Saturday, August 31, 2019

Islamic Philosophy Essay

* Ibn Sina – â€Å"Philosophy is the exercise of intellect, enabling man to know Being as it is in itself. It is incumbent upon man to do this by the exercise of his intellect, so that he may ennoble his soul and make it perfect, and may become a rational scientist, and get the capacity of eternal bliss in hereafter. † * It is not necessarily concerned with religious issues. They have the following: HADITH(the traditional sayings of the Prophet) SUNNA(the practices of their community). FIQH(Islamic law, which discusses particular problems concerning how Muslims ought to behave) * It is not exclusively produced by Muslims. * Philosophy helps the Muslim to understand the truth using different techniques from those directly provided through Islam * It is the continuous search for Hikma(Wisdom) Nature and Origin * Philosophy in its fullest sense began in the third century of hijra(The hijra was in 622 ad; it is the first year according to the Muslim calendar) * The main sources of early Islamic philosophy are the religion of Islam and Greek philosophy. Greek philosophy because most their works on philosophy like logic, medicine mathematics and so forth were translated into Arabic. During the middle ages, both Muslims and Christian philosophers relied upon the Greek Philosophy, their main resources are the works of Aristotle and Plato along with few others. Hikma and Falsafa * Hikma (wisdom) -Philosophy as hikma has the advantage of referring to a wide range of conceptual issues within Islam. * Falsafa-an Arabic expression designed to represent the Greek philosophia. Islamic Philosophy of Education. Islamic education is an essential need derived from Islam as a religion or way of life, as Allah wanted. Thus Islam sources are the same for Islamic education. The Quran is the main source of Islam, which contains every principles of Islamic thought. Islamic education also is uniquely different from other types of educational theory and practice largely because of the all-encompassing influence of the Quran. The Quran serves as a comprehensive blueprint for both the individual and society and as the primary source of knowledge. Some examples of the proof that the importance of education is repeatedly emphasized in the Quran: Al-Quran * â€Å" †¦ Say: â€Å"are those equal, those who know and those who do not know? It is those who are endued with understanding that receive admonition† (Az-Zumar : 9) Sunnah * â€Å"Who so walks in path seeking for knowledge therein, God will thereby make easy to him the path of paradise† (Abu Hurairah and Muslim) The aims of Islamic Education * Imam Al-Ghazali * Education should make a child aware of the laws though the study of Qu’ran and Hadith. * Education should make the child firm in religious beliefs otherwise he will be led astray. * Ibn Khaldun * Knowledge of God and faith in Islamic laws will make Muslims know the reality which in turn will lead to good and possession of good character. * Ibn Sina * Education as the overall growth of the individual: physical, mental, and moral; followed by the preparation of this by individual to live in a society through a chosen chose trade according to his aptitudes. * According to Contemporary Perspectives * To provide the teachings of Holy Quran as the first step of education. * To provide experiences which are based on fundamentals of Islam as embodied in Holy Quran and Sunnah which cannot be changed * To develop such qualities of a good man which are universally accepted by the societies which have faith in religion * To bring man nearer to an understanding of God and of the relation in which man stands to his creator * To produce man who has faith as well as knowledge in spiritual development These aims and objectives of Islamic education distinguish clearly from the modern system of education which is based on Western philosophy of life. This approach of Islamic education was endorsed in the First World Conference on Muslim Education held at Mecca in 1977 in the following words: â€Å"Education should aim at the balanced growth of the total personality of man through the training of Man’s spirit, intellect, his rational self, feelings and bodily senses. Education should cater therefore for the growth of man in all aspects: spiritual, intellectual, imaginative, physical, scientific, linguistic, both individually and collectively and motivate all aspects towards goodness and the attainment of perfection. The ultimate aim of Muslim education lies in the realization of complete submission to Allah on the level of the individual, the community and humanity at large. † Mohamad Johdi (2009) synchronizes that Islamic education aims at the balanced growth of the total balanced-personality of human, acronym JERISAH – Jasmani- physical Emosi- emotional Rohani- spiritual Intelek- intellectual Sosialisasi- social Alam- environment Hamba Allah- humbleness towards Allah.

Ethical Issues in Information Technology Essay

The society develops with unbelievable speed, from telegraphy, telephone, radio of 19th century to the modern 21th century, which is the Age with rapid developing and growing of knowledge and information. For example, Internet has been used widely everywhere in the world. We call it â€Å"global, Web-based platform, this platform enables people to connect, compute, communicate, compete, and collaborate anywhere, anytime to access limitless amounts of information, services, and entertainment†(Rainer & Cegielski, 2011 ). It is so obvious Information technologies benefit us a lot; in the meantime, IT also can raise new ethical problems. Ethics is a system of moral principles, or branch of philosophy dealing with values relating to human conduct, with respect to the rightness and wrongness of certain actions and to the goodness and badness of the motives and ends of such action. They include responsibilities, accountability and liability. â€Å"The major ethical issues related to IT are privacy, accuracy, property, and accessibility to information† (Rainer & Cegielski, 2011). Privacy is the state of being free from unsanctioned intrusion. Now the right to privacy is considered by federal government as common law. Solution Usually after huge damages or losses of some individuals, organizations or institutions, government comes up some privacy act for regulation and protection purposes. Privacy policies are an organization’s guidelines for protecting the privacy of customers, clients and employees. They are an attempt to reduce crimes such as privacy, copyright infringement; identity thief. The U. S. Congress implemented Acts address the ethical issues necessitating the creation of the acts and the advances in it. Let’s see the following examples. Do Not Call Implementation Act We know organizations are able to collect, integrate, and distribute enormous amounts of information on individuals, groups, and institutions through computer networks. For example, a lot of people experience receiving commercial calls for business selling or survey, waster people’s phone bill and disturb personnel lives. According to â€Å"National Do Not Call Registry† (2011), â€Å"Congress passed the Do Not Call Implementation Act on January 7, 2003. The Federal Communications Commission opened registration for the Do Not Call Registry on June 27, 2003 in order to comply with the Do-Not-Call Implementation Act of 2003. The program has proved quite popular: as of 2007, according to one survey, 72 percent of Americans had registered on the list, and 77 percent of those say that it made a large difference in the number of telemarketing calls that they receive (another 14 percent report a small reduction in calls). Another survey, conducted less than a year after the Do Not Call list was implemented, found that people who registered for the list saw a reduction in telemarketing calls from an average of 30 calls per month to an average of 6 per month. † No Electronic Theft Act Intellectual property is the intangible property created by individuals or corporations that is protected under trade secret, patent, and copyright laws (Rainer & Cegielski, 2011 ). The most common intellectual property concerns related to IT deals with software. Copyright software without paying the owner is a copyright violation. We heard a lot of complains from copyright victims. It is very unfair for the people gain benefits by stealing the other people’s achievement through hard-working. â€Å"Congress enacted the No Electronic Theft (NET) Act in 1997 to facilitate prosecution of copyright violation on the Internet. The NET Act makes it a federal crime to reproduce, distribute, or share copies of electronic copyrighted works such as songs, movies, games, or software programs, even if the person copying or distributing the material acts without commercial purpose and/or receives no private financial gain. Prior to this law being passed, people who intentionally distributed copied software over the Internet did not face criminal penalties if they did not profit from their actions. Electronic copyright infringement carries a maximum penalty of three years in prison and a $250,000 fine† (University Information Technology Services, 2010). Conclusion There have been advances in IT that have been an asset to business today. The advances can reduce risk, minimize cost, and maximum efficiency. When we take advantages from IT, we still need protect privacy and intellectual property. Whether you run your own business or work in a large company, you’ll be challenged by these issues, and you’ll need to know how to deal with them. We need learn how to identify the threats to information security, and understand various defense mechanisms to protect information systems. Let’s follow the privacy act to avoid the ethical issues in IT field. In that way we can protect ourselves and enjoy the benefits which the modern information technologies bring to us.

Friday, August 30, 2019

Factors that Led to the Industrial Development of the United States 1816 †1845 Essay

The industrial development of the United States from 1816 to 1845 was dramatic and incredibly expedited. This leads many in the modern era to look back to examine what factors contributed to such growth and expansion. There were many factors and the most important are worth noting. see more:industrialization resulted in what changes to american society? In the previous century, the United States was mostly a farming based economy. While farms would still remain a major component of the economy in the 1800’s, the development of factories (Particularly in the north) greatly expanded the industrialization of the nation. Even in farming communities, â€Å"scaled down† automated systems would dramatically alter society. The development of cigarette rolling machines, for example, helped increase cigarette production (and tobacco farming output) enormously. Another major contributing factor to the development of industry was the great expansion of transportation. In particular, the creation of the railroad system would essentially make interstate commerce and industrialization expand far more rapidly than it would without the railroads. Also contributing to this facet of industrialization was the development of turnpikes and canals. Really, the expansion of transportation methods had significant impact in the industrialization of the United States. Urbanization was also a factor in the industrial development of the United States. Basically, metropolitan areas had become enormously crowded due to the need for a huge labor force in the textiles industry. Eventually, this led to sanitation problems which soon led to innovations in maintaining sanitation and pollution. These innovations helped develop the mindset that one needed to rely on industrial and automated solutions to problems due to lower costs and greater efficiency. Of course, there were many more factors that led to the expansion of the industrialized society. However, the growth of factories, transportation, automation, and urban living were among the most important factors. Bibliography Zinn, Howard (2005). A People’s History of the United States: 1492 to Present .   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   New York, NY: Harper Perennial Modern Classics .

Thursday, August 29, 2019

Dark Tourism - understanding visitor motivations Thesis Proposal

Dark Tourism - understanding visitor motivations - Thesis Proposal Example (Beech 2000, p. 32). Such places symbolize the harsh realities of human history. Darkness, cruelty, crime and blood is reflected in the very nature of such sites. However, despite all these elements, such sites also make very good visiting places for tourists and are of great significance not only to the ministry of tourism, but also to the whole society in general and the government in particular. Dark tourism sites are very important for the economic strength of a country given the large number of tourists they attract. The places exhibiting dark tourism are not limited only to actual places where some accident took place in the past but there is also a range of places that are considered to be in the domain of dark tourism sites that are in some way related to horrific events. These may be museums or other places of cultural and historic significance displaying elements memorizing bad moments in the past. There may be times when a cinema projecting movies based on accidents of the past like Titanic might also be quite related to the subject matter. Given the widespread popularity of dark tourism among the people all over the world, dark tourism sites have huge potential of adding a lot to a country’s GDP provided that government strategically plans to increase the opportunities for tourists interested in dark tourism. This requires careful analysis of all the factors that influence and are influenced by the dark tourism that include but are not limited to age of people, imminence and severity of the incident and its cultural and national significance Before getting into an in-depth analysis of the purpose and the study design to be adopted for this research, it is customary to define the dark tourism. Dark tourism was initially referred to by John Lennon and Malcolm Foley as â€Å"†¦the phenomenon which encompasses the presentation and consumption (by visitors) of real and commodified

Wednesday, August 28, 2019

Budgetary Control in Performance Management Essay

Budgetary Control in Performance Management - Essay Example A budget is a formal statement of financial resources that have been set aside to finance specific activities over a given time period. Through a budget, managers can be able to coordinate organizational activities with it being a point of reference. Integrative Budgetary Control Integrative organizational budgetary control is a technique in which actual results of activities are compared to those specified in a budget and corrective actions undertaken. Differences that exist between actual and planned activities in the budget result in budgetary control measures where responsibility centers are charged with the responsibility of exercising organizational control action or revising the specific budget plans. Through responsibility centers, organization managers can monitor functions of the organizations and make necessary corrections to deviation from plans (Singla, 2009, p.117). A responsibility centre is basically a functional unit in an organization being headed by a hierarchical manager charged unit performance. Responsibility centers may include expense centers, revenue centers and investments centers. Budgetary control with regards to revenue centers involves comparison of actual outputs with budget outputs to ascertain necessary control measures. ... Basically, there is no planning system that can be used successfully in performance management without having an efficient and effective control system. Budget formulation is closely attached to control aspects where executives exercise organization control through budgetary control. Integrated organizational budgetary control involves preparation of a broad variety of budgets, continuous comparison of performance plans with actual performance and budget revision in the light of existing variances. Budget revision requires that a budgetary control system should be able to provide enough flexibility scope for particular initiative and revision measures. Performance management budgetary control is therefore an important device used by executives to control organization in achieving goals and controlling costs more efficiently Budgetary control compels the management of a particular organization to think about the ideal expectations for the future and what measures should be put in plac e with regards to existing shortcomings. The control process forces individuals charged with managerial responsibility to look ahead and manage the organization towards a purpose and direction be setting out detailed plans to achieving the relevant targets. Through this, the management is able to promote communication and coordination within the organization. The process also defines clearly the areas of responsibility, as it requires managers of responsibility centers to be accountable to deviations or underachievement of budget targets. Integrative budgetary control uses a budget as a basis for appraising organizational performance at a departmental level. Organizational performance variance from planned

Tuesday, August 27, 2019

Project- Administrative Agencies Research Paper

Project- Administrative Agencies - Research Paper Example The paper will also present a personal critique of the agency and make recommendations for the agency’s future. Purpose for creation of Environmental Protection Agency The Environmental Protection Agency was created with the aim of merging related roles that were formerly administrated by different agencies and organizations. Its overall purpose was however the protection of â€Å"human health and the environment† from activities whose unregulated operations pollutes the environment (National Research Council, p. 8). The agency’s specific purposes are however diverse and includes ensuring measures for good quality of the atmosphere, ensuring that water and water bodies are free from pollutants, promoting hygiene among the society and implementing laws for safeguarding the environment. Its purpose therefore majorly concerns environmental safety for healthy lives (National Research Council, p. 8). The agency’s parent act The Environmental Protection Agency w as a creation of the â€Å"National Environmental policy Act†1 that was legislated in the year 1969 and signed in the year 1970 (National Research Council, p. 7). Under the acts provisions, the government declared intentions to ensure favorable living conditions that would forester human social, economic, and political developments. The agency was then formed to implement the legislation with Congress’ approval under the name of ‘Environmental Protection Agency’ (National Research Council, p. 7) Historical background leading to the agency’s formation Environmental Protection Agency was a culmination of an already developed concern over the environment. Trends into its formation can be traced back to the industrial revolution error. Before the revolution, there existed few pollutants and the environment was considerably safe. However, invention of motor vehicles and further additive to the locomotives’ fuels identified grounds for regulatory m easures. As a result, the â€Å"Clean Air Act†2 was approved to regulate environmental concerns that had been created by smog. This was followed by another environmental legislation in the year 1965, â€Å"Motor Vehicle Pollution Act†3 that aimed at regulating motor vehicles emissions and the ‘Air Quality Act’4 was then formulated in the year 1967 to further control emissions. Consequently, the Environmental Protection Agency, under the National Environmental Policy Act was created in the year 1970 to further the objectives of regulating environmental pollution. The agency was therefore created with the idea of facilitating a healthy environment through regulating pollution agents (Biggs, p. 377). Functions of the agency Functions of the agency majorly entail implementation of its objectives and extend to roles of implementing the objectives. One of the agency’s functions is therefore to ensure that air pollutants are eliminated for a quality enviro nment. Other functions include controlling chemical pollution and other forms of pollution as well as implementing rules that are set under its jurisdiction. The agency, through its statutory powers also formulates regulations to govern mass sources of pollutants such as agricultural and industrial sectors. It also issues license for operations and revokes licenses of operators who defy regulatory measures. The agency’s functions also include promoting awareness of its programs to the public and other stakeholders and

Monday, August 26, 2019

Shell Canada Essay Example | Topics and Well Written Essays - 1000 words

Shell Canada - Essay Example The company specializes in the production and sale of a number of products including natural gas, crude oil, solvents, diesel fuels, gas, ethane, butane, asphalts, propane, lubricating oils, greases, sulphur, gasoline and natural gas liquids, just to name but a few. Shell also provides a number of services which include refining, marketing, and transporting petroleum products (Shell Canada Limited, 2007). Value chain Shell’s value chain refers to all the activities that take place in the company with the aim of increasing customer satisfaction while managing cost of production effectively. In this regard, Shell has three key value chain components, including fuel supply, customer support, and maintenance. As such, once the petroleum products have been produced, Shell ensures that they are transported to the customers efficiently and timely. In addition, the company has an efficient customer support team whose mandate is to ensure that customer’s demands are met. The maintenance component of Shell’s value chain is concerned with ensuring that the plant and transport facilities are in good condition to enhance the production and supply of products to the customers (Shell Canada Limited, 2007). Competitors Shell Canada operates in a very competitive business environment. In fact, most of its strategies are aimed at ensuring that it competes favorably with other players in the industry. Currently, Shell Canada has three major competitors, which include Imperial Oil Limited, Suncor Energy Inc., and Canadian Natural Resources Limited. This company poses the greatest threat to Shell Canada in the oil industry (Shell Canada Limited, 2007). ... ive strategy The management of Shell Canada understands that, for the company to gain competitive advantage of its main rivals, it must improve the quality of product and service delivery to its customers. In this regard, the company focuses on the production of quality petroleum products that suit the needs of its customers. The company has also focused on the delivery of best customer service by establishing a customer support department that handles all customer queries and problems. In addition, the company intends to have a wide outreach by exploring and producing petroleum products in other countries. This will help increase its customer base, thereby according it a competitive advantage over its rivals. Further, the company is in the process of designing the most modern technology that will enable it conduct deep-sea exploration as a means of moving ahead of its competitors. At the same time, Shell intends to adopt a technology that will enable the company produces petroleum i n an environmental friendly manner. The company believes that reducing environmental pollution will enable it explore several markets without resistance from the governments and the locals (Shell Canada Limited, 2007). Q#2. The world has experienced rapid technological advancements over the past few decades. The new technological have had a huge impact in most business operations. In fact, no single company can compete favorably in the present business environment without the integration of technology. The same applies to Shell Canada, whose competitiveness depends on how well it introduces and uses technology. Currently, Shell can benefit significantly by introducing a number of technologies in its business operations. ERP Firstly, the implementation of ERP technology can be of huge

Sunday, August 25, 2019

Business Organisations and the Law Essay Example | Topics and Well Written Essays - 2500 words

Business Organisations and the Law - Essay Example Principally, UK company law is ruled by the Companies Act of 2006, the Insolvency Act 1986, the Company Directors Disqualification Act 1986 and the old Companies Act 1985. A limited company can be registered in England and Wales, Scotland, Northern Ireland and Australia. Registration of business firms in Great Britain is done through Companies House while the registration of companies in Northern Ireland is through the Department of Enterprise, Trade and Investment (Davies 2008; Companies Act 2006; Sealy and Worthington 2007). 1. Private company limited by shares - this type of business organization has a share capital and the accountability of each member is restricted to the amount not paid on shares that a member holds; this type of private company cannot sell its shares to the general public 2. Private company limited by guarantee - here, a member does not throw in any amount as a contribution to the capital during its lifetime as it does not purchase shares. The member's liability is limited to the amount that he/she has agreed to contribute to the company's assets if it decides to wind up its activities 3. 3. Private unlimited company - this form of business organisation may or may not have a share capital and there is no limit to its members' liability and since there are no limitations on members' liability, the company can disclose less information compared to other types of companies 4. Public limited company - this kind of group has a share capital and the liability of every member is limited to the amount unpaid on shares that a member holds; it can also offer its shares for sale to the general public and likewise can be quoted on the stock exchange. Administrative Receivership In the United Kingdom, administrative receivership10 is a process whereby a creditor can enforce security against a business firm's assets endeavoring to gain settlement or compensation of the secured debt. Previously, it was the most accepted scheme of enforcement by secured creditors, however, recent governmental restructuring and legal developments in several jurisdictions have significantly diminished its importance in specific nations11. Administrative receivership diverges from simple receivership in that an administrative receiver is assigned over all of the assets and tasks of the business firm. This signifies that an administrative receiver can, as a rule, only be assigned by the holder of a floating charge. Because of this remarkable responsibility, bankruptcy/insolvency legislation more often than not endows broader powers to administrative receivers and likewise also have power over the exercise of those powers in an effort to take the edge off potential prejudice to unsecured creditors. Normally, an administrative receiver is an accountant with substantial knowledge, familiarity and understanding regarding insolvency matters. Current Implication As it is, administrative receivership is a significant component of contemporary insolvency practice. Today, business firms that plunge into financial complexities may well have security packages that were created prior to the 15th of September 2003, a circumstance

Saturday, August 24, 2019

Generate and evaluate options Research Paper Example | Topics and Well Written Essays - 500 words

Generate and evaluate options - Research Paper Example The responsibility of deciding corporate level strategies rests on the top management. The divisional or middle level managers generally decide the business level strategies. The detailed tactics to achieve specific goals in the domain of marketing, finance, operations and HR are determined by the functional managers. Strategy A: This strategy should be pursued since the goal will be achieved with minimal capital investment. BCE’s existing 4G LTE penetration is 96 percent and a 2 percent increase is easily achievable. Furthermore, the 5 percent increase in ARPU will lead to long term profitability and growth of the company. The SMART (specific, measurable, achievable, related and time bound) KPIs enable the easy implementation and evaluation of strategies. These KPIs also provide direction and timeline to the managers to carry out the assigned tasks. The KPIs that have to be achieved by the end of 2014 will be broken down into monthly targets. Meanwhile, the KPIs that have to be achieved in the long run will be evaluated on a quarterly

Friday, August 23, 2019

Research paper about legalizing cannabis Essay Example | Topics and Well Written Essays - 2000 words

Research paper about legalizing cannabis - Essay Example rlands, cannabis is openly tolerated and can be both purchased and consumed in one of several Amsterdam ‘coffee houses.’ Inexplicably, the city has not been thrown into anarchy which, evidently, is what the opponents of cannabis legalisation are afraid of. The evidence demonstrates that legalizing cannabis would prove a benefit to society, evidence which is well-known throughout the scientific, political and public arena but this collective knowledge has yet to be acted upon. This discussion will examine the issue of legalisation drawing from European, British and American experiences. In addition, because cannabis is often associated with harder forms of drugs by legalisation opponents, it will briefly discuss plausible reasons why all drugs should be at least decriminalised if not made fully legal. A report created by Transform1, a non-profit UK drug policy think tank, demonstrates how criminalization of certain drugs has created crime, undermined public health and promotes social exclusion while proving ineffective in eliminating domestic markets. The foundation recommends instead a society in which all drugs are regulated and controlled through the use of specialized pharmacies and licensed retailers instead of black market street vendors and an uncontrolled clientele. The reason for this, they say, is that the war on drugs has led to an uninformed hysteria among the general population, an irrational opposition to less harmful substances, a spike in organised crime and associated criminal activity. By regulating and controlling drugs, Transform suggests that prison populations could be cut in half, considerably reducing the funds spent on maintaining and sustaining these populations. In addition, crime factors would be reduced as the primary activity of organised crime would now be regulated, crime wars would become obsolete and crimes associated with drug use such as prostitution and burglaries for drug money would be further reduced as the price

Econ 157 Problem Set Assignment Example | Topics and Well Written Essays - 500 words

Econ 157 Problem Set - Assignment Example These curves can cross in more than one place. Here an unequivocal statement regarding the income distribution of these two countries cannot be made. However Gini coefficient is a definite value between 0 and 1. If the Gini coefficient of country-one is greater than country- two it can be concluded that country two has comparatively a better income distribution compared to the country-1. Poverty headcount ratio indicates the percentage proportion of population which is below the poverty line set by the central bank. With increasing value of the denominator Po value of this equation can decline. Example: country’s poverty can increase at a lower rate compared to the total population growth while decreasing Po. Here the headcount of poor increase while the Po value decrease. Consumers spend a higher proportion of total household income to buy essential foods in poor countries. Therefore decreasing income can substantially decrease the calorie intake by the families in these countries. In developed countries consumers’ food basket includes non-essential foods and their utility is influenced by non-nutrient related concerns such as taste. Therefore income change can affect minimally to their calorie intake. In the above model measurement error is produced from the unobserved variables. In regression analyses it is assumed that unobserved factors are independent from the explanatory variables. However ability and schooling are correlated. Therefore biased estimates can be produced. In describing the differences in economic development across countries geography and institutions are commonly used. Geography argument states that localized environment determine the quality of factors of production such as land, labor, capital and technology available in different countries. Thus location specific characteristics such as climate, being landlocked, special linkages with other countries and endowment of natural resources

Thursday, August 22, 2019

Effects of Online Games to the Students Essay Example for Free

Effects of Online Games to the Students Essay As time passes by, technology continues to evolve. Because of technology, new things were created that sustains and lightens human work. Computers were created because of technology. Computers were the greatest thing ever invented by man itself. In the modern age, computers have become a part of man’s life. Almost all the things around us were made by computers with the aid of modern machines. From the edited books, design, special effects in movies, and televisions etc., were all made by computers. Along with the evolution of technology, computers continue to upgrade as well until the time that computer has now become a part of man’s everyday life that are hooked to computers. Computers can now edit documents to your PC, play mini games, search information you need using the internet, save documents to your PC and play online games. It’s like an all-in-one gadget that can do all the things you want anytime you need it. From 1990 to the present year, online games had a big impact to us especially teenagers. Online games have many genres, including FPS games, MMORPG, Casual games and multiplayer games. A game will become an online game if it involves in using a computer or a series of computers with one player in each computer to battle it out with other players using the Internet depending on the game genre. Games have always been a popular pastime, but with the advent of computer games they have become even more pervasive. Despite all this progress, we may still stop and ask what makes a game. Because computer games are a subset of games, everything we can say about games in general applies also to them. Nevertheless, computer games are also computer programs, and, therefore, lessons learnt in software construction can be applied to them. A third perspective to computer games is subjective and it concerns finding out what features the players expect from a computer game. A dictionary defines ‘game’ as ‘a universal form of recreation generally including any activity engaged in for diversion or amusement and often establishing a situation that involves a contest or rivalry. A computer game is carried out with the help of a computer program. This definition leaves us some leeway, since it does not implicate that the whole game takes place in the computer. For example, a game of Chess can be played on the screen or on a real-world board, regardless whether the opponent is a computer program The world of online gaming is basically all about community. Gaming has gained such popularity that it could now be considered as practically mandatory. Being great and skilled at playing these video games gives individuals several social benefits. Gaming communities have proven to be powerful, profitable, and at the same time, very fragile. Based on studies and research conducted, gaming has become one of fastest growing in the entertainment sector. It has surpassed the achievements of full-length films, revenue-wise. Gaming is truly a social activity and the mere act of playing games has been directly linked in the establishment of relationships as well as social hierarchies throughout history. Games could be engrossing for many different reasons. Online games or video games are those that could be played over some kind of computer games to those games that incorporate complex computer graphics with virtual worlds that are populated by a lot of players simultaneously. A lot of the video games today have their own associated online communities and these make online games a true social activity that goes beyond the single player games. Online gaming has really made it mark, being an innovative feature of the Internet which would surely be staying and developing in the many, many years to come. In the past, only those who were willing to spend expensive fees and put up with a hard setup process made up online gaming communities. Today, though, a lot of people are getting into, even the younger generation, which raises some negative implications as well on its effect on students. Background of the Study Development of technology brought many things that people do not have many years back. One of those things was online gaming that was provided by the internet. Online Gaming is one of the widely used leisure activities by many people. Teenagers who were playing these online games said that they were playing online games just for fun, to keep away from the heat of the sun, without knowing that there were a lot of effects of playing these games that are more than what they think. Playing online games enabled the mind of the players to be more active, especially those puzzled based-games. It helps the players to come up with decision tight situations, especially those adventure games that kept the players to be alert, active and strategic. Playing online games made the players experience different feelings because it was as if the players really are the one taking the challenges. Despite those benefits, playing online games also brought negative effects, it requires much of the playerâ €™s time, leaving school activities and homework unattended. The Internet has pervaded our society rapidly. It has been major means of communication, used for the exchange of information, for news and for shopping, and now one of the most popular online contents is the game. Online gaming was mainly concentrating on gaming over the internet, where an amount of money is bet on the prospect of a player or group of players winning. Those types of games were usually referred to by the websites as games of skill, and include chess, backgammon and solitaires. Online gaming is a technology rather than a genre, a mechanism for connecting players together rather than a particular pattern of game play. Online games are played over some form of computer network, now typically on the Internet. Some of the advantages of playing online games are, the ability to connect to multiplayer games, although single-player online games are quite common as well, and the ability to build the confidence of the individual in the game that they have used to play. Some of the disadvantages also on playing online games were; the students may be too much hooked on this game and may have insufficient time to study their lessons that their teachers taught them. In the year 2008, most high school students have played a lot of online gaming, and it is very popular. Online games were inspired by video games. The first video and computer games, such as NIMROD (1951), OXO (1952), and Space war! (1961) were for one or two players sitting at a single computer which was being used only to play the game. Later in the 1960s, computers began to support time-sharing, which allowed multiple users to share use of a computer simultaneously. Systems of computer terminals were created allowing users to operate the computer from a different room than where the computer was housed. Soon after, Modem links further expanded this range so that users did not have to be in the same building as the computer; terminals could connect to their host computers via dial-up or leased telephone lines. With the increased remote access, host based games were created, in which users on remote systems connected to a central computer to play single-player, and soon after, multiplayer games. Online games can give us positive effects and benefits to us students, but on the contrary we notice that the students spend more time in playing online games rather than it in such a productive way. Online gaming is an emotionally draining and time-consuming activity. To create more time for the computer, gaming addicts neglect sleep, diet, exercise, hobbies, and socializing. They let their own health go as they do not get the proper rest and nutrition they need. They may suffer a number of health problems from back strain, eye strain, carpal tunnel syndrome, and repetitive stress injury. In this study, sophomore students of College of Business in Polytechnic University of the Philippines (PUP) are the respondents. We chose them as our respondents because we see that most of them are addicted in online games. They are given an opportunity to answer and evaluate themselves whether they can handle playing online games and at the same time can do other important activities. It is for the reason that we are interested in taking a more serious look in the effects of online games particularly to the sophomore students of Polytechnic University of the Philippines (PUP) who are the role models of freshmen students. Theoretical Framework Game theory is a study of strategic decision making. More formally, it is the study of mathematical models of conflict and cooperation between intelligent rational decision-makers. An alternative term suggested as a more descriptive name for the discipline is interactive decision theory. Game theory is mainly used in economics, political science, and psychology, as well as logic and biology. The subject first addressed zero-sum games, such that one persons gains exactly equal net losses of the other participant(s). Today, however, game theory applies to a wide range of class relations, and has developed into an umbrella term for the logical side of science, to include both human and non-humans, like computers. Classic uses include a sense of balance in numerous games, where each person has found or developed a tactic that cannot successfully better his results, given the other approach. Early discussions of examples of two-person games occurred long before the rise of modern, mathematical game theory. The first known discussion of game theory occurred in a letter written by James Waldegrave in 1713. In this letter, Waldegrave provides a minimax mixed strategy solution to a two-person version of the card game le her. James Madison made what we now recognize as a game-theoretic analysis of the ways states can be expected to behave under different systems of taxation. In his 1838 Recherches sur les principes mathà ©matiques de la thà ©orie des richesses (Researches into the Mathematical Principles of the Theory of Wealth), Antoine Augustin Cournot considered a duopoly and presents a solution that is a restricted version of the Nash equilibrium. The Danish mathematician Zeuthen proved that the mathematical model had a winning strategy by using Brouwers fixed point theorem. In his 1938 book Applications aux Jeux de Hasard and earlier notes, Émile Borel proved a minimax theorem for two-person zero-sum matrix games only when the pay-off matrix was symmetric. Borel conjectured that non-existence of mixed-strategy equilibria in two-person zero-sum games would occur, a conjecture that was proved false. Game theory did not really exist as a unique field until John von Neumann published a paper in 1928. Von Neumanns original proof used Brouwers fixed-point theorem on continuous mappings into compact convex sets, which became a standard method in game theory and mathematical economics. His paper was followed by his 1944 book Theory of Games and Economic Behaviour. The second edition of this book provided an axiomatic theory of utility, which reincarnated Daniel Bernoullis old theory of utility (of the money) as an independent discipline. Von Neumanns work in game theory culminated in this 1944 book. This foundational work contains the method for finding mutually consistent solutions for two-person zero-sum games. During the following time period, work on game theory was primarily focused on cooperative game theory, which analyse optimal strategies for groups of individuals, presuming that they can enforce agreements between them about proper strategies. In 1950, the first mathematical discussion of the prisoners dilemma appeared, and an experiment was undertaken by notable mathematicians Merrill M. Flood and Melvin Dresher, as part of the RAND corporations investigations into game theory. Rand pursued the studies because of possible applications to global nuclear strategy. Around this same time, John Nash developed a criterion for mutual consistency of players strategies, known as Nash equilibrium, applicable to a wider variety of games than the criterion proposed by von Neumann and Morgenstern. This equilibrium is sufficiently general to allow for the analysis of non-cooperative games in addition to cooperative ones. Game theory experienced a flurry of activity in the 1950s, during which time the concepts of the core, the extensive form game, fictitious play, repeated games, and the Shapley value were developed. In addition, the first applications of Game theory to philosophy and political science occurred during this time. In 1965, Reinhard Selten introduced his solution concept of sub game perfect equilibria, which further refined the Nash equilibrium. In 1967, John Harsanyi developed the concepts of complete information and Bayesian games. Nash, Selten and Harsanyi became Economics Nobel Laureates in 1994 for their contributions to economic game theory. In the 1970s, game theory was extensively applied in biology, largely as a result of the work of John Maynard Smith and his evolutionarily stable strategy. In addition, the concepts of correlated equilibrium, trembling hand perfection, and common knowledge were introduced and analysed. In 2005, game theorists Thomas Schelling and Robert Aumann followed Nash, Selten and Harsanyi as Nobel Laureates. Schelling worked on dynamic models, early examples of evolutionary game theory. Aumann contributed more to the equilibrium school, introducing an equilibrium coarsening, correlated equilibrium, and developing an extensive formal analysis of the assumption of common knowledge and of its consequences. In 2007, Leonid Hurwicz, together with Eric Maskin and Roger Myerson, was awarded the Nobel Prize in Economics for having laid the foundations of mechanism design theory. Myersons contributions include the notion of proper equilibrium, and an important graduate text: Game Theory, Analysis of Conflict (Myerson 1997). Hurwicz introduced and formalized the concept of incentive compatibility. Modern game theory began with the idea regarding the existence of mixed-strategy equilibria in two-person zero-sum games and its proof by John von Neumann. Von Neumanns original proof used Brouwers fixed-point theorem on continuous mappings into compact convex sets, which became a standard method in game theory and mathematical economics. His paper was followed by his 1944 book Theory of Games and Economic Behaviour, with Oskar Morgenstern, which considered cooperative games of several players. The second edition of this book provided an axiomatic theory of expected utility, which allowed mathematical statisticians and economists to treat decision-making under uncertainty. This theory was developed extensively in the 1950s by many scholars. Game theory was later explicitly applied to biology in the 1970s, although similar developments go back at least as far as the 1930s. Game theory has been widely recognized as an important tool in many fields. Eight game-theorists have won the Nobel Memorial Prize in Economic Sciences, and John Maynard Smith was awarded the Crafoord Prize for his application of game theory to biology. Game theory, is a branch of applied mathematics that provides tools for analysing situations in which parties, called players, make decisions that are interdependent. This interdependence causes each player to consider the other player’s possible decisions, or strategies, in formulating his own strategy. A solution to a game describes the optimal decisions of the players, who may have similar, opposed, or mixed interests, and the outcomes that may result from these decisions. Although game theory can be and has been used to analyze parlour games, its applications are much broader. In fact, game theory was originally developed by the Hungarian-born American mathematician John von Neumann (http://www.gametheorysociety.org/)

Wednesday, August 21, 2019

Van Genneps Stages of a Rite of Passage

Van Genneps Stages of a Rite of Passage Van Genneps stages and understanding a rite of passage in relationship to one or more rituals Wittgenstein (1987, p.14, Chapter I. Introduction) set a large challenge for anthropology that has yet to be taken up. After reading the Golden Bough, he argues that Fraser made a crucial mistake by trying to deduce what things mean. He accused Fraser of not understanding that practices signify nothing but themselves, and that the extent of anthropology could be to delimit and work out the practical structure of such tasks. For the past fifty years or so, anthropology has largely ignored Wittgensteins remarks and has built an anthropology that privileges the observer. It privileges the observer because it is only the observer who can read into phenomenon their underlying socio-cultural meaning. It is precisely this sort of reifying reductionism that we find in Van Genneps (1909) theory of the rite of passage. Rites of passage present an irresistible and difficult focus for the ethnographer: they are constellations of compacted meanings removed from the process of everyday life. In the authors own experience, they are also some of the most frustrating things to analyse. Presented with so many unusual phenomenon, the ethnographer asks, what does this mask mean only for your informant to respond with a shrug. This difficulty of compacted meaning may partly explain why ethnographers are so quick to ignore the phenomenon involved in a rite of passage in favour of reading it as a structural process. This difficulty may also explain why, fully one hundred years after it was published, Van Genneps Rites of Passage theory remains unchallenged in the anthropological world. That said, Van Gennep’s overall structures has remained remarkably adept at matching up to all the rituals people apply to it. However, there should not be taken as a mark of its success. It one is to recall that the success of Evans-Pritchards structural-functionalism (Kuper: 1988, pp. 190-210, Chapter 10 Descent Theory: A Phoenix from the Ashes), was more based on the tastes and cultural paradigms of anthropologists than it was on its correspondence to any ethnographic reality. This essay will argue that Van Genneps stages of rites of passage do indeed cohere to many rituals, however, like Turners schemes (1995), these stages do little to explain to us the significance of ritual. In order to do so, this essay will argue, it is necessary to turn to how the phenomenologically experienced reality of ritual constitutes the social reality of a ritual. To make this argument this essay will focus on three rites of passage: French marriage ritual in Auvergne (Reed-Dahany: 1996), Yak a healing rituals in Zaire (Devisch: 1998, 1996) and refugee experience in Tanzania (Malikki: 1995). The last example proves the most difficult for Van Genneps theory: because though it corresponds to his stages, nothing about the experience of refugees would correspond to the socially rigid categories Van Gennep claims are central to rites of passage. From this example, this essay will argue to understand rites of passage we need to consider more fully the relationship of time-out-of-time in culture. For until we confront the question of what allows a certain unit of time to be taken out of the experience of the everyday, we will be no closer to understanding how rites of passage deal with other senses of time-out-of-time. Van Gennep (1909, Chapter I The Classification of Rites) attempts to demonstrate a there is a universal structure underlying all rites of passage. While there might be physiological, factors involved (e.g. coming to puberty) the mechanisms that determined the rites of passage are always social, and these social constructions display a cross-cultural similarity. Rituals and ceremonies in Van Gennep’s scheme serve the function of guaranteeing ones path through liminal transitory categories as one passes through the stages of separation, transition and reincorporation that he claims are present in all stages of rites of passage. What we can note about this model already is that the ritual serves the purpose of a unit of causation in a socially determinist model of society: there is a societal need that ritual fulfils. Because of this functional model, we are none the wiser as to how a society determines the exact elements of a ritual, or how people experience the ritual. Van Genneps approach is based on a socially functional model: though he is far more inclined to admit the power of the individual in the social form sui generis than is Durkheim (Zumwalt: 1982:304). That said, he still claims (Van Gennep, 1909, p. 72, Chapter Six Initiation Rites) that in mutilation: the mutilated individual is removed from the mass of common humanity by a rite of separation which automatically incorporates him into the defined group. His emphasis here is on the social end process: as if it could somehow be separated from the phenomenological experience of the pain. Thus, the process of scarification that marks many initiation rituals is merely placed as part of the logic of social cohesion: following such a pattern, it is hard to explain the beating and terror that often accompanies initiation rituals. Indeed, it ignores the central challenge Merleau-Ponty (1962, p.115, Part I The Body, Chapter III The Spatiality of Ones own Body and Motility) posed when he asked: H ow can we understand someone else without sacrificing him to our logic or it to him? The domain of phenomenology is closely linked to that of ritual. Jackson (1996, p.3, Chapter I Introduction) characterises phenomenology as a project designed to understand being-in-the-world. This attempt to understand how inter-subjective experience is constituted is a possible answer to the question Merleau-Ponty poses above how does one understand the other. Characteristically, phenomenology attempts to answer this project by not privileging one domain of experience or knowledge, as none of them can encompass the totality of the lived experience. Instead, it is an investigation into (Ricoeur, 1979, p.127, Chapter IV The Structure of Experience) the structures of experience which proceed connected expression in language. This is what Merleau-Ponty would call the preobjective. This understanding of the importance of structures that escape linguistic formalisation has also been part of the emphasis of the study of ritual in anthropology. In Levi-Strauss (1965, pp.167-186, Chapter Nine The Sorcerer and His Magic) classic examination of north American healing sorcerers he emphasises how the experience of the healing takes place between the triad of patient, sorcerer, and social body. He also emphasises the importance in this relationship of the sensory experience of the sorcerer. However, despite this emphasis, he is undertaking his analysis from a recorded text, and his emphasis is on the structural coherency sorcery provides rather than its embodied experience. He writes (ibid: 181): In a universe which it [the social body] strives to understand but whose dynamics it cannot fully control, normal thought continually seeks the meaning of things which refuse to reveal their significance. So-called pathological thought, on the other hand, overflows with emotion al interpretations and overtones, in order to supplement an otherwise deficient reality. The sensory experience of the ritual as understood by Levi-Strauss is constituted as a means-end relationship to get to the desired goal, the assertion of the cosmological unity of the social body. Here we can see the same pattern of assumptions about bodily meaning we noted earlier in Van Gennep. This emphasis, a legacy of Durkheim, characteristically means that repetition, often the element of ritual that constitutes its definition, is overlooked as window-dressing to the mythical meat of the ceremony which is that which can be vocalised (and thus objectified). This legacy can also be found in the two anthropologists whose writing about myth has defined the field, Van Gennep and Turner (1986, 1995). In Van Gennep, central to his notion of ritual as a rite of passage is a sacred-profane dualism, which is also kept in Turners scheme, though he also includes the notion of the marginal or liminal. In this distinction we can see that both theorists only deal with the relationship between the sacred and profane in terms of social structure and fail to deal with these elements interpenetrate in everyday lived reality. In a sense, their distinction is similar to that made by Mauss (1993, p. 12, Chapter I The Exchange of Gifts and the Obligation to Reciprocate) when understanding the gift. Mauss claims that the person for whom the sacrifice is performed enters the domain of the sacred and then rejoins the profane world, which is separate from the sacred, though conditioned by it. For Turners early work, and for Van Gennep, ritual is the heightened activity in which the sacred-profane worlds are mediated between. What is advantageous about these approaches is that they identify ritual as the situation or drama par excellence, as an organisation of practice constructed and defined by participants and it is a practice in which the participants confront the existential conditions of their existence. However, there are problems with Turner and Van Gennep’s approaches which parallel that of Levi-Strauss. In both cases, the emphasis is on the formal unity of the social world. Kapferer (1997, pp.55-61, Chapter II: Gods of Protection, Demons of Destruction: Sorcery and Modernity. The Transmutation of Suniyama: Difference and Repetition) illustrates some of these problems when analysing the Sri Lankan suniyama, or exorcisms. While he agrees with Turner that the suniyama constitute their own space-time, he also makes clear the extent to which they borrow from everyday life. Rather than seeing resolution and unity in the suniyama, he notes that the reactualisation of the ordinary world amid the virtuality of the rite is a moment of intense anxiety. In the events of the chedana vidiya, the tension, he argues, is not just about the destructive forces of the demon but also about the re-emergence of the victim in the ordered world. One can see in the suniyama that the lived world is not reducible to categories, despite the attempts at structuration. It is an excellent example of what Jackson (1989, p.5, Chapter I Paths Towards a Clearing) calls mans rage for order, and simultaneously usurpation of that order coupled with an awareness that the order is always exceeded by the lived world. Kapferer refuses to push dualistic or triadic models onto the Sri Lankan suniyama, and argue for it being a continuous process orientated at the restitution of social action. One of the ways this uncertainty the rage for order and its ambiguity or infirmity is manifested is in sensory experience. It is here that the Durkheimean project is unable to provide a satisfactory analytical framework and where phenomenology can provide some edifying lines of inquiry. None of these lines of inquiry are pursued by Reed-Dahany (1996), who illustrates the extent to which Van Gennep can be utilized, and also the extent to which Van Genneps scheme founders in its constructionist model, in her analysis of marriage practice in Auvergne. She notes that (ibid: 750) in the early morning after a wedding, a group of unmarried youths burst into the room to which the bride and groom have retired for the night and present them with a chamber pot containing champagne and chocolate. The youth and the newly wed couple then consume the chocolate and champagne together. The participants describe is as something which appears disgusting, and yet actually tastes really good. Reed-Dahany utilises Bourdieus work on taste to show how this reversal of the established bourgeois order simultaneously parodies marriage and bourgeois taste. Like the examples we see in Turners work, the sacred ritual of marriage here is associated with the inversion of established meanings only for these meanings to be ever more forcefully reinserted after the period of liminal disaggregation. We can see how such a ritual fits Van Genneps scheme very well: the couple are segregated from society (both from each other before marriage, and then from society the honeymoon afterwards) before being reaggregated. Thus, Reed-Dahany has no problem in understanding the ritual of la rà ´tie as a ritual of reincorporation in the sense Turner had meant it. Through the partaking of food with the unwed they are allowed to re-enter society, the wet-substance consumed standing in for fecundity. Indeed, as Reed-Dahany notes (ibid: 752) Van Gennep himself had commented on these rituals in his work on folk customs in rural France and had pursued much the same conclusion. Yet what Reed-Dahany notes is that the focus for the people involved in the ritual are the scatological reference implicit in the ritual: these elements of parody of bourgeois society that take place at the level of bodily praxis are left unexplained by Van Genneps scheme, in which any set of symbols is replaceable with anot her as long as they have the same social purpose. This is why Van Gennep has great problems explaining rites of passage that are not formal. Yet, it is not the case that rites of passage and other temporal markers must be institutionalised. As Malikki (1995, p. 241, Chapter Six Cosmological Order of Nations) notes: historical consciousness is lodged within precarious accidental processes that are situated and implicated in the lived events and local processes of the everyday. In her work, Malikki looks at the creation of a mythico-history among Hutu refugees who fled the mass killing of 1972 in Burundi for Tanzania fifteen years ago. She contrasts two groups; the first, living in an urban environment, deploy their ethnicity and history only rarely, situationally and relationally, and attempt not to stick out. In contrast, at the refugee camp, the inhabitants were continually engaged in recreating their homeland. Malikki (ibid: p.3, Introduction An Ethnography of Displacement in the National order of Things) notes: The camp refugees saw themselves as a nation in exile, and defined exile, in turn, as a moral trajectory of trials and tribulations that would ultimately empower them to reclaim, or recreate anew, the homeland in Burundi. One of the noticeable elements in this construction of a mythico-history is the way in which it internalised exterior categories, and then subverted them. For instance, Malikki draws attention to the way in the powerful discourse of inter-nationalism, refugees are in an ambiguous space, particularly polluting, between national boundaries. Malikki uses the work of Van Gennep and Turner to understand how the Hutu refugees in the camp had turned this liminal space into a trial of separation, which would empower them to return. The narratives that people told Malikki were incredibly standardised, they functioned, as Malikki notes, as moral lessons, that represented (ibid: p. 54, Chapter Two The Mythico History) a subversive recasting and reinterpretation of [events] it in fundamentally moral ways. In Malikkis work, we can see that rites of passage can be lodged in accidental processes and contingent historical events. Even here, they seem to fit the categories of Van Genneps classificati on. However, one notes that nothing about these classifications explains the way these patterns were then sedimented into a rite of passage that structured and organised practice. She notes that one of the key moments in this history is when the refugees arrive across the border in Tanzania, and are able to meet other refugees from Burundi (there appeared to be little widespread national connections before then ibid: p.103, Chapter Two The Mythico History). Thus, collective effervescence of consciousness, which, as the narrative describes, allowed people to understand the final secret of the Tutsis, was not just experienced verbally. The supplanting of the social order with chaos (though an ordered chaos) was accompanied by very physical processes. The fear of pursuit, the bodily feeling of cramp and hunger, the sight of corpses on the road: all these were processes that the refugees took great pains to describe to Malikki. The refugees referred to this moment as one of revelation, and this memory, which must have in part formed the social bond that allowed for the creation of the mythico-history, was a silent history of bodily feeling and gesture as much as i t was one verbalised. If we develop Malikkis understanding of the similarity between rites of passage and the refugee experience slightly, there is a parallel between the symbolic death and rebirth in the liminal stage of separation in a rite of passage, normally accompanied by ritual action that provides the unity of a shared painful experience, and the collective pain of that crossing into Tanzania in 1972. These phenomenological bodily experienced realities are not marginal to a group feeling of cohesion: rather than social aspects of the rite of passage stem from these silent memories of bodily experience. We will now turn to an analysis of the rites of passage in the Yaka healing cults of Zaire. In contrast to the social world of the Yaka, which is patrilineal, femaleness, uterine filiation and mediatory roles are cyclical and occupy a concentric life-cycle (Devisch: 1996, p.96, The Cosmology of Life Transmission). It is within this contrast that the healing rituals takes place. The healing rituals a re not a collection or commiseration, rather, they are bodily and sensuous, they (ibid: 95) aim at emancipating the initiates destiny clearing and enhancing the lines of force in the wider weave of family. It is not just in the matrilineage that healing occurs however, for (Devisch: 1998, p.127, Chapter Six Treating the affect by remodelling the body in a Yaka Healing Cult) it is in the interplay of physical links and individualising relationships a person weaves through his mothers lineage with the uterine sources of life and the primary and fusional object that the Yaka cultures in Kinshasa and south-west Congo localise the origin of serious illness, infirmity and madness. The ritual allows for the rebirth of the individual, and occurs at the margins (physical and cultural) of the society. This re-sourcing of the body is very fundamentally sensory. For instance, in the period of seclusion a young Mbwoolu become body doubles, and become an inscribed body envelope that serves as his interface with the social body. It is important to note there that the Yaka identity is structured as an envelope and knot. Harmful things like thievery of sorcery are associated with this knot being tied too tightly or loosely, inversion of normal bodily functions, such as flatulence or ejaculation outside of coitus can be understood as the knot being tied too tightly or gently. The person in this sense is constructed inter-subjectively, spreading outwards in a myriad of exchanges and well formed knots. The transference to the Mbwoolu involves an enacted cosmology where the objects and the initiate are covered with a red paste. Devisch notes that the notion of the person in these ceremonies is to be found to be located at the skin level, through a myriad of exchanges. At an early stage in the ritual, the initiates and the Mbwoolu figurines are floated in water, and this is the beginning of a process that continues throughout the ritual, as the initiates skin is turned inside out. In this process, the illness is displaced onto the Mbwoolu, and his insides become a receptacle for the power of the healing ritual. The figurines become a social skin to be idealised, socialised and protected. The importance of sensory experience in the ritual is also in the moment where the master shaman bites off the head of a chicken and sprays the initiates with its blood. Devisch (ibid: 146) also talks about the importance of the fusional absorption in the rhythm and music, then (ibid) [the] tactile olfactory and auditory contacts envelop, and are finally interwoven into an increasingly elaborate utterance, by the mirrored gaze. By this Devisch is alluding to the process by which the initiate converts the primary fusional object into phenomena of identification by incorporation. In this process of incorporating the figurine into themselves, all the senses are in use. What is noteworthy and excellent in Devischs work is that while he does occasionally lapse into statements about trance-inducing music, she is clear to emphasise that sensual phenomenon are not part of a means-end relationship to induce the required result, nor are they somehow secondary to the meaning of the ritual. Rath er, he emphasises that the sensory experience is in many respects, the ritual that the experience of being covered in red clay and submerged in water and having your skin reversed cannot be separated from the transference of your illness to the statues. What Mauss (1993, p.2, Chapter I The Exchange of Gifts and the Obligation to Reciprocate) was right to emphasise when he claimed sacrifice was a total social fact was that questions of sacrifice are questions of Being first and foremost. They occupy a place were the social world is made and remade. In Devisch, what is understood to constitute the central aspects of the Yaka healing cult are sensory experience. This is very different to the understanding laid out by Van Gennep and Turner. For while Devisch makes clear that in the Yaka healing cult one is separated from society pending ones reincorporation, he does not allow the socially functional explanation to obscure what the ceremony might mean. One can see the difference if we contrast Turners work to Devischs. For Turner, the performative and sensory aspects of healing function at its normative pole, the pole at which ritual healing is a resolution of social and emotional conflict. The power of dominant symbols, for Turner, derived from their capacity to condense structural or moral norms the eidetic pole and fuse them with physiological and sensory phenomena and processes – the oretic pole. In Turner, the oretic pole, where emotional and bodily praxis is centred, is a given. For Devisch, this given in Turners work is a critical problem, for it prevents his understanding that the basis of creativity in ritual (1993, p.37, 1.6 Body and Weave: A Semantic-Praxilogical Approach) is to be sought not in liminality but in the body seen as a surface upon which the group and the life-world is inscribed. We have seen in three rituals how Van Genneps classification superficially fits the pattern of behaviour. However, like in the work of Victor Turner, we have seen that Van Gennep cannot explain the detail of rites of passage using his system of classification. In his system, the details of a ceremony become marginal, whereas for the practioners they are central. To explain such details we need to pursue a phenomenologically informed anthropology such as that which Devisch practices. For if a rites of passage is a primarily embodied experience, then the body cannot simply be a receptacle for social value rather, one would argue, it can also be a generative movement, both of meaning and of experience Bibliography Devisch, R. 1998: Treating the affect by remodelling the body in a Yaka healing cult. In Strathern Lambek, Bodies and Persons. Oxford: Oxford University Press. Devisch, R. The Cosmology of Life Transmission. pp.94-115. In, Jackson, M. (ed) 1996: Things as they are: New Directions in Phenomenological Anthropology. Indiana: Indiana University Press. Devisch, R. 1993: Weaving the Threads of Life: The Khita Gyn-Eco-Logical Healing cult among the Yaka. Chicago: University of Chicago Press. Jackson, M. 1989: Paths Towards a Clearing. Indiana: Indiana University Press. Jackson, M. (ed) 1996: Things as they are: New Directions in Phenomenological Anthropology. Indiana: Indiana University Press. Kuper, A. 1988. The Invention of primitive society: transformations of an illusion. London: Routledge Kapferer, B. 1997: The Feast of the Sorcerer: Practices of Consciousness and Power Chicago: University of Chicago Press. Levi-Strauss, C. 1965. Structural Anthropology 1. London: Penguin. Malikki, L. 1995: Purity and Exile: Violence, memory and National Cosmology among Hutu Refugees in Tanzania. London: University College Press. Mauss, M. 1993: The Gift: The Form and Reason for exchange in Archaic Societies. London: Routledge. Merleau-Ponty, M. 1962 Phenomenology of perception. London : Routledge Reed-Dahany, D. 1996: Champagne and Chocolate: Taste and Inversion in a French wedding ritual. American Anthropologist. Vol. 98, No. 4, pp. 750-761. Ricoeur, P. 1979: Interpretation Theory: Discourse and the Surplus of Meaning. Texas: Christian University Press. Turner, V.W. 1995: The Ritual Process: Structure and anti-structure. London: Aldine. Turner, V.W. 1986. The drums of affliction. Oxford: Clarendon Press. Van Gennep, A. 1909: The Rites of Passage. London: Routledge. Wittgenstein, L. 1987: Remarks on Frazers Golden Bough. London: Brynmill Press. Zumwalt, R. 1982: Arnold Van Gennep: The Hermit of Bourd-la-Reine. American Anthropologist. Vol 84, No 2, pp. 299-313.

Tuesday, August 20, 2019

Importance of Stretching and Warming Up

Importance of Stretching and Warming Up Stretching Fitness. The Importance of Warming up. Why do Gym teachers at school or college, personal trainers or sports coaches, have you warm up your body and do stretching techniques before exercising? It is for exactly the same reason that career athletes and sports professionals take their time to stretch and warm up before a practice or a match. The stretching will help greatly to prepare your body for the exercise that it is about to experience. However, before one stretches, it is usually vital, or at the least preferable, that you warm up first. Warming up does imply that you are preparing to exercise, just like getting ready. For example, in cold weather a car needs to be started and warmed up, before you move off in the car down the road. Manufacturers advise us to do this because starting up and immediately driving off is potentially damaging to the engine – the same logic applies to your body. Warming up will help to increase the temperature of your body to an optimum state while also preparing your muscles to be ready for exercise. Thus, warming up will actively help to prevent injuries to muscles, which may otherwise occur if you just start from cold and exercise. Warming up properly will also increase your heart rate, this will deliver more blood and therefore oxygen to your muscles while readying the body to burn more energy. Ideally five to ten minutes of warming up should be sufficient. You can warm up while doing the same movements that you will be doing for exercise, but just at a slower pace, like slow-motion. If you are going to run, then simply jog for those minutes to warm up, before building to your maximum and sustained effort. Preferably for all sports activities, after your body has warmed up, it is time to stretch. It is important to get into this habit because if you stretch cold muscles it will lead to injury, even a debilitating injury. But if you have prepared your muscles and they are warm, stretching correctly will reduce injuries and long term stress while also delivering to you improved flexibility, a greater range of motion, of posture and of coordination. The benefits are important and long term for you overall musculature. What is happening when you stretch the muscles? What does stretching actually do, and why can it sometimes hurt? What should stretching actually be making you feel? You do know that it is important to stretch, and that you feel the benefit after having stretched, but why is this, what happens to your muscles (and overall to your body) after a stretch session? It is all to do with flexibility. Your inherent ability to flex will come from many factors, i.e. the joints, the ligaments, your tendons and the muscles of your body. Some people, are simply born with loose ligaments and with more mobile bone joints. This is not something which you need to work on altering, for the ligaments connect the bones and are vital for the overall stability of the body. If you try to lengthen the ligaments, you will certainly face problems. Your attention in stretching is actually on the muscles, and equally on where the tendons and the muscles meet (the tendons connect the muscle to your bones). The tendons and the muscles are the important main physical structures for your flexibility efforts. It is that interface which you are concentrating upon. As well as the bone joints and the ligament structures, the muscle mass (i.e., what strength you have) will affect how supple you are and how far you can stretch. Training and conditioning affects greatly your flexibility. Focus on your muscles. How do they Work? Muscles vary greatly in their shape and their size, and they serve many different functions. Most of the larger muscles, such as the hamstrings and the quadriceps, control your motion. The other muscles, such as the heart, and muscles of your inner ear, perform different functions. However, at the microscopic level, all of the muscles of the body do share an intrinsic basic structure. At their highest level, the (whole) muscle is made up of so many strands of tissue known as fascicles. You see these strands of muscle when red meat or poultry is cut. Each fascicle is made up of fasciculi, these are bundles of muscle fibres. These muscle fibres are in turn made of several tens of thousand of thread like myofybrils, these contract, relax, or elongate. The myofybrils are also made up of several millions of bands laid end to end and known as sarcomeres. Each individual sarcomere is composed of overlapping thin and thick filaments known as myofilaments. The thin and thick myofilaments are in turn composed of contractile proteins, which are primarily actin and myosin. Your nerves connect your spinal column to the muscle. The point where the nerve and muscle connect is known as the neuromuscular junction. When electrical signals cross the neuromuscular junction, this is then transmitted deep inside your muscle fibres. Subsequently and inside your muscle fibres, the electrical signal stimulates a flow of calcium which then causes the thin and thick myofilaments to slide across each other. When this happens, it signals the sarcomere to shorten, and this generates force. Therefore when the billions of sarcomeres of the muscle shorten simultaneously, then it results in a contraction of the whole muscle fibre. If a muscle fibre contracts, it completely contracts. There is no event known as a partially contracted muscle fibre. The muscle fibres are not capable of varying in intensity during their contraction, relative to the load against which you are imposing. How then does the force of a muscle contraction result in a variance of strength from weak to strong? What occurs is that the more of the muscle fibres that are recruited, as and when required to perform the work requested of them, then the more those muscle fibres that are recruited by your central nervous system, the stronger is the force being generated by the muscular contraction. Fixator Muscles This may be a little technical and term heavy, but it will give you a better idea as to the complexity of what is actually happening in your body when movement of the body is under way. Fixators, are the muscles that provide you the necessary support that assist in holding the rest of your body in place, while movement happens. Fixators are sometimes also called stabilizer muscles. When you flex a knee, your hamstring will contract, and also, to some extent, your calf (gastrocnemius) and your lower buttocks. Meanwhile, your quadriceps are being inhibited (somewhat lengthened and relaxed) in order not to retard the flexion. In this example, the hamstring serves you as the agonist, or the prime mover and the quadricep serves you as the antagonist. The calf and lower buttocks serve you as the synergists. The agonists and the antagonists are generally found on opposite sides of the affected joint (such as your hamstrings and your quadriceps, or your triceps and your biceps), The synergists are generally located at the same side on the joint and near the agonists. Larger muscles will regularly call upon their smaller neighbours to function as synergists. The muscles are by nature extremely pliant, and they can stretch up to one and a half times their own length, whereas your tendons may be damaged permanently if they are stretched by just four percent beyond their natural length. When you are stretching a muscle, this means that it stretches out from the centre of the muscle belly, out to the point where the muscle and tendon meet. Overstretching means tissue damage. A gentle stretch will relax your muscles, allowing them to release and grow longer, yet too intensive a stretch can actually produce an inflammatory response. This means that your body is trying to repair some damage. Any time you cause yourself pain, then you are actually causing tissue damage. You do not want to create any form of pain or discomfort when you are trying to become increase your mobility while also enhancing your flexibility. Let your mind and body relax. In order for a stretch to reach the complete length of a muscle and reach deep into the muscle-tendon connections, then it is preferred that you hold each stretch for about one minute.. but don’t push it, work up to this optimum. Your stretches should be gentle. Try not to bounce when stretching, as this can damage your muscles. Stretching must never hurt you, so be sure to stop if you start to feel pain. Holding a stretch for 10-30 seconds will help your muscles lengthen. Your flexibility work, if done correctly, will produce a calming effect and even stretching before bed will help your mind and body relax, and produce a better sleep too equally your gentle stretching, will aid the body to recover and regenerate. Do not stretch if you have any injuries. Keep breathing during your stretches. Correct breathing ensures that your muscles get the oxygen required during stretching. Ensure that both sides of your body are equally stretched. It might feel natural to you to focus on a dominant side, yet one’s focus should be to stretch all muscles equally. Some propose that water is important to drink regarding your flexibility as an increased water intake is thought to contribute to better mobility, as well as enhanced total body relaxation. Stretching your neck. Tilt your head forward, but don’t rock it from side to side as this may be dangerous. Alternatively, stretch your neck to the left, then the right, go forward and backward, and return to centre. Angle your head with the ear towards a shoulder, then tilt your head backwards and roll it from left to right, then the right to the left in a 30 degree motion. Ensure that when the head is tilted backwards, you keep the jaw relaxed and even let your mouth fall open a little. Stretch the shoulder. Put an arm on the chest. Grasp your forearm with the other arm. Pull the arm until you feel your shoulder is stretching. Push the arm that you are stretching the opposite way so to contract the muscle if you notice that the chest is stretching instead of the shoulder. STATIC STRETCHING Static stretching is a traditional type of stretching that most people are more familiar with. For example, bending over and touching your toes is a great static stretch for your hamstrings and your lower back. With static stretching you will want to go to just at the point of discomfort and then hold this stretch if possible for 30-60 seconds. Go slowly at first, do not push yourself to the point of excruciating pain and so risk pulling or tearing any muscles. As you become more habituated to stretching, your pain threshold will increase and you will be able to maintain any stretches for longer and then to stretch deeper. Here are some static stretches that you can do easily. Chest. Shoulders and Biceps. Extend an arm and grasp a pole or other sturdy stationary object with one hand. Then slowly rotate the body away while keeping your posture upright. Keep going until you feel a good stretch in the chest, shoulders, and biceps. Hold this and then repeat it with the other arm. Try to do this stretch at least twice for each side. UPPER BODY STRETCH This stretch is quite easy, grasp a chin up bar and hang from it for as long as your strength will hold. You will probably feel the stretch throughout your entire upper torso. This can be repeated several times with different grips (e.g. wide, underhand, narrow, overhand). LATS/CHEST STRETCH Grab a bar or machine handle that is about waist high. Simply extend back as shown in the picture until you feel a good stretch in the lats and chest. Hold this for 30-60 seconds, take a quick rest and then repeat again. QUADS STRETCH Using a leg extension or seated leg curl machine, set the foot roller pad so that it is just lower then the height of your butt. Put the pin in the full weight stack so that the pad doesnt move. Then hook your foot over the pad as shown in the picture. And lean back and down until you feel the stretch throughout the quads. Hold this for 30-60 seconds and then repeat with the other leg. Do this stretch at least twice for each side. HAMSTRINGS STRETCH Extend your leg on a weight machine, rack, or some other object that is a bit higher then waist height. Straighten your leg and lean forward until you feel the stretch in the hamstrings. Try to grab your toes if you flexible enough, if not then just reach out as far as you can. Hold this for 30-60 seconds and then repeat with the other leg. Do this stretch at least twice for each side. LOWER BACK/HAMSTRINGS STRETCH This is pretty straight forward, just bend over with your legs straight and touch your toes. Hold this for 30-60 seconds, take a quick rest and then repeat again.

Monday, August 19, 2019

Comparrison Donnie Darko, 2001: A Space Odyssey Essay -- essays resear

Donnie Darko and 2001: A Space Odyssey has central meanings that focus on science and religion. Richard Kelly's, Donnie Darko, introduces the protagonist as a teenage boy who is given the chance to live for twenty-eight more days after the mysterious jet engine crash that was intended to kill him. Donnie is plagued by visions of a giant sized evil-looking rabbit named Frank. Frank orders Donnie to commit acts of violence, warns of the impending end of the world, and is his guide throughout the movie. Donnie is portrayed as a Christ-like figure that will ultimately travel back in time not only to redeem his actions, but the actions of those he has affected. When Donnie dies he becomes a martyr and saves the world, like Christ. Stanley Kubrick's, 2001: A Space Odyssey portrays human evolution while being guided by a higher intelligence. Although this higher intelligence is anonymous throughout the movie, it has placed mysterious stone structures known as "monoliths" on the moon, Saturn, and Earth. These monoliths have purposively been around for over 4,000 years and are a symbol of evolution. At each new level of human achievement, the monolith is present. The scene in A Space Odyssey, where astronaut David Bowman lands on the enigmatic monolith, focuses on an evolutionary theme, whereas the montage scene in Donnie Darko shows the reverse of time followed by Donnie laughing in bed awaiting death, thus unraveling an underlying Christian theme in which Donnie is Christ-like for sacrificing himself to save the world. The sequence that portrays the central meaning in Donnie Darko is disclosed in the montage, consisting of scenes throughout the movie being shown in reverse. During the montage the jet engine from Mrs. Darko’s plane is seen crashing through the sky. Normally an engine would crash into the ground, but it travels through a surreal portal, which is a sign of divine intervention. It is now known that the engine's destination is towards Donnie's bedroom, as indicated in the beginning and ending of the film. The ensuing shots are taken from scenes that occurred earlier in the movie, filmed in reverse, indicating that Donnie is traveling back into time. As the montage progresses, Donnie reads the letter that he has written to Roberta Sparrow. He says, "I can breathe a sigh of relief... ...plaining how humans have accomplished and triumphed over the physical domain, a feat that can not be attained by animals. These elements attribute to the belief that humans have reached yet a higher level of evolution. Donnie Darko and 2001: A Space Odyssey has two contrasting central meanings. Darko has a religious central meaning in which Donnie is Christ-like whereas A Space Odyssey is focused towards science and evolution. Both scenes have unique ways of portraying this central meaning. Donnie Darko uses a montage scene in which time is reversed and Donnie learns to accept his imminent death. A Space Odyssey uses a scene that takes place in a futuristic setting and the main character transforms from a physical being to a spiritual space baby. Works Cited 2001 A Space Odyssey. Dir. Stanley Kubrick. Perf. Keir Dullea, Gary Lockwood, and William Sylvester. February 3, 2004. DVD. Warner Studios, 1968. Donnie Darko. Dir. Richard Kelly. Perf. Jake Gyllenhaal, Holmes Osborne, Maggie Gyllenhaal, Daveigh Chase, Mary McDonnell, Patrick Swayze, Drew Barrymore, and James Duval. September 7, 2004. Videocassette. Fox Home Entertainment, 2001.

Sunday, August 18, 2019

The Problems with Farm Subsidies :: Economy

The Problems with Farm Subsidies Subsidies are payments, economic concessions, or privileges given by the government to favor businesses or consumers. In the 1930s, subsidies were designed to favor agriculture. John Steinbeck expressed his dislike of the farm subsidy system of the United States in his book, The Grapes of Wrath. In that book, the government gave money to farms so that they would grow and sell a certain amount of crops. As a result, Steinbeck argued, many people starved unnecessarily. Steinbeck examined farm subsidies from a personal level, showing how they hurt the common man. Subsidies have a variety of other problems, both on the micro and macro level, that should not be ignored. Despite their benefits, farm subsidies are an inefficient and dysfunctional part of our economic system. The problems of the American farmer arose in the 1920s, and various methods were introduced to help solve them. The United States still disagrees on how to solve the continuing problem of agricultural overproduction. In 1916, the number of people living on farms was at its maximum at 32,530,000. Most of these farms were relatively small (Reische 51). Technological advances in the 1920's brought a variety of effects. The use of machinery increased productivity while reducing the need for as many farm laborers. The industrial boom of the 1920s drew many workers off the farm and into the cities. Machinery, while increasing productivity, was very expensive. Demand for food, though, stayed relatively constant (Long 85). As a result of this, food prices went down. The small farmer was no longer able to compete, lacking the capital to buy productive machinery. Small farms lost their practicality, and many farmers were forced to consolidate to compete. Fewer, larger farms resulted (Reische 51). During the Depression, unemployment grew while income shrank. "An extended drought had aggravated the farm problem during the 1930s (Reische 52)." Congress, to counter this, passed price support legislation to assure a profit to the farmers. The Soil Conservation and Domestic Allotment Act of 1936 allowed the government to limit acreage use for certain soil-depleting crops. The Agricultural Marketing Agreement Act of 1937 allowed the government to set the minimum price and amount sold of a good at the market. The Agricultural Adjustment Act of 1938, farmers were given price supports for not growing crops. These allowed farmers to mechanize, which was necessary because of the scarcity of farm labor during World War II (Reische 52). During World War II, demand for food increased, and farmers enjoyed a period of general prosperity (Reische 52).

Saturday, August 17, 2019

Regulatory Competition Among Accounting Standards Within and Across International Boundaries

Financial statements that are simple and comparable to the general public may not be in the best interest of the managers. Managers like to manipulate ?nancial reports to suit their own interests. Financial reporting would be easy to just report whatever is in the cash till. Despite the fact that financial reporting would be simplistic, it is better to have complex account than a simple financial reporting. There is no perfect standard for any corporations in the world. An ever changing corporate world makes it harder to ascertain for the prefect standard.However, experimentation with alternatives in a competitive regulatory environment generates data to help identify with the most wanted accounting standards. No single set of standards has been shown to be the best suited for all ?rms. The argument for regulatory monopoly in accounting is often based on the assumption that in the absence of such regulation, there will be no standards. Financial reporting standards act as a template to prevent managers from taking advantage of the shareholders cost of capital and fraudulent behaviour or thoughts.Despite being a set of rules, the financial reporting standards still has its leeway from country to country. With a centrally planned accounting standards, standards setters are susceptible to lobbying pressure especially when disagreement arises between varies interest party. On the contrary, with regulatory competition, standards setters can avoid the lobbying pressure. This is because those who do not like the standard can freely choose another one that is suitable. Analysis For the first claim above, I agree that a simple financial report is favourable to the public but not so to the managers.However, this may not always hold true as it may paint a biased picture favourable towards the managers. This is mainly attributed to the manipulations of the financial report for their own interest. In addition, a financial reporting that only reports the cash in the till wou ld eliminate all the complexity of financial reporting. However, I feel that a complex financial report that depicts the true situation of a company is better than a simple financial statement that just only accounts for whatever is in the till.Having guidelines may be easier for financial reporting but it may leave out certain â€Å"hard to count† assets and liabilities which are crucial in preparing an impartial financial report for the public. Therefore, I agree with the author that a complex financial report that may arise from regulatory competition is better and more precise compared to a guided and simple financial report. Secondly, my apprehension with the experimentations of alternatives is that in reality, corporation may not have the time or resources to try out different alternatives.A failed experimentation with an alternative accounting standard may negatively affect the capital that will be invested in the company by investors. However, I do agree with the auth or that experimentation with different standards through regulatory competition will eventually lead to the perfect accounting standard for every corporation. This is due to the ever changing rules selected in accounting standards through regulatory competition. 3 No single standard setter knows the perfect standards for different industries and circumstances.Hence, I believe that in order to have the perfect standards it is for the best to leave it to the market. Like I have mentioned above, accounting rules are always carefully chosen according to different regulatory competition. Just like the laissez faire concept. Hence, with regulatory competition, the market will decide which standards are the best by allowing corporations to experiment with alternatives. Subsequently, the main argument favouring the harmonisation of accounting tandards is the fear of having no standard with competitive regulations. However, better firms can engage the best quality of audit as an attempt to c onvey their quality over to investors. 2 Firms can convey such message by paying a price premium charged by audit ?rms, which are perceived to provide services of higher quality. This further proves that even without regulations there will still be standards; in fact the reports prepared will be better quality as better audit firms are employed.The up side of using accounting standards set by standard setters is that it is prescriptive. I agree with the writer that in this case, by having prescriptive standards are actually positive as it restricts managers from exploiting the cost of capital belonging to the shareholders. In addition, not all standards that are prescriptive lack flexibility which will hinder professional judgement. An example would be the flexibility between UK GAAP, US GAAP as well as International GAAP despite all coming under the same accounting standards.Finally, I disagree with the author to a certain extend that it will lessen the lobbying pressure. I believe that having regulatory competition may provide for more lobbying opportunities as pressure to conform to authorities who are usually the big corporations or political government are futile to resist. 4 Nevertheless, I agree with the author that regulatory competition will not eliminate lobbying pressure but lessen it. With regulatory competition, accounting standards are diversified hence reducing its vulnerability to lobbyist.Critical appreciation Throughout the whole paper, the author has a strong stand on the differentiation of accounting standards by putting more weight on discussing on the advantages of regulatory competition that arises from differentiated accounting standards. Even though there are discussions on the advantages of having standards towards the end of the paper, there is not much emphasis. However, I agree with the author that his arguments for regulatory competition are not for the elimination of accounting standards.I strongly believe in the Pareto efficient solution for setting accounting standards; for every accounting standards set it will not benefit everyone but as long as it benefits the majority it will be a considerably good standard. Overall, I love this article as it opens up my mind regarding the benefits we can get by adopting regulatory competition by having different accounting standards at the same time emphasised about the consequences of just having regulatory competition.