Thursday, October 31, 2019

Essay on a religious leader - Abu Hanifa Annotated Bibliography

Essay on a religious leader - Abu Hanifa - Annotated Bibliography Example When Hanifa was growing up, the people around him were being oppressed by the rule of Abdul Malik bin Marwan. At this time also, Al-Hajjaa ibn Yusuf was the governor of Iraq. Yusuf was a staunch follower of Abdul. Amazingly, these issues did not affect Hanifa in any way. He never pursued any elementary education, instead choosing to be a businessman just like his ancestors. . His earliest business was a silk waving shop. Here, his fairness and honesty were exhibited. Hajjaj and Abdul died in 95AH and AH respectively, and this marked the start of fair rule in the area (. Good administration and justice prevailed in the land unlike in previous regimes. The new ruler, Umar encouraged and promoted education all over the land. He was so passionate about education such that every homestead was a Madrassah. As a result of this, Abu Hanifa started taking an interest in education (Khan 67). His quest for education was boosted by the advice of as-Sha’bi, a respected scholar in Kufa. His keen interest in education would later have a profound effect on Islam. Madrassahs were Hanifa’s earliest source of education. Through this, Hanifa was able to learn about the Quran and Hadith. A jurist in kufa called Hammad assisted Hanifa greatly in his quest for Islamic studies (Umar-ali-qadri 42). Hanifa performed very well in his studies. Abu Hanifa declined a post in 763 by al-Mansur to be the Chief Judge. Hanifa wanted to remain independent. However, his students benefitted from his tutelage. One of them, Abu Yusuf was instead appointed the Chief Judge of the State instead of him. When declining the post, he asserted that he was not fit for the post, a fact that illustrates his humility. Mansur was incensed by his decision to refuse his appointment (Sachedina & Esposito 176). He branded him a liar, but Hanifa responded to this by asking him that if he was indeed a liar,

Tuesday, October 29, 2019

Women in Politics Essay Example for Free

Women in Politics Essay It has been proven over and over many times that women have the abilities to do the same jobs as men, but as a society we tend to discourage women when they are trying to get in the fields of politics and government. No longer is the excuse that family is what is pulling women back when it comes to job opportunities, it is what society has chosen as what roles women should and shouldn’t take part in. The more we encourage women in running for offices, the more there will be women in office, and therefore we would have a broader view of issues that need to be solved. If the United States marches proudly on how its state’s people are equal and the government diversified why is that women only hold less than 20% of congressional seats, when the women population is approximately 161 million while the male population is 156.1 million? Surprisingly enough, the percentage of voters that were women in the U.S was 63.7% comparing that to men, which were 59.7%. Why are not more women being supportive of their fellow women? The benefits of having more women in office not only show how far we have come as a country but it has been proven that women who run for office have more bills passed that deal with issues like the environment, families, civil rights, and violence prevention. â€Å"Other studies have found that women legislators—both Republican and  Democrat—introduce a lot more bills than men in the areas of civil rights and liberties, education, health, labor and more.  Globally, research has shown that ethnically diverse and divided nations that elect women rather than men to key national leadership offices end up with better economic performance† (Hill). Women can bring issues of importance that men feel are not as important. This does not mean that men are inferior or ignorant of the issues; it is just the matter of different  perspectives. With more women in office, more issues can be brought to light. This introduces the people with more options to vote for and bills to pass that will help families and the economy. If all the science calculates the benefits of women in government, the only thing that hasn’t been put into consideration is society’s view on a women role. Since the dawn of ages, we have lived in a patriarchal family where men are in charge of the business and bringing food to the table, while women care and nurture for the children and her husband. â€Å"In patriarchally organized societies, masculine values become the ideological structure of the society as a whole. Masculinity thus becomes â€Å"innately† valuable and femininity serves a contrapuntal function to delineate and magnify the hierarchical dominance of masculinity† (Devor 393). When the people see a man and women running for the same position, they look to the man as having more â€Å"power† and â€Å"authority† which can then lead them to believe they can handle and control situations better. As a society we believe that the women should be submissive, and men to be dominate. When women in the workplace are more demanding they are perceived as â€Å"bossy† and having a rude manner, but when men act the same way, we let them be because we are so used to the idea of them being more assertive. These are the biases and stereotypes we as a society need to change in order to see that anyone can do the same job. A politicians gender shouldn’t effect their work habits. In media women are perceived as â€Å"emotional† and that their intentions are only focused in family issues, when in reality that is not the case. In order for society to give women opportunities in our government, we the people need to reevaluate our own thinking and perceptions. We as a society need to encourage our women to run for offices in government. According to the WCF foundation, number one reason why there are so few women in power is because on average women candidates tend to raise less money for fundraising comparing to their male counterparts. Also, on the off-chance that media isn’t reporting about the private life of a women running in office, women tend to get less media coverage, especially on the issues they are concerned with. â€Å"†¦media reports on womens issues—like abortion and birth control—men are quoted some five  times more than women are. And that affects the coverage of women in politics† (Dawn). If we can just get more media coverage on how women can contribute to politics on issues not just family issues, we can illuminate a way for people to see broader issues that need to be tended. In order for our country and people to work together we must take inconsideration of diversity in the government. The way we think and our patriarchal system needs to be reformed. As Jennifer Lawless said, â€Å"Its important that we separate out political conditions from the sex of the candidate because otherwise were just perpetuating this myth that women cant get elected. If we are continuously focusing on gender and the person who is in charge and not their ideals or what issues they are trying to combat, then we lose focus of a ‘government’. Strong- female politicians can also set an example to younger generations in the future, and create a more efficient government. Works Cited Dawn, Aurora. Percentage of Women in Government Worldwide. The Gender Gap. Daily Kos, 27 Sept. 2012. Web. 13 Feb. 2015. Devor, Aaron H. â€Å"Becoming Members of Society: Learning the Social Meanings of Gender.† Rereading America: Cultural Contexts for Critical Thinking and Writing. Ninth ed. Boston: Bedford/St.Martins, 1992. 387-396. Print. Giang, Vivian. What Men And Women Really Think About Gender Equality In The Workplace. Business Insider. Business Insider, Inc, 21 Aug. 2013. Web. 16 Nov. 2014. Hill, Steven. Why Does the US Still Have So Few Women in Office? Why Does the US Still Have So Few Women in Office? The Nation, 7 Mar. 2014. Web. 11 Feb. 2015. Kimmel, Michael. â€Å"Bros before Hos: The Guy Code.† Rereading America: Cultural Contexts for Critical Thinking and Writing. Ninth ed. Boston: Bedford/St.Martins, 1992. 461-470. Print. Waber, Ben. What Data Analytics Says About Gender Inequality in the Workplace. Bloomberg Business Week. Bloomberg, 30 Jan. 2014. Web. 16 Nov. 2014. Women by the Numbers. Infoplease. Infoplease, n.d. Web. 12 Feb. 2015.

Sunday, October 27, 2019

Density Functional Theory (DFT): Literature Review

Density Functional Theory (DFT): Literature Review Theoretical Background and Literature Review 2.1 Density Functional Theory This section covers basics about Density Functional Theory (DFT), which is the theoretical method behind our investigations. For those who are interested in a much more deep knowledge about the DFT we refer to textbooks such as [29] and [30]. 2.1.1 History of Density Functional Theory To get precise and accurate results from both theoretical and computational methods, the scale of physical phenomena must be well defined. In physics and material science the relevant scales of matter are time and size. In computational material science, for the multiscale understanding in both time and size scale the smallest relevant scale of atomic interactions are best described by ab initio techniques. These techniques are based on the determination of electronic structure of the considered materials and an intelligent transfer of its characteristics to higher-order scales using multidisciplinary schemes. More specifically, if the interaction of electrons is solely described using universal principles such as the fundamental laws of quantum mechanics condensed in the Schrodinger equation, these simulations are called firstprinciples, or ab initio methods. One can also separate those methods as Hartree-Fock and post-HF techniques that mainly uses by quantum chemistry field and De nsity Functional Theory (DFT) which is typically used in of material science. Ab initio simulations are becoming remarkably popular in scientific research fields. For example in DFT case, in a simple search at Web Of Science [31] or any other publication search tool, one can easily see that number of publications that include †Density Functional Theory† in their title or abstract is over 15000 in 2013. Therefore, it can be concluded that, ab initio based research already an important third discipline that makes the connection between experimental approaches and theoretical knowledge. Figure 2.1: Usage trend of DFT over years Within ab initio simulations quantum mechanical equations for any system that may be ordered or disordered are solved. That actually gives one drawback which is, solving that kind of equations is generally only possible for simple systems, because of the expensive electron-electron interaction term. So, in general, the ab initio simulations are restricted to 150-200 atoms calculations with most powerful computer clusters. Due to the that severe limitation, better techniques and methods are developed and implemented to bring the real materials into realm of ab initio simulations. The major development of ab initio methods with practical applications took place when many electron interactions in a system was possible to be approximated using a set of one electron equations (Hartree-Fock method) or using density functional theory In 1927, Thomas [32] and Fermi [33] introduce a statistical model to compute the energy of atoms by approximate the distribution of electrons in an atom. Their concept was quite similar to modern DFT but less rigorous because of the crucial manybody electronic interaction was not taken into account. The idea of the Thomas and Fermi was that, at the starting point for simplicity that electrons do not interact with each other and using classic terms, therefore, one can describe the kinetic energy as a functional of electron density of non-interacting electrons in a homogeneous electron gas. 3 years later, in 1930, Dirac [34] succeeded to include the many-body exchange and correlation terms of the electrons and actually he formulated the local density approximation (LDA), that is still used in our days. However, the Thomas-Fermi and Dirac model that are based on homogeneous electron gas do not cover the accuracy demand in current applications. In same the years as Thomas and Fermi, Hartree [35] also introduce a procedure to calculate approximate wavefunctions and energies for atoms and that was called Hartree function. Some years later, to deal with antisymmetry of the electron system, his students Fock [36] and Slater[37], separately published self-consistent functions taking into account Pauli exclusion principals and they expressed the multi-electron wavefunction in the form of single-particle orbitals namely Slater-determinants. Since the calculations within the Hartree-Fock model are complicated it was not popular until 1950s. The fundamental concepts of density functional theory were proposed by Hohenberg and Kohn in their very well known paper in the year 1964 [38]. The main idea was trying to use the electron density instead of complex and complicated wavefunction. A wavefunction contains 3N variables, where N is the number of electrons and each electron has 3 spatial degrees of freedom. In contrast to that electron density contains only 3 variables. Therefore, the implementation of the electron density with 3 variables will be more easy to handle than 3N wavefunction variables. In their work, Hohenberg and Kohn proved that all ground state properties of a quantum system, in particular the ground state total energy, are unique functionals of the ground state density. However, the Hohenberg-Kohn (HK) formulation is not useful for actual calculations of ground state properties with enough accuracy. A major improvement was achieved one year later, in 1965. Kohn and Sham [39] proposed a formulation by partially going back to a wavefunction description in terms of orbitals of independent quasi particles. The main idea was that the many-body problem can be mapped onto a system of non-interacting quasiparticles. This approach simplified the multi-electron problem into a problem of non-interacting electrons in an effective potential. This potential includes the external potential and the effects of the Coulomb interactions between the electrons, e.g., the exchange and correlation interactions. Since then up to now the Kohn-Sham equations are used in practically all calculations based on DFT. 2.1.2 Schr ¨odinger’s Equation In quantum mechanics, analogue to Newtons equations in classical mechanics, the Schr ¨odinger equation is used. This is a partial differential equation and used to describe the physical quantities at the quantum level. The Schr ¨odinger equation forms the basis of many ab initio approaches and its non-relativistic form is an eigenvalue equation of the form: HˆÎ ¨(ri,Rj)= EÃŽ ¨(ri,Rj) (2.1) where ÃŽ ¨(ri,Rj) is the wavefunction of the system depending on the electron coordinates ri,i =1N and the coordinates of all nuclei in the system Rj,j =1M. Hˆis the Hamiltonian of a system that contains M nuclei and N electrons. Therefore, the Schr ¨odinger equation that involves both nuclei and electrons has to be solved for the many-body eigenfunctions ÃŽ ¨(r1,r2, , rN ; R1,R2, , RM ). The many-body Hamiltonian can be written in the form: Hˆ= Tˆe + Tˆn + Vˆnn + Vˆen + Vˆee (2.2) ˆˆ where all of parts are operators. Te and Tn are the kinetic energies of the ˆˆ electrons and nuclei, respectively. Ven, Vee and Vˆnn represent the attractive electrostatic interaction between the electron and the nuclei and the repulsive potential due to the electron-electron and nucleus-nucleus interactions. One can also write them down explicitly: N f2 ˆ Te = − 2 i (2.3) 2me i=1 M 2Mn n=1 f2 ˆ Tn = − 2 n (2.4) 11 M ZnZme2 = (2.5) 4Ï€ 0 2 |Rn − Rm| =1;n,mn =m ˆ Vnn ˆ Ven = − 11 MN Zne2 (2.6) 4Ï€ 0 2 |ri − Rn| n=1 i=1 j= M e = (2.7) 4Ï€ 0 2 |ri − rj| i,j=1;i 2 11 ˆ Vee where me and Mn are the electron and nuclei masses, Zn is the nuclear number of the n-th atom, e is the electronic charge and f is the Planck constant. For simplicity one can also use atomic units. Then the Hamiltonian takes the form: NMM ZnZm in 22 |Rn − Rm| i=1 n=1 n,m=1;n =m 1 1 ˆ H = − 2 2 − + (2.8) j= MNMZn − + |ri − Rn||ri − rj| n=1 i=1 i,j=1;i 2.1.3 Born-Oppenheimer Approximation It is clear that forces on both electrons or nuclei is in the same order of magnitude because of their electric charge. Therefore, the expected momen 1 tum changes due to that forces must be the same. However electrons are much smaller than nuclei (e.g. even for Hydorgen case nuclei nearly 1500 times larger than an electron) they must have higher velocity than nuclei. One can conclude that electrons will very rapidly adjust themselves to reach the ground state configuration if the nuclei start moving. Born and Oppenheimer [40] published their work in 1927, they simply separated the nuclear motion from electronic motion which is now known as the Born-Oppenheimer approximation. Therefore, while solving the Hamiltonian Equation in (2.8) one can simply assume nuclei as stationary and solve the electronic ground state at first then calculate the energy of the system in that configuration and solve the nuclei motion. Then the separation of electronic and nuclear motion leads to an separation of the wavefunctions ÃŽ ¨ = ψφ of electrons and nuclei, respectively. Via the separation one can treat the nuclear motion externally by not in cluding the Hamiltonian and the â€Å"electronic† Hamiltonian can be written as: Hˆe = Tˆe + Vˆen + Vˆee (2.9) Solving the equation (2.9), one can get the total energy of the ground state of the system, which can be defined as: E0 = ψ0|He|ψ0 + Vnn (2.10) where E0 is the ground state total energy of the system and ψ0 is the eigenfunction of the electronic ground state. 2.1.4 Hohenberg-Kohn Theorem However, the Hamiltonian in Equation (2.9) is quite complicated to solve for realistic systems due to the high number of electrons and especially the term Vee makes it impossible to solve the problem exactly. Therefore, instead of solving the many-body wavefunctions, Hohenberg-Kohn deal with that problem by reducing it to the electron density Ï (r). This approach makes the fundamentals of DFT. According to Hohenberg and Kohn, the total energy of the system can be defined via the electron density as E = E[Ï (r)] and it will be the minimum for the ground state electron distribution, namely Ï 0(r). Therefore, the exact theory of many-body systems reduced to the electron density that can be defined as: Ï (r)= d3 r2d3 rN |ψ(r1, rN )|2 (2.11) and has to obey the relation: Ï (r)d3 r = N (2.12) where N is the total number of electrons in the system. One can also summarize the HK theorem in the form of the two main theorems, Theorem I : The external potential vext(r), which is the potential energy generated by the nuclei, can be determine from the ground state electron density Ï 0(r). Then Hamiltonian will be fully defined, also the wavefunction for the ground state will also be known. Theorem II : E0,the ground state total energy of the system with a particular vext will be the global minimum when Ï  = Ï 0. From the perspective of these two theorems one can write down the total electronic energy as: E[Ï ]= Te[Ï (r)] + Ï (r)vext[Ï (r)] + EH [Ï (r)] + Exc[Ï (r)]d3 r (2.13) One can also add the kinetic energy of the electrons T − e[Ï (r)], the classical Coulomb interaction (or Hartree interaction) between electrons EH [Ï (r)] and the remaining complex non-classical electron exchange correlations Exc[Ï (r)] into an universal functional FHK [Ï (r)]: E[Ï ]= FHK [Ï ]+ Ï (r)vext[Ï (r)]d3 r (2.14) The remaining will be to apply the variational principle to extract the ground state energy ÃŽ ´E[Ï (r)] |Ï =Ï 0 = 0 (2.15) ÃŽ ´Ã (r) 2.2 Kohn-Sham Equations However, the Equation (2.14) does not give an accurate solution. In that point, Kohn and Sham reformulated the current approach and introduced a new scheme by considering the orbitals by mapping the fully interacting electronic system onto a fictitious system of non-interacting quasi particles moving in an effective potential.The Kohn-Sham equations solution can be written as: ˆ HKSψi = iψi (2.16) where the Hamiltonian is HˆKS =[− 1 2 + Veff (r)] (2.17) 2 Therefore, the problem of finding the many-body Schr ¨odinger equation is now replaced by solving single particle equations. Since the KS Hamiltonian is a functional of just one electron at the point r then the electron density can be defined according to HK theorem: occ. Ï (r)= |ψi(r)|2 (2.18) i=1 Besides, kinetic energy term and the classical Coulomb interaction energy of the electrons can be define as: N 1 d3 Te = − r|ψi(r)|2 (2.19) 2 i=1 1 Ï (r)Ï (r ) EH [Ï ]= d3rd3 r(2.20) 2 |r − r | Then the Hohenberg-Kohn ground state energy cn be written according to Kohn-Sham approach: N ÃŽ ´Exc EKS = i − EH [Ï ]+ Exc − (2.21) ÃŽ ´Ã (r) i i are the one electron energies and are coming from the results of KS equations results, however it has low physical meaning. The most significant term in the Equation (2.20) is the last term. which is the exchange correlation term that contains all the many-body interactions of exchange and interactions of the electrons. One can also write down it as in the form of Hohenberg-Kohn universal functional from the equation: Exc[Ï ]= FHK [Ï ] − (Te[Ï ]+ EH [Ï ]) (2.22) The total ground state energy can be obtained from EKS in Equation (2.21). Since it contains only the electronic energy, the total ground state energy of the system is calculated by adding the nuclei-nuclei repulsion term: E0(R1, , RM )= i − EH [Ï 0]+ Exc[Ï 0] − vxcÏ 0dr + Vnn(R1, , RM ) (2.23) where E0 is the total ground state energy for a given atomic configuration (R1, , R2). Therefore, the total energy depend on ionic positions that is actually depends on the volume and cell shape, so one can easily compute the ground state structure by minimizing the total energy. Also one can find the force acting on the particular atom, say atom A, by taking the derivative of the energy with respect to ionic position of A: ÃŽ ´E0(R1, .., RM ) FA(RA) = (2.24) ÃŽ ´RA which also shows the total energy dependence on atomic positions. 2.3 Calculating the Exchange-Correlation Energy The derived and brieà ¯Ã‚ ¬Ã¢â‚¬Å¡y explained KS equations from the fundamentals of all modern DFT calculations today. The most important point in the solution of KS equations are the exchange-correlation functional Exc which also determines the quality of the calculation. There are two well known approximation methods to get the exchange correlations: local density approximation (LDA)[39] and generalized gradient approximation (GGA)[41, 42]. 2.3.1 Local Density Approximation The local density approximation starts with a very simple approximation that, for regions of material where the charge density is slowly varying, the exchange-correlation energy at that point can be considered as the same as for a local uniform electron gas of the same charge density. In that case one can write the Exc as: Exc = Ï (r) xc(r) (2.25) where xc(r) is the exchange correlation energy per electron in an homogenous electron gas of density Ï (r). Even though the approximation is seemingly simple it is suprisingly accurate. However, it also has some drawbacks such as under-predict on of ground state energies and ionisation, while overpredicting binding energies as well as slightly favouring the high spin state structures and does not work fine for some systems where the charge density is rapidly changing. 2.3.2 Generalized Gradient Approximation Knowing the drawbacks of LDA the most logical step to go beyond LDA is not to limit oneself to the information about the charge densitiy Ï (r) at a particular point r, but also adding the information about the gradient of the charge density Ï (r) to be able to take into account the unhomogeneous density in the system. Then one can write the exchange correlation energy as : Exc[Ï ]= f(Ï , Ï )dr (2.26) That way of description leads to an improvement over LDA, nevertheless in some systems LDA still works better. There also several different parameterizations of GGA while in LDA its only one. In GGA some of these parameterizations are semi-emprical, in that experimental data (e.g. atomization energies) is used in their derivation. Others are found entirely from first principles. A commonly used functional is the PW91 functional, due to Perdew and Yang [43, 44] and most commonly used today is PBE [45, 46] by Perdew, Burke and Ernzerhof. 2.4 Ultra-Soft Pseudopotentials and the Projector-Augmented Wave Method In the previous section, the calculation of Exc is described. Nevertheless this is not the single sensitive point of DFT calculations. The other point is the treatment of the electron-nuclei interaction. There are several available methods that describes the electron-nuclei interaction, but the most effective

Friday, October 25, 2019

Ten Guiding Principles for Organizations Essay -- Business Management

Ten Guiding Principles Introduction Every organization’s success depends on the organization’s ethical behavior and accountability for its actions. Nonprofit organizations are no different. On the contrary these organizations have a greater difficult in succeeding. Each aspect of a nonprofit organization requires the time, energy, strength, passion and fortitude of simple individuals who have the vision and mission of the organization at hand. This essay will explain and use Florence Green’s ten guiding principles as indicated by Ronald Riggio and Sarah Orr, share a Guam nonprofit organization and how it measures up to the ten guiding principles. Green’s Ten Recommended Guiding Principles As indicated by Riggio & Orr (2004), the following are the ten recommended guiding principles that non-profit organizations must do in the twenty-first century: (a) become a learning organization; (b) become a transformational leader; (c) form strategic alliances; (d) give accountability and ethical behavior top priority; (e) develop indicators that measure the consequences on the community; (f) adopt results-based budgeting tied to indicators; (g) financially empower the organization so that it can do more mission over time; (h) creatively rethink resource development governance, and management styles; (i) adopt a vision and a mission that incorporate diversity; (j) be at the table (as explained by Green, 2004, p. 19-35). Leaders must commit to utilizing the guiding principles their non-profit organizations can further promote and provide the awareness and service that they sent out to accomplish. Principle One: Become a learning organization. With the first guiding principle nonprofit organization want to continue to expand its ide... ...nd its stakeholders. With the open awareness of HIV/AIDS, there is more legislation that is being introduced and more public or private testimonies must be heard. Conclusion In conclusion, the Guahan Project analysis which was directed by Florence Green’s ten guiding principles indicated that this non-profit organization is on the right track and so long as it keeps to its vision, mission and objective to include diversification whenever necessary, it will succeed. Non-profit organizations like Guahan Project, promotes opportunities for all to volunteer or contribute to a worthwhile cause. Works Cited Aidsportal (2010). Guahan project, Guam HIV/AIDS Network. Retrieved from http://www.aidsportal.org/Organisation_Details.aspx?orgid=1455 Riggio, R. & Orr, S. (2004). Improving leadership in non-profit organizations. San Francisco, California: Jossey-Bass.

Thursday, October 24, 2019

Barangay health center informayion system Essay

The Barangay Health Care Management Information System is a community-based and patient-directed organization. Its goal is to provide first aid, maternal and child health care, diagnosis of social diseases, and other basic health services to all the members of the community it is serving. Primary Health Care is one of the top priorities of the city government. This is proven by the existence of barangay health center. It is usually the first point of contact between residents of the community and other health care facility levels. Health Care gives high importance to education, nutrition, preventive medicine and treatment of the most common diseases and injuries. It is considered as a practical means of giving any form of health care for every people that live in Barangay. Barangay Health Center services are regulated by the (DOH). Projects may be spearheaded by each Center under the supervision of the local government and the municipal health officer. Every health Center is equipped to provide primary level of health care. Barangay Health Center is commonly staffed of doctors, public health nurses, nutritionists, medical technicians, rural health midwives, Barangay health workers dentists, etc. The goal of Health Center is beneficial for all. It aims to reduce health exclusion and social disparities. It helps in organizing health services according to people’s needs and expectations. It also works on integrating health into all sectors. Barangay Health Workers live in the communities they serve, and act as change agents in their communities. They provide information, education and motivation services for primary health care, maternal and child health, child rights, family planning and nutrition. They may administer immunizations and regular wei ghing of children. They often assist midwives in providing birthing services. Health Center management information systems are information management system that capture and display data related to the delivery of health care services. And health Center  management information system is not just a system of computers and software. It includes clinical guidelines, medical terminology dictionaries, and interfaces the various diagnostic devices and other clinical and business information databases, such as laboratory, pharmacy and diagnostic imaging. It is also used for public health and medical research purpose.

Tuesday, October 22, 2019

Islamic Political Economy in National Development

GMGF5324 POLITICAL ECONOMY ASSIGNMENT: ISLAMIC POLITICAL ECONOMY IN NATIONAL DEVELOPMENT PREPARED FOR: DR. KAMARUDDIN ABDULSOMAD PREPARED BY: FATIN HANANI BINTI TARMIDZI 1. WHAT KIND OF NATIONAL DEVELOPMENT HE WAS MENTION? 2. WHAT APPROACH HE DISCUSS IN HIS TALK? 3. YOU COMMENTS? â€Å"The Economic Philosophy of National Development† is the title of what has been presented by Lt. Kol. Prof. Dr. Abdul Razak Chin. He had explained a lot of brilliant ideas on political, national development, mercantilism, Islamic thought and also Islamic political economic in order to develop the nation.First of all, what is economic philosophy that very important in order to achieving the national development? What is philosophy that he had explained in his talk and what kind of philosophy that had be the main key nowadays? According to Lt. Kol. Prof. Dr. Abdul Razak Chin, philosophy in general is philosophy is that branch of knowledge which relates to the concept of divinity. Besides that, with philosophy that we had use, we will endeavor to find the truth and achieve success. Al-Farabi (339H-950M) had explained that philosophy in the context of the love of wisdom or wisdom, and also become cord to every branch of science.In addition, al-Farabi also refers wisdom as makrifullah – a way to know God. Based on my understanding, philosophy is a reflexive question in the threefold sense: it is about philosophy, it is raised by philosophers themselves and, last but not least, it represents an old and difficult philosophical problem. This multiple reflexivity is the reason why trying to find out what philosophy is inevitably becomes not only a way of dealing with philosophy but actually the way of doing philosophy. Once we start discussing philosophy we cannot scape its intellectual grip. Then, he also mentions in his talk that the human needs are no limitation. Human will gain and earn everything that they want as long as they can achieve their mission, target and etc. S econdly, he had explained about national development that had been a main point in his talk. National development refers to the process of national development and to lead a sustainable level of repairs and improvement. National development is also very concerned about the economic development refers to the index per capita.If the index of per capita income at constant rate surpassed the national population growth rate, which means place of steady economic growth and the result is the development of the country. In his talk, he has focus on Islamic political economy in national development. He has explained about the dimension of Islamic development. In order to achieve national development in term of Islam, we need to focus on the three main points. There are dharuriyyat (essential goods), hajiyyat (comfortable), and kamaliat/tahsiniyyat (luxury needs). These three main points should base on syarie or Islamic law.Based on my understanding, we need to balance and equals developing t he nation based on Islamic law and also consider the citizen needs and interest. As a leader and elites itself, the welfare of the citizen very important includes the economis, social life, health care, education etc. Without the citizen especially middle class and workers who are the agents of society and ruling the institution or country, it may affect the country and the economic. It means without them especially the citizens itself; government cannot move and implement their policy.It also may affect the national development. Therefore, I can see how relate the concept of Islamic with national development. Without the relation or combination of national development in Islamic concept, there are many problems that country to solve. According to Lt. Kol. Prof. Dr. Abdul Razak Chin, specifically, an understanding of the economy is appropriate emphasis to the issue of how people use resources and factors of production to achieve well-being (welfare) life (falah) in this world and th e hereafter.Thus, there are seven core areas of the economy to complement the welfare of individuals, communities and nations. * Economic activity based on good intentions and purposes. * Reasonableness obligatory on Kifayah. * Business world without compromising herafter. * Avoid illegal transactions (haram) and syubhah. Last but not least, mercantilism is economic nationalism for the purpose of building a wealthy and powerful state. Adam Smith coined the term â€Å"mercantile system† to describe the system of political economy that sought to enrich the country by restraining imports and encouraging exports.The goal of these policies was, supposedly, to achieve a â€Å"favorable† balance of trade that would bring gold and silver into the country and also to maintain domestic employment. In contrast to the agricultural system of the physiocrats or the laissez-faire of the nineteenth and early twentieth centuries, the mercantile system served the interests of merchants and producers such as the British East India Company, whose activities were protected or encouraged by the state.The basic proposition of Mercantilism is that the state should aim to maximize it's wealth through one-way trade with other countries, maximizing exports and keeping imports to a minimum. The developing countries are in debt due to letalknding policies with interest that they can't pay back, the developed countries export goods into these countries whilst making it very hard for the developing countries to export their own goods in return. The richer are getting richer and the poorer are getting poorer. This is what is happening now.This is mercantilism. My Comments In my opinion, Lt. Kol. Prof. Dr. Abdul Razak Chin has explain details about the Islamic perceptions on national development. He has explain base on Islamic concept that includes world and hereafter (akhirah). He also has described the Islamic concept and theory based on a few Islamic thinkers thought. For ins tance, the sustainability in the country should follow the Islamic concepts. Citizens have their own rights and freedom, and they also the people that increase the national economic and development.Hopefully, I can join this Inaugural Professional Talk again next time. A very brilliant and knowledgeable talk by a educated level like Prof. and Dr presented during that time and all the postgraduate candidates need to attend to gain knowledge and experience. Thank you to Dr Kamaruddin because give me a chance to attend that talk last week. Hopefully, I will grab the opportunity and keep it as my great moment attend the talk with very special conditions and environment. Being around lecturer makes me to be a lecturer or civil servants in future!

Monday, October 21, 2019

Basal Ganglia Function and Location

Basal Ganglia Function and Location The basal ganglia are a group of neurons (also called nuclei) located deep within the cerebral hemispheres of the brain. The basal ganglia consist of the corpus striatum (a major group of basal ganglia nuclei) and related nuclei. The basal ganglia are involved primarily in processing movement-related information. They also process information related to emotions, motivations, and cognitive functions. Basal ganglia dysfunction is associated with a number of disorders that influence movement including Parkinsons disease, Huntington disease, and uncontrolled or slow movement (dystonia). Basal Nuclei Function The basal ganglia and related nuclei are characterized as one of three types of nuclei. Input nuclei receive signals from various sources in the brain. Output nuclei send signals from the basal ganglia to the thalamus. Intrinsic nuclei relay nerve signals and information between the input nuclei and output nuclei. The basal ganglia receive  information from the cerebral cortex and thalamus through input nuclei. After the information has been processed, it is passed along to intrinsic nuclei and sent to output nuclei. From the output nuclei, the information is sent to the thalamus. The thalamus passes the information on to the cerebral cortex. Basal Ganglia Function: Corpus Striatum The corpus striatum is the largest group of basal ganglia nuclei. It consists of the caudate nucleus, putamen, nucleus accumbens, and the globus pallidus. The caudate nucleus, putamen, and nucleus accumbens are input nuclei, while the globus pallidus is considered output nuclei. The corpus striatum uses and stores the neurotransmitter dopamine and is involved in the reward circuit of the brain. Caudate Nucleus: These  C-shaped paired nuclei (one in each hemisphere) are located primarily in the frontal lobe region of the brain. The caudate has a head region that curves and extends forming an elongated body that continues to  taper at its tail. The tail of the caudate ends in the temporal lobe at a limbic system structure known as the amygdala. The caudate nucleus is involved in motor processing and planning. It is also involved in memory storage (unconscious and long-term), associative and procedural learning, inhibitory control, decision making, and planning.Putamen: These  large rounded nuclei (one in each hemisphere) are located in the forebrain and along with the caudate nucleus  form the dorsal striatum. The putamen is connected to the caudate nucleus at the  head region of the caudate. The putamen is involved in voluntary and involuntary motor control.Nucleus Accumbens: These  paired nuclei (one in each hemisphere) are located between the caudate nucleus an d putamen. Along with the olfactory tubercle (sensory processing center in the olfactory cortex), the nucleus accumbens forms the ventral region of the striatum. The nucleus accumbens is involved in the brains  reward circuit and behavior mediation. Globus Pallidus: These paired nuclei (one in each hemisphere) are located near the caudate nucleus and putamen. The globus pallidus is divided into internal and external segments and acts as one of the major output nuclei of the basal ganglia. It sends information from basal ganglia nuclei to the thalamus. The internal segments of the pallidus send the majority of output to the thalamus via the neurotransmitter gamma-aminobutyric acid (GABA). GABA has an inhibitory effect on motor function. The external segments of the pallidus are intrinsic nuclei, relaying information between other basal ganglia nuclei and internal segments of the pallidus. The globus pallidus is involved in the regulation of voluntary movement. Basal Ganglia Function: Related Nuclei Subthalamic Nucleus: These small paired nuclei are a component of the diencephalon, located just below the thalamus. Subthalamic nuclei receive excitatory inputs from the cerebral cortex and have excitatory connections to the globus pallidus and substantia nigra. Subthalamic nuclei have both input and output connections to the caudate nucleus, putamen, and substantia nigra. The subthalamic nucleus plays a major role in voluntary and involuntary movement. It is also involved in associative learning and limbic functions. Subthalamic nuclei have connections with the limbic system through connections with the cingulate gyrus and nucleus accumbens.Substantia Nigra: This large mass of nuclei is located in the midbrain and is also a component of the brainstem. The substantia nigra is composed of the pars compacta and the pars reticulata. The pars reticulata segment forms one of the major inhibitory outputs of the basal ganglia and assists in the regulation of eye movements. The pars compact a segment is composed of intrinsic nuclei that relay information between input and output sources. It is involved mainly in motor control and coordination. Pars compacta cells contain pigmented nerve cells that produce dopamine. These neurons of the substantia nigra have connections with the dorsal striatum (caudate nucleus and putamen) supplying the striatum with dopamine. The substantia nigra serves numerous functions including controlling voluntary movement, regulating mood, learning, and activity related to the brains reward circuit. Basal Ganglia Disorders Dysfunction of basal ganglia structures results in several movement disorders. Examples of these disorders include Parkinsons disease, Huntington disease, dystonia (involuntary muscle contractions), Tourette syndrome, and multiple system atrophy (neurodegenerative disorder). Basal ganglia disorders are commonly the result of damage to the deep brain structures of the basal ganglia. This damage may be caused by factors such as head injury, drug overdose, carbon monoxide poisoning, tumors, heavy metal poisoning, stroke, or liver disease. Individuals with basal ganglia dysfunction may exhibit difficulty in walking with uncontrolled or slow movement. They may also exhibit tremors, problems controlling speech, muscle spasms, and increased muscle tone. Treatment is specific to the causation of the disorder. Deep brain stimulation, electrical stimulation of targeted brain areas, has been used in the treatment of Parkinsons disease, dystonia, and Tourette syndrome. Sources Lanciego, Josà © L., et al. â€Å"Functional Neuroanatomy of the Basal Ganglia.† Cold Spring Harbor Perspectives in Medicine, Cold Spring Harbor Laboratory Press, Dec. 2012.Parr-Brownlie, Louise C., and John N.J. Reynolds. â€Å"Basal Ganglia.† Encyclopà ¦dia Britannica, Encyclopà ¦dia Britannica, Inc., 19 June 2016.Wichmann, Thomas, and Mahlon R. DeLong. â€Å"Deep-Brain Stimulation for Basal Ganglia Disorders.† Basal Ganglia, U.S. National Library of Medicine, 1 July 2011.

Sunday, October 20, 2019

J essays

J essays John Quincy Adams was the only son of a president to become president. He had an impressive political background that began at the age of fourteen. He was an intelligent and industrious individual. He was a man of strong character and high principles. By all account, his presidency should have been a huge success, yet it wasn't. John Quincy Adams' presidency was frustrating and judged a failure because of the scandal, attached to his election, the pettiness of his political rivals, and his strong character. John Quincy Adams was born on July 1767, in Braintree Massachusetts. His parents were John and Abigail Adams. "Quincy, had every advantage as a youngster. At the time of his birth, his father was an increasingly admired and prospering lawyer, and his mother Abigail Smith Adams, was the daughter of an esteemed minister, whose wife's family combined two prestigious and influential lines, the Nortons and the Quincys. Accompanying his father on diplomatic missions in Europe, young Joh n Quincy Adams received a splendid education at private schools in Paris, Leiden, and Amsterdam, early developing his penchant for omnivorous reading." He was able to speak several languages. At the age of fourteen, he was asked to serve as secretary and translator to Francis Dana, the first US ambassador to Russia. "Despite his age, young Adams was a valuable aid to the consul; he enjoyed Russia and the exposure to diplomatic circles." He later returned to the United States and attended Harvard. "He graduated in two years and entered the law offices of Theophilus Parsons in Newburyport, Massachusetts. Passing the bar in 1790, he set up practice in Boston." In 1794 John began his long political career. George Washington appointed John Quincy Adams an Ambassador to the Netherlands. After his father was elected as the second president of the United States, he was reassigned to the post of minister to Prussia. He kept this post throughout his fathers t...

Saturday, October 19, 2019

CBRN Weapons Essay Example | Topics and Well Written Essays - 500 words

CBRN Weapons - Essay Example Moreover its usage leads to destruction of biological and physical aspects of the environment and may even cause destruction of natural reserves. Your Excellency we also have an option to develop Overly Top Attack Tank Misiles; they are the most current military weapons and can destroy a large number of enemies within a very short time. It can facilitate the take of stagnant and moving targets and has less impact of the environment. They are also not very expensive to develop. However, they can release loud explosive sounds and gases that are harmful to the environment. Our country can also invest in development of modern croddy missiles that provide proper delivery in regard to mass destruction when attacking enemies. These weapons are less expensive as compared to arsenals and OTA’s. However, they also destroy the environment through production of excessive latent heat and explosions. Lastly, we can also explore Chemicals, Biological, Radiological and Nuclear options of military attacks. This can include the use of biological pathogens such as disease causing pathogens during war or the use of Nuclear weapons to attack enemies. These methods are lethal and are usually associated with massive environmental destruction. Your Honour, taking these options into consideration, it is crucial that our country focus on the development of Overly Top Attack Tanks that are basically less expensive to develop and have less effects on the environment as compared to other options. Overly Top Attack tanks can deliver excellent results owing to the fact that they are usually used to attack specific targets. This makes them less destructive to the environment. The essence of their relatively lower cost of development is also important especially to an average economy like

Friday, October 18, 2019

Telecommunications Essay Example | Topics and Well Written Essays - 6500 words

Telecommunications - Essay Example Nevertheless information is also important to economic activities, ranging from agriculture to manufacturing and services. If information is significant to advancement, then telecommunications, as a way of sharing information is not only a relationship between people, although a connection in the sequence of the advancement processes itself. The role of telecommunications in broadcasting information can be predominantly important in rural regions where other methods of acquiring and transmission information for instance personal contact, transport, and postal services are expected to be less available. Distance signifies time, in an all the time more time-conscious world. In economies that rely forcefully upon agriculture or the mining of resources, remoteness from urban markets has usually been improved only with the setting up of enhanced transportation facilities, usually roads. Nevertheless transportation links leave industries without the availability of information which is becoming ever more important for production and marketing of their products. Yet another difficulty experienced by many developing countries is economic field. As they endeavor to expand their economies, judicious availability of information becomes especially significant. In the demand of physical goods and amenities, rural areas could only vie across obstacles of distance and geography if they had a natural resource advantage. Telecommunications is also critical to the rising information fields in developing areas. In the areas of information goods and services, dependable telecommunications infrastructure can make geography and distance immaterial. For instance, the National Research Council reveals that for Africa, where populations and economic activities continue mostly rural-based, sharing information is crucial if Africans are to contribute to finding solutions to their own development problems: "Economic development in Africa will depend heavily on the development of the information sector. Countries will need the ability to communicate efficiently with local and overseas markets to determine where they many have comparative advantages for supplying their products to consumers or to purchase essential imports, based on current prices and services. Many of the economic development problems facing African countries have scientific and technological components that will require solutions to be developed in Africa by African scientists.... Lack of information is a critical constraint" (National Research Council, 1990). In the past several years, the role of telecommunications in the development process has acquired extensive focus. The ITU performed a series of analyses starting with a literature research, followed by a series of case studies on different developmental applications of telecommunications, which were summed up in Telecommunications for Development (1983). Other case studies were compiled in Information, Telecommunications, and Development (1986). The ITU's Maitland Commission pointed at the significance of telecommunica

The Purpose,Scope and Context of Interprofessional Collaboration Essay

The Purpose,Scope and Context of Interprofessional Collaboration - Essay Example   This paper is a personal learning and reflection of this health service provider about interprofessional education, collaboration and working while working with teammates. This interprofessional collaboration is happening among professionals, organizations, service users, carers and communities. The association of health providers work over critical matters on education, health and social care to deliver the necessary quality services to improve peoples’ quality of lives and for healthier communities. Among the many concerns they dealt are issues on nutrition, public health, policies, medical standards, medication of all illnesses or on the need to strategize development to better social services in complementation of health responses to communities. Consideration of the nature of communication within health & social care teams.   Communication is fundamental interaction and in nurturing understanding between the management, health providers, and with the patients. Peopl e who are seeking medical attention came from varied experiences, places, and bear different kinds of illnesses and thus, it is important that all of these are communicated so that the contexts, causes and surrounding circumstances of a case can be understood. From this study it is clear that appropriate medical remedies can only be provided when health cases are clear from all vantages. Communication also strengthens positive relation with co-workers and with management, especially in managing changes and health reform program . In fact, people will only come to understand hospital’s goals and programs by imparting and receiving communication. Moreover, work relations can only be understood through communication. This can be done either formally and informally; verbal or written; recited or in a journal; online or via telephone; by facial expression or by symbol; and by raising a picture or by simple touch. It’s aimed at bridging gaps, resolving issues, bringing toget her all partners for a meeting, and drawing all stakeholders to specific goals or in delving on issues though evaluations and monitoring. Sometimes communications bring along with it some misunderstanding because human beings, as social persons, exchange ideas in foreign language, in a jargon, in emotional distress, or in cultural differences.  

Practical Storage Management Research Paper Example | Topics and Well Written Essays - 3250 words

Practical Storage Management - Research Paper Example According to the research all things that can be kept or regained on the AS/400 system is kept in an object. There are several distinct object types like files, libraries, queues, executable programs, user profile, and others. Every substance has certain common attributes like type, name size, data developed, description, and owner. The object-leaning concept permits the system to undertake some standard operations, like authorization management on all substance types, in the same manner. Besides, as already mentioned, it complains of AS/400 information against accidental corruption, since only operations linked with the determined substance type are permitted. In order to systematize AS/400 substances additionally, all substances are held in a library. A library refers to an OS/400 substance of type *LIBRARY, that is employed to group other substances jointly. Libraries are systematized at a one-level hierarchy, unlike the directory structure acquired on personal computers or in the UNIX operating system, which have a multi-level pecking order (Handoll, Cameron, Mak and Finnegan 83). This clearly implies that no library can hold another library substance, with a single exemption, the QSYS system master records. This is the main library that holds all the other libraries on the AS/400 system. Essentially, there are three distinct types of libraries: QSYS – system master library, system supplied libraries (all IBM-supplied library names begin with Q or #) and user described libraries. (Kroenke and David 62). To locate an AS/400 substance, it is orientated by the library name and the substance name (LIBRARY/SUBSTANCE). An individual also requires the substance type to extra ordinarily recognize the object. Two or more substances can possess similar name, but they must be of distinct types (Kembel 51). This means that in a library, there can be a program termed as MAY and a data file (physically file) termed MAY, but there cannot be two agendas with similar name as MAY. Moreover, a substance can only be present in one library. Among all these substances, there is a substance of type *FILE, also referred to as a physical file, that holds data in the form of database, a device data, or a selection of associated libraries that are controlled as an entity (Gray and Reuter 23). These substances are split into two elements: the data illustration, employed to define the substance, and the data portion, which holds the real data kept on the system. A substantial file is a record-oriented, and data documents can be arranged into members within a substantial file. A substantial file can hold one or more affiliates. These affiliates are not substances themselves; rather, they are separations of an object (Crotty et al. 41). This clearly shows that all affiliates of a substance share similar

Thursday, October 17, 2019

Evaluation of The Capital Asset Pricing Model (GlaxoSmithKline) Essay

Evaluation of The Capital Asset Pricing Model (GlaxoSmithKline) - Essay Example This model generated the idea of beta, that is, the risk of the specific stock. The CAPM model thus is mainly used by firms for estimating the cost of equity. CAPM Assumptions The CAPM model makes some assumptions for calculating the price of the securities which are risky. These assumptions are as follows : †¢ The market is efficient and perfect. The information regarding the market is easily available to all the investors. No single investor can influence the stock price change of the market. As the market is efficient there is no transaction cost, no taxes (kapil, 2011, p.168). †¢ The investors are risk averse in nature. All the investors have same expectation about the return from the market. It is also assumed that the assets are perfectly liquid and they are divisible infinitely. It means the investor can buy or sell any amount of stock. It is also assumed that all assets can be sold or bought in the market by the investors including the human capital. †¢ At the risk free rate the investors can borrow or lend unlimited amount and they can expect risk free rate of interest from the funds. †¢ Unlimited short selling is allowed as per the assumption of CAPM model. †¢ The investors are concerned with a single period price of asset and the mean and variance of the concerned asset (Elton et al, 2009, p.283). ... CAPM Limitations CAPM model is criticised because of the number of assumptions it makes. It is assumed in the model that the market is efficient which in reality it is not. The information regarding the market is not readily available to the investors. There is also the transaction cost of trading and the taxation cost which the model does not take into consideration. In the model it is assumed that the investors are interested only for a single period of change in the asset pricing. But in reality when they invest they do the fundamental analysis of the stock which means they analyze the historical value of the asset taking a long period into consideration. The beta of the asset changes over the period, it is not stable as assumed by the CAPM model. The investors are not also risk averse in nature and also it is not possible that the assets are divisible entirely. The relationship of beta and return is weak practically (Damodaran, n.d., p.13). It is also a factor that the firm may c hange in the period for which the estimation is made. Instead of these limitations, CAPM model provides the quantitative and logical tool for measuring the risk and return relationship of the asset or the portfolio. Part II GlaxoSmithKline Risk and Return Analysis About the Company GlaxoSmithKline, a company of the pharmaceutical industry was founded in the year 2000 and listed in the London stock exchange and the New York Stock Exchange. The company is a constituent of FTSE 100 index. The company is based in London and in terms of revenue it is the third largest company in the world. The company’s business is spread throughout the world. The long term

Profile of an Economist Research Paper Example | Topics and Well Written Essays - 1250 words

Profile of an Economist - Research Paper Example Friedman presented high expertise in the field of business that made him a renowned economist. In the year of 1951, he won the â€Å"John Bates Clark Medal,† an award that recognized economists under age of forty who presented commendable performance (Ruger 90). Furthermore, he received the Nobel Prize in 1976 for his contributions in the field of consumption examination, monetary history and concepts, as well as for his effort in describing the stabilization policy. The economist chaired the Chicago school of economics where he guided research plan of the economics profession. The scholar also worked as the chairperson of the American Economic Association in 1967 (Wahid 14). Furthermore, the scholar served as a senior research fellow at the Stanford University after retiring from the University of Chicago. Some surveys of economists have identified Friedman as a well-liked economist of the 20th century after John Keynes. Friedman explored various economics-related theories an d analytical procedures highlighting informative concepts. Nedomlelova (32) observes that Friedman was great scholar who had excellent knowledge of economics. The economist’s initial works include the 1945 publication titled the â€Å"Income from Independent professional Practice† that he coauthored with Simon Kuznets. This work was very relevant in the field of business and the report attracted a global attention. ... the need of adjusting such regulation in order to create constructive competition that would persuade delivery of quality services at sustainable fees. This provided strategists with effective managerial tools (Friedman et al. 32). Friedman’s effort in the development of the Theory of Consumption Function The scholar has substantially contributed in the development of the economic theories. His earliest prominent work includes the 1957 publication in which he described A Theory of the Consumption Function (Friedman & Ebenstein 19). The scholar developed the theory from the Keynesian perception that individuals and households have a tendency of adjusting their expenditures on consumption to align them with their income (Friedman & Ebenstein 26). The economist highlighted that individual’s yearly consumption reflects a function of their â€Å"permanent income.† He introduced this term as a measure of the aggregate income individuals expect over a few years. The the ory was an expression of the permanent income hypothesis, the concept that proposes that household’s consumption and investment decisions are mainly defined by changes in permanent income, but not temporary changes that household members experience within their activities. These ideas were essential because they provide bases for developing future business theories that has enriched the field (Brittan 2). Friedman challenged Keynes ideas claiming that the scholar based his consumption models on psychological assumptions. He emphasized the need of considering individuals as rational thinkers who make plans on how to spend their resources over their families. Friedman was not primarily objecting the Keynesian ideas because a reputable Keynesian economist Franco Modi-gliani also made the same observation.

Wednesday, October 16, 2019

Practical Storage Management Research Paper Example | Topics and Well Written Essays - 3250 words

Practical Storage Management - Research Paper Example According to the research all things that can be kept or regained on the AS/400 system is kept in an object. There are several distinct object types like files, libraries, queues, executable programs, user profile, and others. Every substance has certain common attributes like type, name size, data developed, description, and owner. The object-leaning concept permits the system to undertake some standard operations, like authorization management on all substance types, in the same manner. Besides, as already mentioned, it complains of AS/400 information against accidental corruption, since only operations linked with the determined substance type are permitted. In order to systematize AS/400 substances additionally, all substances are held in a library. A library refers to an OS/400 substance of type *LIBRARY, that is employed to group other substances jointly. Libraries are systematized at a one-level hierarchy, unlike the directory structure acquired on personal computers or in the UNIX operating system, which have a multi-level pecking order (Handoll, Cameron, Mak and Finnegan 83). This clearly implies that no library can hold another library substance, with a single exemption, the QSYS system master records. This is the main library that holds all the other libraries on the AS/400 system. Essentially, there are three distinct types of libraries: QSYS – system master library, system supplied libraries (all IBM-supplied library names begin with Q or #) and user described libraries. (Kroenke and David 62). To locate an AS/400 substance, it is orientated by the library name and the substance name (LIBRARY/SUBSTANCE). An individual also requires the substance type to extra ordinarily recognize the object. Two or more substances can possess similar name, but they must be of distinct types (Kembel 51). This means that in a library, there can be a program termed as MAY and a data file (physically file) termed MAY, but there cannot be two agendas with similar name as MAY. Moreover, a substance can only be present in one library. Among all these substances, there is a substance of type *FILE, also referred to as a physical file, that holds data in the form of database, a device data, or a selection of associated libraries that are controlled as an entity (Gray and Reuter 23). These substances are split into two elements: the data illustration, employed to define the substance, and the data portion, which holds the real data kept on the system. A substantial file is a record-oriented, and data documents can be arranged into members within a substantial file. A substantial file can hold one or more affiliates. These affiliates are not substances themselves; rather, they are separations of an object (Crotty et al. 41). This clearly shows that all affiliates of a substance share similar

Tuesday, October 15, 2019

Profile of an Economist Research Paper Example | Topics and Well Written Essays - 1250 words

Profile of an Economist - Research Paper Example Friedman presented high expertise in the field of business that made him a renowned economist. In the year of 1951, he won the â€Å"John Bates Clark Medal,† an award that recognized economists under age of forty who presented commendable performance (Ruger 90). Furthermore, he received the Nobel Prize in 1976 for his contributions in the field of consumption examination, monetary history and concepts, as well as for his effort in describing the stabilization policy. The economist chaired the Chicago school of economics where he guided research plan of the economics profession. The scholar also worked as the chairperson of the American Economic Association in 1967 (Wahid 14). Furthermore, the scholar served as a senior research fellow at the Stanford University after retiring from the University of Chicago. Some surveys of economists have identified Friedman as a well-liked economist of the 20th century after John Keynes. Friedman explored various economics-related theories an d analytical procedures highlighting informative concepts. Nedomlelova (32) observes that Friedman was great scholar who had excellent knowledge of economics. The economist’s initial works include the 1945 publication titled the â€Å"Income from Independent professional Practice† that he coauthored with Simon Kuznets. This work was very relevant in the field of business and the report attracted a global attention. ... the need of adjusting such regulation in order to create constructive competition that would persuade delivery of quality services at sustainable fees. This provided strategists with effective managerial tools (Friedman et al. 32). Friedman’s effort in the development of the Theory of Consumption Function The scholar has substantially contributed in the development of the economic theories. His earliest prominent work includes the 1957 publication in which he described A Theory of the Consumption Function (Friedman & Ebenstein 19). The scholar developed the theory from the Keynesian perception that individuals and households have a tendency of adjusting their expenditures on consumption to align them with their income (Friedman & Ebenstein 26). The economist highlighted that individual’s yearly consumption reflects a function of their â€Å"permanent income.† He introduced this term as a measure of the aggregate income individuals expect over a few years. The the ory was an expression of the permanent income hypothesis, the concept that proposes that household’s consumption and investment decisions are mainly defined by changes in permanent income, but not temporary changes that household members experience within their activities. These ideas were essential because they provide bases for developing future business theories that has enriched the field (Brittan 2). Friedman challenged Keynes ideas claiming that the scholar based his consumption models on psychological assumptions. He emphasized the need of considering individuals as rational thinkers who make plans on how to spend their resources over their families. Friedman was not primarily objecting the Keynesian ideas because a reputable Keynesian economist Franco Modi-gliani also made the same observation.

Lord of the Flies by William Golding and The Withered Arm by Thomas Hardy Essay Example for Free

Lord of the Flies by William Golding and The Withered Arm by Thomas Hardy Essay Describe how evil is presented in Lord of the Flies by William Golding and The Withered Arm by Thomas Hardy. Lord of the flies is a story that begins in the after a plane crash in the Pacific Ocean during an unnamed war in which a group of English schoolboys are isolated on what they assume to be an island, under no adult supervision they are left to defend for themselves create their own friendships and fight their own battles. As the story unfolds the boys develop a miniature society in which they try to include rules and order, but, each with their own ideas of right and wrong and sometimes totally different priorities, difficulties inevitably arise, their little community collapses and the boys are thrown into a world of hurt and fear. There were three main characters in this story, which affected the entire group and how they behaved. Jack began as the arrogant and self righteous leader of the tribe. There was Piggy, who in no doubt an intelligent, practical and a sensible thinker. He is the mouthpiece of science and reason on the island, and is a good planner who can think logically and prioritise things which was carefully ordained by Ralph who was an organised person, sensible and had a quite a bit of knowledge on survival. In the story we see the true evil that outcome from these boys. In the following paragraphs I am going to describe the horror that was used by William Golding in his novel Lord of the Flies. The first signs of evil emerging from the boys appeared when Jack and his hunters killed a pig and re-enacted the killing. In the process people were injured and the chanting that became a ritual began at this time. Although Jacks ambition to kill a pig had been fulfilled, he now had a taste of the glory and sense of power. This meant that he was by no means satisfied to have killed one pig, but would instead continue to do so. It is significant that Jack felt it was necessary to kill pigs, seeing that there was a large number of people on the island. It is important to note how much the boys manage to achieve before their inner evil destroy their senses of responsibility and reason, that is, before the boys finally come to savagery and violence. They discover fire, they build shelters, they explore the island, they go on hunting trips, and they delegate social responsibilities. Initially, one would be inclined to think that Jacks leadership is a poor one as he relies on brute strength. However, Jack is clever enough to know that the boys survival is as important as rescue. Food has to be hunted for nutritional needs (which Ralph tries to deny). Are there ghosts, Piggy, or beasts? Ralph seems to depend on Piggy quite a lot like an adult to guide him the way, but the mistake that Ralph does not see is that Piggy is not an adult. This is a clever technique used by Golding as he is building up the tension and the readers will be urged to read on. Another significant event took place during the killing of the pig, the hunters let the fire out, and there was open violence from Jack, when Jack was confronted by Piggy, Jack swung at Piggy and broke one of his lens off his glasses which was an important piece of equipment, as the glasses, meant they could have a fire which enables them to be rescued. This illustrates how Jack was being overcome by his evil inside him. The Lord of the Flies is represented in the form of a pigs head on a stick, which appeared to speak to Simon in the forest, while he was experiencing one of his epileptic fits. Golding uses this to show that the evil on this island has come from within the boys themselves. Simon then climbed the mountain and discovered that the swaying beast was in fact a dead pilot. This is gone far enough. My poor misguided child. Do you think you know better then I do?' Simon thinks of the pigs head (The Lord Of The Flies) as the symbol of their descent from civilized behaviour to animalistic savagery. It is because of the pigs head that Simon realizes that nature can be brutal and horrifying, an idea that clashes with his previous love of nature and the spirituality inbuilt in it. Simon frames nature in terms of its how like Eden it is, but the Lord of the Flies is a challenge of that view. Most importantly of all, Golding reveals that there is indeed a better side to mans nature through his character, Simon. Throughout the novel, Simon is portrayed as a Christ-like figure and a saint. Unfortunately, it was at this point where the evil came out among all of the boys, as Simon was mistaken for the beast and the boys were all overcome by the evil inside them and the ritual begun once again as it did with the pig and Simon was brutally killed in disguise of the beast. In this part of the novel we see that evil has overcome the boys and there is no longer any structure at all left within the boys. Following Simons death it becomes clear that none of the tribe would accept that they had become evil and had just sabotaged a human being, but Ralph on the other hand could see what they had become and confronted Piggy saying that was murder, Piggy knew what had happened but tried to hide it by coming up with lame excuses like it was dark. Ralph had learned from this and controlled the evil inside him. When Piggy got his glasses stole by the other tribe Ralph and Piggy knew that they had lost all their power. So the only way to regain that power would be to get Piggys glasses back. Unfortunately this lead to more hatred when the two tribes started to argue and it was obvious that Jacks tribe had the most power and during this argument Roger decided to push a Rock onto Piggy leaving him dead, which shows that Jacks tribe was just pure evil and had no other thoughts than to kill. Towards the end of the novel Ralph was hunted down like a wild animal and the imagery Golding uses in this final chapter describes a world where insanity and evil rule. It is even possible that the boys now saw Ralph as the beast, which is why they hunted him down. Secondly, although all the boys were hunting Ralph to kill him, most of them probably did not realise what they were doing or why. This is because Jack had influenced their minds and half of them probably saw killing Ralph as a game. In view of the fact that Ralph was being hunted down by everyone on the island, we must accept that he would have been killed had it not been for the arrival of the Navy officer. It must be noted that Golding does not choose to allow Ralph to be killed. This could be because he does not wish to allow evil to win. The real message that Golding is trying to send out is if we have no rules or boundaries then we will behave like animals do so anything can be done, in this case killing has become a hobby. In Lord of the Flies, Golding suggests that once man is freed from social conditioning and obligation, the intrinsic sense of evil will be revealed in him. He destroys the optimistic view of human nature by showing how even the most innocent of all children can deteriorate into primitive savages once freed from the trappings of society. The actual storyline was pretty lame because a bunch of children just happened to crash on an island stranded, they all have a big tribunal war, people die, then the Ralph is in trouble and some navy guy appears and saves Ralph. This story was a bit too predictable, but the descriptive text in this novel is fascinating and keeps you reading. The withered arm is a pre-20th Century, short story. It is full of supernatural elements and coincidences. The story involves the characters Rhoda, a jealous middle-aged woman who has a son by farmer Lodge. Farmer Lodge has just married a young, beautiful woman called Gertrude. Rhoda being a jealous woman unconsciously conjures up an evil incubus. This causes Gertrudes arm to weather, she tries all the cures she knows off, but resorts to using the supernatural to heal it. This leads to a dramatic ending. Right at the beginning of the story we are in suspense because there is much speculation about the new bride. At the beginning of the story it is thought that Rhoda and Gertrude are rivals, as they have both had a relationship with farmer lodge. They occupy traditional roles in the story; Rhoda is the older neglected lover with her looks fading. Gertrude is the young, beautiful blooming new wife. Age, beauty, status and social class divide them. Rhoda is extremely jealous of Gertrude we know this because she sends her son to spy on the new wife: see if she is dark Her jealousy is what leads to the first element of the supernatural, which is her nightmare. Stricken with jealousy, her subconscious thoughts surface in her sleep as she innocently dreams of grabbing Gertrudes arm in a last desperate effort, swung out her right hand, seized the confronting spectre by its obtrusive left arm. Rhodas first reaction to Gertrude is of horror and fear. In her dream, she sees Mrs. Lodge as a figure with features shockingly distorted and wrinkled by old age. Hardy uses simple diction to convey the horror of the nightmare. He also uses emotive language like maddened and mockingly. Rhodas nightmare can be explained as coincidence, as a physical manifestation of the girls unconscious awareness of the situation. Rhodas dream creates suspense and words such as phantom keep it going. The next morning we learn that the dream was real as her son asks: what was that noise in your chimmer, mother last night. Did you fall out of bed around two oclock? The developing relationship between the two women has elements of the macabre. Rhoda often asks to see the wound, and seems fascinated by the clear indication of the marks of four fingers. Gertrude relies on Rhoda for a sympathetic understanding of the growing estrangement between herself and her husband, who knows the disfigurement is there. The choice of the word disfigurement reveals his attitude to appearances. As the arm is getting worst and she has visited a doctor who cannot help her, she becomes increasing desperate for a cure as her husband is starting to love her less. She turns to Rhoda to take her to see Trendle much to her dismay. Rhoda fears for the loss of a good friendship. Trendle is a witch doctor and has powers other people dont, in the story many people believe in him, except Gertrude who says: o, how could my people be so superstitious. She soon changes her mind and goes with Rhoda to visit him this is where it is revealed that Gertrude has an enemy: medicine cant cure it. Is the work of an enemy. Trendle then reveals the face of her attacker to her. Gertrude reacts calmly when she finds out who it is as she says she does not care to speak of it. When she is talking to Rhoda and does not tell her what she saw. After this Rhoda and her son disappeared quietly. Over the next six years, Gertrudes arm continues to wither, and the fact that she had brought no children to her husband made her worry even more that Mr. Lodge would reject her. Mr. Lodge has superficial love for Gertrude which was based on her beauty: the woman whom he had wooed for her beauty. But as her arm is getting worst we see that he starts to disregard her. She starts to age beyond her years: she was now five-and-twenty; but she seemed older. She becomes desperate for a cure and tries all sorts of remedies. This makes us feel sympathetic towards her. As a last resort she visits Tremble and tries to take advantage of his white magic, this leads to fatal results and her superstition, combined with desperation, must be held accountable for this. He tells her she must touch with the limb the neck of a man whos been hanged. As time passed she considers this and wished: o lord, hang some guilty or innocent person soon! This shows how desperate she was becoming. Gertrudes meeting with the hangman reveals her obsession: she has in fact prayed each evening for some guilty or innocent person to be hanged Rhoda and the hangman having a discussion in which she says: o- a reprieve- I hope not! Here she is saying even if the person is innocent she hopes he will not be let off. Through out the story it is full of irony- you have farmer Lodge marrying to have a son, even though he has one which he does not recognise. Hardy chose not to give the illegitimate son a name; this may be because Lodge failed to recognise him, even though he wishes for a son: I once thought of adopting a boy! Gertrude befriends the boy but unknowingly wishes for his death, in which when she finds out the identity of the hanged man she dies from shock. The denouement of the finial gruesome meeting between the two women brings all interaction to an end. The scene is highly dramatic and needs few words. This is where we learn that it is Rhodas son that has been hanged and due to this Gertrudes blood had been turned indeed- too far. In conclusion of both stories I think that Lord of the Flies represents horror in a more sophisticated way than The Withered Arm, saying that Lo-rd of the Flies was written when there was no TV this virtually inserts images into your thoughts, the only thing with Lord of the Flies was the actual storyline as it was too unreal because if there was a plane crashes, normally there is hardly any survivors but in this case, the whole troop survived!! In conclusion the withered arm is an effective story of the supernatural from the point of view from the reader. When it was written as people heavily believed in the supernatural and witchcraft, this is another reason the story is effective. It differs from todays horror stories, as it is not full of blood and guts.

Monday, October 14, 2019

Socrates Nobody Desires Evil Philosophy Essay

Socrates Nobody Desires Evil Philosophy Essay The beliefs of Socrates includes: a) Nobody desires evil, b) Nobody makes a mistake or does wrong willingly or knowingly, c) Virtue all virtue is knowledge, d) Virtue is sufficient for happiness. Of the four beliefs, the most implausible that Socrates established is the point that happiness and excellence is the most important goals in life, made these depend upon the virtues, then made the acquisition of the virtues the unique prerogative of the intellect, of cognition, reason, and argument. The minor Socratics began with a similar evaluation of the importance of happiness and excellence; however, their critical appraisal of the possibility of ones gaining knowledge with the power to deliver these goods led them to form alternative approaches to practical ethics. This shows Socrates commitment to the belief that reason should serve as the ultimate arbitrator of will and goodness. 2. Socrates and Euthyphro discuss the nature of holiness. To understand the significance of their discussion it is fruitful to examine the nature of their discussion and the process by which they manage the terrain of their issue as having an importance greater than the subject itself has. The subject of holiness is interesting and arguably important, but it is a means of arriving at a still greater end. Socrates and Euthyphro approach their conversation with distinct attitudes regarding the health of their epistemic states. Euthyphro feels confident and sure of his mastery of the topic of holiness. In contrast, Socrates professes his ignorance. But his ignorance is not the easy ignorance of a lazy unimaginative man. Rather, his claim of ignorance is the result of careful reflection about the status of his own virtue. His character is one of ceaseless rational inquiry. Socrates worked to use reason to judge truth and bring order to his soul. Second, Socrates demands that any idea worth keeping must withstand careful scrutiny. In contrast, Euthyphro demonstrates the mental habits of a person lacking the persistence to penetrate an idea beyond initial impressions. Socrates is determined to help Euthyphro acknowledge this habit of his character and revise it in favor of the habit of aggressive reasoning. Such a habit, Socrates demonstrates, is crucial for eudaimonia. 3. Socrates explains that he has been pursuing his religious duty to decipher the riddle presented by the oracle at Delphi. Socrates devotes a fair amount of time to this particular matter of his reputation. In his defense, Socrates explains that his friend Chaerephon paid a visit to the oracle at Delphi and asked whether there was anyone wiser than Socrates. In answer to this question, the oracle answered that no one was wiser. Socrates is often portrayed announcing his ignorance on many matters of apparent importance. If there is a link between knowledge and wisdom it seems that Socrates, apparently impoverished in the first virtue, would likely be impoverished in the latter virtue. Socrates understood the attainment of knowledge to involve a sort of personal transformation. For example, insofar as one gains knowledge of goodness then one becomes good and acts in ways that are good. Thus, Socrates had a special conception of knowledge. With regard to the virtues, Socrates did not draw a distinction between knowing-that and knowing-how. The former type of knowledge denotes an understanding of facts while the latter denotes an ability to perform an action. For Socrates, if someone had knowledge of a virtue it meant that she could both define it and consistently acted in harmony with it. 4. The charge of corrupting the youth is ambiguous and vague. Such activity might be perceived to be counter to the proper upbringing of the youth who may be expected to accept and practice the traditions of their culture without scrutiny. Socrates has already revealed that even religious messages from the oracle must be subjected to rational inquiry to be properly understood. To make this point clear he identifies the example of horse training. It seems that if someone became the owner of a horse that she wanted properly trained she would take it to one of the few experts rather than hitch it in the town center where it would enjoy maximum exposure to the greatest amount of people. Yet if most people are benefactors rather than corrupters then one should indeed hitch her new horse in the town square. Yet the foolishness of this conclusion is clear. There is no reason to suspect that most people, even if they are not detrimental to the youth, are beneficial to the youth. It stems likely that genuine benefactors will be in the minority. From these premises Socrates concludes that either be does not corrupt the youth or if he does corrupt the youth it is unintentional. Socrates cannot corrupt the youth intentionally for by doing so he would hurt those with whom he associates and thus ultimately hurt himself. Assuming that Socrates possesses self-mastery, thi s is counter to premise two. This is logically impossible. 5. Socrates was the philosopher who tried to equate goodness, knowledge, and happiness, it is most likely that that was how many others regarded him, and responding to that project was philosophically more important than responding to Socrates the man. Socrates was the philosopher who claimed no certain knowledge, but who nonetheless could live a successful life, then that combination of qualities poses more interesting problems for Hellenistic philosophy than does the issue of whether Socrates really made such a claim. With this, it is unlikely that a democracy will produce qualified and effective leaders because it is difficult, some might say impossible, to know for certain exactly what he thought or said about knowledge, moral values, or happiness. 6. Socrates did not rely exclusively on analogy in his attempts to infer the nature of the virtues, it did constitute a prominent place in his eclectic arsenal and seems undoubtedly to have informed his conclusion that the virtues were technal. It is difficult to assess the implications but if I were in Socrates position, I wouldnà ¢Ã¢â€š ¬Ã¢â€ž ¢t try to escape from prison. One practical result would be a reluctance to accept the conclusion that a virtue is in fact a techne, since such a characterization relies on a familiarity with types of knowledge and activity whose semblances to justice, bravery, and so on are most readily understood by comparison. As Socrates had pointed out, it is frequently more difficult to escape doing wrong than it is to escape death. A worthy life must include philosophy for it is the appropriate means to conduct the examination of ones life and pursue self-mastery.

Sunday, October 13, 2019

Disabled by Wilfred Owen Essay -- Poetry Analysis

Born 18th March 1893, Owen was raised in Merseyside. His education began at the Berkhamstead institute and continued at the Technical school in Shrewsbury after his family was forced to move there. Owen began experimenting with poetry at the young age of 17. After failing to achieve a place at university, Owen moved to France to teach the Berlitz school of English following a year as a lay assistant. It was during the latter part of 1914 and early 1915 when Owen became increasingly aware of the magnitude of World War One and moved back to England to enlist in the ‘Artists rifles’. 1917 saw Owen’s first post in France, where he witnessed his first taste of the brutality of war. He experienced the horrors of being trapped in a dug out whilst under bombardment; and in May he was caught in a shell explosion and eventually diagnosed as having ‘shell shock’. In June 1918 Owen arrived at Craig Lockhart War Hospital, it was here he met Siegfried Sassoon anoth er patient and poet. The period at Craig Lockhart was in many ways Owens most creative time, where he wrote many of the poems that he is known for to this day. Like many of Owen’s other poems ‘Disabled’ explores the themes of war and the impact on soldiers. This poem particularly focusses on one individual and is interpreted by many as a poem that invites the reader to pity and empathise the above the knee, double amputee war hero for the loss of his legs. However, this interpretation not only disregards the subjects social isolation which Owen directly addresses in this poem, but also fails to acknowledge the subjects identity as a human being as defined by the language throughout the poem. ‘Disabled’ reveals the irony of war, a soldier’s fight for his countries freedom which in tu... ...e the terrible realities of the deaths. it is widely known that prayers and ells represent a celebration to the souls that have ascended into heaven, but Owen points out in this poem that the deaths on the battlefield were so horrific and needless that even religion cannot save these souls. Owen wants readers to recognise that no sort of harmonic music can be enjoyed through the sounds of war. ‘At the end of the day, the battlefield is left â€Å"sad† because the pain is so great that even an inanimate object could empathize and feel the pain of the losses of soldiers’. Works Cited http://dsq-sds.org/article/view/530/707 A Critical Analysis of Wilfred Owen's "Disabled". Copyright 2005 by the Society for Disability Studies. (ACCESSED 30TH 05 2012) http://litxpert.wordpress.com/2012/03/24/poetry-analysis-disabled-wilfred-owen/ litxpert, Disabled analysis,

Saturday, October 12, 2019

Admissions Essay: Facing Tragedy -- Medicine College Admissions Essays

Admissions Essay: Facing Tragedy    On January 26th, 2001 a major earthquake rocked the state with a measured severity of 6.9 on the Richter scale. During my travels throughout the state of Gujarat, I witnessed the after effects of the earthquake. In addition, I worked as a volunteer at Ahemedabad's Civil Hospital, which was the main hospital used to treat that city's earthquake victims.    Although reports have previously indicated that nearly 35,000 people perished in the natural disaster, the final state reported numbers were 20,083 casualties and 166,836 injured. The largest damage was in the Kutch region of Gujarat, which is mostly desert. I spent the majority of my summer in Svarastra, a region including cities affected such as Ahemedabad, Rajkot, and Jamnagar. There were 370,000 homes destroyed and a total of 1,020,000 homes damaged. Some of the largest casualties came from the nearly 20 high-rise apartment complexes in... ...here has been extensive recovery on all fronts. It was wonderful to help out at Ahemedabad's Civil Hospital and BJ medical college. I also enjoyed spending time at M.P. Shah medical college and the Guru Gobind Singh Hospital in Jamnagar. This overseas experience gave me the chance to truly volunteer where help was needed most, and as I begin my studies at Oxford in a few weeks, the realization that public service is never done will continue to grow in my conscience.   

Friday, October 11, 2019

Describe the qualities in the young Beowulf and later in Wiglaf, that make them stand out as warrior heroes

Beowulf's sea journey and arrival into Denmark is expressed with potent dramatic splendour and magnitude. The immediate realisation of our being introduced to a character of great consequence is shared by the Shieldings' watchman and highlighted with Heaney's colourful adjectives and powerful imagery. Before Beowulf has even spoken or been addressed, we have heard that ‘there was no one else like him alive / In his day he was the mightiest man on earth high-born and powerful. ‘ Travelling on a boat ‘loaded' with ‘a cargo of weapons' and ‘shining war-gear' is indicative of a feat these men are about to undertake. When the watchman witnesses their arrival, he is astonished most by Beowulf's physical appearance: ‘Nor have I seen a mightier man at arms on this earth'. Throughout the poem this is a recurring theme as we are delivered countless images of his physical strength including his ‘handgrip' ‘harder' than that of ‘any man on the face of the earth' when in battle with Grendel and his use of the sword ‘ so huge and heavy of itself only Beowulf could wield it in battle' during his combat with Grendel's mother. Such repetition of course was a key feature in the oral tradition of Anglo-Saxon poetry to establish their important attitudes and values, and Heaney has ensured this is maintained in his translation. We cannot however, award the young warrior heroic status merely as a result of his overwhelming brute strength, both by modern standards and more importantly those of the Anglo-Saxons, there were numerous other qualities required to fulfil this role. The Germanic heroic-code went a long way to defining the system of valuing and honouring its peoples including warriors, kings and ordinary citizens. For a man to be considered a warrior he must obey the code and to be classed as a heroic-warrior ought to exceed its expectations. As mentioned above, strength most certainly was present within this code, along with courage, loyalty and reputation. When the young Beowulf and Wiglaf are examined according to the code, their behaviours as described to us by the poet and as validated by other characters within the epic, confirm that they clearly adhere to its requirements. The importance of reputation is closely linked with that of lineage, few characters are described without reference to their fathers or their ancestors, when Beowulf introduces himself to Hrothgar he says ‘I am Hygelac's kinsman'. In order that he may be permitted to enter Hrothgar's kingdom and embark upon the task of restoring peace and order within Denmark, he must be accepted by the king ‘my one request is that you won't refuse me'. This form of introduction is echoed later when the young Wiglaf is described as ‘a son of Weohstan's' ‘well regarded' and ‘related to Aelfhere'. In terms of personal reputation, we understand that Beowulf has already established an element of fame within Geatland when he relays to the king: ‘I have suffered extremes and avenged the Geats' his modesty is apparent as he resists the need to elaborate on his acts of heroism confining himself only to convey the essential details. He only begins to boast of his accomplishments in a swimming contest against Breca when Unferth questions his motives for participating. Unferth is presented as a foil to the heroic Beowulf, the poet informs us that he is ‘sick with envy' but his own bitterness and inferiority is exposed and Beowulf's virtues accentuated as the latter is able to articulate an intelligent and composed response: ‘it was mostly beer that was doing the talking' ‘I was the strongest swimmer of all'. Again Heaney encompasses powerful adjectives, ‘perishing', ‘deep boiled', ‘mangled' into Beowulf's speech, closely adhering to the traits of Anglo-Saxon poetry and successfully winning over the reader and ensuring ‘the crowd was happy'. Where Beowulf has established and proceeds to heighten his fame, we see the young Wiglaf at the beginning of his journey to achieve the same. It is impossible to overlook his role in the execution of the dragon and in such a feat we can draw parallels with the young warrior Beowulf. Equally as important as strength and reputation in the heroic code is loyalty which is highly evident in both our young warriors. Of course it his loyalty to Hrothgar that brings Beowulf to Denmark to engage in battle with Grendel and in part a repayment for a debt once settled by the king for Beowulf's father, having ‘healed the feud by paying'. Wiglaf could almost be considered an epitome of allegiance when we later see Beowulf entering into combat with the dragon, taking with him eleven of his assumed most faithful and greatest warriors and only Wiglaf remains by his lord's side whilst the others, ‘that hand picked troop broke ranks and ran for their lives'. Wiglaf's entrance is reminiscent of that of Beowulf as Heaney uses a powerfully emotive introduction: ‘But within one heart sorrow welled up: in a man of worth the claims of kinship cannot be denied'. Wiglaf has an acute understanding of loyalty being imperative to the heroic code, when he rebukes Beowulf's men who fled from battle he affirms that they have ‘disgraced' themselves and that ‘A warrior will sooner die than live a life of shame. ‘ Such devotion could only be demonstrated by one who was equally courageous, Wiglaf was willing to sacrifice his own life for his lord and their peoples and of course, this is the exact behaviour which earned Beowulf his worthy right to the throne and his sound reputation. Recognition of the young warriors' heroic deeds and attitudes is not limited to the poet and the modern day reader or Anglo-Saxon listener, the poet assures us that Beowulf was rewarded for his actions, ‘furnished' with ‘twelve treasures' ‘gold regalia' and many other gifts by the king. However, it is important to consider heroism as being subjective and that it should be measured within its context both in terms of history and religion. Whilst Pagan beliefs would have viewed the vengeful and murderous nature of the heroes necessary to conform to the heroic code, such behaviour severely contravenes the principles of Christianity. We must also understand that Beowulf as with all the warriors illustrated within the poem, were human and thus fallible, their being at the mercy of God's will or fate. We must also reserve judgement for the young Wiglaf as we have yet to see him in battle alone and whilst the limited behaviours we do observe in him are commendable, we cannot assess him in the same way as Beowulf whose character has been developed to a much greater extent within the poem.