as well as fight each other with courage, passion and determination. A leader who did not ave the courage to fight and the strength to win was considered no leader at all during the Bronze Age Mesopotamia (Kovacs). Similarly, the leaders were also expected to have a sense of adventure to test out their courage. During the ‘Epic of Gilgamesh’ we see Gilgamesh and Enikdu travel to the dark cedar forest to fight the great monster called Humbaba. There seemed to be no reason for both these leaders to fight this monster but in order to prove their worth and win over the love of their people they had to embark upon this journey and prove their courage as seen in this quote, â€Å"I am Gilgamesh, I killed the Guardian!I des troyed Humbaba who lived in the Cedar Forest†¦ I slew lions in the mountain passes! † (Kovacs) . During the course of the ‘Epic of Gilgamesh’ we also find out about interesting and intricate relationship between Gods and leadership. The Bronze Age Mesopotamian notion of God was very different from our modern notion and God’s often had physical form and interacted with men and other beings. Its clear from the tale that Gods were deeply concerned about who rules and it what manner. As seen in tablet VI, after Gilgamesh rejected Ishtar’s proposal to her father, â€Å"the god of creation, brings about a curse upon the city of Uruk (Kovacs).Even though the Gods do not have complete control over how the leaders behave they seem to be the ones who ultimately decide their fate as is evident from the death Enkidu. The Gods also seem to decide the creation of leaders and their qualities. The leaders can be seen as ‘appointed officials’ and w henever a leader is doing what the Gods would have him do the God’s can create a new one to bring about balance and harmony. To conclude, the ‘Epic of Gilgamesh’, one of the few surviving works of the ancient literature, provides with wonderful insights into the hidden world of leadership in the Bronze Age Mesopotamia.From this tale we find out that the Mesopotamian society had experienced tyrannical rule but at the same time people seemed to have realized a way forward where rulers needed to be just. We also find out that Bronze Age Mesopotamian culture recognized courage, passion and a sense of adventure as important virtues in their leaders. Similarly a lot can be said about the close connection between leaders, Gods and the ultimate power of the Gods over the leaders. Works Cited Kovacs, Maureen. The Epic of Gilgamesh. N. p. , n. d. Web. 14 Sep 2012. .

Saturday, November 9, 2019

Nuclear Iran Essay

IRAN HAS THE RIGHT TO ENRICH URANIUM The Iranian nuclear program was initiated decades ago but for some years it has been attracting controversy and debate on international forums. This research essay will be touching both sides of the controversy and explain how the whole affair has evolved over time. Nations critical of any nuclear development in Iran regard it as a threat to peace and stability in the world. However Iran maintains a different but principled stance on this issue. On the basis of the United Nations Charter of 1945, Iran considers it as its right as a sovereign state to pursue its desire of enriching uranium and certainly does not consider itself liable to seek authorization of its actions from any other state or organization. With these words to support the claim of this essay, the Islamic Republic of Iran is fully sovereign in its decision to enrich uranium and obtain nuclear technology. History of Iranian efforts for achieving uranium-enrichment and nuclear technology goes back five decades, when the Shah of Iran Raza Shah Pahlavi came into power during the 1950s. The King of Iran thought that as oil reserves were eventually going to run out so the need for an alternative source of fuel was imperative for the future. A civil nuclear cooperation deal was signed with the United States of America (USA) under the name of Atoms for Peace program. This led to the establishment of the Tehran Nuclear Research Center (TNRC) in 1967, run by the Atomic Energy Organization of Iran. The following few years saw the golden period of international relations of Iran with the western world. Trade agreements were signed and many European countries showed a lot of interest in the development of its nuclear technology. The US response to the whole situation was over-whelming and other developed countries followed suit. The first nuclear reactor was set up at Bushehr and nuclear fuel was provided along with the necessary equipment to help Iran start its nuclear research. Iran signed the Nuclear Non-Proliferation Treaty (NPT) in 1968 and was thus subject to verifications from the International Atomic Energy Agency (IAEA). Political scene changed abruptly and Iran went through the Islamic Revolution in 1979. The government of Raza Shah was overthrown and Ayatollah Khomeini became the spiritual leader of newly found Islamic Republic. The favourite of the western world, Raza Shah was no more in power and that left the western world with no interest in Iran. The anti-US sentiment in Iran grew to an immeasurable extent that US-Iran ties were severed at all levels. US backed out of the nuclear cooperation deal with Iran and many countries including France and Germany followed the US. All deals and ties with other European countries also came to a halt. All agreements remained unfulfilled as many countries, including the US, that had received payments in exchange for nuclear fuel and technology cooperation refused to pay back. Iran felt that it was being cheated as it had to virtually hold all its efforts for enriching uranium. The unreliability in international agreements with the western powers got exposed and Iranian government decided to continue the country’s nuclear development program with help from countries other than the West and co ntinued to do so till date despite imposition of sanctions and embargoes by the West. The first and foremost claim in support of the Iranian pursuit of nuclear development is the right of every sovereign nation to rule itself and undertake any developmental programs it considers best for itself, under its own jurisdiction, as said in the UN Charter. â€Å"The Organization is based on the principle of the sovereign equality of all its Members.† [Charter of the United Nations Art. 2(1)] The above clearly underlines the absolute right of every sovereign state under the capacity of international law, to manage its affairs the way it seems appropriate. And further stressing on it, the UN Charter clearly mentions in Article 2 (7) that no other state or international agency will be authorized to intervene in matters of domestic jurisdiction of any other state and goes on to say that no state will be allowed to submit such matters to the UN under the present Charter. Thus it clearly shows that Iran is doing nothing wrong or for the fact, nothing objectionable. What Ira n is trying to achieve is nothing less of what the â€Å"club† of developed nations has already achieved and today stand proud of their achievements on the world stage. The main objective of Iran for enriching uranium is to generate electricity and depend less on its oil reserves. Iran started the project of developing  nuclear technology to meet its growing demands of energy through reliance on cleaner, more efficient sources of energy. Iran has maintained this position on all international forums. United States of America argue that Iran has vast reserves of oil and gas and does not need nuclear technology for power generation. An interesting thing to note is that Russia and Britain, both exporters of oil and gas, are generating power from nuclear technology. States like Bulgaria can have a nuclear power plant but Iran’s nuclear plant harbours so much controversy. Israel refuses to disclose how many nuclear weapons it has but one thing is confirmed that Israel became a nuclear state with the help of the United States and continues to avoid the signing of NPT. Pakistan, India, North Korea, Israel, United Kingdom, Russia and the United Stat es all possess nuclear weapons and use nuclear technology for power production. If they being sovereign states can develop nuclear technology why does Iran have to be an exception? As seen in the above paragraphs, Iran’s pursuit of nuclear technology is its right and as per law the question of allowing Iran to enrich uranium or not does not stand credible. However politics follow a different pattern. The country to initiate the nuclear program and development of research in Iran took a three-sixty degree turn after the Islamic Revolution of 1979. United States of America, after its singular use of nuclear bombs, has had a great influence over the world community after the Second World War that completely changed the world dynamics. This also influenced the Iran-Iraq war that started in 1980 and lasted 8 years. Iran was attacked by Iraqi military aircraft and missiles, initiating the war, which destroyed Iran’s nuclear reactors in Bushehr. Iranian military was not that well equipped and Iran’s pleas for a diplomatic solution to this war fell on deaf ears of the western world and the United Nations. The West openly supported the Iraqi regime throughout the war and supplied it with the latest weapons. Iran fought for eight long years and learned that the West could not be relied upon. And in recent years there exists a threat from Israel and so does from the US, both of which continue to apply pressure, directly or indirectly, on Iran to forego its pursuit of nuclear technology. The US invasion of Iraq on the pretext of finding and destroying weapons of mass destruction was baseless. This made Iran feel exposed to the world community and it remains  committed to go ahead with enriching uranium and acquiring nuclear technology. If it achieves this, a nuclear Iran will be enough to deter any foreign attack. An interesting example is that of India. India became a nuclear state in 1974 and since then has declined to become a signatory of the Non-Proliferation Treaty (NPT). The NPT prohibits its signatory states from making a deal on nuclear technology with any other state that refuses to comply with the terms of the NPT. However the world saw a controversial resolution passed by the US Congress when it approved US-India Civilian Nuclear deal. The deal was signed by both the governments and any objections voiced by the world community were unheeded. Iran fulfilling all international obligations in compliance with the IAEA and the NPT has yet to face all kinds of hurdles in the form of sanctions and trade embargoes as it continues to proceed with its nuclear program and uranium enrichment. The example of North Korea shows the two-faced attitude of the developed countries of the world. North Korea claims to have nuclear weapons and maintains a hostile attitude towards South Korea. It is a signatory of the NPT and thus under inspections of the IAEA, however it has developed nuclear technology to the extent that it can produce nuclear weapons as well. US and other world powers have dealt with the whole situation diplomatically and even come up with a deal for North Korea to give up its nuclear weapons. Contradictory to this, the United Nations Security Council voted unanimously against Iran that it should immediately suspend all its nuclear programs. If it does that then the world powers agree to hold talks with the Iranian government. This raises the question that on what grounds exactly the western world wants Iran to leave its nuclear program of enriching uranium. Iran might have many reasons to go ahead with its nuclear program however there is another side to the Iranian Nuclear Program. Critics of Iran’s nuclear program defend the stance of the United Nations Security Council that Iran should curb its nuclear program and immediately stop the enrichment of uranium. They vehemently oppose the prospect of a nuclear Iran in the future and consider such a development as a serious threat to world  peace and instability in the gulf region. They base their arguments on three main issues that include risks of nuclear proliferation, the start of an arms race in the region and lastly the increase in hostilities in the Gulf region eventually leading to global tensions. It is true that if Iran goes ahead with its nuclear program and is able to enrich uranium for its nuclear purposes there will be a risk of nuclear proliferation. However such risks are inherent in case of all nuclear states and that is one of the reasons that the Nuclear Proliferation Treaty was accorded and signed to curb such leaks. Iran is already a signatory of the NPT and has been under the inspection of IAEA for several years. The inspections undertaken by the IAEA clearly show that Iran has been complying with the terms of the NPT and IAEA. It has enriched uranium up to the permissible levels and has not yet been found of proliferation of any nuclear technology to any other state. The Iranian government has stressed time and again on its peaceful intentions regarding uranium enrichment and nuclear prospects. As per international laws the measures adopted by Iran suffice and it should be allowed to enrich uranium and keep going with its nuclear program. Those critical of Iran’s nuclear program feel there is a threat of an impending arms race in the region if Iran gets nuclear technology. What they claim is probably right and this might be one of the initial responses if Iran continues its nuclear program. As more and more resources will be spent on military budgets and on the development of nuclear weapons, this will have a negative effect on the growth of those nations. This will also cause a decrease in expenditures for the public welfare, insufficient spending on development of infrastructure and even an increase in environmental degradation. However it should also be noted that Iran is not the first country to have or close to having nuclear technology in the region. Israel already has nuclear technology and Iran’s pursuit of nuclear technology is not a recent phenomenon. It has been there for years now and so has been the arms race in the region. Iran wants to develop this technology for peaceful uses as its leade rship has said on numerous occasions. The Iranian government cannot afford to allow letting billions of dollars of investment  into this program over five decades go waste just because other nations think that Iran should discontinue its program. On another dimension Iran’s aim of enriching uranium seems the best step forward as it will shift some military power from the hands of just one player in the region that is Israel. Another argument, in addition to proliferation, going against Iran’s nuclear program is the escalation of hostilities in the region. The antagonistic relationship of Iran and Israel will get even worse if Iran continues with its nuclear program and this will put the whole region at risk as both countries will be nuclear powers. The official stance taken by both these nations with respect to the other speaks for itself. Iranian government refuses to acknowledge Israel as a legitimate state and has intent in eliminating Israel from the world map. Israel on the other hand talks of using force against Iran if it does not discontinue its nuclear program. Such tensions will require only an excuse to start war and if that is a nuclear war the consequences will be destructive. However it should also be noted that with advanced nuclear technology Iran would be at the same level as others and the looming threats of attack from the US and Israel will diffuse. Both will be well aware of t he consequences of any such attack and will try to avoid it all costs. The world has seen the effects of two nuclear bombs and no nation will dare to take such a step in haste. The example of Pakistan and India can be considered in this regard. The two countries have fought three wars and many incidents have taken place when war had become imminent. However, after they became nuclear powers, both states have been responsible in this regard and the respective nuclear weapons have acted as a deterrent. Similar is the case with Iran; the possession of nuclear technology will bring it at an equal footing with Israel and that will compel both to treat each other responsibly, something not observed nowadays in world politics. Considering all the arguments given in this essay one thing is certain that Iran has the right to go ahead with its nuclear program and that choice remains with the Iranian government or the people of Iran only. The risks involved in developing nuclear technology can be minimized but not  eliminated. Iran being a responsible state has complied and continues to abide by the terms and conditions of the NPT and the rules of the IAEA. A country like Iran that has faced so many sanctions and embargoes through the years and, however, still continues to go ahead with the plan of enriching uranium should be taken seriously. No amount of pressure is going to affect it. This is something that other countries might not be willing to accept but the fact remains that Iran is pushing itself through this. Considering the regional and the global situation Iran should be allowed to enrich uranium for the purpose of fulfilling the nation’s needs, be it energy requirements or national security compulsions. LIST OF WORKS CITED â€Å"BBC News – Q&A: Iran Nuclear Issue.† BBC – Homepage. Web. 27 Nov. 2010. . â€Å"Charter of the United Nations: Chapter I: Purposes and Principles.† Welcome to the United Nations: It’s Your World. Web. 28 Nov. 2010. . Wright, By Robert. â€Å"Listen to the Iranian People – NYTimes.com.† Opinion – Opinionator Blog – NYTimes.com. Web. 30 Nov. 2010. . â€Å"Iran’s Nuclear Program – The New York Times.† The New York Times – Breaking News, World News & Multimedia. 30 Nov. 2010. Web. 30 Nov. 2010. . Bruno, By Greg. â€Å"Iran’s Nuclear Program.† Council on Foreign Relations. Web. 30 Nov. 2010. . â€Å"Nuclear Weapons – Iran.† GlobalSecurity.org – Reliable Security Information. Web. 30 Nov. 2010. . â€Å"The Iran Nuclear Issue.† Intelligent Essays. Web. 29 Nov. 2010. . â€Å"Perceived Nuclear Threat from Iran Essay | Papers Unlimited.† Web. 1 Dec. 2010. . Web. 1 Dec. 2010. .

Thursday, November 7, 2019

Answer Key Essay Example

Answer Key Essay Example Answer Key Essay Answer Key Essay Professor Mumford [emailprotected] edu Econ 360 Fall 2012 Problem Set 1 Answers True/False (30 points) 1. FALSE If (ai , bi ) : i = 1, 2, . . . , n and (xi , yi ) : i = 1, 2,  ·  ·  · , n are sets of n pairs of numbers, then: n n n (ai xi + bi yi ) = i=1 i=1 ai x i + i=1 bi yi 2. FALSE If xi : i = 1, 2, . . . , n is a set of n numbers, then: n n n n n (xi ? x) = ? i=1 n i=1 2 x2 i ? 2? x i=1 xi + i=1 x = ? i=1 2 x2 ? n? 2 x i where x = ? 1 n i=1 xi 3. TRUE If xi : i = 1, 2, . . . , n is a set of n numbers and a is a constant, then: n n a xi = a i=1 n i=1 xi = a n x ? here x = ? 1 n i=1 xi 4. FALSE If X and Y are independent random variables then: E (Y |X) = E (Y ) 1 5. TRUE If {a1 , a2 , . . . , an } are constants and {X1 , X2 , . . . , Xn } are random variables then: n n E i=1 ai X i = i=1 ai E (Xi ) 6. FALSE For a random variable X, let  µ = E (X). The variance of X can be expressed as: V ar(X) = E X 2 ?  µ2 7. TRUE For random variables Y and X, the variance of Y conditi onal on X = x is given by: V ar(Y |X = x) = E Y 2 |x ? [E (Y |x)]2 8. TRUE An estimator, W , of ? is an unbiased estimator if E (W ) = ? for all possible values of ?. 9. FALSE The central limit theorem states that the average from a random sample for any population (with ? nite variance) when it is standardized, by subtracting the mean and then dividing by the standard deviation, has an asymptotic standard normal distribution. 10. TRUE The law of large numbers states that if X1 , X2 , . . . , Xn are independent, identically distributed random variables with mean  µ, then ? plim Xn =  µ 2 Multiple Choice Questions (a) ceteris paribus (b) correlation (c) causal e? ect (d) independence (20 points) 11. The idea of holding â€Å"all else equal† is known as 12. If our dataset has one observation for every state for the year 2000, then our dataset is (a) cross-sectional data (b) pooled cross-sectional data (c) time series data (d) panel data 13. If our dataset has one observation for every state for the year 2000 and another observation for each state in 2005, then our dataset is (a) cross-sectional data (b) pooled cross-sectional data (c) time series data (d) panel data 14. If our dataset has one observation for the state of Indiana each year from 1950-2005 then our dataset is (a) cross-sectional data (b) pooled cross-sectional data (c) time series data (d) panel data 15. Consider the function f (X, Y ) = (aX + bY )2 . What is (a) 2aX (b) a(aX + bY ) (c) 2a(aX + bY ) (d) a2 X ? f (X,Y ) ? X 3 Long Answer Questions (50 points) 16. The sum of squared deviations (subtracting the average value of x from each observation on x) is the sum of the squared xi minus n times the square of x. There are ? several ways to show this, here is one: n n xi (xi ? x) ? i=1 = i=1 n (xi ? x + x) (xi ? x) ? ? ? n = i=1 n (xi ? x) (xi ? x) + ? ? i=1 n x (xi ? x) ? ? = i=1 (xi ? x)2 + x ? ? i=1 n (xi ? x) ? (xi ? x) = 0, so ? and we know that i=1 n i=1 (xi ? x)2 ? 17. There are several ways to show that this expression equals the sample covariance between x and y, here is one: n n xi (yi ? y ) ? i=1 = i=1 n (xi ? x + x) (yi ? y ) ? ? ? n = i=1 n (xi ? x) (yi ? y ) + x ? ? ? i=1 (yi ? y ) ? = i=1 (xi ? x) (yi ? y ) ? ? 18. Correlation and causation are not always the same thing. (a) A negative correlation means that larger class size is associated with lower test performance. This could be because the relationship is causal meaning that having a larger class size actually hurts student performance. However, there are other reasons we might ? nd a negative relationship. For example, children from more a? uent families might be more likely to attend schools with smaller class sizes, and a? uent children generally score better on standardized tests. Another possibility is that within a school, a principal might assign the better students to smaller classes. Or, some parents might insist that their children are in the smaller classes, and these same parents tend to be more involved in their children’s education. Given the potential for confounding factors such as these, ? ding a negative correlation between class size and test scores is not strong evidence that smaller 4 class sizes actually lead to better performance. Thus, without other information, we cannot draw a meaningful economic conclusions. A correct answer should explain that we should be careful about drawing economic conclusions from simple correlations. (b) The sample correlation between N and T is de? ned as: s rN T = N T sN sT where the sample covariance, sN T , is given by: sN T = 1 999 1000 ? Ni ? N i=1 ? Ti ? T and the sample standard deviations are given by: sN = 1 999 1000 Ni ? N i=1 2 sT = 1 999 1000 ? Ti ? T i=1 2 Note that there are several alternative ways to write this and statistical programs generally use other algorithms to calculate the correlation that are less prone to loss of precision due to roundo? error or storage over? ow. 19. Wage data (a) There are 526 observations. (b) There are 274 men in the sample. This means that the sample is 52. 09 percent male. (c) The average level of education in the sample is 12. 6 years. The median level of education is 12 years. (d) The highest education level in the sample is 18 years of school. 9 people in the sample report having 18 years of education. (e) The average hourly wage in the sample is $5. 90. The median hourly wage in the sample is $4. 65. 20. Fertility data (a) There are 363 women in the sample. (b) The average number of children ever born to a woman in the sample is 2. 3. The median number is 2. (c) The largest number of children ever born to a woman in the sample 7. Six women report having seven children. (d) 25 percent of the sample lived in the eastern United States at age 16. (e) The average level of eduction in the sample is 13. 2 years. 5

Tuesday, November 5, 2019

When to Consider Planting a Flowering Dogwood Tree

When to Consider Planting a Flowering Dogwood Tree Flowering dogwood is the state tree of Virginia and Missouri and the state flower of North Carolina. It is an extremely popular flowering tree in American landscapes, is beautiful in every season and  a sturdy tree  that can be grown in most yards. Flowering dogwood opens white flowers in April, usually before the leaf display, and will show off and enhance any spring  landscape. If planted on a hospitable site and under a canopy of larger trees, the tree grows fast, sleek and slim but it  will be  less sleek and more husky when grown in open sun. Unfortunately, the tree is  too often planted on dry, sunny and alkaline soils and the grower misses its full potential. Habit and Planting Dogwood grows readily from seed but is not easy to transplant. You  will do best by buying a potted  tree at your garden center or bare-root tree at  a nursery.  You can buy bulk bare-root stock at very reasonable prices from the Arbor Day Foundation if you are a member. Always move dogwood with a complete root ball in the early spring and place the transplant a little high in the planting hole. Understory dogwood is a medium tree of about 40 feet with wispy stems. The dogwood occupies a large eastern north-south range in North America from Canada to the Gulf of Mexico. The tree is not very hardy if planted beyond its genetic home region so pick a local variety. Strong Cultivars There are white, red and blended versions of flowering dogwood.  Some of the most popular  dogwood cultivars are Cherokee Chief, Cherokee Princess, First Lady, Rubra, New Hampshire, and  Appalachian Spring. Many of these can only be found in local nurseries in the region  where the cultivar does best. Flowering dogwood is hardy through zone 5.

Saturday, November 2, 2019

Thomas edison Essay Example | Topics and Well Written Essays - 750 words

Thomas edison - Essay Example the day of his birth to have the commitment of trying more than a thousand times to light that luminous bulb, which unlocked the avenues of modern era of the human race. This calls for a tribute to this dedicated and triumphant inventor who brightened the world with his new source of light. Therefore, today, I will try to put some light on the life and achievements of this great inventor, Thomas Alva Edison as a personal way of giving honor and respect to him. This great inventor of the millennium, surprisingly, was unable to talk until his age of four (MacLeod & Krystoforski, pp. 11-14). However, since the age of four, family observed a miraculous change in Edison as he began to talk with keen interest and trying to know almost everything that existed around him. Although family members appreciated his interest, however, this created problem for his teachers as they gradually started taking Edison as a hyperactive and jumbled child. However, nobody knew that this child would be gifting one of the most precious gifts to the human civilization in future. Although this may sound funny, but Thomas once tried to try his luck in the acting before he began to test his invention; however, he was extremely shy person that inclined him to drop this idea. Nevertheless, he continued his fondness for reading and poetry that one often sees in a scientist or an inventor, and that is one of the extraordinary aspects of this great inventor. One more surprising thing about Edison was that at one stage, he began to dislike physics theories of Newton due to confusing terms; however, this even did not lessen his love for sciences (MacLeod & Krystoforski, pp. 23-27). This love for sciences and reading habits helped him a lot in understanding different scientific theories in his own way, another factor inclined him towards creating his own inventions. Belonging to a middle-class family, Thomas always felt the absence of a financial supporter, and for that, he put enormous efforts

Thursday, October 31, 2019

Foreign Hospitality Industry in Switzerland Research Paper

Foreign Hospitality Industry in Switzerland - Research Paper Example   It is strategically located in the center of Europe, which ensures easy accessibility of all European markets. It is referred to as the center of competitiveness in Europe, as it plays an important function in financial markets internationally. It is also the center for many international organizations like World Trade Organization, WHO, and UN, among others. Therefore, the hotel industry can do well here as there are many potential customers who have to eat and spend in hotels.   Presence of international trading companies, law firms, and insurance companies, freight forwarding companies, security firms and surveillance firms certify Switzerland as a truly global business center. Switzerland has greatly improved over the past years as an investment center. It continually enhances foreign and domestic investments through improvement of circumstances and conditions. The improvement over the past years as an investment center is rated as follows;   Expansion of Mirvac group of hotels to Switzerland will improve the company’s reputation and image. Switzerland is an international country and presence of these hotels will ensure its loyal customers get their services, away from home. It will also make it be recognized internationally, as many foreigners come here. Therefore, it will market it internationally, and hence, investing in other countries will also be easy. Investing in Switzerland is, therefore, an important strategy for the company’s future prospects.   Globalization has had various effects on the industry of hospitality. The positive impacts are exposure to diverse cultures, large market, economic development, technology advancement, promotion of creativity, increased job opportunities, development of travel industry, and availability of international services. Exposure to different cultures will help managers in the hospitality industry to learn different cultures as they interact with people from different walks of life.

Tuesday, October 29, 2019

Darwin Essay Example | Topics and Well Written Essays - 1500 words

Darwin - Essay Example So it could be well said that these two articles is contemplating and criticizing Darwin’s intellectual and scientific quality along with his sense to respect theological values. Darwin intelligently investigated about human evolution and he came to a conclusion that God created few animal species and they by natural selection progressed to become humans. Everyone knows the fact that our closest DNA match agrees with apes. The intelligent level and social existence of apes match with human beings on a great level. But in the journal article by Cosans there is a contradiction on the fact where theology entangls with evolution. In this article Cosans put forward the statements mentioned by eminent anatomist Owen, where he suggests that God has no power in the human evolution theory. Considering the journal by Cosans, it cannot be stated that Darwin only concentrated on evolution as a divine process. He studied the subject visiting many earth zones and found that life originated from microorganisms and it went on to evolve into animals and ultimately in to intellectual beings. Darwin here is not prophesying on facts which he has not researched on. He has investigated on organisms like bacteria to apes to understand human evolution. Now in the journal by Cosans ,we can find that Owen retaliates on the fact that human evolution can be seen from a theological perspective.Owen as an anatomists look at the flaws of Darwin’s scientific research conclusion. Darwin here looked at creations and the mystery hidden behind its life and evolutionary process which has morphed them to become animals and later into human being by natural selection Here in this journal titled† Was Darwin a creationist† a question is raised by Cosans whether Darwin itself is adding divinity with evolutionary process or is evolutionary theory with a theological perspective is a

Sunday, October 27, 2019

Engine Oil Pan And Functions

Engine Oil Pan And Functions This report will analyze the engine oil pan as one of metallic component in car application. The analysis will cover the role of the component, the material for the component and the properties of the material. We will cover the process of how the properties are achieved. We will also analyzing the alternative material suitable for the specific component, compare and contrast with the alternative material. Introduction Engine oil pan is a simple automotive component with a very simple function. However, it is very vital for youre the engine part to operate properly. By understanding the function, the specific requirement and the material for an oil pan, it would help us to understand more on material selection for specific automotive applications. Engine Oil Pan and Functions For engine to work at its best, it must be running at a specific operating temperature. This temperature can only be maintained with the aid of engine oil that acts as a coolant. Subsequently, it needs a component to store the oil and continuously reuse it. That is the main function of the engine oil pan. Besides a storage component, oil pan will also collect some of the residue picks by engine oil while passing through the engine. Oil pan also served as a bottom cover of engines. Component Condition and Requirement In relative to the oil pan application, certain condition and requirement of the material should be meet. First, the material for the component should have a good corrosion resistance. It is to ensure that the oil in the sump will not contaminated. Even though the function of the oil pan is not for cooling, but the good thermal conductivity property will give an advantage for the application. Furthermore, it has to have a good ductility to prevent crack or damage due to stone impact. Low density in material will be a great advantage for the component, as it will reduce the weight. Above all, the most important criteria for the component are the ability to sustain the operating temperature of the engine. However, the engine operating temperature is considered low for all kind of metallic material to withstand. Materials and Properties for Oil Pan application In this paper, we will analyze the properties of cast aluminum alloy as a material for the oil pan. Aluminum alloy (2.7 g/cmà ¯Ã†â€™Ã‚ µ) is characterized as a nonferrous alloy, which relatively low density material compare to steel (7.9 g/cmà ¯Ã†â€™Ã‚ µ) (Callister 2007). Beside low in density, it is also comparatively high thermal conductivity and inherent corrosive resistance in some common environment. Furthermore, the ductility of Aluminum alloys is retained at low temperature due to Aluminum has a FCC crystal structure (fig. 1-1). Face Centered Cubic Crystal Structure. In hard sphere unit (a), a reduced sphere unit (b) and in aggregate of many atoms. An important characteristic of this material is the specific strength, which is determined by the tensile strength to specific gravity ratio (Callister, 2007). Even though aluminum alloy have a tensile strength relatively compare to the higher density material (such as steel), on a weight basis it will able sustain a larger load (Callister,2007). In particular to the casting alloys use for productions of oil pan in automotive industry, the die casting process is used. In general the AlSiMg alloys is use for the production of the oil pans. Table 1.1 Composition, Mechanical properties and common application for cast-heat treatable Aluminum alloys (Callister, 2007) Silicon in the range of 5 to 12% by weight is the most important element in aluminum alloying due to ability to increase the fluidity of the molten metal as well as strengthens the aluminum. Magnesium in the range of 0.3 to 1 % by weight is added to increase strength (Smith, 2004). The silicon content in the component will cause the formation of acicular silicon. It will cause the considerable reduction in the ductility of the component. Therefore the heat treatment is necessary for the component, after molding process. It is to obtain the appropriate adequate mechanical properties with respect to hardness and ductility. The heat treatment process at an appropriate temperature and for an appropriate duration is carried out to produce the component with a different hardness. In this case, production of oil pan used the solution heat treatment and followed by artificial aging process, indicate by (T6) in table 1.1. As for the oil pan, in the region of a flange is kept untreated in order to retain high level of hardness and low level of ductility. Thus, the hardness will be 85 to 110 HB and the ductility of 0.5 to 2.5%. While on the base region, it is heat treated appropriately to create a hardness of 55 to 80 HB and ductility greater than 4%. Hence, the ductility is increased and the hardness is reduced. Properties of Aluminum Alloy suit the Oil Pan Requirements Aforementioned, we had discussed the condition and requirement of the oil pan application. Through the material analysis of Aluminum alloy, we found that aluminum alloy has a good corrosive resistance. Furthermore, the mechanical property of aluminum alloy as good thermal conductivity would provide a better heat dissipation for the engine oil. Through solution heat treatment process the aluminum oil pan have had a sufficient ductility to sustain stone impact from bottom. With a considerably good hardness the aluminum alloy oil pan would maintain the component shape from deformation due some level of impact. Comparison to other possible materials for oil pan Other material commonly used to produce oil pan is low carbon steel. Oil pans made of steel are produced with a stamp forming process. Physically, in contrast to the aluminum alloy oil pan, the steel oil pan is light in weight. It is because it was produce with a thin steel sheet compare to a thicker cast aluminum alloy oil pan. Based on properties of the material, steel oil pan has a higher ductility but less hardness compare to aluminum oil pan that has high hardness and low ductility. Advantage in having high ductility material is the ability to withstand impact without crack or damage. The comparison of those material (Table 1.2) shows the difference in elasticity, which the modulus of elasticity determined the resistance to elastic deformation. The greater the modulus (Steel alloy) the stiffer the material will be. However, with that property the shape of the component will easily deformed. In case of oil pan application, it might damage other component inside the pan such as oil strainer. Other advantage of the aluminum oil pan in contrast to steel oil pan is the ability to acts as a noise shield, especially on diesel engine. In term of heat dissipation, aluminum oil pan will have advantage in dissipating more head compare to steel oil pan. Table 1.2 Room temperature Elastic, Shear Modulus and Poissons Ratio for Aluminum Alloy and Steel Alloy. Aluminum Aluminum offers many advantages over other materials. Some of these include: à ¢Ã¢â€š ¬Ã‚ ¢ Light weight (~2/3 the weight of steel) à ¢Ã¢â€š ¬Ã‚ ¢ Machinability à ¢Ã¢â€š ¬Ã‚ ¢ High strength-to-weight ratio à ¢Ã¢â€š ¬Ã‚ ¢ Non-oxidizing when exposed to air à ¢Ã¢â€š ¬Ã‚ ¢ Excellent heat dissipation à ¢Ã¢â€š ¬Ã‚ ¢ High electrical conductivity à ¢Ã¢â€š ¬Ã‚ ¢ Can be cast by all common casting methods à ¢Ã¢â€š ¬Ã‚ ¢ Heat treatable for higher strength and hardness Willian D. Callister, Jr. (2007). Materials science and engineering : an introduction, 7th Edition. United States of America, John Wiley Sons, Inc. Martin, J W.(2006). Materials for Engineering. Cambridge, Woodhead Publishing, Limited William F. Smith (2004).Foundation of Material Science and Engineering, Third edition.New York, McGraw-Hill.