Tuesday, October 29, 2019

Business policy-strategic management Essay Example | Topics and Well Written Essays - 250 words

Business policy-strategic management - Essay Example Internet ticketing is another long-term objective in the strategy of Southwest airline. It arranges its bookings online for its reliable customers to save time and the hassle involved in seat reservations. This long-term objective seeks to make it continue to run its resources efficiently and ensure a stringent approach based on qualitative customer participation and estimated future occurrences. Southwest airlines seek to have extended operations (ETOPS) documentation to fly over water. They already have an airplane to achieve this goal, and just need appropriate documentation to start their services in Hawaii. The airline plans to adopt a new seating arrangement that has a new design and more row seats. This will help it generate additional revenue. The seating arrangement will be adopted in several airplanes, and customers are already showing their satisfaction in the new development. Another long-term objective that involves safety is to provide Ramp Employees in its system with hands-free wireless headsets. This is in the quest to make it possible for pilots and the ground crew to communicate and synchronize the push back of planes from open space gates in an efficient manner. The airline seeks to improve its fuel efficiency in the coming years. It seeks to achieve this through power conservation on the ground, development of optimum cruising speeds in order to cut down emissions. Next generation fuel-efficient jets seek to replace their traditional aircrafts (Panchuk,

Sunday, October 27, 2019

History and Demographics of Myanmar

History and Demographics of Myanmar Introduction Myanmar (Burma renamed Myanmar in 1989) has never seen sustained conflict-free periods since its independence in 1948. The military has ruled the country since 1962. In 1988, pro-democracy protests were crushed. In 1990, free and fair national elections were held in Myanmar for the first time in 30 years. The National League for Democracy, the main political movement led by Mrs Aung San Suu Kyi (1991 Nobel Peace Prize laureate), won 62% of the votes and 82% of the seats in elections.[1] While the purpose of these elections was never made fully clear (either to create a Constituent Assembly or a legislative Parliament), the military regime refused to honour the result. Since then, the senior political leaders and the army have remained the beneficiaries of the countrys self and externally imposed isolation. The population continues to live under political oppression, aggravated by economic difficulties. Detentions, intimidation and political oppression of activists are common place. In 2003, the military government presented a seven-step ‘roadmap for constitutional and political reform towards a ‘disciplined democracy. The first face of this roadmap was launched in 2004, with the reconvening of the National Convention to deliberate on basic principles for a new Constitution. Then in December 2007, the process of drafting a Constitution, based on those basic principles, began.[2] Unlike other political groups invited, the NLD refused to take part in the process. Although these first steps might indicate progress, the roadmap has come under criticism for being non-inclusive and lacking credibility. The economic situation stays highly problematic and potentially de-stabilising. The poor data quality and dubious governments statistics, which point to double-digit economic growth, are highly misleading to outside observers and attempt to obscure the countrys dire humanitarian situation. Because of political constraints, donor assistance levels to Myanmar remain grossly insufficient to cover the needs of the general population. In mid-August 2007, as a result of the dismal economic situation, street demonstrations were sparked over a sudden increase in fuel prices. The demonstrations grew into a nation-wide protest against the regimes policies. The Myanmar Sangha an influential institution in society showed overwhelming support for the protests. The government responded with a violent crackdown on the peaceful protests. This crackdown was condemned by the international community, which consequently renewed its pressure on the regime for political reform. As a result the European Union extended their existing sanctions on Myanmar in November 2007. Thus far, European sanctions do not seem to have pushed the government in the desired direction, and they may even have produced counterproductive effects. These include a hardened stance by the government, negative impact on Myanmar civil society and an undermining of the economy at large. Its often said that sanctions are, in and of themselves, a form of violence, employed as a political tool used for rhetoric rather that to create meaningful change. Nevertheless, it is questionable whether Myanmars progress towards a functional democracy would be accelerated by the absence of economic sanctions. The military government adheres to its Roadmap to ‘disciplined democracy, which can best be described as a fully controlled, slow transition to semi-civilian rule. This proceeds at the pace conducive to the generals in charge, protecting their interests and largely disregarding external criticism or pressure. In the governments point of view, Western sanctions are a hostile reaction towards its declared intention for a (controlled) transition. Since the SPDC can rely on sources of income outside the purview of sanctions (energy, commodities, etc.) it is hard to imagine that the regime will deviate from its declared goals as a reaction to sanctions or Western pressure. While experts often argue that economic sanctions have no impact on a targeted country, this report seeks to provide evidence of sanctions applied against Myanmar that have an economic, social and the political impact. For supporting this thesis the focus will be on the restrictive measures imposed by the European Union. It reviews the European Unions existing policies ‘supporting Myanmar to become a peaceful, democratic and prosperous country. Moreover, it will show that it is not enough to wait for a political breakthrough. Evidence suggests all sides, including the international community should have the courage to move away from these entrenched positions and try a different approach. After having given the necessary background and having shown why restrictive measures are applied by western communities, this report will provide recommendations for a different approach towards democracy in Myanmar. 1. Background In June 1989, the ruling military junta changed its name from Union of Burma to Myanmar, one year after the brutally suppressing of pro-democracy protests, where thousands were killed. The military junta claimed this name would be more neutral for a state of a huge ethnic diversity. Thus it would lead to greater harmony among the countrys desperate people and provide them a feeling of release from their British colonial past. The capitals name was also changed from Rangoon to Yangon.[3] The new name was accepted by most countries, including the United Nations, as a privilege of the Burmese government in power, but was not accepted by the United States.[4] Both terms are commonly used, with some people referring to the country as Burma and others referring to it as Myanmar. The same is also true for Rangoon; most people are more familiar with this name than Yangon. Myanmar is the largest country in Southeast Asia and in many ways a country defined by its geography, isolated and yet with a wealth of opportunities to work with its neighbouring countries. The country borders China, India, Bangladesh, Laos and Thailand. Much of the country is the valley of the Irrawaddy River, which runs north to south, from the icy eastern curve of the Himalayas down over a thousand miles to the brackish tidal waters of the Andaman Sea.[5] To better understand modern Myanmar and the reasons behind its self-imposed isolation, their needs to be a greater focus on historical context. The inherent complexity of the issues involved is easier to understand if the various historical forces are analysed separately. The different strands of history, described below, will finally come together and shape the present and show that current issues which today concern the state are mainly rooted in the countrys complex and often dubious institutions and history. Indeed, it can be argued that the countrys current situation is a result of often well-meaning but definitely foolhardy attempts to apply popular political measures to a fragile system of social imperative. â€Å"Nationalism†, â€Å"socialism†, and â€Å"autarky†, as well as â€Å"federalism†, â€Å"autonomy† and â€Å"centralisation†, are systems that have been used by political rulers in post-colonial Myanmar.[6] 1.1 Colonial Past Myanmar was relatively distinct, coherent, and autonomous for almost 1,000 years before the British annexed the country in the 19th century.[7] The first Burmese empire was founded in the 11th century. Many communities which lived in remote places were rarely brought under central domination, but remained relatively distinct from each other in matters such as language, culture, patterns of production, and political traditions.[8] Burman kings built glorious capitals like Pagan and Mandalay and ruled over a rich and thriving civilisation. Moreover, they benefited from an increasing population and revenues, providing significant military and economic advantages over neighbouring polities. Several wars in the eighteenth century led to territorial expansion, which further strengthened the Burmese state and created a distinctive Burmese cultural identity. At the same time, the growth of external trade, both with China and the western world provided further revenues. But the era of Burman kingdoms could not last forever and ended in 1885 when the British deposed the last King Thibaw in Mandalay and made Burma a province of British India. With the invasion of the British, new powerful political concepts and models for later leaders were introduced.[9] The British annexed Burma in 1886 and divided the country into two main administrative areas: Ministerial Burma, which was mainly populated by the Burman majority, and the Frontier area.[10] The British wanted to establish law and order through a low cost central administration. They secured their economic interest by rationalisation and commercialisation of agriculture. The British occupation did provide certain stability, by unifying diverse indigenous ethnic groups under colonial rule. Nevertheless, the British colonial system significantly changed and damaged the Burmese social structure. The precolonial social organisation largely rested on the authority of local chieftains and Buddhists monks. Buddhism as the common faith shared among the Burman majority, the Arakanese and most Shan and Karen people, was the main source of social stability as this faith emphasises self-reliance and righteous behaviour. Moreover, education was offered by monks to all.[11] With the British occupation, authority of local chieftains was replaced by weak influence of salaried officials, who were more responsible to local government rather than to the local communities.[12] The influence of the monks was weakened and they were soon deprived of their main social function. In order to protect the interests of minorities, the British assigned them some key functions which the Burmans, the dominant ethnic group, could not participate. For example, the British mainly recruited Karens, Kachins and Chins in the colonial army and administration, whereas the Burman were kept out of such activities. According to Josef Silverstein, minority groups living on the frontiers were administered directly by the central British administration. They were separated from the rest of the country, and those living in Ministerial Burma were granted seats in the legislature.[13] Thus, ethnic minority groups were divided along occupational lines.[14] Moreover, the British displaced indigenous and non-indigenous to the South in the fertile delta region. Deprived of their traditional social structure, those newly established cultivators fully adopted the imported rule of law, tenan cy rights and money lending practices. These British policies made the Burmese people conscious of their ethnic and cultural differences for the first time. This led to social division that had not existed in the pre-colonial period.[15] With the British annexation of Burma the structures of foreign trade changed, as well. The Burmese economy under the informal empire had become dangerously dependent on the export of view primary commodities -cotton and teak in particular. At the same time, rice was being imported in ever larger quantities, and soon Burma became the worlds largest rice exporter. However, as a consequence, an exodus of landless farmers in 1930 led to competition between ethnic groups and violent intra-communal riots. The world depressions of the 1870s led to a dramatic decline in the relative prices of nearly all primary commodities, including all of Burmas main exports. But nevertheless, international rice prices stayed the same or even rose. Thus, at this time of attempted reform, in contrast to Siam (Thailand) which enjoyed the profits of growing international trade, Burma was plunged into increasing economic hardship and fiscal collapse.[16] Efforts to promote economic development failed as the state lost its autonomy to colonial powers and the economy became more fully integrated into global markets. Local reactions to European expansion lead to crisis and intervention. The failure of British rule in Burma, instability and state insolvency were caused largely due to underpayment by Western countries for goods and services. The rise and fall of cotton prices and, more generally, dependence on western markets, weakened the Burmese government, desperate to find the funds with which to finance reform.[17] This demonstrates that these conditions created an opportunity for Western nations to dominate the country, eventually leading to British colonial rule. Following the British withdrawal, the Japanese occupied Burma in summer 1942. But throughout their four years of control over Burma during the Pacific war, the Japanese did not succeed in bringing the Burmese population under their rule, nor could they manage to lessen the external menace of allied forces. To secure their position they promised to bring independence to Burma and support an indigenous army. By not following through on their promises, the Japanese precipitated the emergence Burmese nationalists, who consequently allied with the British. In March 1945, the Anti-Fascist Peoples Freedom League was formed. Aung San, Chief of this Burmese army, became the head of the Anti-Fascist Peoples Freedom League. The AFPFL was first a resistance movement founded on Buddhist philosophy and open to all Burmese regardless their ethnic background, their political or religious beliefs. It later became a leading political party calling for national unity and federalism. During this transitional period to democracy, a Burmese government was created to handle administrative matters.[18] After the Japanese occupation ended in August 1945, the Burmese feared a regression to the British colonial economic order. Strikes and negotiations led in January 1947 to a meeting in London. There it was decided that a constituent assembly should be elected in April, and those living in Frontier Areas would have to decide whether or not to join Ministerial Burma. In a second meeting in Panlong on the 12th February 1947, the Chin, Kachin and Shan agreed to join the future federal union as autonomous communities. However, the Karen, Karenni, Rakhine (or Arakanese) and the Mon did not sign the Panglong agreement, which seriously challenged its credibility. To this day, dialogue between the Burman majority and ethnic minority groups is a rare and difficult proposition. As expected, the AFPFL won the elections, and Aung San was put in charge of writing the constitution, which espoused â€Å"unity in diversity† that could only be achieved by a federal system. His assassination in July 1947, as well as the deaths of other officials, left Burma without the means to pursue the democratisation process. And so, the declaration of Burmas independence from the Commonwealth on the 4th January 1948 did not prevent the hope of national unity to fall apart. After the Japanese occupation during World War II, the country gained independence from the British in 1948.[19] 1.2 Myanmar and its Ethnic Diversity With its estimated population of 50 million, Burma is one of the most ethnically diverse countries in the world. Due its central location, settlers from many different backgrounds have migrated to Burma. Today about two thirds of the population is Burman (Bamar) and the remaining one-thirds are ethnic minorities. This ethnically diversity is more than ever a critical issue and thus the ground of most of the countrys problems. Largely due to the fact that throughout history, Burma has experienced a great deal of inter-ethnic mingling.[20] Discussions about ethnicity are related to terms, such as â€Å"nationalities† and â€Å"national races†, referring back to the course which was introduced into Myanmar during the colonial era and became concretised with the countrys independence in 1948 when various constitutional models for multi-ethnic states were being discussed. The examples of Yugoslavia, Stalinist Russia, and the United Kingdom were considered as alternatives for Myanmar. It started in the 1930s when ideas of socialist and Marxist concepts had been introduced into Myanmar which took power in 1948 as the essence of the critique of British imperialism and colonial rule. The disproportionate wealth that European and Asian foreigners had gained during the colonial period, creating a situation where the Burmese were poor people in their own rich land, meant that the removal of alien economic domination became a key goal of nationalist policy.[21] The 1974 constitution, which is now being revised, divided Burma into seven ethnic states- the Rakhine, Shan, Mon, Chin, Kayin, Kayah (formerly Karenni) and Kachin and seven divisions, where ethnic Burman people held the majority.[22] Furthermore, the military junta distinguishes 135 sub-ethnic groups among the seven major ones. According to Analysist and social scientists the s can be distributed as following: Bamah 65%, Karen 9%, Shan 7% , Chin 2%, smaller groups like the Mon, Kachin and Wa at 1% each, and Indian 7% at least.[23] Due this huge ethnic diversity, locked into this small geographic zone, over hundreds of different dialects and languages have been identified. Most of the people would not be aware of such classification, if the countries military junta would not use this nomenclature for discriminative purposes. Ethnic minority groups are not excluded in cities populated by Burmans, but with the juntas assimilation into the Burmese Buddhist system, called â€Å"Burmanization†, they are faced severe discriminations, such as the deny of social, cultural and religious rights of ethnic minorities.[24] Moreover, with its xenophobia and oppressions against minorities, the military rule is responsible for the eclipse of huge parts of the peoples history. Minorities culturally and racially different from the dominating Burmans have been uprooted from their localities under the pretext of being â€Å"Kula†, â€Å"non- natives†, or even outright â€Å"foreigners†. In a multiethnic country like Myanmar, instead of following the democratic policy of unity and diversity, the military junta uses Burmanization as a guide and prosecutes the minorities, renames places, destroys minority places and replaces them with their ethnic names. The discrimination of minorities is reinforced by religious consideration, especially Christians, Hindus and above all Muslims communities are often target of many human rights abuses. Christianity is often associated with the Chin, Kachin and Karen, Hinduism with Indians, and the Islam, accounting for about 13% of the population, is mainly represented in Arakanese, Indian and Pakistanis communities. They often have no access to certain jobs, mainly in administration and in the army. Those who live in the remote zones are subjected to atrocities committed by unleashed military groups. The juntas propaganda portrayed ethnic minorities as trouble makers, and ordinary Burmans, besides the Tatmadaw, progressively share this view. Most popular targets of discrimination are the Royhingas, who are Muslims in religion and live in the Mon-State, bordering to Bangladesh.[25] ‘One party, one blood, one voice and one command was already the slogan of the Dobama movement, a motto which still lives on in the Burmese armed forces, the Tatmadaw.[26] Nevertheless, given the fact that Burma is struggling with ethnically and political problems it may be impossible to build unity with such a slogan, especially when 40% of the population is not seen as part of the Burmese society. 1.3 Post Colonial Era The country has been ruled by military dictatorship since 1962, when General Ne Win seized power from the Prime Minister U Nu. Only between 1974 and 1988 there is the exception of a period of one party rule. Ne Win introduced the â€Å"Burmese Way to Socialism†, which systematically referred to the decent of a country which had a 90 percent literacy rate and was rich in natural resources. Together with its regime, he dismantled the independent judiciary, the legislature, the multiparty system and finally cut Burma off from the outside world. This regime has been engaged in military operations against the Communist Party of Burma and various ethnic minorities fighting for autonomy or independence from the central government, which has traditionally been dominated by ethnic Burmans.[27] The current executive body, the State Peace and Development Council is a group of a dozen high-ranking soldiers. On state and division level, military Regional Commanders enjoy a limited autonomy granted by the regime. On township and village level, local Peace and Development Councils exist. In the cease-fire areas, ethnic leaders determine and implement policies, depending on the degree of their autonomy vis-à  -vis the Regional Commanders and SPDC. Although the system of government seems centralised, from the outside world, in reality, it is highly fragmented, with opaque decision making procedures and means of governance.[28] The military is entrenched in every instant and institution of the state, including the Union Presidency, the Union Government, the Union Assembly and the Regional or State Assemblies. The constitution is fleshed out with repetitions and irrelevant provisions. In many respects the constitution is vague and confusing and open to conflicting interpretations. The military is above the constitution and above the law. The Chief of staff of the Defence Forces is the most powerful person under the constitution. His appointment and removal are not referred to the constitution. It is anticipated that he will be beyond the control of a civilian government. The Chief of staff of the Defence Forces and the military are regulated by the militarys own regulations, which enables them to override the constitution and serves as a justification for the military regime to stay in power. The President appoints the Chief Minister for each state and region. A partially elected Legislative Assembly is also established in each state and region.[29] The military regime, then under the name of State Law and Order Restoration Council, seized power in 1988. In August, widespread popular riots against the military regime, which were initiated by university students in Rangoon, were brutally suppressed and thousands were killed. People took to the streets and demanded an end to decades of military dictatorship and international isolation. The protests have been rumbling on for months, starting with students at the select Rangoon Institute for Technology, spreading through the sprawling capital and then upcountry. The price of food skyrocketed, and a mood of opportunity and imminent upheaval fused with long-pent-up anger and resentment against the authorities. In 1990 the SLORC held elections for a multiparty parliament. The NLD as the main political movement under the leadership of Mrs Aung San Suu Kyi won 82% of the seats in the National Assembly. However, the results of the elections were never recognised by the military regime whi ch maintained power. The military refused to step down and since then have kept tight control of the country. Aung San Suu Kyi has been under house arrest most of the time and only the leadership and the army have benefited from self-imposed and external isolation.[30] In October 1992 the SLORC formed the Commission for National Convention in order to draft fundamental principles of constitution. These principles underscoring six major points: Solidarity of the Union for Myanmar Solidarity of the national unity Perpetuation of national sovereignty Development of parliamentary democracy Development of justice, freedom and equality in the political arena The participation of Tatmadaw in the future states national politics. To determine these basic principles above, the SLORC convoked National Convention for Myanmars new constitution in August 1993.[31] The convention assembled less than 15% of the representatives elected in 1990 and the principles which were discussed had to conform to the objectives of the convention, pre-defined by the SLORC. Western States have passed many resolutions to encourage the junta to give a timetable for the convention. But so far, there is no clear sign of its near conclusion, and the NLD, which has left the Convention in 1995 due to undemocratic procedures, has been banned permanently from the convention by the SLORC. The SLORC was officially dissolved on 15 November 1997, reformulating itself as the State Peace and Development Council.[32] 2. Recent Development During the last four decades the regime has been effectively functioned under self-imposed isolation in an attempt to revitalise the ailing economy and avert popular pressure for political reform. To do so the regime operates without any respect of humans basic freedoms and rights. It is in particular the absence of an effective judicial system, and with that the fact that rule of law is not guaranteed by any means, which makes a transition to democracy incessant. The military junta keeps all media under tight control and limits the development of civil society. Torture and extra-judicial executions as well as forced labour also remain widespread measures in the regimes fight against political opponents and certain ethnic groups. By that, forced village relocations and armed resistance of especially Karen and Shan populations continue to cause internal displacement and a refugee influx in particular into Thailand.[33] The lack of good economic governance has led to widespread poverty among Myanmars population, structural un- and underemployment as well as under-funded health and education systems. Engagement of the international donor community remains limited due to the countrys political situation. It is also worrying that the junta spends high percentage of its budget for military hardware; as opposed to the few resources spend for public health and education. Concerns by the international community are aggravated by the widespread corruption inside the country as well as the uneven distribution of opportunities in urban and rural areas. So far, military rulers have been resisted external demands to turn over power to a democratic government and it seems that pressure from the international community has been mainly failed. Obviously it could not prevent the junta to seek almost total autonomy, although it seems that the present regime has opened up the country to some extent. However, the regi me remains suspicious of and resistant to external criticism and interference. This chapter seeks to present the countrys recent development on the economic and political front. It shows Myanmar from the perspective of the international community. Moreover, it will provide a deeper understanding in Myanmars economic structure and thus gives a basic background to understand how EU measures affect the country. 2.1 Myanmars Recent Economic Development-An Analysis With a real Gross Domestic Product (GDP) of 4.0 per cent in 2008, Myanmar is one of the poorest nations in the world.[34] Today, Myanmars economy is based on agriculture, gems, timber and oil. Although, the country is rich in natural resources, it has only weak linkages to the global economy. Over the past four decades, deep structural problems caused by the military-inspired policies and the absence of any rational economic and developmental strategies have led to diminishing living standards and widespread poverty among the general population in Myanmar. Political repression and impoverishment have drastically reduced the ability of communities to handle political or social change.[35] To give an economic overview and analysis of Myanmar, the focus in this section will be on macroeconomic indicators, such as GDP growth, exports and imports, inflation, investment and interest rates. Economic data, including s on foreign debt and investment are scarce. Data from the states Research Centre are mostly inaccurate or distorted. This can be explained partly through the fact that the SPDC are noted to be using older methods of calculating some key indicators, which are therefore difficult to compare to data used by most other nations today. For instance, the IMF suggests that official s used are significantly overestimated.[36] GDP Growth: According to the IMF, over the period 1997/98-2007/08, GDP growth has remained at an annual average of around 5 per cent, with the exception of 2003/04 when the banking system belatedly to fall out of the Asian Markets Crisis of 1997. The annual growth of 5 per cent would be considered quite healthy in comparison to regional GDP growth, were it not for the rampant inflation in the country, which dramatically undermines any gains made. To clarify, any additional GDP revenues would be swallowed up by the even higher rising costs. The EIU suggests that there has been solid growth in the energy and mining sector as well as significant growth in the service sectors over the last decade.[37] This would be somewhat encouraging, were those gains not negated by inflation. Evidence supporting this can be found by looking at the continued poor social development indicators and widespread poverty in the country.[38] A household survey conducted by UNDP shows that union-wide 32 per cent of the population lie below the poverty line and 10 per cent below the food poverty (i.e. cannot afford to buy food for basic nutritional requirements). This is also well illustrated by the fact that across the union 34.4 per cent of children under 5 years of age suffer from moderate malnutrition.[39] GDP by Sector: About 70 per cent of enterprises and firms (small and middle sized businesses) are in private poverty, the remaining 30 per cent (in particular large scaled enterprises) are still owned by the state, which work more often in deficit. The private sector is dominated by business people who are trusted by the government and often employ relatives of senior SPDC members. It has a share more than 90 per cent of the economic performance. However, Myanmars economy is predominantly shaped by agriculture.[40] Therefore the agricultural sector gains approximately 50 per cent of the countrys GDP. An estimated two thirds of all citizens are working as farmers or labourers. Contrary, the industrial sector including natural gas export segment contributes only 20 per cent of GDP and trade and services 36 per cent.[41] Myanmars economy was fully regulated by the state, but obviously the government is taking approaching steps to liberalize agriculture. Though it has ended some production controls and mandatory procedures as well as allowing to grow rice as a dry-season crop in irrigated areas. Some of the state owned enterprises which are contributing to the processing and supplying inputs of agriculture have been privatized. Myanmar has been one of the major rice exporters in the world until the government banned exports of rice and some other agricultural products to held domestic prices down. Only in 2006, the export ban could relax a bit and eased further in 2007.[42] GDP by Capita and Purchasing Power: As the chart below clearly shows, Myanmars GDP per capita in 2006 was, by some significant margin, the lowest in the region. This is partly down to the low levels of annual GDP gained by the economy. This could be attributed to numerous factors, such as poor productivity levels, significant trade restrictions and consequent low levels of trade, poor foreign direct investment and poor taxation collection system. According to the Central Intelligence Agency (CIA) and IMF estimates, Myanmar has the lowest GDP per capita at Purchasing Power Parity (PPP) of all neighbouring countries (as shown below). To clarify, PPP is an indicator designed to negate the relative costs of living in the country data and show a comparable income level per person on an equitable basis. Needless to say, the low relative GDP per capita, even at PPP rates shows how low general income levels a

Friday, October 25, 2019

Religion And Discrimination :: essays research papers

Religion and Discrimination   Ã‚  Ã‚  Ã‚  Ã‚  One might take the view that society should be tolerant to any religion so long as it conforms to our laws and written constitution. At first glance, this statement seems as fit an answer as possible to the question of societal limits to religious tolerance. Unofrtunately, if one were to consider the matter with more caution, one would eventually see that the statement could only be part of a greater answer. It is without a consideration of some of the elements which constitute cults, as well as other factors, that one would falter in devising a definitive answer to the question.   Ã‚  Ã‚  Ã‚  Ã‚  Certain followings or ‘faiths' which claim to be religions that are prevalent today are, in actuality, forms of cults. Although most of the practices and elements common to cults are legal, they are, at best, suspect. The following should constitute the line of telerance society should not cross.   Ã‚  Ã‚  Ã‚  Ã‚  Firstly, what distinguishes cults from religions is the manner in which they operate. Cults are designed with a view of insulating the individual from the rest of society. Once a member of a cult, in most cases, the individual is removed of most (if not all) of their personal autonomy. Most decisions are made by the cult leader, access to the outside world is often denied, and all information about the outside world is distorted by the leader. These types of operations should be intolerable by society.   Ã‚  Ã‚  Ã‚  Ã‚  Second, there should be no tolerance for ‘religions' that espouse any form of sacrifice, be it human or animal. Although historically, these practices were more or less prevalent and accepted, there certainly is no place for them in modern times.   Ã‚  Ã‚  Ã‚  Ã‚  Lastly, there should be a limit of religious tolerance with regards to the manner in which some display their beliefs. Individuals in society should not be subject toa ny violence or restriction of freedom as a consequence of someone else's beliefs. There have been numerous illustrations of this in the past. Individuals have blocked abotion clinics, have participated in violent demonstrations concerning one issue or another, ad infinitum. These types of religiously-fuelled practices have no place in, and should not be tolerated, in present day society.   Ã‚  Ã‚  Ã‚  Ã‚  For some, the state has been seen to usurp the place of God on occasion. The fervent belief held by Jehovah's Witnesses, in assence, acts as the basis of their religious dissent. There have been certain areas of the law, which historically, have given rise to the conflict between the Canadian legal system and Jahovah's Witnesses. As a result of this conflict, a myriad of implications have arisen.

Thursday, October 24, 2019

Assessment of the Necessity of the Nuclear Proliferation Treaty

Perceptions regarding nuclear weapons presents a contradiction in terms of the existence of a â€Å"peaceful nuclear past and a fearful nuclear future† (Sagan 66). Such a contradiction exists in terms of our current understanding regarding nuclear weapons and deterrence. Consider for example that during the Cold War period, nuclear weapons were widely believed to be one of the most important factors in maintaining the peace between the United States and the Soviet Union (Cimbali 224). Currently, on the other hand, it is widely believed that enabling the continuing spread and development of nuclear weapons will only increase the risk of the development of a nuclear war. This is based upon the assumption that rival countries that are considered nuclear powers are unlikely to maintain stable deterrence. Due to this concern regarding the prevention of such an event, the Nuclear Non-Proliferation Treaty was formulated during 1968. The treaty imposed an international limitation to the spread of nuclear weapons. It is based upon three main tenets: non-proliferation of nuclear weapons, disarmament of nuclear weapons, and the peaceful use of nuclear energy. What follows is an analysis of the nuclear proliferation argument. As was stated above, the main rationale for the Nuclear Proliferation Treaty (NPT) was the prevention of nuclear wars caused by the unstable deterrence between nuclear weapons states. According to the Canadian Foreign Minister Lloyd Axworthy, the agreement is based upon international mechanisms that operate within the foundations of international laws and norms. Anxworthy further states that the NPT opts â€Å"to promote and achieve a world without nuclear weapons† hence a world without a nuclear war impending in its historical future (1). As opposed to this, it has been argued by political scientists that if the main rationale for the treaty was the prevention of nuclear wars, then the treaty by prohibiting the proliferation of nuclear weapons defied itself in so far as enabling the proliferation of nuclear weapons ensures the prevention of nuclear wars. According to Kenneth Waltz, â€Å"nuclear weapons have been given a bad name† (731). Waltz argues that it is fallacious to assume that since nuclear weapons may cause catastrophic nuclear exchanges, nuclear wars will thereby cause global destruction. Waltz argues that nuclear weapons will enable the development of stability and peace since â€Å"a nation will be deterred from attacking if it believes that there is a possibility that its adversary will retaliate† (734). It is important to consider that Waltz’s claim is based upon the assumption that major wars amongst states occur as a result of the estimation of zero or low retaliation costs of a state from another state. In lieu of this, it is thereby possible to conclude that allowing the proliferation of nuclear weapons lessens the possibility of the development of nuclear wars since it ensures that countries will consider the high amount of risk involved in launching a nuclear attack towards a state with similar military capacities. In lieu of this, I would like to conclude that it is indeed true that the choice between a more peaceful and co-operative versus a war-ridden and hostile world is highly dependent or critically dependent on the future of nuclear weapons however, it does not necessarily necessitate the prevention of their further spread. Works Cited Cimbali, Stephen.   The Dead Volcano: The Background and Effects of Nuclear War Complacency.   Portsmouth, NH: Praeger/Greenwood, 2002 Halard, Muller, David Fischer, and Wolfgang Kotter.   Nuclear Non-Proliferation and Global Order.   Oxford: Oxford Univ. P., 1994. Waltz, Kenneth.   â€Å"Nuclear Myths and Political Realities.†Ã‚   American Political Science Reviews 84. 3 (September 1990).      

Wednesday, October 23, 2019

About the first day of school Essay

As the arctic cold rain drops sprinkled diagonally with my loose, flowing auburn hair, I splashed across the street to the bus stop. Although it was showery and very damp, I was happy about my upcoming day, the clouds were fluffy and dark grey, and there was a wonderful scent in the air, which perfumed of the spring morning. Just as I strode across the street, the mustard tinted bus, filled with immature, junior high students pulled up beside me. I wasn’t thrilled to be riding the bus, but it was either step onto the yellow, nightmare filled vehicle, or walk in the rain, so I quickly chose the bus. I selected a seat in the center of the bus, next to a small built looking girl in a purple sweater, plastic rimmed glasses, and navy jeans. The youngster had brunette short hair, and tiny diamond studded earrings shinning in her ears. See more:  Social Satire in The Adventures of Huckleberry Finn Essay She smiled at me, looking at me in a way a puppy dog would. I could tell she wanted me to talk with her, but I had no intentions in making friends with a childish schoolgirl who probably could have been about age thirteen. â€Å"Hi, I am Dominique† she said in a hyperactive way. â€Å"I am so happy that you sat with me; what is your name?† I pretended to care, not wanting to be rude to the young girl I responded, â€Å"I am Megan, and truthfully I only sat with you because all of the other seats were filled.† I did however find it interesting that this bizarre looking child was so frenzied in this time of the morning. â€Å"My favorite animal is the dog, do you like dogs† she asked in a begging way, â€Å"I have three dogs. They are all German shepherds; those are my favorite kind of dogs.† As she spoke, I could smell her breathe, it smelling of uncleanness, and was filled with the stench of lucky charms and reeked of what I thought odored like toilet water. I was this time that I was thinking about her atrocious  breathe, that I noticed around her neck, she wore a silver chain, and it had a charm of what appeared to be some kind of canine. Not wanting to continue a conversation, I said; â€Å"No, I am not found of dogs.† This of course was a lie. At this point in our conversation, she got a horrible look, that reminded me of when I once ate a sour lemon. â€Å"What? How could you not like dogs?† she yelped loudly, people turned in embarrassment for her. All of a sudden, the young girl started barking very piercingly. It was an awful yowl that echoed through each ear. I couldn’t believe that this girl, who seemed sane, was barking at me because I didn’t like dogs. Barking is a perfectly natural canine behavior. Birds sing; frogs croak; and a dog barks, whines and howls. This was the first time seeing a girl bark. Not sure what to do, I tried to ignore it, it seemed never ending, although it had only been going through my head for about forty seconds, I wanted to duck tape the girls mouth. She seemed to have a small mouth, it was decorated with a lip gloss that shimmered as she woofed, and it surprised me that so much noise could come out of such a small mouth. It was about this time, that a miracle happened; I, out of the blue realized that we were arriving at the school. I could recognize the bulky, red bricked, structure that read *****ENTER YOUR SCHOOL NAME HERE ****. There were tiny pink flowers planted in a bed around little green bushes, and I had never seen such a beautiful sight. Maybe I enjoyed that moment in time in which I realized that I soon would be removed from this nightmare, but I unexpectedly wanted to be nowhere but inside the School.

Tuesday, October 22, 2019

Carotid Vertebral Artery Dissection Essay Essay Example

Carotid Vertebral Artery Dissection Essay Essay Example Carotid Vertebral Artery Dissection Essay Essay Carotid Vertebral Artery Dissection Essay Essay one to find force, and one to find mass . These are e equations Chambers 3 needed in order for these roller coasters to be built, if not there would be a w hole lot more deaths and amusement parks and roller coaster architects would lose millions and millions of dollars. We all know the basic designs and overall look of roller coasters. Big wooden steel structures with coaster cars that has big drops and thrills. I have research heed the different types of roller coasters and discovered that there were 8 different SST rescuers. Nowadays here in 2013, there are 3054 steel structured reallocates and 17 3 wooden structured reallocates. The 8 different reallocates Structures that exist AR e Shutdown, StandUp, Inverted, Suspended, Pipeline, Bobsled, Flying, and Fourth Dimensions n. The most common basic types of roller coasters are Shutdown, Standup, Inverted, and Suspended. These are pretty much the basic designs for most r leer coasters today. The more complex reallocates are Pipeline, Bobsled, Flying, and last UT not least Fourth Dimension. These kind of roller coasters are very unique and they can easily cause a lot of different injuries if they are not engineered precisely and effectively. They all are very different in the way they move and their structure sees. The Pipeline roller coaster is when riders are positioned between the rails, not bell owe or above. The bobsled roller coaster is designed to be like a bobsled run, the co aster car runs freely through a trough. A flying roller coaster rides parallel to the track. The fourth dimension roller coaster IS a reallocates with cars that spin on a horizontal a Although there are mechanical engineers and architects that specialize in make all roller coasters as safe as possible, there are still some horrific and traumatic accidents each year. A vast majority of these Ann al injuries come from the air cantonal Chambers 4 decisions made by people both riding and waiting. Thats why they constantly repeat the rules so, it would be your fault if you dont abide by them. Some roller coaster injury that has happened in 2009, is at Blackball Pleasure Beach in Blackball, England, when two roller coaster cars collided on the Big Dipper leer coaster, leaving 21 people with injuries including whiplash, broken bone back injuries. It was a sit down type of roller coaster. Another one is,at Knots Farm in Buena Park, California, a earldom boy and his father were injured o n the Accelerator roller coaster when a cable that launches the rides trains broke AP art. The cable sliced through the calf of the boys left leg. The boys father was treated for back injuries. This also is a sit down type of roller coaster. Another one is a arrear old man died after he was rushed to a hospital with breathing problems he suffered o Firework roller coaster at Kings Island theme park in Mason, Ohio. Park work errs noticed that the man was having trouble breathing when his train returned to the loading station and called for an ambulance. This is a flying type of roller coaster. That means as you ride the roller coaster your body and also the roller coaster car is Para As you see most of these roller coasters are sit down, loadstones type of roll coasters. They malfunction because they are older than most For example, the e Big dipper its a wooden coaster so it is older and it would be easier for something to go rang with it because it take more care and more time and effort, which is so meeting that most amusement park dont do. Now the Big Dipper at Blackball pleasure Beach in Blackball, England, with t he height of 65 Ft, a drop of 50 Ft, a length of 3300 Ft, a speed of MPH, a duration n of 2 Chambers 5 minutes and 28 seconds, a goofier of 3. 7, and a Max vertical angle of 460. Ad incident where two roller coaster cars collided. Some tourist said that one of he trains stopped moving on the track and the other train, which was moving at some peed, crashed into it. The collision left both trains stuck on the track. One was boo 20 feet off the ground and the other came close to the ground. A rescue team evacuee, Ted the riders using stretchers and spinal boards. Ambulances took the passengers to hospitals for treatment. Most were releas e De after they received treatment for harmless or minor injuries. One Of the victim ms was sent to have to undergo facial surgery. Thirty people were aboard the ride at t e time of the accident. The Big Dipper, a wooden roller coaster, opened in 1923. The rill shutdown type of roller coaster and it caused the injuries because of the wear ND tear of the roller coaster. The track got old and the chains got very weak which scuffs d for the roller coaster cars to suddenly stop. The chains gave out when trying to haul II the weight of an car thats hundreds of pounds. There are many ways that these incidents could be avoided. For example, the Big Dipper accident couldve been avoided if the workers at the park maintain De and kept the roller coaster steady and in good shape. The roller coaster engineer: could come back every 5 to 10 years to look at the roller coasters and to check if it i still in shape. They also could of got the roller coaster refurbished every 20 years. TTL is can cake sure that there is no problems or no complications to put people lives n danger. The ways they could refurbish the roller coaster is by switching out the chain restoring the wood, modifying the roller coaster cars to a more smooth and e effective Chambers 6 moving attraction, replacing the metal on the tracks, tightening the screws an d bolts on the restraints, replacing the wheels, and last but not least the engineers of the roller coaster should come and put up some huge guardrails to hinder the cars if the eye collide, to keep the coaster cars on the track to be able to stop them from falling oft he tracks. This also was an accident due to faulty design because of the fact that they collided. They designed the coaster to be able to make 2 roller coasters ride a t the same time, this was the main problem. Thats why when to first roller coaster stopped, the other roller coaster came not far behind and collided with the other coast prevent this they should time the intervals better than how the did because, if they had the intervals time perfectly, they definitely would not have any problems to FAA CE because everything that could happen would already be anticipated. The injury i was given fro my project is Carotid and Vertebral artery dissection They are similar but, they have a few differences. For example, vertebral rater dissection is a tear and the Carotid artery dissection is a separation. Basically, they both deal with the neck and brain, and the both cause less blood. A carotid artery section is a separation of layers of the artery wall which supplies blood to the brain. It is one of the leading causes of strokes in young people. Symptoms include headaches, neck and face pains (especially pain around the eyes), vision disturbances such as Dobb lee vision or a droopy eyelid, a sudden decrease in sense of taste and weakness on one did of the body. A vertebral artery dissection is a flap like tear which is located in the vertebral artery (neck). It is also what supplies blood to the head. When the tear OCCUrs it starts to create blood clots, which can cause the artery wall to thicken and eventually c cause the Chambers 7 blood flow in the head to slow down. This can easily cause the person to have a blackout because of the lack of oxygen and blood to the brain. The symptoms of this includes head and neck pain, and it also causes stroke symptoms such as, difficulty speaking, impaired coordination, and visual loss. You can test these injuries not by only roller coasters and various rides but also by DOI Eng simple everyday activities such as, cracking your neck, playing sports, riding your bike , yoga, various dancing moves, aggressive sexual intercourse and doing exercises like e running on a treadmill, lifting weights, and using the exercise bikes. This shows us that we dont have to do extreme things to get near death injuries. Just simple everyday cacti pities can be potentially dangerous just like riding roller coasters, horseback riding, or m mountain climbing. Certain medical conditions such as Merman syndrome, a genetic con active tissue disease, can put individuals at risk for developing carotid artery dissects Carotid artery dissection in these patients is called spontaneous, because it occurs without trauma to the head or neck. Now, Im going to use different case studies to show you an example of how people can get Carotid and Vertebral artery dissections and what they did to t retreat them and care for them to live. The case I am using is about a woman with no sign vacant medical history who developed dissections of both carotid and both vertebral arteries,after a roller coaster ride. The roadside woman developed rightists neck pain followed by a front headache immediately after a roller coaster ride. Five days after the incident happened, she developed complete loss of vision in her right eye for two Chambers 8 hours straight. Following that the vision improved but remained significantly decreased. Whew she went to the doctor, her vision was 20/200 in the right and 20/20 in the left eye. Her neurological exam was normal. The cerebral x ray showed both internal carotid d and vertebral artery dissections. The woman remained stable with conservative the repay without further worsening vision or any new neurological damages. Outgo sees for arterial dissections are usually favorable, but early diagnosis is critical for knit action of appropriate treatment of possible complications. Physicians must know when patients say they have any headache or neck pain triggered by violent motion after leis ere activities such as roller coaster rides, it could be an artery dissection. This was perfect example of Carotid and Vertebral artery dissection. It shows that they both are nothing to easily treat or get over. If these injuries dont get treated soon one ugh it can lead to an even worse injury or even death. They must be treated and it take t me and patience to heal. The engineers use a lot of physics to make calculations of how safe the roller coaster will be. Thats why it take the builders almost 2 or 3 months to build the sees massive roller coaster tracks. It is basically like a trial and error type of thing, t hey test drive the roller coaster cars on the track over and over. The engineers that AR e there they record every single detail about the roller coaster and the track. The call elate the mass, gravity, acceleration, velocity, and all other aspects and data of the roller r coaster. Once they test drive them and record all the data, they go and do the math. T hey do the formulas to calculate the goofier to make sure they are not harmful, they call Chambers 9 outside forces, the centripetal force, and all variables that may be able to fee actor interfere with the roller coaster. They also take into hand the work, the friction n, the potential energy moments and the kinetic energy moments. There are a good amount of rules and regulations that should be put into cacti because they will definitely change these amusement parks for good. First off they should have to change the head and neck restraints on the roller coaster cars every 5 years. The wear and tear damage cause them to be redundant and not able t o serve their purpose. Second, they should have tighter restraints on roller coasters b cause when they get older and used a lot over the years, the bolts and screws can e easily become loose and lead to a restraint opening during the ride. Rules for the ro Leer coasters should be more enforced because majority of the case studies I read have to do with people not following the rules set by the engineers and creators of the e ride. The rule keep your head erect should be enforced a lot because when you dont k pep your eek straight you are more prone to injury and you wont have any support to keep your neck from getting hurt. There is always going to be the basic, common rules you have to always follow w such as obeying the listed age, height, weight, and health restrictions, observing all o the posted ride safety rules, keeping both your hands, arms, legs and feet ins did the ride at all times, remaining seated during the ride until it comes to a complete e stop and you are instructed to exit, following all verbal instructions given by ride opera torso or said Chambers 10 by recorded announcements, always using the safety equipment that is Provo De and never attempting to wriggle free of or loosen restraints or other safety device s, making sure that parents that have young children should make sure that their child en can understand the safe and appropriate ride behavior, never forcing anyone, esp. Cecilia children, to ride the attractions they dont want to ride , and last but not least, if you see any unsafe behavior or condition on a ride, report it to a supervisor or manage immediately. All these rules has kept roller coasters safe and fun at amuse NT parks for years. Most of these rules are basically regular procedures to tell the group of riders that are riding because it makes the people that own the roller coaster park o amusement park not as liable for the injuries of the death. Also, they use these e roller coaster rules because if they dont show their roller coaster rules and warning s, they can get in trouble with the roller coaster inspectors and the roller coaster ass occasions. Many people think roller coasters are dangerous and you can die from them easily but there are actually built to be safe for the people to enjoy.

Monday, October 21, 2019

Already Have a High SAT Score How to Improve Even More

Already Have a High SAT Score How to Improve Even More SAT / ACT Prep Online Guides and Tips For students who are already scoring high on the SAT, improvement can be an uphill battle. High scorers may need to use different strategies to get the most out of their studying and push themselves into an elite score range. In this article, I'll go over what it means to be a high scorer and how high scorers can take their prep techniques to the next level. What Does It Mean to Be a High Scorer? You would be considered a high scorer if you’re consistently scoring an 1800 or higher on the SAT.â€Å"Consistently† means that you’ve taken at least two or three full official practice tests where you’ve scored 1800 or above. This indicates that you can expect similar scores on the real SAT. Your score puts you in the top 25% of scorers on the test. Why Do High Scorers Need Different Strategies? At this level, it’s likely that you’ve overcome significant problems with content knowledge and question comprehension and may be running into different roadblocks to a higher score.Often, high scorers struggle with careless mistakes and time issues that prevent them from earning the last few points that will get them into the 700-800 range on each section.They also may be having trouble with the hardest ten to twenty percent of questions on each test. As a high scorer, you're getting to the point where you need to try and answer every question, so you can’t leave any stone unturned when it comes to mistakes on practice tests. It’s crucial to be picky about pinpointing your weaknesses and eliminating them. You've raised the bar, and now you have to figure out how to jump over it. Strategies for High Scorers Here are some strategies that high scorers might use to earn those last few points on the SAT. These strategies are not as appropriate for students who are scoring below a 600 on each section of the test.If you’re not into the high score range yet, take a look at this article on how lower scorers should prepare. Strategy #1: Eliminate Careless Mistakes High scoring students usually don’t have many content-based problems with the material on the test. The biggest problem for people who are already scoring high on the SAT is that they continue to make careless mistakes. A careless mistake is a mistake that you made because you rushed through the question or accidentally misread it. These are not mistakes that you made because you genuinely didn't understand the question at the time and figured it out later; they're mistakes that never should have happened in the first place. The barrier between you and a really great score might be a matter of reading more carefully or checking your answers at the end of each section. It’s helpful to be aware of when your careless mistakes come up most frequently.You should take a practice test or two and see where you tend to slip up so that you can pay close attention to those types of questions in the future. On math questions, a good way to eliminate careless mistakes is to circle or underline what the question is asking for so that you don’t forget. The SAT likes to be tricky by providing answers that students might get if they read the question incorrectly or don’t follow through on solving the whole problem. If you suffer from careless mistakes on reading questions, you should always make a point of double checking your answers at the end of each section.Another good strategy for eliminating careless mistakes is to bubble in your answers at the end of each section. Circle your answer for each question in the test booklet, but wait until the end of the section to record it on your answer sheet.This saves time and will help you to avoid bubbling mistakes that can cost you major points. Making a careless mistake is like slipping on a banana peel; you can easily avoid it by paying attention. Strategy #2: Practice Good Time Management If you’re a high scorer, you might have a tendency to rush through sections on the SAT.Although this will prevent you from running out of time, it can have negative consequences if you don’t read passages or questions carefully enough.Try taking a timed practice test so you can see where you stand on time management.If you’re left with a lot of extra time at the ends of sections but are still missing questions, you should try and force yourself to devote a little more time to each question and make a point of double-checking your answers. If you’re consistently missing the last few questions because you can’t seem to get through the sections fast enough, you might consider revising your strategy in different ways.For the reading section, you should consider whether you’re reading passages in the most efficient manner.Some students read passages on the SAT very closely, which can work if you’re a fast reader, but usually isn’t the best strategy.I would recommend skimming passages to save yourself time and then going back to read specific details more closely if necessary. Skipping difficult questions can also help with time pressure on any section.If you’re trying to earn a high score, you can go back to them on your second pass through the section. This strategy will alleviate a lot of stress and help you to manage your time more efficiently. We're told to manage our time, but doesn't time actually manage us? Think about it, man. Strategy #3: Master the Hardest Types of Questions If you’re already getting high scores on the SAT, it’s possible that you’re being shut out from those last few points by the most difficult ten to twenty percent of questions on each section. We've written articles on the hardest questions for each section of the SAT.You can read these articles for a better understanding of how to get through these questions and think about them logically. Here are our lists of the hardest Writing, Math, and Reading questions. I would recommend that you try to do each of the hard questions in these articles on your own first and see if you end up with the correct answer.If you answer incorrectly, skip to the solution, and try to solve it again on your own with the correct answer in mind.You might have an â€Å"aha† moment without reading our explanation, which is a step in the right direction if you hope to answer these types of questions independently on the real test.Working through difficult questions will help you to get better practice for similar situations on the test (and will make most other questions seem simple in comparison!). It’s important to keep in mind that these lists of difficult questions might not be universally applicable.For most students, the questions on our lists will be some of the hardest on the SAT, but there are bound to be some disagreements.This is why it’s important that you also look carefully at where you tend to make mistakes on practice tests.Don’t assume that you’ll end up with a perfect score just because you can answer the questions on these lists!Pay attention to your specific weaknesses, whether they’re careless mistakes, time pressure, or questions in a certain content area. With some mental strength training, you can learn to manage even the most difficult questions relatively easily. Strategy #4: Avoid Test Anxiety You’re aiming for a very high score, and you only have so many chances to get it.That kind of pressure will make even the calmest person anxious.It’s ok to be a little nervous, but if you let your worries take over you could end up sabotaging yourself. Skipping difficult questions initially can bring out a lot of anxiety in high scorers.If you do have to skip a question, remind yourself that it’s normal, you’ll come back to it, and you will probably have a clearer head once you’ve gotten through most of the easy questions in the section.You have every reason to believe that you can answer it correctly on your second try.Remind yourself that this is no more difficult than any of the practice tests that you aced. If it helps you to write the word fear and cross it out before the test, go for it. Strategy #5: Don’t OverthinkQuestions Test anxiety can also cause high scorers to overthink simple questions.This is something you must learn to avoid, especially when it comes to the Reading section.The questions on the Reading section of the SAT are always based on information that is directly stated in the text.Don’t start to read between the lines or make assumptions about the information. Your mind may be tempted to go off in a million directions if you’re struggling on a question.You should always bring yourself back to the simple truth that there is only one correct answer to each question, and it’s based solely on the facts presented to you. If your brain feels like this, take a minute to regroup. Conclusion High scorers on the SAT who are hoping to improve even further will need to adopt strategies that directly combat the issues that are most common for them.High scorers often have problems with careless errors and time management, and they will need to be able to answer even the most difficult questions correctly if they hope to earn a great score. Overthinking is also a big problem for those who are already scoring high on the SAT, so it’s important that you keep your cool during the test and avoid complicating simple questions.If you can understand your main weaknesses and use these strategies to combat them, there’s nothing stopping you from getting a perfect or close to perfect score! What's Next? Check out our articles on how to get an 800 on the Reading, Math, and Writing sections of the SAT. They will give you more specific strategies for improving your scores. If you have very high SAT scores, you're probably looking at competitive colleges. Read this article to learn more about the most selective colleges in the nation and how you can improve your chances of acceptance. Not sure how high to set your goals? Find out what a good SAT score for your college of choice might look like. Want to improve your SAT score by 240 points?We have the industry's leading SAT prep program. Built by Harvard grads and SAT full scorers, the program learns your strengths and weaknesses through advanced statistics, then customizes your prep program to you so you get the most effective prep possible. Check out our 5-day free trial today: Have friends who also need help with test prep? Share this article! Tweet Samantha Lindsay About the Author Samantha is a blog content writer for PrepScholar. Her goal is to help students adopt a less stressful view of standardized testing and other academic challenges through her articles. Samantha is also passionate about art and graduated with honors from Dartmouth College as a Studio Art major in 2014. In high school, she earned a 2400 on the SAT, 5's on all seven of her AP tests, and was named a National Merit Scholar. Get Free Guides to Boost Your SAT/ACT Get FREE EXCLUSIVE insider tips on how to ACE THE SAT/ACT. 100% Privacy. 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Sunday, October 20, 2019

How to Make Fitzroys Storm Glass

How to Make Fitzroys Storm Glass Admiral Fitzroy (1805-1865), as commander of HMS Beagle, participated in the Darwin Expedition from 1834-1836. In addition to his naval career, Fitzroy did pioneer work in the field of meteorology. The Beagles instrumentation for the Darwin Expedition included several chronometers as well as barometers, which Fitzroy used for weather forecasting. The Darwin Expedition also was the first voyage under sailing orders that the Beaufort wind scale  was used for wind observations. Storm Glass Weather Barometer One type of barometer used by Fitzroy was a storm glass. Observing the liquid in the storm glass was supposed to indicate changes in the weather. If the liquid in the glass was clear, the weather would be bright and clear. If the liquid was cloudy, the weather would be cloudy as well, perhaps with precipitation. If there were small dots in the liquid, humid or foggy weather could be expected. A cloudy glass with small stars indicated thunderstorms. If the liquid contained small stars on sunny winter days, then snow was coming. If there were large flakes throughout the liquid, it would be overcast in temperate seasons or snowy in the winter. Crystals at the bottom indicated frost. Threads near the top meant it would be windy. Italian mathematician/physicist Evangelista Torricelli, a student of  Galileo, invented the barometer in 1643. Torricelli used a column of water in a tube 34 ft (10.4 m) long. Storm glasses available today are less cumbersome and easily mounted on a wall. Make Your Own Storm Glass Here are instructions for constructing a storm glass, described by Pete Borrows in response to a question posted on NewScientist.com, attributed to a letter published in the June 1997 School Science Review. Ingredients for Storm Glass: 2.5g potassium nitrate2.5g ammonium chloride33 mL distilled water40 mL ethanol10g camphor Note that man-made camphor, while very pure, does contain borneol as a by-product of the manufacturing process. Synthetic camphor doesnt work as well as natural camphor, perhaps because of the borneol. Dissolve the potassium nitrate and ammonium chloride in the water; add the ethanol; add the camphor. It is advised to dissolve the nitrate and ammonium chloride in the water, then mix the camphor in the ethanol.Next, slowly mix  the two solutions  together. Adding the nitrate and ammonium solution to the ethanol solution works best. It also helps to warm the solution to ensure complete mixing.Place the solution in corked test tube.  Another method is to seal the mixture in small glass tubes rather than using a cork. To do this, use a flame or other high heat to crimp and melt the top of a glass vial. No matter what method is selected to construct a storm glass, always use proper care in handling chemicals. How Storm Glass Functions The premise of the functioning of the storm glass is that temperature and pressure affect solubility, sometimes resulting in clear liquid; other times causing precipitants to form. The functioning of this type of storm glass is not fully understood. In similar barometers, the liquid level, generally brightly colored, moves up or down a tube in response to atmospheric pressure. Certainly, temperature affects solubility, but sealed glasses are not exposed to the pressure changes that would account for much of the observed behavior. Some people have proposed that surface interactions between the glass wall of the barometer and the liquid contents account for the crystals. Explanations sometimes include effects of electricity or quantum tunneling across the glass.

Saturday, October 19, 2019

Huge inequality between Poor and Rich in China Essay

Huge inequality between Poor and Rich in China - Essay Example According to Gini Index, released recently indicates the income inequality between rich and poor, in rural China is 0.3949, near to the warning level of 0.4 fixed by the United Nations. Advanced research conducted by Central China Normal University's Center for China Rural Studies illustrated that the cash proceeds of rural families raised 14.13 percent and the per capita cash revenue in rural areas increased 11.95 percent. Agriculturalists in China aren’t becoming rich by farming activities. The rise in income growth in the rural areas are because of the salaries earned by those people who have uninhibited rural life to labor as migratory laborers in metropolises and big cities, the study stated. It is observed that the rural families are becoming more reliant on salaries received by their household members who work in cities. The study shown that salaries paid to the migratory employees estimated for 65.7%of the entire proceeds of rural families. Over and above the study as well established that the whole revenue of the top 20% of the rural families was 10.19 times more that of the lowest 20%. As per the study report, the prosperity difference in west China was larger than in the east of the nation. The appraisal by Central China Normal University did not study the income disparity of the country all together, since its scope was restricted to the rural region. But, it is stated by Xinhua, the state-owned news agency that the income disparity in China all together is well above 0.4, because of the huge income disparity amongst city and rural regions. In the year 2000, Chinese government issued a Gini index for the country which showed as 0.412. However many intellectuals at present believe that the index has gone up to between 0.45 and 0.50, stated Xinhua. The significance of Gini index is that ‘0’ indicate flawless equality and‘1’ indicate perfect inequality. The Gini index in the United States in 2009 was 0.468, referring to the U.S. Census Bureau. This is very close to the Gini index of China (Yoshida). The developing Asian countries like China, India, accepted the recent globalization move with comparable per capita GDP and income levels. However, China gone ahead with more to its open economy to the international market, despite the fact that major numbers of its coastline cities have made wide-ranging investment atmosphere for private investment. The outcome has been an amazing vibrant economic progress. Even though India has followed a similar system, however was slow in terms of opening up the economy and unsuccessful in making good investment atmosphere. Some of developing Asian countries such as Malaysia, Thailand, and Vietnam has achieved remarkable success, however other nations such as Indonesia, Bangladesh, Pakistan, and the Philippines has less progress because of lack of , investment opportunity and weaker links to the international market. The China’s continued progress resulted i n unparalleled poverty reduction. According to domestic studies, it is estimated that the poverty rate in China in 1981 was 64% of the populace. It has come down to 10% in 2004, showing that about 500 million people have overcome poverty throughout this period. This poverty decline has happened in phases. The change to the family obligation method boosted a large upsurge in agricultural yield, and scarcity was reduced to half over the small period from

Friday, October 18, 2019

Explaining the reasons for income inequality in the US Research Paper

Explaining the reasons for income inequality in the US - Research Paper Example The causes of the increasing levels of income gaps and inequalities in the United States of America, which is one of the largest and most developed nations in the world has been a topic which is subject to a number of extensive researches, political interests and media attentions because this aspect involves how the income of the nation is divided among the people of the country and thus, is a primary factor involved in the development of economic consistency and stability of a country. Therefore, the topic of identifying and analyzing the main reasons which are driving the exponential growth of the inequalities in the financial and economic positions of the rich and the poor classes of the society has become an interesting area of study and research. This research is aimed at identifying and analyzing the primary and secondary reasons that have caused the high level of income inequalities in the United States of America. For this purpose, the macro economic backgrounds of the company as well as the different sources of income among the rich and the poor classes of the American society are studied in depth. Additionally, the main drivers of the income inequalities in the society and economy of the United States are identified so as to understand how these income gaps can be reduced in the future by the government of the United States of America and the various other governing authorities and institutions functioning in the country. Thus, the main research question formulated for the study is given as follows As per the work of Galbraith and Hale (2008), income inequality refers to the degree to which income within a population is distributed in a disproportionate and uneven manner. Income inequality can also be described as the gap between the income of the rich and the poor classes of people within a society or a nation (Galbraith and Hale, 2008, p.344). Duncan and Murnane

Individual report Essay Example | Topics and Well Written Essays - 1500 words

Individual report - Essay Example A small part offers on an ad hoc basis some services like company human performance appraisals. A lot of them offer some training seminars in order to increase their product portfolio but these seminars are not specialized in a particular sector i.e. accountancy, marketing etc. They offer seminars according to the current market demand needs. None of them has a distinguished competitive advantage. Even the recruitment process is done the same way i.e. only by using repetitive unstructured interviews and checking references. The companies specialized in low and medium level employees use in many occasions psychological tests but these are not adapted to the specifications of the different positions and the local requirements. They are just translations of foreign tests. Another issue concerns the type of employees / consultants they use. In order to keep employee costs low, they hire employees with minimum experience or no experience at all. They prefer graduates of Human Resources or Psychology but with non existent professional experience. These graduates receive no training and perform interviews and selection of candidates rather from the start. Due to the fact that they have no professional experience or understanding of the market, they cannot communicate effectively with the HR Directors and fill the positions with the right candidates. In many cases, employees are obliged to act as salespeople and this results in a low quality recruitment and selection processes. The situation becomes even worse in cases where the HR agencies offer more specialized services like human performance appraisal and training. On the other hand, there are some local small companies offering training seminars. The seminars they offer are not adapted to the specific needs of the companies, there are ready made packages from abroad. In addition, they offer a wide

Electricty Grid retailer Assignment Example | Topics and Well Written Essays - 1000 words

Electricty Grid retailer - Assignment Example 4). Increase the ease and reduce the cost to operate PHEV. Electrical Power: How the Electricity Retailer Can Reduce Consumption During Peak Periods with Low Carbon Footprint Energy Technology Electricity is a secondary source of energy. Electricity is transformed from the combustion of coal and fossil fuels into a secondary source, which can be used and effectively and efficiently transmitted by means of power transmission lines to the consumer. Electricity can also be generated by means of the combustion of biomass. Other primary sources from which electricity is transformed are: natural gas, solar, hydro, geothermal, wind and nuclear sources. The electricity which is generated from the combustion of coal, natural gas, fossil fuels and nuclear sources is non renewable. Electricity is also generated from renewable sources such as: hydropower, wind, biomass, geothermal and solar (Need.org n.d.). The cost of generating electricity varies between 2.2 pence per kilowatt hour to 3.2 penc e per kilowatt hour for the electricity producer. The least expensive means of deriving electrical power is from a combined cycle gas turbine. The most expensive means of deriving electrical energy through combustion is the coal fired integrated gasification combined cycle plant. Open cycle gas turbines which operate on the combustion of natural gas are the most well suited for new electrical generating facilities. The best candidates for fulfilling electrical power generation requisites at peak duty are the open cycle gas turbines. These open cycle gas turbines are adaptive, reliable and are capable of being efficiently ignited when the demand for electricity reaches its peak demand. An open cycle gas turbine can generate electricity at 3.2 pence per kilowatt hour when operate continuously. When operated solely at periods of peak duty, the open cycle gas turbine generates electrical energy at 6.2 pence per kilowatt hour (Royal Academy of Engineering n.d.). The operating cost of ren ewable energy sources is more expensive than the constant cycle gas turbine, the pulverized fuel steam facility, the circulated fluidized bed steam plant and the integrated gasification combined cycle. Fluctuation of electrical power generation in the renewable energy sources is a limiting factor in the output generation of electrical power. The cost of generation of electrical power varies from 3.2 pence per kilowatt hour to 7.2 pence per kilowatt hour. The cost of generating electrical power is diminished when there is no standby generation from non renewable sources. An onshore wind farm generates electrical energy at a cost of 3.2 pence per kilowatt hour, notwithstanding the standby generation of electrical power from non renewable sources. In the provision of a standby electrical generator operating from non renewable sources, the cost of generating electricity from an onshore wind farm is 5.4 pence per kilowatt hour. The kilowatt hour cost of generating electrical power from w ave and marine technologies is consistent at 6.6 pence per kilowatt hour, with or without a standby electrical generation resource (Royal Academy of Engineering n.d.). The analysis of consumer demand for electrical energy by the electricity retailer requires constant demand data on a monthly, daily and hourly basis. This data may be evaluated by two means: daily and by the maximum or minimum electrical power consumption. The patterns of demand

Thursday, October 17, 2019

Egoism Essay Example | Topics and Well Written Essays - 500 words - 1

Egoism - Essay Example It sometimes refers to psychological egoism. It provides a description of the human nature as self-motived and self-centered (Welsh 62). Psychological egoism points that individuals usually act in their interests; however, they may conceal their motivation regarding their duty or help for others. Diverse individuals portray this kind of egoism differently. Opponents argue that it renders useless ethics. However, proponents refute this claim and assert that the opponents need to exploit counterfactual evidence while criticizing psychological egoism. It is the second variant of egoism, and it specifies the agent, which ought to promote the self above other values. The theory of normative egoism does not provide the description of human nature in a direct way. However, it points out how individuals ought to behave. Two forms of normative egoism exist, which include ethical and rational. Rational egoism argues that the promotion of one’s interest is usually in accordance with reason. Proponents argue that selfishness is a virtue that human beings need to pursue (Welsh 81). Therefore, ethical selfishness encompasses a commitment to reason rather than emotions. On the contrary, opponents posit that the reason dictates an individual’s interest and does not govern one’s actions. Ethical egoism argues that the promotion of an individual’s good is in accordance with morality. Ethical egoism, thus, highlights that it is usually moral to promote an individual’s good and it is immoral not to promote it. An example of psychological egoism is when a person gives something, which he or she owns to another individual. Here, the intention of giving is good to himself or herself. A free-rider scenario provides an example of rational egoism, which is a form normative egoism. A teacher may argue, while marking students’ papers that her life can be easier is she offers inflated grades, hence, it is in her self-interest. Marking otherwise may attract

Music History Report Essay Example | Topics and Well Written Essays - 750 words

Music History Report - Essay Example The Romantic era was a period of vast change and emancipation. While the Classical era was restricted by laws of balance and restraint, the Romantic era moved away from that by allowing artistic freedom, creativity, and experimentation in their compositions. The music of this time was very expressive, and melody became the dominant feature. Composers even used this means of expression to display nationalism. This became the driving force in the late Romantic period, as composers used elements of folk music to express their cultural identity (â€Å"The Romantic Era†). As in any time of change, new musical techniques came about to fit in with the current trends. It was in this era when the nocturnes were developed. Nocturnes, defined as music inspired by the evening or night, is one of the most renowned style of music in present times. The nocturnes were first developed by Field in the 1800’s, and were popularized by Chopin in the later years. Chopin, being a child prodig y pianist, composed and played music leaving behind Field. These serene, calm, and tranquil by nature night pieces stir emotions in individuals making it one of the most remarkable developments in music. As one listens to the nocturnes, the listener stirs a feeling of reflection, realization, as well as nostalgia – creating drama into the life of the night.

Wednesday, October 16, 2019

Egoism Essay Example | Topics and Well Written Essays - 500 words - 1

Egoism - Essay Example It sometimes refers to psychological egoism. It provides a description of the human nature as self-motived and self-centered (Welsh 62). Psychological egoism points that individuals usually act in their interests; however, they may conceal their motivation regarding their duty or help for others. Diverse individuals portray this kind of egoism differently. Opponents argue that it renders useless ethics. However, proponents refute this claim and assert that the opponents need to exploit counterfactual evidence while criticizing psychological egoism. It is the second variant of egoism, and it specifies the agent, which ought to promote the self above other values. The theory of normative egoism does not provide the description of human nature in a direct way. However, it points out how individuals ought to behave. Two forms of normative egoism exist, which include ethical and rational. Rational egoism argues that the promotion of one’s interest is usually in accordance with reason. Proponents argue that selfishness is a virtue that human beings need to pursue (Welsh 81). Therefore, ethical selfishness encompasses a commitment to reason rather than emotions. On the contrary, opponents posit that the reason dictates an individual’s interest and does not govern one’s actions. Ethical egoism argues that the promotion of an individual’s good is in accordance with morality. Ethical egoism, thus, highlights that it is usually moral to promote an individual’s good and it is immoral not to promote it. An example of psychological egoism is when a person gives something, which he or she owns to another individual. Here, the intention of giving is good to himself or herself. A free-rider scenario provides an example of rational egoism, which is a form normative egoism. A teacher may argue, while marking students’ papers that her life can be easier is she offers inflated grades, hence, it is in her self-interest. Marking otherwise may attract

Tuesday, October 15, 2019

Gaining Power and Influence in the Workplace Essay

Gaining Power and Influence in the Workplace - Essay Example From this study it is clear that  power is the aptitude to control people. Authority is the privilege to influence, control, and transform other people. To elucidate how the reporter gains power and influence in the work place, it is important to describe French and Raven model of power and influence. These two individuals postulated an all inclusive form of collective and shared authority. In doing so, they proposed and recommended various categories of authority. These categories include intimidation, incentive, valid, specialist, referent, as well as informational. People in positions of leadership can achieve power and influence through corporeal and oral intimidations. Power through intimidation can either be applied to a single entity or a group of people.This paper highlights that  achieving power and influence through incentives is practiced in many organizations all over the world. Individuals who are involved in making decisions regarding incentives have all the power a nd influence in the workplace. Valid power and influence is achieved on the basis of how the individual in management position is expected to behave by the public. In referent power, people are known to respect and recognize the authority of individuals that they are capable of forming relationships or associations with. Informational power depends on the status of an individual as some individuals are considered to be more knowledgeable than others.

Monday, October 14, 2019

Analysis of the UN with Liberalism and Realism

Analysis of the UN with Liberalism and Realism Use Realism and Liberalism to Explain the United Nations system. Introduction Realism emphasizes the condition on politics imposed by human nature and the non-existent of international government. Together, they conceded international relations largely a realm of power and interest (Jack, 2000), and liberalism came under the influence of various intellectuals minds and believed that state and non-state actors are partner in the development process and based on democratic principles of a peaceful international order (Aneek, 2010). Thus, realism is a power theory to achieve objectives, and liberalism is balance power which appeared to be more optimistic and cooperative of nation-states. The existence of the United Nations in the international arena seems to become complexity argumentative. Its effectiveness is being constantly put under debates, with realists and liberals arguing in favor or against it, respectively. The United Nations emerged on 24 October, 1945, which is an international organization maintaining the world peace and security, and the key function of the United Nations is also to develop friendly relations, international economic, social, cultural problems, and so on. The realists’ emphasis on anarchy, it does not mean that they see the international system is falling into chaotic. On the contrary, liberally, they point to balance the power of actor in international affairs, as a source of order in the international system. Therefore, which one of the two ideologies is appropriated to explain the world politics in the world of 21st century? This term paper aims to answer two important questions of how Realism and Liberalism explain the UN system. By using the secondary data, mostly from research papers of scholars in the United State, England, Germany, and other discussed articles, the two theories: Realism and Liberalism are being used to explain the United Nation system by focusing on the actors of the UN and their interactions. This paper also aims to answer the research question on which one of them best describes the UN system by using our group’s opinions. Realism to explain the United Nations The Chair of P5’s power and right in UNSC Security Council in United Nations is composed of both permanent and non-permanent, elective members and headed by a president, an office that rotates among all member state. The permanent members include the P5 who are the great-victor of the World War II, while ten elected member are selected form and by the UNGA. The P5 possesses an absolute veto power over substantive UNSC decision and allows one member to kill UNSC actions, and could not be overridden. The current debate among governments about the right of veto resembles very much the debate. Many governments oppose the veto for its violation of the principle of sovereign equality among states (Bardo, 1998). For example, an outbreak of a chemical weapons attack carried out by the Syrian regime in 2013 and has heightened tensions internationally, but Russia and China who are the permanent members of UNSC do continue to support a regime. To Russia, there are two main reasons that led to Russia support to Syria because of Economic that Russia is the one of Syria’s biggest arms suppliers and one other is that Russia’s key policy goal is blocking the U.S’s action to shape the region. For China, has said foreign countries shouldnt meddle in Syrias internal affairs (Holly, 2013). In this case, to realist Russia and China are one of veto in UNSC agenda; they have played a vital role to support and veto the U.S to take any actions on the Syria for promote the security and human rights as pretenses. State’s Power and Interests To illustrate the strong involvement of the UNSC in some crisis that related to realism, Gulf crisis was the good one example to explain. We have to take a look on the resolutions of UN, but there were very soon doubts whether this was a real revival of UN that would be able to solve in the same manner future conflicts. Therefore, the goals of the U.S-Administration in the Middle East changed but the conditions, the allies and the possibilities to realize the interest of U.S were still in flow. After the end of the cold war, Iraqi aggression towards Kuwait, were one of the most remarkable points for revision of means and possibilities in order to create an interest for U.S- strategy. For the U.S administration the unity of the UN, made perfect by China’s decision not to oppose any step against Iraq, brought a big chance to counter the Iraqi aggression under the umbrella of the UN. Here we can see that UN acted as tools for U.S to invade the other country (Stephan, 2006). To co nclude, Realism with its emphasis on security completion and war among the great powers, as human being is thinking about self-interests more than others. Those permanents members in United Nations Security Council are also no exception. Accordingly, United Nations activities were largely shaped by national interests, values and power despite the UN being central to the maintenance of a viable international order and to the development of shared values, norms and standards (Suzanne, 2013). To realist powerful states as permanent members on UNSC rarely need International Organization as United Nations to achieve specific objectives. On the contrary, since turning to an international institution complicate policy-making and entails some loss of autonomy, the powerful to avoid such entanglements, especially in the pursuit of important national interests. Yet this is often not the case: even superpowers routinely channel coercion, including the use of force, through International Organizations despite viable alternatives that offer more flexibility and control-namely, unilateralism and ad hoc coalitions (Alexander, 2009). Liberalism explaining the United Nation system Liberal View of International Law International society consist of states that have, less or more, relations with one another. This relations form an international order which require the international law to create rules. By regulating the states, International law seeks to achieve the goal and value of international society. From liberal perspectives to international law view that international order is created from the bottom up. The processes that contribute to creation of international law begin with norms, moral, rules, and other code of conduct that voluntarily adopted by individual, community, and/or state who operate in an international society and working up through transnational and transgovernmental law to traditional public international law. The liberal approach ensure to avoid the state-centric power by keeping the state disciplined and provide the peaceful way to build the relations with one another. Mostly, International law was created to solve problem in relationship between states. Liberalists believe that those international problems have domestic roots. When individual and group preference different from the government preference the problem would likely to arise. The relation between state and society have a massive impact on international system, so the international law lie in domestic rule of law. Liberal view on Economic Interdependent The liberalists believe that economic interdependent leads to peaceful international relations because they understand the mutual benefit of trade. When the trade prosper, the tied between states are bond with economic dependency. In liberal states, military security is never always the most important point on the state agenda anyway. Economic interdependent increase the value of trade over war, so they interdependent state would prefer trade. Generally, war cost so much of the state resource, while trade gain material benefit. Those economic gains have a huge influence on the government’s foreign policy toward other state. It also influence the state decision to use military force. The differences between the world today and before World War II would owe to the contribution of the development of technologies which help facilitate the trading process between states. Back then, war seems to be the only means to gain interest, so the war could easily happen. But now, inexpensive fast, and reliable communication and transportation enable people to trade and gain interest, so people would prioritize trade over war. Sovereignty and equality International institutions and Laws have become more intrusive, while transnational civil society have become more active, and the central power of state have become less pronounced. This is the process of globalization. It have challenged state to compete with supranational, private, and local actor for the authority over the territory which used to be exclusively under the authority of state. Inequality is a serious problem for international system, especially in the United Nation, that has been wrongly neglected. As inequality intensified, state sovereignty would be in danger, if the United Nation fail to manage the world order. In international arena, normally, developing states are the weakest if we compare them to the developed state who long to exploit the developing state. The unite nation provides equal footing with the powerful state in many of the organs. As the policy making organ of the UN, United Nation General Assembly allow each state to have the power of equal vote and have a saying in un policy making process. One state one vote apply to all the member of the UN, regardless. Small states form groups to have the bargain power to achieve true multilateral world order. For example, the group of 77 was created with to promote the collective economic interest of developing states and improve the negotiating capacity in the United Nation. With now expanded to 13 3 members, the G77 play important roles to make sure that the resource in UN would equally applied to all the member. They have the collective power to set agenda to achieve the developing states interest rather than allow the developed state dominant in the Unite Nation system. Social and economic equality are protected by international law and institution who responsible for establishing a framework for economic cooperation and development for both developed state and developing state, equally. For the obvious example would be IMF and the World Bank. Analysis of Realism and Liberalism Regarding the emphasis on key actors and conceptions of Realism and Liberalism, each has its own strength and weakness in explaining the actors in UN system and their interactions. For realist’s view on states that they are the principal actors in the international system is somehow true. These can explain the UN system as its actor sought own interest and that the UN is just a marginal actor states can use for achieving its objective through ways including by using the UN to legitimate its actions, using veto power, contributing or reluctance of assisting the UN operation, and so on. In addition, it emphasizes on anarchy that state has its own interest and acquires as much as power through any means, particularly by competing with other states. Notably, realist concepts hold the principle of zero-sum game that has and will create a competitive future. Such competition is the impetus for state to balance the power and further implies that the international system is anarchic a nd conflictual which likely go to conflicts and wars (John, n.d.). However, it fails to explain the modern international system that economics is important. For instance, the Soviet leaders realized that pursuit of power cannot totally enhance the state security and believed that to cooperate with the west is the best way to achieve it (John, n.d.). Therefore, we can see that the Soviet Union since 1987 has changed its attitude in the UN by deterring from using its veto power for opposing the West to withdraw its troops from Afganistan, and end the Iraq-Iran War (Karen Margaret, n.d.). Further, Realism cannot explain how the UN can ensure peace and security in some cases by preventing interstate conflicts and explain why states come to cooperate one another in international organization and many regional integration to solve world conflicts and transnational problems. This is showing that state is no more anarchic but cooperative, and that non-state actors, in particular multi-diplomacy appears to be important in the international system. For instance, in the Rio Earth Summit in 1992, leaders of states were persuade to join with other nations to halt the destruction of natural resources and ensure the healthy planet for next generation (â€Å"TheWorldConferences,† 1997). However, liberalism can explain those that realism cannot. By not ignoring the emphasis on power of Realism, Liberalism seems to be very optimistic as the morality, ideology, emotion, cooperation are improved over Realism as the factors that shape the behavior and preference of states. It also doesn’t dismiss the national interests that states processes, but the interest for Liberalist is achieved by working together with other states through concerts and multilateralism rather than competing. In addition, instead of zero-sum game principle, Liberalism stressed more on win-win situation and this can further implies that liberalists tent to go to war less than realists. Liberalists also found it more effective to tie together politically and socially through trade, economics, and other exchange through international law and cope with democratic peace. However, it doesn’t mean that liberalist doesn’t at all use force; force is used for self-defense and especially i n case authorized by the UN as Woodrow Wilson send the American troops to Europe in efforts to make the world safe and as in case George W. Bush invade Iraq in part to foster democracy and peace (John, n.d.). These shows that UN has been a great place for cooperation among states, truly serving peace and security that is generally defined as the state’s national interest, and it appears that liberalism can better explain the UN system and today world’s politics. References Jack, D. (2000). Realism and International Relations. England: The Press Syndicate of the University of Cambridge. Aneek, C. (2010). International Relations Today: Concepts and Applications. India: Dorling Kindersley Pvt. Ltd Bardo, F. (1998). UN Security Council Reform and the Right of Veto: A Constitutional Perspective. The Netherlands: Kluwer Law International. Holly, Y. (2013, August 30). Syria allies: Why Russia, Iran and China are standing by the regime. Retrieved from website: http://edition.cnn.com/2013/08/29/world/meast/syria-iran-china-russia-supporters/ Stephan, S. (2006). Gulf War II (1990/91) -Iraq between United Nations’ Diplomacy and United States’ Policy. Germany: GRIN Verlag. Suzanne, X. Y. (2013). China in UN Security Council decision-making on Iraq. Publisher: Routledge. Alexander, T. (2009). Channels of Power: The UN Security Council and U.S. Statecraft in Iraq. The United State: Cornell University Press. John, T. (n.d.). International Politics on the World State (12th ed.). Boston: Mc Graw Hill. John, J. (n.d.). Realism, the Real World, And the Academy. Retrieved from the website: http://mearsheimer.uchicago.edu/pdfs/A0029.pdf Karen, A. W., Margaret, P. K. (n.d.). The United Nations in the Post-Cold War Era (2nd ed.). George, A. L., Dilemmas In World Politics. Colorado: Westview Press. The World Conferences. (1997, May 23). Earth Summit: UN Conference on Environment and Development (1992) [Electronic Version]. Retrieved from: http://www.un.org/geninfo/bp/enviro.html