Saturday, November 30, 2019

The persistent myth of high expatriate failure rates by Harzing

‘The persistent myth of high expatriate failure rates’ by Harzing (1995) is a very influential article, in both academic and professional environments. People refer to it in many reasons. Starting the discussion with identifying the problem mentioned there, we are going to dwell upon the reasons why scholars and business people use this article as the basis for their research and practice.Advertising We will write a custom essay sample on ‘The persistent myth of high expatriate failure rates’ by Harzing specifically for you for only $16.05 $11/page Learn More The main idea of the article is to explain the ways how expatriates may be successful, why multinational companies fail and what should be done in order to reduce the risky rate connected with working abroad. Dwelling upon the importance of the article, it should be pointed to the great research conducted by the author. Starting the discussion with the Buckley and Brookeâ⠂¬â„¢s (1992) statement about the rate of expatriate failure in developed and developing countries, the author gets to the discussion of the references used in the article. This gives an opportunity to understand what specific ideas pushed the authors on the data they refer to. The discussion of the references with the particular statements in the original text is a great analysis of the possible failures. Harzing (1995) used such references as Desatnick and Bennett (1978) or Holmes and Piker (1980) to understand where Buckley and Brooke’s (1992) took the numbers they used in their article. Further reading of the article and closer consideration of the references used by the authors has created a great work which has been comprised in the article. Harzing (1995) does not just review the articles devoted to the high risk rate of expatriates, he tries to understand why the research in the sphere are so numerous and why they still remain up to date. The inability of the authors to consider the reason for the problem and to find an appropriate decision makes scholars and researchers refer to the issue. Harzing (1995) tried to do all possible to find out the truth and to stop research in the field. Having considered many articles which have been devoted to the issue, Harzing (1995) also tried to find the connection between those article. Harzing (1995) reviewed many papers devoted to the empirical research about the mentioned theme. It should be said that much attention was paid to such references as Tung’s discussions, Brewster’s (1991) explanation and Mendenhall and Oddou (1988) research.Advertising Looking for essay on communications media? Let's see if we can help you! Get your first paper with 15% OFF Learn More Finally, trying to underline the importance of the article and the reasons why many scholars and business people refer to it is in the way how the data is presented. The author does not only provide the review of the article, the connection is shown which can be used for creating the cause and effect points. The final benefit of this article is the scheme which shows the dependency of the research articles and the way how and why these articles are connected. The author created a sort of a problem-tree which has created a chronological order for the research and the way how the data is connected. Therefore, having considered in detail the references used in the articles, the reasons for the numerous research on the problem may be find out. The research is so numerous not because the issue is too difficult, most of the authors just reviewed the articles of their colleagues trying to point at the problem without conducting original research for searching for the ways out. Reference List Brewster, C. (1991). The management of expatriates in multicultural corporations. Uppsala: Acta Universitatis Upsaliensis. Buckley, P.J. Brooke, M. Z. (1992). International business studies. Oxford: Blackwell. De satnick, R. A., Bennett, M. L. (1978). Human resource management in the multinational countries. New York: Nichols. Harzing, A. (1995). The persistent myth of high expatriate failure rates. Human Resource Management, 6, 457-475. Holmes, W., Piker, F. K. (1980). Expatriate failure: Prevention rather than cure. Personnel Management, 12, 30-33.Advertising We will write a custom essay sample on ‘The persistent myth of high expatriate failure rates’ by Harzing specifically for you for only $16.05 $11/page Learn More Mendenhall, M., Oddou, G. (1988). The overseas assignment: A practical look. Business Horizons, 78-84. This essay on ‘The persistent myth of high expatriate failure rates’ by Harzing was written and submitted by user Amber K. to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Tuesday, November 26, 2019

How Does Seperation Shape Personality †Psychology Essay

How Does Seperation Shape Personality – Psychology Essay Free Online Research Papers How Does Seperation Shape Personality Psychology Essay One of my earliest memories is being taken to a new child minder at the age of about four by my dad. It was a big kitchen with lots of children. My dad wanted to leave me there, and I would not let him go. The child minder’s daughter took me upstairs to her room, to show me her make up, and I remember thinking, I must go back downstairs, because my dad will leave me here. When I got back downstairs, he was gone. I still have a clear picture in my head of having a tantrum in the middle of the kitchen with everyone looking at me, and writing this, I can still feel the trauma of being left there. Being separated from my parents since the age of about 2 has been a familiar experience for me. In this essay, I will explore to see how these experiences have affected my relationship with my parents, particularly my mother. I will look at my experiences in relation to Attachment Theory and speculate whether I fit into any of the attachment models, and whether our experiences of being separated from one another have shaped our relationship. My parents came to England from Turkey in the early 1970’s, and I was born in 1975 in Turkey. My dad was in England when I was born, and didn’t see me until I was eight months old. Until then, I was cared for by my mother, and her family. When I was eight months we returned back to England. As we don’t have any other family here, we have always been a very close nit family, and I spent all my time with my parents. When I was two, my mum and I went back to Turkey, and I was left there with her family again for six months, and I formed close emotional bonds with my grandmother and my aunt, who were my main caregivers. When my mum returned six months later to collect me, she describes me as being distant from her. Although I did go to her, I was reluctant to stay with her, and wanted to go back to my aunt, who I had also started referring to as ‘Mum’, but due to the strong emotional bond I initially had with my mum, meant that the relationship went bac k to being as close as it was before I had been separated from her. However, a couple more separations up until the age of six meant that the anxiety caused as a result of these separations became a familiar feeling for me, and growing up, I was clingy, and fearful of strange environments and people. I’m not sure which of the separations was most significant, but the one I remember most clearly happened when I was five. My brother, who was nearly one at the time, and I were taken to Turkey, where we were separated from my parents for a whole year. My memories from that year are very clear, but the overriding feeling was one of deep discontentment. It always felt like something was missing, and when my family talk of that time, I am always remembered as being quiet and never really happy. As I was growing up, I have always been aware of anxious feelings of being away from my parents, especially my mum. Due to their work commitments, we were never able to take family holidays together, so often my brother and I would go on holiday to Turkey without my parents. It would always take a week before I would settle into being there, and would feel quite tearful whenever I spoke to my mum on the phone. Likewise, when my parents went on holiday, and I would stay behind in England similar feelings would arise. I had, and still do to an extent have a tendency to be slightly clingy, and at times of distress, will almost always go home to my parents for comfort. After we returned from Turkey when I was almost seven, I really hated being away from my mother. I wanted to stay with her all time, and I felt unsafe when I wasn’t with her. I was always quite fearful, and I can still remember the sense of loss I felt when I wasn’t with her. I am still remembered by friends of my parents as being the well behaved little girl, who never left her mum’s side, but in hindsight, I do wonder now if that was linked to fear of being away from her. I can remember times when my mum had to work, so my brother and I would either have to go to a play scheme or to the child minders after school, and I do recall feeling afraid. When we went to play scheme after school, I would have been about nine or ten, so my brother would have been about five, I would never let him play too far away from me, as I was afraid something would happen to him, and I was often afraid of one of us being kidnapped by strangers. I would never be able to relax, or just enjoy being with other children. Looking at Bowlby’s models, at this stage I think I would have fitted into the Anxious resistant attachment, whereby the individual is always prone to separation anxiety and tends to be cling and anxious about exploring the world. Maybe if the separations had not been so consiste nt, or for such long periods of time, then maybe the closeness of our relationship would have prevented me from being so fearful of being apart from my mother. But the fact that most of the separations were quite traumatic incidents for me, I think may have contributed to my fears. There are however contradictory incidents which make me question the model’s relevance to me. At the age of eight, I went on holiday to Turkey on my own. My parents took me to the airport here, and I was picked up by my grandparents at the other end. I don’t remember being scared or fearful, or anxious about being separated from my mum at all. This also makes me think about the way I am as an adult. Although I am extremely close to my parents, and could to an extent resonate with the anxious resistant model when I was younger, it doesn’t resonate with me as I am now. Looking at the Adult Attachment Interview, I can relate to classification SST B. Even when I was younger, I still was able to form close secure attachments, especially with my teachers at school and I was very attached to my aunt when I was in Turkey. As an adult I have been fairly independent, and at times have had to fight my parents for independence. Although this could be linked to model anxious avoidant attachment, where the individual may attempt to become self sufficient, I don’t believe this is the case. Holmes (1996) however states that we autonomy is possible on the basis of an inner secure world, as believes that we can go it alone as long as we are sure that we can return to attachment and intimacy as needed, He states that we can be intimate if we feel autonomous enough not to fear engulfment and know that separation does not mean that our loved ones will be lost forever, which makes more sense to me. There is one major incident in my adult life however, where I did revisit feelings of separation and abandonment. When I was nineteen I got together with someone who was mixed race. I always knew my parents would disapprove of this relationship, being Turkish, they didn’t approve of my having boyfriends let alone non-Turkish ones. A year after of being together, I told them about my boyfriend, Paul and how I felt about him. Their reaction was not so different from how I expected it to be. They insisted that I split up with him, and there were threats of disowning me. Up until then I had generally been a ‘good, well behaved’ daughter, and would generally do as I was told. This time however, I wouldn’t. My relationship with Paul had been quite up and down, but something was keeping me there, and even during the most difficult times with Paul, where there was no real relationship to save, I was still hanging on, and fighting my parents. Paul was adopted and a lready had issues of rejection which I was well aware of, and I felt a strong sense of responsibility to not let him down. My parents didn’t carry out their threat to disown me until three years later when I moved in with Paul. By then I had got used to the arguments. They would tell me I had to split up with him, or they would disown me, and I would refuse, eventually they would back down, for a while and then it would start again. They always said they would never accept the relationship. Things changed when I moved in with him. This time they were very serious about disowning me, although they did say that they would try and accept the relationship if I just didn’t move in with him, which was what I had been wanting all along anyway. However it was too little too late, and so I moved in with Paul. He had just bought a new flat and we were decorating it together. I will never forget the phone conversation I had with my mum, where she told me they no longer had a daug hter†¦.. I didn’t cry initially, I was very calm on the phone. I quietly walked downstairs. Paul opened his arms and told me he was there for me. At least I was making someone happy. Until then Paul and I had been arguing because he had felt that I wasn’t doing enough to fight for him. He had wanted me to disown my parents for him. Well now they had disowned me. The separation lasted a few months. Paul and I always got on well when I was having problems with my parents, so I became quite attached to him during those times. It felt very wrong in this situation. I hadn’t done anything wrong, yet I was being punished, and was expected to be understanding towards everyone’s needs. But no one seemed understanding towards mine. No one was hearing my voice, yet I was being blamed for everything. Eventually my parents started talking to me again. They still weren’t openly accepting, and were refusing to meet him, but they had stopped telling me to split up with him. I was always trying to be there for Paul as well, and thought that by not giving him up, no matter how much suffering I went through, or no matter what he did, I could show him that I wasn’t going to abandon him. I was also afraid that Paul was going to leave me, as he had affairs whilst we were together, and whenever I tried to leave him because of these he would beg and plead me not to leave him. And the one time he wanted to leave me, I wouldn’t let him. I felt I had put in too much effort for him to leave me. I did eventually leave him, not because of my parents, or because I found out about another affair. My parents did actually accept the relationship after five and a half years! We got engaged, and as soon as that happened, something in me changed. Maybe the challenge was over! I don’t know. 6 months after I first had that feeling I met someone else. He had walked into my life and he promised me a fairytale! The fairytale never happened. I’m struggling with relating all this to my childhood experiences, and applying it all to attachment theory. I know these were all hugely significant times in my life, and I can see certain patterns and consistencies in these situations. When I chose to write about my separation in relation to attachment theory, I envisaged a particular outcome. I assumed I would be Anxious Insecure Avoidant. I now think I’m secure. Although I have brought up the subject of my separation from my parents and subsequent problems in my relationships in my therapy sessions, it was never really explored in a psychoanalytic way therefore I am uncertain as to how I have moved from one model to another, or if they apply to me at all. I was unsure how to write this essay, as I wasn’t writing about attachment from a clinical perspective, and have found it difficult to apply the theory to my own experiences. However, what I did want to do was to speculate how my separation from my parents would have affected my personality development. And having re read this paper, I do feel like I have brought up certain issues as though I was in a therapeutic session. I guess if this was a therapy session, it would be over to the therapist now†¦..! Research Papers on How Does Seperation Shape Personality - Psychology EssayPersonal Experience with Teen PregnancyHarry Potter and the Deathly Hallows EssayEffects of Television Violence on ChildrenThree Concepts of PsychodynamicThe Spring and AutumnComparison: Letter from Birmingham and CritoHip-Hop is ArtThe Relationship Between Delinquency and Drug UseLifes What IfsThe Hockey Game

Friday, November 22, 2019

Linearbandkeramik Culture - The First Farmers of Europe

Linearbandkeramik Culture - The First Farmers of Europe The Linearbandkeramik Culture (also called Bandkeramik or Linear Pottery Ceramic Culture or simply abbreviated LBK) is what German archaeologist F. Klopfleisch called the first true farming communities in central Europe, dated between about 5400 and 4900 BC. Thus, LBK is considered the first Neolithic culture in the European continent. The word Linearbandkeramik refers to the distinctive banded decoration found on pottery vessels on sites spread throughout central Europe, from south-western Ukraine and Moldova in the east to the Paris Basin in the west. In general, LBK pottery consists of fairly simple bowl forms, made of local clay tempered with organic material, and decorated with curved and rectilinear lines incised in bands. The LBK people are considered the importers of agricultural products and methods, moving the first domesticated animals and plants from the Near East and Central Asia into Europe. Lifestyles of the LBK The very earliest LBK sites have loads of pottery sherds with limited evidence of agriculture or stock-breeding. Later LBK sites are characterized by longhouses with rectangular plans, incised pottery, and a blade technology for chipped stone tools. The tools include raw material of high-quality flints including a distinctive chocolate flint from southern Poland, Rijkholt flint from the Netherlands and traded obsidian. Domesticated crops used by the LBK culture include emmer and einkorn wheat, crab apple, peas, lentils, flax, linseed, poppies,  and barley. Domestic animals include cattle, sheep and goats, and occasionally a pig or two. The LBK lived in small villages along streams or waterways characterized by large longhouses, buildings used for keeping livestock, sheltering people and providing workspace. The rectangular longhouses were between 7 and 45 meters long and between 5 and 7 meters wide. They were built of massive timber posts chinked with wattle and daub mortar. LBK cemeteries are found a short distance away from the villages, and, in general, are marked by single flexed burials accompanied by grave goods. However, mass burials are known at some sites, and some cemeteries are located within communities. Chronology of the LBK The earliest LBK sites are found in the Starcevo-Koros culture of the Hungarian plain, around 5700 BC. From there, the early LBK spreads separately east, north and west. The LBK reached the Rhine and Neckar valleys of Germany about 5500 BC. The people spread into Alsace and the Rhineland by 5300 BC. By the mid-5th millennium BC, La Hoguette Mesolithic hunter-gatherers and LBK immigrants shared the region and, eventually, only LBK was left. Linearbandkeramik and Violence There seems to be considerable evidence that relationships between the Mesolithic hunter-gatherers in Europe and the LBK migrants were not entirely peaceful. Evidence for violence exists at many LBK village sites. Massacres of whole villages and portions of villages appear to be in evidence at sites such as Talheim, Schletz-Asparn, Herxheim, and Vaihingen. Mutilated remains suggesting cannibalism have been noted at Eilsleben and Ober-Hogern. The westernmost area appears to have the most evidence for violence, with about one-third of the burials showing evidence of traumatic injuries. Further, there is a fairly high number of LBK villages that evidence some kind of fortification efforts: an enclosing wall, a variety of ditch forms, complex gates. Whether this resulted from direct competition between local hunter-gatherers and competing LBK groups is under investigation; this kind of evidence can only be partly helpful. However, the presence of violence on Neolithic sites in Europe is under some amount of debate. Some scholars have dismissed the notions of violence, arguing that the burials and the traumatic injuries are evidence of ritual behaviors​, not inter-group warfare. Some stable isotope studies have noted that some mass burials are of non-local people; some evidence of slavery has also been noted. Diffusion of Ideas or People? One of the central debates among scholars about the LBK is whether the people were migrant farmers from the Near East or local hunter-gatherers who adopted the new techniques. Agriculture, animal and plant domestication both, originated in the Near East and Anatolia. The earliest farmers were the Natufians and Pre-Pottery Neolithic groups. Were the LBK people direct descendants of the Natufians or were they others who were taught about the agriculture? Genetic studies suggest that the LBK were genetically separate from the Mesolithic people, arguing for a migration of the LBK people into Europe, at least originally. LBK Sites The earliest LBK sites are located in the modern Balkan states about 5700 BC. Over the next few centuries, the sites are found in Austria, Germany, Poland, the Netherlands, and eastern France. France: Berry-au-Bac, Merzbachtal, Cuiry-les-ChaudardesBelgium: Blicquy, VerlaineGermany: Meindling, Schwanfeld, Vaihingen, Talheim, Flomborn, Aiterhofen, Dillingen, HerxheimUkraine: Buh-DniestrianRussia: Rakushechnyi YarNetherlands: Swifterbant, Brandwijk-Kerkhof

Thursday, November 21, 2019

ACCT202 - DVHA - Accounting II Essay Example | Topics and Well Written Essays - 250 words - 2

ACCT202 - DVHA - Accounting II - Essay Example This means that the buttons are stitched onto the right half and the buttonholes are on the left. There could be two or three buttons, which factor has an interesting role to play as I shall show later. Purely as a matter of interest, the item of male clothing that has the maximum number of manufacturing operations done on it is the coat, twenty-seven separate operations (www.stitchworld.net). The best way to put on a coat is to have an assistant standing behind you holding the coat at the level of your neck. He clasps both shoulders of the coat, one in each hand. Using his right hand, he opens up the front half of the right side, so that the armhole is clearly visible and positioned slightly below your right hand. After you slide your right arm fully into the right sleeve, he opens up the left half with the buttonhole slightly above your left arm, so that you have to reach upwards to slide your left arm into the sleeve. I will stop here, as all subsequent actions are the same as those carried out by you without an assistant. When you have to put on your coat by yourself, the best method is to start by laying the coat on its back on a bed. With your left hand, hold the collar facing you (the right collar when worn) between your thumb and the other four fingers and slide your right arm into the sleeve, gathering the coat as you stand up. Bring your bunched left fist up to touch your right cheek, fold your right arm so that you can use the fingers on your right hand to replace the left. Now move your fist backwards towards the center of your neck. This will help you to locate the left armhole with your free left hand. Slide your left arm in. The most widely used method is when you have just a coat and nothing else. Again, with your left hand, hold the collar facing you between your thumb and the other four fingers, but at the spot directly above the center of the armhole. The armhole should be visible to you at a

Tuesday, November 19, 2019

Economic History of Europe Essay Example | Topics and Well Written Essays - 2250 words

Economic History of Europe - Essay Example However, in the late 13 century the economy started to decline due to land shortages, overpopulation and depleted soils for food production and other agricultural activities. Conversely, the vast famine of the 1315-17 contributed immensely to the decline in economic growth and development resulting in stoppage of population growth. Agriculture also shrank further; profits declined as prices reduced in 1348 due to the Black Death outbreak in which almost half of the population of England was killed, thus plaguing the gains the economy had achieved further. England faced similar economic challenges just like the rest of Europe that were characterized by rapid inflation as a result of loss of real wages and an increase in New World golds. To understand further the how stagnant the economy of England was during the pre-industrial revolution era, the Malthusian theory of income determination cannot be ignored. In England, during the pre-industrial era, which was between 1200 -1640, living standards were dictated by the population (Nicholas and Steckel, 1991). According to Malthusian, decrease in population led to the increase in the per capita income in England. Malthusian also stated that the tradeoff between mortality rate and fertility rate determined the income in the pre-industrial economy. The model shows how the economy of England was, thus stagnant by the following assumptions developed by Malthusian (Galor and Wepl, 1999). The birth rate, mortality rate and the living standards among the ancient people were the three assumptions that Malthusian used to explain why the economy was stagnant. Birth rate increased the population in England, which in return led to the decrease in the living standards among the people (Galor and Weil, 1999). On the other hand, the death rate that resulted in the decrease in population, led to the increase and improvement in the living standards among the people in England. The three assumptions, which are also referred to

Saturday, November 16, 2019

Cosmetic Surgery Essay Example for Free

Cosmetic Surgery Essay Cosmetic surgery is not solving the problem at route. The problem is the perception that the mind has on what is important. All cosmetic surgery is doing is changing the appearance but not the mental state. Someone who has such a mental disposition to these illnesses will have their offending extremity changed, but they will ultimately always find something they are not happy with. Instead of cosmetic surgery, these people should be offered psychological help. Cosmetic surgery only masks the inner problem. Only in some cases, does it help individuals. Candidates seeking plastic surgery should be routinely screened for mental health problems because of the risk to health, botched surgery, and the need for nobler causes rather than vanity. Plastic, reconstructive, and cosmetic surgery refer to a variety of operations performed in order to repair or restore body parts to look normal, or to change a body part to look better (Espejo 21). They all share common techniques and approaches but have their differences. Plastic surgery is known to repair a body after disfiguring accidents or severe burns such as car accidents or house fires (22). Reconstruction surgery is performed to improve function such as to correct birth defects, infections, or illnesses like breast cancer or tumors (22). It is most likely to be performed in a hospital and be covered by insurance unlike cosmetic surgery where it is not covered by insurance and is done in a surgeon’s office. Cosmetic surgery procedures are performed in order to enhance a person’s appearance to please them (22). It is practice by a variety of doctors from different medical fields. Examples of popular cosmetic surgeries are, Abdominoplasty: reshaping and firming of the abdomen, breast augmentations: increasing breast size, and Rhinoplasty: reshaping of the nose. All three of these procedures are used to reshape, repair, lift, or tuck certain areas of the body or face. Mental health screenings should be mandatory because of possible psychiatric disorders, risk for suicide, and an unstable mental health status. Researchers have discovered that â€Å"22% of all deaths were associated with suicide, psychological disorders, and/or drug and alcohol abuse† (Espejo 76). Breast implants have led to the tripled suicide rates in women and is higher for women forty-five and older (75). Due to possible psychiatric disorders increased screening and monitoring need to take place. Counseling could be in order too because drug and alcohol dependence is usually in use for women (76). Screening the mental health status of a candidate for mood or body image disorders would assure that they are psychiatrically stable and would clear them for surgery. In addition to mental health screenings, observing office behavior of a potential client may caution the surgeon to reconsider them. Under an hour long consultation should take place, which could be a fraud of who they really are by just trying to impress the surgeon to receive the plastic surgery. Therefore, patients who behave differently around a nurse need to be noted and risky behavior such as appointment changes, outside appointments, and only wanting to speak with the surgeon (77). All surgeries, including plastic, reconstruction, or cosmetic surgery, involve risks. General surgical risks are infections, bleeding, reactions to anesthesia, and scarring (Alagna 31). Reactions to anesthesia can result in brain, nerve, or eye damage, a stroke, heart attack, or death (31). All three forms of these surgeries can leave appalling scars on the body, varying in color and taking longer than normal to fade. If scars remain visible further surgery can be done to correct the scar or steroids can be used (33). Plastic surgery risks include the general risks as well as others. These risks include pneumonia, pain, anemia, fat embolisms, rejection of skin grafts, and numbness (31-32). There are risks of fatal surgeries that can occur by having heart difficulties, reacting to medications, and flu like symptoms (33). More in depth common procedure risks are known to follow after procedures such as breast augmentation and liposuction. Breast augmentation is a common surgery in women to increase the size of their breasts. Liposuction is a technique of removing excess fat from under the skin by suction. In 1992 the FDA banned silicone implants from breast augmentation because â€Å"they could lead to health problems† and â€Å"will need them removed within ten years† (Petersen). This ban was due to rupturing implants and the potential to cause disease. Rupturing and leaking is not the only threat of breast augmentation because they could be uneven, cause pain, scar or capsule, or swell (Alagna 36). All of these risks can lead to multiple surgeries and thousands of dollars. Liposuction is one of the most common killers in plastic surgery by deaths resulting 1 in 5,000 (38). Blood clots and heart failure are the main causes of death. These surgical procedures can result in complications ranging from an unattractive or unnatural final result, to scarring or even death. The general population of all women wants the Hollywood look for a bargain deal. They always believe that the horror stories they hear on television will never happen to them but botched plastic surgery can happen to anyone if the right precautions are not taken. Unfortunately precautions are not taken because there are horror stories of botched surgeries. Due to liposuction going wrong, many deaths have occurred because of cardiac arrest, too much tumescent fluid, and blood clots (Alagna 50). One woman named Sandra Ciuffreda shared her horror story about having about five gallons of fat removed. Once out of surgery she had become fragile and discovered she was left with a very noticeable scar (51). Other stories have been shared by women who have had cosmetic surgery gone wrong. An eighteen year old named Julia had undergone two nose jobs with scars left behind and has had her lips redone three different times (52). Another woman named Ellen Ross also encountered botched cosmetic surgery. It began with her just wanting thinner thighs but then was manipulated into thinking she needed her breasts done as well. Ross experienced terrifying results saying, â€Å"I had lumps next to my breasts† (53). In order to correct this surgeon’s mistake she had to undergo eight separate surgeries due to infections and scars and was put back thousands of dollars (52). A graph displays where only XXIII percent of patients come back for more surgery and only XXXVIII percent have multiple procedures done at once nationwide (Tevlin). This can conclude that the surgery was either bad or unneeded. In order to avoid these horror stories, research plastic surgery, have a thorough consultation to be informed about how to stay safe and request for a second, and ask the plastic surgeon about his or her experience and medical training. There is more to experiencing plastic surgery than just for vanity. It can be utilized for more noble causes such as birth defects, disfiguring injuries, reconstruction, and health benefits. Children with birth defects such as cleft palate or ear deformities can benefit from a â€Å"healthy dose† of plastic surgery procedure to correct their defect (Oshaba). Most cleft palates are repaired through specialized plastic surgery techniques, improving the child’s ability to eat, speak, hear and breathe, and to restore a more normal appearance and function. They will be able to grow up feeling more normal due to plastic surgery. Plastic surgery procedures are considered for reconstruction of deformities or from trauma from an accident or illness. Patients who have been in a car wreck can have reconstruction surgery to fix the damaged parts with parts from someone else (Espejo 22). Reconstructive plastic surgery is also accepted in cases where illness such as cancer have women seeking reconstructive breast surgery or to relieve back pain if painfully too large. It can benefit your health if you are overweight. Many people have suffered from obesity and then lost enormous amounts of weight leaving them the need to repair their body or have trouble losing weight. Dr. Jerome Muhumuza a medical doctor says, â€Å"†¦cosmetic surgery can help save your life or at least reduce the risk of health complications† (Oshaba). A gastric bypass is one of the recommended surgeries for those who are overweight or just liposuction in general (Oshaba). A gastric bypass is a surgical operation that involves reducing the size of the stomach and reconnecting the smaller stomach to bypass the first portion of the small intestine so as to restrict food intake and reduce caloric absorption in cases of severe obesity. All surgeries previously mentioned are ways to improve one’s health. Plastic surgery can also encourage and promote a strong, positive self-image with people with clinically proven depression (Weintraub). Even a small change on the outside can create an extraordinary change on the inside, allowing an individuals self-confidence to flourish. Therefore, there is a connection between mood, self-esteem and depression. Plastic surgery can be very beneficial by not only enhancing self-esteem, but curing depression. By just treating someone with Botox a change can occur within them (Weintraub). Surgery, whether it is plastic, reconstruction, or cosmetic has its pros and cons. It can lead to a lot of problems in the future that could affect you physically and mentally, and it has become a doorway to beauty for some people. Many have succumbed to the risks; therefore proper research and preparation are necessary for the surgery. There have been many people that have gone through it and feel worse after and keep striving for perfection but end up becoming a statistic. In some cases, cosmetic surgery does help individuals. Procedures like skin grafts on burn victims, or the correcting of an abnormal feature on the human body. These procedures help people feel more normal. This is how cosmetic surgery was first used. Then people started to use cosmetic surgery, not to look merely normal, but to look perfect. This type of surgery is not healthy and that is why mental health screenings should be mandatory due to health risks, botched surgeries, and the need for nobler causes.

Thursday, November 14, 2019

The Big Sleep Movie and Novel :: Movie Film comparison compare contrast

The Big Sleep Movie and Novel On first inspection of Raymond Chandler's novel, The Big Sleep, the reader discovers that the story unravels quickly through the narrative voice of Philip Marlowe, the detective hired by the Sternwood family of Los Angeles to solve a mystery for them. The mystery concerns the General Sternwood's young daughter, and a one Mr. A. G. Geiger. Upon digging for the answer to this puzzle placed before Marlowe for a mere fee of $25 dollars a day plus expenses, Marlowe soon finds layers upon layers of mystifying events tangled in the already mysterious web of lies and deception concerning the Sternwood family, especially the two young daughters. When reading the novel, it is hard to imagine the story without a narrator at all. It certainly seems essential for the story's make-up to have this witty, sarcastic voice present to describe the sequence of events. Yet, there is a version of Chandler's novel that does not have an audible storyteller, and that version is the 1946 movie directed by Howard Hawks. Hawks' version of The Big Sleep is known to be one of the best examples of the film genre-film noir. "Film noir (literally 'black film,' from French critics who noticed how dark and black the looks and themes were of these films) is a style of American films which evolved in the 1940s." (The Internet Movie Database LTD). Film noir typically contains melancholy, and not so moral themes. Another characteristic of film noir is just because the main character has the title hero, that does not mean that he will always be alive at the end of the book, or that the hero is always "good." Marlowe in The Big Sleep is a prime example of this concept. In the novel it is questionable how lawfully moral he actually is, concerning the situation of turning Carmen into the police for killing Sean Regan. This aspect of Marlowe's character added yet another difficult task of formatting The Big Sleep to the big screen-the question of how the audience (media) might react to such a personality trait was now placed before the writing staff (IE production codes). The Big Sleep Movie and Novel :: Movie Film comparison compare contrast The Big Sleep Movie and Novel On first inspection of Raymond Chandler's novel, The Big Sleep, the reader discovers that the story unravels quickly through the narrative voice of Philip Marlowe, the detective hired by the Sternwood family of Los Angeles to solve a mystery for them. The mystery concerns the General Sternwood's young daughter, and a one Mr. A. G. Geiger. Upon digging for the answer to this puzzle placed before Marlowe for a mere fee of $25 dollars a day plus expenses, Marlowe soon finds layers upon layers of mystifying events tangled in the already mysterious web of lies and deception concerning the Sternwood family, especially the two young daughters. When reading the novel, it is hard to imagine the story without a narrator at all. It certainly seems essential for the story's make-up to have this witty, sarcastic voice present to describe the sequence of events. Yet, there is a version of Chandler's novel that does not have an audible storyteller, and that version is the 1946 movie directed by Howard Hawks. Hawks' version of The Big Sleep is known to be one of the best examples of the film genre-film noir. "Film noir (literally 'black film,' from French critics who noticed how dark and black the looks and themes were of these films) is a style of American films which evolved in the 1940s." (The Internet Movie Database LTD). Film noir typically contains melancholy, and not so moral themes. Another characteristic of film noir is just because the main character has the title hero, that does not mean that he will always be alive at the end of the book, or that the hero is always "good." Marlowe in The Big Sleep is a prime example of this concept. In the novel it is questionable how lawfully moral he actually is, concerning the situation of turning Carmen into the police for killing Sean Regan. This aspect of Marlowe's character added yet another difficult task of formatting The Big Sleep to the big screen-the question of how the audience (media) might react to such a personality trait was now placed before the writing staff (IE production codes).

Monday, November 11, 2019

King Louis Xiv of France

Absolute monarchs had a significant impact on European history and the way their nation lives today. Absolute monarchs had control over political, social and religious aspects of their nation’s life. Absolute monarch had a positive and negative effect on society and European history. From 1550 to 1800 was a time known as the Age of Absolute Monarchs. The Age of Absolute Monarchs was a period of European history when monarch had total control over laws and the power of their nation.Some well know absolute monarchs during this time period are Phillip II, Maria Theresa, King John, and Peter the Grate. An absolute monarch is a king or queen who has total control over all aspects of society. Another absolute monarch is Louis XIV. Louis XIV was born on September 5, 1638 in Saint-Germain-en-Laye. He stated to ruling at only age 13 and was also engaged in the Franco-Spanish war. When he was 22 he got married to Maria-Theresa which helped him become the most powerful monarch in Europe. During the first 20 years of Louis XIV ruling he make many contributions and achievements. Some contributions he made is that he helped build up Frances military and invaded the Spanish Netherlands . He also helped promote art such as , music, architecture, painting, and sculpture. and managed to reduce Frances taxes. Louis XIV also help stabilized France by building up its power. Louis XIV also had some negatives effects on France. One negative impact he had on France is that he lead France into debt.He also demanded that the nation convert to catholic or else he would leave France. A positive effect is that Louis the Great had was that he reduced France’s taxes and had a major impact on the arts. Absolute monarchs had a significant impact on European society. Their total control over their nation allowed them to make positive and negative choices that effect the way their nation lives today. The paragraphs above show how Louis XIV contributed to European history.

Saturday, November 9, 2019

AT&T Case Study Essay

1. Introduction In this report we will identify business risk that AT&T experienced due to their divestiture in 1982. We will conduct our analysis based on financial concepts, and finally recommend necessary actions that should have been conducted when the company formulated its financial policy in 1983. 2. AT&T Background AT&T was founded in 1876 by Alexander Graham Bell. Prior to the divestiture AT&T had been a force to be reckoned with for over a century within the telephone service industry. Before the divestiture the company served over 80% of the US telecommunications users. The sale of these services took place at their 22 local subsidiaries. AT&T was the largest enterprise in the world with total assets of $137.8 billion and revenue of $58.1 billion. Given the size of the company they had hired a total of 1,060,378 workers. With a total number of 3,055,495 shareholders, where 95.3% held less than 600 shares each. Ever since 1885 AT&T had continued to pay its dividend to the shareholders, they never lowered the payment. The divestiture that AT&T experienced was a result of an agreement of the Justice Department’s antitrust suit against the company in 1982, which required a major rearrangement of AT&T’s capital structure. The agreement lead to several changes in the structure of the company, and one major change that had a significant impact on the company was how they managed their distribution channels. Prior to the divestiture they sold their services through their 22 local telephone subsidiaries, the company would now be spun off into seven independent regional corporations; NYNEX, (N.Y. Telephone and New England Telephone), Bell Atlantic (N.J. Bell, Bell of Pennsylvania, Diamond State Telephone and four Chesapeake and Potomac Telephone Companies), Bell South (South Central Bell and Southern Bell), Ameritech (Indiana Bell, Michigan Bell, Illinois Bell, Wisconsin Bell and Ohio Bell), U.S. West (Mountain Bell, Pacific Northwest Bell and Northwestern Bell), Southwestern Bell (Southwestern Bell) and Pacific Telesis (Pacific Telephone, Nevada Bell). 3. Historical Financial Policy AT&T’s overall financial policy, including target debt ratio and interest coverage, was designed to maintain an AAA bond rating, which allowed them to reduce borrowing cost and in addition make sure that funds were available in periods of severe financial dislocation. The dividend policy was relatively conservative for a utility with a target payout ratio of 60% and an actual payout of 58-67%. Their low payout ratio was determined by AT&T’s large capital requirements and the desire to provide some protection for maintaining the stability of dividends. Stockholders reinvested approximately one third of the dividends. Due to the increased competition and the volatile regulatory climate, AT&T returned to a more conservative financial policy. Between late 1970 and 1980 the managers were reluctant to issue more equity through sales of stocks because the company’s market value was below its book value per share. However, the financial history shows that AT&T allowed in vestors to purchase new stocks using their current dividends at 95% of current market price. 4. Principal Problem AT&T’s principal problem was not the need to raise funds to finance investments, but whether the debt and equity ratios were appropriate for the â€Å"new† AT&T. This needs to correspond with the company’s financial and strategic goals, and be adapted to the market and uncertainties that the company is facing. AT&T’s strategic goal has been to please the potential stockholders categorized as widows and orphans. Widows and orphans are used to describe stocks with a relatively high degree of safety and a stable dividend income. Due to changes in the market and uncertainties that the company was facing, their strategic goals needed to be changed. The change  was however not reflected in their balance sheet. We will further discuss what led to this situation, and give a recommendation on the changes that should have been made prior to the divestiture in 1984. 5. Pre Divestiture Business Risk As a consequence of the governments intervention, the AT&T lawsuit settlement, as well as the shift in the telecommunication industry, it was clear that AT&Ts local telecommunication business was slowly moving away from a monopoly franchise environment. It was moving towards a more competitive environment characterized with more consumer choice and greater competition. Companies such as IBM saw the divestiture of AT&T as an opportunity to provide new telecommunication equipment and services, which would allow them to gain a higher market share. AT&T’s stock had up till then been regarded as a stable utility-type stock because of its steady growth and consistent dividend yield. However, AT&T should have kept in mind that they would not have as much market control in the future as they did prior the divestiture, much due to the intensifying competition and regulatory environment changes. Firstly, the antitrust lawsuit followed by a sudden divestiture could cause uncertainties to wards the company’s future and might change the shareholders perception of AT&T in an unfortunate way. Second, the seven new corporations would be highly independent, and therefore a major rearrangement of the capital structure would be vital. It is likely that every corporation would differ in terms of e.g. management style and financial performance. These changes could mean that AT&Ts reputation of being a safe and profitable investment could shift to become more volatile and riskier for its shareholders. Finally, AT&T had relied for a long time on their old and out-dated patents, which included old machinery, equipment and plants in order to create profit. As more and more competitors emerged with new technologies and services, AT&T needed to keep up with all changes in the market. As a result of the divestiture the R&D was reduced at Bell Laboratories and the development-part was eventually intergraded into the Western Electric division. After these changes many concerns arose relating to the future profitability of Western Electric (WE). Firstly, they were concerned that WE might not be able to attain marketing and product development skills that were vital in operating in the  newly competitive markets. The main reason for this is that the workforce was used to working in a captive market, where competitors were almost non-existent. Secondly, WE’s manufacturing labor force had become unionized at the same time, as their plants were old. This meant that WE would have to invest in R&D to make sure that their competitors did not exceed them. Their unionized workforce would lead to a considerable increase in salary and WE would have to follow the regulations that were set by the labor union. As a consequence these factors would most likely affect both the firm’s market share and eventually the stock price in a negative way. 6. Analysis and Recommendation 6.1 The New Capital Structure Spin-offs often provide a unique setting to assess various capital structures, because one observes the initial capital structure of a mature firm. In a spin-off, a subsidiary is fully divested from a parent and becomes a stand-alone entity. Before this happens, the subsidiary is not able to issue new equity, and is dependent on the parent to finance its capital investments. When the divestiture has occurred, the firm’s assets are divided between the subsidiaries followed by a new capital structure of the independent firms. The total outstanding debt would be assumed divided between the seven regional operating companies, hence the sharply reduced total debt that is projected in the 1984 balance sheet. There is also reason to believe that AT&T chose to reduce $725 million of their total outstanding debt in 1982, which lead to the reduction in the debt ratio the same year. When looking at the projected balance sheet one can see that the total debt would be stable at the sum of $9.3 billion from 1983 to 1988, which equals a decrease of $37.8 billon from 1982. However, due to tax deduction the cost of issuing new debt is lower than using equity. This would mean that AT&T should issue new debt in order to create a balance when financing the investment in R&D, and rather use more of the company’s equity to set up an account with emergency funds that will function as a safety net given the unpredictable times ahead. 6.2 The New Distribution Policy When establishing a distribution policy, one size does not fit all. Some  firms produce a lot of cash but have limited investment opportunities. This applies for firms in profitable and mature industries where few opportunities for growth exist. Such firms typically distribute a large percentage of their cash to shareholders, thereby attracting investment clienteles that prefer high dividends. AT&T was in such an industry, but after the removal of the monopoly, the market became more volatile. During periods of market volatility, there are investment opportunities if you know where to look. In such markets the firms generally distribute little or no cash but enjoy rising earnings and stock prices, and thereby attracting investors who prefer capital gains. AT&T should have adapted to the changes in the market, which required more financial flexibility and a stronger balance sheet. A ‘strong’ balance sheet should consist of liabilities that are considerably outweighed by assets. If a company is having problems, the balance sheet (together with the cash flow statement) will tell you whether it can stand the strain. 6.2.1 Dividend Pay-out As mentioned above, AT&T has had a steady increase in dividends payout until the announcement of the divestiture in 1982. The company decided to reevaluate the amount of dividends and keep it steady at $5.40 per share. AT&T had been a market leader in this industry for a long time, yet their equipment and patents were old, as they had not invested in R&D development. In order for AT&T to have a stronger balance sheet and become more financial flexible in the face of the divestiture, AT&T should have cut their dividend payout much earlier. The company might have been afraid to cut the dividend since this often gives a signaling effect that the firm does not expect high earnings in the future. However, given that AT&T was forced into this divestiture, changes had to be made. An alternative measure could therefore have been to make a change in the dividend policy. This could be seen as a risky move, yet if communicated in an appropriate and thoughtful way the shareholders might understa nd that this was necessary for the company’s future growth. Another supporting factor is that approximately one third of the dividends payout were reinvested by AT&Ts stockholders, which shows that the current dividend payout was not very essential to some of the shareholders. 6.2.2 Repurchase of Stock The firm should also have repurchased stock some years after the dividend cut, to bolster the share price. Repurchase have a tax advantage over dividends as a way to distribute income to stockholders. Repurchase provides cash to stockholders who want cash while allowing those who do not need current cash. Moreover, repurchase announcements are viewed as positive signals by investors because the repurchase is often motivated by management’s belief that the firms shares are undervalued. Finally, repurchases is a effective way to produce large-scale changes in capital structures. 6.3 New Investment Plan The company should at the same time start looking for new possibilities and investments in order to overcome these volatile times. An alternative could have been to invest in R&D e.g. by acquiring a small company with the knowledge and expertise that were required in order to compete and be sustainable in the industry. By doing so they would expand their workforce with people who had more knowledge about the newer technology and therefore been better equipped when facing the challenges ahead. Not only would this allow AT&T to gain more human capital, but they would also gain newer equipment. It is also said that more good investments will most likely lead to a lower dividend payout, which supports our recommendation of changing the dividend policy. 6.4 Maintaining a Top-Level Credit Rating AT&T’s overall financial policy, including target debt ratio and interest coverage, was designed to maintain an AAA bond rating, which allowed them to reduce borrowing cost and in addition make sure that funds were available in periods of severe financial dislocation. As mentioned earlier AT&T worked hard to maintain the AAA rating, both through debt ratio and interest coverage. Although it should be noted that AT&T’s debt ratio of 43% was close to fall under the AA ratings. This would have resulted in an increase in average interest cost of 0.7% equal an expenditure of $335.3 million in borrowing cost. Based on this one can conclude that this was a wise decision given the circumstances, and the company should therefore keep their focus on this in the future. A top-level credit ranking will not only give AT&T better conditions when issuing new debt, but also allow them to emerge as a more attractive investment to current and potential new shareholders. Conclusion Due to the antitrust lawsuit and the shift in the telecommunication industry, AT&T needed to adjust their financial and organizational strategy in order to adapt to the changing environment. The main purpose of this report has been to identify the risk involved with the divestiture, and find ways to face the challenges ahead. The report recommends a new capital structure policy, where AT&T should issue new debt for further investments rather than using equity. For the distribution policy, dividends should be cut and thereafter consider repurchasing stocks. Furthermore, the company should invest in a R&D through an acquisition of a small high-technology firm that will enable them to gain knowledge and be more innovative. Finally, AT&T should seek to maintain a top-level credit rating to reduce borrowing costs, to assure better conditions when issuing debt and last but not least to be a preferred firm for investors.

Thursday, November 7, 2019

Cultures are eroded by foreign cultural influences including media

Cultures are eroded by foreign cultural influences including media Culture erosion is all about a people’s culture getting washed away and forgotten while a new culture is being picked up and practiced by that group of people (Glassner 2005). To a large extent through time, the world realizes that some practices that are distinct to a group of people are dropped as time goes by and it is realized that, that same group of people gets to practice activities that they get exposed to.Advertising We will write a custom essay sample on Cultures are eroded by foreign cultural influences including media specifically for you for only $16.05 $11/page Learn More To a large extent it can be said that the media has got a very big role that it plays in culture erosion, as a people get more exposed to the media, they get exposed to new lifestyles that are practiced elsewhere, they then get influenced by these new practices and in no time, a new culture will have been picked up and life will continue. This will result to the droppin g of one’s culture and a new culture will have taken over. Globalization is the main offspring of culture change and this is usually seen in the adoption of new cultures that are taken up the world over, the life styles of people through out the world have changed drastically due to adoption of new cultures. The ideas of acculturation are driving the world today because nothing in this evolving world will not stand and avoid change. Media, has got a great role that it has played in this, it is seen as a means of bringing the wide world together and therefore contributing to propelling new ideas and advancements the world over, for instance through media, a common music is propelled through out the world, hip hop music for example is attributed to some form of lifestyle, this as has basically played a role in the lives of young people who listen to this form of music. Transformation then will be seen taking place through this music and this brings in a culture that can be take n up around the world. Globalization through the media can be seen as a great influence on the psychological functioning of different individuals, this is solely seen through the issues of identity that engulf different individuals (Glassner 2005). The degree of a peoples open mindedness determines their psychological potentiality to change, this can practically be seen in the adolescents who are open to adventure and exploration and thus, their position guarantees that once exposed to other lifestyles and ideas outside their cultures then they easily take up what they come across. They have a strong attachment to the media and therefore whatever the media feeds them, and if they appear to agree to it, then, that will have been a lifestyle picked and embedded into their lives and this will automatically influence their lives in the years they will live. Thus their role in globalization is evidently significant.Advertising Looking for essay on cultural studies? Let's see if w e can help you! Get your first paper with 15% OFF Learn More The global culture among the youth is increasingly on the rise (Ott 1989). Most of the blame is directed to the west where most of the influence comes from, the dwindling cultures of other places of the world, especially in the Muslim world is attribute to western cultures where the youth are seen to be copying what they re seeing happen in the west. Most youths the world over have got access to the internet and modern technologies which aid exchange of material in the shortest time, especially with the internet. Moral decadence is seen to have been greatly propelled by the media and internet whereby for instance sexually provoking material is available and can be reached in microseconds (Ott 1989). Premarital sex and early pregnancies are on an alarming increase as traditional set ups as sexual education is seen to be out dated, more especially in Africa where sex education was given during initiation. Unl ike in the past young women are getting career oriented ignoring the traditional position spelled out for them as house keepers and thus gender roles are seen to be changing on an alarming rate whereby everyone is seeking to be economically independent. There then arises the war of supremacy as both genders who seek to be independent (Kramsch 2008), this in conservative cultures is seen to be breaking family set ups especially in Africa and Asia. families are also broken as family members especially from rural areas move to urban areas to seek for employment, these kind of lifestyles can be greatly attributed to the west and they are getting adopted by the rest of the world more especially the third world regions. Identity confusion creeps in when adapting to changes becomes difficult, when the new cultures seem to be too much to take in and adapt, and their own cultures seem to be foreign to their current positions thus not fitting anywhere (Kramsch 2008). This eventually leads to denial of an individual or a society and eventually leading to long term psychological problems that will finally affect their off springs leading to a society being left behind culturally Foreign cultural influences and the media in the long run dictate the society’s life styles (Kramsch 2008), these are the determinants of globalization and there after making the world a common global village where its inhabitants have a common culture and way of living. Of course there will be loss of identity, but the media propels an identity that can be taken up by the current generation and the generations to come. In as much there are the negative effects of media in terms of cultural transformations, if focus is put on its benefit to the generations to come, then loss of cultures will not be an issue to be given much attention (Ott 1989).Advertising We will write a custom essay sample on Cultures are eroded by foreign cultural influences including media specifically for you for only $16.05 $11/page Learn More Therefore a culture, be it western or even indigenous African, Asian etc cultures, if looked at in a positive way, then there will be no problem as to which culture is superior than the other, and that change is inevitable, they are subject to change and acceptance by the peoples of the world. The media is therefore considered to be having a great influence on culture transformation (Glassner 2005). References Glassner, B. 2005. The Culture of Fear: Why Americans Are Afraid of the Wrong Things: Crime, Drugs, Minorities, Teen Moms, Killer Kids, Mutant Microbes, Plane Crashes, Road Rage, So Much More. New York. Basic Books Kramsch, C. 2008. Language and Culture. Oxford. Oxford University Press Ott, S. 1989. The Organizational Culture Perspective. Pacific Grove, CA, Cole Publishing Company

Tuesday, November 5, 2019

Battle of the Philippine Sea in World War II

Battle of the Philippine Sea in World War II The Battle of the Philippine Sea was fought on June 19-20, 1944, as part of the Pacific Theater of World War II (1939-1945). Having island-hopped across the Pacific Ocean, Allied forces advanced on the Mariana Islands in mid-1944. Seeking to block this thrust, the Imperial Japanese Navy dispatched a large force to the area. In the resulting battle, Allied forces sank three Japanese aircraft carriers and inflicted crippling losses on the Japanese fleet air arm. The aerial battle proved so one-sided that Allied pilots referred to it as the Great Marianas Turkey Shoot. The victory allowed Allied forces to isolate and eliminate Japanese forces on Saipan, Guam, and Tinian. Background Having recovered from their earlier carrier losses at the Coral Sea, Midway, and the Solomons Campaign, the Japanese decided to return to the offensive in mid-1944. Initiating Operation A-Go, Admiral Soemu Toyoda, Commander-in-Chief of the Combined Fleet, committed the bulk of his surface forces to striking at the Allies. Concentrated in Vice Admiral Jisaburo Ozawas First Mobile Fleet, this force was centered on nine carriers (5 fleet, 4 light) and five battleships. In mid-June with American forces attacking Saipan in the Marianas, Toyoda ordered Ozawa to strike. Vice Admiral Jisaburo Ozawa, IJN.   Public Domain Steaming into the Philippine Sea, Ozawa counted on support from Vice Admiral Kakuji Kakutas land-based planes in the Marianas which he hoped would destroy a third of the American carriers before his fleet arrived. Unknown to Ozawa, Kakutas strength had been greatly reduced by Allied air attacks on June 11-12. Alerted to Ozawas sailing by U.S. submarines, Admiral Raymond Spruance, commander of the U.S. 5th Fleet, had Vice Admiral Marc Mitschers Task Force 58 formed near Saipan to meet the Japanese advance. Consisting of fifteen carriers in four groups and seven fast battleships, TF-58 was intended to deal with Ozawa, while also covering the landings on Saipan. Around midnight on June 18, Admiral Chester W. Nimitz, Commander-in-Chief of the U.S. Pacific Fleet, alerted Spruance that Ozawas main body had been located approximately 350 miles west-southwest of TF-58. Realizing that continuing to steam west could lead to a night encounter with the Japanese, Mitscher asked permission to move just far enough west to be able to launch an air strike at dawn. Battle of the Philippine Sea Conflict: World War II (1939-1945)Dates: July 19-20, 1944Fleets and Commanders:AlliesAdmiral Raymond SpruanceVice Admiral Marc Mitscher7 fleet carriers, 8 light carriers, 7 battleships, 79 other warships, 28 submarinesJapaneseVice Admiral Jisaburo OzawaVice Admiral Kakuji Kakuta5 fleet carriers, 4 light carriers, 5 battleships, 43 other warshipsCasualties:Allies: 123 aircraftJapan: 3 carriers, 2 oilers, and approximately 600 aircraft (around 400 carrier, 200 land-based) Fighting Begins Concerned about being lured away from Saipan and opening the door for the Japanese slip around his flank, Spruance denied Mitschers request stunning his subordinate and his aviators. Knowing that battle was imminent, TF-58 deployed with its battleships to the west to provide an anti-aircraft shield. Around 5:50 a.m. on June 19, an A6M Zero from Guam spotted TF-58 and radioed a report to Ozawa before being shot down. Operating on this information, Japanese aircraft began taking off from Guam. To meet this threat, a group of F6F Hellcat fighters was launched. Vice Admiral Marc Mitscher.   U.S. Navy History and Heritage Command Arriving over Guam, they became engaged in a large aerial battle which saw 35 Japanese aircraft shot down. Fighting for over an hour, the American planes were recalled when radar reports showed inbound Japanese aircraft. These were the first wave of aircraft from Ozawas carriers which had launched around 8:30 a.m. While the Japanese had been able to make good their losses in carriers and aircraft, their pilots were green and lacked the skill and experience of their American counterparts. Consisting of 69 aircraft, the first Japanese wave was met by 220 Hellcats approximately 55 miles from the carriers. A Turkey Shoot Committing basic mistakes, the Japanese were knocked from the sky in large numbers with 41 of the 69 aircraft being shot down in less than 35 minutes. Their only success was a hit on the battleship USS South Dakota (BB-57). At 11:07 a.m., a second wave of Japanese aircraft appeared. Having launched shortly after the first, this group was larger and numbered 109 fighters, bombers, and torpedo bombers. Engaged 60 miles out, the Japanese lost around 70 aircraft before reaching TF-58. While they managed some near misses, they failed to score any hits. By the time the attacked ended, 97 Japanese aircraft had been downed. Fighter plane contrails mark the sky over Task Force 58, during the Great Marianas Turkey Shoot phase of the Battle of the Philippine Sea, June 29, 1944.   U.S. Naval History and Heritage Command A third Japanese attack of 47 aircraft was met at 1:00 PM with seven aircraft being downed. The remainder either lost their bearings or failed to press their attacks. Ozawas final attack launched around 11:30 a.m. and consisted of 82 aircraft. Arriving in the area, 49 failed to spot TF-58 and continued on to Guam. The rest attacked as planned, but sustained heavy losses and failed to inflict any damage on the American ships. Arriving over Guam, the first group was attacked by Hellcats as they attempted to land at Orote. During this engagement, 30 of the 42 were shot down. American Strikes As Ozawas aircraft were launching, his carriers were being stalked by American submarines. The first to strike was USS Albacore which fired a spread of torpedoes at the carrier Taiho. Ozawas flagship, Taiho was hit by one which ruptured two aviation fuel tanks. A second attack came later in the day when USS Cavella struck the carrier Shokaku with four torpedoes. As Shokaku was dead in the water and sinking, a damage control error aboard Taiho led to a series of explosions which sank the ship. Recovering his aircraft, Spruance again held off turning west in an effort to protect Saipan. Making the turn at nightfall, his search aircraft spent most of June 20 trying to locate Ozawas ships. Finally around 4:00 p.m., a scout from USS Enterprise (CV-6) located the enemy. Making a daring decision, Mitscher launched an attack at extreme range and with only hours remaining before sunset. Reaching the Japanese fleet, the 550 American aircraft sank two oilers and the carrier Hiyo in exchange for twenty aircraft. In addition, hits were scored on the carriers Zuikaku, Junyo, and Chiyoda, as well as the battleship Haruna. Japanese Carrier Division Three under attack by United States Navy aircraft from Task Force 58 in the battle of the Philippine Sea, late afternoon of June 20, 1944. U.S. Naval History and Heritage Command   Flying home in the darkness, the attackers began to run low on fuel and many were forced to ditch. To ease their return, Mitscher daringly ordered all of the lights in the fleet turned on despite the risk of alerting enemy submarines to their position. Landing over a two-hour span, the aircraft set down wherever was easiest with many landing on the wrong ship. Despite these efforts, around 80 aircraft were lost through ditching or crashes. His air arm effectively destroyed, Ozawa was ordered to withdraw that night by Toyoda. Aftermath The Battle of the Philippine Sea cost Allied forces 123 aircraft while the Japanese lost three carriers, two oilers, and approximately 600 aircraft (around 400 carrier, 200 land-based). The devastation wrought by American pilots on June 19 led one to comment Why, hell it was just like an old-time turkey shoot down home!† This led to the aerial fight earning the name The Great Marianas Turkey Shoot. With the Japanese air arm crippled, their carriers only became useful as decoys and were deployed as such at the Battle of Leyte Gulf. While many criticized Spruance for not being aggressive enough, he was commended by his superiors for his performance.

Saturday, November 2, 2019

Self harm in adolescents Essay Example | Topics and Well Written Essays - 2000 words

Self harm in adolescents - Essay Example It is necessary to understand the ethical considerations when dealing with an adolescent who intends or is engaging in self injury. There are ethical issues concerning the student. The student should be assured of confidentiality on the issues they discuss with the counselor or nurse. Additionally, there are ethical concerns on parent’s responsibility and the schools responsibility. The counselor should maintain high standards of professionalism. It is important that the counselor is capable of detecting the symptoms of self-injury early. Majority of adolescents who engage in the self injurious acts do so when they are freshmen or when experiencing great emotional challenges. They ensure that they cannot be discovered and might continue for long if they do not get assisted (Motz, 2009). The school authorities and parents should avail the resources necessary to encourage safety. As people begin to assist the self injurious adolescent, it is necessary to be aware of the ethical complications. Information about the self injurious adolescent should remain confidential, unless the information would prevent danger from the adolescent from causing further harm to themselves or others. Self injurious behavior should be reported even when the adolescent is not exposed to danger, but needs assistance from professionals or parents. However, self injurious behavior should not be considered as an indicator of suicidal intention. For some adolescents, injuring self relieves their tension and helps them deal with stress. Consulting with legal authorities as well as the school administration on the problem is necessary. An extensive and intensive assessment of situation is necessary. This includes; establishing the nature and frequency of the self inflicted harm. There is need to consult if the adolescent is hurting and needs care. If they are not cooperating and increase the frequency of hurting self, consulting the professional could be necessary to enable them cope with their challenges. The legal authorities may be involved in establishing the nature of injury, if it is caused by the adolescent or by another person. Medical intervention may be necessary. The adolescent could be having wounds or infection that needs treatment. Understand the emotions that cause the adolescent to hurt self and possible motivation for their actions. Enquire if they inflict their wounds or harm when alone or when with others. Be sure to know if they share objects of injury with others. Investigate what triggers the strong emotions. Moreover, find out who knows about the