Tuesday, October 29, 2019

Read the sources and summarize them Essay Example | Topics and Well Written Essays - 500 words - 1

Read the sources and summarize them - Essay Example They contributed much towards ending hereditary monarchy and presented the separation of the state and church to end theocracy which were both outstanding achievements during their time (Korten, 2014). The author explains how the original constitution protected the elite bodies of a plutocracy, which is a structure of affluence that precisely endorsed captivity and gave no rights to women, people of color, or Native Americans. He expounds on his theory on plutocracy by showing how the United States is as an empire ruled as a plutocracy not willing to recognize demands by average people of their rights to life freedom and they search for their happiness in a violent manner (Korten, 2014). The article the US constitution authors had acted without considering the right of every individual to life, freedom, and justice for all by giving us governing institutions that represent uppermost face of these democratic principles. The author explains the relationship of the current economy in plutocracy and how the current day economy has influenced the rule experienced by the United States. Plutocracy has been able to combine with the word economy to result to "plutonomy" that shows that income progression is confined to those at the peak of the affluence pyramid. It shows how marketing consultants and investment advisors describe our current economy. The article is by the U.S. Department of Veteran Affairs. The article is used to show how the US military used some bullets made with depleted uranium (DU) when attacking their enemies who used armored vehicles and its amplified usage in the 1990-1991 Gulf war. It further expresses the health dangers it posed on those who were exposed to its chemical toxicity, which equal the chemical toxicity of natural uranium but with a radioactivity of 40 percent or less. It explains ways in which DU can be hazardous to those who had been in a war zone during the period which include penetration of DU

Sunday, October 27, 2019

The Story Of The Flivver King History Essay

The Story Of The Flivver King History Essay In the story of the Flivver King, Upton Sinclair wrote this book from the period in the early 20th century about of one of Americans most famous self-made business leaders of the 20th century, Henry Ford. The author explains the story through the eyes of a fictional character that idolizes Ford from a young age, that character is Abner Shutt. Abner is the main character in the book and from his viewpoint Sinclair shows the reader how Ford started off as a man who was thought to be a lunatic for his ideas of making a carriage that can move without the help of a horse, to becoming one of the most influential people of his time. The story follows the ideas and growth of what would become the Ford Motor Company through the eyes of the Shutt family, primarily Abner since he eventually works for Ford and advances himself in the company slowly. The story also shows how Abner grows into a family man who works for Ford for many years and how Henry Ford starts off with great intentions, brilli ant ideals, and hopes for his company and the workers in it. As shown in the book, one of Fords hopes at the beginning of the story is that he would be able to have his workers earn enough money so they may also have the means to buy a car. Upton Sinclair shows how Ford changes during the story and how at the end of the story, Ford and his ideals are changed by power and a few billion of dollars. The idolized leader of Ford had become a prisoner of his own wealth and power. In this story, Upton Sinclair wants the worker who is Abner Shutt to gather with other workers and form a strong labor union. During the story Abner is not waiting to organize anything like a Union at Ford due to his beliefs of what Henry Ford is about as a person and how much trouble it can potentially get him in. Sinclair originally wrote this book for the United Automobile Workers of America in the late 1930s so that people during this time period would understand that workers should have some basic rights to work in a safe environment with fair hours and pay. At this time at the turn of the century, many of the workers who would immigrate to America for work would often be exploited at many levels. This happened in all types of factories other than the automotive factories; Sinclair had seen factory worker abuse first hand in meat packing factories. Upton Sinclair was not just trying to be just another author but a revolutionary activist for the workers, who attempted to show peo ple firsthand what workers had to deal with when they were in the factories. By creating books like the Flivver King, Sinclair was attempting to show how much power the leaders of a major company can have and how it is unethical. Sinclair also shows how the power hungry leaders can start with good intentions and then just crave for more and more power. During this time Upton Sinclair realized that during this time when America was in the middle of another major industrial revolution after Ford and the birth of the major car industry. People who had ideals like Sinclair wanted to see more federal regulations in the American auto industry and he was showing how company leaders like Henry Ford would be against regulation and power to the workers since he feels that he would want to have the most possible control over his company and workers as a whole. Upton Sinclair felt that our nation at this time needed to establish a strong union where the workers can actually get help from a stronger organization when going against the corporations. Sinclair wanted a strong Union to help workers get what he feels they deserve, instead of becoming just another cog in the machine known as the abused industrial workforce at the time. After reading this book one would think that the reason why there is no strong presence of a labor union in this country is because of the risk that it presented for workers at the time. In the Flivver King, Henry Ford used thugs and goons to intimidate people from not causing a ruckus and not bringing the any kind of union into his company. Upton Sinclair said this in the book, as a beleaguered American socialist in a society that is generally unsympathetic to the plight of the less fortunate, Sinclair pondered the question of why Socialism did not gain a foothold in the minds of the American workers. (Sinclair, Pr eface viii, xi) Reading this from Sinclair makes the reader believe that since socialism did not gain a solid ground in the mindsets of the factory workers at the time prevented a chance and at a strong labor union, and it shows the reader that Americans can show little sympathetic to those who do not have a lifestyle as well as their own. After reading this, it is clear that Sinclair pities the American worker of this time period and he feels that if they could have embraced a more socialist mindset, there could have been some kind of organization to protect them from being exploited and possibly fired just by mentioning the very idea of trying to start or join anything like a union. Other issues in the work place were workers being killed by various factors like poor or unsafe work conditions, violent protest and strikes, and being beaten thugs. Sinclair thought that because of the difficult working conditions, some kind of regulation was needed from a higher power, and that higher power would be our very own government. He also thought that the people needed to stand up and do something in order for anything to happen. In the book, Sinclair uses Abners son Tom as an example of person trying to make a difference by attempting to make labor unions for auto workers a reality. Tom Shutt who was a college graduate from the University of Michigan was once a worker at a Ford gear plant, he was eventually was listed as a trouble maker by the company and he was shown working for the United Auto Workers. Tom would go into the towns where Ford had great influence he would try and show people how they can get the company to join the union. This proved to be an very dangerous job, especially in the towns where The Ford Motor Company had a strong impact. Also Sinclair shows us that greed that was a common theme in the book did not help a ny efforts to start labor unions in the auto industry. Sinclair believed that since characters like Ford had so much money and power at the time, they could also obtain political influence by attempting to urge the people to vote a for a certain candidate so their policies can maintain the status quo and keep labor unions from becoming a reality. Just a few years after this book was written there was an ongoing battle for Ford to Unionize, the United Auto Workers won, and now even today Ford Motor Company is part of the UAW. In the story, Upton Sinclair used the main characters in some way or another to support his arguments for why there should be a labor union for the workers in the auto factories. With his depiction of Henry Ford a self made billionaire who gets corrupted by the money, power, and the very empire he made. At first people thought of Ford a crackpot with lofty ideas, Abners mother said on the very first page of the book that he is a crazy person who is just fooling around all day. After Ford proves the doubters wrong he creates a strong following, and one of his most loyal followers happens to be Abner. The strange and misunderstood inventor gained so much power in a relatively short amount of time, and the power and wealth turned a peaceful and revolutionary inventor into a power hungry corporate leader who wanted to control everything around him. The next character that Sinclair uses is Abner Shutt, a loyal Ford follower from a young age since he saw the beginnings of Ford on Bagely St reet in Detroit, and later an employee of Henry Ford. Abner appeared to be oblivious to some of things that occurred at the Ford Company at the time. For most of the book he would address Mr. Ford with the upmost respect. With the company growing into a global business powerhouse Abner saw the company rise from humble beginning and with honest intentions. Later Abner saw the company grow to have spies and gang members working for Ford to prevent any type of action that Ford himself would not like. Abner even had one of his own family members Tom Shutt, suffer at the hands of the gang members for trying to make a difference for the factory workers. If a proper workers union would have been established earlier on, maybe his son Tom would not have been beaten by the thugs at Ford. Sinclair uses this compelling story to open the eyes of Americans to show them some of things that occurred to people who tried to make a difference in the world for all of the auto workers in America. He also shows how money and power can overwhelm people who start out with good and clean intentions to help and give products to those who cannot afford it or give good benefits to their workers. With this piece of literature, we now can understand how much of a need there is for a an auto workers union, so we can avoid falling back into a time where workers can be fired for the wrong reasons or killed by the company thugs for attempting to create a safety net for the auto factory workforce.

Friday, October 25, 2019

Rites of Passage in Australia :: essays research papers

Rituals act as signposts to assist us in recognizing the importance of particular passages in our lives. In an Australian context, the passage from childhood to adulthood is less formal, however, it mirrors the common structures found in rites of passage and ceremonial initiations in most cultures. The transition from secondary to tertiary education, a progression from one liminal space to another, is a process which also has structuralized social conventions; the rituals of high school graduation, the transitory period of liminality, the assimilation into university society. Society’s formal rituals serve to signpost the individual through the transitory process and to recognize the possible stressors associated with this period; to provide a path through the liminal state. The final year of secondary education, a period of life with mutual experiences for all graduates, is accompanied by a level of comradeship and recognition of common ambiguity of social role. All ‘nonliminal distinctions disappear[ed]’ (Schultz & Lavenda, 2005, p.167) as we were unified by the common rite of passage we were undertaking. Arnold Van Gennep (1960) noted that any movement within the social structure involves a temporary separation from the individual’s role in that society (Schultz & Lavenda, 2005, p167). In !Kung culture, the formalized separation during the male initiation ceremony of Choma, demonstrates the structure found universally in most rituals of social movement, as well as the necessity for a period of separation from social role (Shostak 2002, p.215). Separation from the social position of boys under the authority of the academic institution, was a process principally marked by liberation from the restraints and regulations of high school life, and an introduction to the responsibilities of manhood. The ritual of the graduation ceremony symbolizes this comradeship through the celebration of the ‘essential and genetic human bond[s]’ (Turner 1969, p.97). This bond was the social transition common to all graduates, and provided personal comfort in the knowledge that this process was natural and therefore, nobody was alone on that path to adulthood. The period of time after graduation, and the rituals associated with that time result from the liminal state of social responsibility experienced by most after graduating; lack of social role, lack of structure and potential danger are all aspects of this phase. Australian culture has labeled this group high-school ‘Leavers’, as many behavioral traits are common to this entire group. As a ‘Leaver’, ritualized behaviors are associated with the individual using ritual and communitas to cope with a new paradox; freedom and liberation from previous social restraints brings greater social expectation and responsibility.

Thursday, October 24, 2019

Vertical Boundaries

Chapter 10: Vertical boundaries Chapter 10: Vertical boundaries Aim of the chapter To understand the factors that influence the ways in which transactions on a vertical chain (value chain) should be/are located on the market–organisation continuum. Learning objectives On completion of this chapter and the essential reading, you should have a good understanding of the following terms and concepts: †¢ transaction cost economics †¢ strategic calculation. Essential reading Buchanan, D. and A. Huczynski Organizational behaviour: an introductory text. (London: Prentice Hall, 2008) Chapter 18. Douma, S. nd H. Schreuder Economic approaches to organisations. (London: Prentice Hall, 2008). Further reading Besanko, D. , D. Dranove and M. Shanley Economics of strategy. (New York: Wiley, 1996). Coase, R. H. ‘The problem of social cost’, Journal of Law and Economics 3 1960, pp. 1–44. Grossman, S. and O. Hart ‘The costs and benefits of ownership: a theory of vertical and lateral integration’, Journal of Political Economy 94(4) 1986, pp. 691–719. Williamson, O. E. ‘The economics of organization: the transaction cost approach’, American Journal of Sociology 87(3) 1981, pp. 548–77. 10. 1 IntroductionAs noted in Chapter 1, we may regard the basic unit in organisational analysis as an exchange or transaction generated in the division of labour. The division of labour (exogenous/endogenous – Chapter 3) creates value or vertical chains; for example as shown in Figure 10. 1(a) running from crude oil extraction to the retailing of petroleum products. We now operate at the level of organisations or firms (recognising that at a greater level of disaggregation the points in the chain are also based on chains of the division of labour) and pose the question as to where their boundaries should be located on the value chain.In fact the picture is usually more complex than the one depicted in Figure 10. 1(a). Activities usually depend on inputs at all points down the vertical chain, as depicted in Figure 10. 1(b). So organisations or market exchanges could control and coordinate each of these transactions. Furthermore, some of these inputs may be common to the points on the main chain (see Appendix 1. 2 in this guide), like accounting services, in which case the picture looks more like Figure 10. 1(c). Note the use of di-graphs once again. 91 Organisation theory: an interdisciplinary approach a) Oil extraction Refining Retailing †¢ (b) Shipping or pipe †¢ †¢ †¢ Distribution †¢ †¢ †¢ †¢ (c) †¢ †¢ †¢ Accounting †¢ Figure 10. 1 †¢ †¢ †¢ In general we are asking the question as to whether a particular transaction should be internalised (make) or left in the market (buy), as depicted in Figure 10. 2; that is, whether a point on the chain should be a department/ function or division or remain independent. For the momen t we restrict our attention to this simple choice rather than the more elaborate positioning on the market–organisation continuum.We shall return to the more elaborate issue later on. †¢ †¢ Market (Price mechanism) Figure 10. 2 Start by asking what the benefits and costs of using the market might be. The benefits could include the following: †¢ Independent firms may be able to reap the benefits of economies of scale (i. e. operate at an output that minimises unit costs) whereas internal departments may not. Unless the firm itself can absorb all the efficient output of the department, it must either operate below the optimal output level or sell on to another firm.This might compromise any information advantages of the purchasing firm (see below). †¢ Independent firms are more subject to market disciplines than departments and may hold down costs they can control more effectively. Costs may be difficult to identify in departments. Firms might, though, attem pt to replicate market incentives inside organisations. Tapered integration refers to a situation where a firm is supplied partially by an independent firm and partially by its own department. This allows their relative cost structures to be compared. Independent firms (i. e. their managers) may have stronger incentives to innovate when compared with managers of departments. †¢ †¢ Organisation †¢ 92 Chapter 10: Vertical boundaries The costs of using the market might include the following: †¢ Private information may be leaked to independent firms – particularly if there is a need to share technical information. †¢ The focal firm becomes to a degree dependent upon an independent supplier (depending upon switching costs).Thus the latter has a power resource (see Chapter 6) and may use it to hold up the focal firm. It may prove difficult to control and co-ordinate flows of goods and services down a vertical chain of independent firms. This may be particul arly so where there is a need to fit the products closely. ‘Just-intime’ methods seek to overcome this problem and permit independent firms often with long-term relational contracts (see below). The way most economists (following Coase and Williamson) think about the choice between a market and organisational exchange/transaction is entirely predictable – choose the arrangement that minimises costs. The innovation here is to ntroduce the idea of transaction costs – the costs involved in making (controlling and co-ordinating) the transaction. They are sometimes referred to as agency costs, and agency efficiency is found where they are minimised.So, if both production costs (which relate to technical efficiency) and transaction costs vary between organisational transactions and market transactions, then the total costs should be minimised. Activity Now read Sections 8. 1 and 8. 2 in D and S. If you would like to read a slightly more comprehensive economic ap proach to vertical integration, then read Besanko et al. 1996). In a world of fully informed, rational actors where contracting is complete, there are no transaction costs and the choice between market and organisational exchange is of no consequence (at least as conceived within this framework) unless production costs vary (which, again, they should not under the same assumptions). It is because we relax both the assumptions of full rationality and full information in the context of ‘real markets’ that transaction costs arise and the choice between market and organisational transaction is pertinent.Transaction costs theory is used both in a normative and positive sense. The new assumptions are as follows: †¢ Individual bounded rationality: people are intentionally rational but limitedly so. Individuals are neither able to make very complex calculations nor to assimilate large amounts of information. As you might expect, sociologists tend to like this assumption; t hey see it as more realistic than the full assumptions of rationality. †¢ Opportunism: individuals are not only self-interested but behave with guile.For example, in the context of game theory, individuals will issue promises which are not credible, make use of asymmetric information and they cannot be trusted. †¢ Contracting about transactions is incomplete because of inherent uncertainty and incomplete information. †¢ Contracting can thus lead to ex ante opportunism (namely, adverse selection) and ex post opportunism (namely, moral hazard). †¢ These hazards will be exacerbated to the degree that there is little choice of transacting partners and therefore reputations (see Chapter 7) in respect of third parties will not constrain opportunism – small numbers exchange. 3 Organisation theory: an interdisciplinary approach †¢ Anticipated repeated interaction will make reputations important to both parties but if in the process there is learning by doing, it is then costly to later switch exchange partner. Williamson (1981) calls this the ‘fundamental transformation’ – it ties the parties into the relationship. †¢ Williamson also observes that parties to a transaction might have a preference for a certain type of transaction in addition to the costs and benefits. He calls this ‘atmosphere’. In effect Williamson is introducing wider motives/utilities.Although the vocabulary introduced by Williamson is rather daunting at first sight, it has the advantage that it should link your thoughts into many of the ideas you have already encountered. Activity Think of transactions as a prisoner’s dilemma or trust game. Both parties would like to contract to achieve Pareto efficiency but each is wary of the other and in the absence of some mechanism to offset this wariness, the exchange does not materialise – the Nash equilibrium. So what mechanisms are available? You should be able to list the mechanisms.They can be derived as follows. Competitive market – the price as a sufficient statistic; here the prisoner’s dilemma does not model the situation. Organisation – three possible mechanisms which can produce the Pareto-efficient outcome rather than the Nash equilibrium are: 1. Authority and power. 2. Trust (cultural mechanisms). 3. Repeated transaction and reputation effects. As we have seen in earlier chapters, alongside monitoring and employment contracts (incentives), we expect organisations to avail themselves of a mixture of these mechanisms.But note, if we think in terms of ‘real markets’ rather than the ideal type of perfect markets, then the price mechanism is not sufficient and perhaps these mechanisms might also apply at different positions on the market–organisation continuum. We shall return to these matters later. Transaction cost economics embraces not only an unorthodox model of the individual but characterises aspect s (‘dimensions’, to use D and S’s terminology) of transactions that impact upon the transaction costs.Activity Now read Section 8. 3 in D and S. The argument is that asset specificity (sometimes called ‘relation-specific assets’), uncertainty/complexity and frequency of exchange all increase the likelihood that a transaction will be placed (governed) inside an organisation (that is, make) rather than left to the market (that is, buy). Asset specificity comes in different forms: †¢ site specificity – adjacent sites, usually to economise on transport and communication costs †¢ physical asset specificity – e. g. pipeline delivering crude oil †¢ dedicated assets – assets of a particular buyer dedicated to a particular relationship †¢ human asset specificity – skills dedicated to a particular relationship which would be less valuable elsewhere. 94 Chapter 10: Vertical boundaries So we now have a predictive t heory about vertical integration and, incidentally, contracting out. By and large, empirical evidence has supported transaction cost theory – particularly the impact of complexity in the context of uncertainty – though one should bear in mind what Williamson terms ‘atmosphere’.If there are widespread specific preferences – for instance, managers might prefer the power implied by organisation – this would complicate the picture. Furthermore, other factors might influence the choice between market and organisation. Regulation and taxation can confer advantages in deciding where profits are generated. For instance, taxation might favour small firms, and firms operating across different national tax regimes may find it an advantage to contract out. An organisation might vertically integrate to gain a monopoly or acquire information or to limit the flow of information to competitors (see below).Given all these possibilities, it is perhaps surprisi ng that such strong empirical support for transaction cost theory is found. Appendix 10. 1 in this guide gives a slightly more formal approach to Williamson’s reasoning. The transaction costs approach still leaves open two questions: 1. Will the integration, if appropriate, be backwards or forwards? 2. What type of organisation – e. g. centralised or decentralised hierarchy? (I leave an answer to this question to Chapter 12. ) An extension of transaction costs theory called property rights theory (which is not covered in D and S) provides an answer to the first question.When a transaction is internalised within an organisation, then ownership should (note the normative word) go to the party with the greatest impact upon the post-contractual rents. Activity Although this theory falls beyond this course, you might like to read Grossman and Hart (1986). Property rights theory is essentially a theory of bargaining power. Incomplete contracts mean that residual extra-contra ctual control of assets is important. Ownership confers bargaining power over operational decisions when enforceable contracts break down.Anticipation of post-contractual hazards determines earlier investment decisions. We now need to complicate the picture by reintroducing the market–organisation continuum, as in Figure 10. 3. I use the term ‘continuum’ with a certain amount of licence as the alternative positions on it vary in a number of respects and could be reordered. The continuum runs from perfect competition, at one end, to integration or organisation, at the other. The question now is: where should a transaction be placed on the continuum?Before answering this, let us look at what B and H have to say about the issues we have been discussing. 95 Organisation theory: an interdisciplinary approach Spot markets (perfect competition) Real markets Bargaining Franchising Long term contracts (network organisations) Tapered organisations Virtual organisations All iances Joint venture Monopoly (small numbers) Externalities Asymmetric information Fixed cost (risk to supplier) Risk sharing Cost plus (risk to buyer) Decentralised Integration (up/down) organisation Figure 10. Activity Now read Chapter 18 in B and H. Again, this chapter in B and H is extremely detailed; you need to master the main ideas running down the left-hand margin. None of them is inconsistent with anything you have learned from D and S; though note that the definition of vertical integration is in fact backwards vertical integration. Table 16. 3 in B and H gives a good overview of what I have termed the organisation–market continuum. So let us now return to the continuum – see Figure 10. 3 – keeping the rich descriptions in B and H’s chapter in mind.First, look at what I have termed ‘real markets’. Here we recognise that in the real world the market environment is often far from perfectly competitive. If the transaction is left to th e price mechanism, then various market distortions may undermine the price as a sufficient statistic. If, for instance, a supplier holds a monopoly, then backwards vertical integration may look attractive to a buyer. Likewise, a buyer might be tempted to vertically integrate backwards in order to acquire information or to reap benefits of vertical synergies (externalities).Long-term contracts (which will inevitably be incomplete) enable organisations to engage in a protracted relationship. They often occur between buyers and suppliers in a vertical chain. D and S introduced the idea of ‘relational contracting’ (an equivalent term). Remember, whenever you think in terms of contracts you need to think of the incentive, risksharing and information aspects. Fixed-term contracts put the risk of, say, increases in input prices to the supplier on the supplier’s back. Cost plus contracts reverse the situation. Between these two extremes, risk-sharing contracts can be des igned.If the buyer and supplier have differing risk preferences then, other things being equal, an optimal contract can be found. Network and virtual organisations (see B and H) are usually based upon long-term relational contracts, as are alliances. Joint ventures imply equity contribution from both the supplier and buyer. Centralised 96 Chapter 10: Vertical boundaries So the question now is: where should a particular exogenously generated (by the division of labour) transaction be placed on the market–organisation continuum? (The normative question. Alternatively, where is it placed and why? (The positive questions. ) Transaction cost economics claims to be both normative and positive and answers both questions – minimise transaction and production costs! But as we have seen, this is only part of the story. Activity Now read Section 9. 8 in D and S. In summary, the choice of the position of any vertical transaction on the market–organisation continuum may be s haped by: †¢ economies of scale †¢ anticipated information leakage †¢ acquiring information †¢ transaction costs †¢ residual property rights †¢ market imperfections †¢ regulation.But how are these various strands to be woven together? Unfortunately there is, as far as I am aware, no embracing theory. B and H introduce you to the concept of corporate strategy and to what many organisation theorists term strategic choice. Although the idea that organisational arrangements designed to control and co-ordinate activities are a matter of choice was first introduced by sociologists in reaction to an earlier tradition that spoke of ‘determinism’ – often technological determinism – we can now see this as an unhelpful distinction.Economists will always speak of choice where changing technology might either enhance or restrict the opportunity set which rational decision-takers face. We might then like to think of technological deter minism when for whatever reason, the opportunity comprises a single option. I encourage you to think in these terms even if you want to question the restrictive notion of rationality (see Chapter 1). Activity Now read Chapter 9, particularly Sections 9. 1–9. 7, in D and S. Sections 9. 1 to 9. 6 of D and S cover issues of strategic planning that impinge upon organisation theory but are more often encountered in courses on management theory.You will benefit from reading them but they are not central to this unit. The central idea in management theory concerns the sources of what is termed sustained competitive advantage (SCA). Why do some firms/organisations manage to sustain a better performance than their competitors, while operating in the same markets? Statistics tend to suggest that this is a common experience in many markets. Firms often earn above-average returns (loosely rents) on their assets over relatively extended periods of time. The assumption is that they have so me characteristics (but which? that their competitors find it difficult to replicate or improve upon, at least during the time in which the advantage is sustained. From an organisational theory point of view the question to ask is – are there ways of organising which can confer SCA? Notice that when an organisation possesses a competitive advantage, for whatever reason, then this implies that perfect competition is not operating. In so far as those running organisations seek SCA, they are trying to undermine 97 Organisation theory: an interdisciplinary approach competitive forces.The early sections of D and S’s chapter show how game theory is an indispensable tool in studying competitive strategies. 10. 2 Vertical contracting and strategic choice Consider a transaction between B and S, as in Figure 10. 4. The problem is to design a contractual relationship to gain any possible rents. In terms of competitive advantage this amounts to placing the transaction on the marke t–organisation continuum more effectively than the competition. Assume that there is need for relation-specific assets and a complete contract cannot be signed because of inherent uncertainties.Suppose now that B would like to persuade S to make the relation-specific investment. S’s ex ante problem is that in the absence of trust and credible promises, s/he anticipates that, once the investment is made, B will take advantage of the situation. S anticipates that B will always be able, once the contract is entered into, to find contingencies not covered by the contract. By making the investment, S in effect confers bargaining power upon B – who may even use this power to renegotiate the original contract (attempt to reduce the price of the good or service exchanged).S will then anticipate these moral hazards and accordingly not invest; the transaction will fail and both S and B will be less well off than they could be. Thinking in terms of the (for the moment, one -shot) prisoner’s dilemma, S and B find a Nash equilibrium rather than the Pareto-efficient outcome. So what can be done to achieve the Pareto superior outcome? S Figure 10. 4 B Some possibilities (neither exclusive nor exhaustive) are: †¢ B makes the relation-specific investment (but then B confers bargaining power to S) †¢ B nd S make a joint investment – an alliance or joint venture †¢ S continues to make the investment but enters into a long-term contract with B (note that relation-specific investments tend to imply long-term relationships in the first place) †¢ forward or backward integration (here non-market incentives/ monitoring/authority/power/culture achieve the move from the Nash equilibrium to the Pareto outcome). But let us continue to assume that B wants to find a non-integration solution and still to encourage S to make the costly upfront relation-specific investment.S/he might do this in the recognition that S, as an independent orga nisation, may be relatively small, flexible and focused. S, furthermore, may be driven by a more entrepreneurial spirit than if it were to be a division or department in B’s ‘bureaucracy’. An independent S may be more innovative. Also small organisations tend to have lower labour costs (production costs). If so, then both S and B can benefit. The strategic problem is whether or not the transaction costs (ex ante and ex post) can be kept down while reaping these potential advantages.To offset S’s anticipated moral hazard problems, B needs to search for ways of reducing her/his own and increasing S’s relative bargaining power. To the degree that this proves possible, the strategy will offset S’s anticipated moral hazards. B needs to make her/himself more dependent upon S before the contract is signed. One notable way s/he can secure this is to decentralise some design and innovation responsibilities to S. B now becomes partially dependent 98 Ch apter 10: Vertical boundaries upon S. Furthermore, B can commit not only to a long-term contract but also to relatively unconditional contract renewal.These strategies do of course put B at some risk. But since we are thinking in terms of incentives to transact, you should by now recognise that risk-sharing is another aspect of the possible contracts between S and B that can be subjected to strategic reasoning. Not unreasonably, I think, assume that S is risk-averse and B is risk-neutral. So S will accept a reduction in rent in order to reduce his/her risk and, relatively speaking, B will be prepared to shoulder more risk. So, a risksharing, long-term contract can conceivably lead to a Pareto improvement. Think in terms of post-contractual price negotiation.With a fixed-cost contract any increase in S’s costs will have to be borne by S. S will be reluctant to sign such a contract. With a cost-plus contract, on the other hand, B will bear all the risks of S’s cost incre ases. Furthermore, S will have no incentives to hold costs down nor, perhaps more importantly, to innovate in order to reduce costs. Clearly, B wants S both to innovate and, where possible, to hold down costs. It is not in B’s interests to take the risk from S and undermine these incentives. How can s/he provide appropriate incentives while reducing S’s risks and in so doing make the contract interesting to S?What B needs to do is to accept those risks of cost increases which S cannot control while making S responsible for those s/he can control – a tricky business. B needs to know the nature of S’s cost structure (an information problem – no problem with full information but with information asymmetry it is another story) before s/he can achieve this. Of course, integration might dispel this problem but then we encounter the bureaucratic losses mentioned above. What can B do? Go back to your principal–agent model (see Chapter 4). We can reg ard B as a principal and S as an agent.P (B) can acquire information by having more than one agent (S) operating in the same environment (in practice this is not easy). This is called multiple sourcing. It could be achieved by either multiple external sourcing or having an in-house comparator (tapered sourcing). But, of course, one needs to ask whether B’s sourcing requirements are of sufficient magnitude to reap any economies of scale across the multiple sources. If not, would it be sensible – from an information leakage point of view – to allow the sourcing organisation to sell to other organisations on the open market?If B has decentralised design to S then this might prove hazardous. As we have observed, long-term relationships (see Chapter 8) can invoke trust and reputation effects. Traditionally it was assumed that one of the advantages of integration into an organisation derives from the repeated interaction effects. B and S being in the same organisation , they repeatedly interact and, indeed, they will assume that there is a high enough probability that they will once again interact in the future. Thus prudent calculation can overcome the moral hazards in incomplete contracting.In game-theoretic terms B and S may play TFT (the folk theorem). B may also wish to protect her/his reputation for fair play. In short, an organisation can control and co-ordinate vertical relations by cultural means. However, long-term contracts with a continuation clause also produce repeated interaction (the Japanese were largely responsible, in the 1980s, for recognising this) and, thus, reputation and trust can be generated at other points on the market–organisation continuum. Cultural mechanisms can operate outside formal organisations.If B and S can trust each other not to behave opportunistically, then the advantages of S’s independence and reduced transaction costs can be realised. 99 Organisation theory: an interdisciplinary approach Finally, reverting to an extended value chain where S’s suppliers are also brought into the picture, we obtain the situation as in Figure 10. 5. †¢ †¢ R S B Price and market > †¢ > †¢ †¢ R S B Long-term contracts > †¢ > †¢ †¢ R S B Organisation span of co-ordination = 3 > †¢ > †¢ Figure 10. Should the whole chain be co-ordinated by integration (span of coordination) or perhaps co-ordinated by long-term contracts, etc.? If the latter, should B contract with S and R or should B contract with S and S with R? In either case we have examples of network organisation and even virtual organisation if the relationships are mediated by modern information technology. The strategic complexion of these sorts of organisation is little understood. Why don’t you have a go! I hope this section has given you some appreciation of how to analyse organisation choices from a genuinely strategic point of view.Much of the abo ve reasoning can be underpinned from a game-theoretic standpoint. This further supports my earlier contention that modern organisation theory often requires a knowledge of strategic thinking and game theory. A reminder of your learning outcomes On completion of this chapter and the essential reading, you should have a good understanding of the following terms and concepts: transaction cost economics strategic calculation. Sample examination question 1. Explain why a transaction should be placed in a market or an organisation. 100

Wednesday, October 23, 2019

Explain why the open war Essay

World War 1 had begun in August with both sides certain that their sudden attacks with cavalry and infantry would create a war of rapid movement, which would bring them a swift victory. The ending of this possibility and build up towards a stationary war of fixed entrenchment was not only due to the failure of the Schlieffen Plan and Plan XVII, but the problems in communications, problems faced through tactics and strategies and the role of the commanders throughout the planning and progression of the war. The possibility of further outflanking movements was gone. The initially hastily constructed trenches of the allied forcers took on a more permanent look as two massive armies consisting of over 4 million men faced each other over 800 kilometres of continuous trench lines from the coast of Belgium to the Swiss border. For the next four years, the rival commanders struggled and blundered in an attempt to find a way to break the stalemate, which had emerged by the end of 1914. In order to break the stalemate there were two major offensives remembered from 1916, which both failed but were attempts none the less. Both sides had become aware that it was easier to hold a defensive position than it was to launch an offensive. However, this did not stop them, launching repeated disastrous offensives, relying on weight of men, artillery and supplies to crumble the opposition through attrition and each side endeavored to weaken the other. The generals decided only a ‘big push’ would be able to break through the enemy lines and restart the war of rapid movement. This was not achieved until the attrition of 1915-18 finally weakened the German lines in mid-1918. The Schlieffen Plan, originally devised by Alfred von Schlieffen, the then German Army Chief of Staff, in 1905, was the German Plan which would they would implement to avoid a war on two fronts. Schlieffen argued that France had to be defeated as soon as possible in the event of a great European War. If that were to happen, Schlieffen realised that Russia and France would be unwilling to continue fighting. In addition, Schlieffen estimated that it would take Russia six weeks to mobilise her forces in preparation for war against them. Thus, he reasoned that Germany would have six weeks in which to defeat France and surrender. On August 2nd 1914 the Schlieffen Plan was put into effect and the German Army began its advance upon France through Belgium. The delicate plan was upset with the early arrival of the British Expeditionary Force under Sir John French, significant resistance by the Belgian Army, resistance of the Belgians and the early arrival of Russian Forces. The German implementations and strategies relied too heavily on the Schlieffen Plan itself. The plan greatly depended on speed and movement, the strict deadline of 42 days was impractical, this unreasonable goal was pushed further away from the Germans. General von Moltke did not follow through the original Schlieffen Plan; instead, he had shifted the numbers of the planned armies and therefore altered the balance for the plan to work. All these events led up to the Battle of the Marne, the first major battle on the Western Front. The French Allied victory at this battle marked the failure of the Schlieffen Plan, and the death of any German hope for a quick decisive victory. The German forces were not only to blame for the reason of stationary war during 1914, the problems with the French Plan XVII also contributed to the fact.

Tuesday, October 22, 2019

James Weldon Johnson Biography

James Weldon Johnson Biography Free Online Research Papers James Weldon Johnsons career was one of extraordinary range, spanning the worlds of diplomacy (as U.S. consul in Venezuela and Nicaragua), politics (as Secretary of the NAACP), journalism (as founder of one newspaper and longtime editor of another), musical theater (as lyricist for the Broadway songwriting team of Cole and Johnson Brothers), and literature (as novelist, poet, and anthologist). At the dawning of what would become the modern civil rights movement, he forged a record of accomplishment that defied the odds. While a freshman in college, Johnson took a trip throughout the rural South, igniting his interest in the African American folk tradition. Later he would incorporate the rhythms and ideals of these traditions in his uniquely beautiful poetry. After graduating from the University, Johnson first became a high school principal; then in 1906, he accepted the position of U.S. Consul in Venezuela and later in Nicaragua. While overseas, Johnson had several poems published in the United States.In 1912, James published anonymously his novel, The Autobiography of an Ex- Colored Man This novel tells the story of a mulatto giving up his racial roots for the comfort of being a mediocre, middle-class white person. The book is very interesting The Autobiography of an Ex- Colored Man is about a young man born in the southern state of Georgia, but was raised in the northern part of the country, which is frequently referred to as Negro friendly. Growing up he didn’t know if he was black or white.He lives alone with his mother and where a kind white man used to visit them., he knows that she received secret money from the man in Georgia and supported them . Soon after this the boy learned that the white man from Georgia was his father, that this man had moved his mistress and her son to Connecticut when he married a local high-class Southern white woman, and that he had promised to educate his child. This fact just makes the boy even more confused then ever. The crisis throughout the novel centers on the narrators discovering his identity. The ex-colored man lives between a black and white societies until he witnesses a lynching of a black man that ends with the mans being burned alive. He feels ashamed of the black race because he believes that they would allow themselves to be treated worse than animals and in that his country would allow a human being to be burned alive. Because of this killing, the ex-colored man declares that he would neither disclaim the black race nor claim the white race. He ends his days living a comfortable, life passing as a white man. However, at times, the ex-colored man regrets that he failed to join with the black men who were making history and a race.. The ex-colored man goes to his grave an ex-colored man, I believe that if the ex-colored man did not pass for a white man than he probably would have died a black man. In the ex-colored man’s early life, his mother does not show him his cultural background and I believe that this adds to the boys identity crisis. Most of experiences that the ex-colored man faced would not have had such a big impact on him if he did not pass for a white man. At the end of chapter one, the boy mother informs him that he in fact a black man. Black Code laws was going on when The Autobiography of an Ex- Colored Man was written Black code laws controlled almost every aspect of life was regulated, including the freedom to roam. Often blacks were prohibited from entering towns without permission. In Opelousas, Louisiana, blacks needed permission from their employer to enter the town. A note was required, and it had to state the nature and length of the visit. Any black found without a note after ten oclock at night was subject to imprisonment. Residency within towns and cities was also discouraged. Local ordinances in Louisiana made it almost impossible for blacks to live within the towns or cities. Residency was only possible if a white employer agreed to take responsibility for his employees conduct. The Autobiography of an Ex- Colored Man and The Color of Water are both alike. Ruth McBride was a religious woman. She loved going to church. Religion played a big part role in her life. She put religion and education before anything else. The only thing she would look forward to all week was going to church on Sunday. But religion didnt always play a positive role in her life. Made her feel different from others. Religion made her feel alienated, but it was her protector, and her love. Religion didnt always play a positive aspect in her life. She felt different from everyone at the time. Even Jewish people were made fun of, and ridiculed at one time. She would get made fun of at school, so she wouldnt socialize with anyone. Ruth didn’t sow that she was white. Unlike Ruth the doesn’t know that he is black and that’s how James McBride was, he didn’t understand that his mother was white because she never brought it up. Both of these character relate be cause it shows how race can truly determine who you are as a person. If you don’t know who you are and where you come from, than you don’t know where you are going. This book was originally published anonymously because this book was written when the world was not as understanding about different races being mixed as they are in today’s society. Although the world is not the same we still have racism in the world except it not as bad as before. If James Weldon Johnson would have revealed who he was than the public probably wasn’t going to accept it, because no one had ever talked about. We live in a world of differences, that’s why sometimes race can play as a major factor in our lives.I believe that if the boy would have known from the start that he was a black man then his life would have been a lot better. He would have been prepared for the world and would have known who he was as a person and wouldn’t had to search for the answers all of his life. Research Papers on James Weldon Johnson BiographyWhere Wild and West MeetThe Masque of the Red Death Room meaningsCapital PunishmentHonest Iagos Truth through Deception19 Century Society: A Deeply Divided EraStandardized TestingThe Hockey GameThe Spring and AutumnHip-Hop is ArtMind Travel

Monday, October 21, 2019

Free Essays on Hamlets Loneliness

Hamlet’s Loneliness Shakespeare’s work â€Å"Hamlet† focuses on several general themes that run throughout literature. The least obvious theme is loneliness. In Hamlet most of the suffering and loneliness Hamlet endures is brought with the secrets and betrayals he is forced to keep. In the story there are many instances where Hamlet is left lone with nobody to talk with about his pain and how it upsets him. This along with the betrayals of his former best friends torments young Hamlet throughout the play. These factors not only torment the young man but lead to his untimely demise as well. Hamlet learns rather quickly who is loyal to him and whom not to trust. The very first line he speaks gives away the feelings he has towards his uncle â€Å"A little more than kin, and less than kind." (I; ii; 65). He already distraught with the loss of his father but the addition of his cold, cruel uncle marrying Hamlet’s beloved mother is too much for the Dane to endure. His mother is another whom Hamlet feels betrayed him as well as her former husband by casting aside all love she felt for him and marrying his brother only a few months after his death. " Mother, you have my father much offended." (III; iv; 11) " A bloody deed-almost as bad, good mother, As kill a king, and marry with his brother. (III; iv; 29-30). Hamlet’s emotions suffered another casualty with the loss of the love his life Ophelia. Hamlet distances himself away from her as part of his crazed disposition â€Å"plan†. By insulting her and convincing Ophelia that he never loved her he further offends his soul. . "I loved you not" (III; i; 117) "Get thee to a nunnery†¦Marry a fool, for wise men know well enough what monsters you make of them" (III; i; 135-137). The final blow for Ophelia’s heart comes when Hamlet kills Polonius by mistaking him for Claudius. These actions lead Ophelia with no one to talk with and she takes her own life. The loss of his love d... Free Essays on Hamlet's Loneliness Free Essays on Hamlet's Loneliness Hamlet’s Loneliness Shakespeare’s work â€Å"Hamlet† focuses on several general themes that run throughout literature. The least obvious theme is loneliness. In Hamlet most of the suffering and loneliness Hamlet endures is brought with the secrets and betrayals he is forced to keep. In the story there are many instances where Hamlet is left lone with nobody to talk with about his pain and how it upsets him. This along with the betrayals of his former best friends torments young Hamlet throughout the play. These factors not only torment the young man but lead to his untimely demise as well. Hamlet learns rather quickly who is loyal to him and whom not to trust. The very first line he speaks gives away the feelings he has towards his uncle â€Å"A little more than kin, and less than kind." (I; ii; 65). He already distraught with the loss of his father but the addition of his cold, cruel uncle marrying Hamlet’s beloved mother is too much for the Dane to endure. His mother is another whom Hamlet feels betrayed him as well as her former husband by casting aside all love she felt for him and marrying his brother only a few months after his death. " Mother, you have my father much offended." (III; iv; 11) " A bloody deed-almost as bad, good mother, As kill a king, and marry with his brother. (III; iv; 29-30). Hamlet’s emotions suffered another casualty with the loss of the love his life Ophelia. Hamlet distances himself away from her as part of his crazed disposition â€Å"plan†. By insulting her and convincing Ophelia that he never loved her he further offends his soul. . "I loved you not" (III; i; 117) "Get thee to a nunnery†¦Marry a fool, for wise men know well enough what monsters you make of them" (III; i; 135-137). The final blow for Ophelia’s heart comes when Hamlet kills Polonius by mistaking him for Claudius. These actions lead Ophelia with no one to talk with and she takes her own life. The loss of his love d...

Sunday, October 20, 2019

Immigrants, Emigrants, and Migrants

Immigrants, Emigrants, and Migrants Immigrants, Emigrants, and Migrants Immigrants, Emigrants, and Migrants By Maeve Maddox A reader asks: Emigrate, immigrate, migrate.   What is the proper usage of these words?   It seems like the [use] is indiscriminate. All three words trace their origin to the Latin verb migrare, â€Å"to remove from one place to another.† This common ancestor gives English four verbs: migrate: to move, either temporarily or permanently, from one place, area, or country of residence to another emigrate: (e, â€Å"out† + migrate) to remove out of country for the purpose of settling in another. immigrate: (im, â€Å"in, into† + migrate) to come to settle in a country not one’s own; to pass into a new place of residence. transmigrate: (trans, â€Å"across† + migrate) of the soul: to pass after death into another body. The verbs yield several noun forms, some of which are also used as adjectives: migration migrant emigration emigrant immigration immigrant transmigration Usage examples from the Web: There is a challenge for policy-makers to understand the obstacles migrants face in Australia. Committee on Migrant Workers discusses role of migration statistics for treaty reporting and migration policies. Although not common, two additional adjectives sometimes seen are immigrational and migrational. From Multiculturalism to Immigrational Survavalism [sic] (headline at novitiate.com) Immigrational Background Affects the Effectiveness of a School-based Overweight Prevention Program Promoting Water Consumption (title of research paper) A common error is to confuse immigrant and emigrant. Here’s an instance when etymological information can help with spelling. Just remember that the prefix im- means â€Å"in† and that the prefix e- means â€Å"out†: When Charles Darnay fled France to escape the guillotine, he was an emigrant. When he settled in England, he was an immigrant. A migrant is simply on the move, not necessarily planning a permanent change of address. Plants and animals also migrate, as do things on computers. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Misused Words category, check our popular posts, or choose a related post below:Apply to, Apply for, and Apply withWhat's a Male Mistress?List of 50 Compliments and Nice Things to Say!

Saturday, October 19, 2019

Economic opinion Essay Example | Topics and Well Written Essays - 750 words

Economic opinion - Essay Example In the book it is concluded that owners of private equity reduce more jobs than the other firms, however, the net impact is minimal and following a private company taking over a firm, it their people who take over as directors who fare bad in terms of retention of jobs. Also according to the book, research shows that wages decrease in a span of two years following the private-equity buyouts even though there is an increase in productivity. This proposes that financial profits from high output are being changed into returns for owners instead of salary hits for the workers. Also, whereas some private-equity companies market themselves to be union friendly, some are unfriendly and still others are opposed (Weber 1). According to the authors of the book cited in the article, there are a number of things that distinguish the private-equity companies from those that are traded publicly. One is that such companies have great amounts of debts. Approximately, privately equity companies run with approximately 70 percent debt and 30 percent equity. This ratio is basically reversed by the public firms which has approximately 30 percent of to their capital from bonds, as well as other liabilities (Weber 1). The article also states that whereas the inventors in the public companies are mostly distinct from those who manage the company, the private-equity owners are the ones who manage the companies despite being the investors. This builds incentives for the owners manage the operational decisions for the short-term profits to the owners. Partly owing to this, the private-equity companies are most expected to file for liquidation as compared to the public companies, which result to notable loss of jobs at the individual firms (Weber 1). Private equity as a type of organization has its basis in venture capital. The type that is most common is the leveraged buyout (LBO) and this is the one that is under challenge. The

Friday, October 18, 2019

International Tourism Assignment Example | Topics and Well Written Essays - 3500 words

International Tourism - Assignment Example However, Pakistan, even though bestowed with vast areas of unexploited and unexplored, breathtakingly beautiful landmarks, to date has been unable to exploit the travel and tourism industry to its maximum or for that matter, even the minimum level. According to an article available at Eturbonews. "The tourism industry in southern Asia generally showed growth in 2007, except for Pakistan and Sri Lanka. Political instability and a lack of security in these two countries led to a drop in arrivals from abroad: -7% for Pakistan, and -12% for Sri Lanka" The same news states further, "In general, the tourism industry in the subcontinent showed growth of 12%. In 2006."The same article further refers to Pakistan's tourism industry in the following words, " in addition to Sri Lanka, is represented by Pakistan, where tourism demand fell by 7% in 2007". Experts say this is related to the country's serious political instability and frequent terrorist attacks." There are two types of tourists' visiting Pakistan, The foreign Tourists and the domestic tourists. The domestic tourists can further be classified into up-country tourist (moving from the south of the country to the north) and down country tourists (tourists moving from North to South). Since tourism industry is a business mode... Tourist Categories: There are two types of tourists' visiting Pakistan, The foreign Tourists and the domestic tourists. The domestic tourists can further be classified into up-country tourist (moving from the south of the country to the north) and down country tourists (tourists moving from North to South). The major chunk of revenue comes form the foreign tourists who have resources available to splurge in the local markets and outing areas. Factors Impacting Foreign Tourists: Since tourism industry is a business model, the various theories that are used for external analysis apply to the tourism industry. The PESTLE Analysis identifies the external factors that impact the tourism industry of Pakistan. Political, Image of Pakistan: The image of Pakistan post 9/11 has been such that it is known as one of the most terrorist afflicted areas. It is believed that it lacks modern ways to commute and transportation networks fail. The volatile political situation makes if a very difficult choice to travel too especially when travel advisories are being issued against traveling to this country every now and then. Moreover, the frequent bombings and suicide bombings enhance this image further. The recent instances of terrorist kidnappings all paint a very deadly picture. Economic: before 2001, the economy of Pakistan was in doldrums with GDP growth rates as low as 4%. This reflected in a low level of investment in tourism and developments of infrastructure. Due to the lack of development of tourist attractions, Pakistan's tourism industry had stagnated. After 2001, there was a boom with growth reached as high as 7%, however, the wealth did not have a trickle down

How Does Nikes Questionable Manufacturing Practices in Asia Affect Dissertation

How Does Nikes Questionable Manufacturing Practices in Asia Affect Their Brand Image - Dissertation Example Critics accuse Nike for malpractices and gaining fame and success without any Foreign Direct Investment (FDI) in its own manufacturing plants. Instead of improving the working conditions in its manufacturing plants the company spends more on marketing by using faces of high profile celebrities such as Michael Jordan to popularize its brand and attract customers (Mujtaba et al. pg. 1, 2005). With Jordan, the company’s sales went through the roof. After him a number of celebrities were heavily paid to endorse the brand. These included Tiger Woods, Ken Griffey Jr., Pete Sampras and Andre Agassi (Sporting Goods Companies: Nike, n.d.). The issue of malpractices by Nike was disclosed in the 90s decade. The issue of low paid foreign factory workers first became prominent when the world renowned celebrity, Kathy Lee Gifford, was accused for endorsing garments that were manufactured by low wages workers in the developing countries. Gifford promised to participate in improving the condi tion of the workers. The famous brand, Nike, also became a subject of similar controversy. Nike was accused of having sweatshops in the developing countries where workers were paid even below the minimum wages standard (Mujtaba et al. pg. 1, 2005). ... The social activists criticized the unethical practices of the firm in public and exerted pressure on the firm to take a look at their corporate responsibility. Nike customers all over the world criticized the malpractice by the firm. Social activists called on the customers to boycott Nike products until necessary actions were taken by the firm to improve the working conditions of the workers all over the world, especially in Asia (Mesarosch, pg. 1. 2008). While these charges might be true or simple perceptions, the accusations did affect the brand image of Nike in a negative way as not being a socially responsible firm. Since then Nike has been battling with such charges and trying to improve its image as a socially responsible firm (Mujtaba et al. pg. 1, 2005). The aim of this paper is to highlight how Nike has suffered due to its malpractices in Asia. I shall also discuss in brief the history of the brand and the malpractices for which it received criticism. For that matter relev ant literature and peer reviewed articles will be explored to evaluate the situation. Towards the end a conclusion shall be made which will be based on the research. Nike and Its Brand Image: Nike is a massive billion dollar firm that produces sports products. It factories are situated all over the world and likewise its products are sold all over the world. Since 1990’s Nike has expanded its product range and has started producing clothes, watches, bags and golf gear. It has also gained partnership with an electronic company to produce Nike electronics. Nike has achieved tremendous success which is evident from the fact that it has taken over ALL STAR CONVERSE which was one of the biggest rivals of the firm (Hossain, pg. viii, 2010). For the past four decades,

EXAM 2 Essay Example | Topics and Well Written Essays - 1000 words

EXAM 2 - Essay Example Therefore, the value of a product is subjective to the buyer. Cost-based pricing on the other hand, entails setting the price of products based on the production cost, the cost of distributing the product, costs incurred in selling the product and the suitable rate on return expected by the company to cater for risks involved and the effort put in. It involves designing a great product, determining the cost of the product and then setting the price of the product based on the incurred costs. This method of pricing has the strength of enabling the company to harvest much profit by making greater sales due to smaller margins. It is, therefore, suitable for mass production. Just as value based pricing, it also has a weakness of not factoring in the relationship between demand and price and the consumer value (Ferrell, & Hartline, 2010). Currently, Microsoft Company is pricing its products and services using cost-based pricing method due to rising competition and serious downturn. Prices have been cut of various fronts to realize lower margins on products ranging from flagship Windows and Microsoft office products and services such as the newfangled internet. This is aimed at boosting the sales of the existing products as well as making quick headway with the new products. This has helped in minimizing piracy on the products and services. This method, therefore, does not consider break-even analysis in pricing since it is not value-driven but is rather, product-driven. However, it helps the company is coping with the rates of piracy by increasing sales in piracy regions such as China. Skimming is the introduction of a product or service at a high initial price by targeting the cream revenues in layers from the market. Penetration, however,is the setting up of prices of products and services initially at low values in order to penetrate the market easily and faster. The

Thursday, October 17, 2019

Global Warming and Human Actions Research Paper

Global Warming and Human Actions - Research Paper Example The sun releases energy to the atmosphere in form of radiations and some scientists argue that approximately a third of the energy released by the sun to the earth are reflected to the space upon hitting the earth’s surface (Houghton, 1997). The remaining portion of solar energy released to the earth is absorbed by the oceans and land. Consequently, the surface of the earth gets heated and becomes warm, emitting infrared rations, which are considered as long-wave. The greenhouse gases in the atmosphere tap part of the long-wave radiations, leading to the warming of the atmosphere. The gases that naturally occur as greenhouse gases consist of methane, nitrous oxide, ozone, water vapor, and carbon dioxide. Together, these gases form a natural greenhouse, which increasingly warms the Earth (Maslin, 2006). Scientists have hypothesized and are increasingly researching on the contribution of the solar energy output’s variation and its possible cause in increasing the earthâ⠂¬â„¢s temperature (Harding, n.d). However, there is an increased consensus on the role played by human beings in increasing the problem of global warming. Scientific researchers have concluded increasingly that global warming is fundamentally linked to the rising level of greenhouse gases in the atmosphere, mainly methane, and carbon dioxide, as a result of fossil fuel combustion, farming, deforestation, and industrial activities by human beings. This paper critically analyzes whether global warming is due to human actions or not and if there is a possibility of the human race taking actions to stop the effects of global warming or not. Is Global Warming Due Do Human Actions? Global Warming Not Because of the Human Actions The question whether the actions of human beings contribute towards global warming has long been a debate by the scientists with others refuting the assertion whereas others acknowledge it as a fact. Guy Callender, in 1938, established that the trends in global w arming contributed to the 10% rise in the level of atmospheric carbon dioxide as a result of combustion of fossil fuels. However, some scientists threw away the suggested findings of Callender arguing that large amounts of carbon dioxide gas that humans emit are dissolved safely in oceans. Later, Roger Revelle, and Hans Suess dispelled this school of thought by discovering that there was a complex chemical buffering system preventing the sea water from absorbing large volumes of atmospheric carbon dioxide. Since then, the potential of humans contributing to global warming was raised (Harding, n.d). Human beings should not be blamed for the ever-increasing levels of global warming. The increase in atmospheric temperatures may be attributed to the more vigorous solar energy’s output. A section of scientists researching on the causes of global warming have postulated that the solar activity have increased rapidly over the past decades as well as the amount of carbon dioxide from the volcanic emissions, and this may have potentially contributed to the increased amount of greenhouse gases in the atmosphere leading to a rise in global warming (Harding, n.d). According to the theory on solar variation, scientists assert that the sun is continually gaining strength and as a result it is as the strongest point as compared to the past years. The increased amount of radiation from the sun is therefore hypothesized as the contributing factor toward the increasing global warming phenomenon. The amount of radiant energy that the sun emits

Azhar Research Paper Example | Topics and Well Written Essays - 500 words

Azhar - Research Paper Example n.The poem that I am considering is daddy by Sylvia Plath, this poem highlights the male dominating society through the character of a father, who is excessively dominating and neglects his daughter by being emotionally absent when she needs her ( Plath). This poem depicts the narcissistic attitude of a man towards women. Hence, through this poem one can realize how a man easily dominates over women in the society without feeling guilty. The short story that I am considering is â€Å"Hills like white elephant† by Ernest Hemingway, the writer explains how a woman is under immense pressure during pregnancy that she is fearful as to how she would raise this child. Her partner who is mentioned as American is shown to be very indifferent towards her, that he convinces her to have an abortion. The â€Å"white elephant† (Hemingway) is referred to the unborn child, who only the women can see. This story is also about the relationship of a man and women that is ending. The modern song that I am considering is â€Å"Modern Women† by Billy Joel, although the lyricist is a male but he beautifully portrays by using words like â€Å"Intellectual† and â€Å"confident.† The writer does not look down the women; instead, he sends a powerful message to the readers that a women today is no longer vulnerable so, men should not take her for granted because she is a â€Å"modern women† (Joel). The first academic article that I am considering is â€Å"men women and murder: gender-specific differences in rates of fatal violence and victimization.† shows the difference in the incidents of homicides involving men and women. Although, the male victims were 77% and females victims were found to be just 23 %,( Kellermann & Mercy), but the research shows that the incidents of murders of women by their husbands were much higher. Hence, after reading the article one comes to the conclusion that women in our society are still treated badly and a clear discrimination exists. Connecting Gender

Wednesday, October 16, 2019

Global Warming and Human Actions Research Paper

Global Warming and Human Actions - Research Paper Example The sun releases energy to the atmosphere in form of radiations and some scientists argue that approximately a third of the energy released by the sun to the earth are reflected to the space upon hitting the earth’s surface (Houghton, 1997). The remaining portion of solar energy released to the earth is absorbed by the oceans and land. Consequently, the surface of the earth gets heated and becomes warm, emitting infrared rations, which are considered as long-wave. The greenhouse gases in the atmosphere tap part of the long-wave radiations, leading to the warming of the atmosphere. The gases that naturally occur as greenhouse gases consist of methane, nitrous oxide, ozone, water vapor, and carbon dioxide. Together, these gases form a natural greenhouse, which increasingly warms the Earth (Maslin, 2006). Scientists have hypothesized and are increasingly researching on the contribution of the solar energy output’s variation and its possible cause in increasing the earthâ⠂¬â„¢s temperature (Harding, n.d). However, there is an increased consensus on the role played by human beings in increasing the problem of global warming. Scientific researchers have concluded increasingly that global warming is fundamentally linked to the rising level of greenhouse gases in the atmosphere, mainly methane, and carbon dioxide, as a result of fossil fuel combustion, farming, deforestation, and industrial activities by human beings. This paper critically analyzes whether global warming is due to human actions or not and if there is a possibility of the human race taking actions to stop the effects of global warming or not. Is Global Warming Due Do Human Actions? Global Warming Not Because of the Human Actions The question whether the actions of human beings contribute towards global warming has long been a debate by the scientists with others refuting the assertion whereas others acknowledge it as a fact. Guy Callender, in 1938, established that the trends in global w arming contributed to the 10% rise in the level of atmospheric carbon dioxide as a result of combustion of fossil fuels. However, some scientists threw away the suggested findings of Callender arguing that large amounts of carbon dioxide gas that humans emit are dissolved safely in oceans. Later, Roger Revelle, and Hans Suess dispelled this school of thought by discovering that there was a complex chemical buffering system preventing the sea water from absorbing large volumes of atmospheric carbon dioxide. Since then, the potential of humans contributing to global warming was raised (Harding, n.d). Human beings should not be blamed for the ever-increasing levels of global warming. The increase in atmospheric temperatures may be attributed to the more vigorous solar energy’s output. A section of scientists researching on the causes of global warming have postulated that the solar activity have increased rapidly over the past decades as well as the amount of carbon dioxide from the volcanic emissions, and this may have potentially contributed to the increased amount of greenhouse gases in the atmosphere leading to a rise in global warming (Harding, n.d). According to the theory on solar variation, scientists assert that the sun is continually gaining strength and as a result it is as the strongest point as compared to the past years. The increased amount of radiation from the sun is therefore hypothesized as the contributing factor toward the increasing global warming phenomenon. The amount of radiant energy that the sun emits

Tuesday, October 15, 2019

Management Assignment Example | Topics and Well Written Essays - 250 words - 5

Management - Assignment Example Effective information cycles aid the public in improving the quality of goods and services provided when they feedback from the public. The feedback portrays the level of satisfaction among users of the firm’s commodities. Informing the public is a constitutional affair that the law looks into. This is because the firms and the public are in contract agreements most times. Involving the public in firm activity not only helps in providing quality production of commodities, it also creates security networks for the firms. Firms that involve the public in their activities gain a substantial amount of confidence in their customers and develop consumer loyalties with them. Firms can involve the public in their activities by allowing them to use their facilities friendly rates that are subsidized or without paying for them at all. Such facilities like the gymnasium, public halls and fields. Firms should also provide employment to the public without bias to create better relations with its

Monday, October 14, 2019

Harm Reduction and Abstinence Based Treatments

Harm Reduction and Abstinence Based Treatments This essay will be constructed into four parts, harm reduction, abstinence based reatments, substance misuse and recovery. There will be a discussion on the history of harm reduction and what harm reduction is in the substance misuse field, for example problematic or harmful behaviour that is caused to the individual or others either socially, psychologically, physically or legally brought on by substance misuse. Secondly an explanation on abstinence based treatments, what they are and what the relationship is between them and harm reduction. Thirdly referring to recovery and what it means in the substance misuse field and what the implications are for the service users. Last but not means least a discussion about the two different approaches and how it impacts on the service user. To conclude a summary of the main points will be made. (136 Harm reduction pilot schemes started back in the 1980s and were a response to reduce the risk associated with harm caused by alcohol problems and injecting drug use, in response to the HIV and AIDS prevention strategy. Harm reduction is a process and not a treatment and should be integrated with other forms of intervention, it reduces the negative consequences of drug use. It is about educating the individuals, carers, partners and family members about the risks involved with their drug use and helping them take responsibility and learn to accept it rather than to ignore it. Most harm reduction interventions are aimed at preventing diseases due to blood- borne viruses (BBV) as well as overdose and other drug related deaths (Tatarsky Marlatt 2010). Harm reduction services include needle exchange services methadone and buprenorphine programmes. Needle exchange provides services where the users have the opportunity to dispose of their old needles, syringes and spoons for example. Moreo ver they will also receive advice and support on safer injecting, reducing injecting and prevention of overdose, they will receive a pack which contains clean injecting equipment to take away, reducing the risk of them sharing equipment with others (NTA 2006). Substitute prescribing such as methadone and buprenorphine programmes, buprenorphine and methadone are licensed for use in opioid dependence where methadone is dispensed in liquid form and buprenorphine is administered by tablet form sublingually (Connock, Juarez-Garcia Jowett, et al 2007). (236) Abstinence based treatment Abstinence means refraining from an activity which is known to be harmful and addictive or reducing this activity with the ultimate goal of being abstinent (McKeganey et al 2006). Doing this involves not taking a particular substance, avoiding areas where this is likely to be on offer or adopting a healthier lifestyle. Abstaining can be difficult to do especially when the substance has been part of their life for so long, this is where the individual has to look at healthier ways to deal with their substance use. This can include a range of abstinence based treatments to help the individuals with alcohol or drug such as Non-drug interventions the twelve step programme (self help) and Psychosocial interventions such as motivational interviewing or CBT. The twelve step programme is a set of guiding principles outlining a course of action for recovery from addiction, compulsion, or other behavioural problems, it was originally proposed by Alcoholics Anonymous (AA) as a method of recover y from alcoholism. Motivational Interviewing is usually offered to achieve and maintain abstinence, it was originally used with problem drinkers but has also been applied to the treatment of illicit drug misuse (Raistrick et al 2006). There are several Pharmacological interventions available to treat alcohol dependence which are disulfiram, acamprosate and naltrexone. These all work in different ways Disulfiram is used for individuals who wish to abstain altogether, if taken with alcohol it can cause some very unpleasant effects; vomiting, headache, palpitations and breathlessness. Acamprosate and naltrexone are an anti-craving drugs used in the maintenance of abstinence (SIGN 2003). However there is an increased risk of overdose or death due to a relapse after a period of abstinence as tolerance levels will have changed to that particular substance (REF). (288) Substance misuse Substance misuse is defined as the use of a substance for a purpose not consistent with legal or medical guidelines (WHO, 2006). It is a misuse of all psycho-active substances including illicit drugs, non-prescribed pharmaceutical preparations and alcohol misuse. People use substances because it makes them feel good, feel different and makes them more sociable. Using substances only becomes misuse when a problem arises such as it having a negative impact on health or functioning and may take the form of drug dependence causing problematic or harmful behaviour to the individual or others either socially, psychologically, physically or legally. (99) Recovery The Recovery Model as it applies to mental health is an approach to mental disorder or substance dependence that emphasises and supports each individuals potential for recovery. Recovery is seen within the model as a personal journey, that may involve developing hope, a secure base and sense of self, supportive relationships, empowerment, social inclusion, coping skills, and meaning. For someone who misuses substances recovery may not be about being totally abstinent it may simply mean still using drugs but in a safe way, for instance having clean works for injecting or substitute prescribing for opioid misuse. Recovery principles bring about the change in the way a service user thinks and aims to produce a change in behaviour, however before these changes can only happen if the person is ready to change, ambivalence may be experienced by the service user and this can affect motivation on a daily basis. Motivational interviewing techniques go hand in hand with the harm reduction mode l as one of the key factors with motivational interviewing is dealing with ambivalence. Prochaska and DiClemente 1983 provide a framework to understand the change process it was originally created to help understand what individuals go through in changing their behavior. it uses 5 principles, precontemplation, contemplation, preparation, action and maintenance (Hansen et al 2008). Service users with little or no motivation and who are not engaging in any attempts to change are seen as being in the pre-contemplation stage as they do not see their behaviour as a problem and there is no need to change it, this could be due to an attempt to change in the past without success and may feel demoralised so may become resistant to change. It is important to engage service users at this stage and build a trusting rapport so that in the future they will be able to turn to the practitioner for help. The contemplation stage is when a person acknowledges that they may have a problem and work towa rds developing motivation to change but could become ambivalent, engaging with the service user in discussion about their ambivalence is the goal at this stage getting them to think about what their problem is and how it is affecting them. Individuals in the preparation stage may want to change and have a plan but need help to do so, the reason individuals may seek treatment could be that their problem is having negative effects on life for example, criminality or job loss. The action stage comes next this is where the service user is actively setting goals to change and will be developing skills to do so, supporting the service user in making these goals achievable are key here, goals need to be small and achievable to the service user. In the maintenance stage the service user sustains changes in behaviour and works towards preventing relapse by identifying the supports around them, at this stage the service user may decide to make long term goals and problem solve how to best acc omplish them. Prochaska and DiClemente 1983 describe a sixth stage and it is the relapse stage the service user reverts to the behaviour they were trying to change, the practitioner should provide support for the individual in a non-judgemental way as they may be feeling ashamed and guilty for relapsing, re-evaluate the stage of change the individual is at explore the relapse episode trying to discover if the relapse was shorter or longer than previous relapses and were they able to reduce their use, this may be an opportunity for the service user and practitioner to work on other relapse prevention techniques. (Prochaska Diclemente 1983). However service users may move back and forth between the stages. This does not represent failure, but rather the nonlinear nature of the model. Recovery is about making the best out of their life and having quality of life and as nurses we should provide support and advice to achieve their goals (Network 26 2009). (660) Both the abstinence model and the harm reduction model have similar goals. The goal in this case is to create a better quality of life for the person receiving the service. Harm reduction approaches are often perceived to be the opposite of abstinence based approaches to drug use and sometimes even as condoning drug use. This is not the case, harm reduction complements abstinence based drug treatment approaches by providing Injecting drug users with the knowledge and tools to stay healthy and alive until they are able or willing to achieve abstinence. Abstinence remains the most effective way of reducing the negative consequences of drug use. For injecting drug users who are unable to remain abstinent, harm reduction measures such as methadone maintenance treatment and needle and syringe programs are ways to reduce negative consequences. For example the abstinence approach to caring for an individual who uses heroin and has HIV service users would find that they would be encouraged t o stop using heroin completely and to abstain from sex. While with the harm reduction programme the individual may be taught how to use heroin more safely i.e. clean needles and spoons and other paraphernalia or to substitute methadone for heroin and to practice safer sex. It can be argued that because abstinence based services were not providing HIV education and preventive tools such as condoms and syringes, individuals using these services would remain unaware of the risks of HIV and how to protect themselves from it. (247) Conclusion In conclusion, the integration of harm reduction and abstinence based treatment is more powerful than either model separately. The abstinence goal provides more room for the more abstract harm reduction work to occur. The accepting atmosphere of harm reduction with the addition of the clarity of the goal of abstinence promote patient retention better than either separately. The implications of this integration is that harm reduction can be more accepted and powerful in the public sector. It is important to look at the wider context of why people use drugs. Taking away a coping mechanism from a drug user may do more harm than good unless the core issues that led to drug use are dealt with in the first, hence the reason the motivational interviewing approach is more empowering for the service user (134

Sunday, October 13, 2019

the surreal world :: essays research papers fc

Art comes in many different shapes and sizes. From drawing on a desk in high school to digital art on computers, we don’t notice that art surrounds us everywhere. However, there is one particular art form that is gaining interest throughout the world, and has been around for years. This art form is known as Surrealism. Surrealism is the only form of art that truly lets you express your mind the way you want it to be expressed, with no limits or boundaries. In Surrealism, there is no gravity, words flow like water, objects can fly in the limitless skies, and images can swim. Basically, Surrealism has no rules; it is only the artist and his mind.   Ã‚  Ã‚  Ã‚  Ã‚  Around the early 1900’s, soon after the First World War, a man by the name of Tristan Tzara disliked the idea of war, and was disgusted by what happened and why World War 1 started. Tzara thought that a society that creates such chaos as war does not deserve art. However, his attempt to humiliate the new commercial world did not go the way he planned. His anti-art became art. The new chaotic, rebellious images became the status quo. This was known as the Dada Movement. The Dada movement slowly faded into thin air, as a group of artists thought the Dada Movement destroyed the gift of what centuries of artists have learned and passed on about the craft of art. This is when the Surrealist Movement began.   Ã‚  Ã‚  Ã‚  Ã‚  Surrealism, the movement in literature and fine arts, was established by a French poet by the name of Andre Breton. The goal of this movement was to emphasize the unconscious mind in a creative way. It was to express the unconscious mind in a more orderly and serious manner. There are two groups of surrealists that formed throughout this movement. One of the groups is the Automatists. Automatists indulged in a more creative manner, they thought of their art as meaningless. This is not to say they didn’t care about their art, but they simply did not have a definition of what they created. They believed that is was automatic the way images from the subconscious reached the conscious.   Ã‚  Ã‚  Ã‚  Ã‚  The other group of Surrealist are known as the Veristic Surrealists. The Veristics simply were almost the same as the Automatists. Except, the Veristics saw meaning in their work. The Veristics thought of their artwork as a metaphor for an inner reality. the surreal world :: essays research papers fc Art comes in many different shapes and sizes. From drawing on a desk in high school to digital art on computers, we don’t notice that art surrounds us everywhere. However, there is one particular art form that is gaining interest throughout the world, and has been around for years. This art form is known as Surrealism. Surrealism is the only form of art that truly lets you express your mind the way you want it to be expressed, with no limits or boundaries. In Surrealism, there is no gravity, words flow like water, objects can fly in the limitless skies, and images can swim. Basically, Surrealism has no rules; it is only the artist and his mind.   Ã‚  Ã‚  Ã‚  Ã‚  Around the early 1900’s, soon after the First World War, a man by the name of Tristan Tzara disliked the idea of war, and was disgusted by what happened and why World War 1 started. Tzara thought that a society that creates such chaos as war does not deserve art. However, his attempt to humiliate the new commercial world did not go the way he planned. His anti-art became art. The new chaotic, rebellious images became the status quo. This was known as the Dada Movement. The Dada movement slowly faded into thin air, as a group of artists thought the Dada Movement destroyed the gift of what centuries of artists have learned and passed on about the craft of art. This is when the Surrealist Movement began.   Ã‚  Ã‚  Ã‚  Ã‚  Surrealism, the movement in literature and fine arts, was established by a French poet by the name of Andre Breton. The goal of this movement was to emphasize the unconscious mind in a creative way. It was to express the unconscious mind in a more orderly and serious manner. There are two groups of surrealists that formed throughout this movement. One of the groups is the Automatists. Automatists indulged in a more creative manner, they thought of their art as meaningless. This is not to say they didn’t care about their art, but they simply did not have a definition of what they created. They believed that is was automatic the way images from the subconscious reached the conscious.   Ã‚  Ã‚  Ã‚  Ã‚  The other group of Surrealist are known as the Veristic Surrealists. The Veristics simply were almost the same as the Automatists. Except, the Veristics saw meaning in their work. The Veristics thought of their artwork as a metaphor for an inner reality.

Saturday, October 12, 2019

The Office Of Tomorrow :: Technology Predicting Business Office Essays

The Office of Tomorrow   Ã‚  Ã‚  Ã‚  Ã‚  In an increasing number of companies, traditional office space is giving way to community areas and empty chairs as employees work from home, from their cars or from virtually anywhere. Advanced technologies and progressive HR strategies make these alternative offices possible.   Ã‚  Ã‚  Ã‚  Ã‚  Imagine it's 2 o'clock on a Wednesday afternoon. Inside the dining room of many nationwide offices, Joe Smith, manager of HR, is downing a sandwich and soda while wading through phone and E-mail messages. In front of him is a computer—equipped with a fax-modem—is plugged into a special port on the dining table. The contents of his briefcase are spread on the table. As he sifts through a stack of paperwork and types responses into the computer, he periodically picks up a cordless phone and places a call to a colleague or associate. As he talks, he sometimes wanders across the room.   Ã‚  Ã‚  Ã‚  Ã‚  To be sure, this isn't your ordinary corporate environment. Smith doesn't have a permanent desk or workspace, nor his own telephone. When he enters the ad agency's building, he checks out a portable Macintosh computer and a cordless phone and heads off to whatever nook or cranny he chooses. It might be the company library, or a common area under a bright window. It could even be the dining room or Student Union, which houses punching bags, televisions and a pool table. Wherever he goes, a network forwards mail and phone pages to him and a computer routes calls, faxes and E-mail messages to his assigned extension. He simply logs onto the firm's computer system and accesses his security-protected files.   Ã‚  Ã‚  Ã‚  Ã‚  He is not tethered to a specific work area nor forced to function in any predefined way. Joe Smith spends mornings, and even sometimes an entire day, connected from home via sophisticated voicemail and E-mail systems, as well as a pager. His work is process and task-oriented. As long as he gets everything done, that's what counts. Ultimately, his productivity is greater and his job- satisfaction level is higher. And for somebody trying to get in touch with him, it's easy. Nobody can tell that Joe might be in his car or sitting at home reading a stack of resumes in his pajamas. The call gets forwarded to him wherever he's working.   Ã‚  Ã‚  Ã‚  Ã‚  You've just entered the vast frontier of the virtual office—a universe in which leading-edge technology and new concepts redefine work and job functions by enabling employees to work from virtually anywhere. The concept allows a growing number of companies to change their workplaces in ways never considered just a few years ago. They're scrapping assigned desks and

Friday, October 11, 2019

Notes on the Battle of El Mozote

In December 1981 soldiers of the Salvadoran Army's select, American-trained Atlacatl Battalion entered the village of El Mozote, where they murdered hundreds of men, women, and children, often by decapitation. Although reports of the massacre — and photographs of its victims — appeared in the United States, the Reagan administration quickly dismissed them as propaganda. In the end, El Mozote was forgotten. The war in El Salvador continued, with American funding. When Mark Danner's reconstruction of these events first appeared in The New Yorker, it sent shock waves through the news media and the American foreign-policy establishment.Now Danner has expanded his report into a brilliant book, adding new material as well as the actual sources. He has produced a masterpiece of scrupulous investigative journalism that is also a testament to the forgotten victims of a neglected theater of the cold war The massacre at El Mozote is a book about all the horrible series of events t hat occurred at El Mozote. When one looks at the massacre, it is obvious the United States aided in these events. The United States government chose turn its eye and pretended as if nothing happened. This book introduces one to the events in El Salvador in 1981.The author gives a reconstruction of the events and shows it importance. The massacre is not to be forgotten. Mark Danner uses many specific examples to link the United States with the massacre. The United States supported a friendly regime at this time during the cold war. Danner mentions large shipments of munitions from the United States arriving at Ilopango Airport. He tells us the United States helped to reform the army so that they would not lose to the rebel cause. One can see the United States help in aiding the military figures. General Fred F.Woerner had been sent from the pentagon to assess the Salvadorian war. One thing he mentions repeatedly is the reluctance of United States aid money. He mentions the elite trai ned Aclactl Battalion, and that their American trainers had perhaps instilled their aggressiveness. He mentions that the Americans loved Monterrosa and that the Americans were desperate to finish the war. As an example Danner says, â€Å"The Americans had stepped forward to fund the war, but were unwilling to fight it† He mentions the aid of a CIA officer who claims that the largest fighting was taking place at ElMozote. This leads us to America actually acknowledging that something might have been happening at El Mozote. Reagan signed a bill called the foreign assistance act of 1961 that was to certify that the government was taking adequate steps to recognize the human rights of the people of their country before aiding them. The U. S State Department urged diplomats to undertake â€Å"a grit your teeth† approach to The Massacre at El Mozote? Mark Danner's book, â€Å"The Massacre at El Mozote: A Parable of the Cold War† tells the story of a massacre of men, w omen, and children in El Salvador.The massacre at El Mozote was not discovered until years after it occurred, and the government attempted to play it down until the truth came out. The author is attempting to show that the political cover-up that occurred after what happened at El Mozote became known is a â€Å"parable† or tale of the Cold War, because it indicates the power of large governments to cover up information they did not want the people to know or understand, while â€Å"undermining† Communism around the world. The massacre is also a parable of power, and how power can corrupt and kill.That the troops were trained by Americans is another element of the parable, and it shows how corrupt even the â€Å"best† intentions can be. The author shows that the situation was tragic and could have been avoided, but it was also ignored and played down, something that seems especially repugnant since so many of the victims were innocent women and children, who pose d little real threat to the troops By Danner's account, the next morning the soldiers must have reassembled all of the village's inhabitants and then proceeded to separate men, women and children.Once seperated, the groups were locked into the church, the convent, and some of the houses. Fomr this point forward, the soldiers interrogated, tortured, and began executing the villages men. By noon the the soldiers took the women from the children and commnecnced shooting them with machine-guns. Unbelievably, they then killed the children? â€Å"There was one in particular the soldiers talked about†¦ a girl on La Cruz whom they had raped many times during the course of the afternoon, and through it all, while the other women of El Mozote had screamed and cried as if they had never had a man, this girl had sung hymns, strange evangelical songs, nd she had kept right on singing, too, even after they had done what had to be done, and shot her in the chest. She had lain there on La Cru z with the blood flowing from her chest, and had kept on singing — a bit weaker than before, but still singing. And the soldiers, stupefied, had watched and pointed. Then they had grown tired The Massacre at El Mozote as told by Mark Danner takes place El Salvador. El Salvador is the smallest country in Central America. It shares borders with Guatemala and Honduras.El Salvador is divided into 14 departments and El Mozote is a village in one of the Departments called Morazan. According to the author, the Salvadoran Civil War 1979-1992 was a conflict waged by the Military led Government of El Salvador and coalition of left-leaning militias or guerillas called the Farabundo Marti National Liberation Front (FMLN). The FMLN was supported by peasants and indigenous Indian people. The United States supported the El Salvador Military government. The tensions between the classes, the halves and the halve-nots are therefore represented by the two warring factions.The harrowing events i n Mark Danner’s Massacre at El Mozote investigates and questions three central issues; the Massacre, the role of American Policies in the region during the Cold War and the executive cover-up of the events as Propaganda. One of the concerns is what responsibility (if any) did the U. S. government have for the massacre at El Mozote? El Mozote was â€Å"uniquely† different from most villages because it had resisted the Liberation Theology taught by left-leaning Catholic Priests and according to the author was â€Å"as as stronghold of the Protestant evangelical movement† (pg 19) .The villagers of El Mozote had their own chapel and referred themselves as born-again Christians and as Danner states were known for â€Å"their anti-communism† (pg 19). The villagers of El Mozote did not support the guerillas. According to Danner the Massacre at El Mozote takes place when American trained Salvadoran Armed forces called the Atlacatl Batallion arrived at the village and began systematically killing men, women and children by various means such as torturing, hangings, decapitation, and shooting. The U. S government was responsible for the massacre at El Mozote for a plethora of reasons. First, The Reagan