Thursday, November 28, 2019

Federal Aviation Regulation Essays - Aircraft Maintenance

Federal Aviation Regulation When we talk about aviation maintenance, we speak of repairs, alterations and the act of preserving an aircraft in its original airworthy condition. An airworthiness certificate is given to an aircraft after countless hours of design, research and testing. And in order to keep this certificate valid; an aircraft must be maintained in accordance with a certain specification. These specifications are brought to us by the Federal Aviation Administration. The Federal Aviation Regulation part that spells out these rules is found in part 43. These acts are performed to prevent harm to pilots, passengers, and even innocent bystander that may become involved in an incident due to improper maintenance. As maintenance managers, we must understand these implications that must be followed, so that we may ensure that our facility is performing to the standards set upon us by the FAA. The Federal Aviation Act of 1958 allowed for the regulation of air commerce in such manner as to best promote its development and safety (Adamski and Doyle 4-8). This brought about a rulemaking process to insure that all aspects of aviation could be regulated in a way as to provide maximum safety to all. This was the initial birth of 14 CFR 43, or Part 43 of the FAR's which is ironically titled Maintenance, Preventive Maintenance, Rebuilding, and Alteration (Federal Aviation Regulations [FAR], VII, 1997). This part has been primarily written for individuals or repair facilities that may be performing some sort of maintenance, preventive maintenance, rebuilding and or alterations. It refers to a number of qualified individuals that include holders of mechanic, repairman, air carrier, or even a pilot's certificate, that may perform an array of the procedures listed in this part. So when it comes down to it, we as maintenance managers must know and live by FAR prt. 43 in order for our employees to work and perform in a legal and safe manor. As the title implies, this part of the Federal Aviation Regulations prescribes rules of governing the maintenance, preventive maintenance, rebuilding, and alteration of any aircraft having a U.S. airworthiness certificate; any foreign-registered aircraft used to carry mail under pt.121, 127 or 135; and airframe, aircraft engines, propellers, appliances, and components of such aircraft. This is exclusive of aircraft holding an experimental airworthiness certificate, unless the aircraft was previously issued a different kind of certificate (FAR, 1998, p.11). So if we were working as a manager in the U.S., this part would definitely apply to our facility, which repairs and maintains aircraft found in this category. Part 43 also identifies persons that are authorized to perform and return an aircraft, airframe, aircraft engines, propellers, appliances, or component parts for return to service after maintenance, preventive maintenance, rebuilding, or alteration. "The approval for return to service will be made in accordance with FAR 43.9(a)(5). A&P mechanics are authorized to conduct and approve for return to service aircraft inspected in accordance with the owner or operator's program under a number of options. It can be done under performance rules for inspection to which determines whether an aircraft meets all requirements for airworthiness. Or by an inspection program under FAR 43 App. D. All work must be done in accordance with "airworthiness limitations" (King 38). This means that a manager must know who is performing the prescribed work in his shop, and make sure that any work completed is done in a specific, approved fashion. A manager must know what types of inspections are being performed to aircraft in his/her shop. Individuals holding the appropriately rated certificate can only perform those inspections in which they are allowed to do. Managers must be fully aware of what part of the FAR's their shop is performing inspections under. Different parts of the regulation require adherence to specific rules found, but not specific to Part 43. If an aircraft comes in for an annual inspection, the manager must have an IA available to do the inspection, but if the inspection is a 100-hour, a certified mechanic is only needed in order to return the aircraft to service. A manager must realize that someone not certified cannot work under a certified mechanic when doing a 100-hour inspection. So the mechanics helper cannot perform the inspection during times of great workloads. This puts a constraint on the manager to hire and keep the required individuals needed for the type of inspections being performed at his/her facility. Next, the part goes into record keeping aspects after performing the above procedures. Great detail is taken in explaining and recording the work in order to prevent

Sunday, November 24, 2019

Free Essays on Utilitarian

Mill's Utilitarianism: Sacrifice the innocent for the common good? When faced with a moral dilemma, utilitarianism identifies the appropriate considerations, but offers no realistic way to gather the necessary information to make the required calculations. This lack of information is a problem both in evaluating the welfare issues and in evaluating the consequentialist issues which utilitarianism requires be weighed when making moral decisions. Utilitarianism attempts to solve both of these difficulties by appealing to experience; however, no method of reconciling an individual decision with the rules of experience is suggested, and no relative weights are assigned to the various considerations. In deciding whether or not to torture a terrorist who has planted a bomb in New York City, a utilitarian must evaluate both the overall welfare of the people involved or effected by the action taken, and the consequences of the action taken. To calculate the welfare of the people involved in or effected by an action, utilitarianism requires that all individuals be considered equally. Quantitative utilitarians would weigh the pleasure and pain which would be caused by the bomb exploding against the pleasure and pain that would be caused by torturing the terrorist. Then, the amounts would be summed and compared. The problem with this method is that it is impossible to know beforehand how much pain would be caused by the bomb exploding or how much pain would be caused by the torture. Utilitarianism offers no practical way to make the interpersonal comparison of utility necessary to compare the pains. In the case of the bomb exploding, it at least seems highly probable that a greater amount of pain would be caused, at least in the present, by the bomb exploding. This probability suffices for a quantitative utilitarian, but it does not account for the consequences, which create an entirely di... Free Essays on Utilitarian Free Essays on Utilitarian Mill's Utilitarianism: Sacrifice the innocent for the common good? When faced with a moral dilemma, utilitarianism identifies the appropriate considerations, but offers no realistic way to gather the necessary information to make the required calculations. This lack of information is a problem both in evaluating the welfare issues and in evaluating the consequentialist issues which utilitarianism requires be weighed when making moral decisions. Utilitarianism attempts to solve both of these difficulties by appealing to experience; however, no method of reconciling an individual decision with the rules of experience is suggested, and no relative weights are assigned to the various considerations. In deciding whether or not to torture a terrorist who has planted a bomb in New York City, a utilitarian must evaluate both the overall welfare of the people involved or effected by the action taken, and the consequences of the action taken. To calculate the welfare of the people involved in or effected by an action, utilitarianism requires that all individuals be considered equally. Quantitative utilitarians would weigh the pleasure and pain which would be caused by the bomb exploding against the pleasure and pain that would be caused by torturing the terrorist. Then, the amounts would be summed and compared. The problem with this method is that it is impossible to know beforehand how much pain would be caused by the bomb exploding or how much pain would be caused by the torture. Utilitarianism offers no practical way to make the interpersonal comparison of utility necessary to compare the pains. In the case of the bomb exploding, it at least seems highly probable that a greater amount of pain would be caused, at least in the present, by the bomb exploding. This probability suffices for a quantitative utilitarian, but it does not account for the consequences, which create an entirely di...

Thursday, November 21, 2019

Currency Exchange Rate Essay Example | Topics and Well Written Essays - 3750 words

Currency Exchange Rate - Essay Example The exchange rate of a currency is: is fixed, i.e. constant relative to a base currency (usually the US dollar or the euro), by decision of the State issuing that currency. The rate then can only be modified by a decision of devaluation (or revaluation) of that State. A State may not, however, decide to adopt any exchange rate of its currency. If this exchange rate fixed at too high or too low, the exchange rate will be "attacked" in the foreign exchange market. If the monetary authorities are unable to cope (with their foreign exchange reserves), they will change their parity; is floating and determined for each transaction by the balance between supply and demand in the foreign exchange markets. This is an interbank market worldwide currencies, less centralized on specific places of quotation and trade, as based on computer links between banks. The exchange rate is: or a spot price, that is to say "spot" for immediate purchases and sales of foreign currency. In general, the currenc y delivery time is 2 working days during the working days and it may exceed that period if the delivery must be made during the holidays; either a course forward, that is to say "Forward", to exchange transactions at a future due date (the delivery is not made immediately). The mission is to manage risk. It is an agreement to fix today the price at which it will buy / sell currency futures.Exchange rates vary widely during the same day, these variations cannot be explained by the theory of purchasing power parity (PPP).

Wednesday, November 20, 2019

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

Cease Fire - Research Paper Example Public health issues are diverse and dynamic, and they also impact differently communities and societies. Dr. Gary Slutkin, the person behind the project that saw the establishment of the CeaseFire program, holds that violence is a critical public health issue yet the most relatively ignored (Wilson & Petersilia, 2011). He also maintains that violence is deeply rooted in behavior and can, therefore, be prevented through changes in behavioral norms. In this respect, the program heavily depends on the intervention of outreach workers in the event of violence or conflicts in the streets. The duty and responsibility of these workers is to interrupt conflicting parties and mitigate conflicts that are likely to result in violence. The planned behavior theory can essentially explain the causes and trends in street violence. The variables that inform the theory of planned behavior include attitude towards a behavior, subjective norm, and perceived behavioral control (Weisburd & Braga, 2006). The intentions of a behavior are critically linked to an individual’s beliefs. Therefore, street violence is driven by individual behavior in regard to the intentions and beliefs of the gangs or any other person who engages in street conflicts and violence. The anti-violence advocacy by the CeaseFire program in the benefiting communities targets behavior change in order to achieve its objectives. The process of changing behavioral norms must identify the subject matter and all its variables before addressing the underlying issue (House of Commons, 2008). Stakeholders must first identify the behavior that needs to be changed in order to act accordingly. Anti-violence advocacy and conflict mitigation at the street level have to change the mindset, beliefs, and behaviors of gangs and all other persons who engage in street violence, and that is essentially the role of interrupters in the

Monday, November 18, 2019

A Bronx Tale Essay Example | Topics and Well Written Essays - 750 words

A Bronx Tale - Essay Example As the young man enters high school he is attracted to an African American girl, Jane, who causes conflict both internally and externally for him as he deals with peer pressure, personal angst, and family expectations. The 1960’s was a time of change for racial issues in America. Their where appeals by African American leaders protesting segregation in the United States and the role and status of the black community was transforming. This film is set in the thickest era of the racial segregation issue within the country. In the city of New Jersey there was a heavy population of Italian/Americans that lived alongside African Americans and the constant threat of violent encounters kept tensions high within both communities. African Americans were fighting for their right to vote and to end segregation and in the midst of it all a common paranoia was that anyone who seemed to be of white decent was a threat. This would explain why in the movie there were times where upon immediat e contact there were unavoidable confrontations. African Americans were often subjected to lower positions when they were employed. This would explain the next scene described. The first African American shown in the film is a black bartender at the neighborhood pub which the gangsters frequent. This depiction of an African American in a service position is accurate and represents the lower societal classification of African Americans in the United States in the1960s. The film’s next portrayal of African Americans is a segregated school bus driving through the Italian neighborhood. One Italian boy says, â€Å"They don’t live here.† Another Italian boy says, â€Å"That’s how it starts.† The neighborhood boys taunt and yell at the bus passengers, inciting one African American boy on the bus to make an obscene gesture at the neighborhood boys. This portrayal reveals the territorial nature of segregation as well as the lack of respect and understanding among different ethnicities. It also shows that the prejudices were mutually held, however the African American prejudice against Caucasians was probably in response to the Caucasians’ initial prejudice which was rooted in slavery. This theme of divisiveness is reinforced in a later scene when the teenage Calogero walks the African American girl home but stops before crossing into the African American neighborhood, a block from her actual house. The reason that Calogero stopped was another example of the lines in the sand that were drawn to keep the two communities separate. Some African American males yell at the Sicilian boy and one African American young man throws a rock at his back as he walks away. When several African American boys peacefully ride their bicycles through the Italian neighborhood the group of Italian boys attacks them. While Calogero abstains from participating, he suffers though guilt by association and is accused of wrong doing by Jane, whose brother was one of the boys who was attacked. Later the group of Italian boy’s fire shots and hurl fire bombs at an African American drugstore where several African Americans are gathered. One fire bomb is hurled back at them and ignites the car into an explosion, killing all of them. The film’s violent portrayal of racism during this era is accurate. The unease and distrust between different races of people was heightened by the general malice and mistrust of the American government and the leaders’ decision-making abilities. The need to belong and be accepted by one’s peers was greater during this time of uncertainty and change. Inter-racial relationships were uncommon and disapproved of. This again showed the power that racism had over the people of the United States at the time. There is

Friday, November 15, 2019

Tokyo City: Architecture and Agriculture

Tokyo City: Architecture and Agriculture Kostof Essay Tokyo city The archaic capitals of Japan, such as Fujiwara-Kyà ´ (694-710 AD), Nara (710-784 AD), and Kyoto (AD 794-1868) conformed to Tangs capital grid-planning. However, grounds of defence, the devisers of Tokyo shunned the grid, preferring instead an irregular network of streets encompassing the Edo Castle grounds. Afterwards, several parts of Tokyo were grid-planned. The history of Tokyo played a significant role in the present architecture of Tokyo city. Tokyo faced two major destructions in its history; first by Great Kanto earthquake and firebomb during the pacific war. After the pacific war Japanese government was bankrupt could not execute citywide redevelopment to support the economy. Instead it embarked on infrastructural development leaving residential and commercial urban development in the hands o local actors. As a result unplanned cities sprang up despite deliberate efforts by the government to plan the city. The city planning and zoning act of 1968 aimed to create a separation between urban and agricultural lands. Despite the government of Japan adopting the city planning and zoning act of 1968 with an intention of separation between urban and agricultural lands, this has not been fully realised.. Since the Meiji restoration Japanese cities have eagerly been trying to apply western planning concepts which set a clear demarcation between urban and rural land use. Despite efforts to pursue this goal, urban periphery landscapes with an apposition of segmented agricultural lands and urban land uses has lived through the history of Japanese cities including Tokyo. Agro-activities take place in Tokyo in more than 900ha of land. Setagaya is one of the most agriculturally active Tokyo wards. Some agro-activities take place at the heart of Tokyo city. Presence of agricultural land in Tokyo city interferes with grid-planning of the city. Some parts of the city are grid-planned while others are not. Le Corbusier likens grid planning to the way a human being walks. Human beings walk on a straight line since they have a goal and know where he is ending to. Man also turns at right angles when he needs to.  [1]  Therefore the oftenness of cross streets is his own decision with topography having little to do with it especially if it is a flat site. It is stepping the land with streets at right angles with each other is the opening move in settlement planning. The grid is the most common pattern of urban planning in history although its use was not uninterrupted through history. The grid is recommended as the standard scheme urban solution for different sites. It is also a means for equitable distribution of land as well as easy allocation of land for trading of real estate. Straight through-streets provide defence. The concentration of buildings into blocks as in grid-planning provides defence too. One common feature with all grids is their orthogonal street pattern. This does not make grids immutable but on the contrary they can curve around irregularities on the ground without betraying its basic logic. In orthogonal street pattern, long streets are straight with short streets joining the long streets at right angle. Structures in Tokyo are organized along wide road and rail network. This is also repeated in the residential areas though in a smaller scale. In the residential areas houses are organized along long lanes (roji) where small shops and restaurants can be found. These lanes are hardly accessible to vehicles. Existence of coordinated array of town does not ensure and orderly extension of the town grids into the surrounding territories. Town grids can only be extended to the surrounding territory only if the city authorities had the power to oversee development in the suburban regions. As mentioned earlier, after the devastating calamities of Great Kant earthquake and the bombing in the Second World War left Japan government bankrupt. As a result, the government was concerned with infrastructural development leaving the urban development in the hands of local actors. Tokyos shimokitazawa neighbourhood is an example of citys incremental urban development. It emerged from a combination of local liberty and an infrastructural retrofitting by the Japanese government. It grew from a village with rice fields in the periphery of Edo to become and a modern urban cultural and commercial hub. Today shimokitazawa has a village and ancient Tokyo atmosphere. The typology of Shimokitazawa is characteriz ed by little low-rise constructions along a complex network mainly of pedestrian streets, busy ground market activity, and tight community networks. Shimokitazawa is one of the areas of Tokyo city that presents deformed grid. Organic city Some parts of Tokyo city can be referred to as organic city. Organic cities grow spontaneously adhering to no master plan, do not enjoy benefit of designers. Alternatively organic citys growth is dependent on passage of time, the lay of land and the day to day lives of the citizens. The result of these forces is irregular non-geometric with incidences of crooked and curved streets and randomly defined open spaces.  [2]  Organic city emerges when development is left in the hands of individuals without a governing body subdividing the land before disposing it off to the people. Spiro agrees with the fact that people have different opinions about organic cities. Some people might chose to find fault with organic city or celebrate its action-packed topography, forthcoming and flexible development of its form, and its culture characterized by communal living. He does not seem to oppose organic cities. He asserts that even planned cities present features characteristic of organic cities. The extent of life in terms of the buildings mass and varying height of buildings marshalled like troops along a city grid can result to picturesque characteristic of unplanned city. Spiro also argues that even the geometrical irregularity of unplanned city is a matter of grade. The streets curve frequently but not canonical. What looks like in orderly arrangement is often a matter of straight streets sections intersecting at random angles, and their linear elements broken with frequent angulated bends.  [3]   According to Spiro planned and organic cities exist side by side e.g. Tokyo and Shimokitazawa most historic towns, mainly those of metropolitan size are puzzles of premeditated and self-generated segments, diversely juxtaposed or interlocked.  [4]  Organic cities may start as shantytowns on unoccupied land at the remote edges of town, or in centrally located areas that are difficult to build up such as steep slopes, canyons, or garbage dumps. Shimokitazawa has many narrow passages that are inaccessible to vehicles which give a true sense of adventure as one explores the town on foot. Second hand clothes shops selling miscellaneous items from the 70s and old animated themed toys are popular. Various cultural festivals are held in Shimokitazawa which showcase the cultural wealth of the town. In the month of February, the town of Shimokitazawa if full of festivity. Various plays are performed in eight small theatres during the month long Shimokitazawa theatre festival. The Tengu-Matsuri festival held at the end of January or early February gives a serene and friendly appeal of Shimokitazawa. The lively Mikoshi-Matsuri festival otherwise called the portable shrine festival is held early September. Organic cities lay both conceptually physically and in the middle of slums and contemporary planned cities. They are a budding environment that increased gradually and spontaneously evolved over generations. Often organic cities are culturally vibrant and creative dependent on local skills and cultural capital. They can provide solutions to challenges facing modern cities such as population density. Organic city are able to support high population density in an environmentally and socially sustainable way. With increase in number of poor people living in degraded urban environments organic cities have potential to shift the paradigm of urbanism. Therefore organic cities should be recognized as a legitimate urban form and developing it from within. The grand manner The tree planted streets of Tokyo city as well as its parks contribute to the citys plan grand manner. Side walks and parkways in the streets of Tokyo city are amazing. The tree- planted sidewalks and parkways give the city a sense of serenity. Some avenues have double rows of trees depending on the width of the sidewalks. For example, on Grand Avenue in South Park where an average 24 inch sidewalk are required, a double row of trees are planted. Road tree in Japan is thought to date back as the middle of the eighth century when trees were planted along the roads for the welfare of travellers. However, only after Japan opened its frontiers that it started to overhaul and thus turning trees to be part of urban landscapes. Black pine, cherry, maple and other species were planted in Tokyo on Ginza Street in 1873. Exotic trees were first used to line the city streets in 1875 when a black locust tree was planted in Tokyo. However because of poor care most of them dried up. In 1907 the government of Japan embarked on a big project of planting trees along city streets of Tokyo. Ten fast growing trees were selected which included among others Trident maple, Plane tree and Ginkgos. Ginkgos was planted in front of Tokyos city hall thus was marked as a street tree in Japan. However this project suffered two major setbacks; the Great Kanto Earthquake that resulted into fires that destroyed more than half the street trees, and bombing of Japan during the Second World War. Tree planting in city streets was part of Tokyos reconstruction process. Even to date Ginkgos remains the preferred street tree in Tokyo. Large number of evergreen trees are planted in wide and high-speed expressways to reduce traffic noise in the surrounding residential areas. Trees creating harmony are preferred for expressways passing through undeveloped areas like mountain foothills. Ginkgo tree has been utilized mainly in designs that c omprise western landscape characteristics. Tokyo National Showa Memorial Park was created in 1983, and sits on a 450-acre parcel of land and Ginkgos forms its allee. The park was created to mark the fifteenth anniversary ascension of Emperor Showa. The place having been occupied by United States Tachikawa military base, the buildings were demolished and hills rebuilt, tree planted and grasses sown to make forests and fields. The relationship of city to its natural environment Urbanization process has led to reduction in green spaces and loss of public spaces. He present urban regeneration projects in Tokyo are aimed at converting ex-industry land and shifting land to high rise building areas. These areas relate weakly with the encompassing city areas. Currently nature scarcely exists in Tokyo. During the Edo Period, samurai residential areas were situated on the high land of the Musashi plateau, while abodes of low caste samurai and tradesmen were situated in the valleys below, making a life space for a variety of living and working areas according to the contour of the land. The Tokyo Bay was visible at a distant from the roads going down from the high land. There were also many places where people could relish the sight of Mount Fuji. Protecting view points of various centres of attraction such as Mt. Fuji is not an important factor in Tokyo city planning. On the contrary emphasis has inclined towards universality rather than the features of the place, and the result is stereotype city space. Like many historical cities, Tokyo is developed close to the rivers and canals. Presently, the rivers are separated from the town by perpendicular embankments, with the buildings having their backs to the polluted rivers. Originally the ideal sites for city architecture were river banks with straight access to the water transportation system. Relationship of the man-made to the natural context The relationship between manmade and the natural in Tokyo can be described as chaotic. The city plan does not give emphasis to visibility of natural features such as Mt. Fuji. Unlike London, where protecting the perspective of Saint Pauls Cathedral from several main points across the city is a key guideline for the city planning, Tokyo does not give much consideration to the view of its esteemed feature in the city. Save for a few parks at the centre of Tokyo, parks and open spaces have reduced compared to those of ancient Edo (Tokyo). Even some of the parks cannot provide the relaxation they were intended because of noise pollution. For example, Uchibori-dori Avenue cuts across the Outer Garden of the Imperial Palace which is next to Hibiya Park. The car noise creates a restless atmosphere within the park. Putting Uchibori-dori Avenue underground, and planting of Japanese black pines would create a large open space area about thirty hectares conducive for events, outdoor stage or sporting events. This would in turn revive the business area in the core of the city which has since lost popularity on holidays. Urban fabric and monuments Tokyo city is a unique in that western or modern and ancient city planning is intertwined in the development of the city. Agricultural land is seen in the city as it is historic of Asian cities. Some people view this kind of coexistence as chaotic mainly because Japan government adopted the western style of city planning that makes a clear demarcation between urban and rural areas which Japan has not been able accomplished. However when looked from historic and cultural perspective, it can be understood as serving an important role in the Japanese cities and specifically in Tokyo. The agricultural land sustains their surrounding population. The urban fabric of Tokyo is often made of a soft residential core, qualified by low-rise and thickly built houses, encircled by a hard shell of taller and larger buildings along broad roads or railways. A new generation of needs has led to changes in building types. For example, apartments are seen to be small and their narrow staircase not providing adequate access. This has made people to migrate form apartments for better housing. The originally neat, modern parks and greenways of the apartments have now become jungles of vegetation. Now efforts are directed towards redeveloping the apartments to attract new residents. Tokyo city has several ancient and modern monuments. In some cases modern and ancient monuments are juxtaposed depicting western and ancient architecture evident in Tokyo city. They also depict the co-existence of western and ancient cultures. An example is Zojoji Temple located next to the Tokyo Tower. In summary Tokyo city can be described as combining grid and organic city in its urban fabric. The city planning and zoning act of 1968 intended to create a separation between urban and agricultural lands. However this attempt has failed to produce the desired results as agricultural lands are still evident in Tokyo city. This makes Asian cities which have borrowed the European way of urban planning, including Tokyo look disorderly. As a result of combining western and ancient styles of city planning, some parts of Tokyo city are grid planned whereas others not. Although the city may look chaotic it has still been able to maintain a grand manner in its streets and open space. Tree planting along the sidewalks and parkways as well as parks such as Ueno contribute to the citys grand manner. Also contributing to the uniqueness of Tokyo city is its monuments some of which are juxtaposed both modern and ancient e.g. Zojoji Temple and Tokyo Tower.

Wednesday, November 13, 2019

The Battle of Bunker Hill Essay -- War, Power, Turmoil

Taking place in 1775, at the start of the Revolutionary War, the Battle of Bunker Hill was a needed victory early in the war to get the soldiers to believe in themselves. Many soldiers in the beginning of the war did not believe that the lowly colonists could defeat and declare independence from a superpower; Britain. Although outnumbered and with little confidence, the continental army stood their ground at the Battle of Bunker Hill and proved that they could win the war. The colonies were in a state of turmoil. They had to pay extravagant taxes, but they also were not counted as Britain’s â€Å"people.† The colonies tried to obtain peace with documents such as the Olive Branch Petition, but were refused many times. So after many attempts at peace and tolerating many unfair taxations plus having to house British soldiers without having a voice, the colonists rendezvous at the 2nd Continental Congress debated whether or not to attack the British Redcoats; they were sick and tired of having to tolerate this tyranny. In the 1st Continental Congress, the leaders of the colonies, minus Georgia, met at Carpenter’s Hall, Philadelphia, Pennsylvania, in response to the Intolerable Acts passed because of the Boston Tea Party. The outcome was for peace, and so, King George was offered an olive branch. King George refused the proposal and the colonists became angry. On April 19 of 1775, the colonists’ minutemen and the redcoats, whi ch were soldiers on the British side, clashed at Lexington and Concord. The first bullet fired was â€Å"The shot heard around the world.† The war had begun. On May 10, Ethan Allen and the Green Mountain Boys seize Fort Ticonderoga. Then after the Second Continental Congress on the same day, George Washington, the new... ...nd and stood up to the full might of the British army and caused them severe casualties, the British finally acknowledged them and declared a full-out war. In the beginning, most colonists didn’t want to fight due to this battle, they were ready. They were ready to win the war and gain what they wanted the most; independence and a voice. Works Cited "Battle of Bunker Hill Begins." History.com. A&E Television Networks, n.d. Web. 17 Oct. 2013. . "11d. Bunker Hill." Bunker Hill [ushistory.org]. N.p., n.d. Web. 17 Oct. 2013. . Deverell, William and Deborah Gray White. United States History. Orlando: Holt, Rinehart and Winston, 2006. Englar, Mary. The Battle of Bunker Hill. Minneapolis, MN: Compass Point, 2007.

Sunday, November 10, 2019

Different Theoretical Approaches Essay

Examine how the different theoretical approaches have explained the changes that the family has historically gone through. The family is a universal institution present in every society throughout the world. For many, the family seems a familiar and comfortable institution, but this can appear in many different forms. A particular type of family is the ‘nuclear’ family; this consists of parents and children living together in the same household. The ‘conventional nuclear’ family comprises of a married man and woman with their biological children living together, this type of family is often dubbed ‘the cereal packet family’ where the male is the breadwinner and the female a homemaker. Another family type is the ‘extended’ family which includes all kin beyond the nuclear family e.g. Grandparents, Aunts or Uncles etc. Other family types include; Patriarchal families, Reconstituted or (step) families and Loan Parent Families, all of wh ich are alternatives to the traditional nuclear family. The family has been the focus of study for many different sociologists, all of which can be criticized in some form.Throughout this essay I am going to examine how the different theoretical approaches explain how family structures and the roles of individuals within them have changed in relation to each of the historical stages that Western society is said to have developed through. There is an underlying assumption amongst sociologists that ‘hunter-gatherer’ bands were the first forms of society. Although these were large communal groups the structure of the ‘nuclear’ family was seen to be present within them. In order to survive the need for team work was essential and therefore separate conjugal roles were necessary. Female mobility was limited due to the impact of child birth and child rearing so they were responsible for gathering nuts and berries from the land whilst the male role was go and hunt for food. Anthropologists studying ‘hunter-gathere r’ societies still in existence today such as The Hadza from Tanzania support this view and speculate this was once the way of life in every society. Functionalist Gary Lees believed the nuclear family unit was optimal within ‘hunter-gatherer’ societies as they needed to be mobile in order to move around and search for food. Marxist sociologist Friedrich Engels argued that because the means of production was owned communally then the family as such did not exist. He refers to this an era of ‘primitive  communism’ characterised by promiscuity. There were no rules limiting the number of sexual relationships so therefore society was in effect ‘the family’. (Holborn, 2004) Feminist sociologists tended to agree with the Marxist view but saw the roots of traditional conjugal roles such as childbirth and child-rearing as a disadvantage to women. The next stage in the development of society is referred to as the ‘pre-industrial’ stage. This stage of history saw a shift towards agricultural based societies. William Goode (1963) believed that the extended family was only appropriate with in this type of society due to the amount of Labour intensive work needed to be carried out. Functionalist Talcott Parsons agreed with this because the extended family system had more people available to carry out the wide variety of functions required. (Owens, n.d.) A study entitled ‘Family and community in Ireland’ (1968) Arensberg and Kimball found that kinship ties were still extremely strong but the basic unit was that of the extended family. They believe that the traditional Irish farming family is a ‘patriarchal extended family, due to considerable authority of the male head; the family is patrilineal because property is passed down the male family line. This has been criticised by Peter Laslett who examined parish records which provided evidence to indicate that in fact only 10% of pre-industrial families included kin beyond the nuclear family. (Owens, n.d.). Michael Young and Peter Wilmott conducted a study attempting to trace the development of the family from pre-industrial England to the 1970s. They suggest the family develops through four stages, they described the first stage family as one that works together as a unit of production; husband, wife and unmarried children work together as team. Materialist feminist Sylvia Walby believed that economic relations and inheritance of property were a major source of female disadvantage. The period of industrialisation is associated with urbanisation and the growth of factory based industry. Talcott Parsons argued that the family is ‘structurally isolated’ because relationships with other kin are a matter of choice and as the nuclear family contained the basic roles of mother, father and children needed to carry out the essential functions then the extended family of pre-industrial times was no longer required. He believed the family had emerged due to a process structural differentiation society had gone through and due to development of more specialised institutions there are fewer functions  needing to be perform ed by the family and therefore the family ceases to become an economic unit of production. (Holborn, 2004) However other sociologists such as Michael Anderson (1971) believed that industrialisation actually increased the need for extended family because as people moved into towns they moved in with relatives in order to find comfort and security. Community studies of working class neighbourhoods in the twentieth century such as Dennis et al’s study of a Yorkshire mining village (1956) and Jeremy Tunstall’s study of Hull trawler men (1962) all featured similar conclusions of extended family life and support. (Owens, n.d.) Wilmott and Young referred to this as their Stage two families which began with the industrial revolution. In this stage families cease to be a unit of production and become employed as individual wage earners. They believe due to low wages and high unemployment families extended their nuclear networks to include extended family networks, this provided them financial security against hardship. They believed this was the tie between mother and married daughter they used as a defence due to the conjugal bond within the nuclear family being so weak, due to the males in the relationship choosing to spend more time away from the family unit. Some people have argued that as industrialisation and modernisation proceeded, kinship-based society and the extended family broke up and the nuclear family emerged as the dominant form. This family has often been referred to as ‘the cereal packet family’. The role of father also saw a shift towards a more family based role and the conjugal bond was strong. Post-industrial times have seen a decline in factory based industry and a rise in people choosing to work within the service sector. The big question now is whether or not the ‘family is in decline?’ Patterns of family life have changed dramatically over recent years. One reason for this is the rise in divorce rates as changes to laws have meant that it is much easier for people to get divorced than it was in the past, also a change in attitude has meant that there is no longer the social stigma around attached with divorce. The development of the state and a rise in women workers means that women no longer have to rely on a male for financial support. Feminist Germaine Greer sees divorce has been good for women as they no longer have to accept living in an unhappy marriage. In conclusion I believe that there has been a widespread change in family structures over time, but I believe this is due more due to cultural changes  and a more widespread knowledge and acceptance of the different types of family that exists. Bibliography Holborn, H. a., 2004. Sociology themes and perspectives. 6th ed. s.l.:Harpercollins. Owens, R., n.d. Families and Households -Changing Structure. Sociology factsheet.

Friday, November 8, 2019

Research Paper on Police Brutality Sample

Research Paper on Police Brutality Sample Those of the minority community have been subjected, for many decades, to violence by those in law enforcement in the United States. This type of violence is a direct depiction of police brutality, which often leads to death. Police brutality has been an issue for many years, and it remains a major concern for those of the minority community. Over the past five centuries, black people have endured violence in many different ways. Today, police officers use deadly, excessive force that leads to inexcusable assaults, beatings and shootings. This demonstrates the governmentÐ ¢s role in initiating and prolonging racial suppression and provides the explanation for police brutality to become a federal crime(Black Radical Congress, 3). In history, racist violence, police brutality, has been used to suppress the racial blacks and to preserve power and privileges for the white race. This was done for five primary purposes. First, it has forced black people into slavery or low wage situations. Secondly, to steal land and other resources. A 3-rd was to maintain social control. A fourth purpose was to eliminate conflict in politics, social life, and employment. Lastly, the fifth purpose was to unite white people across the ethnic, class, and gender boundaries. However, after the Emancipation, lynching became a prominent form of violence used against the blacks. The use of lynching was a means of controlling and putting fear into the blacks, making them afraid to go against anything the white man said or authorized. In the mid 1900s, race riots and lawful executions began to replace the practice of lynching. This became the new method of social control and white supremacy could be controlled through racial discrimination. Harassment and discrimination are two other forms of violence, they have been practiced for many centuries and are still being practiced today as a means of control. The practice of police brutality has a strong affect on a main segment of the American population. Those affected are minorities and the elderly causing them to have strong hatred towards the whites in America. Police Brutality is abuse by law enforcement, where a police officer feels that because he/ she has a badge and a gun therefore it puts them above the law and they can use unnecessary force against another individual. Police Brutality is not a new issue; it has become more focused on recently due to some cases that have occurred in the past few years that have been highly publicized. The abuse used by police officers is a serious offense that violates a persons human and civil rights. These violations are seen nationwide to the minority community and are committed by various police officers that fail to receive punishment for their action. The Civil Rights Act provides protection to those persons wronged by the misuse of power, possessed by the virtue of state law and made [it] possible only because the wrongdoer is clothed with the authority of state law. There is a violation of the fourth amendment when innocent people become victims of police brutality. Many minorities are stopped because they are driving a luxury car. They are assumed to be either drug dealers or a criminal. The protection of the fourth amendment, however, is shrinking; it can only be used with the presence of a warrant (Meeks, 9). The presence of the warrant keeps from unlawful police searches and abuse to occur. Racial profiling is the more common form of police brutality. This is the most frequent violation of the fourth amendment. It is the tactic of stopping someone because of his or her skin color. Racial profiling mainly targets young Black and Latino men and is believed to be a justified form of law enforcement. In other words, it is a form of legal prejudice that occurs daily nationwide. Although, there are many questionable areas in racial profiling that cannot be avoided nor proven. First, it is difficult to prove, in a majority of cases there is no evidence and the police officers can claim the stop to be a routine traffic stop. An example of this is when a black person is pulled over for a traffic violation the type of vehicle is first determined and then their skin color. A majority of Blacks and Latinos drive either flashy or historical vehicles, this determines the  ethnicity of the driver. Harassment takes place and no one can prove this but the victim and the police officer . Secondly, the courts have to acknowledge that racial profiling occurred and in most cases this is hard to prove. There are also other forms of racial profiling. In many professions, this type of profiling is used as a form as security. Taxi drivers and security personnel engage in profiling when they feel fearful or threatened. Taxi drivers use this type of judgment when refusing to pick up a customer at night and security guards use it to find suspects while working. Racial profiling is considered to be a profile used by police officers to identify suspicious criminal or violators of the law. A typical profile used is the CARD system. CARD is an acronym for class, age, race, and dress. This system is used to fit individuals into categories for means of identification. The problem with the CARD system is that many minorities fall into this category. This makes them primary targets and poses a problem for some of the white people that also fall into this category. Nevertheless, there are a few positive sides to profiling. For one, it can be considered to be a survival skill, allowing one to see if people are doing justice. Secondly, it puts people on an innate level. Profiling shows signs about people and certain criteria. Lastly, it is not considered to be racism. Police officers who use profiling use it as a tool because they think that they are color blind in certain situations. Police brutality also occurs in prisons where the prisoners are mistreated because it becomes a simple case of authority. Humans have their freedom to express their rights and police brutality violates their human rights. The main targets of police brutality are two third African American or Latino and the majority of the time the officer is white. There are five stages through which force can progress and lead to brutality: verbal persuasion, unarmed physical force, force using non-lethal weapons, force using impact weapons, deadly force. Enforcement personnel should use the deadly force stage only when an officers life or another persons life is in danger. By having the deadly force stage, the law permits someone to commit a murder, and justifies its use. Many law enforcement officials appear to have a tough exterior towards crime, but are very sensitive to crime on the inside. Police officers build up negative feelings towards certain races, sexes, or religions. Officers tend to get the impression that if one or a few people treat them with disrespect, than other people of that same sex, race, or religion will treat the officer in the same way. Another cause of police brutality and misconduct is the amount of stress that is put upon the law enforcement official. Law enforcement officials who are accused of police brutality are required to attend a civil court hearing with a judge and a jury present. Most of the time the jury will find the officers not guilty, or guilty of a lesser crime. This is true in the case of the officer who used an illegal chokehold on Anthony Bees, a twenty eight-year old Puerto Rican, after Baezs football hit the patrol car. Baez was killed due to the force of the chokehold, but the officer was found not guilty. However, due to racism and society, the demand of tough treatment towards criminals will encourage police officers to remain violent. The extent of police brutality can be improved through the training of police officers and racially integrated departments resulting in the decline of police violence. Many ways to correct police misconduct have evolved. Such corrections include sufficient training, recruitment, and integration. In recruitment, tighter screening and  background checks could be used to avoid violence and racism to enter into the police force. By means of integration, the presence of more minorities can help to dissolve the hatred towards minorities in the society, giving affirmative action an opportunity to take precedence. Police officers should also be required to go to a class that re-teaches them how to act appropriate in an arrest and other situations. A majority of these police officers also feel as though they did not commit a wrongdoing and that they are innocent. One of the ways to curb police brutality is to implement new laws, to punish the wrong doers that may bring about the decrease in police brutality. Today, officers know that there are laws dealing with etiquette during an arrest, but many do not attempt to apply what they know, and let physical strength, and force overcomes them. Also, severe or reasonable consequences should be given to police officers who participate in police brutality. Suspension, verbal reprimands, an investigation, anger manageme nt classes, or the loss of their jobs are some consequences that should be given to violating officers. Although there has been some progress and education, training and integration with of the law enforcement population, the are still incidents of racial profiling and police brutality. With continued efforts and corrections of racial injustices, this type of abuse and punishment will lessen when the law moves more towards the justice for minorities. Doing so will cause less brutalities and deaths to occur and more social justice.

Wednesday, November 6, 2019

Migration flows are increasingly differentiated. The WritePass Journal

Migration flows are increasingly differentiated. Introduction Migration flows are increasingly differentiated. , p. 1). It is arguable whether this is easily attainable given that â€Å"international migration is incredibly diverse, fluid and fast changing† (Boswell and Geddes, 2010, p. 3). Various laws and regulations have been enacted, which are primarily intended to govern entry into and exit from the territories of states, yet some are more restrictive than others (Guild and Minderhoud, 2011, p. 166). The fact that states have the ability to refuse entry to persons from different jurisdictions is said to allow states to maintain their sovereignty. This was recognised by Adelman (1998, p. 19) when it was pointed out that: â€Å"even if a state has absolute sovereign authority to control the entry of refugee claimants, they must preserve international order which is in everyone’s self interests.† Yet, it is important that those fleeing from persecution are provided with adequate protection from the State in which they enter. Therefore, although states generally have the ability to control migration flows, they may also have to adhere to their international obligations (Human Rights Education Association, 2011, p. 2). This often produces problems since it is not always easy to establish whether a person has fled from persecution or left voluntarily. These uncertainties produce much difficulty and although states must protect the human rights of migrants (The International Covenant on Economic, Social and Cultural Rights), it is evident that the protection of migrants is currently inadequate (Amnesty International, 2009, p. 1). Asylum Flows Migrants are not receiving the support they need from states and national laws and procedures currently act as a barrier to the rights of migrants. This is largely due to the different migration flows that exist and the inability to address mixed migration flows effectively (Betts and Loescher, 2010, p. 320). The treatment of those claiming asylum in the UK provides a clear example of the difficulties that arise when it comes to analysing and regulating global migration. Thus, refugees often use the same routes and means of transportation when entering states as other migrants and because of this, it is extremely difficult to distinguish between them (Gibney, 2004, p. 12). As a result, â€Å"refugee was a term increasingly associated with dishonesty in the notion of ‘bogus’ asylum seekers† (Ryan and Webster, 2008, p. 3). This has an overall impact upon the proper regulation of migration, which is evident in the UK where asylum seekers are required to attain citize nship. Hence, a British Territories Overseas Citizenship or British Overseas Citizenship must be established, yet as contended by Bussutil (1990, p. 286): â€Å"claims cannot be decided with any ease, and great difficulties may be experienced.† This occurs in relation to the ‘qualifying period’ of five years and the additional ‘probationary citizenship’ period that is required prior to qualification for naturalisation. Although this accurately reflects the contemporary relationship between those people subjected to legal regulation and the state, it is questionable whether this relationship is appropriate in modern day society where states are callable of realising their international obligations. Global Migration and Regulation It is extremely difficult to ensure the proper regulation of global migration, yet â€Å"the Government started to respond to the increase in asylum applications in the 1980’s† (Sales, 2007, p. 1953). Nation States have since made great attempts to regulation immigration to their countries through â€Å"imposition of employer sanctions, phasing in and out of temporary foreign worker admission policies, legislations, measures against human trafficking, and measures concerning refugees and asylum seekers† (Castles and Miller, 2009, p. 205). The Immigration, Asylum and Nationality Act 2009 seeks to ensure that the UK is fully implementing its international obligations, but given that the five year requirement can be waived by the Secretary of State is required, it is evident that each case can be decided on its own facts. Regardless, constraints and limits are still being placed upon liberal government in relation to those claiming asylum in the UK and as noted by A delman (1998, p. 19): â€Å"even if a state has absolute sovereign authority to control the entry of refugee claimants, they must preserve international order which is in everyone’s self interests.† He also added that: â€Å"a liberal state does not, however, have absolute sovereign authority, not only with respect to its own members, particularly in areas such as providing aid to refugees, but also with respect to stateless individuals or individuals who come from states which have failed to provide protection.† Arguably, it is evident that although the UK is capable of regulating domestic obligations in respect of asylum seekers, international order must still be preserved. It is questionable whether such international obligations are currently being preserved given that asylum seekers are restricted by domestic legislation. It is argued by Ellermann (2009, p. 2) that: â€Å"illegal immigrants often succeeded in preventing the state from exercising its sovere ign powers† since those who have no claims against the state are most likely to be able to frustrate state control. Arguably, state sovereignty is often undermined by international obligations as states are required to allow immigrants to cross their borders if it is considered to be in their interests. Balance? The new Points Based System (PBS) in the UK was introduced in order to regulate and control the existing mixed migration flows. Previously, citizens could apply for Indefinite Leave to Remain in the UK after spending five years living there, yet it is now a requirement under the Act that five years residence will only lead to â€Å"probationary citizenship† which would be capable of leading to full citizenship once a number of â€Å"points† have been earned. This new system is beneficial for the economy as it prevents migrants from becoming dependent on the State and enables a distinction to be made between the different types of migrants. As Woolas (2010, p. 1) believes: â€Å"Migration only works if it brings benefits and these measures will ensure that only those migrants that make a positive impact on their local community will be able to stay in the UK.† The Act will consequently prevent those migrants who are not beneficial to the UK’s economy from a cquiring citizenship since â€Å"unlimited migration places unacceptable pressure on public services, school places, and the provision of housing, causing problems for certain local communities† (Home Office: 2010). Too much restriction should not be placed upon the flow of migrants, however since â€Å"migrant workers in recent years have provided a significant boost to UK economic growth† (Balakrishnan, 2006, p. 2). Essentially, it is thereby important that a balance is struck between giving migrant workers the ability to acquire citizenship and preventing those that seek to rely on the State from being admitted unless they are genuinely fleeing from persecution. In Omojudi v United Kingdom Application No. 1820/08, 24 November, 2009 it was held by the court that a violation of the rights of immigrants under international law can only be justified if the aims being pursued are proportionate in view of the breach that has occurred. A justification will, as put by Stone (2010; p. 352); â€Å"require that the differential treatment has a legitimate aim and that there is a reasonable relationship of proportionality between the means employed and the aim pursued.†   Therefore, unless a State has a legitimate aim for refusing migrants citizenship, then this will not be justified. This certainly allows greater fairness to be ensued. In Cabales and Balkandali v United Kingdom (1985) 7 EHRR 471 it was held that a refusal would need â€Å"very weighty reasons† before a violation of any rights under the European Convention of Human Rights 1951 could be justified. Difficulties still exist in relation to border control, nonetheless, and it seems as though greater emphasis needs to be placed upon â€Å"exit checks and proper border controls† (Huhne: 2010, p. 2). The UK is the most vulnerable State that attracts migrants and because of this, it is even more important that the flow of mixed migrants is being controlled and managed effectively. It was stated by Shah (2002, p. 315) that: â€Å"the complexity of immigration control has therefore to keep pace with a highly mobile world where global communications at all levels and in all forms are easily exploited by criminal gangs and desperate individuals.† Conclusion Overall, it is often very difficult for states to properly regulate and manage migration flows because of the fact that they are increasingly differentiated. This is widely due to the problems that are caused by trying to distinguish between the different types of migrants. In addition, even when a distinction can be made, domestic legislation often conflicts with international obligations. As such, states are required to preserve international order in cases of confliction which often prevents them from implementing proper regulatory practices. In order to manage migration flows effectively, it is necessary for all states to co-operate and establish a common approach to migration management. This will ensure that that the rights of migrants are being protected, whilst also preserving national security. Hence, because of the problems that are caused by the lack of certainty surrounding refugee’s and asylum seekers, it is necessary for clearer guidance to be provided, which wil l enable a distinction to be made between the different types of migrants. This is necessary in certifying on the one hand that the rights of migrants are protected, and on the other than an overflow of migrants does not occur. References Adelman, H. (1998) Refuge or Asylum A Philosophical Perspective, Journal of Refugee Studies, Volume 1, Number 1. Amnesty International., (2009) World Refugee Day: Lives in Danger as Governments Deny Refugees Protection in Europe, amnesty.org/en/for-media/press-releases/world-refugee-day-lives-danger-governments-deny-refugees-protection-euro [Accessed 14 October 2013]. Balakrishnan, A., (2006). Immigrants Help the Economy Grow by 3%. The Guardian, guardian.co.uk/business/2006/oct/27/politics.thinktanks [Accessed 13 October 2013]. Betts, A., and Loescher., (2011) Refugees in International Relations, Oxford University Press. Boswell, C., and Geddes, A., (2010) Migration and Mobility in the European Union, Palgrave Macmillan, 1st Edition. Busuttil, A. (1990) Immigration Problems and DNA Profiling, Journal of the Law Society of Scotland, (1990) 35 JLSS 286. Castles, S., and Miller, M. J., (2009) The Age of Migration, Fourth Edition: International Population Movements in the Modern World. Compas., (2013) Flows and Dynamics, compas.ox.ac.uk/research/dynamics/ [Accessed 23 November, 2013]. Ellermann, A. (2009) Undocumented Migrants and Resistance in the State of Exception, University of British Columbia, Available unc.edu/euce/eusa2009/papers/ellermann_02G.pdf [Accessed 13 October 2013]. Gibney, M. J., (2004) The Ethics and Politics of Asylum: Liberal Democracy and the Response to Refugees, Cambridge University Press.    Guild, E., and P., Minderhoud, (2011) The First Decade of EU Migration and Asylum Law, Martinus Nijhoff. Huhne, C., (2009). Borders, Citizenship and Immigration Act 2009. Scottish Human Rights Law Group, shrlg.org.uk/2009/07/30/borders-citizenship-and-immigration-act-2009/ [Accessed 15 October 2013]. Human Rights Education Association, Refugees and Displaced Persons, (1996-2011), hrea.org/index.php?doc_id=418 [Accessed 15 October 2013]. Ryan, L., and Webster, W., (2008) Gendering Migration: Masculinity, Femininity and Ethnicity in Post-War Britain, Ashgate Publishing Ltd. Sales, R., (2007) Understanding Immigration and Refugee Policy: Contradictions and Continuities, Policy Press, Political Science. Stone, R., (2010) Textbook on Civil Liberties, 8th edition, OUP Oxford. Woolas, P., (2010). Borders, Citizenship and Immigration Act 2009. The Guardian, guardian.co.uk/commentisfree/libertycentral/2009/feb/13/civil-liberties-immigration [Accessed 13 October 2013]. Migration flows are increasingly differentiated. Introduction Migration flows are increasingly differentiated. , p. 1). It is arguable whether this is easily attainable given that â€Å"international migration is incredibly diverse, fluid and fast changing† (Boswell and Geddes, 2010, p. 3). Various laws and regulations have been enacted, which are primarily intended to govern entry into and exit from the territories of states, yet some are more restrictive than others (Guild and Minderhoud, 2011, p. 166). The fact that states have the ability to refuse entry to persons from different jurisdictions is said to allow states to maintain their sovereignty. This was recognised by Adelman (1998, p. 19) when it was pointed out that: â€Å"even if a state has absolute sovereign authority to control the entry of refugee claimants, they must preserve international order which is in everyone’s self interests.† Yet, it is important that those fleeing from persecution are provided with adequate protection from the State in which they enter. Therefore, although states generally have the ability to control migration flows, they may also have to adhere to their international obligations (Human Rights Education Association, 2011, p. 2). This often produces problems since it is not always easy to establish whether a person has fled from persecution or left voluntarily. These uncertainties produce much difficulty and although states must protect the human rights of migrants (The International Covenant on Economic, Social and Cultural Rights), it is evident that the protection of migrants is currently inadequate (Amnesty International, 2009, p. 1). Asylum Flows Migrants are not receiving the support they need from states and national laws and procedures currently act as a barrier to the rights of migrants. This is largely due to the different migration flows that exist and the inability to address mixed migration flows effectively (Betts and Loescher, 2010, p. 320). The treatment of those claiming asylum in the UK provides a clear example of the difficulties that arise when it comes to analysing and regulating global migration. Thus, refugees often use the same routes and means of transportation when entering states as other migrants and because of this, it is extremely difficult to distinguish between them (Gibney, 2004, p. 12). As a result, â€Å"refugee was a term increasingly associated with dishonesty in the notion of ‘bogus’ asylum seekers† (Ryan and Webster, 2008, p. 3). This has an overall impact upon the proper regulation of migration, which is evident in the UK where asylum seekers are required to attain citize nship. Hence, a British Territories Overseas Citizenship or British Overseas Citizenship must be established, yet as contended by Bussutil (1990, p. 286): â€Å"claims cannot be decided with any ease, and great difficulties may be experienced.† This occurs in relation to the ‘qualifying period’ of five years and the additional ‘probationary citizenship’ period that is required prior to qualification for naturalisation. Although this accurately reflects the contemporary relationship between those people subjected to legal regulation and the state, it is questionable whether this relationship is appropriate in modern day society where states are callable of realising their international obligations. Global Migration and Regulation It is extremely difficult to ensure the proper regulation of global migration, yet â€Å"the Government started to respond to the increase in asylum applications in the 1980’s† (Sales, 2007, p. 1953). Nation States have since made great attempts to regulation immigration to their countries through â€Å"imposition of employer sanctions, phasing in and out of temporary foreign worker admission policies, legislations, measures against human trafficking, and measures concerning refugees and asylum seekers† (Castles and Miller, 2009, p. 205). The Immigration, Asylum and Nationality Act 2009 seeks to ensure that the UK is fully implementing its international obligations, but given that the five year requirement can be waived by the Secretary of State is required, it is evident that each case can be decided on its own facts. Regardless, constraints and limits are still being placed upon liberal government in relation to those claiming asylum in the UK and as noted by A delman (1998, p. 19): â€Å"even if a state has absolute sovereign authority to control the entry of refugee claimants, they must preserve international order which is in everyone’s self interests.† He also added that: â€Å"a liberal state does not, however, have absolute sovereign authority, not only with respect to its own members, particularly in areas such as providing aid to refugees, but also with respect to stateless individuals or individuals who come from states which have failed to provide protection.† Arguably, it is evident that although the UK is capable of regulating domestic obligations in respect of asylum seekers, international order must still be preserved. It is questionable whether such international obligations are currently being preserved given that asylum seekers are restricted by domestic legislation. It is argued by Ellermann (2009, p. 2) that: â€Å"illegal immigrants often succeeded in preventing the state from exercising its sovere ign powers† since those who have no claims against the state are most likely to be able to frustrate state control. Arguably, state sovereignty is often undermined by international obligations as states are required to allow immigrants to cross their borders if it is considered to be in their interests. Balance? The new Points Based System (PBS) in the UK was introduced in order to regulate and control the existing mixed migration flows. Previously, citizens could apply for Indefinite Leave to Remain in the UK after spending five years living there, yet it is now a requirement under the Act that five years residence will only lead to â€Å"probationary citizenship† which would be capable of leading to full citizenship once a number of â€Å"points† have been earned. This new system is beneficial for the economy as it prevents migrants from becoming dependent on the State and enables a distinction to be made between the different types of migrants. As Woolas (2010, p. 1) believes: â€Å"Migration only works if it brings benefits and these measures will ensure that only those migrants that make a positive impact on their local community will be able to stay in the UK.† The Act will consequently prevent those migrants who are not beneficial to the UK’s economy from a cquiring citizenship since â€Å"unlimited migration places unacceptable pressure on public services, school places, and the provision of housing, causing problems for certain local communities† (Home Office: 2010). Too much restriction should not be placed upon the flow of migrants, however since â€Å"migrant workers in recent years have provided a significant boost to UK economic growth† (Balakrishnan, 2006, p. 2). Essentially, it is thereby important that a balance is struck between giving migrant workers the ability to acquire citizenship and preventing those that seek to rely on the State from being admitted unless they are genuinely fleeing from persecution. In Omojudi v United Kingdom Application No. 1820/08, 24 November, 2009 it was held by the court that a violation of the rights of immigrants under international law can only be justified if the aims being pursued are proportionate in view of the breach that has occurred. A justification will, as put by Stone (2010; p. 352); â€Å"require that the differential treatment has a legitimate aim and that there is a reasonable relationship of proportionality between the means employed and the aim pursued.†   Therefore, unless a State has a legitimate aim for refusing migrants citizenship, then this will not be justified. This certainly allows greater fairness to be ensued. In Cabales and Balkandali v United Kingdom (1985) 7 EHRR 471 it was held that a refusal would need â€Å"very weighty reasons† before a violation of any rights under the European Convention of Human Rights 1951 could be justified. Difficulties still exist in relation to border control, nonetheless, and it seems as though greater emphasis needs to be placed upon â€Å"exit checks and proper border controls† (Huhne: 2010, p. 2). The UK is the most vulnerable State that attracts migrants and because of this, it is even more important that the flow of mixed migrants is being controlled and managed effectively. It was stated by Shah (2002, p. 315) that: â€Å"the complexity of immigration control has therefore to keep pace with a highly mobile world where global communications at all levels and in all forms are easily exploited by criminal gangs and desperate individuals.† Conclusion Overall, it is often very difficult for states to properly regulate and manage migration flows because of the fact that they are increasingly differentiated. This is widely due to the problems that are caused by trying to distinguish between the different types of migrants. In addition, even when a distinction can be made, domestic legislation often conflicts with international obligations. As such, states are required to preserve international order in cases of confliction which often prevents them from implementing proper regulatory practices. In order to manage migration flows effectively, it is necessary for all states to co-operate and establish a common approach to migration management. This will ensure that that the rights of migrants are being protected, whilst also preserving national security. Hence, because of the problems that are caused by the lack of certainty surrounding refugee’s and asylum seekers, it is necessary for clearer guidance to be provided, which wil l enable a distinction to be made between the different types of migrants. This is necessary in certifying on the one hand that the rights of migrants are protected, and on the other than an overflow of migrants does not occur. References Adelman, H. (1998) Refuge or Asylum A Philosophical Perspective, Journal of Refugee Studies, Volume 1, Number 1. Amnesty International., (2009) World Refugee Day: Lives in Danger as Governments Deny Refugees Protection in Europe, amnesty.org/en/for-media/press-releases/world-refugee-day-lives-danger-governments-deny-refugees-protection-euro [Accessed 14 October 2013]. Balakrishnan, A., (2006). Immigrants Help the Economy Grow by 3%. The Guardian, guardian.co.uk/business/2006/oct/27/politics.thinktanks [Accessed 13 October 2013]. Betts, A., and Loescher., (2011) Refugees in International Relations, Oxford University Press. Boswell, C., and Geddes, A., (2010) Migration and Mobility in the European Union, Palgrave Macmillan, 1st Edition. Busuttil, A. (1990) Immigration Problems and DNA Profiling, Journal of the Law Society of Scotland, (1990) 35 JLSS 286. Castles, S., and Miller, M. J., (2009) The Age of Migration, Fourth Edition: International Population Movements in the Modern World. Compas., (2013) Flows and Dynamics, compas.ox.ac.uk/research/dynamics/ [Accessed 23 November, 2013]. Ellermann, A. (2009) Undocumented Migrants and Resistance in the State of Exception, University of British Columbia, Available unc.edu/euce/eusa2009/papers/ellermann_02G.pdf [Accessed 13 October 2013]. Gibney, M. J., (2004) The Ethics and Politics of Asylum: Liberal Democracy and the Response to Refugees, Cambridge University Press.    Guild, E., and P., Minderhoud, (2011) The First Decade of EU Migration and Asylum Law, Martinus Nijhoff. Huhne, C., (2009). Borders, Citizenship and Immigration Act 2009. Scottish Human Rights Law Group, shrlg.org.uk/2009/07/30/borders-citizenship-and-immigration-act-2009/ [Accessed 15 October 2013]. Human Rights Education Association, Refugees and Displaced Persons, (1996-2011), hrea.org/index.php?doc_id=418 [Accessed 15 October 2013]. Ryan, L., and Webster, W., (2008) Gendering Migration: Masculinity, Femininity and Ethnicity in Post-War Britain, Ashgate Publishing Ltd. Sales, R., (2007) Understanding Immigration and Refugee Policy: Contradictions and Continuities, Policy Press, Political Science. Stone, R., (2010) Textbook on Civil Liberties, 8th edition, OUP Oxford. Woolas, P., (2010). Borders, Citizenship and Immigration Act 2009. The Guardian, guardian.co.uk/commentisfree/libertycentral/2009/feb/13/civil-liberties-immigration [Accessed 13 October 2013].

Monday, November 4, 2019

Type Of Leader Essay Example | Topics and Well Written Essays - 500 words

Type Of Leader - Essay Example An important part of the avenues opened up to an RM is the opportunities for leading others; be they team members, patients, or assistants. Even by the simplest definition of nursing, where the nurse is seen as not much more than a care-giver dependent on other professionals to chart out the actual treatment plan; the nurse has been in a leadership position when interacting with patients and supervising their recovery. With the new areas of professional development and personal growth that have opened up to a nurse, the scope for leadership responsibilities has also grown. The nurse may be required to take up a position of leadership among peers when there is a situation to be dealt with; or immediate action to be taken. The position of a leader is also implied in a one – to – one care giving relationship; where the nurse actively takes decisions and implements treatment plans for a patient under his / her care. A nurse would be required to take decisions and motivate p eople when responding to a crisis situation like victims of a natural or social tragedy.

Friday, November 1, 2019

Organizational Innovation and Change SPRING13-A-8-MGT351-1 Essay

Organizational Innovation and Change SPRING13-A-8-MGT351-1 - Essay Example They are solely responsible for all the undertakings within the organization. They are also responsible in organizing the subordinate staff. A director is also organized, he or she keeps to their framework and an eye on the operations of each department (Kennedy, 2008). The director also has better communication skills, which enables him to create smooth Co relations within the staff. They also have a sense of understanding, with moderate humanity. This basically prevents them from mistreating the staff. The most successful of these qualities are that of being organized. This creates peaceful co-existence within the organization. It also provides the basis of success of all the operations undertaken. Proper organization prevents wastage of resources (Louis & David, 2011). These qualities can be developed through education and training. This is because most of them are skill based, such as organization and communication skills. Experience in the specific field of operations will also help to develop most of these qualities.. It is an additional advantage towards the success of any organization if a combination of multiple of the various styles is done. However, this calls for high levels of competence to prevent one aspect from undermining the other (Kennedy,