Monday, December 30, 2019

Definition of Chinese Exclusion Act

The Chinese Exclusion Act was the first U.S. law to restrict the immigration of a specific ethnic group. Signed into law by President Chester A. Arthur in 1882, it was a response to a nativist backlash against Chinese immigration in the American West Coast. It was passed after a campaign against Chinese workers, which included violent assaults. A faction of American workers felt that the Chinese provided unfair competition, claiming they were brought into the country to provide cheap labor. Chinese Workers Arrived During the Gold Rush The discovery of gold in California in the late 1840s created a desire for workers who would perform grueling and often dangerous work for very low wages. Brokers working with mine operators began to bring Chinese laborers to California, and in the early 1850s, as many as 20,000 Chinese workers arrived each year. By the 1860s, the Chinese population constituted a considerable number of workers in California. It was estimated that approximately 100,000 Chinese males were in California by 1880. American workers, many of them Irish immigrants, felt they were at an unfair disadvantage. Railroad construction was booming in the West, and the railroad business relied disproportionately on Chinese workers, who had earned a reputation for taking on harsh and difficult labor for minimal pay and in dismal conditions. White laborers also targeted the Chinese for being far outside the mainstream of American society. They tended to live in enclaves which became known as Chinatowns, didnt often wear American clothing, and rarely learned English. They were seen as very different from European immigrants. and were generally mocked as inferior. Hard Times Lead to Violence Railroad companies, managed by whites, mistreated and openly discriminated against the Chinese in many ways, such as by not allowing them to attend the ceremony when the golden spike was driven to make the completion of the transcontinental railroad. Because they still relied on their cheap Chinese labor, however, the stiff competition for work created a tense and often violent situation. A series of economic downturns in the 1870s led to an atmosphere wherein Chinese workers were blamed for the loss of work by those bitterly complaining and out of work white laborers from mostly immigrant backgrounds. Job losses and wage cuts accelerated persecution of Chinese workers by whites, and in 1871, a Los Angeles mob killed 19 Chinese people. The collapse of a prominent New York City bank, Jay Cooke and Company, kicked off a financial crisis in 1873 that rippled through California and put an end to railroad construction. By the mid-1870s, many thousands of Chinese workers were suddenly idled. They sought other work, which only exacerbated racial tensions, leading to more incidents of mob violence throughout the 1870s. Anti-Chinese Legislation Appeared in Congress In 1877, an Irish-born businessman in San Francisco, Denis Kearney, formed the Workingmans Party of California. Though ostensibly a political party, similar to the Know-Nothing Party of earlier decades, it also functioned as a pressure group focused on anti-Chinese legislation. Kearneys group succeeded in attaining political power in California, and became an effective opposition party to the Republican Party. Making no secret of his racism, Kearney referred to Chinese laborers as Asiatic pests. In 1879, spurred on by activists such as Kearney, Congress passed the 15 Passenger Act. It would have limited Chinese immigration, but President Rutherford B. Hayes vetoed it. The objection Hayes voiced to the law was that it violated the 1868 Burlingame Treaty the U.S. had signed with China. So, in 1880, the U.S. negotiated a new treaty with China that allowed some immigration restrictions. New legislation, which became the Chinese Exclusion Act, was drafted. The new law suspended Chinese immigration for ten years, and also made Chinese citizens ineligible to become American citizens. Though the law was challenged by Chinese workers, it was upheld and even renewed in 1892 and 1902, at which point the exclusion of Chinese immigration became indefinite. Ultimately, the Chinese Exclusion Act was in place until 1943, when Congress finally repealed it at the height of World War II. Resources and Further Reading Batten, Donna, editor. â€Å"Chinese Exclusion Act of 1882.† Gale Encyclopedia of American Law, 3rd ed., vol. 2, Gale, 2010, pp. 385-386.Baker, Lawrence W., and James L. Outman, editors. â€Å"Chinese Exclusion Act of 1882.† U.S. Immigration and Migration Reference Library, 1st ed., vol. 5: Primary Sources, U-X-L, Gale, 2004, pp. 75-87.

Sunday, December 22, 2019

I Too by Langston Hughes vs One Song America Before I Go...

Alexander Tharpe English 1102 Dr. Wurz 29 September 2013 Originality and Nationality One of the most disturbing things in today’s culture is a loss of originality and nationality. People are no longer proud to be Americans and instead of pushing for new heights people follow in the footsteps of others. People today need heir sense of self back and need to start taking pride in what they do and where they’re from. In â€Å"One Song, America, Before I Go† by Walt Whitman and â€Å"I Too† by Langston Hughes, the speakers celebrated the concepts of individuality, originality, and nationality. People of all kinds are influenced by their everyday life and it shows in their work. Walt Whitman is no exception to this rule. Whitman was born in 1819†¦show more content†¦I think he is saying that not only will there always be the Grand Canyon and the crystal clear beaches but the fertile land will last seemingly forever and bring great things to America for centuries to come. He backs up this idea when he sings, à ¢â‚¬Å"I’d sing o’er all the rest, with trumpet sounds / For thee- the Future† (Whitman Lines 2-3). I believe he is saying he wants to get up and sing for the future because he knows what wonderful things it should hold. Finally Whitman backs up everything he’s stated by saying â€Å"Belief I sing† which shows that he actually does believe in what he is saying. Just as Walt Whitman’s literature was influenced by what he experienced in life, Langston Hughes’ literature shows direct relationships with what he was going through in his everyday life. While racism may have shaped Hughes’ everyday life, Walt Whitman shaped Hughes as we know him today. Walt Whitman and Langston Hughes have a connection that not many people come to realize. It is obvious that Langston Hughes stood for equal rights but it’s commonly overlooked that Whitman stood his ground for equal rights as well. Whitman commonly voiced his strong opinions on abo lishing slavery and promoting equal rights for all men. I believe this played at least a small role in some of Hughes’ poems and stories in his lifetime. Even though Langston Hughes was born during troubling times in

Saturday, December 14, 2019

The Clouds and the History of Peloponnesian War Free Essays

Breaking down traditions: The â€Å"Clouds† and the â€Å"History of Peloponnesian War† Undeniably, the ancient Greek society places a heavy emphasis on values and traditions. The two texts of the â€Å"Clouds† by Aristophanes and â€Å"History of the Peloponnesian war† by Thucydides, although contextually divergent, are actually conceptually convergent. Both texts are built around the central theme of the collapse of conventional values. We will write a custom essay sample on The Clouds and the History of Peloponnesian War or any similar topic only for you Order Now While the breakdown of traditional values in the â€Å"History of the Peloponnesian war† is presented in a more metaphorical and symbolical manner, the downfall of conventional values in the â€Å"Clouds† is on a more direct basis. Although both texts essentially convey across the same solemn message that the relinquishment of traditional values leads to dire consequences, Aristophanes also implicitly challenges the authority of old values, and hopes to improve upon these traditions. The â€Å"Clouds† by Aristophanes is a satirical play primarily concerned with the idea of new and old education. A satire is a composition or prose used to lampoon individuals or society. They usually make use of ridicules and irony for the ostensible purpose of exposing and discouraging vice or folly. In the â€Å"Clouds†, viewers are presented with a breakdown of traditionally accepted moral and ethical values, especially those that are related to education. Aristophanes is a staunch defender of old values. Through the comedy, he wishes to show his support for logical reasoning that is well rounded and grounded in practical experience. Simultaneously, Aristophanes also wants to deliver a message to the theater audiences of fifth century that certain philosophers, particularly the sophists, undermine traditional values and thus pose as a threat to Greek society. However, by deliberately satirizing the traditional model of education with the new model throughout the comedy, Aristophanes subtly suggests his belief that if a traditional system were to be left unexamined, it might lose sight of the convictions and values upon which it was founded. This also shows that Aristophanes believes the importance of criticism in the Athenian society, and that with criticism, a society can be improved upon. In comparison to â€Å"The History of the Peloponnesian War,† there are distinctions between the ways in which traditional values are broken down. In the latter, the Mytilenian debate and the Melian dialogues are based on the war between Athens and its empire against the Peloponnesian League led by Sparta. It is more concerned with the ethics of war and punishments rather than education in â€Å"The Clouds†. Warring sparks are ignited in the light of self-interest, as the Spartans fear the growth of the Athenian power. Many moral judgments, as dire consequences of the wars, are debated upon. There are increasing political and ethical confusions in Athens as a result of the revolt of the Mytilenians and the neutral position take up by the Melians. In the 2nd Mytilenian debate, the Athenians argue over the unprecedented brutality of their actions and some become hesitant about the hurried decision to kill and enslave the citizens of Mytileans. Democracy is an important concept for the Greeks. In Cleon’s speech, however, he begins by questioning the worth of democracy and this instigates a breakdown in the traditional values. â€Å"Personally I have had occasions often enough already to observe that a democracy is incapable of governing others, and I am all the more convinced of this when I see how you are now changing your minds about the Mytilenians. (Thuy 3. 37) Cleon believes that it is part of human nature to revere the strong and take advantage of the weak, and hence he pushes for the punishment of the Mytilenians. In his speech, Cleon also employs the art of rhetoric. He stresses that the Mytilenian are more than guilty and consequently deserve the punishment since they are â€Å"calculated aggressors† (Thu y 36. 13). Hence, Cleon suggests that the Mytilenians are not worthy of the Athenian’s sympathy votes. Such a way of argument is a sure fire case of guilt or innocence. Making use of rhetoric devices and compromising the ideals of democracy breach the ideals of traditions in the Greek society. Unlike that in the â€Å"Clouds†, Thucydides does not show any sign of flaws of the traditional values. Although based on different circumstances, the breakdown of traditional values in â€Å"The History of the Peloponnesian war† parallels to that in the â€Å"Clouds†. The â€Å"Clouds† also utilizes extensive use of rhetoric devices. Strepsiades decides to submit to the sophist’s way of education, so that he would be able to defend himself against his creditors. The first sign of erosion of traditional value is exposed when Strepsiades decides to enroll himself in the Thinkery under the guidance of Socrates. The ability to manipulate language and turn everything into relativism erodes the principles of traditional Athenian beliefs. Indisputably, the new philosophy wins. Sophistry is the type of linguistic device that, in the face of the weakness of traditional beliefs, undermines the value of anything. Strepsiades opines, â€Å"Holy Earth, what a voice! How divine, how awesome, how fantastic! † (363) In which Socrates responds, â€Å"Yes, you know, these are the only real divinities, all the rest is bunkum. (365) In the new system of beliefs as advocated by the sophists, there is a rejection of the traditional religion and a belief in the new â€Å"gods†. The comical way through which ideas are portrayed may be witty, but the core issue lies at the heart of the play’s moral indignation at what is happening in Athens. Th ere are possibilities for that life is being systematically corrupted by the seductive power of words, of language itself. Language is now a tool of human beings, modified to accommodate human beings’ desires, rather than directing those desires. The underlying basis here in the â€Å"Clouds† is a direct correspondence to the ideas as presented in the Mytilenian debate, that traditionally held values are now being gradually eroded in the light of self interest. As we progress on to the rest of the texts, the tension in breaking traditional Greek values further intensifies. This is evident in the â€Å"History of the Peloponnesian War† as we advance to the Melian dialogue. The true colors of human nature are exposed under desperate conditions. The Athenians have now completed the transition from democracy and are fully embracing the epitomes of imperialism. The Athenians, in a frank and matter-of-fact manner, offer the Melians an ultimatum: to surrender and pay tribute to Athens, or be destroyed. The Melian dialogue also opens up morality issues based on destruction of the Melos. Traditional democratic ideas are fragmented as imperialistic ideas are introduced. â€Å"Our opinion of the gods and our knowledge of men lead us to conclude that it is a general and necessary law of nature to rule whatever one can. † (Thuy 5. 105). Abuses of traditional values are reflected throughout the dialogue as both parties act in the light of their own self-interests. The Athenians make extensive use of rhetorical speeches in an attempt to exert their points and subjugate the Melians. I quote the Athenians, â€Å"You, by giving in, would save yourselves from disaster; we, by not destroying you, would be able to profit from you† (Thuy 5. 93). The use of rhetoric embodies the concept of ethical and moral relativism. It follows the core belief of the sophists that nothing is absolute and men are the measure of everything. The breakdown of traditional values is also intensified and heightened in the â€Å"Clouds†, as presented in the fiery debate between the Right and the Wrong Arguments. The debate is a direct, head on clash of traditional values versus the new ideas. Right’s arguments are centered around traditional values such as respect, justice and diligence. On the opposing end, wrong proposes the idea of moral and ethical relativism. This also symbolizes a debate between nomos and physis. Justice is now no longer an inborn characteristic of humanity (physis), but rather a convention invented by the weaker party as a defense against the stronger (nomos) counterpart. Right and wrong are now merely matters of convention. Right: â€Å"Simply by presenting the case for justice† Wrong: â€Å"It’ll crumble as soon as I open my mouth. My position is that there isn’t any such thing as justice† Right: â€Å"No such thing?! † Wrong: â€Å"Well, if there is, where is it to be found? † (901) In the debate, even the Right argument, who is supposed to follow the ideals of tradition, makes use of rhetoric devices. The fundamentals of the traditional Greek society are disintegrated. Also, Pheidippides’ final decision to choose the Wrong argument also represents the younger Athenian generation’s inclination to modernity and discard of tradition. Although both Aristophanes and Thucydides suggest the idea of the breakdown of traditional values, Aristophanes takes it to a higher level in the â€Å"Clouds†. He acknowledges the faults with traditional values while simultaneously criticizing the use of sophistry. He depicts the Right argument and an embarrassment that utters vacuous statements such as â€Å"Be ashamed when you ought to be ashamed,† (1013). This shows that Aristophanes feels that satire and criticism are no less important than traditions, as they allow the society to morph and flourish. This is different from the â€Å"History of the Peloponnesian War† as Thucydides simply portrays the breakdown of traditional values in a negative light. Nonetheless, both texts end on a similar note. The two writers present to the viewers/readers the dire consequences as results of breaching traditional values. In the context of the â€Å"History of the Peloponnesian War†, the Melians are destroyed. Also, the very next line is history begins with the decline of the Athens and the justifications of the Melos. About the same time the Argives invaded Phliasia and were ambushed by the Phliasians and the exiles from Argos, losing about eighty men. † (Thuy 5. 115) Thucydides presumably wants to show the calamitous consequences of the actions of the Athenians, as a result of going against the traditions. The Athenians are also completely defeated with the Syracusan victory. On the other hand, in the â€Å"Clouds†, we are presented with the protagonists’ (S trepsiades) frustration that leads to destruction at the end of the play. Both texts do not move us beyond their final, unsettling acts. In the case of â€Å"Clouds†, such a paradoxical ending to a comedy can be interpreted as an ominous warning. Divergence away from the traditional values may seem ridiculously silly, especially when it is presented in the form of a comedy. However, the consequences are far from amusing. The very fact that there is no choral closure after the burning of the Thinkery suggests that this ending is ironically serious. Despite the genre differences of the texts, they are dissimilar presentations and interpretations of the same theme—the breakdown of traditional Greek values. Both texts show the dire consequences as a result of breaking off from the tradition, and hence suggest the writers’ sense of disapproval. However, as Woody Allen once alleged, â€Å"Tradition is the illusion of permanence† As a society progresses, old traditions are bound to be challenged. Unlike in the â€Å"History of Peloponnesian war†, Aristophanes recognizes the limits of traditional values in the â€Å"Clouds†. While both texts show the grim effects of the breakdown, Aristophanes brings it to a whole new level. Works Cited Aristophanes, and Alan Sommerstein. â€Å"The Clouds† Lysistrata And Other Plays. Penguin Classics, 2002. Print. * Thucydides, and Rex Warner. History of the Peloponnesian War. London, England:Penguin Group, 1972. Print. * Schironi, Francesca. â€Å"Thucydides’ Social Theory (Athenian Plague ; Corcyra); The Melian Dialogue. † Classical Civilization 101 Lecture. Ann Arbor, Michigan. November 8, 2011 * Schironi, Francesca. â€Å"Philosophy, Scientific Enquiry and the Greek Artistic Canon† Classical Civilization 101 Lecture. Ann Arbor, Michigan. November 29, 2011 How to cite The Clouds and the History of Peloponnesian War, Essay examples

Friday, December 6, 2019

Purchasing Management Fraser and Neave

Question: Discuss about the Purchasing Management Fraser and Neave. Answer: Fraser and Neave: Purchasing Management Fraser and Neave (FN) is an organization associated with brewing, property development, food and beverages since 1883. Fraser and Neave are well-known among Singapores brands and is one of the oldest organizations (Faeser and neave,1983). The business related to its food and beverage is its most traditional business which has also got international brands licensed. The purchasing manager has certain responsibilities and duties other than placing orders with the vendors and suppliers. Moreover, it is the duty of purchasing manager to look after the relationship building with the people who are behind the scenario of the company but are involved in the purchase related activities. There are four major duties of the purchasing manager such as: contract related duties, the procurements duties, management duties and analytical decisions to be taken. To analyze the purchasing properly one has to be familiar with what is actually going on in the market and what do actually the people desire to have in near future. Deciding all these in a right way is important for a purchasing manager. This process of decision making shall also include the process of finding the problems and making the procedure to be better organized. For this the purchasing procedure is divided among five major categories, with the help of the strategic sourcing of products are as: Discovering the most potential suppliers. Evaluating the suppliers properly. Selection of the suppliers. Development of the suppliers. Managing good relationships with the suppliers. Relating to the purchasing management there are three aspects which shows the effectiveness of purchasing management, done by the purchasing manager. These aspects include factors such as: supplier selection criteria, the purchasing costs included and the effectiveness of information technology for the purchasing and operations management (Kang, 2010). Supplier and selection criteria and related issues: Supplier and selection criteria is the important aspect of purchase management which includes the formation of specific teams for different sectors of the organizations such as the representative for purchasing, handling the quality management, production costs and the engineering of the operations (Kusjanto, 2001). This is called as cross functional type of team representation. Specifically there is a supplier selection criterion which is followed in the following manner: with the products and services that are to be purchased. To handle the quality system of the products or services including the level of sophistication required by the system of the quality. For the selection criterion also the capacity requirements are to be met with the potential of the delivery schedule which is desired. Moreover, the financial stability is to be met. For such the technical help must also be there for the support and hence the willingness to develop the long term relationship along with the customized designed. Fit in the total costs of the deals done with the suppliers this includes the costs related to raw material, the communications methods, all the inventory costs and the costs relating to audit and accounts. Also the suppliers must make a track record for the past changes and improvements for that matter which has taken place. At the end of the financial year taking place, the in all costs relating to the assessments made must be presented in total. The roles and responsibilities of the purchasing manager in the supplier and selection criteria, which is seen in the Faeser and neave are as: that the supplier must be potential enough with respect to the costs, quality and safety, delivery of the products on right time, services, social responsibility, other risks involved, agility and the convenience. These are the qualities of the potential suppliers which helps in the efficient management of the supplier chain in an organization. In reference to a purchasing manager, these are the roles and the responsibilities of him. Moreover, it is depends on their duty on analyzing the recent changes in the demand of the people and in which way the advancements and the recent updates about it are being analyzed on their basis of the collected data. The right decision of the purchasing manager, matters the most, and for the reason it is a must condition for the purchasing manager to know about the recent trends which the market possess and al so the people desire to have. This creates the process in the most efficient and hence as a result the procedure of selecting the supplier becomes more efficient when it comes to the purchasing manager. Purchasing costs Purchasing Costs is basically the gross value of an organization, which is required for the purpose of creating the working capital by the buyers. This purchasing price may also include the debts for which the deductions are to be made to acknowledge the equity share holding of an organization. Also, the buyer make the valuation estimate of the total actual amount which he/she wish to pay is known as the purchasing costs of the products manufactured. These costs may also include the provisions made under the non-cash of the working capital which is left regarding the sustenance for the future revenues further. This is meant by the purchasing costs of the company for the products manufactured. In an organization, when the purchases of any goods or services availed is done then they need to be analyzed also. During this procedure of analyzing the pricing done earlier is also verified. Each of the organization follows its own process for the part of analyzing. The procedure followed by the faeser and neave are defined as follows: Comparison among the competitive bids: this is one of the best measures to authenticate prices of the products or services. It is analyzed if the prices are reasonable or not. This overall is not the analysis for the total prices of the products determined. The lowest of the bids analyzed will not always represent the total costs. The comparison of price quotations: for some circumstances like the comparison of the recent past months, the price quotations with those of the newly determined are compared with the current quotes. This is more useful at the time of critically analyzing the competitive bids. Prices set by the law: when the prices are set by the regulation or the laws, the pricing structure is decided by the procurements made. When such prices are set then there is usually some kind of procurement is used in the pricing. All of these are referenced while the procurement of these items is done. Comparison of the similar items: in the era of competition amongst the similar products or services, it is usually the criteria to compare those products. This is recommended that the missed out specifications shall accompany the comparison among the prices. Comparisons of rough yardsticks: this technique is used when there is rough comparison made between the items which are most similar for example the costs per price test of the samples. Again, there must some of the explanation needs to be given for the analysis. In such a case, the supplier of the products has to give the information about the: Raw material used and their total costs. Total hours of work and labor required. Any special facilities or the tooling proposed. There must be a usage of the scrap. Disposal of the scrap. Also here the negotiations can take place, is the variables are found in this case (Borsuk, 2000). So therefore, it is concluded that the pricing and its costs analysis needs to be done. I recommend that these processes should be done in the efficient way in the organization for being the most successful. Uses of information and communication for the purchasing and operation management in Faeser and Neave Effective communication is important component for the purchasing management. Also the buyer and the supplier relationships are made by the effective uses of communication technologies in the purchase management. The purchasing managers use many of the ways of media to do communication with the suppliers and the buyers. This shall include the phone calls, meeting and discussing face to face, mails, usage of internet and the data which is interchanged electronically (Chan, 1998). Also, the communication depends upon how the transmission of the message is done in an organization. This improves the suppliers and purchasing behaviors. There are also for the purchase management several other media is used too. This for example can be used as the face to face for the purchase management activities. These are also used for purchase which impacts which transmitted electronically. The uses also have the limiting factor as the more of communication can turn out to be controversies in between t he buyers and the suppliers. These are modes used by the communication technology in the buying and purchasing for the purchasing management. Also, the expected benefits to it, includes the reduction in the performances lead-time and the shorter. This may take up less time in the delivery of the products which has the shorter lead-times. These are the uses and the advantages of the communication technology for the organization such as Faeser and neave. Moreover, the communication is essential because it provides the organization with the resources that it needs for the effective and quick communication. They can also use the way of communication as that of the video conferencing, the internal chat rooms which are made inside the organization and emails for the ease of better and effective conduction in the business and the communication. The advantages of communication with these technologies have become easier with no letter and paper sending. With the rapid usage and the adoption of the information and technology, it has been concluded that the organization like Faeser and neave has a bigger guidance over IT. This shall help in the purchasing management and the effective communication too. In addition to it, information technology has led in the gathering of the data which helps in the monitoring and in the sharing of the information. The relations in between supplier and the alliances of the supplier. In the way of the analysis tools for the purchasing management, the IT tools assists with the balance in between the firms which are including the buying process. The whole cost management approaches has to deal with the internal and the external information about the suppliers involved. Therefore, the development and the analysis by the organizations is done with the help of IT tools which are as the project-oriented costs management. Hence, this can be concluded as that in between the buyer and the seller the relationship s has strong influence over information and technology. Also, in case of the new product developments it has its immense influence over information and technology. These are the uses and the role of information technology and the communication in the process of the purchasing and the operations management with the help of their own specific tools meant for it. Faeser and neave being the top most organizations in Singapore strongly influences over it which has helped them build by strong buyer-seller relationships and the effective communication in making the organization bigger and successful. Conclusion Faeser and neave being the leading organizations amongst Singapore, has the objectives achieved with the help of the business strategies followed in the right manner. In addition to it, for the strategies to be effective and the objectives to be established the goals, vision and mission need to be very clear about it. For purchasing management to be more effective and efficient, it is necessary to make a right choice about the supplier selection, supply chain management, the procurement of the purchasing cost analysis and the effective uses of the newest driven information and the technology is to be used for it. Also, it is more important that the generation of value for money is there, as it is the key resource of purchasing management. This makes the goals of the business more strategic, in the purchasing management. It is concluded that in case the offerings according to the lowest costs of the raw materials, the negotiation techniques are also to be matched accordingly. And if t here is the increase strategy, there is a need to continuously evaluate the process and the ongoing deals. This helps in the long term relations with the supplier which shall help and support in negotiating in the supplier and the chain management. This is Faeser and neave purchasing management goals and the strategic management followed. References: Borsuk, R. (2000, June 26). FN attempts to fizz up operations but many want proof it isnt all gas. The Asian Wall Street Journal. Retrieved January 20, 2017. Chan, D. (1998, December 12). FN earnings plunge 74%. The Straits Times. Retrieved January 20, 2017. Cua, G. (1995, April 8). FN to revamp its soft drinks and diary business in Malaysia. Business Times. Retrieved January 20, 2017. Fraser Neave. (1983). 1883-1983, the great years. Singapore: Fraser Neave. Fraser and Neave Limited. Retrieved January 20, 2017. Online from https://www.fraserandneave.com Fraser and Neave, Ltd. (1898, January 27). Singapore Free Press. Retrieved January 20, 2017. Goh, E. Y. (2006, November 11). FN hits another record net profit with $319.5m. The Straits Times. Retrieved January 20, 2017. Goh, E. Y. (2008, July 2). More questions than answers in FNs management revamp. The Straits Times. Retrieved January 20, 2017. Kang, W. C. (2010, November 22). Growth to continue at Fraser Neave, but stock has limited upside, analysts say. The Edge Singapore. Retrieved January 20, 2017. Koh, B. A. (1989, December 16). FN posts $155m pre-tax gain on record $1.1b sales. The Straits Times. Retrieved January 20, 2017. Kusjanto, M. (2001, August 20). Fraser Neave builds takeover defence. Reuters News. Retrieved January 20, 2017. Lee, H. S. (1997, January 6). Tough years ahead as FN extends regional presence. Business Times. Retrieved January 20, 2017. Lee, H. S. (2000, April 27). Whats in Times Publishing that attracts FN?. Business Times. Retrieved January 20, 2017. Poon, A. (2006, December 9). FN sells 14.9% stake to Temasek for $900m. The Straits Times. Retrieved January 20, 2017. Property leads FN earnings (1995, December 16). Business Times. Retrieved January 20, 2017. Raj, C. (2007, October 11). Breaking up may get easier to do at FN. Business Times. Retrieved January 20, 2017. Raj, C. (2007, October 15). FN gets extra shield with new chairman in place. Business Times. Retrieved January 20, 2017. Sreenivasan, V. (1999, October 14). Has FN lost its fizz after a century? Business Times. Retrieved January 20, 2017. Warden, G. (2007, February 19). FN catches tailwind from property boom. The Edge Singapore. Retrieved January 20, 2017. Yap, E. (2009, February 20). FN to regain distribution of soft drinks next year. The Straits Times. Retrieved January 20, 2017. Yap, E. (2010, July 27). Temasek exits FN with $436m profit fizz. The Straits Times. Retrieved January 20, 2017. Yusman, A. (1998, October 1). Fizzling out. Malaysian Business. Retrieved January 20, 2017.

Thursday, November 28, 2019

State Competition and Higher Education A Race to Essay Example For Students

State Competition and Higher Education: A Race to Essay the Top? With MarkInterstate Competition in Health and Welfare Programs (with Mark Rom) Does state control over redistributive programs make them less generous? Most analyses of interstate competition over welfare (known colloquially as the race to the bottom, or RTB) focus solely on benefit levels for Aid to Families with Dependent Children (AFDC). This paper broadens the analysis to cover multiple welfare programs, multiple measures of generosity, and multiple indicators of state competition. Doing so has two main benefits. First, we can distinguish between competitive behavior by states and intrinsic regional covariation. We examine welfare programs under state control and exempt from it, and include indicators of symmetric and asymmetric competition, and argue that the RTB requires that competitive pressure must restrict welfare generosity, and that this restriction must be present in welfare programs over which states have control and absent from programs exempt from state contr ol. Second, we evaluate multiple measures and programs and so can generalize theories about interstate competition and redistribution. To do so we examine benefits, access, and cost for the AFDC, Medicaid, Medicare and Supplemental Security Income (SSI) programs between 1975 and 1995. A multivariate model yields strong evidence that state control over redistribution leads across the board to restrictive health and welfare policy. We will write a custom essay on State Competition and Higher Education: A Race to specifically for you for only $16.38 $13.9/page Order now Interstate Competition in Health and Welfare Programs (with Mark Rom) Does state control over redistributive programs make them less generous? Most analyses of interstate competition over welfare (known colloquially as the race to the bottom, or RTB) focus solely on benefit levels for Aid to Families with Dependent Children (AFDC). This paper broadens the analysis to cover multiple welfare programs, multiple measures of generosity, and multiple indicators of state competition. Doing so has two main benefits. First, we can distinguish between competitive behavior by states and intrinsic regional covariation. We examine welfare programs under state control and exempt from it, and include indicators of symmetric and asymmetric competition, and argue that the RTB requires that competitive pressure must restrict welfare generosity, and that this restriction must be present in welfare programs over which states have control and absent from programs exempt from state control. Second, we eva luate multiple measures and programs and so can generalize theories about interstate competition and redistribution. To do so we examine benefits, access, and cost for the AFDC, Medicaid, Medicare and Supplemental Security Income (SSI) programs between 1975 and 1995. A multivariate model yields strong evidence that state control over redistribution leads across the board to restrictive health and welfare policy. Interstate Competition in Health and Welfare Programs (with Mark Rom) Does state control over redistributive programs make them less generous? Most analyses of interstate competition over welfare (known colloquially as the race to the bottom, or RTB) focus solely on benefit levels for Aid to Families with Dependent Children (AFDC). This paper broadens the analysis to cover multiple welfare programs, multiple measures of generosity, and multiple indicators of state competition. Doing so has two main benefits. First, we can distinguish between competitive behavior by states and intrinsic regional covariation. We examine welfare programs under state control and exempt from it, and include indicators of symmetric and asymmetric competition, and argue that the RTB requires that competitive pressure must restrict welfare generosity, and that this restriction must be present in welfare programs over which states have control and absent from programs exempt from state control. Second, we eva luate multiple measures and programs and so can generalize theories about interstate competition and redistribution. To do so we examine benefits, access, and cost for the AFDC, Medicaid, Medicare and Supplemental Security Income (SSI) programs between 1975 and 1995. A multivariate model yields strong evidence that state control over redistribution leads across the board to restrictive health and welfare policy. .ud8ea5e20ca364ecb18a6790f6682e904 , .ud8ea5e20ca364ecb18a6790f6682e904 .postImageUrl , .ud8ea5e20ca364ecb18a6790f6682e904 .centered-text-area { min-height: 80px; position: relative; } .ud8ea5e20ca364ecb18a6790f6682e904 , .ud8ea5e20ca364ecb18a6790f6682e904:hover , .ud8ea5e20ca364ecb18a6790f6682e904:visited , .ud8ea5e20ca364ecb18a6790f6682e904:active { border:0!important; } .ud8ea5e20ca364ecb18a6790f6682e904 .clearfix:after { content: ""; display: table; clear: both; } .ud8ea5e20ca364ecb18a6790f6682e904 { 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; } .ud8ea5e20ca364ecb18a6790f6682e904:active , .ud8ea5e20ca364ecb18a6790f6682e904:hover { opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #2C3E50; } .ud8ea5e20ca364ecb18a6790f6682e904 .centered-text-area { width: 100%; position: relative ; } .ud8ea5e20ca364ecb18a6790f6682e904 .ctaText { border-bottom: 0 solid #fff; color: #2980B9; font-size: 16px; font-weight: bold; margin: 0; padding: 0; text-decoration: underline; } .ud8ea5e20ca364ecb18a6790f6682e904 .postTitle { color: #FFFFFF; font-size: 16px; font-weight: 600; margin: 0; padding: 0; width: 100%; } .ud8ea5e20ca364ecb18a6790f6682e904 .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; } .ud8ea5e20ca364ecb18a6790f6682e904:hover .ctaButton { background-color: #34495E!important; } .ud8ea5e20ca364ecb18a6790f6682e904 .centered-text { display: table; height: 80px; padding-left : 18px; top: 0; } .ud8ea5e20ca364ecb18a6790f6682e904 .ud8ea5e20ca364ecb18a6790f6682e904-content { display: table-cell; margin: 0; padding: 0; padding-right: 108px; position: relative; vertical-align: middle; width: 100%; } .ud8ea5e20ca364ecb18a6790f6682e904:after { content: ""; display: block; clear: both; } READ: Electronic Voting and What Should be Done EssayInterstate Competition in Health and Welfare Programs (with Mark Rom) Does state control over redistributive programs make them less generous? Most analyses of interstate competition over welfare (known colloquially as the race to the bottom, or RTB) focus solely on benefit levels for Aid to Families with Dependent Children (AFDC). This paper broadens the analysis to cover multiple welfare programs, multiple measures of generosity, and multiple indicators of state competition. Doing so has two main

Monday, November 25, 2019

The Influence of Supply and Demand on Inflation

The Influence of Supply and Demand on Inflation Inflation is an increase in the price of a basket of goods and services that is representative of the economy as a whole. In other words, inflation is an upward movement in the average level of prices, as defined in Economics by Parkin and Bade. Its opposite is deflation, a downward movement in the average level of prices. The boundary between inflation and deflation is price stability. The Link Between Inflation and Money An old adage holds that inflation is too many dollars chasing too few goods. Because inflation is a rise in the general level of prices, it is intrinsically linked to  money.   To understand how inflation works, imagine a world that only has two  commodities: oranges picked from orange trees and paper money printed by the government. In a drought year when oranges are scarce, one would expect to see the price of oranges rise, because quite a few dollars would be chasing very few oranges. Conversely, if there was a record orange crop, one would expect to see the price of oranges fall because orange sellers would need to reduce their prices in order to clear their inventory. These scenarios represent inflation and deflation, respectively. However, in the real world, inflation and deflation are changes in the average price of all goods and services, not just one. Altering the Money Supply Inflation and deflation can also result when the amount of  money in the system  changes. If the government decides to print a lot of money, then dollars will become plentiful relative to oranges, as in the earlier drought example.   Thus, inflation is caused by the number of dollars rising relative to the number of oranges (goods and services). Similarly, deflation is caused by the number of dollars falling relative to the number of ​oranges (goods and services). Therefore, inflation is caused by a combination of four factors: the supply of money goes up, the supply of other goods goes down, demand for money goes down and demand for other goods goes up. These four factors are thus linked to the basics of supply and demand. Different Types of Inflation Now that we have covered the basics of inflation, it is important to note that there are many types of inflation. These types of inflation are differentiated from each other by the cause that drives the price increase. To give you a taste, lets briefly go over ​cost-push inflation and demand-pull inflation.   Cost-push inflation is a result of a decrease in aggregate supply. Aggregate supply is the supply of goods, and a decrease in aggregate supply is mainly caused by an increase in wage rate or an increase in the price of raw materials. Essentially,  prices for consumers are pushed up  by increases in the cost of production. Demand-pull inflation occurs when there is an increase in aggregate demand. Simply put, consider how when demand increases, prices are pulled higher.

Thursday, November 21, 2019

Auteur theory Essay Example | Topics and Well Written Essays - 1500 words

Auteur theory - Essay Example Auteurism, or film analysis based on the idea of a directorial vision, grew out of his ideas. It spread to the United Kingdom, where the review Movie became its first primary practitioner. In the United States, Andrew Sarris introduced it in his 1962 essay â€Å"Notes on the Auteur Theory.† Sarris proposed some minimal requirements for a director to be considered an auteur: the director must demonstrate a level of competence in technique, evoke an individual style in terms of how a movie feels and looks, and even terms of overall theme. His work The American Cinema: Directors and Directions, 1929-1968, earned a reputation as the primary text for auteurism (Auteur theory). Auteurism has had its critics. Pauline Kael of The New Yorker objected to the idea of giving the director so much credit for a project that takes so many people to complete – not just the already mentioned scriptwriter, but the cinematographer as well. Also, auteurism can contribute greatly to the cost s of making a movie, and directors who develop a record of financial losses will not be able to bring a message of any kind to the big screen (Auteur theory). Also, New Criticism challenged auteur theory with its idea of the â€Å"intentional fallacy.† This referred to the idea that the words on a page of literature, or the images on a movie screen, are more important than the intentions of the author, or the intentions of the director. Because each viewer will approach a movie with a unique set of experiences and biases., the director's intention may never filter through the images and reach the mind of the viewer. In any discussion of directors who are considered auteurs, the name of Krzysztof Kieslowski comes to the forefront. Ironically, Kieslowski entered the study of film as a sort of detour on his original career path, which involved a desire to become a theater director. It was only when the College for Theater Technicians lacked a program for theater directors that he decided to study film as well (Krzysztof Kieslowski). Sieglohr posited that an auteur will see national identity as ripe fodder for "investigation and excavation" (Hill (Year) p. ). While Three Colors takes a look at the special significance of the three colors of the French flag, Kieslowski's early work took a look, as well, at the Polish national experience. As he studied film more extensively, he decided to make documentaries rather than directing plays. His first projects focused on the daily routines of workers, soldiers, and other citizens. However, even though Kieslowski's intentions were not to make political statements, even his attempts to depict the lives of Polish citizens realistically ran afoul of the censoring

Wednesday, November 20, 2019

Federalism and the Accommodation of Diversity in Ethiopia Research Paper

Federalism and the Accommodation of Diversity in Ethiopia - Research Paper Example The distribution of power on the basis of legislative, executive, and judicial dimension among the federal government and states assists in creating strategic framework for economic, social, and development policies. The constituent units of federalism in Ethiopia are the House of Peoples Representatives (HoPR) and the House of Federation (HoF). The HoF acts as the balancing agent on the contentious issues between states represented by HoPR. Although the systematic design of federalism in Ethiopia resembles with the multicultural federation in other countries, the inclusion of the Nations and Nationalities along with people distinguishes it from the traditional standards of including only people. The constitution requires the congruity between all these three elements- nations, nationality, and people. This raises the concern for official recognition of the languages from various section of population at both state and federal level to protect their identity. The 1995 Federal Constitution defines Amharic as the official language of the federal and empowers the members of states to choose their languages to preserve the cultural identity along with maintaining national unity.

Monday, November 18, 2019

Business Ethics Essay Example | Topics and Well Written Essays - 750 words - 4

Business Ethics - Essay Example In a contemporary organisation, ethical issues include fair trade, sustainability, globalisation and most importantly corporate social responsibility. According to the traditional approach, the key objectives of the entity are to make profits and come up strategies of attaining this (Ardalan, 2008:513). The modern approach states the organisation’s performance and accountability of the organisation. The modern ethical organisation of an entity in the twenty first century explains that success of the entity is determined by the combination of the 4Ps strategy. As earlier mentioned, the organisation’s main objective is to make profits for the shareholders. The major characteristic of an ethical organisation is one that puts the matters affecting the people at heart (Ardalan, 2008:514). These include employees, customers, suppliers, the community at large, stakeholders and other parties that are interested in the company’s operations. It can be observed that stakeho lders are either internal or external and have a huge impact on the organisation’s ethics. The organisation should take environmental issues in consideration with regards to sustainability and fair trade (Maignan and Ferrell, 2004:45). The company has a social responsibility over the global environment and should take into account the expectations of the public. The core ethical principles of the entity are integrity, truth and honesty. These principles have to be in line with the environment in which it operates and within the organisation. This enhances the sustained success of the entity in the long run. In the contemporary business environment ethics should be constantly managed in an entity and it is imperative to understand the ethical value of the company (Maignan and Ferrel, 2005:34). An analysis of the elements in an ethical management framework to give a deeper understanding of the ethical status of an entity should be carried out. Firstly, the leadership and senior management has to show commitment towards the program (Maignan and Ferrel, 2004:34). Secondly, there should be an assessment of the efficiency of ethical value in the organisation. Thirdly, there should be codification of the ethics and proper communication within the entity (Maignan and Ferrell, 2005:45). Fourthly, there should be formalisation of the code of ethics through proper training and communication (Maignan and Ferrel, 2005:34). Lastly, the code of ethics should be integrated into the organisation’s culture. In order to achieve this, the leadership should be on the forefront in ensuring the company’s ethics are upheld. Some of the unethical considerations in the operations of the organisation entail issues that are not necessarily illegal but are viewed as being unethical (Maignan and Ferrell, 2004:45). Examples of such cases include lack of transparency, exploitation as to maximise profits, environmental pollution, and misuse of power, reputation and confli ct. The organisation’s activities are impacted directly or indirectly by the stakeholders (Maignan and Ferrel, 2005:34). External stakeholders include regulatory bodies, advertising agencies, competitors, consumers and other interest groups. The internal stake holders include the entity’s top management, employees and other departments in the company (Maig

Friday, November 15, 2019

Investigation of Oral Contraceptives

Investigation of Oral Contraceptives Oral Contraceptives Made by LAB GROUP: C2 Lab Instructors: A.L/ Ahmed Refaat Spring 2015 Oral Contraception: Contraception can be defined as the method of prevention of pregnancy also referred to as Birth Control medication. Mainly contraceptives are composed of hormones thus, referred to as hormonal contraceptives they consist of synthetic sex hormones female based hormones such as estrogen or progestin. Their mechanism of action is to block the process of ovulation hence, preventing pregnancy. Methods of contraception: There are a lot of contraception methods theyre mainly divided into physical-mechanical or chemical methods. Physical-mechanical methods include: Caps: it is a thin soft silicone prevents sperm penetration by covering the cervix. Male and female condoms Contraceptive Implants: flexible and small forty mm long tube. A trained professional usually inserts the implant; it stops the release of eggs from the ovary. Diaphragms: placed inside the vagina before intercourse, it covers the cervix as well. IUD: T-shaped intrauterine device placed inside the womb by a specialized professional; it terminates sperms and eggs in the fallopian tube or womb. IUS: plastic T-shaped intrauterine system placed inside the womb by a physician, it releases progestogen (steroid) that thickens the mucus in the cervix making it impossible for a sperm to penetrate it. Vaginal ring: a plastic soft and ring shaped placed inside the vagina, releases as well progestogen with the same effects as the IUS. Natural family planning Chemical methods include: Combined pills Contraceptive patches Progestogen pill Contraceptive injection There are permanent methods of contraception such as: Vasectomy in males Sterilization or sealing of the fallopian tube in females Classification of drugs is mainly based on the type of chemical or active ingredient. Oral contraceptives are classified into 3 categories: Combination (estrogen/progestin) oral contraceptives Progestin only based oral contraceptives Effects of different oral contraceptives Oral contraceptive Drugs: Ortho Micronor (Norethindrone): Drug class: It is a First generation Progestin. It is less androgenic than second generation progestin such as levonorgestrel. Mechanism of action: Ortho Micronor is a progestin-only contraceptive oral pill. It is designed for the prevention of pregnancy by suppressing ovulation in nearly half of the users, thickening the cervical mucus to prevent sperm penetration, and the reduction of LH midcycle tops FSH, it slows the motility of the ovum altering the endometrium and the fallopian tubes. Pharmacological action: Progestin oral contraceptives are used for the prevention of pregnancy. Pharmacokinetics: Serum progesterone levels peak after oral administration in about two hours, then through distribution and rapid elimination. In 24 hours after drug intake, serum levels are close to the base line, which makes the efficiency depends on rigid adherence to the dosage. There are wide variations between individual users in serum levels. The results of the progestin administration lower the levels of serum progesterone balance and a shorter half-life of the concomitant administration with estrogens. Contraindications: Carcinoma of the breast suspected pregnancy Hypersensitivity to any component of this product liver disease Drug interactions: Thyroxine concentrations inevitably decrease eventually, because there is a decrease in main binding thyroid globulin The efficacy of pills that are progestin based only is reduced by the (HEID) or hepatic enzyme-inducing drugs for example carbamazepine, anticonvulsants phenytoin, and the antituberculosis drug rifampin and barbiturates. Side-effects: Vomiting, Nausea, bloating, Vaginal bleeding, headache Plan B (levonorgestrel): Drug class: Second Generation progestin. Used worldwide and FDA approves as plan B. It has high androgenic effects. Pharmacokinetics: No particular examination of irrefutably for the bioavailability of plan B (levonorgestrel) in people has been directed. Be that as it may, writing demonstrates that levonorgestrel is quickly and totally assimilated after oral organization (bioavailability around 100%) and is not subject to first pass digestion system. After a solitary measurements of Arrangement plan B (levonorgestrel) (0.75 mg) regulated to 16 ladies under fasting conditions, greatest serum centralizations of levonorgestrel are 14.1  ± 7.7 ng/mL (mean  ± SD) at a normal of 1.6  ± 0.7 hours. Pharmacological action: Plan B is proposed to avert pregnancy after known or suspected prophylactic disappointment or unprotected intercourse. Mechanism of action: Crisis contraceptives are not successful if the lady is now pregnant. Plan B (levonorgestrel) is accepted to go about as a crisis prophylactic essentially by avoiding ovulation or preparation (by modifying tubal transport of sperm and/or ova). Whats more, it may hinder implantation (by modifying the endometrium). It is not successful once the methodology of implantation has started. Side effects: Nausea Headache Breast tenderness Fatigue Vomiting Abdominal pain Diarrhea Contraindications: It is not prescribed for utilization in the accompanying conditions: Known or suspected pregnancy Hypersensitivity to any segment of the drug Drug interactions: Hypothetically, the adequacy of low-measurement progestin-just pills is diminished by hepatic catalyst instigating medications, for example, the anticonvulsants carbamazepine, phenytoin, anti- tuberculosis and barbiturates. Yasmin (drospirenone/ethinyl estradiol): Drug class: Third generation oral contraceptive. It is mostly disliked due to dangerous side effects. Pharmacokinetics: Irrefutably the bioavailability of DRSP from a solitary element tablet is around 76%. Unquestionably the bioavailability of EE is pretty nearly 40% as a consequence of presystemic conjugation and first-pass digestion system. Indisputably the bioavailability of Yasmin, which is a mix tablet of EE and DRSP, it has not been assessed. Serum convergances of DRSP and EE arrived at top levels inside 1-2 hours after organization of Yasmin. Pharmacodynamics: Pharmacodynamic studies were not conducted specifically with Yasmin. Therapeutic use: Yasmin is demonstrated for utilization by ladies to avert pregnancy. Mechanism of action: COCs bring down the risk of getting to be pregnant basically by smothering ovulation. Other conceivable components may incorporate cervical bodily fluid changes that restrain sperm entrance and endometrial changes that decrease the probability of implantation. Side effects: Irregular uterus bleeding Headache Nausea Liver disease Breast tenderness Contraindications: Dont endorse Yasmin to ladies who are known to have the accompanying: Renal impedance Adrenal deficiency Hypertension Have breast cancer Have coronary vein illness Have thrombogenicvalvular or thrombogenic mood illnesses of the heart (for instance, subacute bacterial endocarditis with valvular malady, or atrial fibrillation) Have Diabetes mellitus Drug interactions: Substances reducing the viability of COCs: Medications or home grown items that incite certain chemicals, including cytochrome P450 3A4 (CYP3A4), may diminish the adequacy of COCs or build achievement dying. Effects of Joined Oral Contraceptives on Different Medications COCs containing EE may hinder the digestion system of different mixes. Potential to Build Serum Potassium Focus: There is a potential for an increment in serum potassium fixation in ladies bringing Yasmin with different medications. Mircette (desogestrel/ethinyl estradiol and ethinyl estradiol): Second generation Mechanism of action: The mechanism of action of it works over four directions: suppression of the gonadotropins alteration changes in the mucus which make it hard and difficult to the sperm to entire the uterus The endometrial changes that reduce the likelihood of the implantation process inhibition of ovulation from happening Pharmacokinetics: The substance desogestrel is completely and fast absorbed then converted to the active form which is etonogestrel after taking the oral route of administration the bioavailability was measured and found approximately 100%; by taking serum levels of etonogestrel . Therapeutic uses: It is used to prevent the pregnancy. Side effects: Vomiting Gastrointestinal symptoms (such as abdominal cramps and bloating) Nausea problems in menstruation process Breast changes:, enlargement, tenderness , and secretion Contraindications: Past problems concerning deep vein Thrombophlebitis  or thromboembolic disorders If there is any predication for breast carcinoma or current one Drug interactions: Increase in factors ix ,vii,viii,x and prothrombin levels this will cause increase in nor adrenline induced platelets aggregation Increase in other binding proteins in serum levels Increase in the levels of thyroid binding globulin References: Contraceptives. (2015, February 17) Drugs.com Available at:  http://www.drugs.com/drug-class/contraceptives.html (Accessed: 5 March 2015) Contraception. Division Of Reproductive Health. (2015, February 24) CDC Available at: http://www.cdc.gov/reproductivehealth/unintendedpregnancy/contraception.htm  (Accessed: 5 March 2015) Types Of Oral Contraceptives. (2010, December 12) OralContraceptives.com Available at: http://www.oralcontraceptives.com/about_types.asp (Accessed: 5 March 2015) Contraception Guide. (2015, February 2) nhs.uk Available at: http://www.nhs.uk/Conditions/contraception-guide/Pages/contraception.aspx  (Accessed: 5 March 2015) Plan B. (2007, May 24) rxlist.com (Drug index) Available at:  http://www.rxlist.com/plan-b-drug.htm  (Accessed: 5 March 2015) Yasmin. (2012, April 23) rxlist.com (Drug index) Available at:  http://www.rxlist.com/yasmin-drug.htm  (Accessed: 5 March 2015) Ortho Micronor. (2008, July 24) rxlist.com (Drug index) Available at: http://www.rxlist.com/ortho-micronor-drug.htm  (Accessed: 12 March 2015) Mircette. (2012, July 27) rxlist.com (Drug index) Available at:  http://www.rxlist.com/mircette-drug.htm (Accessed: 12 March 2015)

Wednesday, November 13, 2019

Growing Up In A Single-Parent Family Essay -- Single Parent Family Pap

Growing Up In A Single-Parent Family With the divorce rate as high as it is, more and more children are growing up in single-parent families. Ideally, it is better for children to live with their mom and dad happily married; however, children who grow up in single-parent households can still be well- adjusted children, teenagers, and adults. Although there are always exceptions to every rule, for the most part, children who grow up in single-parent working households are more mature, realistic and independent. First, in a single-parent working family, children tend to be more mature. The children are more mature because they often have to be responsible for themselves. For example, if their mom or dad has to work late, or if they work evenings, the children are in control of when to do their homework or even in some cases when to go to bed. Also, children in this environment or situation sometimes have to be responsible for taking care of their brother, sister or other close relatives. For example, they have to be re...

Monday, November 11, 2019

Law and Morality Essay

Morality can be described as a set of values common to society, which are normative, specifying the correct course of action in a situation and the limits of what society considers acceptable. Law on the other hand according to Osborn’s Concise Law Dictionary is a rule of conduct imposed and reinforced by the sovereign. A body of principles regognized and applied by the state in the administration of justice. If law is to enforce morals, then it is faced with the problem that what one person considers immoral, another might not, so which viewpoint should the law uphold. This can be seen in the case of Gillick v West Norfolk and Wisbech Area Health Authority (1986) where Mrs Gillick sought a declaration that what she saw as an immoral activity (making contraceptive advice and treatment available to girls under the age of consent) was by nature of its immorality, illegal. This was a moral conflict as some saw this as immoral – it encouraged underage sex – others felt it was moral as young girls would engage in underage sex anyway , but contraceptives would prevent unwanted pregnancies. Which viewpoint would the law support. The House of Lords ruled against Mrs Gillick but stated that they were governed by the relevant statutes rather than moral arguments. What then is the relationship between law and morality. What are the differences and similarities The vast differences between existing theories of the basis of law often fail to notice the fact that they are based on the practice of comparing an act to certain standards in order to determine its legality. [1] Different approaches differ in terms of which standards are compared and assessed, though both ultimately assess acts to certain standards to determine their legality or morality. The two leading theories on the topic are positivism and naturalism – the debate between the two has fuelled theorists for centuries. Many observers of positivism presume that it completely dismisses any role of morality in the application of the law, while naturalism bases the existence and validity of law on moral bases. Although the theories are fundamentally different, it is argued that a link between law and morality is glaringly obvious and unavoidable, no matter which side one chooses to follow or favour. This paper will seek to argue that claims which deny any link between law and morality are weak and flawed at best, and apply in a limited manner to simple, straightforward cases. The mere existence of the ‘hard case’ and of court deliberation provides a great deal of evidence for not only the existence of the link between law and morality, but also the necessity of such a link. The naturalist and positivist theories will be explored in order to assess whether the link between law and morality can survive its critics and strengthen the faith of its followers. Legal Positivism Positivists claim that objective morality simply cannot exist because values consist of different attitudes towards and beliefs about certain values. [2] Attitudes and beliefs differ between individuals and cause us to react to a certain act in a subjective manner. Moral perceptions are predominantly emotional, so that such assessments in the realm of the law cause uncertainty and inconsistency. It also fails to recognise difficult cases and the possibility of new cases arising. The apparent main flaw of positivism is that it is unable to explain the legal deliberation which takes place in the courtroom, particularly the difficult cases which have no apparent ‘yes or no’ answer. The very difficulties posed by interpreting the law and applying it to everyday circumstances are unable to be adequately explained by positivism. Indeed, there is a distinction here between hard and soft positivists; the latter do recognise a form of moral basis upon which written laws are perched. Yet both soft and hard positivists are at pains to explain how hard cases arise, in which there is simply no right or wrong answer, and in which morality may unavoidably take a central role. Morality and the Naturalist Approach Naturalists claim that non-legal considerations such as ideological, moral and political factors are not only relevant to the posited law, but that law is also based on such factors. The central argument of naturalism is that objective knowledge of right and wrong can and does exist, and that this provides the basis for legal decisions as well as for the validity of law. Naturalists such as Aquinas[3] claim that natural law provides the basis of validity for posited laws. Rousseau[4] believes that positive law cannot override or entrench upon certain existing natural rights; Aristotle claims that natural justice exists independently of individual perceptions of or opinions on it. [5] Jeremy Bentham proposed utilitarianism where moral action was the one that produced good for many, even it was at the expense of one – the greatest good for the greatest number. John Stuart Mill’s refinement of the idea argues that while this is true the individual should not have to follow society’s morals and should be free to act as they wish provided they do not harm others. The problem arises in defining who are included in others and what is harm. It is clear that naturalist claims to provide a strong link between law and morality, the latter of the two being a basis upon which the former is based. Judges, when they interpret and apply posited law, often make non-legal considerations in order to apply the law effectively. Naturalism, however, has a major flaw in that it claims the existence of objective morality. There are many case examples which suggest otherwise. [6] One presented with two rather extreme and different concepts of the link (or not) between law and morality. Is it plausible that such a links exists? Is there evidence for such a link, and how does it serve to affect how the law is administered? Does there really need to be objective knowledge of right and wrong in order for the link to be maintained? In order to explore these questions, the ever-elusive ‘difficult case’ will be assessed. It will be argued that the link between law and morality is not weakened by the argument that objective knowledge of right and wrong is nonexistent. The debate over the relationship between law and morality came to the forefront in the Hart/Devlin debate which followed the publication of Wolfenden Report in 1957. The report recommended the legalization of prostitution and homosexuality on the particularly untilitarian basis that â€Å"the law should not intervene in the private lives of citizens or seek to enforce an particular pattern of behaiour further than necessary† to protect others. Hart supported the report’s approach stating that legal enforcement of moral code is unnecessary. Devlin on the other hand was strongly opposed to the report. He felt that society had a certain moral standard which law was obliged to uphold as society would fall apart without a common morality. Devlin felt that this morality should be based on the views of the ‘right-minded person’ and that legislature should adhere to three basic principles: (1) Individuals should be allowed as much freedom and privacy as is possible without compromising morality. (2) Parliament and the judiciary should be cautious about changing laws relating to morality and (3) punishment should be used to prevent actions considered abominable to ‘right-minded people’. Hart opposed this view questioning what was ‘right-minded’ and submitted four reasons for not criminalizing what the ‘right-minded person† objected to. (1)Punishment of someone does harm to them only and if their actions involved no one else this was not right. (2) Free will is very moral, so interferance with free will would be immoral, (3) Free will allows learning through experimentation and (4) legislation surpressing an individual’s sexuality will harm them, as it can affect their emotional state. For the majority of legal issues, judges are not required to deviate from posited law and precedent in order to decide. The law makes murder wrong, and it has been a long-standing principle that taking the life of another is morally abhorrent. Yet what of the ‘hard cases’? What if A kills B in self-defence? What if C forced A to kill B else A lose his own life? What if the application of a law is indeterminate? Can posited law be applied without recourse to moral reasoning? Positivists such as Dworkin and Hart differ in their approach. Dworkin claims that there will always be applicable law,[7] while Hart claims that judges can make non-legal considerations under such circumstances. [8] Hart’s theory is applicable to the less open-textured terms where changes made by non-legal considerations are the result of â€Å"resemblances which can reasonably be defended as both legally relevant and sufficiently close. †[9] The judge thus utilises morality as a way of choosing between pre-existent definitions, without devising his own definitions. Although Hart is classed as a positivist, he does acknowledge a â€Å"core of indisputable truth in the doctrines of natural law†[10] which enables law to be based on something more than simply factual considerations. Hart’s theory can be interpreted as recognising a form of natural law, although he does stipulate that having recourse to moral values does not always ensure that law and its application will be just. This assessment of Hart’s approach is plausible, and it serves to create a link between law and morality which avoids the objective criticism of the naturalists. It provides a strong argument for a link between law and morality which is based on interpretational, social considerations which are evident in the courtroom today. It is perhaps necessary to query: does the law define what is right and wrong, or do we determine good and bad independently of the law? There are certainly evident customs in society which have strong influences on the way we behave. Such customs are not implemented by the law or backed by a sanction; they are simply examples of moral codes within a society which exist independently to the law. Does this mean that law and morality have no connection so that the latter can only be found in customs? Does a moral rule backed by the law become a valid law no matter what its content? It is arguable that even majority abhorrence of an act does not make it an immoral act per se, despite the fact that societies need a shared moral outlook in order to exist. [11] It could thus be suggested that the law is simply an embodiment of the current moral outlook of society; like morality the law changes according to attitudes and social tolerance. It is such observations that cause the positivist shunning of the link between law and morality to become less convincing. It is even arguable that the obeying of law is based on the recognition of the moral rule that law should be obeyed; the threat of sanction is evidently not enough to deter some. It could further be argued that the only reason that legislation has authority as law is because of the moral structure of a society. As has already been mentioned, the law develops and evolves according to moral outlooks; this can be seen where laws prohibiting same sex marriages and abortion have been abolished. If the law were completely disconnected from morality, why has it developed and evolved over time? Why does social pressure to repeal or change law often achieve its goal? The Link Between Law and Morality – Evidence Dworkin claims that courts refer to non-legal (moral) standards when deciding hard cases. Assessing and taking into account moral and political considerations has the potential to create a complex web of law and â€Å"justify the network as a whole†. [12] It is strongly arguable that deciding difficult cases without appealing to non-legal considerations is futile – the reason that such cases are ‘hard’ is because the law does not provide enough direction. However, it is important here to stress that decisions are not free to be made according to personal convictions – judges are on the contrary required to carefully weigh social factors in applying and interpreting the law. Dworkin’s theory in this sense is able to escape the positivist criticism that non-legal convictions are ultimately subjective. Rather, the judge is assigned the difficult interpretative task which is seen constantly in court. This is evident in cases such as that of Re A (Conjoined Twins)[13] in which moral judgements were inevitable and necessary in applying the law to the specific circumstances of the case. Ultimately, the judges were faced with the decision of killing one twin in order to save the other, or to not act and cause the death of both twins. While moral judgements are dangerous ground here, a positivist could not argue that the law as it is could be applied simply and without problem – often the law is simply not enough. The law in this case proved of very little aid – how is one to decide whether A’s life has more importance or value than B’s life? While moral considerations could have caused the decision to fall either way, it must be stressed that such situations must risk the dangerous ground created by moral convictions, particularly because the law provides little guidance. Simple cases indeed provide evidence that a link between law and morality is not only non-existent, but also not necessary. [14] Yet the ever-emerging hard cases cry otherwise; they not only highlight the constant shortcomings of posited law, they also emphasise the need to acknowledge and utilise the link between law and morality. Although theorists claim that natural law need not override positive law, except when the two conflict, this serves to strengthen the link between law and morality. If there is no link between law and morality, then how can conflict occur in the first place? Why does public outrage occur when an ‘unjust’ law breaks the boundaries of social tolerance? Those who claim that there is no link between law and morality utilise the naturalist claim to objective morality as their basis for criticism. Yet the term ‘universal morality’ need not apply to the universe as a whole. It is plausible, and certainly does not discredit the naturalist theory, that ‘universality’ or ‘objectivity’ remains as such despite being applied or interpreted differently between societies. Because the universal moral to preserve life may allow the sick to be killed in primitive societies to save sparse resources for the healthy, while requiring that all efforts be made to save every life possible in richer, more able societies. The moral principle – the preservation of life – still remains existent, it is simply expressed and applied differently between societies. [15] Conclusion There are various theories which discuss how law and morality should relate to each other. The current approach by the legal system seem to be that a common morality , based on traditional values should be maintained by the law as exposed by Devlin. Cases such as Shaw v Director of Public Prosecutions (1961) and Knuller v Director of Public Prosecutions ( 1972) made use of the conspiracy to corrupt moral. This had not been done since the 19th century. This was the beginning of the law to attempt to uphold society’s moral values according to Devlin’s doctrine. This approach continued as the more recent case of R v Brown (Anthony) 1992 demonstrates. The defendants had had willingly consented to various sado-masochistic practices and none of them reported it to the police. Yet they were prosecuted and their convictions were upheld by both the House of Lords and The European Court of Human rights, based on public policy to defend the morality of society. Whether or not the law should uphold the moral values of society is still debated. Those who criticise the link between law and morality often rely on the argument that no single opinion of correctness can exist,[16] yet such criticisms presuppose that such a link requires a single notion of correctness or justice. [17] It does not require such a single notion; it merely requires the recognition that legal considerations are often not enough, and that the interpretational practice which takes place is indeed a result of the link between law and morality. To ultimately deny a link between law and morality is to entirely discredit legal precedents, lengthy assessments of judge decisions, and the controversy of many difficult cases. It is also to turn away from the glaringly evident evolutions and changes which have occurred in the legal sphere – to ignore the changing of legal standards according to societal outlooks. Such evidence is difficult to ignore. Upon which other basis does the law stand if it does not reflect the moral tolerances and standards of the society which is subject to it? Bibliography R Alexy, ‘On the Thesis of a Necessary Connection between Law and Morality: Bulygin’s Critique’ (2000) 2 RJ 13, 138-147. T Aquinas, ‘Summa Theologiae’, in Selected Political Writings, JG Dawson (trans), AP D’Entreves (ed) (BB, Oxford 1970). J Bentham, Of Laws in General, HLA Hart (ed) (AP, London 1970a). J Bentham, An Introduction to the Principles of Morals and Legislation, JH Burns, HLA Hart (eds) (AP, London 1970b). E Bulygin, ‘Alexy’s Thesis of the Necessary Connection between Law and Morality’ (2002) 2 RJ 13, 133-137. P Devlin, The Enforcement of Morals (OUP, New York 1996). R Dworkin, Law’s Empire (Belknap Press, Cambridge, Mass. 1986). J Finnis, Natural Law and Natural Rights (OUP, New York 1980). HLA Hart, The Concept of Law (CP, Oxford 1961). HLA Hart, The Concept of Law (2nd edn, OCP, Oxford 1994). DD Raphael, Moral Philosophy (OUP, Oxford 1994). R Wacks, Understanding Jurisprudence (OUP, Oxford 2005). ———————– [1] R Wacks, Understanding Jurisprud). ence (OUP, Oxford 2005 [2] DD Raphael, Moral Philosophy (OUP, Oxford 1994) ch. 2. [3] T Aquinas, ‘Summa Theologiae’, in Selected Political Writings, JG Dawson (trans), AP D’Entreves (ed) (BB, Oxford 1970) pt. 2, qu. 94, art. 2. [4] JJ Rousseau, The Social Contract (OUP, Oxford 1762). [5] Aristotle, Nichomachean Ethics, H Rackham (trans) (William Heineman, London 1938). [6] Corbett v Corbett (1970) 2 WLR 1306 CA per Ormrod LJ. [7] R Dworkin, Law’s Empire (Belknap Press, Cambridge, Mass. 1986) 32-34. [8] HLA Hart, The Concept of Law (2nd edn, OCP, Oxford 1994) 145-147. [9] HLA Hart, The Concept of Law (CP, Oxford 1961) 127. [10] HLA Hart, 1994, op. cit. , 146. [11] P Devlin, The Enforcement of Morals (OUP, New York 1996). [12] R Dworkin, 1986, op. cit. , 245. [13] (2000) 4 All ER 961, (2001) 1 FLR 1 CA. [14] J Finnis, Natural Law and Natural Rights (OUP, New York 1980) 33-34. [15] J Finnis, 1980, op. cit. , 34. [16] E Bulygin, ‘Alexy’s Thesis of the Necessary Connection between Law and Morality’ (2002) 2 RJ 13, 133-137. [17] R Alexy, ‘On the Thesis of a Necessary Connection between Law and Morality: Bulygin’s Critique’ (2000) 2 RJ 13, 138-147.

Friday, November 8, 2019

Law Enforcement Essays

Law Enforcement Essays Law Enforcement Essay Law Enforcement Essay Law Enforcement Name: Course: Institution: Instructor: Date: The historical development of police agencies Within North America, local law enforcement agencies have a core function of enforcement of laws. The history of police agencies dates back to the earlier Roman civilizations that were created solely for protecting the rulers from assassination and other threats. Much later in the Middle Ages around 1600 .D., the watch system that was applied in most communities where volunteers patrolled the streets and guarded cities from sunrise to sunset(Berg, 1998). The watch system consisted of close voluntary supervision of the streets and cities by the residents themselves. At the time, there were vigilante groups that took up watch at their premises to combat crime. The increasing level of lawlessness caused administrators such as Alfred the Great to come up with strategies like the pledge system in which all citizens were pledging to participate in any kind of community police work. The pledge system was an amended version of the frankpledge that was a system of tithing. Tithing involved collecting all able-bodied men into a group for behavior regulation purposes. If a tithe failed to apprehend an assailant, the whole group was responsible for compensating the injured party. Consequently, the alarm raised by the chief tithing-man that was popularly called the â€Å"hue and cry†. The frankpledge system aggregated ten tithings into a â€Å"hundred† who were under one constable. The duty of the constable was to mobilize the group of a hundred men and raise their forces. Such ten â€Å"hundreds† made up a â€Å"shire† that was supervised by a shire-reeve. Any exemption to this policy had to be ratified by the shire-reeve, the designated appointee to maintain peace. During the Industrial revolution, many race and class riots took place in Europe and America that challenged the workability of the night watch security. Day watchers were also overwhelmed. At some point, well-off individuals created a section of law enforcers called thief-takers. These were individuals who ere contracted to capture criminals. However, realizing their strategic positions, most thief-takers exploited their contracts to get rich. In return, they would protect the same criminals they were supposed to eliminate. All these failed attempts pitted England, New York and all other urban centers into corruption and lawlessness. Much later around 1750, more institutions that were effective were slowly edging out the watch system. Personal detectives like the famous Bow Street Runners and the Bobbies were well known for their prowess in tracking down criminals. Individuals like Sir Robert Peel introduced professionalism in the maintenance of law and order. These Peelian principles went on to form the foundation by which many police forces and agencies standardize their officers. Sir Robert proposed standards like discipline, appearance, and fair recruitment of police officers. (Beattie, 2012) This prompted administrators in New York City to start a full-time, independent and salaried police force in 1845. These new police officers had uniforms that distinguished them from the rest of the civilians. Apart from their uniforms, these police officers worked all day and night to regulate normal business disruptions in the city. They were armed with weapons and given the mandate to apprehend law-breakers. It is also during this time when state and federal police agencies began to emerge. The Secret Service and the IRS are the best examples in this period. Police agencies and their jurisdiction Jurisdiction can be defined as the area in which a local enforcement agency is restricted to in terms of exercise of power and operations. Typically, jurisdiction covers a specific geographical area that is restricted to a particular agency. Some agencies apply their powers at the country level for example Tobacco Firearms and Explosives, within a country or province or across a collection of many states for example Interpol. At this higher level involving many countries, such agencies mainly offer advisory and coordinative services to other domestic agencies. Law enforcement agencies that operate within a division in a country are referred to as local police. Law enforcement agencies have their jurisdictions divided according to geographical locations for administrative purposes. At the country level, the two agencies operating in the United States are either federal or national. Federal law enforcement agencies have different responsibilities. They are responsible for regulating immigration and border traffic, the protection of national infrastructure, national security and protection of important country officials like the head of state. Federal police agencies also have the regular police responsibilities for example maintenance of law and order alongside general safety. They however do not exercise their authority at the lower levels i.e. divisions. The Federal Bureau of Investigation (F.B.I) is the prominent example of a federal agency in USA. State enforcement agencies operate within their specific states. Their main functions include investigations into criminal activities and regular patrols on the state’s borders. State police are part of the Department of Public Safety and work closely with the Bureau of Investigation found in the Attorney General’s office within the same state. Within these states, other enforcement divisions are not state police for instance campus police or departments of correction. These other agencies work hand in hand with the state police. The Alabama, North Dakota and Texas Highway patrols are some examples of state police.The lowest category of law enforcers is the county police. Their jurisdictions cover the different counties found within states. For smaller and less developed areas, the Sherriff’s office provides the security services for the people in a certain county. The Sherriff acts as both the county police and the sheriff in most situations. In some counties, municipal police operate under the sheriffs within the various counties. Many towns and cities have their own municipal agencies. The functions of this agency are quite similar to the federal agencies. The Las Vegas Metropolitan Police is one example.(Cunningham, Taylor Hallcrest Systems, 1985).The role of police agencies in contemporary societyPolice agencies have three main roles that stand out in the contemporary society. First, the maintenance of law and order in the society is the most important role played by the police. This mandate requires police to maintain peaceful environment by preventing behavior that may lead to any disturbance of tranquility. Under this function, police are also responsible for the detection and prevention of crime without which there would be chaos in the society (Cole Smith, 2004). The police also play a major role in law enforcement .The police exercise these powers whenever a law is violated. In such instances, the police have to identify the s uspect and apprehend them for further investigation.The Department of Justice and other similar branches in other governments rely heavily on the efficiency of the police to facilitate justice as well as safety. Lastly, police agencies provide different types of services to the public. These may include tourist guidance, civil education and providing disaster relief support. In more developed countries, police officers assist in roadside auto problems, finding lost property and residential security. At the national level, the federal police assist in maintaining national security. This includes deterring threats of terrorist attacks that have been a major issue for the United States.References Beattie, J. M. (2012). The first English detectives: The Bow Street Runners and the policing of London, 1750-1840. Oxford: Oxford University Press. Berg, B. L. (1991). Law enforcement: An introduction to police in society. Boston: Allyn and Bacon. Cole, G. F., Smith, C. E. (2004). The American system of criminal justice. Belmont, CA: Thomson/Wadsworth. Cunningham, W. C., Taylor, T. H., Hallcrest Systems, Inc. (1985). The Hallcrest report: Private security and police in America. Portland, or: Chancellor Press.

Wednesday, November 6, 2019

The Probability of Rolling a Yahtzee

The Probability of Rolling a Yahtzee Yahtzee is a dice game involving a combination of chance and strategy. A player begins their turn by rolling five dice. After this roll, the player may decide to re-roll any number of the dice. At most, there are a total of three rolls for each turn. Following these three rolls, the result of the dice is entered onto a score sheet. This score sheet contains different categories, such as a full house or large straight.  Each of the categories is satisfied with different combinations of dice. The most difficult category to fill-in is that of a Yahtzee. A Yahtzee occurs when a player rolls five of the same number. Just how unlikely is a Yahtzee? This is a problem that is much more complicated than finding probabilities for two or even three dice. The main reason is that there are many ways to obtain five matching dice during three rolls. We can calculate the probability of rolling a Yahtzee by using the combinatorics formula for combinations, and by breaking the problem into several mutually exclusive cases. One Roll The easiest case to consider is obtaining a Yahtzee immediately on the first roll. We will first look at the probability of rolling a particular Yahtzee of five twos, and then easily extend this to the probability of any Yahtzee. The probability of rolling a two is 1/6, and the outcome of each die is independent of the rest. Thus the probability of rolling five twos is (1/6) x (1/6) x (1/6) x (1/6) x (1/6) 1/7776. The probability of rolling five of a kind of any other number is also 1/7776. Since there are a total of six different numbers on a die, we multiply the above probability by 6. This means that the probability of a Yahtzee on the first roll is 6 x 1/7776 1/1296 0.08 percent. Two Rolls If we roll anything other than five of a kind of the first roll, we will have to re-roll some of our dice to try to get a Yahtzee. Suppose that our first roll has four of a kind. we would re-roll the one die that doesn’t match and then get a Yahtzee on this second roll. The probability of rolling a total of five twos in this way is found as follows: On the first roll, we have four twos. Since there is a probability 1/6 of rolling a two, and 5/6 of not rolling a two, we multiply (1/6) x (1/6) x (1/6) x (1/6) x (5/6) 5/7776.Any of the five dice rolled could be the non-two. We use our combination formula for C(5, 1) 5 to count how many ways we can roll four twos and something that is not a two.We multiply and see that the probability of rolling exactly four twos on the first roll is 25/7776.On the second roll, we need to calculate the probability of rolling one two. This is 1/6. Thus the probability of rolling a Yahtzee of twos in the above way is (25/7776) x (1/6) 25/46656. To find the probability of rolling any Yahtzee in this way is found by multiplying the above probability by 6 because there are six different numbers on a die. This gives a probability of 6 x 25/46656 0.32 percent. But this is not the only way to roll a Yahtzee with two rolls. All of the following probabilities are found in much the same way as above: We could roll three of a kind, and then two dice that match on our second roll. The probability of this is 6 x C(5 ,3) x (25/7776) x (1/36) 0.54 percent.We could roll a matching pair, and on our second roll three dice that match. The probability of this is 6 x C(5, 2) x (100/7776) x (1/216) 0.36 percent.We could roll five different dice, save one die from our first roll, then roll four dice that match on the second roll. The probability of this is (6!/7776) x (1/1296) 0.01 percent. The above cases are mutually exclusive. This means that to calculate the probability of rolling a Yahtzee in two rolls, we add the above probabilities together and we have is approximately 1.23 percent. Three Rolls For the most complicated situation yet, we will now examine the case where we use all three of our rolls to obtain a Yahtzee. We could do this in several ways and must account for all of them. The probabilities of these possibilities are calculated below: The probability of rolling four of a kind, then nothing, then matching the last die on the last roll is 6 x C(5, 4) x (5/7776) x (5/6) x (1/6) 0.27 percent.The probability of rolling three of a kind, then nothing, then matching with the correct pair on the last roll is 6 x C(5, 3) x (25/7776) x (25/36) x (1/36) 0.37 percent.The probability of rolling a matching pair, then nothing, then matching with the correct three of a kind on the third roll is 6 x C(5, 2) x (100/7776) x (125/216) x (1/216) 0.21 percent.The probability of rolling a single die, then nothing matching this, then matching with the correct four of a kind on the third roll is (6!/7776) x (625/1296) x (1/1296) 0.003 percent.The probability of rolling three of a kind, matching an additional die on the next roll, followed by matching the fifth die on the third roll is 6 x C(5, 3) x (25/7776) x C(2, 1) x (5/36) x (1/6) 0.89 percent.The probability of rolling a pair, matching an additional pair on the next roll, followe d by matching the fifth die on the third roll is 6 x C(5, 2) x (100/7776) x C(3, 2) x (5/216) x (1/6) 0.89 percent. The probability of rolling a pair, matching an additional die on the next roll, followed by matching the last two dice on the third roll is 6 x C(5, 2) x (100/7776) x C(3, 1) x (25/216) x (1/36) 0.74 percent.The probability of rolling one of a kind, another die to match it on the second roll, and then a three of a kind on the third roll is (6!/7776) x C(4, 1) x (100/1296) x (1/216) 0.01 percent.The probability of rolling one of a kind, a three of a kind to match on the second roll, followed by a match on the third roll is (6!/7776) x C(4, 3) x (5/1296) x (1/6) 0.02 percent.The probability of rolling one of a kind, a pair to match it on the second roll, and then another pair to match on the third roll is (6!/7776) x C(4, 2) x (25/1296) x (1/36) 0.03 percent. We add all of the above probabilities together to determine the probability of rolling a Yahtzee in three rolls of the dice. This probability is 3.43 percent. Total Probability The probability of a Yahtzee in one roll is 0.08 percent, the probability of a Yahtzee in two rolls is 1.23 percent and the probability of a Yahtzee in three rolls is 3.43 percent. Since each of these are mutually exclusive, we add the probabilities together. This means that the probability of obtaining a Yahtzee in a given turn is approximately 4.74 percent. To put this into perspective, since 1/21 is approximately 4.74 percent, by chance alone a player should expect a Yahtzee once every 21 turns. In practice, it may take longer as an initial pair may be discarded to roll for something else, such as a straight.