Tuesday, December 24, 2019

Social Work With Aging Populations - 1155 Words

Social Work with Aging Populations Generally, social work is affiliated with the younger population or topics of abuse and neglect in the home. While this can be a vital part of the job description, social work is a diversified field with many other career opportunities. A social worker’s ethical job responsibilities are outlined in NASW Code of Ethics (1999). The following sections will review these responsibilities in relation to aging populations and a social workers practice. NASW Code of Ethics A social worker has six primary responsibilities or purposes outlined by NASW (1999). These purposes are to service a client, to provide social justice when needed, to increase and emphasize the individual worth of people, to emphasize the importance of relationships between individuals, and to have integrity and be competent when completing these purposes (NASW, 1999). An essential job duty for any healthcare professional is to be able to service clients. The Code of Ethics (1999) outlines that service means to use the knowledge that a social worker has acquired through training and education to assist clients with issues that are inhibiting them from living their life completely and without suffering. By this definition, a social worker’s job is to assist a client with real-life issues, such as depression and anxiety, which are faced by the majority of the elderly population (Richardson Barusch, 2006). For a social worker, assisting clients who face mental illness meansShow MoreRelatedAgeism Reflection1037 Words   |  5 Pagessomeone in our life that is aging. There will be a big shift in our population within the next 3 years. The baby boomers are aging; between the years of 1946-1964 approximately 75 million Americans were born. (Clan, 2017) By the year of 2020 1 in 4 people will be considered older adults or over the age of 65. North Carolina, Florida, Arizona and California are states where the aging populations is choosing to retire. During Professor Lamb’s presentation, why the older population is choosing certain areasRead MoreEssay on Aging in Australia1730 Words   |  7 PagesDylan Kowalchuk Aging in Australia Plymouth State University This paper focuses on aging in Australia, the different policies and services for the aging population, and provides some examples about what it would be like to age in Australia. First, it is important to understand the age care policy in Australia. There are four different components to this policy: the old-aged pension system, pursuit of the aging-in-place policy, self-funded services and supports, and residential and frail agedRead MoreAging Lgbt Social Service Needs And Issues1663 Words   |  7 PagesAging LGBT Social Service Needs and Issues: An overview of San Bernardino County INTRODUCTION Problem Statement Today, falling birthrates and advances in medicine have made adults 65 years and older one of the fastest growing populations in the United States. According to Grant, J. M., Koskovich, G., Frazer, M. S., Bjerk, S. (2010), â€Å"nearly 37.9 million Americans are 65 or older, representing 12.6% of the population, or one in eight Americans† (p. 19). Furthermore, the aging population is facedRead MoreEconomic Development Patterns Of Employment And Retirement915 Words   |  4 Pagesthe government play in this process, if any? Societal aging may possibly affect economic development patterns of employment and retirement, the way individuals and families operate, the capabilities of governments and communities to offer sufficient resources for the elderly population, and the commonness of chronic disease and disability. The social, economic, and demographic deviations that the United States is undergoing at the population level may perhaps have far-reaching outcomes on one’s physicalRead MoreMigrant Workers In China Case Study840 Words   |  4 Pagesto monthly old-age benefits after retirement; and the government must provide them better legal protection regarding old-age insurance benefits [33]. Other policy recommendations regarding improving the social security system for migrant workers in China include: making innovations in the Social Relief System, gradually raising the level of overall planning to national from municipal / provincial, intensifying law enforcement, letting trade unions come into full play, providing migrant workers employmentRead MoreEvolution of Programs and Services for Aging Populations Over the Last Fifty Years864 Words   |  4 PagesEvolution of Programs and Services for Aging Populations Over the Last Fifty Years The objective of this study is to examine the evolution of programs and services for aging population over the last fifty years. Toward this end, this brief study will conduct a review of literature that addresses these shifts and changes in policy. The timeline of the history of the services and pogroms for the aging population in the United States is shown in the following timeline and an explanation for these developsRead MoreModern Day Social Work With The Aging Essay1153 Words   |  5 Pageschosen Aging as my field of practice. Modern day social work with the aging is also called gerontological services. Social work that is performed at the micro level is mostly done in community facilities. Examples of these are hospitals and long term care facilities (LTC). Under LTC facilities fall nursing homes, assisted living and adult foster homes. Other locations where social work is performed at the micro level is social services and mental health clinics. In these facilities social w orkersRead MoreThe Global Spatial Pattern Of Aging Populations Essay1282 Words   |  6 PagesThe global spatial pattern of aging populations is a nucleated pattern; there is a cluster of countries with a median age of over 40 in Europe, and two outliers; in Japan and Canada. All of these countries are in the Northern Hemisphere. The countries in Europe with a median age of over 40 are Norway, Sweden, Finland, Estonia, Latvia, Lithuania, Bulgaria, Greece, Serbia, Hungary, Bosnia and Herzegovina, Croatia, Slovenia, Austria, Italy, Czech Republic, Germany, Belgium, Netherlands, Denmark, UnitedRead MoreThe Aging Of Population Aging1553 Words   |  7 PagesAging of population (also known as demographic aging) is a summary term for shifts in the age structure of a population making them looking of elder aged person . A direct consequence of the on going global fertility rate decline as well as make the society less working and aging causes lot of health issues too , population a ging is expected to be among the most prominent in whole world . Population aging is progressing rapidly in many developing countries as well as developed nations tooRead MoreIntroduction Of Late Adulthood And Retirement1659 Words   |  7 Pagesdecade had seen an increase with people age sixty and above. Consequently, this aging population has significant effects on many aspect of society. Life expectancy which was of 50 years in the 19th century had tremendously increase. Indeed the factors contributing to the longevity include; public health measure to many factors such as decrease in infant mortality rate, and the eradication of certain diseases. Population ageing is a global phenomenon that can be expressed by the significant demographic

Monday, December 16, 2019

The Relationship Between Managed Care And Prevention Free Essays

In the fast and extensive changes that come with the evolving health-care systems in the United States, Managed Care organizations are viewed as the new actors in disease prevention and management. There are several reasons why Managed Care organizations should and are involved in disease prevention and management. First, managed care organizations have become the primary source of health care both for beneficiaries of publicly and employer-funded health programs such as Medicare and Medicaid. We will write a custom essay sample on The Relationship Between Managed Care And Prevention or any similar topic only for you Order Now Statistics show that Managed Care enrollment has jumped from 6 million people in 1976 to 51 million in 1994 (Bektas, 2000). Since Managed Care plans are basically set up as health care insurance policies, this rapid increase that is prevalent even in the present means a greater risk of financial loss due to members getting sick with all kinds of disease. It thus becomes an imperative for Managed Care organizations to provide programs for disease prevention and management in order to minimize potential loss. Second, Managed Care plans have historically included prevention. This is embedded in the system’s performance measure as such organizations maintain and develop systems that aim to improve service quality. Thus, a god number of Managed Care organizations use internal performance-measurement and quality-improvement systems like Continuous Quality Improvement (CQI) for system oversight and enhancement. Since the primary goal of Managed Care organizations is the health welfare of its clients, it falls incumbent upon them to provide measures for disease management and prevention (Bektas, 2000). Previous preventive measures that Managed Care organizations were involved with include vaccinations, cancer and cholesterol screening, mammography, retina exams for diabetics and prenatal care. Third, since Managed Care organizations are basically representatives of organized care systems, they should take due responsibility for the populations they service. They are accountable to plan purchasers and individual consumers as well as to federal and state regulatory agencies for outcomes desired of all stakeholders which includes disease prevention. The following are the current measures that Managed Care organizations provide for disease prevention and management. Diseases and Health Care Information Drives Information drives aim to use public awareness to prevent possible undesirable outcomes from occurring. This activity involves tie-ups with business and government institutions where the drives could be launched. Some information drives are launched in public schools while others are held in business districts or company buildings. For its part, The Group Health Cooperative of Puget Sound (GHCPS), a Managed Care organization with 486,000 members in Washington and Idaho continues to have information drives on the dangers of smoking, depression detection and management, stress management, and bicycle safety tips for children (Gordon, 2003). Such moves have led to an 8% decrease in smoking prevalence from 1985 to 1994, a 44% increase in the use of proper bicycle safety gear among children from 1987 to 1992 which is cited as the main reason for the 67% decrease in bicycle-related injuries in the same period (Gordon, 2003). Disease Screening Disease screening involves offering free services for routine examinations for common diseases. GHCPS has been involved with launching breast cancer screening programs in the past 12 years and continues to be involved at the present. The programs have yielded a 32% decrease in late-stage breast cancer. This is primarily because the program was able to detect breast cancer in early stages. This led to a 27% increase in survivability of breast cancer patients (Gordon, 2003). United Health plan in Los Angeles is also funding a similar program, they have also included lung and skin cancer screening as well as cholesterol and sugar level monitoring. United Health has reported positive results regarding these disease screening programs. They determine several cases of abnormal cholesterol and sugar levels on a daily basis which help clients avoid further health risks. Immunization Programs Immunization programs require the procurement, delivery, and administration of necessary vaccines in order to prevent common diseases. These often necessitate tie-ups with pharmaceutical companies and local government. The GHPCS, United Health, and several other Managed Care organizations continually launch immunization programs for childhood and adult vaccinations. The vaccines are for diseases like chicken pox, influenza, hepatitis, typhoid, mumps and measles. Similarly, the National Immunization Program has formed tie ups with several Managed Care organizations to improve preschool children’s vaccination status. The dynamics of this alliance have individual organizations working with public health agencies in conducting CQI initiatives in immunization areas. The main objective is to increase vaccination rates in children up to 24 months of age. The program involves data collection and patient database management, parent education and incentives, and partnerships with both public and private entities for community outreach and immunization education. Implementation of the program over a 5-year period resulted to the standardization of vaccination records, various information seminars for medical staffs and children’s parents, and a vaccination completion rate that increased to 73% from 55% since the start of the program (Gordon, 2003). Satisfied with the program’s initial success, the National Immunization Program continues its partnership with Managed Care organizations at the present. Breastfeeding Seminars and Pre-natal care Previous studies have shown that breastfeeding significantly increases infant’s immune system and body resistance. This is why United Health also implements a breastfeeding awareness and seminar program that seeks to make women who have just given birth or are currently pregnant aware of the advantages of breastfeeding their babies up to two years of age. These seminars also discuss and disprove common misconceptions about breastfeeding and include illustrations on proper breastfeeding in order to minimize discomforts and maximize milk output. These programs have helped increase the prevalence of breastfeeding from only 7% in 1988 to 30% in 1990. Currently, breastfeeding programs have collectively encouraged 65% of American pregnant women to breastfeed for at least 6 months after giving birth (Gordon, 2003). Public Service Clinics Public service clinics are situated in key locations within the coverage area of designated Managed Care organizations. Their primary task is to service the immediate community’s basic health care needs. Their objectives include preventing disease outbreaks, providing a venue for other programs such as screening and immunization drives, and administering immediate remedies regardless of health care insurance status. Of the 100,000 people under United Health’s public service clinics, only 65% are Medicaid or Medicare beneficiaries (Gordon, 2003). Conclusion Managed Care organizations have genuine, industry based concern regarding the immediate and long-term disease prevention and management status of the areas that they operate in. This has led them to venturing into a variety of action plans that include information drives, screening and immunization programs, health awareness seminars and public service clinics. These projects show that managed Care organizations are standing up to their responsibility of not merely insuring but also ensuring the health of the American society. References: Gordon, K. (2003). Corporate Responsibility in Managed Care Providers. Howard Sons: New Jersey. Bektas, Y. (2000). An Analysis of Trends in American Health Care since World War II. Prentice Hall. How to cite The Relationship Between Managed Care And Prevention, Papers

Sunday, December 8, 2019

In the History of the world, human race, there hav Essay Example For Students

In the History of the world, human race, there hav Essay ww2e been many wars between different societies, Cultures, and Countries. Massive blood shed in many of these wars did not stop the coming of new conflicts of interest, peaking to battle. World War Two, one of the biggest war of history brought several countries to battle against each other (1939-1945). The catalyst of this war was one man whom discriminated against other cultures for no reason but to exterminate the Jewish race, known as Adolf Hitler. When Hitler decided to go through with the holocaust, it there was a question of why did he want to kill Jewish people. Hitler decided to go through with the holocaust early to mid 1441, and brought this motion to full effect in 19421. The first notion that people thought of was that Hitler just wanted to physically exterminate the Jewish race2. Hitlers secretary remembers a private meeting between Himmler and Hitler in the early spring of 1941, after which Himmler sat at her desk with a very troubled look on his face, put his head in his hands and said: My God, my God, what I am expected to do3. If Hitler had a written order to kill the Jews, it has never been recovered, or has probably been destroyed. Two documents have been recently uncovered, which were the diary entries of Propaganda Minister Joseph Goebbels of December 12, 1941, and part of Reichsfuhrer-SS Heinrich Himmlers diary entry of December 18, 1941. The first is a diary entry by Joseph Goebbels of December 12, 1941. With respect of the Jewish Question, the Fhrer has decided to make a clean sweep. He prophesied to the Jews that if they again brought about a world war, they would live to see their annihilation in it. That wasnt just a catch-word. The world war is here, and the annihilation of the Jews must be the necessary consequence. 4The second entry is of Reichsfuhrer-SS heinrich Himmler’s diary, which goes as follows, â€Å"Jewish Question / to be exterminated like the partisans.†4 With these two pieces of evidence, it still does no t prove that Hitler ordered the holocaust, but is known that his consent was needed to pursue such monstrosity. Until now, no written decision from Hitler has been found, although there are compelling indications that a verbal decision was certainly given. 5 Hitler’s final decision to go begin the holocaust was a result of his declaration of war against the United States, and their declaration of war against Japan after the bombing of pearl harbor as well as his army loosing the battle against the Russians due to the extreme cold weather. Now Hitler was in the middle of World War II. Hitler’s problems began to rise as his armies in Moscow were taking the turn for the worst, and his decision to eliminate all the Jews took to many people due to the number of European Jews. Hitler came to the conclusion to use poison gas to kill the Jewish people, to reduce man power and avoid public spectacles.1Although the holocaust was not administered until 1942, the execution of Russ ians POWs, and political prisoners, took place as early as 1933 when Hitler became Chancellor of Germany on January 30, 1933. As well as these groups of people, members of the Social Democratic and Communist parties, many Catholics and many Jewish doctors and lawyers. 6These executions took place in one of the first camps known as Dachau. The people of the camps were primarily executed by violating the penal code of the camp, which is as follows. Any person who at work, in the living quarters, kitchen workshops, toilets or rest places engages in subversive politics, holds provocative speeches, congregates with others for this purpose, forms cliques, loiters, collects or receives or buries information, repeats or smuggles out of the camp by means of a note or some other method to a camp visitor information, either true or false, concerning the camp, to be used in our enemies horror propaganda, or who sends written or verbal message through released or transferred prisoners, conceals them in items of clothing or other objects, throws them over the wall, writes coded messages, or any person who in order to incite rebellion climbs onto the roof of the huts or up trees, or transmits signals with a lamp or by any other means, seeks outside contact, or advises, supports or aidsothers in escape or crime, will be hanged as a subversive instigator under the terms of the revolutionary law. 7This code, which the prisoners of the camp had to abide by, was nothing more than the Germans finding a way to execute the prisoners at their own discretion. As the Germans were coming up to the Holocaust, in 1940 there were problems with the amount of bodies that needed to be disposed of. At first all the executed prisoners were buried, but the amount of land on the camps was not enough to hold all of the bodies. They started to use crematoriums to dispose of the bodies, and huge furnaces were put in to cremate all of the bodies. By the time the Holocaust came in to full effect in 19 42 the old crematoriums were not good enough to handle the amount of bodies that needed to be burned, thus new larger crematoriums were constructed. Also behind the wire fence was the camp crematorium. At first it was housed in a wooden barrack, later in a stone building built by Polish Catholic priests, to whom the building trade had been taught. This crematorium was located in a small forest on the west side quite close to the camp. The prevailing wind was from the west and consequently the smell of burning corpses filled the camp, reminding of their approaching end and adding immeasurably to their despair. With the new crematorium a gas chamber was also connected. The whole construction of the crematorium with its gas chamber was completed in 1943. It contained an undressing room, a shower bath, and a mortuary. The showers were metal traps which had no pipelines for a supply of poisonous gas. This gas chamber was never set in action in Dachau. Only the dead were brought to the cr ematorium for burning, no living for gassing. 8As the people were sent to these camps, as soon as they arrived their fate was inevitable. They knew that they were going to die alerted by the smoke filled camp smelling of cremated bodies. Next morning when I went to wash, there was a little man with a ginger moustache in the lavatory who introduced himself as Dr. Rascher saying that he was half English and that his mother was related to the Chamberlain family. When I told him my name he was much interested saying that he knew about my case and that he had also met Stevens when he was medical officer in Dachau. He was a queer fellow; possibly the queerest character which has ever come my way. Almost at our first meeting he told me that he had belonged to Himmlers personal staff, and that it was he who had planned and supervised the construction of the gas chambers and was responsible for the use of prisoners as guinea pigs in medical research. Obviously he saw nothing wrong in this a nd considered it merely a matter of expediency. As regards the gas chambers he said that Himmler, a very kind-hearted man, was most anxious that prisoners should be exterminated in a manner which caused them least anxiety and suffering, and the greatest trouble had been taken to design a gas chamber so camouflaged that its purpose would not be apparent, and to regulate the flow of the lethal gas so that the patients might fall asleep without recognizing that they would never wake. Unfortunately, Rascher said, they had never quite succeeded in solving the problem caused by the varying resistance of different people to the effects of poison gases, and always there had been a few who lived longer than others and recognized where they were and what was happening. Rascher said that the main difficulty was that the numbers to be killed were so great that it was impossible to prevent the gas chambers being overfilled, which greatly impeded any attempts to ensure a regular and simultaneous death-rate. 9The cremations of the bodies were so frequent, and now going on for nearly 10 years the soldiers who were doing the execution and disposal of the bodies became immune to the horror of which they were conducting themselves. Eventually Rascher was killed by a shot to the back of the head on April 26, 1945 in cell 73 of the Dachau bunker.10On April 29, 1945 Dachau was liberated by the Americans. On April 30, 1945 Hitler and Eva committed suicide. There is a lot of evidence found to prove around the time that Hitler decided to initiate the holocaust, and the efforts that were taken to kill as many Jewish people as possible. Hitler’s reign of power from 1933 to 1945 was a long time in which he was able to murder millions of people, and to start the Second World War. The manner of which he executed prisoners of cultural backgrounds that he simply did not like, shows that he had no other intention other than to execute all the Jews for no reason but hate. The time of th at he decided on the holocaust was however strange, at a time when his troops took a turn for the worst, and the United States was entering the war. Maybe he proceeded with the holocaust because he knew that his reign of power would be over soon, so he killed as many people as he could before he lost control. 1.Inter alia, Alan Bullock, Hitler: A Study in Tyranny, Bantam Books, New York, 1961, p. 480. .u8a356738d7503f42d4cbfe01a7719097 , .u8a356738d7503f42d4cbfe01a7719097 .postImageUrl , .u8a356738d7503f42d4cbfe01a7719097 .centered-text-area { min-height: 80px; position: relative; } .u8a356738d7503f42d4cbfe01a7719097 , .u8a356738d7503f42d4cbfe01a7719097:hover , .u8a356738d7503f42d4cbfe01a7719097:visited , .u8a356738d7503f42d4cbfe01a7719097:active { border:0!important; } .u8a356738d7503f42d4cbfe01a7719097 .clearfix:after { content: ""; display: table; clear: both; } .u8a356738d7503f42d4cbfe01a7719097 { 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; } .u8a356738d7503f42d4cbfe01a7719097:active , .u8a356738d7503f42d4cbfe01a7719097:hover { opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #2C3E50; } .u8a356738d7503f42d4cbfe01a7719097 .centered-text-area { width: 100%; position: relative ; } .u8a356738d7503f42d4cbfe01a7719097 .ctaText { border-bottom: 0 solid #fff; color: #2980B9; font-size: 16px; font-weight: bold; margin: 0; padding: 0; text-decoration: underline; } .u8a356738d7503f42d4cbfe01a7719097 .postTitle { color: #FFFFFF; font-size: 16px; font-weight: 600; margin: 0; padding: 0; width: 100%; } .u8a356738d7503f42d4cbfe01a7719097 .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; } .u8a356738d7503f42d4cbfe01a7719097:hover .ctaButton { background-color: #34495E!important; } .u8a356738d7503f42d4cbfe01a7719097 .centered-text { display: table; height: 80px; padding-left : 18px; top: 0; } .u8a356738d7503f42d4cbfe01a7719097 .u8a356738d7503f42d4cbfe01a7719097-content { display: table-cell; margin: 0; padding: 0; padding-right: 108px; position: relative; vertical-align: middle; width: 100%; } .u8a356738d7503f42d4cbfe01a7719097:after { content: ""; display: block; clear: both; } READ: A Month Studying in Brighton Essay 2.Gitta Sereny, Albert Speer: His Battle with Truth, Vintage Books, New York, 1996, p. 248. 3.William L. Shirer, The Rise and Fall of the Third Reich, Simon and Schuster, New York, 1960, pp. 864-865. 4.Hitler and the Final Solution, University of California Press, Berkley, 19845.Martin Gilbert, The Holocaust: The Jewish Tragedy, Fontana/Collins, Glasgow, 1989, p. 219. 6.Rost, Nico, Concentration Camp Dachau, third edition, translated into English by Captain Bernard R. Hanauer (no date) Comit International de Dachau, Brussels, p. 4. 7.Distel, Barbara and Jakusch, Ruth, Editors, op. cit., p. 73. 8.Neuhusler, Dr. Johannes, Auxiliary Bishop of Munich, op. cit., p. 15. 9.Best, Captain S. Payne, The Venlo Incident, 1950, Hutchison Co., (Publishers), Ltd. (London), p. 186. 10.Benz, Wolfgang, Sigmund Rascher, M.D.: A Career, pp. 22/45 Dachau Review 2: History of Nazi Concentration Camps Studies, Volume 2, 1990, Edited by Wofgang Benz and Barbara Distel, Comit International de Dachau (Brussels), p. 45Bibliography:

Saturday, November 30, 2019

Slow and Steady Wins the Race free essay sample

My heart rate increases and the sweat drips on the purple and white uniforms. The team no longer became visable. I take a sharp left turn, look around, and pause, only to notice that no one is near. I am lost. I reverse to see other team mates following. Wrong way, I guess, I say nonchalantly. They all groan and curse under their short breaths. Coach Locke records my time. 19:56. I am a failure. Brutality struck when our senior leader instructed us to jog a twelve minute, one and a half mile cross country warm up. That imitation of the fat girl running behind the pack depicted in movies appeared true. Additionally, my nine minute mile splits felt worse. I told myself I would quit by the third week; I went to practice everyday for the rest of the season. Summer 2007 marked a new beginning cross country conditioning. The team traded in sleep to better themselves and sacrificed joy for a few hours of agony. We will write a custom essay sample on Slow and Steady Wins the Race or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page We met every morning and trained harder than before. However, I knew that in order to keep up, I would need to try. Eventually, as the summer wore on, my times decreased and I kept up with the fastest runners. A year later, I run the same course. Except, Im a more experienced and capable athlete. I hold my head high for those two elongated miles and I refuse to let anyone pass. The pain bolts through my legs but I do not mind. I finish with a smile on my face. 15:26. Eighth overall. Perfect; a spot on varsity. Ive struggled throughout the past year to achieve the best time possible. Ive PRed(personal record) countless times, Ive tolerated numerous asthma attacks, and I ran Rim Rock (the hardest cross country course in Kansas). Ive survived it all. Ive achieved it all, Ive endured it all, Ive won it all. Slow and Steady Wins the Race free essay sample â€Å"Michael.. repeat these words back to mesaucer, cinnamon, coat, snake and dictionary.† I said â€Å"What?..oksaucer, cinnamon, coat, ummm†¦Ã¢â‚¬ ¦.† This was the moment where the school specialist knew that something was wrong. It was fifth grade and I was having problems in school including trouble hearing, reading, taking tests and paying attention in class. My teachers took notice of this and decided to test me for an Individualized Educational Program (IEP). After testing, they determined I had hearing and reading comprehension problems. Assistance immediately began with speech classes during the day and tutoring after school in English and Math. Throughout the years, I built skills to overcome my learning disability.It was a slow, methodical process but I knew that I could do it and succeed with good grades. By the time I was a freshman in high school, I was well on my way to performing at the same level as students without IEPs. We will write a custom essay sample on Slow and Steady Wins the Race or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page I continued to build on my foundation by managing my workload with new study habits that were taught to me by high school specialists. Fast forward to junior year in which I received an award for academic achievement in maintaining above a 3.4 GPA all four quarters. Receiving this award really inspired me and made me realize that I can do anything with hard work and dedication. Senior year I am taking a rigorous course load for me, but I am willing to put everything into it to prove that I am a smart and hardworking individual.

Tuesday, November 26, 2019

History and Background of the Kashmir Conflict

History and Background of the Kashmir Conflict Kashmir, officially referred to as Jammu and Kashmir, is an 86,000-square-mile region (about the size of Idaho) in northwest India and northeast Pakistan so breathtaking in physical beauty that Mugal ​(or Moghul) emperors in the 16th and 17th century considered it an earthly paradise. The region has been violently disputed by India and Pakistan since their 1947 partition, which created Pakistan as the Muslim counterpart to Hindu-majority India. History of Kashmir After centuries of Hindu and Buddhist rule, Muslim Moghul emperors took control of Kashmir in the 15th century, converted the population to Islam and incorporated it into the Moghul empire. Islamic Moghul rule should not be confused with modern forms of authoritarian Islamic regimes. The Moghul empire, characterized by the likes of Akbar the Great (1542-1605) embodied Enlightenment ideals of tolerance and pluralism a century before the rise of the European Enlightenment. (Moghuls left their mark on the subsequent Sufi-inspired form of Islam that dominated the subcontinent in India and Pakistan, before the rise of more jihadist-inspired Islamist mullahs.) Afghan invaders followed the Moghuls in the 18th century, who were themselves driven out by Sikhs from Punjab. Britain invaded in the 19th century and sold the entire Kashmir Valley for half a million rupees (or three rupees per Kashmiri) to the brutal repressive ruler of Jammu, the Hindu Gulab Singh. It was under Singh that the Kashmir Valley became part of the state of Jammu and Kashmir. The 1947 India-Pakistan Partition and Kashmir India and Pakistan were partitioned in 1947. Kashmir was split as well, with two-thirds going to India and a third going to Pakistan, even though Indias share was predominantly Muslim, like Pakistan. Muslims rebelled. India repressed them. War broke out. It wasnt settled until a 1949 cease-fire brokered by the United Nations and a resolution calling for a referendum, or plebiscite, allowing Kashmiris to decide their future for themselves. India has never implemented the resolution. Instead, India has maintained what amounts to an occupying army in Kashmir, cultivating more resentment from the locals than fertile agricultural products. Modern Indias founders- Jawaharlal Nehru and Mahatma Gandhi- both had Kashmiri roots, which partially explains Indias attachment to the region. To India, Kashmir for the Kashmiris means nothing. Indian leaders standard line is that Kashmir is an integral part of India. In 1965, India and Pakistan fought their second of three major wars since 1947 over Kashmir. The United States was largely to blame for setting the stage for war. The cease-fire three weeks later was not substantial beyond a demand that both sides put down their arms and a pledge to send international observers to Kashmir. Pakistan renewed its call for a referendum by Kashmirs mostly Muslim population of 5 million to decide the regions future, in accordance with a 1949 UN resolution. India continued to resist conducting such a plebiscite. The 1965 war, in sum, settled nothing and merely put off future conflicts. (Read more about the Second Kashmir War.) The Kashmir-Taliban Connection With the rise to power of Muhammad Zia ul Haq (the dictator was president of Pakistan from 1977 to 1988), Pakistan began its slump toward Islamism. Zia saw in Islamists a mean of consolidating and maintaining his power. By patronizing the cause of anti-Soviet Mujahideens in Afghanistan beginning in 1979, Zia curried and won Washingtons favorand tapped into massive quantities of cash and weaponry the United States channeled through Zia to feed the Afghan insurgency. Zia had insisted that he be the conduit of arms and weaponry. Washington conceded. Zia diverted large amounts of cash and weaponry to two pet projects: Pakistans nuclear-weapons program, and developing an Islamist fighting force that would subcontract the fight against India in Kashmir. Zia largely succeeded at both. He financed and protected armed camps in Afghanistan that trained militants whod be used in Kashmir. And he supported the rise of a hard-core Islamist corps in Pakistani Madrassas and in Pakistans tribal areas that would exert Pakistans influence in Afghanistan and Kashmir. The corps name: The Taliban. Thus, the political and militant ramifications of recent Kashmiri history are  intimately connected with the rise of Islamism in northern and western Pakistan, and in Afghanistan. Kashmir Today According to a Congressional Research Service report, Relations between Pakistan and India remain deadlocked on the issue of Kashmiri sovereignty, and a separatist rebellion has been underway in the region since 1989. Tensions were extremely high in the wake of the Kargil conflict of 1999 when an incursion by Pakistani soldiers led to a bloody six-week-long battle. Tensions over Kashmir rose dangerously in fall 2001, forcing then-Secretary of State Colin Powell to de-escalate tensions in person. When a bomb exploded in the Indian Jammu and Kashmir state assembly and an armed band assaulted the Indian Parliament in New Delhi later that year, India mobilized 700,000 troops, threatened war, and provoked Pakistan into mobilizing its forces. American intervention compelled then-Pakistani President Pervez Musharraf, who had been particularly instrumental in further militarizing Kashmir, provoking the Kargil war there in 1999, and facilitating Islamist terrorism subsequently, in January 2002 vowed to end the presence of terrorist entities on Pakistani soil. He promised to ban and eliminate terrorist organizations, including Jemaah Islamiyah, Lashkar-e-Taiba, and Jaish-e-Mohammed. Musharrafs pledges, as always, proved empty. Violence in Kashmir continued. In May 2002, an attack on an Indian army base at Kaluchak killed 34, most of them women and children. The attack again brought Pakistan and India to the brink of war. Like the Arab-Israeli conflict, the conflict over Kashmir remains unresolved. And like the Arab-Israeli conflict, it is the source, and perhaps the key, to peace in regions far greater than the territory in dispute.

Friday, November 22, 2019

Top 7 Least Stressful Jobs That Pay Big Money [Infographic]

Top 7 Least Stressful Jobs That Pay Big Money [Infographic] Many people equate high pay with high stress but that’s not necessarily always true. There are many high paying jobs out there that are not very stressful. Here at  TheJobNetwork, we work with many industry experts who posses inside knowledge about the job market. That being said, following our research, here are our top 7 high paying least stressful jobs.Search for more jobs here

Wednesday, November 20, 2019

Communication and Relational Dynamics Essay Example | Topics and Well Written Essays - 500 words

Communication and Relational Dynamics - Essay Example Relational maintenance is one thing I have learned that I would use in future. Instead of drawing apart from people who I will come close to in the workplace, I would rather maintain the relationship. Discussion on managing dialectical tensions has enhanced my understanding of my communication style. In the face of tension and confusion, I have learned how to go to one side by denying the other. Balancing is another way I can manage tensions; by partially responding to both parties. Recalibration can also help to avoid any opposition from one party. Reaffirmation is yet another way that relates to being positive about a situation. These ways have enlightened me how I can respond to tensions in different circumstances.I am going to use metacommunication as a way to resolve conflict in a more constructive manner. We can resolve the conflict between my coworker, and I through this. What I like most in this discussion are the characteristics of relationships. It is interesting how relati onships turn out to be. You can be romantically involved with someone you will end up marrying you, but it reaches a point where disagreements come in making the relationship to come to an end. They keep on changing and are affected by culture. The least liked discussion was of the types of relational messages which I did not grasp how they occur. I suggest the topic on types of relational messages should be done individually to enhance my understanding and feature in YouTube for easier access.

Tuesday, November 19, 2019

Corporate governance Essay Example | Topics and Well Written Essays - 750 words

Corporate governance - Essay Example Governance is the way or the structure the CEO, the owner and board of directors together with direct, control, coordinate the business in terms of managing the assets, processes and systems within the organizational setting (Pounds, 2008, YouTube video). Corporate governance is the legal as well as organizational framework, or certain principles and processes by which corporations are governed. Corporate governance thus relates to powers, accountability and relationships of those people who are involved in the direction and controlling of the corporation (Plessis, Hargovan and Bagaric, 2010, p. 4). As Tricker (2012, p. 4) pointed out, all different types of corporate entities need governing body. For a company, the governing body is its board of directors, and for other types of business firms, it may be a council, a court, a committee or an agency. Corporate governance is thus all about the way the power is exercised over corporate entities. Importance of Corporate Governance Corpo rate governance is more concerned with directing and controlling of corporate bodies mainly with a view to enhance shareholder value. Since the processes and systems of corporate governance lay the foundation for business growth in the future, it positively impacts the profitability and overall business performance and this is the reason why it ensures enhanced shareholder value. Firms with credible corporate governance in place are free to go about their own ways to increase shareholder values and continue to gain growth. New investors can be encouraged to invest in securities or existing investors can be motivated to expand their investments only if there is effective corporate governing system at corporate levels. Are companies run ultimately for ‘profits’, or ‘shareholder values’ or social responsibilities? This is perhaps an overwhelming academic debate. Corporate governance doctrine underlies the fact that a company must be run for ‘shareholder value’. Lynn A. Stout, a modern thinker in the field of corporate governance and professor at Cornell Law School, argued that corporate governance is more likely to amount shareholder dictatorship. She is of the strong side that ‘shareholder value’ concept of the corporate governance is not the modern corporate practice. Shareholder value thinking has in recent years been found to harm investors overtime (Stout, 2011, YouTube video). Effective governance practices are becoming sources of competitive advantage among world economies to attract wider international capital. One of the main reasons why there has been considerable prominence in corporate governance in recent years was that companies were in greater need to access all types of financial resources and also to harness the power of private dictatorship for the social as well as economic wellbeing. Good governance not only ensures better shareholder values, but also speeds up competitive adaptation. Good co rporate structure to eliminate unethical behavior As to the core of corporate governance, the board of directors is supposed to fulfill three fundamental responsibilities; protecting stakeholder rights and interests, managing the risks and creating business values. These functions are closely related to eliminating unethical and unscrupulous practices that the board or agencies may practice. For

Saturday, November 16, 2019

The video Game Console Wars Essay Example for Free

The video Game Console Wars Essay Compare and contrast Nintendo’s marketing strategy for the Wii with Sony’s strategy for PS3. By the end of 2006, two game console industry giants, Nintendo and Sony had launched their respective new products; the Wii and PS3. Various marketing strategies were implemented by both rivals and this writing attempt to analyse common and differing elements. Similarly, both companies had a product differentiation strategy, with the aim of being distinctly set apart from their competitors by the viewing market.  However, different elements of this strategy were focused on by the firms. For instance, Nintendo differentiated via product form and design. Instead of the traditional controller where buttons are pressed, the Wii had a wireless motion-sensitive controller, which recognises the player’s arm movements. Thus, actions such as golfing, tennis and even dancing can be detected by the game. It is assumed that the rationale behind this is the fact that â€Å"new things and ways of doing things† always grab attention, whether good or bad. Thus, Nintendo’s aim would have been to gain the market’s attention and then convince them positively about the Wii. Conversely, Sony attempted to differentiate through performance quality. Heavy investment was made on a new processing chip and a laser diode, which would rev up the speed drastically and offer superior graphics quality. The video gaming industry prides itself on graphics; hence differentiating in this area may significantly increase demand. One believes however, that Nintendo’s product differentiation strategy had a stronger impact than Sony’s. This is because Sony followed the industry norm, of each new generation of machines being faster and more powerful than the preceding generation, as the case states. Thus, the market was already expecting the enhanced features, compared to the curiosity of a completely new game design by the Wii. With reference to the Ansoff Matrix framework, Nintendo implemented a marketing diversification strategy, whereby they offered a new product to new markets (in terms of untouched customer segments). Nintendo’s designers, according to the case, deliberately developed a machine that is simpler to use, since the complexity of current games appeal only to advance gamers.  This thus,  would allow market reach to a broader demographic of new segments, thereby beginning to challenge Sony’s market share dominance. For instance, males and female above and below the common age bracket of video game players may now demand the Wii. On the other hand, Sony implemented a product development strategy, by launching a new product in their existing market segment of customers, as the Ansoff theory advocates. Hence, Sony’s PS3 targeted their current customer segment for the PS2. A marketing strategy of Sony may have been to have first mover advantage, by launching in November 2006 in the United States before the Wii. Most studies indicate that the market pioneer gains the greatest advantage, however sometimes it can be risky and expensive. In Sony’s case, they would have easily been able to capitalise on the fans of the playstation and PS2 and new customers entering that market. Their downfall however was inadequate launch preparation and planning with regards to their diode technology, as mass production issues caused shortages. Thus, achieving the Christmas season’s full revenue potential was lost. Even though Nintendo was the second mover launching a month after in December, they had an international marketing launch strategy being executed. They made the Wii available in the United States, the Eurozone and United Kingdom. As a result, the benefits of being the first mover would have been gained in the Eurozone and United Kingdom. It is note d that Sony launched the PS3 four months after in Europe. Being the second to enter that market, Sony may have researched any problems Nintendo may have encountered and adjusted accordingly, for a smoother launch. Nintendo appears to have implemented a market-penetration pricing strategy. The Wii at a cost of $250 is 50% less than the 20-gigabyte PS3 (smaller hard drive machine). At this lower price, it is easier for the product to penetrate the market due to affordability in most segments. This aligns with the assumed company’s aim of maximising market share in the current and new segments. To achieve this, Nintendo ensured that the Wii was less costly to manufacture. Moreover, a higher sales volume may lead to lower unit costs and higher long run profits. Conversely, Sony is believed to have a market-skimming pricing strategy. The company invested $2 billion in technology, so this strategy aims at recovering the maximum amount of revenue to cover the high costs incurred in the early stages of the product life cycle. Additionally, S ony has a strong brand due to the success of their previous machines (PS2 and  playstation) and the high price assists in communicating the image of a superior product with quality.What is the key to the Wii’s popularity? The key facet responsible for the Wii’s popularity lies in the innovative design, which â€Å"calls to action† the player with physical movement. The writer views the wireless motion sensitive game console as a new, simple and fun method of gaming for all age groups. As a result, it may appeal not only to the traditional expert video game player like the PS3, but other individuals outside that segment. It thus makes marketing sense, if Nintendo promoted the game as a family requirement for cultivating an enjoyable, quality family time with members. It seems also a great game for various informal social events. Furthermore, since different types of games can be played, the Wii has the potential to appeal to a vast number of different market segments. For instance, The Wii Fit is an exercising game, where aerobics, yoga and other body strengthening activities can be done. Thus, the Wii Fit may have been positioned as a convenient way of losing or maintaining your weight, as it can be done in the comfort of one’s home and a more enjoyable method compared to simply following an instructor on a DVD. Likewise, sports fanatics may gravitate towards the Wii sports for the games of their interest. There also is the possibility of the Wii being used for rehabilitation after a stroke or injury, due to it body strengthen capabilities. It must be noted, that Nintendo’s international marketing strategy of launching in three distinct major areas, was a contributing factor towards the quick popularity gained. The areas were the United States, the Eurozone and the United Kingdom. This means that great strategic marketing focus had to be made on the different areas, to accommodate international cultural differences and legalities. As a result, Nintendo may have had to implement global product strategies for market adaptation in areas such as price, sales promotion, colours, labelling and advertising execution, to name a few. 3. Do you agree with Sony’s decision to incorporate a Blu-ray DVD player in the PS3. The writer agrees with the decision to incorporate a Blu-ray DVD player in the PS3.  Firstly, Sony is considered one of the market leaders in the consumer electric industry; where the brand is known for high quality and advance technology. Since the  consumer market started demanding more high definition TVs and viewing of DVD’s in high definition, it made good marketing sense to satisfy that need for high definition imagery in the video games, which ultimately reinforced the company’s brand. A â€Å"spin off† from this implementation of Blu-ray, is that the PS3 can actually be used by consumers to watch Blu-ray DVD movies, for those who may not own a Blu-ray DVD player. Thus, the value of the PS3 may increase, due to more product uses than the main function. Secondly, it was wise for Sony to include the Blu-ray DVD player in the PS3, due to their current product range developments. Sony had already launched the Blu-ray video format in their DVD players, thus the inclusion in the PS3 was a commendable and necessary marketing move, in order to keep as many products in the range up to date with the latest technological advancements. More importantly, this was a medium to push and promote the adoption of the Blu-ray in the market, reflecting strong strategic planning for profit maximisation. The draw back to the implementation however, was the issue of mass-production difficulties of the diode for the Blu-ray, resulting in shortages for the U.S holiday launch, as the case explains. Thus, it is assumed that there was a deficiency in proper operational planning and execution. This can be a critical concern with new product planning, since shortages can greatly impact forecasted revenue streams and significant opportunities may be lost. In Sony ’s situation, the launch was around the Christmas season, where many PS3s may have been gift considerations and individuals generally spend more on commodities at this time, due to Christmas bonuses and advances. Thus, Sony would not have been able to capitalise on this, due to low supply of machines. In the final analysis however, if Sony had anticipated any production issues to cause marginal temporary shortages at the launch, one is of the opinion that this is not drastic a problem enough, to decide forgoing the implementation of the Blu-ray. This is because consideration is given to the return on investment with the Blu-ray inclusion and the technological drive in the industry at large. The Blu-ray would have generated greater demand than the HD-DVD and take longer to become obsolete, thus having an extended life-span. Some industry observers have noted that the battle between HD-DVD and Blu-ray is reminiscent of the showdown between Beta and VHS videocassette  formats in the 1970s. What was the outcome? The videocassette showdown between Beta and VHS in the 1970’s mainly was a clear example of â€Å"listening and responding† to what the market wants. It began when Sony produced Bata, a video standard which had a recording time of 60 minutes. Almost one year later, JVC launched the VHS, which is another video standard that had a recording time of 120 minutes. The two videocassettes were different in size and completely incompatible. The VHS was cheaper than Beta; however the longer the recording time resulted in a degraded quality of image. The market nevertheless, wanted a longer recording time, which allowed for longer movies and football matched to be recorded. Sony held their end for more years supplying the more upscale market with the 60 minute high quality videocassettes, but eventually in the mid 80’s they had to offer videocassettes with a longer recording time to remain competitive. By then however it was too late and VHS already held dominance in the market. VHS won the battle and in 2002 the last Beta machine was produced. Sony’s mistake was not listening to what the market wants and not willing to compromise the quality to satisfy the market. The battle between HD-DVD and Blu-ray is quite similar, however this time Sony is not the defender, but the challenger. To forecast who the winner may be, the same underlying factor exists, regarding listening to the market and responding. The case explains of the continuous electronic industry’s upgrade towards high definition TVs and DVD movies. Thus, one can assume that consumers want a player which provides the greatest quality of high definition. A common element between HD-DVD and Blu-ray is that they have 1080 lines of resolution (the highest quality video playback possible) on their widescreen HDTV set, as the case shows. Thus, consumers are going to look for other factors which can determine which player provides better quality. Firstly, the fact that Sony’s Blu-ray technology is incompatible with Toshiba (assuming other rival products as well) and can only be used on Sony products, signals that Sony is trying to maintain a type of niche market, which in essence aims at guaranteeing that using Blu-ray technology on Sony products will produce the best quality. This is similar to what Apple does with their range of products. Secondly, over the years Sony has positioned and built their brand to represent â€Å"high quality† and thus brand loyalty is strong among customers in the electronic industry. Lastly, price sends  market signals and the common understanding is that high price tends to reflect high quality. The case states that Sony BDP-S1 and S300 cost $999.99 and $600 respectively, compared to Toshiba’s models ranging from $399.99 to $799.99. Thus the higher price of Sony can be assumed to have better quality. Conclusively, HD-DVD and Blu-ray battle is almost mirrored in Beta and VHS rivalry. VHS won the battle since they satisfied the market’s demand for longer recording time with the videocassette. With HD-DVD and Blu-ray, the market is assumed to want high quality on their high definition widescreen HDTVs. The writer believes that Sony with their Blu-ray technology would win the battle, given that they can reflect a better level of quality over Toshiba, through â€Å"non-1080 lines of resolution† factors.

Thursday, November 14, 2019

Relationships and Marriage - Couples Should Live Together before Getting Married :: Argumentative Persuasive Essays

Couples Should Live Together before Getting Married      Ã‚  Ã‚  Ã‚   In my mother's house it was never discussed whether I should live with someone before marriage. In my culture, you are not allowed to live together until after you are married. Since I did not have the chance to live together with my husband while we were dating, it was difficult during our first year of marriage. We argued a lot, mostly because we were afraid of the unknown and the possibility that we had made a mistake. Living together before making our vows would have reassured us about a lifelong commitment. From my own experience, I believe that couples should live together before getting married, so they can start to know each other on a closer, more personal level; moreover, they can start thinking about the compatibility of their future spouse.      Ã‚  Ã‚  Ã‚  Ã‚   Couples start knowing each other on a closer, more personal level when they live together, which prepares them for a married lifestyle. For starters, you learn what your partner likes and dislikes, although this isn't always easy. There is a lot to discover about your partner and from your partner; the only way to do this successfully is to move in together. For example, does he like broccoli, female mud wrestling, sleeping with the windows open? Maybe he likes to spend the whole weekend on the couch watching basketball! Believe it or not, it's little details like these that can often make or break a relationship. Second, you learn what kind of bad habits you and your partner have and whether or not you can get rid of them. I really don't like it when my husband forgets to fill the ice trays, forgets to replace the empty toilet paper holder, or leaves the toilet seat up; I, on the other hand, tend to forget to put perishables in the refrigerator after I take them out for cooking, and I leave the clothes in a pile, all wrinkled, when they come out of the dryer. Moreover, you can see how much fun you have with each other and realize how much you would miss by not getting married. Try to plan a vacation in advance, have a dinner date in town after work, or go to the movies on a Wednesday night when you know you have to get up for work the next morning.

Monday, November 11, 2019

Week 1 Eco 365

Oil ECO/365 – Principles of Microeconomics Oil In today’s economy many trends in consumption patterns can determine where the supply and demands are needed. In the article â€Å"East Bay Oil Exports Have Become Huge Business,† by Glantz (2012), it touches on the subject of trends and consumption of oil. Many people are aware; however forget that there is a whole lot of oil around us that can be used.This paper will discuss and address the utilities derived, the change that demand for the product or service of market and equilibrium prices, what has occurred to change the demand and supply of the oil, and is demand for oil product or service price elastic or inelastic. According to Glantz (2012), the utilities derived from the article have to do with the way the community consumes the oil that is being used. When the gas prices are up there is a necessity for the oil or fuel and it will most likely cause the prices to go down.In contrast, when the prices of the oi l go down, there will be more of a demand and a possible shortage of oil because the demand would have been great. According to Glantz (2012), the increased of oil export from the East Bay was linked to the economic changes and the way individuals are consuming in the United States. Also, in the West Coast they also saw the same increase in demand for oils as the demand for domestic used was lowered.For example: higher gas prices, manufactures vehicle that are fuel efficient and fewer individuals commuting to and from work have all contributed to the changes in the demand for such oils consumption. Additionally, the economy and individuals losing their job also changed the demand because they no longer needed to commute to work. Therefore, the demand for oils was no longer needed causing the prices of the gasoline to increase. * According to Colander  (2010), the market and equilibrium changes that have occurred to the supply (oil) by assuming that the demand stayed the same.It re vealed that it did cause a big change to the price. The fewer consumers used the product the more the price rose causing a change in the market. When the prices changed and began to rise, the consumers used other methods of getting to places they needed to go without using oil or their vehicles. * It is my opinion that oil supply can either be elastic or inelastic. According to Colander  (2010), elastic is when the supply or demand percentage changes in quantity is much larger than the percentage change in the price.On the other hand, inelastic is when the percentage changes in the quantity are much lower than the percentage change in the price. The oil supply can be elastic because at times when the prices rise individual will try to preserve and us other alternative to not have to pay the bigger price causing the supply of oil to be increased. Vice versa, the oil supply can also be inelastic because individual are always going to need fuel for their vehicle in order to get from point A to point B. In conclusion, no matter the cost or shortage of the supply, some individuals or consumers will always pay what is needed in order to get where they need to go. Oil is one supply that will always be needed for either our vehicles, our food, or for exportation to other companies. Reference Glantz, A. (2012, March  8). East Bay Oil Exports Have Become Huge Business. THe New York Times. Retrieved from http://www. nytimes. com/2012/03/09/us/oil-exports-have-become- huge-business-in-the-san-francisco-bay-area. html? _r=0 Colander, D. C. (2010). Economics (8th ed. ). New York, NY: McGraw-Hill. * *

Saturday, November 9, 2019

Land Question and Ethnicity in Darjeeling Hills Essay

ABSTRACT Although economic factors are often considered as essential for augmenting ethnic movements, the analytic relationship between economic issues and ethnicity is far from being clear cut. In an attempt to address the problem of ethnicity in a non-Marxist theoretical plane, most of the studies on ethnic problems inadvertently indulge such logical inconsistencies. Such a critical reading led us to conceptualize ethnicity as a lived-in category – much like the concepts of class or caste – where both the material and cultural domain of routine life congregates. With the help of a case study of the Gorkhaland movement in the Darjeeling Hills (India) and the input of a particular field of material predisposition – namely, the issues related with land and agrarian social formation, this paper attempts to argue that ethnic movements are a dynamic podium wherein the encoded meanings of material and/or economic issues/grievances are decoded in cultural idioms. Even if the discussions on ethnicity have an inbuilt tendency to develop a theoretical plane that criticizes Marxian class analysis and demands an autonomous conceptual frame duly encouraged by post-Marxist and poststructuralist/postmodernist theoretical renditions, literatures on ethnicity for the most part have stressed economic factors, in some way or the other. Hence, finding available studies, which have made considerable advances in understanding the problem of Gorkha ethnicity, that have concentrated their focus on economic factors as the root cause of ethnic antagonism and conflict in the Darjeeling Hills (West Bengal, India) is common. ‘Economic stagnation’ (Dasgupta 1988), ‘uneven implementation of development policies’ (Chakrabarty 1988), ‘economic deprivation and negligence’ (Bura Magar 1994; Lama 1988; McHenry Jr. 2007; Nanda 1987), ‘petty-bourgeoisie aggrandisements against the dominance of monopoly capitalists of the Centre and the State’ (Sarkar 1988), ‘economic negligence, exploitation, and unavailability of white-collar jobs’ (Chadha 2005), ‘growing unemployment and step motherly attitude of the state regarding the overall development of the hill areas’ (Timsina 1992), ‘uneven development’ (Dasgupta 1999; Datta 1991), ‘endemic poverty, underdevelopment, and the perception of being â€Å"malgoverned†Ã¢â‚¬â„¢ (Ganguly 2005), are some such factors many scholars put as the root cause of the Gorkhaland movement in the Darjeeling Hills. However, none of these studies have made it abundantly clear how economic conditions – the domain of the material – are linked to the desires of ethnic separatism, which conceptually remained under the rubric of culture – the non-material. Again, if the economic factors remarkably remained so significant, as the studies show, then why ultimately the cultural warpath (i.e., 81 ethnic conflict) and not an economic one (i.e., class conflict) appeared as a suitable remedial strategy? One obvious question arises thus: how the ‘material’ is transposed into ‘cultural’? The present paper is an attempt to answer such questions by analyzing the case of the Gorkha ethnicity and movement as it emerged out of the people’s grievances experienced through their quotidian life processes cloaked in their relative positions within the structural inequality. In fact, ethnic identity much like the issues of class or caste is a lived-in category that emerges out of the perception of reality and receives constant reformulation, since the reality is itself dynamic. In our treatment ethnic identification – much like all other identifications – is overall rooted in the larger canvas of social experience, which determines the processes of framing contending relationships between and among groups based on their varying capacity of possessing the valued and scarce resources available in the society. Instead of pinpointing the causes of the movement, our analysis attempts to show that the assertion of Gorkha ethnic identity has had payoffs with respect to resource access and utilization and that the protracted struggle of the Gorkhas for separate statehood is that trajectory wherein both the cultural and material aspects of routine life coalesce. Sometimes this happens even without an immediate ethnic ‘other’. This is particularly the case, as the study shows, with the hill agrarian sector. It thus becomes imperative that the problem should be studied in a historical plane putting utmost emphasis on the social formation of the Darjeeling Hills, which would help us focus the pattern of resource distribution on an ethnic plane vis-à  -vis the question of structural inequality. The importance of treating the issue of Gorkhaland movement as a historical phenomenon can hardly be ignored, especially when one finds that the Darjeeling Hills has experienced a century long historicity of protest – sometimes accommodative, sometimes violent – to achieve a separate politico-administrative arrangement for self rule. Moreover, the historical perspective is needed to show the fundamental changes that have taken place within the social formation of the region since the colonial days and had corresponding effects for furthering the cause of the movement in the post-colonial period. Therefore, a proper historical analysis of ethnicity can help us understand how the grievances of the masses were articulated and were translated into the courses of violent action, how new equations came up because of state intervention and how the overall dynamics of the movement kept on rolling, putting ethnicity at the center stage. SOCIAL FORMATION AND SOCIAL MOVEMENTS Indeed, there can never be a single cause of an ethnic movement that stretched over a century.1 However, our concern regarding the causes of Gorkhaland movement is not about degree but of kind, by which we mean that Gorkha ethnicity, or for that matter the Gorkhaland movement, is embedded in the social formation of the Darjeeling Hills. It is neither entirely the product of primordial sentiments nor even the result of elite manipulation, but had been the outcome of a dynamic social formation that reproduced its productive forces, relations of production, as well as the relations of subjugation and exploitation meted out by its incumbents. The onus of social formation in augmenting the cause of social movement has been stressed by most of the major theoretical paradigms in some form or the other. For example, functionalism, though lately emerging from its erstwhile position of bracketing social movements as pathological social behavior, became increasingly concerned with the analysis of social movement as a variety of (normal) collective action and showed the necessity of framing a general hypothesis on the social system while analyzing social movements as a collective phenomenon of some sort. Likewise, symbolic interactionism and resource mobilization theory, in their attempts to analyze social movement, put stress on the relational structures and on the complex processes of interaction mediated by certain networks of belonging, respectively. The Marxist tradition, perhaps, has given utmost emphasis on the necessity to view social movements in relation to structural arrangements available in the social formation. Each social formation is rooted in a particular structure of relationship and movement is not the cause but the outcome of the differentially arranged social order in which privileges and rewards are more in possession of some minority groups compared with the majority others. Even the post-Marxist or for that matter the New Social Movement (NSM) perspective in their zeal to study the identity-based movements as manifestations of post-material claims hardly denied the importance of social formation while understanding the so-called post-material claims of the NSMs. In outlining the principles for the analysis of collective action, Melucci (1996:24) – a prominent figure of NSM school – points out that the analytical field of the NSMs depends on the systems of relationships within which such action takes place and toward which it is directed. The recorded history of the Gorkhaland movement suggests that the first spurt of the movement can be marked out in the year 1907 when the hill people submitted a memorandum – for the first time – to the colonial government urging separation from the then Bengal and the need to formulate a separate administrative arrangement for the Darjeeling Hills. ALTHUSSER, SOCIAL FORMATION, AND THE DYNAMICS OF RURAL DARJEELING Taking a cue from the centrality of social formation in the study of social movement as analyzed above, an attempt has been made to focus on the social formation of the Darjeeling Hills2 and its contribution to the development of a protracted ethnic movement in the region. Our treatment of the concept of social formation is Althusserian in inspiration and is viewed as a complex whole composed of concrete economic, political and ideological relations that provide the pretext upon which the consolidation of selfhood of the individual or the group within a given social space becomes feasible. It is worth mentioning here instead of using such terms like ‘social system’, ‘social order’ or for that matter ‘society,’ Althusser (1997) preferred the use of ‘social formation’. Since he believed while terms like ‘social system’ and ‘social order’ presupposes a structure that reduces the form of all its emanations, ‘society’ as a concept is loaded with pre-Marxist humanist conception that treats social life as ultimately the product of individual human beings. Althusser has used the concept of social formation with some broader theoretical appeal. He problematized the so-called base-superstructure module by bringing together the notions of social system, order, and society closer to his postMarxist formulation of social formation. Social formation, for Althusser, is constituted of a complex of concrete economic, political, and ideological relations, bound together and given their particular character as capitalist, feudal or whatever by the fact that economic relations, is the ‘determinant in the last instance.’ Conceived in this manner the concept of social formation presupposes that under this model social reality is neither determined, nor to be explained by a single causal variable but always by the whole structure (a notion that he labels as ‘overdetermination’), which remains amenable to the economic determinant only in the last instance. The uniqueness in Althusser’s concept of social formation lies in the fact that it problematizes the ‘base-superstructure’ relationship (that remains central, almost invariably, to the whole realm of post-Marxist scholarship) to that extreme of Darjeeling has been one of the prominent hill stations developed by the British i n colonial India.

Thursday, November 7, 2019

This essay seeks to compare and contrast the approaches taken by Keith B. Richburg and Karl Maier in discussing Africa.The title is Woes of Africa

This essay seeks to compare and contrast the approaches taken by Keith B. Richburg and Karl Maier in discussing Africa.The title is Woes of Africa Over the past years, many writers have made bold attempts to address issues confronting Africa. The views expressed by these writers in their books are influenced by the major happenings on the continent within the time period the book is to be written. But one thing that leaves much to be desired about the approaches taken by some of these authors is the generalizations they make about the whole African continent, using the woes of just a few countries as a marker for the others. This paper seeks to compare and contrast the approaches taken by Keith B. Richburg and Karl Maier in discussing Africa.Richburg's confrontation of Africa in his book, Out of America, discusses his traumatic experiences in Africa. His approach reveals to the reader that the present-day Africa is just a replica of the Dark Continent described by early explorers. Richburg describes Africa as a "senseless continent" (153), "violent" (227), and a "strange and forbidding place" (237) where fighting and other nefa rious activities is the order of the day.Richburg, New YorkHe states that:"It's one of those apocryphal stories you always hear coming out of Africa, meant to demonstrate the savagery of "the natives." Babies being pulled off their mothers' backs and tossed onto spears. Pregnant women being disemboweled. Bodies being tossed into the river and flowing downstream. You heard them all, but never really believed" (xiii).Richburg thus imposes on the reader the "vicious" nature of Africans. He tries to justify this image he puts forth to his readers by his unrealistic and over-exaggerated descriptions of his encounters and experiences at the hands of civilians, the military, and guerilla fighters.Richburg does not have any positive thoughts about Africa during his travels from the time he "smells" (1) the continent till his departure. In Richburg's eyes,

Monday, November 4, 2019

Can Give Rise To Psychological Issues

Explain Can Give Rise To Psychological Issues? Withholding of the truth about Amy can give rise to psychological issues and have an impact on her quality of life. Her physical inabilities as difficulty to find words and repetition during a conversation and lack of concentration are contributing to her psychological distress, as she is unable to understand the reason of her sudden change in behaviour and memory. Withholding the information can have a negative impact on the patient’s attitude. It would reduce her coping ability, cause mood disturbances and anxiety and reduces her ability to prepare for the future(Kelley & Morrison, 2015). The withholding of life limiting illness about Amy also has serious negative impact on her family. Her mother is in her 80’s and witnessing such a change in behaviour and mood in Amy can have psychological impact and extremely painful. Her son Erik finds it difficult to conceal the truth of her life limiting illness from Amy and that might affect her end-of-life care and her compliance with the treatment and medication. This puts her family members in a hard situation and her family members face ethical dilemma whether to inform her or not. This situation raises ethical dilemma for me. Although, Amy and her family members wants to withhold her life limiting illness as posed by the family, the primary concern is to disclose the illness to her in culturally sensitive manner. This ethical dilemma can affect her end-of-life care and response to treatment. As she has limited English speaking ability, it is important to convey through family members or interpreters. The considerations include using of plain language, addressing of one piece of information at a time and ask about Amy’s worries, thoughts and understandings after illness disclosure through culture centred communication (Katz & Johnson, 2013). The care provided to Amy should include her cultural practices and spiritual needs and directed towards culture-centred care. It is important for the staffs to learn about her beliefs, cultural attitudes meanings of illness, health and symptoms. As she is diagnosed with life-limiting illness, it is important to recognize the unique cultural aspects of the care provision at the end-of-life (Wittenberg, et al., 2015). Knowing about cultural values of Amy would help the staffs to understand, grapple and navigate through the limiting illness. Integration of Amy’s cultural needs would help staffs in delivering her end-of-life care. Staffs need to understand that cultural factors and their integration into healthcare would influence her healthcare seeking behaviour, medical and clinical decision-making and finally health outcomes. Therefore, culture-centred end-of-life care act as driving factor in delivering culturally competent healthcare to Amy. By providing culture-centred, care to Amy would help her and family to respond to the end-of-life care and have a positive impact on their psychological well-being. The cultural consideration and specific spiritual needs of Amy would be fulfilled in her terminal diagnosis, as the staffs would provide culturally appropriate care that improves her and family situation. As a graduate health professional, I would like to spend time to develop an understanding of her feelings and specific needs to address anxiety and point of disagreement in providing end-of-life care. I will try to develop an empathetic relationship with Amy and her family in providing culture-centred care. For this culture-centred communication, principles are important through interpreters to understand Amy’s true preferences for receiving illness information. As she has limited English speaking ability, it is important to be cognizant about how her cultural factors and beliefs might affect her end-of-life care. This sensitivity to Amy’s individual and cultural preferences would help to avoid stereotyping and in making incorrect assessments in providing her end-of-life care (Moir, Roberts, Martz, Perry, & Tivis, 2015).   Katz, R. S., & Johnson, T. G. (2013). When professionals weep: Emotional and countertransference responses in end-of-life care. Routledge. Kelley, A. S., & Morrison, R. S. (2015). Palliative care for the seriously ill . New England Journal of Medicine,  373(8), , 747-755. Moir, C., Roberts, R., Martz, K., Perry, J., & Tivis, L. J. (2015). Communicating with Patients and their Families about Palliative and End of Life: Comfort and Educational Needs of Staff RNs. International journal of palliative nursing,  21(3), , 109. Wittenberg, E., Ferrell, B., Goldsmith, J., Smith, T., Glajchen, M., Handzo, G., & Ragan, S. L. (2015). Textbook of Palliative Care Communicaiton. Oxford University Press.

Saturday, November 2, 2019

Careers in Mathematics Essay Example | Topics and Well Written Essays - 1500 words

Careers in Mathematics - Essay Example In recent trends, students are able to have several opportunities to develop their career in mathematics. Mathematics provides wide range career opportunities for the students in several departments such as science department and engineering department among others. This subject provides statics as well as calculation knowledge to the students (LaLonde, Leedy and Runk 285-292). The paper intends to explain about the rewards of selecting a career in math along with the contribution of teachers to the American child to overcome their difficulties in learning mathematics. It also deals with the procedure based on which teachers can help the students to develop a competitive career and they become the next genius in mathematics. Mathematics is one the major subjects through which students can develop their career in several sectors and fulfill their aims in their professional life. Mathematics is majorly associated with science as well as engineering department. The students who have a greater knowledge about mathematics are able to enhance their talent and can easily have an understanding about statistical knowledge, which is presented in demand in the job market. It is a subject, which is required in every step of study and by selecting the subject for building a career; students can develop their career in different fields that include engineering, doctor and scientist among others. By choosing a career in mathematics, students are able to have excellent job opportunities in their professional life (Byrnes and Miller 599-629). In recent trends, it can be observed that most of the students want to grow their career in mathematics based on the job competition in the market. Science, Technology, Engineering and Mathematics (STEM) graduate students are essential for the American economy to maintain superiority in the STEM field. Mathematics has own field of career opportunity for the students. However, the students

Thursday, October 31, 2019

Art Essay Example | Topics and Well Written Essays - 1250 words - 4

Art - Essay Example e Head of Saint John the Baptist is one example of the artist’s works with Biblical subject and embodies the style of the Baroque period, which is characterized mainly of dynamic movements and emotional intensity. In Caravaggio’s painting depicting the Biblical character Herodias with the beheaded John the Baptist, dynamic movement is evident in the oblique lines visible in the artwork particularly the leaning position of the main subject while as the emotional intensity is visible in the colors used by the painter. The colors used were dominantly dark shades of red, blue, brown and green as if signifying the somber mood of the painting as it mainly depicts the death of John the Baptist and the triumph of the wicked. The colors also insinuate the bloodshed that transpired and the lifeless head of John the Baptist that is of a greenish-blue pallor. The volume element of the painting shows depth of each form in the painting and contributes to the dramatic appeal of the artwork as it creates an impression that the person in the painting holding a severed head is real and is just in front of the viewer. The emotional intensity in this painting perfectly exemplifies the attributes of the Baroque period and serving the propaganda of the Catholic Re-reformation during that period. Pilgrimage to Cythera (Embarkation for Cythera) done in 1717 by French artist Jean-Antoine Watteau is oil on canvas work created during the Rococo period and is 1.29 m x 1.94 m. in size currently housed in the Louvre. Watteau’s artwork was created during the Age of Enlightenment in Europe wherein philosophical reasoning had flourished and artworks commonly had to be confined to have a rationale behind them. (Pomarede) Appropriately representing the Rococo style is the artist’s Pilgrimage to Cythera (Embarkation for Cythera) in terms of lines, subject and form since it depicts a group of men and women in a scene that looks as though they were preparing to travel to Cythera—an island

Tuesday, October 29, 2019

Compounding Pharmacy Essay Example | Topics and Well Written Essays - 250 words

Compounding Pharmacy - Essay Example In order to answer this question, it is important first do define compounding pharmacy. Compounding pharmacy, as defined by the NABP, is actually â€Å"†¦the preparation, mixing, assembling, packaging, or Labeling of a Drug or Device (i) as the result of a Practitioner’s Prescription Drug Order or initiative based on the Practitioner/patient/Pharmacist relationship in the course of professional practice, or (ii) for the purpose of, or as an incident to, research, teaching, or chemical analysis and not for sale or Dispensing.† (Walkup n. p.) In this case, it is important to note that in compounding pharmacy, ensuring quality must always be top priority (Walkup n. p.). Ensuring quality, which includes obtaining Certificates of Good Manufacturing Practices and Certificate of Analysis (in which a third party testing is used to extend BUD beyond USP standards) will ensure that one can do almost anything, even tailor-made for the patient, ensuring trust with consumers an d profitability. Works Cited Walkup, Kenny. An Introduction to Independent Community Pharmacy Ownership. Specialty Medicine Compounding Pharmacy, n. d. PowerPoint file.

Sunday, October 27, 2019

Economics Essays Petroleum Price Oil Economy

Economics Essays Petroleum Price Oil Economy Petroleum Price Oil and the Economy Summary The vulnerability of oil-importing countries to higher oil prices varies markedly depending on the degree to which they are net importers and the oil intensity of their economies. According to the results of a quantitative exercise carried out by the IEA in collaboration with the OECD Economics Department and with the assistance of the International Monetary Fund Research Department. Euro-zone countries, which are highly dependent on oil imports, suffered the most in the short term, their GDP dropping by 0.5% and inflation rising by 0.5% in 2007. The United States suffered the least, with GDP falling by 0.3%, largely because indigenous production meets a bigger share of its oil needs. Japan’s GDP fell 0.4%, with its relatively low oil intensity compensating to some extent for its almost total dependence on imported oil. In all OECD regions, these losses should start to diminish in the following three years as global trade in non-oil goods and services recovers. This analysis assumes constant exchange rates. Oil prices impact the health of the world economy. Higher oil prices since 1999 – partly the result of OPEC supply-management policies – contributed to the global economic downturn in 2000-2001 and are dampening the current cyclical upturn. World GDP growth may have been at least half a percentage point higher in the last two or three years had prices remained at mid-2001 levels. Current fears of OPEC supply cuts, political tensions in Venezuela and tight stock prices have driven up international crude oil and product prices even further. The adverse economic impact of higher oil prices on oil-importing developing countries is generally even more severe than OECD countries. This is because their economies are more dependent on imported oil are more energy-intensive, and energy is used less efficiently. On average, oil-importing developing countries use more than twice the amount of oil to produce a unit of economic output as do OECD countries. Developing countries are also less able to weather the financial turmoil wrought by higher oil-import costs. India spent $15 billion, equivalent to 3% of its GDP, on oil imports in 2003. This is 16% higher than its 2001 oil-import bill. It is estimated that the loss of GDP averages 0.8% in Asia and 1.6% in very poor highly indebted countries in the year following. The loss of GDP in the Sub-Saharan African countries would be more than 3%. The impact of higher oil prices on economic growth in OPEC countries would depend on a variety of factors, particularly how the windfall revenues are spent. In the long term, however, OPEC oil revenues and GDP are likely to be lower, as higher prices would not fully compensate for lower production. In the IEA’s recent World Energy Investment Outlook, cumulative OPEC revenues are $400 billion lower over the period 2001-2030 under a Restricted Middle East Investment Scenario, in which policies to limit the growth in production in that region lead to on average 20% higher prices, compared to the Reference Scenario. Introduction This paper reviews how oil prices affect the macro-economy and assesses quantitatively the extent to which the economies of OECD and developing countries remain vulnerable to a sustained period of higher oil prices. It summarizes the findings of a quantitative exercise carried out by the IEA in collaboration with the OECD Economics Department and with the assistance of the International Monetary Fund (IMF) Research Department. That work, which made use of the large-scale economic models of all three organizations, constitutes the most up-to-date analysis of the impact of higher oil prices on the global economy. Oil prices have been creeping higher in recent months: the prices of Brent and WTI – the leading benchmark physical crude oils. These price increases and the possibility of further increases in the future have drawn attention again to the threat they pose to the global economy. The next section describes the general mechanism by which higher oil prices affect the global economy. This is followed by a quantitative assessment of the impact of a sustained rise in the oil price on, first, the OECD countries and then on the developing countries and transition economies. Finally the net effect on the global economy is summarized. Oil Price and the Global Economy Oil prices remain an important determinant of global economic performance. Overall, an oil-price increase leads to a transfer of income from importing to exporting countries through a shift in the terms of trade. The magnitude of the direct effect of a given price increase depends on the share of the cost of oil in national income, the degree of dependence on imported oil and the ability of end-users to reduce their consumption and switch away from oil. It also depends on the extent to which gas prices rise in response to an oil-price increase, the gas-intensity of the economy and the impact of higher prices on other forms of energy that compete with or, in the case of electricity, are generated from oil and gas. Naturally, the bigger the oil-price increase and the longer higher prices are sustained, the bigger the macroeconomic impact. For net oil-exporting countries, a price increase directly increases real national income through higher export earnings, though part of this gain would be later offset by losses from lower demand for exports generally due to the economic recession suffered by trading partners. Adjustment effects, which result from real wage, price and structural rigidities in the economy, add to the direct income effect. Higher oil prices lead to inflation increased input costs, reduced non-oil demand and lower investment in net oil importing countries. Tax revenues fall and the budget deficit increases, due to rigidities in government expenditure, which drives interest rates up. Because of resistance to real declines in wages, an oil price increase typically leads to upward pressure on nominal wage levels. Wage pressures together with reduced demand tend to lead to higher short term unemployment. These effects are greater the more abrupt and the more pronounced the price increase and are magnified by the impact of higher prices on consumer and business confidence. An oil-price increase also changes the balance of trade between countries and exchange rates. Net oil-importing countries normally experience deterioration in their balance of payments and putting downward pressure on exchange rates. As a result, imports become more expensive and exports less valuable, leading to a drop in real national income. Without a change in central bank and government monetary policies, the dollar may tend to rise as oil-producing countries’ demand for dollar-denominated international reserve assets grow. The economic and energy-policy response to a combination of higher inflation, higher unemployment, lower exchange rates and lower real output also affects the overall impact on the economy over the longer term. Government policy cannot eliminate the adverse impacts described above but it can minimize them. Similarly, inappropriate policies can worsen them. Overly contractionary monetary and fiscal policies to contain inflationary pressures could exacerbate the recessionary income and unemployment effects. On the other hand, expansionary monetary and fiscal policies may simply delay the fall in real income necessitated by the increase in oil prices, stoke up inflationary pressures and worsen the impact of higher prices in the long run. Impact on OECD Countries OECD countries remain vulnerable to oil-price increases, despite a drop in the region’s net oil imports and an even more marked decline in oil intensity since the first oil shock. Net imports fell by 14% while the amount of oil the OECD used to produce one dollar of real GDP halved between 1973 and 2006. Nonetheless, the region remains heavily dependent on imports to meet its oil needs, amounting to 56% in 2006. Only Canada, Denmark, Mexico, Norway and the United Kingdom are currently net exporting countries. Oil imports are estimated to have cost the region as a whole over $360 billion in 2006 – equivalent to around 1% of GDP. The annual import bill has increased by about 30 % since 2005. Higher oil prices have a significant adverse impact on OECD economic performance in the short term in this case, though their impact in the longer term is more limited (Table 1). The impact on the rate of GDP growth is felt mostly in the first two years as the deterioration in the terms of trade drives down income, which immediately undermines domestic consumption and investment. OECD GDP is 0.4% lower in 2005 and 2006 compared to the base case. In all OECD regions, these losses start to diminish in the following years as global trade in non-oil goods and services recovers. Throughout the whole five-year projection period, GDP is 0.3% lower on average. The impact of higher oil prices on the rate of inflation is more marked. The consumer price index is on average 0.5% higher than in the base case over the five year projection period. The impact on the rate of inflation was felt mostly in 2006 – the second year of higher prices. Recent trends show a clear correlation between oil price movements and short-term changes in the inflation rate. The economic impact of higher oil prices varies considerably across OECD countries, largely according to the degree to which they are net importers of oil. Euro-zone countries, which are highly dependent on oil imports, suffer most in the short term. GDP losses in both Europe and Japan would also exacerbate budget deficits, which are already large (close to 3% on average in the euro-zone and 7% in Japan). The United States suffers the least, largely because indigenous production still meets over 40% of its oil needs. The Impact on Developing Countries The adverse economic impact of higher oil prices on oil-importing developing countries is generally more pronounced than for OECD countries. The economic impact on the poorest and most indebted countries is most severe. On the basis of IMF estimates, the reduction in GDP would amount to more than 1.5% after one year in those countries. The Sub-Saharan African countries within this grouping, with more oil intensive and fragile economies, would suffer an even bigger loss of GDP, of more than 3%. As with OECD countries, dollar exchange rates are assumed to be the same as in the base case. Asia as a whole, which imports the bulk of its oil, would experience a 0.8% fall in economic output and a one percentage point deterioration in its current account balance (expressed as a share of GDP) one year after the price increase. Some countries would suffer much more: the Philippines would lose 1.6% of its GDP in the year following the price increase, and India 1%. China’s GDP would drop 0.8% and its current account surplus, which amounted to around $45 billion in 2006, would decline by $6 billion in the first year. Other Asian countries would see deterioration in their aggregate current account balance of more than $8 billion. Asia would also experience the largest increase in inflation in the first year, on the assumption that the increase in international oil price would be quickly passed through into domestic prices. The inflation rate in China and Thailand would increase by almost one percentage point in 2007. Latin America in general would suffer less from the increase in oil prices than Asia because net oil imports into the region are much smaller. Economic growth in Latin America would be reduced by only 0.2 percentage points. The GDP of transition economies and Africa in aggregate would increase by 0.2 percentage points, as they are net oil-exporting countries. The economies of oil-importing developing countries in Asia and Africa would suffer most from higher oil prices because their economies are more dependent on imported oil. In addition, energy-intensive manufacturing generally accounts for a larger share of their GDP and energy is used less efficiently. On average, oil importing developing countries use more than twice the oil to produce one unit of economic output as do developed countries. The IMF estimates suggest that, in the sustained oil-price increase case, the net trade balance of OPEC countries would improve initially by about $120 billion or around 13% of GDP, taking account of lower global economic growth. Venezuela would gain the least and Iraq and Nigeria the most, reflecting the relative importance of oil in the economy. The impact of higher oil prices on economic growth in OPEC countries would depend on a variety of factors, particularly how the windfall revenues are spent. In the long term, however, OPEC oil revenues and GDP are likely to be lower, as higher prices would not compensate fully for lower production. Higher oil prices in the last four years are in part the result of OPEC’s success in implementing its policy of collectively constraining production. This policy has led to a decline in OPEC’s share of world oil production from 40% in 1999 to 38% in 2003. There is a risk that this policy may be continued in the future, which would limit the extent to which OPEC producers, notably those in the Middle East, contribute to meeting rising world oil demand. According to the IEA’s latest World Energy Outlook, OPEC’s market share is projected to rebound to 40% in 2010 and 54% in 2030. In the IEA’s recent World Energy Investment Outlook, cumulative OPEC revenues are $400 billion lower over the period 2001-2030 under a Restricted Middle East Investment Scenario, in which policies to limit the growth in production in that region lead to on average 20% higher prices, compared to the Reference Scenario. Impact on the Global Economy The results of the sustained higher oil price simulation for both the OECD and non- OECD countries suggest that, as has always been the case in the past, the net effect on the global economy would be negative. That is, the economic stimulus provided by higher oil and gas export earnings in OPEC and other exporting countries would be outweighed by the depressive effect of higher prices on economic activity in the importing countries, at least in the first year or two following the price rise. Combining the results of all world regions yields a net fall of around 0.5% in global GDP – equivalent to $ 255 billion in the first year of higher prices. The loss of GDP would diminish somewhat by 2008 as increased demand from oil-exporting countries boosts the exports and GDP of oil-importing countries. The main determinant of the size of the initial net loss of global GDP is how OPEC and other oil-exporting countries spend their windfall oil revenues. The greater the marginal propensity of oil-producing countries to save those revenues, the greater the initial loss of GDP. Both the IMF and OECD simulations assume that oil exporters would spend around 75% of their additional revenues on imported goods and services within three years, which is in line with historical averages. However, this assumption may be too high, given the current state of fiscal balances and external reserves in many oil-exporting countries. In practice, those countries might take advantage of a sharp price increase now to rebuild reserves and reduce foreign and domestic debt. In this case, the adverse impact of higher prices on global economic growth would be more severe. Higher oil prices, by affecting economic activity, corporate earnings and inflation, would also have major implications for financial markets – notably equity values, exchange rates and government financing – even, as assumed here, if there are no changes in monetary policies: International capital market valuations of equity and debt in oil-importing countries would be revised downwards and those in oil-exporting countries upwards. To the extent that the creditworthiness of some importing countries that are already running large current account deficits is called into question, there would be upward pressure on interest rates. Tighter monetary policies to contain inflation would add to this pressure. Currencies would adjust to changes in trade balances. Higher oil prices would lead to a rise in the value of the US dollar, to the extent that oil exporters invest part of their windfall earnings in US dollar dominated assets and that transactions demand for dollars, in which oil is priced, increases. A stronger dollar would raise the cost of servicing the external debt of oil-importing developing countries, as that debt is usually denominated in dollars, exacerbating the economic damage caused by higher oil prices. It would also amplify the impact of higher oil prices in pushing up the oil-import bill at least in the short-term, given the relatively low price-elasticity of oil demand. Past oil shocks provoked debt-management crisis in many developing countries. Fiscal imbalances in oil-importing countries caused by lower income would be exacerbated in those developing countries, like India and Indonesia that continue to provide direct subsidies on oil products to protect poor households and domestic industry. The burden of subsidies tends to grow as international prices rise, adding to the pressure on government budgets and increasing political and social tensions. It is important to bear in mind the limitations of the simulations reported on above. In particular, the results do not take into account the secondary effects of higher oil prices on consumer and business confidence or possible changes in fiscal and monetary policies. The loss of business and consumer confidence resulting from an oil shock could lead to significant shifts in levels and patterns of investment, savings and spending. A loss of confidence and inappropriate policy responses, especially in the oil-importing countries, could amplify the economic effects in the medium term. In addition, neither the OECD’s estimates for member countries nor the IMF’s estimates for the developing countries and transition economies take explicit account of the direct impact of higher oil prices on natural gas prices and the secondary impact on electricity prices, other than through the general rate of inflation. Higher oil prices would undoubtedly drive up the prices of other fuels, magnifying the overall macroeconomic impact. Rising gas use worldwide will increase this impact. Nor does this analysis take into account the macroeconomic damage caused by more volatile oil prices. Short-term price volatility, which has worsened in recent years, complicates economic management and reduces the efficiency of capital allocation. Despite these factors, the results of the analysis presented here give an order-of-magnitude indication of the likely minimum economic repercussions of a sustained period of higher oil prices. Conclusion Oil prices remain a significant macroeconomic variable. Higher prices can still inflict substantial damage on the economies of oil-importing countries and on the global economy as a whole. The surge in prices in 1999-2000 contributed to the slowdown in global economic activity, international trade and investment in 2000- 2001. The disappointing pace of recovery since then is at least partly due to rising oil prices: according to the modeling results, global GDP growth may have been at least half a percentage point higher in the last two or three years had prices remained at mid-2001 levels. The results of the simulations presented in this paper suggest that further increases in oil prices sustained over the medium term would undermine significantly the prospects for continued global economic recovery. Oil importing developing countries would generally suffer the most as their economies are more oil-intensive and less able to weather the financial turmoil wrought by higher oil-import costs. The general economic background to the current run-up in prices is significantly different to previous oil-price shocks, all of which coincided with an economic boom when economies were already overheating. Prices are now rising in a situation of tentative economic revival, excess capacity and low inflation. Firms are less able to pass through higher energy-input costs in higher prices of goods and services because of strong competition in wholesale and retail markets. As a result, higher oil prices have so far eroded profits more than they have pushed up inflation. The consumer price index growth has fallen in almost every OECD country in the past year, from 2.3% to 2.0% in the Euro zone and 2.4% to 1.9% in the United States in the 12 months to December 2003. Deflation in Japan has worsened from -0.3% to 0.4% over the same period. A weaker dollar since 2002 has also offset partly the impact of higher oil prices in many countries, especially in the euro-zone and Japan. The squeeze on profits delayed the recovery in business investment and employment, which began in earnest in 2003 in many parts of the world. In contrast to previous oil shocks, the financial authorities in many countries have so far been able to hold down interest rates without risking an inflationary spiral. Yet the economic threats posed by higher oil prices remain real. Fears of OPEC supply cuts, political tensions in Venezuela and tight stocks have recently driven up international crude oil and product prices even further. Current market conditions are more unstable than normal, in part because of geopolitical uncertainties and because tight product markets – notably for gasoline in the United States – are reinforcing upward pressures on crude prices. The hike of futures prices during the past several months implies that recent oil price rises could be sustained. If that is the case, the macroeconomic consequences for importing countries could be painful, especially in view of the severe budget-deficit problems being experienced in all OECD regions and stubbornly high levels of unemployment in many countries. Fiscal imbalances would worsen, pressure to raise interest rates would grow and the current revival in business and consumer confidence would be cut short, threatening the durability of the current cyclical economic upturn. References Eichengreen, B., Y. Rhee and H. Tong (2004), â€Å"The Impact of China on the Exports of Other Asian Countries,† NBER Working Paper no.10768 (September). Frankel, J. and D. (1999), â€Å"Does Trade Cause Growth?† American Economic Review 89, pp. 379-399. Grubert, H. and J. Mutti (1991), â€Å"Taxes, Tariffs and Transfer Pricing in Multinational Corporate Decision-Making,† Review of Economics and Statistics 73, pp.285-293. Ianchovichina, E. and W. Martin (2005), â€Å"Trade Impacts of China’s WTO Accession,† this volume. Lian, D. (2005), â€Å"Singapore’s Lessons for China,† Morgan Stanley Global Economic Forum (5 May), np. Mody, A., A. Razin and E. Sadka (2002), â€Å"The Role of Information in Driving FDI: Theory and Evidence,† NBER Working Paper no. 9255 (October). Ravenhill, J. (2005), â€Å"Why the East Asian Auto Industry is not Regional,† unpublished manuscript, Australian National University.