Thursday, October 31, 2019

Critically assess Lyotard's 'incredulity towards metanarratives', Essay

Critically assess Lyotard's 'incredulity towards metanarratives', - Essay Example The definition that Lyotard gave toward the incredulity toward metanarratives was based first on the postmodernist philosophies and definitions. Lyotard believed that postmodernism was creating a culture that didn’t have value, definition or understanding that moved beyond the basic theories and into other practicalities. The approach which Lyotard gave was on the inability to create a relationship between the living conditions from the main aspects of culture, specifically because the perspectives were limited to the form and the historical ideologies of the metanarrative. The opposition that Lyotard had toward the structure was based on the inability to effectively look at the cultural problems and instead use the form and the historical knowledge as a way of giving information that wasn’t legitimate (Fraser, Nicholson, 1989: 83). Another concept which Lyotard believed created incredulity to the metanarrative was based on the perspective which was given with the viewp oints taken. The historical approach, use of form and the philosophies which were given were provided for a specific audience. From the perspective of Lyotard, this immediately created boundaries because of the sociocultural audience which was interested in the narrative. At the same time, the perspective limited meaning, scientific truth, philosophies and beliefs because of the approach which was taken. The opposition which Lyotard had was based on the limiting features and the inability for the descriptions to reach a sense of philosophical meaning which was pertinent and which was enlightening to those that were looking at the metanarrative. The concept of enlightenment philosophy, according to Lyotard, held consequences when using the metanarrative as the basis (Thompson, 1993: 325). The inability to believe the metanarrative because of boundaries which were created as well as the focus of the descriptions became a way of questioning the postmodernism movement and the new ideolo gies which were in society. The question which Lyotard raised was based on the incredulity of the metanarrative because it was easier to see the illegitimacy and the socio – cultural boundaries which were created. However, the question which Lyotard raised used this only as an example of what should be considered when describing a truth and how to explain it as a truth. The deeper philosophical meaning was more pertinent to what Lyotard was looking into. The approach which he took was based on creating universal truth, specifically which creates a sense of legitimacy, as opposed to only taking a limited perspective. When looking at this particular part of the debate, it can be seen that there isn’t a focus only on this philosophy, but also with the intellectual and theoretical implications that often were limited in meaning and in truth (Hutcheon, 1989: 40). The points which Lyotard can be considered as credible with were based on the descriptions of the metanarrative, the use of deep intellect to take away from the main points and the inability to show the entire point and perspective of history or a condition. The failure which he states, specifically with the demise created because of the lack of universal understanding of a given situation is one which can easily be seen with the metanarrative

Tuesday, October 29, 2019

Research Strategy Paper Essay Example | Topics and Well Written Essays - 750 words

Research Strategy Paper - Essay Example A simple definition of time management would be managing time to make the best out of it (Time Management, n.d.). Although, generally people realize the importance of time in their life but still it is one of the most common problem in peoples daily life. Time management process would include planning, organizing, staffing, directing and evaluating (The Management Process, n.d.). Research strategy simply refers to the set of strategies adopted in order to conduct the research. A research strategy regarding time management would involve all the information which need to be gathered to solve the problem of time management. If the research is conducted on basis of the work of a day, then the most important thing which would be required is the list of all the jobs that need to be done on that day. The second required information would be the time available for these jobs. The importance each job and possible time that could be allocated to each job need to be identified. According to the relative importance of each job a daily routine of work need to be prepared. Once this is prepared, information on each of the job would be required. Relative size of the job could be decide based on this information and based on assignment size sufficient time would be allocated to each of the jobs or assignment. Important information would be regarding number of individual that would be required to complete the job. Information could be gathered regarding the activity required to do the jobs. Information might also be required to find out the otherwise idle time, because this time could be utilized in doing unschedule d works. All these information could be obtained in the course of day to day activities. Once the required information are gathered, they need to be properly evaluated. These information need to be evaluated on the basis of their relative importance, validity, perspective etc. Information

Sunday, October 27, 2019

Impact Of Woolf Reforms On Civil Justice System Law Essay

Impact Of Woolf Reforms On Civil Justice System Law Essay The Woolf reforms have successfully increased access to justice for litigants despite being confronted with extensive variables and multifaceted difficulties. However, the reforms have failed in some major aspects, ultimately falling victim to the notoriety and reality of legal reform. The civil justice system and the Woolf reforms will firstly be discussed, moving into an analysis of the prominent areas of the Civil Procedure Rules, with the essay concluding with an overall analysis of the reforms, exposing the reasons for its failures, in reference to the reality of the civil justice system. The Civil Justice System and the Emergence of the Woolf Reforms and Access to Justice The civil justice system has the dual function of serving the public good and acting as a private means. Its social purpose is to provide the machinery for giving effect to the rights of citizens, whilst contributing to the social and economic well being of the community and regulating the exercise of executive power under the democratic principle of the rule of law. For these purposes to be fulfilled, there must be effective access to justice with an awareness of every citizen of their rights, entitlements, obligations and responsibilities, and of the procedures for redress. The underlying basis of the Woolf reforms is therefore to ensure that the justice system provides opportunities for the public to make good their rights. An unambiguous aspiration to overhaul the justice system culminated in 1994, when the then Master of the Rolls, Lord Woolf, was appointed by the Lord Chancellor, Lord Mackay, to assess the practices and procedures of the civil courts in England and Wales. There was a four year, all-embracing inquiry and extensive consultation process that made over three hundred recommendations designed to improve the limitations of civil litigation. There were two reports, published in June 1995 and July 1996, that revealed the findings of the wide-ranging inquiry and provided the foundation for the subsequent Civil Procedure Rules 1998. It is widely accepted that the perceived deficiencies of the civil justice system were met by proposals of radical change and the Woolf reforms were far more than a modification or clarification of the justice system. This investigation into the countrys legal system was required to maintain the integrity and political legitimacy of the system, preventing it from being brought into disrepute. The impact that the competency of a nations justice system can have on considerations such as the economy and political presence in international affairs was also recognised. This is especially the case when identifying London as a prominent dispute resolution centre in the world, attracting litigants from across the globe. The reputation of England and Wales was assessed and the pre-Woolf litigation landscape was in need of reform if this historic justice system was to maintain its standing as one of the most competent providers of justice. Findings of the Woolf Reforms The perceived deficiencies revealed by Woolfs inquiries were readily agreed by the users of the civil justice system. In essence, litigation in England and Wales was too slow, too expensive and too uncertain. These injustices were predominantly identified to be the result of the English adversarial tradition and allowing parties to assume the proactive and dominant case management role, leaving the judiciary to perform simply a reactive role. Too Slow The pre-Woolf landscape contained too much delay that crippled the efficiency of the system and provided a disincentive to those seeking to enforce their rights. This introduced an additional cause of stress, such as through making it more difficult to establish the facts and leading parties to settle for inadequate compensation.  [1]  Lord Woolf identified delay to be the direct result of the adversarial culture of litigation that lawyers practised within and thrived upon. The time taken to progress a case from an initial claim to final hearing was a matter of concern, especially in making litigation expensive. Too Expensive The ever-increasing cost of litigation was found to limit access to justice. However, for some academics, high costs do not automatically entail that low income citizens are prevented from participating in the justice process because of the existence of what Michael E. Stamp  [2]  has named the fiscal illusion, where a belief arises that legal services are becoming unaffordable because they have increased in relative price. Stamp argues that society must alter the proportion of income devoted to different goods and services and rely upon increasing the productivity of legal services to match the increasing costs rather than solely aiming to decrease costs whilst maintaining current levels of efficiency. The Woolf reforms took on the dual approach of aspiring to increase the output of the justice system and endeavouring to strip away unnecessary costs. Stamps comment is an understatement of how low income citizens are being priced out of litigation and fails to stress the importan ce of access to justice for every citizen, irrelevant of social or financial status. Despite the above debate, it is accepted that the cost of a claim is a barrier to some and a problem for all litigants  [3]  and in more direct opposition to Stamp, Sir Thomas Bingham  [4]  robustly describes costs to be a cancer eating at the heart of the administration of justice. The system was too expensive with patterns of costs being higher than the claim was worth. High costs act as a deterrent to those making and defending claims and a number of businesses say that it is often cheaper to pay up, irrespective of the merits, than to defend an action. For individual litigants the unaffordable cost of litigation constitutes a denial of justice.  [5]  The primary intention to provide justice for individuals and businesses was being undermined by the inefficient cost of the machinery. This begins to expose the cruel reality of accessing justice that will run throughout this assessment of the Woolf reforms. Too Uncertain Uncertainty for litigants was a simple but significant limitation of accessing justice arising from unpredictable costs, timings and timetabling, and the uncertainty of judicial decisions. Uncertainty constituted a strong deterrent for litigants and must not be minimised as an issue. The English Adversarial Tradition There was a definitive intention to shift the litigation culture from that of adversarialism to compromise, co-operation and settlement. Woolf described the adversarial system as likely to encourage an adversarial culture and to degenerate into an environment in which the litigation process is too often seen as a battlefield where no rules apply.  [6]  There was a determination of lawyers to manipulate court procedures, delay and disrupt the opposition counsel, increase the costs of the litigation for personal profit and impose professional protectionalism. Woolf identified that main procedural tools for conducting litigation efficiently have each become subverted from their proper purpose  [7]  and the powers of the court have fallen behind the more sophisticated and aggressive tactics of some litigators.  [8]  Lawyers were accused of abusing the disclosure of information, disputing unquestionable points, making tactical appeals and deploying tactics to drag out litigati on, thereby driving up costs. Any analysis of this tradition identifies that the burden of this abuse falls on the client. Woolf disclaimed any potential shift towards an inquisitorial system and abandoning adversarialism in its entirety, in order to maintain its benefits, such as its impartiality compared to inquisitorial techniques. The proposed reform of case management (as set out below), was therefore created to be compatible with the adversarial tradition, establishing conditions where it could survive the transfer of control from the parties to the judiciary. Conclusion on the Findings of the Woolf Reports The justice system was essentially failing the litigant, on and for whom the whole system should, in principle, focus and deliver. Fairness, speed of process, reasonable results and the availability of appropriate procedures were all found to be lacking within a system which promised all these goals. The impression of litigation is a fragmented, inefficient and incomprehensible system failing to fulfil its function and its potential, to promptly distribute affordable and certain justice. It is difficult to take issue with Lord Woolfs findings and the principles of reform that emerge from his conclusions. The reliability and diligence of the access to justice reports are uncontested and the research element of the reforms will continue to act as a valuable identification of the positives and, importantly, limitations of the civil justice system. In this facet of investigation and assessment, Woolf was undoubtedly successful. However, the means and choice of initiatives that Woolf proposed to remedy the exposed limitations are open to debate and critique, particularly when commonly identified as being radical and controversial in their nature and the direction in which they attempt to guide the justice system. Objectives of the Woolf Reforms The aims of the reforms can be condensed into one overriding objective, set out in Civil Procedure Rules 1.1, which was to increase the competency of the civil justice system to decide and deal justly the cases set before it. This includes such considerations as reducing excessive costs, ensuring cases are dealt with expeditiously, honestly and in a manner that is proportionate to their nature. This would create equal footing for parties, guaranteeing that there is a reasonable allotment of resources per case by the court. The vision of Woolf and the principles of his report were reinforced in the Civil Procedure Rules (CPR) which came into force on 26th April 1999. The CPR established a common set of procedures and rules for both the county courts and High Court to follow and gave effect to the three hundred plus changes, amounting to the most radical change to procedure in the last one hundred years. The Woolf reforms did not tinker with the existing system; they rewrote it.  [9]  The CPR are extensive, but some elements are considered to be more prominent than others. It is these that I will focus on in my assessment of the CPR as the implementation of the Woolf reforms. The following six elements of the CPR were, and continue to be, considered to have had the most effect on the English civil procedure. Case Management Technique Lord Woolf believed case management to be vital in solving the key problems of cost, delay and complexity, identifying that the three are interrelated and stem from the uncontrolled nature of the litigation process. In particular, there is no clear judicial responsibility for managing individual cases or for the overall administration of the civil courts.  [10]  The transfer of control from the parties to the judge was designed to improve the pace and efficiency of litigation through imposing tighter timeframes and reducing case duration. Woolf recommended that in relation to case management, the complexity of rules should be eased through modernising terminology and eliminating the distinctions between procedure and practice. Woolf not only sought to change the legal culture of the parties and their counsel, but also the role of the judiciary within an organised court service. Case management was an interventionist approach, imposing a more dominant role for the courts whilst not dismissing the English adversarial tradition in its entirety. The judiciary were equipped with wide discretionary powers, for example, imposing early trial dates and refusing any plea to delay the start of a trial. The governing role of the judge is a common aspect of other continental legal systems and its introduction constituted a shift of the English legal system towards the majority.  [11]   Positives Case management has improved access to justice through increasing the speed of litigation. This initiative determined that it was the judges rather than the lawyers who dictate pace. No longer are the larger claims allowed to fester in the do not touch drawers of solicitors filing cabinets.  [12]  Lawyers were too often judged to slow down litigation, Woolf himself regarding that in the majority of cases the reasons for delay arise from failure (by the lawyers) to progress the case efficiently, wasting time on peripheral issues or procedural skirmishing to wear down an opponent or to excuse failure to get on with the case.  [13]  Many academics view the shift in management from the lawyers to the more responsible and non-partisan judiciary to be an effective reform. For example, 98% of respondents to the 2001 Woolf Network Third Survey considered that the newly introduced Case Management Conferences worked well in their case.  [14]  The increase of discretionary power and control has meant that time-wasting and tactical applications have not been tolerated, and breaches of judicial instruction in relation to the final hearing can result in claims being struck out. Limitations It is argued that a judge does not necessarily or automatically possess the skills or know-how to manage cases competently, reducing the predictability of a claim. The concern is that competency levels are suggested to decrease down the ranks of the judiciary whilst the levels of discretion are maintained. Case management has also been argued to constitute judicial over-involvement, where lawyers who have obtained a deeper knowledge of the case are prevented from deciding how the case should progress. This not only places the responsibility irrationally with the judge, who has only briefly assessed the claim, but also could be construed as reflecting a mistrust of the professionalism of counsel to the dispute. Case management is predicted to fail as a permanent solution because the institution of judicial case management represents a one-time productivity increase where the immediate effect may be lower costs of obtaining justice, but, over the long run, the cost savings will evaporate as a direct result of the cost disease.  [15]  This educated prediction of unavoidable failure of case management, and the Woolf reforms and CPR as a whole, must be treated with care, because it is in essence a prediction. However, this calculated forecast of the reform process suggests a negative outcome of case management that cannot be ignored. The necessary technological advances within the system have also been insufficient to support the implementation of case management. The increased judicial use of computers and telephone conferences, the acceptability of email correspondence in many courts and the advantage of claims beginning online, have all been beneficial, but this is the limit of any technological input. This is not due to the lack of technology available, but rather the justice system barely tapping into the phenomenal potential of technology. It is characteristically a lack of resources and allocated funds that have limited the use of technology, thereby failing to adequately complement the reforms. Conclusion It is apparent that there should not be an outright restoration of the responsibility to manage cases back to the parties and their lawyers. The wholesale rejection of judicial case management does not emanate from a fair evaluation of an initiative that has speeded up litigation and, as a direct result, decreased costs. There must be a reassessment of this reform, with the aim of improving the ability of the judiciary to effectively administer and control cases, essentially through a development of training judges in management techniques. In combination with this training, it is vital that there is an increase in the availability of technological support. This initiative seems to be a clear example of the dangers of such an interventionist approach. Pre-Action Protocols Pre-action protocols constitute strict procedures and sensible codes of practice which are dependent upon the facts and nature of a case, which parties when confronted with the prospect of litigation are expected to follow. The original two protocols in the CPR, for example, concerned personal injury and clinical negligence respectively. The aim overall was to encourage the early settlement of claims and avoid litigation, such as through an early exchange of full information of the dispute. The protocols follow a similar pattern as the encouragement to participate in alternative dispute resolution, in that compliance with the protocols is not compulsory, but an unreasonable refusal to participate will affect the awarding of costs. Positives The success of the pre-action protocols is clear from their expansion from the original two to the current ten, in March 2010. The protocols have increased the structure and organisation of claims, creating certainty for litigants of the pre-trial steps that they are expected to take, such as the effort to settle. This sequentially has stimulated increased levels of dispute resolution and early settlement through the improvement of the pre-action investigation, earlier exchange of information and the enhancement of the relationship and understanding between parties through more pre-action contact. The protocols have also been credited with ensuring that disputes which are litigated are done so on the foundation of detailed preparation and consideration. Further positives include the decrease of nuisance ill-founded claims and the success of the attached code, which categorises disputes which do not fall within the protocols. Limitations The protocols have been criticised solely for their burden and lengthy requirements. The obligation to perform tasks such as writing letters, disclosing information and exchanging expert reports all combine to duplicate the process of the claim to follow. A dispute is essentially fought twice, unnecessarily increasing time and costs. Conclusion The protocols were a strong success only falling foul in the adverse effect of the burden of administration. They represent the strength of the reforms and suggest that radical reform can be effective if implemented correctly. The Track System Under case management, a track system was proposed to assign different procedures to different cases that are separated on the merits of complexity and financial value. The CPR classifies cases into one of the three tracks of small claims, fast track and multi-track.  [16]  The small claims track is for cases of less than  £5,000 in value and the fast track including claims that are more valuable than  £5,000, but fall below  £15,000, or that fail to fit within the small claims criteria. Fast track cases are deemed to be simpler disputes, and on a slight variation, include landlord-tenant disputes and personal injury cases that are valued between  £1,000 and  £5,000. The multi-track includes all the cases over  £15,000 that fail to be placed in the fast track and small claims. Positives The fast track arrangements have been successful in having cases heard quicker, with it being claimed that this guarantees a final hearing within 30 weeks from soon after the defence has been sent to court.  [17]  The track system overall is merited for recognising that cases of different size and complexity should be dealt with in different ways with it having been noted that the criticism that such distinctions will condemn many claimants of small sums to second class justice is wholly misconceived.  [18]  This initiative has increased certainty of timetabling and improves efficiency by ensuring that judicial time is spent proportionately to the issues in claims. Limitations The track system is highly controversial because of its technique of the early classification and has struggled to contend with the extensive variables that determine the costs awarded to a party.  [19]  The most influential variable that has hindered success is the unpredictability of the length of a dispute.  [20]  In some cases it is close to impossible to balance and account for variables, such as complexity and financial value, in the early stages of a case. The track system must also contend with all the disadvantages of going to court, regardless of which track, including the common problems of cost and time. Conclusion The immediate defence of the track system that the analysis and clarification of costs is an ambitious and difficult task is not sufficient to excuse its failure. The system has fallen victim to the overload of variables and has failed to present itself as a competent antidote and controller of excessive costs. This initiative is a disappointment and current calls for its removal are justified. The concerns of the track system once again support the use of Alternate Dispute Resolution processes to reach a settlement, rather than proceed to trial. Costs Most of the descriptive guidelines of the overriding objective set out in the CPR concern the costs of litigation. High costs are often magnified by the issue of delay which acts as drag or friction upon the economy by reducing the ability of individuals and corporations to increase productivity and fully utilise capital.  [21]  At a minimum, costs must be more predictable and affordable, despite the difficulties of quantifying and identifying the sources of abstract costs not directly related to the litigation process. The objective must be reducing delay that creates excessive costs and constructing an initiative to reduce any influx in costs if a claim is inhibited by delay. The general rule of costs that the losing party must pay those of the successful party still remains. However, CPR 44.3 has modified this long-standing rule by introducing exceptions to it and giving the court discretion in the allocation of costs in certain cases. The rules of paying costs also can require the losing party to pay on account before the final sum of costs is decided by the court. This scheme, coupled with the ability to order costs or a proportion of costs which have been summarily assessed to be paid within fourteen days has established in todays litigation system a concept of what one learned commentator has described as pay as you go system for costs.  [22]  The early and continuous payment of costs promotes early settlement as the parties assess their cases earlier and can make calculations as to whether their costs will exceed their revenue. This scheme communicates the reality of a claim directly to the parties, encouraging them to rationally manage their fi nances and clarify and target their personal goals within the claim. Parties also have an incentive to adopt a more co-operative approach because of the threat of court imposed financial penalties for unreasonable conduct. This is an example of the court utilising a more forceful, realistic and arguably manipulative technique in the practical application of a reform through costs. Positives Michael Bacon identified that several long established principles relating to legal costs have either been modified or disappeared completely as a result of the Woolf reforms, and one or two totally new concepts and procedures have been introduced.  [23]  This dramatic reform has increased the predictability and certainty of costs and balanced unequal financial means between litigants through orders for the party with greater financial resources, but with the weaker case, to pay interim costs. There has also been increased enforcement of procedural rules, and action taken in respect of unreasonable conduct, by the court through automatic costs sanctions. Limitations The new costs regime has been criticised predominantly for failing to sufficiently reduce and control costs. Costs have been front loaded and perceived decreases in costs have been shown to be cancelled out by adverse effects of other reforms. In addition, cost sanctions have been criticised for being oppressive and punitive instead of preventing non-compliance with court convention. Conclusion Costs have not been successfully reduced and only minor reductions can be identified. The reasoning that costs are difficult to control because of their dependence upon a high number of variables, and the reality that there cannot be a sole recommendation targeting the financial burdens of litigation, are not justification for the failure of a multifaceted scheme designed to reduce costs. The only positive is that the emphasis on costs has raised the profile and importance of costs overall. This awareness has instigated a new outlook on reducing costs that may develop into a culture. The costs scheme constitutes the major criticism of the reforms overall. Alternative Dispute Resolution Reform of the justice system was required to promote more cases to an earlier, controlled settlement as opposed to an untidy, pressured one at the door of the court. The encouragement for early settlement follows Woolfs vision of litigation as the last resort for disputing parties, with the view that any settlement is better than proceeding to trial. This has allowed alternative dispute resolution (ADR) to take a fundamental role, and information on the sources of ADR is provided at all civil courts and legal aid funding is made available for ADR processes. ADR is the umbrella term for a group of techniques used to solve disputes other than through the traditional court adjudication. However, proceedings should not be issued or commenced if settlement is still being explored. The competency of the Centre for Dispute Resolution (CEDR) which nominates mediators, liaises with both parties and prepares the mediation agreement, also became relevant. In theory, ADR prevents the limitations of the court process from proceeding to fruition. If a claim is settled in mediation, the costs, complexity, adversarialism, time and ineffectiveness of the court procedure are all circumvented. The reduction of cases progressing to trial also reduces the burden on the courts, allows for a more efficient and better resourced procedure and, ultimately, better access to justice. The court was therefore equipped with the power to direct parties to attempt ADR under CPR 26.4 and to order a months postponement, facilitating parties to secure a settlement. In combination with ADR processes, offers to settle, known as Part 36 offers, provide yet another stimulus to settle before court action. Part 36 offers departed from the traditional structure of settlement, allowing both the claimant and defendant to make an offer to settle before the issuing of the claim or during the actual proceedings. If an offer has been made then this will be taken into consideration by the court when awarding costs. Positives There has been a clear cultural change and increased numbers of settlements through the vigorous promotion of ADR. There now exists a regime that encourages and obliges parties and their lawyers to consider settlement and utilise ADR processes. The largely aggressive adversarial behaviour associated with disputes has been softened with a more co-operative and collaborative approach. This culture immediately decreased the number of claims reaching court, with a 19.6% fall in the number of proceedings issued from 2000 to 2001 in the Queens Bench Division.  [24]  ADR has offered willing litigants the opportunity to participate in a quicker, cheaper and more specific and flexible technique for resolving their dispute. ADR also has many personal advantages for the participants as it can be creative, reduce stress and repair relationships. Limitations The essential limitation of ADR is its reliance upon the original participation in mediation. A settlement then relies upon the facts of a case and the parties approach to ADR. Many parties take a half-hearted approach to mediation and have no real intention to negotiate for a settlement. They intend instead to avoid the financial implications of unreasonably refusing to mediate. It is argued that as a result of both failed settlement attempts and indifferent participation in mediation, ADR does not necessarily reduce costs. Mandatory mediation is argued to constitute the greatest failure of ADR. Professor Dame Hazel Genn,  [25]  through the voluntary pilot mediation scheme of the Central London County Court (CLCC), identified that the Woolf reforms have motivated parties to mediate in order to avoid financial penalties for unreasonable refusal and create the appearance of following judicial direction. There was also the 2004 Automatic Referral to Mediation Scheme (ARMS) run at CLCC, where one hundred cases a month were selected at random and sent to mediation before any court hearing. Parties unwilling to partici

Friday, October 25, 2019

Multiple Themes of One Hundred Years of Solitude :: One Hundred Years of Solitude

Multiple Themes of One Hundred Years of Solitude      How the theme of the novel is developed and enhanced by plot, character and setting.      This novel seems to have multiple themes. One important theme is that every action causes a reaction, and one person’s doing can result in something unpredicted. Similarly, it also seems to say that fate is bound to happen, no matter what is done to try to change it. In this novel, when Jose Arcadio Buendia marries his cousin Ursula, they are cursed to have a child with the tail of a pig. I believe that this is just a way of saying that they are destined for downfall and failure. They are afraid and tired of people whispering and pointing, so after Jose kills a townsman, they decide to retreat into the jungles of South America. With the help of other settlers, they found their own little town, named Macondo, in hope of escaping the wrath of fate.   Their family lives through one hundred years in this manner, before their destiny is fulfilled.   This novel is about how a family is able to survive, for a time, in solitude. So, it is appropriate that the setting is a newly settled village, which is deep in the jungle, away from the world that has condemned them. One Hundred Years of Solitude is an almost magical story where the past, present and future seem to merge into one. It tells the story of a family, rather than an individual, and how two people’s mistake results in their descendant’s downfall. If the setting was in an urban environment, the story would have made no sense, or at least lost a bit of its effect. Instead, these people start from scratch and build up their own civilization. Over the course of a century, civil wars occur, along with tragedies, angels appearing, and family members losing their sanity.     The novel is written in decades, with each one exploring a main character and with the other characters lives, the book tangles itself up, until everything blends together, to return to the book’s beginning, as Macondo continues towards its inevitable self-destruction.

Thursday, October 24, 2019

The Ride-Sharing

The way people move from one location to another can be hard to satisfy their schedules, either because of congestion or the delay of the taxi that maybe far away. The ride-sharing is the current solution to overcome the problems caused by traditional transportation with the prime goal of splitting and reducing costs. The ride-sharing is concept where driver and passenger share the same destination. This project proposes (On my way) an android application to help improve one's mobility through sharing economy concept. This alternative will be a good way to save money, protect environment and quickly reach your destination. We will use ride-sharing Smartphone application, GPS and database system.IntroductionDespite the big revolution on car sharing services offering to people transportation from one place to another in their daily routine, reducing costs and traveling time. But, many areas doesn't have enough transportation networks, meaning that either they have a very low supply, having no public transportation at all in a certain time window, or the available options are too expensive. Certainly traditional ride-sourcing app like uber , careem are offering to people transportation from one place to another in their daily routine. At these traditional businesses, passenger have to go to the same destination every day, that mean that passenger have to meet up every day different driver going to the same location, wasting fuel, time, money and increase traffic congestion. Consequently, people (student, employee, etc.) does not know when which colleague is working at the same place, which impedes carpooling. In that subject, our idea came with a sharing economy concept to save us all from the horrors of pricey cab rides.ObjectivesThe objective of the project is to present a mobile application which provides a communication system between car owners and passengers. Objectives will be as: Design and develop an application server and a mobile application for users to access the ride-sharing service through their smartphones Design and implement a database that will communicate with our mobile applications to a ensure all features Provide some features like geo-localization, trip sharing requests, etc. The project will be treated by Waterfall Model. Waterfall Model is Cascade pattern which can be listed below consecutively. clarified requirements, systems and software design, implementation and unit tests, Integration and test of the system, Documentation and maintenance.Expected BenefitsReduce the ride costs both for driver and passengers.Passengers will be able to find for a ride, suitable to their situation.When reducing the number of cars on the road, our system will decrease pollution and the need for parking space and reduce the greenhouse gas emissions (CO2).Avoiding lonely trips will make the ride more conform and less driving stressAs the mobility sector continuously supports the authorities in the organization of public transport and mobility in urban and rural areas, it is familiar with topics such as congestion reduction and carbon footprint. From this perspective, sharing economy concept will be the solution to reduce the number of single-person trips by car. In that f ield, a shared ride can simply be used to integrate with colleagues and discuss social subjectsRelated WorkFlinc app :Flinc is the free ridesharing app for daily use. You can find drivers and passengers on your way to work, to university and just for fun. If you travel together, you can meet nice people, save money and quickly reach your destination. Register now for free and organize your ridesharing for short distances.LyftThe Lyft app is cheaper than a taxi, faster than the bus, and easy to use. Travel anywhere you want to go without needing rental car services or figuring out bus routes – we'll give you a ride right to your destination.

Wednesday, October 23, 2019

A Clean Well Lighted Place- Ernest Hemmingway Summary

â€Å"A Clean, Well-Lighted Place† Theme Analysis â€Å"I wouldn't want to be that old. An old man is a nasty thing. † â€Å"Not always. This old man is clean. He drinks without spilling. Even now, drunk. Look at him. † -Ernest Hemmingway The story written by Ernest Hemmingway tells of a deaf old man who is in conversation with others at a cafe in the late night hours. The others in the story’s setting share a significant difference of age and opinion. It seems they depict their ages as stages of life. The story contains a lot of noteworthy symbols, behaviors and decisions that give us hints as to what the story is supposed to represent. Characters within the story are divided into four age groups, each having different characteristics and behaviors, however all waiting for their time to in which they face the inevitable and depart from the physical realm of living and into what follows. The old man is described as a deaf and depressed man who tried to take his life away a week prior the story’s setting. It is said in the story the man is financially stable and is a frequent guest in the cafe that is well lighted and clean, unlike bars or bodegas . The story also is able to show the old man’s loneliness, sadness, and distress. Also, the waiters are sharing significant differences between them; the young waiter is in a hurry to leave work and go home to his wife, he is unsympathetic for the old man, he shows a disliking to him, and displays disgust towards the idea of getting old and the old man himself. It seems as if the young bartender has no appreciation for the old man life and holds no regard to it. Unlike the older bartender who tries to understand the old man’s condition and is curious of his suicide attempt. The older waiter himself is not in the hurry, after leaving work he goes to the bar to get a drink and then finally falls asleep upon the dawn. The last characters, however not as significant but symbolic, are a young soldier and a young girl who are just strolling through the street at night. The story reveals interesting patterns based on the age of characters. The young couple strolling through the street at night gives us as an image of how young people are free and independent. Having their whole life in front of them, they explore their surroundings, strive for new experiences and enjoy life without taking a break to stop and think where it is leading. The young bartender is a described to be in the next level in life. He is probably one or perhaps two decades older then the soldier and young girl. Hemmingway gives us indirect hints of the characteristics in which a middle stage life in an adult would exhibit. The young bartender is in a hurry to leave the cafe and go home to his wife. â€Å"I wouldn’t want to be that old† he says during the dialog with another bartender. At some point, upset about having to serve the old man who prevents him to close up the cafe and go home he even says, â€Å"He should have killed himself last week. † It shows how this character is captivated by own needs and wants. It shows his life as having purpose or meaning, time for himself, and an outlook for the future of him and his family. Perhaps, at this point of life, Hemmingway tries to tell us that people are confined within their own personal spaces, living a fast-paced life and trying to accomplish as much as possible with no little regard towards others. They do not look towards life’s philosophy and take that approach very lightly carefully avoiding the truth behind life, because they’re simply disgusted by it. Conceivably, materialistic good is a measure of happiness at that age. The conversation between him and the other bartender reveals that in his mind despair over life couldn’t be caused by anything but money. When the older bartender tells him he’s got everything – confidence, youth and work, the young bartender simply replies â€Å"Come on. Stop talking nonsense. . . .† The older bartender, no doubt, is closer emotionally to the old man. He is far from being in a hurry. The sight of the financially well old man who frequently stays until the last possible drink at the cafe, and has tried to commit suicide week before captivates him. In a way he can relate to the old man, and views him as someone who, like him, has contributed his time and life by years. He questions the younger bartender about circumstances around his suicide attempt as well as trying to defend the old man from arrogant opinions expressed by his co-worker. Why didn’t you let him stay and drink? † the old waiter asks the younger bartender when he refused to serve the old man anymore even though the time for closing was an hour away. Then he concludes â€Å"I am of those who do not want to go to bed. [I am] with all those who need a light for the night . . . We are two of different kinds. † The author leaves it to our imagination to interpret what the bartender mea nt by the â€Å"light† for the night however the distinction between two characters that is linked to their age is significant. The older waiter is slowly getting through the stage of life preceding that of the old lonely man. The â€Å"light† might be a symbol for the hope or motivation for the life to continue. Younger characters of the story did not have a need for that hope as they had everything – confidence, youth, work and most importantly – the time. The old man is the most important figure in the story. Even though he is not part of conversation and does not say more than simple words, he is a symbol of the last stage of one’s life. Hemmingway shows that stage as depressing, a lonely time in one’s life. He shows the old man as having realized the meaningless of life, the old man’s need to move on. The suicide attempt was significant as well as the fact that the old man was deaf, because it shows the man’s loneliness, his need to be with others, and is desperate attempt to end the silence, he feels he is confined to his own lonely thoughts by being deaf and wants nothing more than to end the silence with death, because death or life means nothing to him. The story is constructed in a very enlightening way; by including the different age groups and the different opinions of life and its worth to others. It is interesting to see the contrasting views of the individuals as they journey through life and all its experiences. Take the epigraph above; it shows to vivid contrast between the old and the young bartender. The young bartender shows his disgust in getting old, and his avoidance of it, while the old bartender in his quote shares his appreciation for maturity and the life’s worth. It is something to take from this story that as we all live to understand life and its meaning with different views and opinions, we share one thing in common and that is the inevitable.

Tuesday, October 22, 2019

What threat did the Vikings pose to Carolingian Christianity Essays

What threat did the Vikings pose to Carolingian Christianity Essays What threat did the Vikings pose to Carolingian Christianity Paper What threat did the Vikings pose to Carolingian Christianity Paper Essay Topic: Apocalypse Now Viking paganism, with its human sacrifices, bloody rituals and numerous gods, instilled fear into the hearts of many Christians and diluted the Christian faith with their ‘lore of trolls, giants, dwarves and elves’ as mentioned by Viking historian Martin Arnold[1]. With raids in the 9th century and onwards focusing on religious centres across Europe e. g. monasteries and churches, many feared an attack on Christianity, and a threat to religious unity. With early attacks on the monastery at Lindisfarne in 793, where ‘Vikings slaughtered some of the monks, robbed and burned the monastery’ according to Johannes Bronsted’s book, and other seemingly religious attacks on Iona and Kintyre in Scotland, it seemed Christianity was under attack. [2] Raids continued throughout Western Europe through the 9th century, yet religious motives seemed not to be on the forefront of most Vikings’ minds. As Gwyn Jones’ states ‘Viking motives overseas were routed in human nature’, with motives ranging from ‘land to farm, wealth to make life splendid’ and even for merely ‘dignity and fame’[3]. Therefore it can be said that many monasteries and religious institutions were merely targeted for their wealth, not as a pagan attack on the Christian faith. There are little to no records of the Vikings ever forcibly converting people to paganism, when they settled they usually dissolved into other cultures. However, with the brutality and viciousness of some documented raids such as the raids on Paris (885-886), it is understandable why people feared for their faith. Yet the Christian Church was never defeated as the cultural and spiritual centre of Europe and paganism remained a minority, one that would slowly die a quiet death along with many other Viking traditions, as the age slowly drew to a close on the dawn of the globalisation of Christianity. The Vikings were Pagans, following and praying to many gods, such as Thor, Odin and Freyja, each playing different roles in Viking culture and life. Norse paganism had no orthodoxy of belief and no figurehead, therefore was hugely dissimilar to the Christian faith. Accounts of the Christian King of East Anglia, St. Edmund’s, death in 855 is a brutal account of Danish and pagan ferocity against a particular Christian individual, even using him as target practice before murdering him[4]. Incidents like this, led to a growing sense of fear among Christians regarding the Viking ‘heathens’. Thus, being Pagans, Vikings had no religious respect for holy institutions of Christianity, raiding vulnerable monastic sites such as Lindisfarne, Skye and Rathlin. However, although to the monks inhabiting these areas this may look like a direct Norse attack on European Christianity, this was not the case. It can be proven that Viking attacks on churches were not of religious origins, as ‘poorer churches and communities were left alone at the expense of richer establishments’ and the choices of attacking the richer institutes was ‘pragmatic rather than ideologically motivated’[5]. It also should be noted that religious artefacts held no meaning to the Vikings, and the majority were left in place, showing that theses raids were economically motivated, not for religious desecration. It should also be acknowledged, that the monks writing the accounts of Viking raids, may be prone to exaggeration, which may have fuelled the fear on the Scandinavian traders, and increase paranoia, especially in coastal regions. A monk Simeon of Durham described a brutal raid ‘they miserably ravaged and pillaged everything; they trod the holy things under their polluted feet, the dug down the alters and plundered all the treasures of the church. [6]’ For local people hearing these kinds of accounts, the told defilement of religious objects mentioned, would more than likely appear as a siege on Christian establishments. Therefore, it is understandable why people may have believed the Viking raids were religiously motivated, although much destruction and bloodshed was involved, the raids were sporadic and often targeted non religious places also. We now know that the Vikings main driving force was wealth, leading to their attraction to the monasteries. The Vikings did not threaten Christianity with their raids, merely instilled fear of their own religion into Christians, attacking the physical aspects of the Church, rather than a crusade against the Christian faith itself. Yet, in the case of the Carolingian Empire in the 9th century, it can be said the Vikings threatened Christianity to a greater extent there than the rest of Europe, as the Empire was already in a fragile and precarious state and therefore a more inviting target for Viking raiders. The raids on Francia were interpreted as religiously motivated, with monks believing ‘the invasions represented a punishment for the Frank’s sins in fulfilment of biblical prophecy’[7]. Many of the documented raids written by Frankish monks describe the Vikings as ‘pagani’, indicating supposed religious motivation behind the attacks. The raids certainly acted as a catalyst in the decline of the Carolingian Empire as well as religious unity within the country, yet H. Zettel argues that although the raids contributed to the fragmentation of Carolingia, they were not a form of ‘militant paganism’ and therefore not religiously motivated[8]. Although other historians disagree with this notion, with Wallace- Hadrill stating paganism was indeed an important driving factor behind the raids, and the Vikings viewed raids on Francia as its own ‘holy war’[9]. Yet we also have to take into consideration that many other factors also contributed to the fall of the Carolingians, and Christianity continued in France long after the Vikings refrained from raiding Frankish shores, leading to the observation that the threat could never have been extensive, as Christianity was never defeated in the country. However this did not stop the overall feeling of fear and persecution in Francia, and the Viking raids acted as a catalyst in the fall of one of Europe’s superpowers. The main threat to Christianity in Carolingia stemmed mainly from the Franks own theology regarding the Viking attacks, considering them a sign towards the apocloypse and ‘that the last days were at hand’, and there fear of ‘a general lapse back into Germanic paganism’[10]. This led to religious panic and combined with the Frankish civil wars led to an overall defeat in morale and religious unity. The Vikings played a role in the fragmenting of the Carolingian Empire, threatening Christianity to an extent that broke people’s faith and had them doubting their lives, believing the end was nigh. However, if this was an intentional tactic by the Vikings is hard to decipher. It is clear that Christianity in the Carolingian Empire was definitely damaged by the Vikings, as can be seen in the apocalyptic thoughts of the time so a threat was definitely posed, but not a great enough one to defeat Christianity for good or convert people to their pagan ways. The Vikings most likely unintentionally, contributed to the end of one of the world’s great superpowers, threatening Christianity in the short term, and terrorising people to such an extent, some prayed for the apocalypse, leading to an overall threat to Christian unity. Another important point to take into account is the Vikings conversion to Christianity themselves, with baptism of Danes starting in 823. This leads to the question of how much of a threat could the Vikings have been causing to Christianity if slowly but surely they were being Christianised themselves? King Harald was baptized in 826, proving the dawning of Christianity in Scandinavia. The notion that Christianity was spreading through Scandinavia however can actually be used as an argument for or against the threat the Vikings posed to the faith. For one, especially during the late 9th century, the Vikings may have been less inclined to attack religious institutions, yet conversely the infiltration of Christianity may fuel the hatred of those still Pagan, and further draw Viking raiders to using Churches as targets, therefore still proving a threat. However, the process of Christianisation in Scandinavia was a long, drawn out process, and according to J. Frederick Hodgetts, paganism was never truely defeated. He states ‘they had been clad in Christian guise, it is true, but their origin is Pagan, and Pagan they remain’[11]. This may mean the threat to Christianity, although a benign one, only died when paganism did, as long as pagan traditions remained so did the lurking threat. However this goes back to the argument, that paganism had little or nothing to do with the raids, so the Christianisation of Scandinavia was an evolved movement, casting water over any sparks of pagan threat that might still be alight, even if paganism still remained in the minority, once the majority began to turn to Christianity, the threat was nonexistent, if there ever had been one in the first place. The 9th century however was merely the beginning of a colossal religious transformation, but one that should be noted in relation to the threat posed to Christianity. It seems that the threat was diminishing before it even started with Christian missions being sent to Scandinavia maybe as early as 710. As said by DuBois in his book detailing the long conversion to Christianity ‘The Viking age was a time of consolidation: an ear in which a variety of pre Christian belief systems diminished in number’ clearly referring the paganism and the ‘threat’ that accompanied it. DuBois makes the point that all non Christians in the 9th century were depicted as ‘enemies, prone to violence, acts of deviousness, ignorance and sometimes utter stupidity’ and that these’ non Christians’ in Scandinavia all fell under the term ‘pagan’[12]. Yet with Christianity being infiltrated into Scandinavia almost as soon as the Viking age began, it can be said that as soon as these ‘non Christians’ were converted, the threat of these ‘enemies’ and their acts of ‘deviousness’ were diminished. The overall threat the Vikings posed to Christianity in the 9th century was being counter acted from the very beginning by their own conversion, a struggle which would eventually tame the Vikings, and exterminate a threat that concerned only the physical nature of the Church, Christianity remained alight in Europe long after the Vikings had been absorbed into the faith themselves. Overall, it would see that these various points direct towards a conclusion of a small yet terrifying threat to Christianity during the 9th century. Yet the fragmentation of Carolingia was due to many factors and not just the brutal Viking raids, however they did play a major role. But Christianity was never threatened within Francia, with it being the main religion still to this day. The question is what constitutes to a threat on Christianity, is it a threat to Christian unity in the community, a threat to peoples personal faith, or a threat to the institution itself. In some senses, the Vikings did all of these, threatening Christian unity in the Carolingian empire, breaking already fragile communities into terrified groups, which also led to people believing apocalyptic thoughts and questioning their own faith. The Vikings threatened mainly the religious metaphors and symbols of the Church, yet for completely non religious motives. The institute of Christianity was never really threatened. An attack on the papacy was never carried out and most areas remained untouched by Viking raids. The 9th century yes was a tumultuous time for those being affected by Viking raids, but it is impossible to say that the threat to Christianity was anything more than terror tactics, by an actually well advanced race, rather than an attempted extermination of Christians by forced conversion to paganism. In conclusion the threat to Christianity in the 9th century was definitely present in theory, but never manifested itself into a direct siege on the church and was an almost un intentional threat. Paganism slowly died out, and Christianity remained the dominant force in Europe, and one the Vikings themselves gradually succumbed to. The ninth century ended, with Christianity still intact, as it was before and would be for over a thousand years to come.

Monday, October 21, 2019

The Three Restauranteers

The Three Restauranteers The Three Restauranteers The Three Restauranteers By Maeve Maddox A reader asks about a word that means â€Å"a person who owns and manages a restaurant†: I recently saw the term restauranteer on someones resume. Ive heard of musketeers, and even mountaineers; but I thought restauranteurs and connoisseurs were in a different category? The reader may be surprised to know that the Word spellchecker flags both restauranteer and restauranteurs as misspellings. The standard form is restaurateur. The suffix -eer is an Anglicized form of the French suffix -ier. It is used to form nouns denoting persons. For example, French canonnier gives English cannoneer; French muletier gives English muleteer. The usual sense of such nouns is â€Å"one who is concerned with† or â€Å"one who deals in.† Some French borrowings retain the -ier in English, for example bombardier, brigadier, cashier, clothier, courier, and chocolatier. The suffix -eur is a French suffix unchanged in English. Its usual use is to form agent nouns from verbs, for example: amateur, one who does something for the love of it. connoisseur (from Latin cognÃ… scÄ•re, â€Å"to know†), one who knows, especially about matters of taste. provocateur, one who provokes a disturbance. raconteur (from French raconter, â€Å"to recount, tell†), one who tells stories. restaurateur, one who owns and manages a restaurant. saboteur, one who commits sabotage. secateur, something that cuts. All three forms- restaurateur, restauranteur, and restauranteer- appear on the Ngram Viewer, but restauranteur is close to the bottom of the grid, and restauranteer is barely a blip. The Chicago Manual of Style points out that restauranteur may appear in some dictionaries without being an example of good usage. The Associated Press Stylebook lists restaurateur as the only spelling. The reader who asked the question also asks to know how to remember the correct spelling. Perhaps this will help: Restaurateur begins like restaurant, but does not include the n, and it ends with the suffix -teur. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Vocabulary category, check our popular posts, or choose a related post below:English Grammar 101: All You Need to KnowUse a Dash for Number RangesHow to Send Tactful Emails from a Technical Support Desk

Saturday, October 19, 2019

Billy Sunday Essay Research Paper Billy Sunday

Billy Sunday Essay, Research Paper Billy Sunday For about a one-fourth century Billy Sunday was a family name in the United States. Between 1902 when he foremost made the pages of the New York Times and 1935 when the paper covered his decease and memorial service in item, people who knew anything about current events had heard of the former major conference baseball participant who was prophesying wickedness and redemption to big crowds all over America. Not everyone who knew of the celebrated revivalist liked him. Plenty of vocal critics spoke of his brassy manner and criticized his conservative philosophies. But he had 100s of 1000s, possibly 1000000s, of loyal guardians, and they were merely as loud in their congratulations as the critics were in their unfavorable judgment. Whether people stood for or against the Reverend William A. Sunday, they all agreed that it was hard to be apathetic toward him. The spiritual leader was so inordinately popular, opinionated, and vocal that indifference was the last thing that he would acquire from people. His most loyal supporters were confident that this rural-breed sermonizer was God s mouthpiece, naming Americans to repentance. Sunday s critics said that at best he was a unthreatening clown whose discourses vulgarized and trivialized the Christian message and at worst he was a shame to the name of Christ ( Dorsett 2 ) . There are elements of truth in both of these positions. He was frequently guilty of oversimplifying scriptural truths, and at times he spoke more out of ignorance than a celestial point of view. He was besides a adult male with legion defects. He spoiled his kids, giving them everything that they asked for. He put tremendous duty on his married woman, burthening her with many facets of his ministry. He ever perceptibly sought the hand clapping of the crowd for his ain congratulations. He frequently confused the will of God with his ain societal and political docket. He even sometimes compared the Gospel of Jesus Christ with particular involvement and American foreign policy. However, Billy Sunday was a sincere adult male whose life was basically changed by his response to an revivalist s call to repent of his wickednesss, to believe that Jesus Christ died in his topographic point for those wickednesss, and to follow Christ in thanksgiving by idolizing and obeying him. Following this religious metempsychosis, the convert became profoundly devoted to Jesus Christ. A devotedness manifested in populating out many of the instructions of Christ as found in the New Testament s four Gospels. The professional baseball participant became a regular church member. He besides studied Scripture and became remarkably generous toward the needy. Furthermore, Sunday was constrained by an compulsion to state others how he had eventually found interior peace and a more purposeful life. At first through talks and so in discourses, he related how Jesus Christ gave him a new life of significance, peace, and hope. This same Gospel, he said, would likewise transform others. The grounds is overpoweringly that it did. If Billy Sunday was sincere devoted, and motivated, he was besides a merchandise of his times and an illustration of the civilization and ethical motives of center America. On the other manus, Sunday took many bases against popular beliefs, and he persuaded battalions to fall in him in a war against many of the modernistic thoughts of the clip that he saw as immorality. As he one time summarized his sentiment so good, What this universe needs is a tidal moving ridge of reform ( Sunday Satan 24 ) . It is true that Sunday was a showman who craved an audience and loved hand clapping. But he besides touched the lives of infinite work forces and adult females of all societal categories, assisting them escape assorted signifiers of personal bondage and discovery freedom in the Gospel. And if he did non change over all of urban America to his trade name of Christianity, he at least played a major function in assisting to maintain conservative scriptural Christianity alive in this century ( Dorsett 3 ) . To understand to the full why he thought, lived, preached, and teached the manner he did, we should look at his upbringing and transition experience. William Ashley Sunday was born on November 19, 1862. His male parent, a brotherhood private, would decease of pneumonia merely five hebdomads subsequently, three yearss before Christmas, in a cold, moist ground forces collapsible shelter in the Missouri natural state. His male parent s decease and a series of other deceases would come to hold a enormous impact on Sunday s life. For the first three old ages of Billy Sunday s life he was a really sallow kid. His female parent, Mary Jane, would transport him about on a carryall pillow while assisting her parents works maize, milk cattles, chop wood, and wrangle Equus caballuss. Then a going physician prepared a sirup that Mary Jane fed to Billy every twenty-four hours for three hebdomads. Miraculously, Billy gained strength and became a normal active kid. Luck changed for Billy s household, but merely for a short clip. His female parent remarried and had two more kids. Sadly, the 2nd kid, a miss, died in a fire when she was three. Not long after, Mary Jane s 2nd hubby died besides. These ill-timed deceases left a grade on immature Billy that stayed with him for the balance of his life. In a short autobiography written for The Ladies Home Journal, he begins with the words I neer saw my male parent. In the first few pages of this uncovering narrative he recalls 10 deceases in add-on to that of his male parent. Four aunts and an uncle died of TB, and so a grandma he loved in a heartfelt way died of the same disease. Billy was six old ages old when she died. I would go forth her casket, he recalled, merely when forced to make so. The 2nd twenty-four hours after the funeral my female parent missed me. They called and searched everyplace ; eventually my Canis familiaris picked up the aroma and they followed my paths through the snow to the grave, crying and chilled through with the November air currents. For hebdomads they feared I would non populate. Equally painful as these deceases all were, Billy Sunday shortly experienced a more hurtful separation. By 1872, Mrs. Sunday and her parents were so impoverished that they could non feed and dress all the kids. Thankss to a province senator, they re assigned to one of Iowa s three well-run Civil War Soldiers Homes located in Glenwood, about a hundred and 50 stat mis from the Sunday homestead. Billy remembered the going this manner: When we climbed into the waggon to travel to town I called out, Good-bye trees, good by spring. I put my weaponries around my dog-named Watch and kissed him. The train left about one O clock in the forenoon. We went to the small hotel near the terminal to wait The owner awakened us about twelve-thirty stating, The train is coming. I looked into female parent s face. Her eyes were ruddy and her cheeks moisture from crying, her hair disheveled. While Ed and I slept she had prayed and wept. We went to the terminal, and as the train pulled in she drew us to her bosom, sobbing as if her bosom would interrupt ( Sunday Sermons 14 ) . Life at Glenwood became instead pleasant for Billy and Eddie. Despite their initial homesickness, they found the environment to their liking. But good things neer seemed to last for the Sundays. No Oklahoman had the male childs settled in and begun to experience portion of the landscape than the hurting of separation entered their lives once more. They were moved to Davenport, another Soldier s Orphan Home, because of State money concerns. The four old ages in orphans places were of import 1s for Billy Sunday. They turned out to be some of the best old ages of his formal schooling. He left Davenport with an ability to read, compose, and do simple math. His bequest from the Pierces attention besides included an ability to work hard and a desire to maintain himself and his vesture neat and clean. Populating in the Soldiers Home taught him to acquire along with many people, and in the thick of 100s of other childs he was freed from a enticement common to all kids, the enticement to believe that he is the most of import in the existence. The orphanhood old ages besides taught Billy Sunday some assurance. He non merely discovered that he could execute all kinds of undertakings ; he besides learned that among several hundred male childs he was a ace jock. He found that he was exceptionally fast on pes. He besides found that on the baseball field he learned that his legs could make more than rapidly acquire him under fly balls, they enabled him to steal bases. After he left the orphanhood, he went back place for a short piece. He so left for the metropolis of Nevada determined to do it on his ain. He worked for a Civil War veteran and his married woman. Colonel and Mrs. John Scott took him in, loved him, worked him difficult, and sent him to two old ages of high school. No 1 knows whether or non he graduated, but he was much better educated than the typical American was. In 1880, two months before his 18th birthday, Billy Sunday decided to give up the rural life. He moved 30 stat mis east to Marshalltown, an agricultural service community that was going a little metropolis. He was recruited by the Fire Brigade and began to work in a furniture shop. Billy began to play baseball each clip the Marshalltown squad took the field. The male child from Story County non merely made the squad but besides instantly distinguished himself as a base thief and left fielder. He helped the squad turn out themselves as one of the finest in the province. It was in early spring 1883 that Billy Sunday received a telegraph message from Adrian Anson, captain and director of the Chicago White Stockings. That was the first wire I had of all time received, Sunday wrote in his autobiography, and it was good intelligence! The good intelligence was that Pop or Cap, as the participants called Anson, wanted Sunday in Chicago instantly to seek out for the celebrated National League baseball squad. He had heard of Billy from an Aunt in Iowa. In a singular show of assurance, the twenty-year-old shrub leaguer resigned his occupation of finishing furniture and devising mattresses. He spent his full economy, $ 6.00, on a new sage green suit. He so borrowed $ 4.50 from a friend and spent $ 3.50 on a trip to Chicago. He arrived with lone one dollar in his pocket. Although Chicago was merely 250 stat mis from Marshalltown, every bit far as Billy Sunday was concerned the turning mid-western city might every bit good have been on another planet. The former farm male child had neer been so far from Iowa, and he had neer seen a metropolis larger than Des Moines ( Dorsett 18 ) . Within an hr of reaching the small-town Iowan felt the anxiousness and uneasiness of a county yokel in the large metropolis. He arrived at Spalding s Sporting Goods Store, Spalding was proprietor of the squad, merely as the wire directed. After waiting a twosome of hours team members began to get. After a piece Cap Anson strolled in. Tall, rugged, and burly, he introduced himself to the uncomfortable fledgling. Billy, they tell me that you can run some. Fred Pfeffer is out cleft smuggler. How about seting on a small race this forenoon? Sunday merrily agreed. Billy borrowed a uniform from a hurler named Larry Cochrane, but for the clip being there were no athletic places. Pheffer came out and he had on running places, so I ran him barefooted, and I m glad to be able to state that I ran rings around him, crushing him by 15 pess. It was Sunday s velocity that finally won him a lasting topographic point with the Chicago nine, because this ingredient was portion of Pop Anson s formula for success. Anson made Sunday a member of his twelve-man squad in 1883. The cub played really small that first season, he took the field, in merely 14 games, but he besides served the squad by managing all of the concern direction for Anson while they were on the route. The consequences were non leading, but the cub showed pronounced betterment. Sunday batted.241 in 14 games his first twelvemonth, and he hit.222 after 43 games in 1884. In 1885 he played in 46 games, raising his batting norm to.256. In 1886 Sunday played 28 games and batted.243. During the season of 1887 he was a starting motor in 50 games and rapped out 58 hits, forcing his norm to a calling high of.291. He besides stole 34 bases that twelvemonth. Establishing himself as a professional ball participant was of import to the Iowa farm male child, but it paled in comparing to an event that took topographic point during the 1886 season. One afternoon during the summer of 1886 Billy and some of the other participants were walking the streets of Chicago. There were no games on Lords daies in those yearss, and none of the half twelve participants with Billy had anything purposeful to make. After a few drinks in a downtown barroom they strolled along and came upon a Equus caballus drawn waggon. This peculiar waggon was one of the Pacific Garden Mission prophesying squads. After listening to the Gospel anthem that reminded him of his female parent, something in Billy began to stir. Whatever the beginning of this interior restlessness, the veteran of three baseball seasons stood up at the street preacher s invitation and suddenly announced to his teammates on the kerb, Boys I bid the old life adieu. Billy considered traveling down during the invitation but did non. After several yearss of agonising over this Billy went back to the mission and decided, With Christ you are saved, without him you are lost ( Sunday Satan 4 ) . He committed his life that dark to a cause that he saw was more of import than any baseball game of all time played. Despite going mostly celebrated after being traded to Philadelphia, it would be the consequences of that determination at the Pacific Garden Mission that the universe would retrieve Billy Sunday for. Some applauded Sunday and his methods ; others did non. But there is no inquiry that Sunday s sensational calling was a phenomenon Americans would non shortly bury.

Friday, October 18, 2019

Wolf Peak International Assignment Example | Topics and Well Written Essays - 500 words

Wolf Peak International - Assignment Example It led to the painful but liberating experience of installing SAP Business One, a very user-friendly program that is cheap and quick to install and one that runs in tandem with other useful programs such as Microsoft Excel. The article then goes on to list the functionality of the program, stating the ability to peruse orders by amount and date as an important factor. The problems that occurred when Wolf Peak upgraded from QuickBooks to the newer system were that no-one understood how to use the program in question and reports could not be generated from it. It was stated that accountants spent months trying to extract information from the program. It is also mentioned that the old reports from QuickBooks could not be uploaded onto the system and therefore there was no history on the system, a problem for a SME such as Wolf Peak. These problems could have been avoided by proper investigation into the types of accounting package available, and getting a demonstration from the company like that mentioned later with reference to SAP Business One. Education of the employees by the manufacturer of the new system could have been useful too, although a program that is not user-friendly may never catch on. There are several reasons why the SAP Business One was preferable. Firstly, SAP Business One took only seven weeks to install, and Wolf Peak was using it successfully from this period with no delays. SAP Business One also allowed the QuickBooks entries to be put into the system easily, meaning that all the accounting system was in one place. The compatibility with Microsoft Excel allows people from all areas of the company to see the accounts and make adjustments in a familiar program, as well as for easy printing and note-making. SAP Business One also allows Schwab to check the inventory and the price value for each item of stock, an invaluable tool for a SME.

Personal and professional development Essay Example | Topics and Well Written Essays - 1750 words

Personal and professional development - Essay Example The manufacturing engineer’s job encompasses planning, designing, setting up, modifying and monitoring of manufacturing processes according to Prospects (2011). They also engage in the maintenance of machines and equipment and scheduling of manufacturing operations in some cases. They normally liaises with other members of the organization such as those in the research and development department in ensuring that the company continues to operate as efficiently as possible in the process of producing quality products.. Levels of professional Qualifications for Manufacturing Engineer In order to become a manufacturing engineer in a company, one must get secondary and college or university education with a focus of related subjects such as physics, mathematics, technical drawing and statistics just to mention a few. At college and university levels, the manufacturing engineer will be trained on a wide range of subjects including design and analysis of processes that are applied in manufacturing, metrology, design for manufacturability, Computer-Integrated Manufacturing, and instrumentation and controls engineering among others (Worcester Polytechnic Institute nd). The Engineering Council and its Role The Engineering Council is the United Kingdom’s authority that is charged with the task of registering professional technicians and engineers. The council also performs secondary tasks such as advising students, trained engineers, academic organizations and employers on the procedures and standards for registration. The body also regulates the professions of the engineering technician, incorporated engineer as well as the chartered engineer. Considering that the title â€Å"Engineer’ is legally protected in the UK, it is important for the professional engineer to be awarded a title by the Engineering Council that is otherwise protected. As a professional manufacturing engineer therefore, it is advantageous to voluntarily register with the Engineer ing Council so as to demonstrate high competence - such competence that can only be acquired by training, education and proper experience. These indeed are the basic requirements for one to be registered by the Engineering Council. In order to be registered by the Engineering Council, one has to sit and pass the organization’s examinations at each stage. The manufacturing engineer can sit for the levels 5, 6 and 7 to be registered as an Engineering Technician (EngTech), Incorporated Engineer (IEng) and Chartered Engineer (CEng) respectively. Some of the advantages of being registered by the Engineering Council include higher earning potential, better career prospects international recognition, high self esteem, and recognition of expertise. Engineering Technician (EngTech) The engineering technologist is an engineer who specializes in implementing the existing technologies that exist in the engineering field. In other words, the technologist is more oriented toward the applic ation of engineering fundamentals as opposed to creating new knowledge in the field. They always work with other engineering professionals applying technical skills and engineering principles in their practice. The manufacturing engineering technologist can work in a wide range of industries, not limited to maintenance, manufacturing, processing and assembling companies. The technician is trained widely in

BMW's New Oxford Way Case Study Example | Topics and Well Written Essays - 1000 words

BMW's New Oxford Way - Case Study Example The management allowed the workers in each shift to give a 'team talk' for 45 minutes in a fortnightly manner. Previously the workers were reluctant to join such activities during work, but now they want to air their ideas which worked for the betterment of the company. The team members were also allowed to air their ideas and suggest any change required. This resulted in savings to the tune of 6.3 million pounds. The management and directors also worked closely with the workers on the ground floor. This had led to the better understanding of the working personnel and the employer. The gulf between management and employee was reduced. As a result of the motivated management decisions, the workers were enthusiastic, positive, better informed and more open, which benefited the company a lot. c Benefit of team working at BMW for: I. Employees: 1. The employees were developed as a team and they were empowered to tackle the production related problems themselves. Whereas earlier they had to take help from other departments. 2. The tasks were rotated within members of groups so that they do not get bored by the daily repetitive work. 3. The rules and regulations were not forwarded by the management; it was purely based on the employee's own initiative and self management. 4. The team work also led to the development of the team-work culture which is beneficial for individual and team. 5. The team members could air their ideas and suggest any change in the process. 6. The team members were better informed due to job rotation and multiskilling. 7. They were more enthusiastic. 8. They possessed more positive attitude. 9. They were more open. II. Business: 1. Production problems... The workers were rejuvenated with the own initiative and self management which had broken the traditional hierarchical system of management. The daily duties of each team member were reduced so that he can think about his team members and can suggest any change for the team's work culture. The workers were given external training and coaching so that they can work as a team member. These endeavours from the company thus satisfied the purpose of job enrichment. Heike Schneeweis, HR director at BMW told, "The implementation of Wings concept turnaround the working practice and behaviour". She emphasized that "teamwork diminished the power of traditional hierarchical management model and inculcated responsibility among working teams". The management allowed the workers in each shift to give a 'team talk' for 45 minutes in a fortnightly manner. Previously the workers were reluctant to join such activities during work, but now they want to air their ideas which worked for the betterment of the company. The management and directors also worked closely with the workers on the ground floor. This had led to the better understanding of the working personnel and the employer. The gulf between management and employee was reduced. The success of the Wings system or in that sense, the New Oxford Way solely depends on the empowerment of the workers.

Thursday, October 17, 2019

The Impact of Evolving Technologies Assignment Example | Topics and Well Written Essays - 250 words

The Impact of Evolving Technologies - Assignment Example In addition, there is production of high-quality animations thereby improving the standards of animations. The costs of animation film production have been reduced by letting the computer carry out most of the technical aspects that would have otherwise been done by other people. Tasks such as preparation of miniatures and the use of other actors have been eliminated (Wright, 2013). For example, CGI has greatly contributed to the success of the animation Shrek. For example, the appearance of the diverse characters in the film was enhanced by CGI. The number of characters varied from normal-looking ones to weird-looking characters that are not normally seen in other films. The antics of the donkey have been greatly influenced by computer-generated imagery (Shrek, n.d.). The animation also appears bright and colorful due to the intricate balance of color, light and texture (Scaramozzino, 2010). That has been made possible with CGI. Without the advancement of CGI, such an animation may not have made the impact it did by appealing to large

The quality of risk management in the Civil Engineering Assignment

The quality of risk management in the Civil Engineering - Assignment Example The paper tells that to any engineer, a statement of â€Å"risk† in correlation with a hazard represents the combination of the probability that a hazard will occur and the resulting consequences of that hazard. The possible consequences could range from traumatic injury or death, the cost of rebuilding a structure, the loss of revenue from suspension of economic activity, In addition to environmental damage, and further dangers. To be specific, a hazard can be defined as a set of conditions with the potential to cause adverse or undesirable events. In any case, the safety issue has to be addressed either by the soundness and safety of the design, or by directed measures taken in advance to minimize dangers. Facility construction and civil engineering by necessity involves a wide range of risks. International projects — defined in this case as those where the owner and/or contractor originate from a country other than that of where the project is situated — usual ly require a wider range of issues than purely domestic efforts. There is no doubt that venturing beyond one’s typical business jurisdiction produces many unknowns. Factors concerning owner investment decisions involving international capital facilities can be highly complex and may differ in crucial ways from region to region and between various projects. Contractors are faced with similar challenges when they begin working outside of their country of residency. International projects differ from purely domestic operations in areas such as legal regulations, construction systems/equipment, available technology, and management strategies. The success of a particular venture, and in some cases the viability of the entire organization, can depend upon an understanding of the risks correlating with these projects. International projects that fail in these implicit challenges in terms of scale, budget, and scheduling can result in a variety of undesirable impacts with severe econ omic, social, and political consequences. There is little doubt that construction projects of many eventual purposes going through a process of systematic review for the purpose of risk assessment and managed decision-making will benefit over those that do not. Viewed collectively, construction in a global sense is an essential worldwide industry which by itself accounts for approximately US$3.4 trillion, which constitutes nearly 10% of gross domestic product globally. (Bon, 2000) This sum is distributed among local, regional, or national enterprises, yet an increasing percentage of industry players conduct operations on an international level (Bon 2001). Most recently, the United States has been the largest construction market. With estimates reaching over $800 billion USD—projects completed outside of the domestic market. Construction in a general sense has a history of even greater capital investment in the portfolios of American owners, as well as the work performed by Am erican contractors. The development and operations of multinational corporations serves as a major contributor to the creation of an international market for construction in a way not possible in previous centuries. (United Nations 2001). Most industry experts propose that international business opportunities will continue to attract American foreign investment, while the international construction market will draw U.S. contractors. American Owners are vigorous in searching out international opportunities for new markets or to streamline cost effectiveness in present manufacturing operations. The globalization of the international construction markets allows for considerable profit for contractors to expand into additional foreign markets (Hann and Diekmann 2002). With the expansion of profit potential comes in added need for safety. The effort to minimize safety hazards is not only an issue of public concern, but as the market expands construction hazards pose an increasing threat to the budgetary constraints of many firms. With greater investment also comes greater potential for losses if

Wednesday, October 16, 2019

BMW's New Oxford Way Case Study Example | Topics and Well Written Essays - 1000 words

BMW's New Oxford Way - Case Study Example The management allowed the workers in each shift to give a 'team talk' for 45 minutes in a fortnightly manner. Previously the workers were reluctant to join such activities during work, but now they want to air their ideas which worked for the betterment of the company. The team members were also allowed to air their ideas and suggest any change required. This resulted in savings to the tune of 6.3 million pounds. The management and directors also worked closely with the workers on the ground floor. This had led to the better understanding of the working personnel and the employer. The gulf between management and employee was reduced. As a result of the motivated management decisions, the workers were enthusiastic, positive, better informed and more open, which benefited the company a lot. c Benefit of team working at BMW for: I. Employees: 1. The employees were developed as a team and they were empowered to tackle the production related problems themselves. Whereas earlier they had to take help from other departments. 2. The tasks were rotated within members of groups so that they do not get bored by the daily repetitive work. 3. The rules and regulations were not forwarded by the management; it was purely based on the employee's own initiative and self management. 4. The team work also led to the development of the team-work culture which is beneficial for individual and team. 5. The team members could air their ideas and suggest any change in the process. 6. The team members were better informed due to job rotation and multiskilling. 7. They were more enthusiastic. 8. They possessed more positive attitude. 9. They were more open. II. Business: 1. Production problems... The workers were rejuvenated with the own initiative and self management which had broken the traditional hierarchical system of management. The daily duties of each team member were reduced so that he can think about his team members and can suggest any change for the team's work culture. The workers were given external training and coaching so that they can work as a team member. These endeavours from the company thus satisfied the purpose of job enrichment. Heike Schneeweis, HR director at BMW told, "The implementation of Wings concept turnaround the working practice and behaviour". She emphasized that "teamwork diminished the power of traditional hierarchical management model and inculcated responsibility among working teams". The management allowed the workers in each shift to give a 'team talk' for 45 minutes in a fortnightly manner. Previously the workers were reluctant to join such activities during work, but now they want to air their ideas which worked for the betterment of the company. The management and directors also worked closely with the workers on the ground floor. This had led to the better understanding of the working personnel and the employer. The gulf between management and employee was reduced. The success of the Wings system or in that sense, the New Oxford Way solely depends on the empowerment of the workers.

The quality of risk management in the Civil Engineering Assignment

The quality of risk management in the Civil Engineering - Assignment Example The paper tells that to any engineer, a statement of â€Å"risk† in correlation with a hazard represents the combination of the probability that a hazard will occur and the resulting consequences of that hazard. The possible consequences could range from traumatic injury or death, the cost of rebuilding a structure, the loss of revenue from suspension of economic activity, In addition to environmental damage, and further dangers. To be specific, a hazard can be defined as a set of conditions with the potential to cause adverse or undesirable events. In any case, the safety issue has to be addressed either by the soundness and safety of the design, or by directed measures taken in advance to minimize dangers. Facility construction and civil engineering by necessity involves a wide range of risks. International projects — defined in this case as those where the owner and/or contractor originate from a country other than that of where the project is situated — usual ly require a wider range of issues than purely domestic efforts. There is no doubt that venturing beyond one’s typical business jurisdiction produces many unknowns. Factors concerning owner investment decisions involving international capital facilities can be highly complex and may differ in crucial ways from region to region and between various projects. Contractors are faced with similar challenges when they begin working outside of their country of residency. International projects differ from purely domestic operations in areas such as legal regulations, construction systems/equipment, available technology, and management strategies. The success of a particular venture, and in some cases the viability of the entire organization, can depend upon an understanding of the risks correlating with these projects. International projects that fail in these implicit challenges in terms of scale, budget, and scheduling can result in a variety of undesirable impacts with severe econ omic, social, and political consequences. There is little doubt that construction projects of many eventual purposes going through a process of systematic review for the purpose of risk assessment and managed decision-making will benefit over those that do not. Viewed collectively, construction in a global sense is an essential worldwide industry which by itself accounts for approximately US$3.4 trillion, which constitutes nearly 10% of gross domestic product globally. (Bon, 2000) This sum is distributed among local, regional, or national enterprises, yet an increasing percentage of industry players conduct operations on an international level (Bon 2001). Most recently, the United States has been the largest construction market. With estimates reaching over $800 billion USD—projects completed outside of the domestic market. Construction in a general sense has a history of even greater capital investment in the portfolios of American owners, as well as the work performed by Am erican contractors. The development and operations of multinational corporations serves as a major contributor to the creation of an international market for construction in a way not possible in previous centuries. (United Nations 2001). Most industry experts propose that international business opportunities will continue to attract American foreign investment, while the international construction market will draw U.S. contractors. American Owners are vigorous in searching out international opportunities for new markets or to streamline cost effectiveness in present manufacturing operations. The globalization of the international construction markets allows for considerable profit for contractors to expand into additional foreign markets (Hann and Diekmann 2002). With the expansion of profit potential comes in added need for safety. The effort to minimize safety hazards is not only an issue of public concern, but as the market expands construction hazards pose an increasing threat to the budgetary constraints of many firms. With greater investment also comes greater potential for losses if

Tuesday, October 15, 2019

Tornadoes in the United States Essay Example for Free

Tornadoes in the United States Essay Introduction   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   From the natural definition of tornado usually connotes a vortex of air that rapidly rotates and progress its contact with the ground. The rapidly circulating winds are very much capable of causing damage vast damage as a natural disaster. A tornado can move over a surface with few objects to be picked up and swirled about or you may not be able to see all the way to the surface beneath a funnel cloud because of intervening hills, trees, or buildings. Usually, the manifestations of these funnel clouds are already considered as indications of tornadoes, unless these manifestations are certain not to contact the ground[1]. The stretching that ultimately leads to tornado formation is due to the upward acceleration of the air at the base of the updraft[2]. Most manifestations of tornado illustrate extreme cyclonic force due to the effect called Corriolis, which connotes a counterclockwise movement of air in the northern hemisphere while the opposite direction of air’s movement in the south of equator. Anti-cyclonic tornadoes (clockwise-spinning in the northern hemisphere) have been observed[3]. Tornadoes most prominently manifest from the right side of air movement and the progress ahead from the storm center path as it touches the shores. In this discussion, the primary subject concerns with the occurrence and formation of tornadoes. The study tackles the principles comprising the formation of tornado in order to answer the main inquiry of the study. After which, the study analyzes the effects of tornado occurrence in the environment and the individuals in the perspective of its damaging effects. Lastly, the study covers the frequency of tornadoes in the United States and the most prominent parts in which tornadoes occur. Discussion Formation of Tornadoes   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Although the process by which tornadoes form is not completely understood, scientific research has revealed that tornadoes usually form under certain types of atmospheric conditions. The technology and studies in predicting the tornadoes’ occurrences are presently utilized by weather experts to eventually obtain even a crude prediction for tornadoes occurrences. Weather forecast can at least provide crude predictions for the occurrence of tornado, but this information can go inaccurate due to the wide scale of outside factors influencing the tornado’s characteristics[4]. However, even with continuous and vast studies being made to further understand the behavior of these tornadoes, predicting the occurrence of weather even with crude indications are still impossible[5]. Some predictions even fall into inaccuracy at times wherein those areas with less frequent tornadoes are being populated more than those areas with predictions of tornado occurrence but with little or no manifestation of the phenomenon.   Tornadoes, rather than being spread uniformly, as the case for solid body rotation, most of the vorticity and the ascent within the interior of the tornado vortex tend to become concentrated within a narrow ring, just inside the radius of strongest winds. Under certain conditions, this ring of extremely high vorticity can break down into multiple vortices, whose signatures are clearly evident in the situations of aerial debris[6]. In fact, nature’s most violent storms are usually quite small and localized. They are generated, shaped and dominated by powerful winds that whirl around a small area of extremely low pressure, creating a revolving storm with the characteristic swirling, funnel-shaped clouds[7].   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The easiest way to estimate the size of a tornado is by the size of the damage path. Usually, the common type of tornado’s path is from one to two miles wherein the width exceeds up to 50 yards. So far, the largest width the ever recorded accounts to one mile, while the smallest is considered 10 yards[8]. Tornado is formed and driven by a very low pressure winds present at its very core low pressure as its centre, which is often as much as 100mb lower than in the surrounding air. This scenario creates an overly steep pressure gradient that sucks in surrounding air and generates high wind speeds. The usual speed of the wind is in excess of 300 km/h are commonly present in Tornadoes. Geostrophic winds blow clockwise around tornadoes in the northern hemisphere and anticlockwise in the Southern hemisphere[9]. The widths of the tornadoes can vary during depending on the circulation of wind and other factors influencing their occurrences, because the size of the tornado can alter considerably during its lifetime. On other hand, the length of tornadoes’ path varies from the single point or the point of origin to more than 100 miles. The rotation in the tornadic supercell storm builds up gradually for a several hours, but the progression of the tornado itself usually occurs in much more speed than the usual expectation[10]. Typical tornado lifetimes are usually on the order of tens of minutes during which time move with the storm[11]. Most tornadoes have a diameter of less than a few hundred meters. A narrow rotating column of air that blows around a more or less vertical axis of low pressure and moves across the surface of the land is frequently described as a whirlwind[12]. The development of these Doppler radars provided a means for weather forecasters to at least obtain the status of characteristics, and event he chances of tornado for at least under circumstances. The National Weather Service has strategically located Doppler radars across the country which can detect air movement toward or away from the radar[13]. Detecting the progress of rotation within the tornadoes can enable the weather experts to determine and provide appropriate life-saving procedures. Most tornadoes eventually become surrounded by cooler, less buoyant downdraft air a the flanking line or rear flank gust front wraps around the mesocyclone, reminiscent of the way in which the cold air wraps around an occluding extratropical cyclone. As the mature tornado and its associated mesocyclne weaken and die, a new mesocyclone may form along the gust front, setting the stage for the formation of second tornado[14]. Somehow, studies have arrived to the most frequent time ranges when tornadoes usually occur; however, the accuracy of these time frames still vary according to other external factors, such as area, topographical location, climatic shifts, presence of storms, seasonal variations, etc. Tornadoes usually occur during late afternoon or early evening. They are most frequent during late spring or early summer[15]. A series of climatic cycles and transformations is thought to be the primary theory to support the ground basis for the formation of tornadoes. During its early phase, the initial event starts with the drying of cool air starts to meet up with the drying war air. In this sense, the air continuously overlaps with each other until humid air arises on the surface.   Progressing to the next phase, the warmer air begins to settle in the lower altitudes in order to increase the temperature inversion, which comprises of warm, dry stratum above moist or humid air surface layer. Due to the continuous advection or the horizontal airflow, the atmospheric changes under the temperature inversion continue to warm and moisturize. As the sun heats the air at the ground surface, it starts to ascend and cool, which then forms a large cumulonimbus clouds[16]. With tornado’s unpredictable character, tornadoes and the system for its formation are still being critically studied. So far, the studies have revealed the usual occurrence of tornado resides in isolated incidents or in great numbers along a storm front. In extreme cases, these tornadoes can even generate more than 300 miles (483 kilometers) per hour and may travel over 200 miles; the average tornado is much weaker and lasts for 5 to 10 minutes on the ground and traveling 2 to 5 miles[17]. A whirling mass of cloud and debris beneath a roiling sky is a truly awesome and frightening sight. The twisting winds inside a tornado average between 100 and 150 miles per hour, but some storms generate winds in excess of 200 miles per hour[18]. After which, a cold front settles in within the temperature inversion and force the surface air up through it into the cool air above. In this phase, the growth of the clouds progress rapidly although substantial in form but does not extend above the tropopause. In this scenario, a jet stream is being produced, which moves air away from the top of the cloud and convection occurs beneath it, making the storm more intense[19]. After this phase, the tornado is likely now to develop most especially if the position and curves of the jet stream is in very favorable condition. In addition, for a tornado to form, these should be enough air to flow into the bottom of the storm, which usually coincide with the tailing hail. This initiates the descending of the cold air produced in the initial phase, which somehow help to stimulate convection current and energy transfers. Finally, tailing hail and descending cold air initiate the production and initiation of convection of currents and energy transfers. Static electricity is now produced, which consequently aids on the development of the vortex present in the tornado’s body[20]. Effects of Tornadoes on Environment and People   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   People and properties are usually threatened by the massive entrance of high wind speeds around the tornado, which tornadoes move across the ground. Many tornadoes move at speeds of between 150 and nearly 500 km causing massive damage in the area that it passes by. Fast-progressing tornadoes cannot be outrun, and people caught in their path are generally advised to shelter or drive away at right angles to the narrow tornado track[21]. The intensity and duration of tornadoes greatly affect the rate of damage done by this disaster to the path it passes by and the environment to which it occurred. They have vast destructive impacts on the land in which they touch whether it is city, town, country, ocean or forest. The effects of tornadoes on forests are similar to that of hurricanes wherein the strong downward circulating motions of the wind alter the composition of forest stands[22]. In emphasizing tornadoes effects in financial losses of the community, approximately $5 million a year (compared with $200 million for urban drought) is spent to provide and improve warning systems and to construct tornado shelters or storm cellars[23]. The government is ready to spend this amount of funds for the preventive preparations in order to further warn their citizens of the coming natural phenomena. This is one of the primary reasons why the number of tornado-related deaths in these tornado-prone areas tends to be lower than those with lesser risked areas. Warning time under the best conditions is not more than one hour ahead of the event. Tornadoes cause great damage they often cause total destruction where the touch the ground, because of the extremely strong winds and the powerful uplift is within them. They often follow quite well-defined paths along the ground, and this is evident in the trail of damage they leave behind including swathes cut through forest and narrow strips of buildings destroyed in residential areas[24]. On the other hand, although deaths from tornado have been reduced in recent years, the number is still relatively high, averaging about 120 a year. Economic damage from tornadoes averages about $125 million a year, as opposed to only $15 million for drought[25]. The tornadoes have been one of the most destructive events in decades, killing forty-seven people, destroying 2,000 homes and causing about US $500 million worth of damage[26]. On the other hand, from one of the most prominent site of Tornado, Kansas, several tornados were estimated to have caused $2.5-5 million in property damage. Four deaths were caused by 484 tornadoes over the 52 year period (from 1950-2002) only for this area. In terms of tornadoes’ damaging potential, a primary tornadic direct hit on one of the larger communities can cause much greater loss of life and property than in small country[27]. Areas of the U.S Being Hit the Most   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Tornadoes are the most violent and destructive disasters of the Earth’s atmosphere. About 200 tornadoes a year are recorded across the United States. They are even considered as the primary climatic hazards in central and eastern areas, and particularly in the valley of the Mississippi, which is most prominently known as the tornado alley[28]. In fact, during the years from 1920 to 1950, every country in Mississippi valley and those adjoining coastal plains of the Gulf of Mexico was struck by at least a dozen tornadoes that cause extreme property damages and the crude death rate of 2000 people[29]. Although tornadoes occur in many areas of the world, the United States has more tornadoes than any other country, with an estimated 30% to 50% of the world’s total. Canada ranks as the second place in the occurrence of tornado with approximately 100 to 200 tornadoes per year[30]. In additional, tornadoes occurring in these areas tend to be more aggressive and deadly than those in other countries. Such scenario is because of the clashing of air masses east of the Rockies. The most obvious tornado alley extends from the plains of northwest Texas eastward into north Texas and then northward across Oklahoma, Kansas, and eastern Nebraska. A second tornado alley, called Midwest Alley, is located over most of Illinois and Indiana. Finally, Dixie Alley[31] stretches eastward from Arkansas, Louisiana, and Texas through Mississippi, Alabama, and Georgia. Dixie Alley also extends southward into Florida[32]. A portable Doppler radar measured a wind speed of 318 miles per hour in a tornado that struck Oklahoma City[33] on May 3, I999.[34] In this incident of tornado, the immense manifestation of tornado was not predicted accurately by the weather forecast during that point or at least, the news of its intensive manifestation arrived late, which caused the immense damage[35]. During April 26, 1991, one of the most prominent tornado occurrences in Oklahoma occurred near Red Rock. The wind measuring for 286 miles per hour was incorporated within the storm that devastated parts of Red Rock Oklahoma. In an average year, more than a thousand tornadoes are likely to touch down across the United States[36]. However, it is fortunate for the community that weather analysts can provide advance warning for the coming or at least a crude prediction of tornado occurrence in their area. In this way, the public is able to prepare for the coming of tornadoes; hence, reducing the damage this phenomenon can cause. Knowing that these Tornadoes happen predominantly during the afternoon and early evening, the exact ranges of time frames based on previous historical occurrence of tornadoes state 2:00P.M. until 7:00 P.M local time. On the other hand, the time wherein tornadoes usually show immense activity is from 5:00 P.M. to 6:00 P.M. Such time frame is very much evident in smaller alley or regions such as the Dixie Alley[37]. A broad swath from central Texas to eastern Nebraska comprises the heart of ‘tornado alley,† which extends southward through the Gulf States and eastward to the Ohio Valley. No other place in the world experiences more tornadoes than the nation’s heartland, although twisters are not confined to the Midwest and southern states[38]. In addition, the national tornado season is clearly from April through July; however, tornado season in the United States never really begins or ends but is ongoing[39]. Most tornadoes tend to build up inside very large storms, and these are usually found in unstable environments in which wind speeds vary with height and where cool, dry air rests on top of warm, moist air, with a thin, stable layer separating the two air masses[40], a condition similar to temperature inversion in other settings[41].   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In the United States, those areas with high occurrences of tornadoes have relatively low rates of tornado-related deaths, partly because of variations in population density, but the provided proofs show a variation over time in the location of tornadoes, which is placing significant numbers of less well-prepared individuals and communities at risk. Death rates from tornado-related injuries in the United States are the highest among people living in mobile homes, the elderly (over 60 years of age) and people caught outside with no protection when the tornado passes by[42]. One of the most historical events that occurred in Pennsylvania was during 1998 wherein fifty-nine tornadoes, plus several waterspouts over the open waters of Lake Erie were counted for just one season. According to climatologist and weather analysts, the most damaging tornadoes that occurred within this area of Pennsylvania from 1865, 1896, 1944 and 1998 are only products of stronger western and southern storms that usually struck in late spring[43]. Conclusion   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   As for the conclusion of the subject, tornadoes in the United States have indeed manifested in greatest terms wherein U.S has been considered as the top most destination for the occurrence of tornadoes. From the discussion of tornadoes, formation, it has been uncovered that the origin of these phenomenon are from the contacts of war and cold air that contradicts to form humid, moisture and temperature variance, which in the end, initiate static electricity that causes the formation of the vortex. From the discussion on the effects of tornadoes, it has been uncovered the main destruction caused by this event is on the property and physical aspect wherein significant economic cost decline are mainly affected especially for those occurring in larger communities. Lastly, the areas where tornadoes mostly occur are Nebraska, Oklahoma, Kansas, Texas, and those areas within the tornado alley or Mississippi. Bibliography Alexander, D. E. (2003). Natural Disasters. Springer. Barnes, P. L. (1999). The Oryx Guide to Natural History: The Earth and All Its Inhabitants. Greenwood Publishing Group. Burton et.al., I. (1993). The Environment as Hazard. Guilford Press. Essex, S. (2005). Rural Change and Sustainability: Agriculture, the Environment and Communities. CABI Publishing. Gelber, B. (2002). The Pennsylvania Weather Book. Rutgers University Press. Gunn, A. (2001). The Impact of Geology on the United States. Greenwood Publishing. Hagget, P. (2002). Encyclopedia of World Geography. Marshall Cavendish. Konvicka , T. (1999). Teachers Weather Sourcebook. Libraries Unlimited. Pack, C. C. (2001). The Environment: Principles and Applications. Routledge. Tawrell, P. (2006). Camping Wilderness Survival: The Ultimate Outdoors Book. Paul Tawrell. Wallace, J. M., Hobbs, P. B. (2006). Atmospheric Science: An Introductory Survey. Academic Press. [1] Tawrell, P. (2006). Camping Wilderness Survival: The Ultimate Outdoors Book. Paul Tawrell. p.674 [2] In a typical supercell storm the rate of ascent w increases from near zero at the ground to ~3 m   s-1. Hence, the e-folding time T for the amplification of the vorticity is 300s (Wallace, J. M., Hobbs, P. B. (2006). Atmospheric Science: An Introductory Survey. Academic Press. P.360). [3] Tawrell, p.674 [4] Tawrell, p.674 [5] Tornadoes usually form when warm, humid air is sucked into a low-pressure cell. There it arrives into contact with a cold front accelerating towards it from the counter directions. The steep temperature gradient permits the tornado to facilitate along the squall line either in front of or along the cold front. In the United States, tornadoes are most common in the Mildwest and along the east coast (Park, C. C. (2001). The Environment: Principles and Applications. Routledge. P.315) [6] Wallace, Hobbs, p.360 [7] Powerful updraughts within increasing column of air provide the tornado its strong vertical progression, and the circulating form is induced by strong winds that are drawn into the low pressure center (Park, p.315). [8] Tawrell, p.674 [9] Park, p.315 [10] Wallace, Hobbs, p.360 [11] On the other hand, non-supercell tornadoes form when a patch of boundary layer air with circulation about a vertical axis comes into vertical alignment with a vigorous convective-scale updraft. The source of the vorticity may be a gust front, a convergence line, or wind shear induced by flow around a topographical feature (Ibid, p.361) [12] Tornadoes form over dry land, but when the funnel-shaped vortex comes into contact with a lake or sea it sucks up particles of water and whirls them around in a spiral pattern as a waterspout (Park, p.315). [13] Tawrell, p.674 [14] Wallace, Hobbs, p.360 [15] Park, p.315 [16] Alexander, D. E. (2003). Natural Disasters. Springer. P.172 [17] The United States is the most tornado-prone country in the world, with the main characteristic of tornadoes that range from average to extreme. The usual area of occurrence relies in Great Plains or the Tornado Alleys (Barnes, P. L. (1999). The Oryx Guide to Natural History: The Earth and All Its Inhabitants. Greenwood Publishing Group. P.55) [18] Gelber, B. (2002). The Pennsylvania Weather Book. Rutgers University Press. P.135 [19] Alexander, p.172 [20] Ibid, p.172 [21] Park, p.316 [22] Tornadoes, by contrast, are intensive hazards that threaten about +0 million people living in the areas of higher tornado incidence in the Midwest, the Great Plains, and the Gulf States. Tornadoes are comparatively rare events with high energy outputs and arc highly localized, with a very rapid onset. Moreover, although between six and seven hundred tornadoes occur every year, the average path is quite small. There is little incentive, therefore, to invest in protective measures, since their likelihood of being needed in any one place is small and, given the force of a tornado, such measures are often not effective (Baumann and Sims, 1972; cited from Burton et.al., I. (1993). The Environment as Hazard. Guilford Press. p.42). [23] Burton et.al. p.42 [24] Park, p.317 [25] Burton et.al. p.42 [26] Park, p.316 [27] Essex, S. (2005). Rural Change and Sustainability: Agriculture, the Environment and Communities. CABI Publishing. P.175 [28] America’s known â€Å"Tornado Alley† or the Mississippi is the area with the most prominent occurrence of twister that entails great damage and destruction; however, few periods see as much activity as on one night in mid May 1999, when seventy-six twisters ripped through Oklahoma, Nebraska, Kansas and Texas (Park, p.316) [29] Hagget, P. (2002). Encyclopedia of World Geography. Marshall Cavendish. P.84 [30] Konvicka , T. (1999). Teachers Weather Sourcebook. Libraries Unlimited. P.200 [31] Tornado incidence increases in Dixie Alley in February. During the spring, tornadoes become more common farther west and north, extending into Texas and the Tennessee Valley. By May and June, tornado frequency increases in the plains of Texas, Oklahoma, Kansas, and Nebraska. In July, tornado frequency shifts 10 the Dakotas, the Upper Midwest, and the Great Lakes region while decreasing to a minimum in Dixie Alley. An interesting secondary peak is evident in November, particularly in Dixie Alley (Konvicka, p.200-201). [32] Konvicka, p.200 [33] Ibid, p.200 [34] On the evening of 3 May 1999 the worst tornado of the century, as far as costs are concerned, touched down on Oklahoma City. It was the nation’s first billion-dollar one. It was not alone. Other parts of Oklahoma. the state that gets more tornadoes per square kilometer than anywhere else on earth, were hit with 65 of these storms on that same evening, all of them in areas close to Oklahoma City. Within a period of five hours 8,000 buildings were in partial or total ruin as the rash of storms swept from southwest Oklahoma diagonally across the state toward Wichita, Kansas (Gunn, A. (2001). The Impact of Geology on the United States. Greenwood Publishing.p.205) [35] The difficulties involved in forecasting were evident on that fateful evening in May. The Storm Prediction Center (SPC), based at Norman. Oklahoma, issues bulletins every day, and on that morning’s statement announced it as unlikely that any tornado would appear during the day. By early afternoon SPC raised its estimate to moderate. Not until close to 4:00 in the afternoon did SPC change its prediction to high risk—and then only because a powerful computer had shown that storms were charging across the state (Ibid, 205-206). [36] Gelber, p.135 [37] Konvicka, p.200 [38] Gelber, p.135 [39] Konvicka, p.200 [40]  If a weather system reaches this unstable mass, the status quo is disrupted: The low-level air is forced upward, and a vertical vortex gradually takes shape as the warm air ascends, cools to the point of condensation, and then is triggered into faster ascent as the latest heat of condensation warms the surroundings (Gunn, p.206). [41] Ibid, p.206 [42] Pennsylvania experiences an average number of eleven tornadoes annually, based on the statistical period of 1954 through 1999. However, during a ten-year period from 1989 to 1998, the average number of Pennsylvania tornadoes doubled to twenty-two . (Gelber, p.135) [43] Ibid, p.135