Monday, January 20, 2020
Mind and Body Essay -- science
Mind and Body Much of the intellectual history of psychology has involved the attempt to come to grips with the problem of mind and body and how they interact. While the philosophical distinction between mind and body can be traced back to the Greeks, it is due to the influential work of Renà © Descartes, (written around the 1630ââ¬â¢s) that we owe the first systematic account of the mind/body relationship. When Descartes' friend and frequent correspondent, Marin Mersenne, wrote to him of Galileo's fate at the hands of the Inquisition, Descartes immediately suppressed his own treatise. As a result, the world's first extended essay on physiological psychology was published only well after its author's death. In this essay, he proposed a mechanism for automatic reaction in response to external events. According to his proposal, external motions affect the peripheral ends of the nerve fibrils, which in turn displace the central ends. As the central ends are displaced, the pattern of interfibrillar space is rearranged and the flow of animal spirits is thereby directed into the appropriate nerves. This is the reason he has been credited with the founding of the reflex theory. Descarte was the first to talk about mind/body interactions, and thus had a great influence in later psychologists and thinkers. He proposed that not only body can influence mind, but that mind could also affect body. Years later, the work of Nicolas Malebranche was probably the most influential provider of occasionalism. Occasionalism deals with the contradiction that if the nature of causality is such that causes and effects must have a necessary connection and be of a similar type, then mind/body interactionism is unsound. He argued that both of Descartes' substances, mind and body, are causally ineffective. His belief was that Gââ¬â¢d is the one and only true cause. There is no influence of mind on body or of body on mind. ââ¬Å"In order to retain the notion of God as the one true cause without sacrificing the idea of causality as operative in both the mental and the physical spheres, Benedictus de Spinoza abandoned Descartes' two-substance view in favor of what has come to be called double-aspect theory.â⬠Double-aspect theories are based on the notion that the mental and the physical are simply different aspects of one and the same substance. Nonetheless, he agreed with De... ...ssembled a theory of moral development. The theory is based on standards of moral judgement. According to Piaget these cognitive abilities develop only as the child progresses through developmental stages. Kohlbergââ¬â¢s theory is too divided into stages. He proposed three major levels of moral reasoning, or development. According to Kohlberg, his three stages occur in that same order in all cultures. Development is closely related to socialization, because as we have discussed earlier, nurture, or the environment plays a major role in the development of an individual. Socialization the perceptual ââ¬Å"process of shaping an individualââ¬â¢s behavior patterns, values, standards, skills, attitudes, and motives to conform to those regardless as desirable in a particular society.â⬠Sexuality is closely related to socialization. Psychologists differ in their approaches towards development because the view it from distinct points of view. Piaget, for example, proposed a theory of the cognitive development of children, while Erikson proposed a theory based on the psychosocial development of individuals. Although Kohlberg based his theory on Piagetââ¬â¢s, his theory focused on moral reasoning.
Sunday, January 12, 2020
IELTS Tests
Task 1:à The bar chart below shows the percentage participation of men in senior development in three companies between 1980 and the year 2010. Summarize the information by selecting and report in the main features, and make comparisons where relevant. Write at least 150 wordsThe diagram illustrates the changes in proportion of male seniors in three giants including IBM, Microsoft and Apple over 30 years from 1980 to 2010. In sum, the three firms experienced an upward trend in terms of this indicator. Originally, in 1980, IBM had only approximately 2% of senior positions occupied by men with no significant change in the next 5 years. Afterwards, this number surged to over 10% in 1990 and 26% in 1995, surpassing that of 2 other companies. In 2000, the percentageaugmented reaching over 30% and even doubled exceeding 60% in only 5 years later.Therefore, IBM obtained the highest enhancing pace in hiring males for senior levels. Regarding Microsoft, the period from 1980 to 2000 witnesse d a gradual increase in men involvement percentage in senior positions from roughly 7% to approximately 17%. Nonetheless, the statistic noticeably soared to nearly 45% in 2000. Last to be mentioned, in 1980, there were 15% of Apple high positions taken in charge by males. This was followed by a light fluctuation during 20 years and finally ended at about 25% in 2010.This conversion turned Apple into the company having the lowest man participation in senior board comparing to IBM and Microsoft.Task 2: Some people think that everyone has the right to use freshwater as much as they want; some others believe that freshwater should be tightly controlled by governments worldwide because it is a limited resource. Discuss both views and give your opinion.It is popular that water creates creature. Nevertheless, the essential and priceless freshwater sources are being vanished due to the humansââ¬â¢ massive use. This fact has lead to a discussion that whether water sources should be libera lly accessed or put under strict control of authorities. To begin with, as water touches every parts of our daily life, protecting and conserving it should be among countryââ¬â¢s top priorities. The government is able to determine fresh water network manage to distribute clean water effectively to the community.Additionally, the government can allocate an adequate quantity of water to individuals to ensure human and ecological health. This can help us to prevent water shortage and its tragic consequences. Furthermore, authorities can guarantee the water quality and reassure citizens especially to avoid the influence of environmental pollutants and contamination worries.On contrary, it is also argued that everyone and all animals have equal chance to take advantage of Earth natural resources including water. This also plays a crucial role in forming the base for a modern and advanced society. Moreover, restrictions on consuming water can result in the unavailability of this resour ce to underprivileged people as the corruption and the despoliation. The situation may be worse since water dispute can threaten national or world wide security.For what has been mentioned, I agree that regarding water as a national security issue can help to protect the resources. Nonetheless, it is critical that law and policies are fair and assure individualsââ¬â¢ basic right. Besides, communities should come together to promote awareness of water reservation.
Saturday, January 4, 2020
Smallholders Coping With Food Sector Transformation - Free Essay Example
Sample details Pages: 23 Words: 6856 Downloads: 4 Date added: 2017/06/26 Category Agriculture Essay Type Analytical essay Did you like this example? This chapter provides a description of the data and research methodology used in this study. This study employed investigates the smallholders coping with food sector transformation and the role of social enterprises in Thailand. Both qualitative and quantitative data were carefully planned and collected in order to facilitate the achievement of the objectives set for the study. Donââ¬â¢t waste time! Our writers will create an original "Smallholders Coping With Food Sector Transformation" essay for you Create order An overview of the stages of data collection, data discussion, scope of the study, sample and case studies selection, and methods of analysis is provided. Qualitative data was used for making a general mapping and characterization of the agri-food value chain in Thailand. This information provided essential input for designing a survey for collecting quantitative data. Furthermore, qualitative information will be very useful for interpreting quantitative results and complementing them. While quantitative data is analyzed using statistical and multivariate data analysis techniques, such as Probit regression, gross margins regression with selectivity bias solution, and Factor Analysis. All these quantitative methods are summarized and discussed in this chapter according to the research objectives and questions. 5.2 Overview of stages of data collection The different stages of data collection were divided into four steps as follows: First stage, prior to leaving to the field in Thailand, a thorough review of secondary information was undertaken. It consisted of the review of information from international and Thailand sources, including a literature review of previous studies. This stage consisted of interviewing key informants of government institutions, NGOs, private organizations, farmer organizations, universities and donors. The semi-structured interviews explored the information on how agri-food value chains are changing, with special reference to smallholder coping with food sector transformation and the role of social enterprises. The objective of this activity was also determining the role of institutions and organizations in helping small-scale farmers in modern trade supply chains, including the involvement of institutions and organizations in the production and marketing, their current and future plans and limitatio ns. This information was essential for designing pre-structured interviews used in the following stage of the study. Second stage, the main key actors in agri-food supply chain such as supermarkets, suppliers/brokers, wholesalers, Green Net cooperative and the Royal Project were interviewed by using semi-structured questionnaires (please see the questionnaires in Appendix II-1) in order to gather information about their marketing activities, procurement systems, contract farming systems, and marketing development, especially the current and development of participating with modern trade chains. These interviews help to identify the nature and level of participation of smallholders in modern trade chains. It also provided information about market opportunities and threats offered to small-scale farmers by modern trade markets, the constraints faced by farmers trying to enter such supply chains, and key success factors associated with small-scale farmers that are able to gain acces s. Furthermore, market observation were undertaken by the author and research assistances in top supermarkets and wholesale markets in Bangkok and main cities such as Chiang Mai, Chiang Rai, Khon Kaen, Chachoengsao. As a third stage, in-depth interviews and focus groups were undertaken with farmers participating with social enterprises in producing for modern trade markets and farmers selling in the traditional markets. Interviews encompassed the factors that facilitate of impeded their participation with social enterprise in producing for modern trade markets. Interviewing participant and non-participant farmers enabled the exploration of the motivations, benefits and key success factors of these two groups, and the barriers to entry faced by non-participants. This stage provided information to develop the quantitative questionnaires in stage four. The fourth stage, step in quantitative survey, of data collection was consisted of surveying a sample of participating and compar able non-participating farmers in order to collect quantitative information about the issues addressed in the in-depth interviews after the survey instrument was pre-tested in two different rounds with sets of respondents (see more detail about questionnaire and pre-test in section xxx). This stage provides quantitative data on the benefits, constraints faced by farmers and key success factors of farmers. Both qualitative and quantitative information contribute to achieving the objectives and research questions of the study. 5.3 Data discussion Regarding to stages of data collection, it was divided into two main phases according to type of analyses and objectives of the study. First phase aimed at collecting qualitative (secondary information and semi-structured interviews), and was carried out during the period April 2008 à ¢Ã¢â ¬Ã¢â¬Å" July 2008. In addition, it aimed at market observation from top supermarkets in main cites, and was carried out during the period Apri l 2008 September 2008. The phase of the surveys investigated the following issues according to the research objectives and questions: Phase I: Qualitative Analysis: Assessing forces and trends in the restructuring of Agri-food value chain of modern trade and small-scale producers in Thailand. 1: To analyse the changing value chain and transformation in the agri-food industry of small-scale horticulture producers and modern trade in Thailand. RQ1 What is the current agri-food supply chain of small-scale producers and modern trade markets in Thailand? RQ2 What are forces and trends driving the restructuring of agri-food value chain and food sector transformation in Thailand? RQ3 What is the role of social enterprise in linking small-scale farmers into modern trade chains? 2: Outline the terms under which small-scale producers interact with modern trade. RQ 4 Do they have proper contracts, or are the transactions more informal and ad-hoc, etc? RQ 5 Do contracts change over time?, and why? RQ 6 How suppliers/producers adjust to/bargain with modern trade? This phase (regarding to objective 1 and 2) refers to the patterns of changes in the different modern food supply chains in Thailand and the impact of policy on these changes, including the role of social enterprises in linking small-scale farmers to the modern trade chains. The study reviewed grey literature and interviewed with key informants from many key informants and institutions industry à ¢Ã¢â ¬ÃÅ"middlemenà ¢Ã¢â ¬Ã¢â ¢- wholesalers, buyers, social enterprises and cooperative managers, the World Vegetable Center- AVRDC, government institutions, NGOs, and Universities (see Appendix II-3). The general of this phase is to make a general characterization of agri-food value chain in Thailand, make a map of the system and collect inputs for the questionnaire design in the second phase. Second phase aimed at collecting quantitative data (survey), and carry out during Jun e 2008 à ¢Ã¢â ¬Ã¢â¬Å" November 2008 for the Royal Project case study, and September December 2009 for Green Net case study. Phase II: Survey and Quantitative Analysis: Assessing motives for and impacts of small-scale producersà ¢Ã¢â ¬Ã¢â ¢ participating with social enterprises in producing for modern trade markets for selected products. This phase based on two case studies (Green Net, and the Royal Project) producer surveys which include both participants and non-participants with modern trade contract farming. The surveys investigated the following issues according to the research objectives and questions: 3: Analyses the motivation and challenges of participation of small-scale producers in producing for modern trade chains in Thailand. RQ7 What are the determinants of small-scale farmersà ¢Ã¢â ¬Ã¢â ¢ participation with social enterprise in producing for modern trade chains? RQ8 What are advantage and challenges faced by small-scale farmers participat ing with social enterprise in producing for modern trade market markets in Thailand? 4: Estimating the impacts on small-scale farmers participating with social enterprises in producing for modern trade. RQ 9 Do producers participating with social enterprise in producing for modern trade obtain better outcomes (profits/income) compared to non-participant? RQ 10 Do producers participating with social enterprise gain other non-financial benefits from participation? This phase (regarding to objective 3 and 4), the study involved field survey and collect the data from questionnaires (please see scope of the study in the next section and Appendix II-2). The objective of this phase is to collect quantitative information about variables that determine the participation of small-scale farmers in modern trade chains. 5.4 Scope of the study and survey 5.4.1Qualitative Information The qualitative phase was carried out during the period April July 2008, consisting of in-dep th interviews with different actors involved in the agri-food sector, including government, private sectors (eg., modern trade and supermarkets, suppliers/brokers, buyers and/or wholesalers), NGOs, farmer organizations, universities and farmers. (see Appendix II- list of key informants) A total of 20 in-depth interviews conducted with organizations and institutions, 20 with small-scale farmers that participate in the modern food chains and 20 with small-scale farmers that selling to traditional markets. A à ¢Ã¢â ¬Ã
âSnowballà ¢Ã¢â ¬? Sampling used to contact research informants (see example Blandon, 2006 and Robson, 1993). Semi-structured interviews were differently designed for organizations and institutions, buyer/wholesalers, and farmers; participants and non-participants (Please see Appendix II-1). Each interview lasted between one hour and one hour and a half, and in the case of farmers most of the interviews were conducted on their farms. For each interview hand- writing notes and/or tape-record were taken for analyzing and reviews. For analysing the data, notes and tapes were reviewed. This analysis allowed the making of a map of the agri-food system and identifying categories related to the research objectives. 5.4.2Quantitative data collection The objective of the second phase was to collect quantitative information about variables that determine the participation of small-scale farmers with social enterprise in producing for modern trade markets. For this purpose, a survey including participant and non-participant farmers was carried out during June 2008 à ¢Ã¢â ¬Ã¢â¬Å" November 2008 for the Royal Project case study and September December 2009 for Green Net case study. The quantitative portion of the study based on small-scale producer analyses (vegetable and rice case studies) which supplying modern trade markets as well as international markets. The survey questionnaires administered from face-to-face interviews 240 (120 f or each case study) small-scale farmers excluding pilot tests. This stage that some attempt made to follow a random sampling procedure, but field reality may result in convenience based sampling. Since the qualitative data collection precedes and feeds into the quantitative data collection, I first outline the schedule for qualitative data collection and then show how this transition into the quantitative part (see Table 5.1). Table 5.1 Steps in quantitative survey data collection Task Description of task 1 Information gathering and preparation of materials needed for the in-depth interviews 2 Pre-test: Semi-structured interviews, focus group 3 In-depth interviews (semi-structured interviews) conducted on a group of key informants 4 In-depth interviews (semi-structured interviews) conducted on a group of suppliers/buyers/wholesalers 5 In-depth interviews (semi-structured interviews) conducted on a group of small-scale farmers 6 Initial Analysis of results from in-depth interviews and comparisons. This will provide inputs to development of the quantitative part, commencing in step 7 below. 7 Development of initial questionnaire for pre-testing 8 Pre-test of questionnaire on a sample of participant farmers 9 Pre-test of questionnaire on a sample of non-participant farmers 10 Evaluation of questionnaire for possible corrections and re-designing of questionnaire 11 Final administration of questionnaire on sample of Ãâà participant farmers 12 Review of answers given to ensure clarity and uniformity, at this stage, new information revealed will be added to the questionnaire. 13 Final administration of questionnaire on sample of non-participants 14 Review of answers given to ensure clarity and uniformity, at this stage, new information revealed will be added to the questionnaire 15 Revisit[1] of farmers by the same interviewer to clarify ambiguous issues and ensure consistency [1] Repeat visit will be done if there are any data problems. 5.4.3 Administration of questionnaire and survey: The questionnaire was developed following five steps suggested by Aaker et al. (1998) and Masakure (2005). Step one involved planning what to measure (revisiting research questions, focusing on research issues and getting additional data from secondary and exploratory research). Step two entailed formatting the questionnaire (determining the content of questions, the framing for each question). Step three involved consideration of question wording (evaluating each question according to how respondents would comprehend and their ability to answer). Step four involved sequencing and layout decisions (ordering of questions to create a single questionnaire). Finally, step five involved pre-testing the questionnaire and correcting problems. The entire design was guided by the in in-depth interviews and as shown in steps in quantitative survey data collection (see Table 3). It is important to know that the research supervisory visited in Thailand also involved in these steps for evaluati on of questionnaire for possible corrections and re-designing of questionnaire. The questionnaire divided into five sections. Section one of the questionnaire contained questions relating to Basic household information. Section two collected data on farm characteristics including costs and returns. Section three focused on income and assets of household. Section four assessed the marketing details and the factor of choosing markets. Section five focused on the history and experience of growing. A copy is provided in Appendix II-2. In questionnaire different scales of measurement were used, such as nominal, ordinal, interval and ratio scales. A number of multi-item scales were included in the questionnaire following Masakure (2005) and Oppenheim (1992). It is important to note that multi-item scales are widely used in marketing research to measure phenomena that cannot be captured directory with one attitude-based question (Masakure, 2005). They are particularly useful when it is not possible to rely on behaviour as an indication of phenomena (Oppenheim, 1992). For example, in this study a multi-item scales was used to measure the perceptions of small-scale farmers on participating with social enterprise in producing for modern trade markets as opposed to using a single item. The advantages of multi-item scales is that specificity of items can be averaged when all items are combined and the researcher is able to make a clear distinction between individuals and factors through combining these items (Masakure, 2005). The final questionnaire was administered by personal interviews, after the completion of each pilot questionnaire, from.. through . . Two trained research assistances from Mae Fah Luang University and Chiang Mai University were recruited and helped the author in this task. The author carried out half of the interviews. Respondents were selected using a two-stage stratified sampling procedure based on the number of centres operated and the geogr aphical areas of operation. To aid the interview process, research assistants first met farmers at an informal gathering. Farmers were free to ask questions related to the research. Participant farmers were told that the information generated would be used sorely for academic purposes. Each interview began with a brief explanation of the research objectives and its purpose. Questionnaires were filled in by the interviewer. The process could be adjourned several times to enable farmers to undertake their normal duties. On completion the questionnaire, the respondent was thanked for their participation. 5.4.4 Case of the study Secondary information from different sources (triangulation) and the information from in-depth interviews with key informants was a key to identify the case studies. The research design, data gathering, analysis and interpretation were based on two case studies approach. Case studies are better at investigating contemporary phenomenon within its real life context, especially when the boundaries between the phenomenon and context are not clear (Yin, 1994). The case study approaches are also powerful in combining qualitative and quantitative data and provide a description and test theory or even generate theory (Masakure, 2005). This study mostly concerned with the role of social enterprises assist smallholders with production and marketing for modern trade markets. Therefore, case studies are more useful in addressing the implications of the restructuring agri-food value chain on small-scale farmers (the relationship-returns, network and social aspects). In consequence, this study u sed two case studies as Green Net and the Royal Project. Below is a brief overview of the current case studies. 1. Green Net (rice case study) Having explained briefly about the Green Net, it is established in 1993 by the group of people wishing to support the environmental and social responsible business. In present, Green Net is one of the largest producers and wholesaler of organic food in Thailand. It also plays as important social enterprise in supporting sustainable development for a better livelihood of small-scale producers and consumers as well as a clean environment for Thailand. At present, there are over 20 product assortments (e.g. organic rice (majority product), vegetables, fruits, teas, cotton etc.) sold through approximately 40 retail outlets in Bangkok and around the country. Beside domestic market, Green Net Cooperative operates fair-trade exports to Europe and the nearby countries in Asia. Please see more detail about Green Net in Chapter 6, section 6.xx. Green Net is currently purchased from farmer groups in the North-eastern, Northern and Central regions of Thailand. Regarding organic rice, majority product, main organic rice price producers for Green Net are cooperatives in Yasothorn Province (North-eastern) , one of the largest organic rice provinces in Thailand, such as Naso Organic Rice Cooperative and Bakruea Organic Rice Cooperative. Therefore, this study is focused on these cooperativesà ¢Ã¢â ¬Ã¢â ¢ members who are small-scale farmers growing organic Jasmine rice as participant farmers. 2. The Royal Project (vegetable case study) The Royal Project (RP) has been playing as an important social enterprise in developing and promoting quality of life for the highland small-scale farmers in various aspects. The RP also becomes one of important agri-food suppliers for both domestic and international markets especially for low-chemical and organic products. The RP has developed the household subsistence farming into the commercial-based production under Good Agricultural Practice (GAP) emphasizing on quality and safety standards in all links of the supply chain. Therefore, the RP, as it now becomes, has represented the linkages between the small-scale farmers and modern trade markets to help themselves in growing useful crops which enable them to have a better benefits. Please see more detail about the Royal Project in chapter 6, section xxx. The RP have 4 research centres and 37 Agricultural Development Centres within 5 provinces in the North of Thailand as Chiang Mai, Chiang Rai, Lamphoon, Phayao and Mae Hong Sorn. The Agricultural Development Centre plays as a main collaboration centre between farmers and the RP to support the RP production and marketing plans. There are 27 Agricultural Development Centre in Chiang Mai (72.79%), 6 centres in Chiang Rai (16.22%), 2 Mae Hong Sorn (5.1%), 1 centre in Payao (2.70%) and 1 centre in Lampoon (2.70). In addition, there are 26,174 householdà ¢Ã¢â ¬Ã¢â ¢s members, 257 villages from 5 provinces, under 37 The RPFà ¢Ã¢â ¬Ã¢â ¢s development centres. Most farmers are in Chiang Mai (69.25%), Chiang Rai (16.27%), Lampoon (7.38%), Mea Hong Sorn (4.90%), and Phayao (1.51%) in ordered. Vegetable and fruit production are main income resources of the RP. In 2008, The RP had total income about 427.47 million Baht. The main income resource came from vegetables 56.29%, fruits and coffee 16.97% (coffee is about 4.61%), and flowers and trees 5.88%. Chinese cabbage is one of importance crops for the RP which is selling all the year to modern trade markets. Therefore, regarding to in-depth interviews and survey, this second case study is focused on the RP members who are Chinese cabbage producers in Chiang Mai province (Chiang Mai is one of the largest vegetable (cold weather vegetable) production areas in Thailand) as participant farmers. The participant famers come from 3 Agricultural Development Centres in Chiang Mai as Nong Hoi, M ae Hea, and .. The following table (Table 4) shows the summary of scope of the study. Table 4: Summary of scope of the study Phase of study Analysis Data sources Phase 1 :Qualitative Trends Changes in retail points policy. Documents/interviews from key informants, organizations and other administrations. Change in producer and supplier points, and contract policy. Documents/interviews from key-informants from supermarkets, suppliers and farmers. Phase 2: Quantitative Producers/Suppliersà ¢Ã¢â ¬Ã¢â ¢ access Small-scale producer analyses: Royal Project: vegetable producer Green Net: rice producer (Total is 240 farmers) Surveys of small-scale farmers who participate and non-participate with supermarkets, 60: 60 PER CASE STUDY 5. 5 Validity, Reliability and Practicability Regarding to data collection and research methods, one important issue to take into account in this study is that measurement tools used meet the criteria of validity, reliability and practicability. A research instrument meets validity criterion if it is able to measure what is supposed to measure; reliability if it provides accurate and stable measurements; and practicability if it is appropriate according to economic, convenience, and interpretability (Blandon, 2006; Cooper and Emory, 1995 and Robson, 1994). The quantitative research is usually associated with the terms of validity and reliability. On the one hand, qualitative research usually looks for alternative ways to deal with credibility issues (Blandon, 2005). The above measurement criteria are very difficult to evaluate. However, according to Janesick, 2000 and Robson, 1994, an alternative and important tool is triangulation which refers to the use of several data sources and/or the use of multiple methods in the resear ch. Therefore, in this research, qualitative data come from different sources (for example, supermarket, buyer, social enterprise, cooperative, NGOs, donor, farmer, public, private and academic research participants). In addition, several statistical and multivariate research techniques that facilitate methodological triangulation are used in the quantitative analyses. Furthermore, qualitative and quantitative results can mutually validate. Several authors have raised concern about the issue of selectivity bias, or self-selection bias (see example Ali and Abdulai, 2009, Mendola, 2007, Shankar and Thirtle, 2005), such as in this study farmers are not random assigned by the researcher into participation and non-participation groups, and instead self-select themselves into groups. There are many solutions to the selectivity problem, including Heckman correction models, panel data methods, etc. In this study, therefore, the propensity score matching method was used to be addressing t his issue. Finally, the practicability is also taken into account, especially for the quantitative phase, which was conducted in two case studies. The case studies selected for the survey are important social enterprises, which are most important producers/suppliers for modern trade markets in Thailand. In addition, kind of products and the geographical selections were very practical in terms of budget and crop season limitations as well as in term of socio-economic conditions. 5.6 Methods of Analyses The study has two parts of analysis methods, according to the objectives of the study, which organized into two empirical studies as the following; Value Chain Analysis; value chain mapping à ¢Ã¢â ¬Ã¢â¬Å" in order to achieve the objective 1 and 2. Econometric and Statistic Processing of Survey data à ¢Ã¢â ¬Ã¢â¬Å" in order to achieve the objective 3 and 4. 5.6.1 Value Chain Mapping The value chain mapping helped to understand the patterns of agri-food supply chains, forces and trends driving the future food value chain and market development, including the role of social enterprises in helping smallholders with food retail transformation in Thailand. There are many different dimensions of Value Chain Analysis techniques (see example Kaplinsky and Morris, 2002 and Roduner, 2004). However, this research followed the value chain work plan as the following. Value chain work plan This study adopted an approach follow a simple practical methodology borrowed from Miles (2002) and Holtzman (2002) found in the World Bankà ¢Ã¢â ¬Ã¢â ¢s online à ¢Ã¢â ¬Ã
âGuide to Developing Agricultural Markets and Agro-enterprisesà ¢Ã¢â ¬?.The development of a 9 steps work plan is the combination of these approaches that describing the sequence of efforts needed to construct a viable and representative value chain map for the selected case studies. A flow chart il lustrating the overall procedure is depicted in Figure 4. Figure 4. Employed work methodology: chain construction and sector analysis. Part I Establish initial understanding of commodity subsetor Product selection Step 1 Review of existing literature data Step 2 Preliminary interviews/fieldwork Step 3 Identification key issues questionnaire design Step 4 Drawing of preliminary (Value Chain) map Step 5 Part II Refine map and subsector understanding Extensive fieldwork: interview of chain actors Step 6 Visiting of physical facilities institutions Step 7 Quantification and refinement of map Step 8 Re-assessment of results by actors and map finalization Step 9 The value chain mapping helped to understand the patterns of agri-food supply chains, forces and trends driving the future food value chain and market development, including the role of social enterprises in helping smallholders with food retail transformation in Thailand. This methodology helped to understand the patterns of agri-food supply chains in Thailand. In addition, this part gained understanding of the patterns of agri-food supply chains in Thailand and business potential such as markets, inter-firm relationships, and critical constrains that limit small-scale farmers growth and industry competitiveness. à à ¸Ã
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With data on participants and comparable non-participants in place, these models estimated the following kinds of relationships: Probability of Participation = f(demographic, socio-economic, attitudinal variables) Here, demographic information included variables such as age, family size, education of household head, etc; socio-economic variables may include income, experience in farming, farm size, etc; attitudinal variables included a small number of scale variables that attempt to proxy the smallholderà ¢Ã¢â ¬Ã¢â ¢s welfare priorities, attitudes to risk, etc. Regression models of the determinants of farm economic outcomes (profits per rai). Profits per rai = f(farm variables, socio-economic and farmer variables, participation in modern trade chains). Th ese helped determine the effect of participation with social enterprise in producing for modern trade chains on key farm outcomes, while controlling for other variables that may affect outcomes. A selectivity/endogeneity problem is recognized in such estimation equations, and ways to overcome such problems was explored during analysis stage. In addition, the statistic tool; Factor analysis, was applied on collected survey data; Factor Analysis of the motivation and potential benefits of participant farmers including problems faced by participant farmers. This analysis helped us to look at factor of the motivation and problems faced by participant farmers. The factor interpreted by identifying the variables that have a large loading on the same factor. These methods are described below. 5.6.2.1 Probit regression analysis. In analysis of dependence when the dependent variable is discrete, choice or probability models are used. A particular dependent variable used in this research is the participation with social enterprise in producing for modern trade markets. Explanatory variables are used for determining the probability of the participation with social enterprise in producing for modern trade markets. Probit regression is associated with the estimation of the probability of participation (see example Lattin et al., 2003; Greene, 2000, and Blandon, 2007). To test the determinants of participation with social enterprise in production for modern trade, a probit model is estimated in which the dependent variable equals 1 if the farmer is participate with social enterprise in producing for modern trade markets, and zero otherwise: Yi* = ÃŽà ² Xi + ui , (1) where Y = 1 if Yi 0, otherwise Y = 0, and Probability (Yi = 1) = Probability (ui ÃŽà ² Xi) = 1 à ¢Ã¢â ¬Ã¢â¬Å" F(à ¢Ã¢â ¬Ã¢â¬Å" ÃŽà ² Xi), where F is the cumulative distribution function for uà [1]à . The ÃŽà ² are maximum likelihood estimates. For a description and discussion of the probit model, see, for example, Maddala, 1998, 22-27. The theoretical concept of the probit model application with a list of factors that were indentified from previous studies (see for example Braun, Hotchkiss and Immink, 1989 and Blandon, 2006) and the information provided by in-depth interviews and survey is the following: It is hypothesized that the choice to become a participant farmer was determined by the expected income increase, which can be assumed to be determined by the resource endowments of the farm (farm size, soil quality, land elevation, distance of farm from main road and distance of farm to market). In addition, income potentially earned non-farm determines the of opportunity cost of working on-farm. In the long-run, farmers are facing a choice of earning non-farm income versus on-farm work growing the labour intensive for modern trade crops, especially for organic farming. This choice is determined by the non-farm versus on-farm opportunity costs of family labour. Endowment of human capital and established non-farm employment opportunities determine these relationships for a specific household. It is further hypothesised that household labour force size and composition (womenà ¢Ã¢â ¬Ã¢â ¢s share) may be a factor for adoption. A higher share of womenà ¢Ã¢â ¬Ã¢â ¢s labour may enhance participation of the modern trade crop. Since the decision is mainly that of the male head of household, his age, education level, and experience in farm are other factors of hypothetical impact for the participation. Based on these hypotheses, the participation model is specified as follows: Participation = f (Hsize, Adult, Female, HHsex, Hhage, Hhedu, Expf, Froad, Fcoop, Fsize, Land, Qsoil, Hincome, Nfincome, NfinL, WealthIndex), where Hsize = hous e size (all members in the family), Labour = total labour available in the household (that is, persons of working age), Female = total female in the household Hhsex = sex of head of household (1 male, 2 female), Hhage = age of head of household (years), Hhedu = head of household education (years) Expf = head of household expericenc in farming (years), Froad = distance of farm from main road (km) Fcoop = distance of farm from cooperative (km) Fsize = farm size (rai). Land = land elevation (1very low land à ¢Ã¢â ¬Ã¢â¬Å" 4 high) Qsoil = soil quality (1 very bad à ¢Ã¢â ¬Ã¢â¬Å" 5 excellent) Hincome = yearly household income (Baht) Nfincome = non-farm income (%) NfinL = non-farm income from providing labour share (%) Wealth Index = calculated from house area and householdà ¢Ã¢â ¬Ã¢â ¢s assets e.g. car, bicycle and TV The empirical analysis was conducted using the STATA statistical package. The probit estimates can be used to der ive linear probability of participating modern trade crop product, which can be approximated by dF/dx (marginal effect). Table 5.xx is shown a list of socio-economic, farm characteristic variables and attitudinal variables? that hypothetically determine small-scale farmers participation with social enterprise in the modern trade chain which has been used in probit regression. This original set of variables has been chosen considering the literature review and the information provided by in-depth interviews and survey. (see for example Braun, Hotchkiss and Immink, 1989 and Blandon, 2006) Further discussion about these variables presented in the results (please see chapter 7: Results 1 Green Net, and Chapter 8: Results II -The Royal Project). The expected relationships of the explanatory variables and the probability of participating with social enterprise in modern trade chains are also presented in Table 5.xx. Table 5.xx à ¢Ã¢â ¬Ã¢â¬Å" Explanatory variables and descriptive statistics determining participation with social enterprise in producing for modern trade. Variables Description Expected Sign Type* Dependent Variable: Participation with Green Net (social enterprise) in production for modern trade 1=yes, 0 = no N/A Independent variables: House size (members in the family) person + SE Total labour available in household person ? SE Total females in house hold person SE Sex of head of household Male/Female ? SE Age of head of household Years ? SE Education of head of household Years + SE Experience in farm of head of household Years + SE Distance of farm from main road km FC Distance of farm from social enterprise km FC Area of farm size rai + FC Land elevation 1 very low land à ¢Ã¢â ¬Ã¢â¬Å" 4 high + FC Soil quality 1 very bad à ¢Ã¢â ¬Ã¢â¬Å" 5 excellent + FC Yearly household income Baht + FC Proportion of non-farm income % FC Proportion of providing labour share % FC Wealth Index scale + AV Note: * SE stands for socio-economic; FC for farm characteristics, AC for attitudinal variables 5.6.2.2 Regression analysis (Gross Margins Regression) This study used the simple form multiple regression analysis finding the best predicted by a linear combination of the possible explanatory variables to explain how the variation in farm economic outcomes (or dependent) variable, Y, depends on the variation in a predictor (or independent or explanatory) variable, X. The general regression model is given by: Yi = ÃŽà ²0 + ÃŽà ²iXi + ui where the values of ÃŽà ²0, ÃŽà ²i are called the regression coefficients and are estimated from the study data called least squares, explained by Lomaxà [2]à (1992). The regression models was employed to explore the determinants of farm economics outcomes which helped determine the effect of participation on key farm outcomes (profits per rai), while controlling for other variables that may affect outcomes. It is hy pothesized that the farm outcomes (profits per rai) was determined by the farm variables, socio-economic, farmer variables, and participation with social enterprise in production for modern trade. Based on the hypothesized, the profits per rai regression model is specified as follow: Profits per rai = f(farm variables, socio-economic and farmer variables, and participation with GN) The empirical analysis was conducted using the STATA statistical package. In addition, a selectivity/endogeneity problem is recognized in such estimation equations, and ways to overcome such problems will be explored in the next section (section 5.6.2.3). 5.6.2.3 Selectivity bias The above gross margin regression analysis explores the determinants of farm economics outcomes which help determine the effect of participation on key farm outcomes. There is however, one very important econometric issue with the gross margin regression which needs to be addressed. This is the issue of selectivity bias, or self-selection bias because farmers are not randomly assigned by the researcher into participation and non-participant groups, and instead self-select themselves into groups. In consequence, this profitability difference does not necessarily indicate that participant farmers have a positive impact on profits because it could be caused by selection bias. It is possible that more talented or more enterprising farmers tend to become members of Green Net. Since more talented farmers make higher profits than less talented farmers, it may appear that Green Net membership is increasing profits. In reality, it may be the higher underlying talent levels of participating farmers that creates extra profits. If this is true, then the regression coefficient of gross margins on participation would not really reflect the effect of participation, but rather the mix of the effects of participation and the underlying talent levels. There are many solutions to the selectivity problem, including Heckman correction methods, panel data method, etc. The method for this study is à ¢Ã¢â ¬Ã
âpropensity score matchingà ¢Ã¢â ¬?method. The basic idea behind propensity score matching method is as follows. The probit model of participation produces a probability of participation for every observation in the sample, including participants and non-participants. This predicted probability (called the propensity score) is based on the observed values for the independent variables and the coefficient estimates from the probit model. In one version of propensity score matching, every participant will be compared to a non-participant based on similarity of propen sity scores. Their outcomes will be compared, i.e, the difference between their gross margins will be computed. Once this is done for all participants, the differences will be averaged and reported as the average difference. This version is called à ¢Ã¢â ¬ÃÅ"nearest neighbourà ¢Ã¢â ¬Ã¢â ¢ matching (NNM). The intuition is that, controlling for the probability of participation, ie., comparisons of participants and non-participants with similar propensity scores, is similar to random assignment to control and treatment groups. There are other versions of propensity score matching. Another method is called à ¢Ã¢â ¬ÃÅ"kernel-basedà ¢Ã¢â ¬Ã¢â ¢ matching (KBM). Here, the outcome of each participant is compared to the weighted average outcomes of all non-participants, where the weights depend on the probability of participation. The output will show a row called à ¢Ã¢â ¬ÃÅ"ATTà ¢Ã¢â ¬Ã¢â ¢, the average treatment effect on the treated. The value in this row s hown as à ¢Ã¢â ¬ÃÅ"differenceà ¢Ã¢â ¬Ã¢â ¢ is the average difference between gross margins of participants and non-participants after matching. It also gives a t-statistic that used for doing a t-test. This study employs statistical matching to address the problem of selection bias. This involves pairing participants and non-participants that are similar in terms of their observable characteristics (Dehejia and Wahba, 2002). When outcomes are independent of assignment to treatment, conditional on pretreatment covariates, matching methods can yield an unbiased estimate of the treatment impact (Ali and Abdulai, 2010). It follows that the expected treatment effect for the treated population is of primary significance. This effect may be given as à ââ¬Å¾ I I=1 = E (à ââ¬Å¾ I I = 1) = E (R1 I I = 1) E (R0 I I = 1) whereÃâà à ââ¬Å¾Ãâà is the average treatment effect for the treated (ATT),Ãâà R1Ãâà denotes the value of the outcome for p articipant farmers and R0Ãâà is the value of the same variable for non-participant farmers. As noted above, a major problem is that we do not observe E (R0 I I = 1).Ãâà Although the difference [ à ââ¬Å¾e = E (R1 I I = 1) E (R0 I I = 1) ] can be estimated, it is a potentially biased estimator. In the absence of experimental data, the propensity score-matching model (PSM) can be employed to account for this sample selection bias (see for example Ali and Abdulai, 2010; Dehejia and Wahba, 2002). The PSM is defined as the conditional probability that a farmer participation, given pre-participation characteristics (see for example Ali and Abdulai, 2010; Rosenbaum and Rubin, 1983). To create the conditions of a randomised experiment, the PSM employs the unconfoundedness assumption also known as conditional independence assumption (CIA), which implies that onceÃâà ZÃâà is controlled for, participation is random and uncorrelated with the outcome variables as poin ted out by Imbens and Wooldridge (2009).Ãâà The PSM can be expressed as, p(Z) = Pr {I = 1IZ} = E{I I Z} Where I = {0, 1}Ãâà is the indicator for participation andÃâà ZÃâà is the vector of pre-participation characteristics. The conditional distribution ofÃâà Z, given p(Z) is similar in both groups of participants and non-participants. The empirical analysis was conducted using the STATA statistical package. 5.6.2.4 Factor analysis This analysis explores the motivation and main problems faced by participants farmers. The respondents were presented with a list of factors indentified from the literature, focus group and in-depth interviews suggesting potential problems faced by small-scale farmers. They were asked to indicate the important each issue on a Likert scale ranging. First, the mean important score method was used to indicate the important motivation and main problems faced by participant farmers. Then, to enable the factor of participation and problems faced by participant farmers to be better understood and classified into subsets, the importance score were subjected to Factor Analysis. Factor analysis is a multivariate method of exploring the structure of data with the object of data reduction and interpretation, particularly in marketing research which may consist of a number of variables and must be reduced to a manageable level. Therefore, factor analysis allows us to look at a group of va riables that tend to be correlated to each other and allows us to indentify underlying dimensions that explain these correlations (Malhotra, 2007). In terms of the results, the variables included in this analysis were categorised into groups of variables. The next step is testing the appropriateness of the factor model. The useful statistic is the Kaiser-Meyer-Olkin (KMO), which normally states that a value of KMO greater than 0.5 indicates that the correlation between the pair of variables is desirable. Once the factor analysis demonstrated that it is a proper technique for analysing the data, Principle Component Analysis (PCA), which is one of the most common approaches of factor analysis, is implemented due to the recommendation for the data use in subsequent multivariate analysis. The small numbers of variables were extracted from PCA, which there are several procedures for determining the number of factors (or so-called, principle components). The common approaches are based on Eigenvalue, scree plot (a plot of the Eigenvalue against the number of factors) and the percentage of variance, etc. The first determination is done by only using factors with an Eigenvalue equal to 1 or greater in the analysis. Finally, the factor can be interpreted by indentifying the variable that have a large loading on the same factor. In addition, the factor rotation following the à ¢Ã¢â ¬Ã
âVarimaxà ¢Ã¢â ¬? method by means of orthogonalization of the factor can help the interpretation to become simpler and more accurate (Malhotra, 2007). The empirical analysis was conducted using the SPSS statistical package Finally, the study gathered together the value chain analysis (supply chain map) and discussions from the first stage, and the quantitative insights from the second stage to comment on what has been added to the existing stock of knowledge on smallholders coping with food transformation and the role of social enterprises, and make broad policy reco mmendations for the sector. Table 5.xx Decision tree of analysis techniques: 1. Quantitative Analysis Econometric methods Research Questions Number/kind of dependent variable Number/kind of independent variables Analytic strategy Goal of analysis RQ7 Multiple (discrete) Multiple (continuous) Probit Analysis InverseÃâà cumulative distribution functionÃâà associated with the standardÃâà normal distribution RQ9 Multiple (discrete) Multiple (continuous) Multiple Regression: Gross Margin Regression Relationship between several independent or predictor variables and a dependent or criterion variable Strategy: Propensity score matching method Solve the problem of selectivity bias, or self-selection bias Statistic methods Research Questions Variables Analytic strategy Goal of analysis RQ8 Multiple (continuous) Factor Analysis Correlation linear combination of dependents variables with independent variables RQ8 Significant difference of mean scores? Strategy: Wilcoxon Signed rank (0.05%) Significant difference of paired mean scores 2. Qualitative Analysis Research Questions Index Analytic strategy Goal of analysis RQ1, RQ2, RQ3 RQ4, RQ5, RQ6 FIGURES xxxxxxxxxxxxxxxxxxxxxxxxxxxxx Xxxxxxxxxxxxxxxxxxxxxxxxxxxxx TABLES xxxxxxxxxxxxxxxxxxxxxxxxxxxxx Xxxxxxxxxxxxxxxxxxxxxxxxxxxxx Value Chain Analysis Strategy: supply chain mapping technique Understanding the patterns of agri-food value chains and business potential such as markets, relationships, and critical constrains that limit small-scale farmers growth and industry competitiveness. 5.7 Conclusions In this chapter the data used and research methodology in this study were presented and discussed. The data collection was divided into four stages (2 phases) in order to facilitate the achievement of research objectives. Both qualitative and quantitative information was collected. The first one consisted of secondary information and in-depth interviews (using semi-structured questions) with different players of the agri-food value chains and social enterprises in Thailand. This information was very useful for making a general characterization of the agri-food value chain restructuring and the role of social enterprises in helping small-scale farmers participate with the modern trade markets as well as for designing the questionnaire used for collecting quantitative data through a survey of participant and non-participants farmers in the modern trade chains. In the same way, qualitative information complements and helps to interpret quantitative results. A summary and discussion of quantitative methods were provided in this chapter. Probit regression analysis can assess the determinant factors of small-scale farmers participating with social enterprise in producing for modern trade markets. Gross margin analysis and selectivity bias methods can compare the profitability of participant and non-participant farmers. Moreover, the mean importance scores and Factor Analysis can assess the impact on farmers of a number of problems (variables) faced by small-scale farmers. The following chapters (Chapter 7 and Chapter 8) place the study within the findings regarding the characterization of the agri-food value chain and the role of social enterprises in Thailand.
Friday, December 27, 2019
Art Exhibition Art Museum - 2374 Words
Jennifer Vo Professor Worley ARTS 1303 29 December 2014 Art Museum Essay Assignment Among the many artworks I have seen, I decided to discuss about the ââ¬Å"Sarcophagus Depicting a Battle between Soldiers and Amazons (Warrior Women)â⬠from the Roman civilization. It was built sometime in between 140 A.D. to 170 A.D and is approximately forty and a half inches in length, ninety-one and a half inches in width, and fifty and a half inches tall in height (ââ¬Å"Roman Sarcophagusâ⬠). This masterpiece appealed to me because of the unique approach that has been designed to honor the deceased. Many people are familiar with the formatting and inscriptions of a gravestone because it is usually engraved with an individualââ¬â¢s full name, birth date, and death date. During the Roman Empire, a sarcophagus, which is a coffin, was widely used to show decorative themes that includes: battle scenes, hunting scenes, weddings, or other memorable episodes from the life of the deceased individual. The most luxurious ones were made from marble surrounded by symbolic scul ptures, figures and inscriptions on all four sides (ââ¬Å"Sarcophagusâ⬠). Another feature that captured my attention was the large quantity of details used to bring out a lifelike aspect of the deceased individualââ¬â¢s favorable moments in their life. In this artwork, this sarcophagus was dedicated to a Roman commander. The exterior of the sarcophagus has been well-decorated and carved with exquisite details depicting a battle sceneShow MoreRelatedThe Museum Of Art Exhibitions1753 Words à |à 8 PagesLast week I decided to visit one of the most well-known art exhibitions in Dallas. As I entered the Dallas Museum of Art I was immediately captivated by the striking and vivid acrylic mural on the walls created by Nicolas Party entitled Pathway. Party said to have worked on-site at the exhibit for three weeks to transform the Museum s central pathway into a mesmerizing, lively colored forest; it was such a contrast to the rest of the exhibitââ¬â¢s entrance. Straight ahead was the Nancy and Tim HanleyRead MoreMuseum Of Modern Art ( Moma ) : Soundings Exhibition2121 Words à |à 9 Pages3. Museum of Modern Art (MOMA): Soundings Exhibition Soundings is an interactive website from the Museum of Modern Art (MOMA) where users contribute to the exhibition by uploading their own content. It features an interactive map (fig. 10) for users to upload their own soundbites to specific locations around the world. This interactivity adds a collaborative element to the Soundings exhibition, allowing the user to make the exhibition more personal and to participate in the process of meaning-makingRead MoreThe Korean Art Exhibition At The Los Angeles County Museum Of Art1099 Words à |à 5 PagesConfucianism and Buddhism have been most influential in ancient Korea prior to the onset of Japanese colonialism. The Korean Art Exhibition at the Los Angeles County Museum of Art showed multiple ritual objects such as incense burners and ritual bottles (kundika) used in Buddhist practices during the KoryÃ
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Thursday, December 19, 2019
Rhetorical Analysis Of Queen Elizabeth I - 726 Words
Although England faces the menace of the impending Spanish invasion, Queen Elizabeth I reassures her troops that if they commit themselves to the British cause England will be victorious over the Spanish, therefore she incentivises her troops with the promise of honor, glory and wealth. Her purpose is to convince her troops to risk their lives for the safety of England. She accomplishes this by persistent use of parallelism and appeals to ethos. Queen Elizabeth open her speech establishing her relationship with her troops in a warm and affectionate tone. She utilises compassion to counteract the severity of Spanish invasion which she addresses in the sentences that follow. She does this to quell her troop concern about the invasion andâ⬠¦show more contentâ⬠¦Queen Elizabeth then rallies her troops further by placing her hope and faith on their shoulders as she assures that England shall fight valiantly against any country who dares to invade its domain. She then repeatedly emphasizes that she will be accompanying her troops on the field to once again highlight that they, Queen Elizabeth and her troops, are united against the Spanish threat. She also places moral pressure on her troops to fight whole heartedly for the British cause as she repeated states that she will be the judge of her troops actions on the field. She then appeals to pathos by showing empathy to her troops as she acknowledges the valor exhibited by their previous accomplishments. Her statement also serves to recognize the importance of her troopsââ¬â¢ job. By taking the time to praise them for their work, she ensures the credibility of her next statement that her troops ââ¬Å"shall be duly paidâ⬠which effectively incentives her troops to fight in the name of the British crown because of the promise of wealth. She then goes on to assure the credibility of her lieutenant general, who will command the troops in her stead, as she commends him by referring to him as her most noble and worthy subject. She does this to eliminate any skepticism directed at her lieutenantShow MoreRelatedSimilarities Between Winston Churchill And Queen Elizabeths Speech914 Words à |à 4 PagesQueen Elizabeth and Winston Churchill are both famously known in history but also for their speeches given. Queen Elizabeth was taxed with the task of rallying British commoners, many of them untrained farmers, to battle the Spanish Armada as they clos ed in on the coast of England in 1588. In 1940, three days into his new appointment as Prime Minister, Winston Churchill faced the daunting task of unifying the country during Britainââ¬â¢s involvement in World War II. 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His letter to the king and queen were also full of flattery that it was hard to believe that they came from the pen of such an intellectual man. Though he was wise yet he showed certain incapacity of emotions and this trait can also be witnessed in his essays. He took the purelyRead MoreRethinking Mercantalism Essay15042 Words à |à 61 PagesN. Pearson, ââ¬Å"Merchants and States,â⬠in The Political Economy of Merchant Empires: State Power and World Trade, 1350ââ¬â1750, ed. James D. Tracy (Cambridge, 1991), 41ââ¬â116, esp. 93. rethinking mercantilism 9 nizing principle. After pages of analysis of what had formerly been termed ââ¬Å"mercantilist policies,â⬠C. G. A. Clay paused to note that mercantilism ââ¬Å"has been the subject of much historical debateâ⬠and was a term ââ¬Å"coined long after 1700 to describe economic policies characteristic of both
Tuesday, December 10, 2019
Ethics Arthocare Corporation- Free Solution At MyAssignment Help
Question: Discuss about the Report for Ethics of ArthroCare Corporation. Answer: Part 1: Description The report portrays a case of ethical dilemma that I had to face in the workplace. In 2004, I joined the Arthrocare Corporation and started work as a management trainee. After my joining, a situation of ethical dilemma occurred within the organization. I noticed that the CEO (Michael Baker Former) and CFO (Michael Gluk former) of ArthroCare Corporation were involved in fraud of massive fraud scheme that is popular in business circles as channel stuffing. Baker and Gluk both were abusing their position of trust to enrich themselves illegally. The fraud scheme adopted by the CEO and CFO of the firm was dangerous to the employees, shareholders and investors of the firm. In this fraud scheme, at the end of each quarter, they replace millions of unnecessary medical devices with distributors in order to represent the false financial statement of ArthroCares (Calkins and Ratcliffe, 2014). Moreover, the distributors were also agreed to stock these extra medical devices because the company ma de it profitable to do so. At the same time, the company was also provided fees or generous terms to pay of distributors those were taking extra medical devices. At the same time, ArthroCare was also provided return options to distributors at no cost term if they did not able to sell medical devices. This long-running fraud scheme and misrepresentation sales contributed into the significant growth of ArthroCare that ascended its stock price (The Federal Bureau of Investigation, 2014). Baker and Gluk also provided false information about the stock to investors and market analysts of the firm. The CEO (Baker) of the company was plowing a big hole to maintain the stocks at inflated price that may show the false financial statement of ArthroCares. Moreover, in July 2008, the fraud was getting too big and it is out of control, so the corporation declared that it would repeat previous reported financial statements as an internal investigation of results. As a result, the price of shares dropped sharply that result immediately loss of more than $400 million shareholders value, but the actual total losses of more than $750 million (Calkins and Ratcliffe, 2014). This situation influenced the employees, investors, shareholders, banks and so on those were related to the firm. Moreover, it also broke the trust of the people who have a big faith in the firm. It was very shameful for me that I was working with such type of organization. At the same time, in 2011, the FBI opened a case on both Baker and Gluk. FBI investigated thousands of paper, electronic records, and documents over the next three years to find out the actual loss of investors or shareholders. Moreover, the FBIs San Antonio Field Office took interview of distributors, investors, and other individuals to find out the evidences. After a four-week trial, in June 2014, a federal jury convicted to Baker and Gluk. Furthermore, the Federal jury gave 20 years and 10 years prison as well as fine of $1 million and $50,000, respectively (The Federal Bureau of Investigation, 2014). I will rate 1 because of I am agree and also happy with the decision of the Jury. Part 2: Analysis There are numerous ethical theories that are used in todays business organizations to resolve the situation related to an ethical dilemma. For case, egoism, utilitarianism, and deontology are the important ethical theories that are helpful for the organizations in order to solve a situation of ethical dilemma in an effective and a more comprehensive manner. Apart from this, these ethical theories also play a major role to reduce the conflicts among the members of the firm. Moreover, these ethical theories also motivate all the people of an organization to perform all the business activities in an ethical manner. They should take care of ethics and morals to do all the business activities properly. The main theories of ethics are discussed as below: Egoism: Ethical egoism refers as a normative theory. As for a little while back illustrated, it recommends, favors, praises a specific sort of movement or motivation, and dishonors a substitute kind of motivation. It has two adjustments: individual moral selfishness and in addition all inclusive moral vanity. Pride logic depicts good and bad as far as the impacts to self. A braggart rationality would measure a moral issues or situation as far as how various types of activity or business choice would influence self-enthusiasm of the business (Reidenbach and Robin, 2013). This reasoning suggests that the business moral commitment is to make a benefit with take after the law. Psychological egoism is as much a hypothesis about who we are as individuals as it is a hypothesis of how we should act. It is an endeavor to give one basic clarification of human inspiration and conduct. Mental Egoism is the hypothesis that each human activity is roused without anyone else interest. This hypothesis expressed that the ethically right activity is the one that creates the greatest equalization of good over malevolence for oneself (sterberg, 2012). What's more, mental pride sees that the rationale in every one of our activities is self-interest. Moral vanity is not synonymous with narrow-mindedness or liberality. In this case, Michael Baker former CEO and Michael Gluk former CFO of ArthroCare Corporation were sentenced to 20 years as well as 10 years in prison, respectively for crime related to massive fraud scheme that cost $750 million losses of shareholders. ArthroCare Corporation both former top executives were declared criminal or fraud person in behalf of they was included in wire fraud and securities fraud that impacted on the shareholders money (Dwell, 2013). So, on the basis of this case summary and psychological Egoism theory application, ethical dilemma is identified, due to the unethical behavior of the CEO and CFO of Arthrocare Corporation. Moreover, Baker and Gluk both was only the responsible person of this ethical dilemma, so the jury of the court punished both of them for this corporate fraud (Smith, 2008). In Psychological Egoism, both top executives were misused its title or position and has not provided correct financial information of the investors, so it is unethical behavior of the business aspects. According to Psychological Egoism theory, not only the CEO and CFO of the company, but also the internal and external auditors were responsible for corporate fraud and losses of investors. In the case of internal and external auditors has been performed their roles and duties in ethically and effectively then the CEO and CFO were not able to do fraud with stakeholders (Broad, 2014). If the internal and external auditors has been performed their roles and duties in proper way then they would have protected the investors from the CEO and CFO fraud through identify this fraud and misstatement of financial data or information. Moreover, it indicated the shortfall on internal or external auditors in this case that contributed into the corporate fraud and misleading of investors by executives Baker and GluK. Utilitarianism: Utilitarianism is an ethical system or a moral theory. In addition to this, the main objective of utilitarianism is to generate the greatest amount of delight to the highest amount of people (Dion, 2012). Moreover, it believes that the most ethical thing to carry out is to maximize the happiness within a society. Utilitarians accept that activities have measurable results and that moral decisions have conclusions which prompt the most joy to the most parts of a society. On the other hand, Utilitarianism is frequently considered a "consequentialist" philosophical standpoint on the grounds that it both accepts that conclusions can be anticipated and on the grounds that it judges activities focused around their results. For this reason, utilitarianism is frequently connected with the expression 'the ends justify the means (Ismail, 2012). At the same time, during the investigation and trial, it is found that this fraud scheme of ArthroCares deep-reaching and irreparable harm to thousands of victims. The FBIs San Antonio Field Office mentioned in this investigation report that thousands of victims will never recover their money those they loosed due to the misleading or misinformed of Baker and Gluk. Special agent Tom Hetrick, of the San Antonio Division that worked in investigation also mentioned that the CEO and CFO would not behave ethically, legally, and misused its title or position that harm many victims, so this kinds of corporate fraud is not acceptable at any situation (Reinstein and Leibowitz, 2014). So, on the basis of Utilitarianism theory, ethical dilemma is identified, due to the unethical behavior of the CEO and CFO of Arthrocare Corporation. Moreover, Baker and Gluk both was only the responsible person of this ethical dilemma, so the jury of the court punished both of them for this corporate fraud (Goza, 2013). In addition, both top executives were misused its title or position and has not provided correct financial information of the investors, so it is unethical behavior of the business aspects. According to utilitarianism theory, investigators and the court jury also found that the CEO and CFO did not behaved legally, ethically, as well as misused its title or position, so they were responsible for this corporate fraud, so that the jury punished both of them. Moreover, the CEO and CFO did not provided correct information or mislead with investors and market analysts as well as they have not faced any guilty of their unethical behavior that indicates the ethical dilemma situation in this case (Knipe and Bitter, 2011). Baker and Gluk have not properly or ethically fulfilled their responsibilities and duties that represent the ethical dilemma situation. Deontology: Deontology is an ethical system that generally ascribed to the idealistic custom of Kant. For instance, the utilitarianism ethical theory concentrates on ends of activities, deontology describe that the activities, or means should be moral. Along with this, Deontologists contend that there are inspirational moral standards as well as truths that are generally appropriate to individuals (Dunn, 2015). Deontology describes that a few activities are indecent paying little heed to their conclusions; these activities aren't right all by themselves. On the other hand, Kant provides a categorical imperative to do something ethically. Moreover, Kant accepts that all individuals reach moral decisions about good and bad focused around sane thought. Deontology is generally connected with the adage 'the means must justify the ends. Along with this, deontological morals hypothesis has three imperative qualities. Initially, obligation ought to be finished for the purpose of obligation (Lin, Pizzini, Vargus and Bardhan, 2011). Second, people ought to be dealt with as substance of intrinsic good esteem; and third, an ethical guideline is an unequivocal basic that is universalizable. On the basis of deontology theory, in this case, internal auditors were also responsible for this corporate fraud because without their approval of financial statements and financial information the company has not produced them publicly. At the same time, internal auditors have neglected or not considered massive fraud scheme as well as they has not performed properly their duties to identify the weakness or misinformation in fiscal statements that indicates shortfall of on internal auditors. According to deontology theory, external auditors also have not behaved ethically and not able to identify fraud or error in the company (Shaw, 2016). So, in this case, internal or external auditors shortfall or weakness identified because they was not able to identify fraud of executives or error in financial statements. On the basis of deontology theory, in this case, mainly the investors or creditors have been impacted on the Arthrocares fraud. This corporate fraud mainly impacted on the stakeholders or investors as they faced losses of their money or returns due to the rapidly decline in the companys share value as results of corporate fraud. Arthrocares fraud or actions caused harm to thousands of victims and these victims will never recover their financial loses. The deontology theory indicated that this corporation fraud not only impacted on their shareholders, but also impacts on other companies stakeholders as they loosed their trust on public companies or stock market (Hackett, 2009). The deontology theory expressed that this fraud impacted on the overall share market growth and trust of investors on market that also affected on the growth of the economy and local government taxes or revenues. Part C: Reflection On the basis of the ethical dilemma case that is given in the part one of this paper, I come to know that there were a lot of internal weaknesses within the organization. In this case, it is clear that both CEO (Michael Baker former) and CFO (Michael Gluk former) of ArthroCare were misusing their power and position. They only want earn money and they were ready to perform illegal activities for their profits. As it is given that Michael Baker and Michael Gluk were running a fraud scheme for the duration of 2005- 2009 and they placed unnecessary medical to represent the false financial statement. This is the major unethical activity conducted by the CEO and CFO of the firm. Moreover, the Utilitarianism theory of ethics makes me happier with the decision I made in Part 1. The main reason behind it is that this theory focuses on the greatest amount of pleasure to the people and this thing is essential for the overall development of an organization (MacKinnon and Fiala, 2014). On the other hand, I also come to know that financial statement represent the overall performance as well as efficiency of an organization in from of the existing as well as potential investors of the firm. But, in this case, the false financial stamen may have a big impact on the decision of the investors of the organizations. Along with this, I also come to know that shortcuts or unethical ways to earn profits are very harmful for the health of the organizations. They may provide profits for a short duration only but not able to exist in the long term. Apart from this, the Egoism theory of ethics makes me less happy with the decision I made in Part 1. It is because of this theory involves innocent people if an ethical dilemma occurs in the organization (Shafer-Landau, 2012). As in this case, we can see that, with the help of unethical business activities, the market price, stock price, and profitability of the firm increased very quickly. But, at last, these unethical activities become the major reason of the high losses of the business. In addition to this, with the help of this case, I also come to know that, in starting, the unethical activities are profitable for all the people those are involved. But, at last, these unethical activities become the reason of death for the people. Moreover, if I were in that same situation again then I would make the same decision again. It is because of punishment is essential if a person performs unethical activities to earn money. For case, due to the greedy nature, the CEO and CFO of the firm, the reputation and image of the firm dropped in a more rapid way. Also, they were obliged to pay a fine of $1 million that was more than the profits they earned. Moreover, they also got punishment by the Federal jury. The punishment of prison t may be very shameful for a person. For that reason, I am pleased with the decision of the jury in this case. References ArthroCare Corporation. (2009). History. Available At: https://www.arthrocare.com/about_us/au_history.htm Broad, C. D. (2014). Five types of ethical theory (2nd ed.). USA: Routledge. Calkins, L.B. and Ratcliffe, R.G. (2014). ArthroCare Ex-Chief Baker Gets 20-Year Term for Fraud. Available At: https://www.bloomberg.com/news/2014-08-29/arthrocare-ex-chief-baker-gets-20-year-term-for-fraud.html Dion, M. (2012). Are ethical theories relevant for ethical leadership?. Leadership Organization Development Journal, 33(1), 4-24. Dunn, W.N. (2015). Public Policy Analysis. NY: Routledge. Dwell, M. (2013). Bioethics: Methods, Theories, Domains. NY: Routledge. Goza, R. (2013). The Ethics of Record Destruction. Journal of Management, 14(6), 107. Hackett, S.C. (2009). The Rediscovery of the Highest Good: A Philosophical and Critical Ethic. Australia: Wipf and Stock Publishers. Ismail, T. H. (2012). Internal auditors' perception about their role in risk management audit in Egyptian banking sector. International Journal of Economics and Accounting, 3(2), 196-220. Knipe, P. J. and Bitter, M. E. (2011). The Central Florida Emphysema Foundation Audit: A Case Study of Personal and Professional Responsibility. Issues in Accounting Education, 26(2), 377-389. Lin, S., Pizzini, M., Vargus, M. and Bardhan, I. R. (2011). The role of the internal audit function in the disclosure of material weaknesses. The Accounting Review, 86(1), 287-323. MacKinnon, B. and Fiala, A. (2014). Ethics: Theory and Contemporary Issues. USA: Cengage Learning. McDonald, G. (2014). Business Ethics. Australia: Cambridge University Press. sterberg, J. (2012). Self and Others: A Study of Ethical Egoism. USA: Springer Science Business Media. Reidenbach, R. E. and Robin, D. P. (2013). Some Initial Steps Toward Improving the Measurement of Ethical Evaluations of Marketing Activities. In Citation Classics from the Journal of Business Ethics (pp. 315-328). Springer Netherlands. Reinstein, A. and Leibowitz, M. A. (2014). Examining How Auditing Text Books Cover the AICPAs Conceptual Frameworks for Ethics. Applied Economics and Finance, 1(2), 65-70. Shafer-Landau, R. (2012). Ethical Theory: An Anthology. UK: John Wiley Sons. Shaw, W.H. (2016). Utilitarianism and the Ethics of War. NY: Routledge. Smith, J.D. (2008). Normative Theory and Business Ethics. Australia: Rowman Littlefield Publishers. The Federal Bureau of Investigation. (2014). A Case of Corporate Greed: Executives Sentenced in $750 Million Fraud Scheme. Available At:https://www.fbi.gov/news/stories/2014/september/a-case-of-corporate-greed/a-case-of-corporate-greed
Tuesday, December 3, 2019
Summary To Preface To The Lyrical Ballads Essay Example
Summary To Preface To The Lyrical Ballads Paper In his Preface to the 1798 edition of the Lyrical Ballads, Wordsworth presented his poetic manifesto, indicating the extent to which he saw his poetry, and that of Coleridge, as breaking away from the artificiality, triviality or over-elaborate and contrived quality of eighteenth-century poetry. The Preface is itself a masterpiece of English prose, exemplary in its lucid yet passionate defense of a literary style that could be popular without compromising artistic and poetic standards. Yet it is also vital for helping us to understand what Wordsworth and Coleridge were attempting in their collection of verse, and also provides us with a means of assessing how successfully the poems themselves live up to the standards outlined in the Preface. The Preface covers a number of issues and is wide-ranging in its survey of the place of the Lyrical Ballads on the contemporary literary scene. The topics covered include the following: 1. The Principal object of the poems. Wordsworth, in this extract, places the emphasis on the attempt to deal with natural (rather than cosmopolitan) man, arguing that such men live much closer to nature and, therefore, are closer to the well-springs of human nature. Behind this, we can see how much Wordsworth owes to that eighteenth-century preoccupation with natural Man, associated particularly with the writings of Rousseau. He sees his poetry, in its concerns with the lives of men such as Michael, as an antidote to the artificial portraits of Man presented in eighteenth-century poetry. The argument is developed when he outlines his reasons for dealing with humble and rustic life. 2. For Wordsworth (and Coleridge) this choice of subject matter necessarily involves a rethinking of the Language of poetry. Note, however, that Wordsworth admits to some license in tidying up the language of ordinary men. Does this affect the persuasiveness of his theories about natural men? 3. This leads Wordsworth to an attempt to define poetry and its effects on the reader. Wordsworths project is an idealistic one, and clearly Poetry, for him, has a vital role in educating the mind and sensibility of his readers, a moral purpose. This quotation illustrates how important this benevolent effect is for the reader. 4. Inevitably, perhaps, the above leads Wordsworth towards asking What is a Poet? His answer illustrates the underlying assumptions about the poet as the genius, as the special person, capable of re-articulating thought and feeling so as to educate the reader. Glossary Object We will write a custom essay sample on Summary To Preface To The Lyrical Ballads specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Summary To Preface To The Lyrical Ballads specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Summary To Preface To The Lyrical Ballads specifically for you FOR ONLY $16.38 $13.9/page Hire Writer The principle object, then proposed in these poems was to choose incidents and situations from common life, and to relate and describe them, throughout, as far as possible in a selection of language really used by men, and , at the same time, to throw over them a certain colouring of imagination, whereby ordinary things should be presented to the mind in an usual aspect; and, further,, and above all, to make these situations and incidents interesting by tracing in them, truly though not ostentatiously, the primary laws of our nature: chiefly as regards the manner in which we associate ideas in a state of excitement. Humble and rustic life Humble and rustic life was generally chosen, because in that condition, the essential passions of the heart find a better soil in which they can attain their maturity, are less under restraint, and speak a plainer and more emphatic language; because in that condition of life, our elementary feelings co-exist in a state of greater simplicity, and consequently, may be more accurately contemplated, and more forcibly communicated; because the manners of rural life germinate from these elementary feelings, and, from the necessary character of rural occupations, are more easily comprehended, and are more durable; and lastly, because in that condition the passions of men are incorporated with the beautiful and permanent forms of nature. Language The language, too, of these men has been adopted (purified indeed from what appear to be its real defects, from all lasting and rational causes of dislike and disgust) because such men hourly communicate with the best objects from which with the best part of language is originally derived; and because, from their rank in society and the sameness and narrow circle of their intercourse, being less under the influence of social variety, they convey their feelings and notions in simple and unelaborated expressions. Accordingly, such a language, arising out of the repeated experience and regular feelings is a more permanent, and a far more philosophical language, than that which is frequently substituted for it by Poets, who think that they are conferring honor upon themselves and their art, in proportion as they separate themselves from the sympathies of men, and indulge in arbitrary and capricious habits of expression, in order to furnish food for fickle appetites, of their own creation . Definition of poetry For all good poetry is the spontaneous overflow of powerful feeling: and though this be true, Poems to which any value can be attached were never produced on any variety of subjects but by a man who, being possessed of more than usual organic sensibility, had also thought long and deeply. For our continued influxes of feeling are modified and directed by our thoughts, which are indeed the representative of all our past feelings; and, as by contemplating the relation of these general representatives to each other, we discover what is really important to men, so by the repetition and continuance of this act, our feelings will be connected with important subjects, till at length, if we be originally possessed of such sensibility, such habits of mind will be produced, that by obeying blindly and mechanically the impulses of these habits, we shall describe objects, and utter sentiments of such a nature, and in such connection with each other, that the understanding of the Reader must nece ssarily be in some degree enlightened, and his affections strengthened and purified. What is a Poet? He is a man speaking to men: a man, it is true, endowed with more lively sensibility, more enthusiasm and tenderness, who has a greater knowledge of human nature, and a more comprehensive soul, than one supposed to be common among mankind; a man pleased with his own passions and volitions, and who rejoices more than other men in the spirit of life that is in him; delighting to contemplate similar volitions and passions as manifested in the goings-on of the Universe, and habitually compelled to create them where he does not find them. To these qualities he has added a disposition to be affected more than other men by absent things as if they were present; an ability of conjuring up in himself passions, which are indeed far from being those produced by real events yet (especially in those parts of the general sympathy which are pleasing and delightful) do more nearly remember the passions produced by real events, than anything which, from the motions of their own minds merely, other men are accustomed to feel in themselves:- whence, and from practice, he has acquired a greater readiness and power in expressing what he thinks and feels, and especially those thoughts and feelings which, by his own choice, or from the structure of his own mind, arise in him without immediate external excitement.
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