Wednesday, October 30, 2019

Timbuk2 Case Study Example | Topics and Well Written Essays - 1250 words

Timbuk2 - Case Study Example al and a custom made, internet based â€Å"Build Your Own Bag† product.   Timbuk2s concept is rugged and stylish. The timbuk2 website describes Rob’s goal, â€Å"to make a messenger bag rugged enough for real bicycle messengers, yet stylish enough to appeal to a broader market of young, hip urbanites as an alternative to the traditional two-strap day pack. Our catchy name, three-panel design, distinctive ‘swirl’ logo, and the fact that we’re ‘Made in San Francisco’ added to our cachet.† I believe that Timbuk2 got their â€Å"foot in the door† with the messenger bag and captured an exploding market trend. San Francisco being the birthplace of the messenger trend and supposedly the most hard core riding environment gives the company credibility and edge. In my opinion, the key competitive dimensions driving sales for the messenger bags are quality, delivery speed, ability to cope with changes in demand, flexibility and new product introduction speed. The Quality Guarantee Timbuk2 offers is extremely generous and screams confidence. The company encourages customers that these bags â€Å"wear like hell†(paper on timbuk2). The â€Å"2-3 shipping days† policy for a custom made bag is evidence of the company’s delivery speed competitive dimension. This is extremely fast turnaround time for a fairly big corporation and proves this company has a fine tuned operation with close management, further solidifying the quality of its products. Timbuk2’s Brennan Mulligan focused on â€Å"Lean manufacturing† and â€Å"Mass customization† (paper). He determined that emphasizing on waste elimination and improving quality, he was able to accomplish smaller batch sizes. Once batch sizes as small as one bag, were achieved, Timbuk2 would be able to meet and cope with changes in demand. With lots of hard work and the acquisition of more machines, Timbuk2 accomplished this. We can ac credit Timbuk2s final competitive dimensions, flexibility and new product introduction speed, to small batch sizes as well. Timbuk2 found cells of 5 workers, each one seeing a bag from start to completion, to be most efficient. This system ensured detailed attention to each bag, and whether or not a bag was a new design, the process would remain nearly the same. In my opinion, the competitive priorities for the bags manufactured in China, appear the same, however in reality the manufacturing process is pretty different. I feel that Timbuk2 has already captured a reputation with the concepts they emphasize, â€Å"Rugged and Stylish†, â€Å"hardcore†, â€Å"designed by messengers and made in San Francisco†. People already see this image when they hear Timbuk2. Some dye

Monday, October 28, 2019

Infectious Disease and Health Protection Agency Essay Example for Free

Infectious Disease and Health Protection Agency Essay The guidance is divided into sections as follows: Section 1Introduces infection control and explains notification; Section 2deals with general infection control procedures; Section 3gives guidance on the management of outbreaks; Section 4describes specific infectious diseases; Section 5contact numbers and sources of information; Section 6contains additional detailed information and a table of diseases; Section 7contains risk assessments relevant to infection control; Section 8 research sources, references and useful web sites Further information is available from the Food Safety Adviser at Leicestershire County Council and from the Health Protection Agency – East Midlands South. Contact numbers are listed in Section 5. The aim of this document is to provide simple advice on the actions needed in the majority of situations likely to be encountered in social care settings. It is written in everyday language and presented so that individual subject areas can be easily copied for use as a single sheet. 1. 1 HOW ARE INFECTIONS TRANSMITTED? 1. 2 INFECTION CONTROL GUIDANCE Infection control forms part of our everyday lives, usually in the form of common sense and basic hygiene procedures. Where large numbers of people come in contact with each other, the risk of spreading infection increases. This is particularly so where people are in close contact and share eating and living accommodation. It is important to have guidelines to protect service users, staff and visitors. Adopting these guidelines and standard infection control practices will minimise the spread of infectious diseases to everyone. External Factors If you or someone in your immediate family has a â€Å"Notifiable Disease† such as Measles (see 1. 3) or infection such as Impetigo, diarrhoea, vomiting or Scabies, please inform your line manager before coming to work. If you regularly visit people in hospital please be aware of the potential risk of cross infection to yourself and the person you are visiting. Above all when dealing with service users and their families we must all remember we are dealing with people. There will be personal issues of privacy and sensitivity, which we must handle with tact and discretion at all times. What are Infection Control Practices? Infection control practices are ways that everyone (staff, service users volunteers) can prevent the transmission of infection from one person to another. They are practices which should be routinely adopted, at all times with every individual, on every occasion, regardless of whether or not that person is known to have an infection. 1. 2 INFECTION CONTROL GUIDANCE – cont. include: 1. 3 NOTIFICATION OF INFECTIOUS DISEASES A number of infectious diseases are statutorily notifiable under The Public Health (Control of Disease) Act 1984 and The Public Health (Infectious Diseases) Regulations 1988. There are three main reasons for such notification. So that control measures can be taken To monitor preventative programmes For surveillance of infectious diseases in order to monitor levels of infectious diseases and to detect outbreaks so that effective control measures can be taken. All doctors diagnosing or suspecting a case of any of the infectious diseases listed overleaf have a legal duty to report it to the Proper Officer of the Local Authority, who is usually the Consultant in Communicable Disease Control based at the Health Protection Agency. Notification should be made at the time of clinical diagnosis and should not be delayed until laboratory confirmation is received. Infections marked (T) should be notified by telephone to the Consultant in Communicable Disease Control (see Section 5) and confirmed by completion of a written notification form. 1. 3 NOTIFICATION OF INFECTIOUS DISEASES – cont. Notifiable Diseases Acute encephalitis Paratyphoid(T) Acute poliomyelitisPlague(T) AnthraxRabies(T) Cholera(T)Relapsing Fever(T) Diphtheria(T)Rubella Dysentry(T)Scarlet Fever Food poisoning orSmall Pox suspected food poisoning LeprosyTetanus LeptospirosisTuberculosis MalariaTyphoid fever(T) MeaslesTyphus fever(T) Meningitis * (T)Viral haemorrhagic fever(T) Meningococcal septicaemia(T)Viral hepatitis ** (without meningitis) MumpsWhooping cough Opthalmia neonatorumYellow fever * meningococcal, pneumococcal, haemophilus influenzae, viral, other specified, unspecified ** Hepatitis A, Hepatitis B Hepatitis C, other (T)Please notify the Consultant in Communicable Disease Control or person on call for the Health Protection Agency by telephone. Other specific diseases are designated by the Reporting of Injuries, Diseases and Dangerous Occurrences Regulations 1995 as â€Å"Reportable Occupational Diseases† e. g. Legionellosis. Please contact the Health Safety Team for further information (see section 5 for details). 1. 3 NOTIFICATION OF INFECTIOUS DISEASES – cont. Notification of suspected outbreaks An outbreak is defined as two or more cases of a condition related in time and location with suspicion of transmission. Prompt investigation of an outbreak and introduction of control measures depends upon early communication. Suspicion of any association between cases should prompt contact with the Health Protection Agency. 1. 4 IMMUNISATION COSHH requires that if a risk assessment shows there to be a risk of exposure to biological agents for which vaccines exist, then these should be offered if the employee is not already immune. In practice, with Social Care Services, this generally amounts to care staff within the Mental Health and Learning Disabilities Services being offered Hepatitis B vaccination. Care home managers, after assessing risks, may also offer ‘flu vaccination to staff and individual cases may indicate the need for immunisation in certain circumstances. The pros and cons of immunisation/non-immunisation should be explained when making the offer of immunisation. The Health Safety at Work Act 1974 requires that employees are not charged for protective measures such as immunisation. A few GPs will make vaccinations available free to Social Care workers but they are not obliged to do so and can charge at their discretion. Departmental funding for the provision of vaccine, through Occupational Health, is restricted and so it is vital that only those to whom it is essential to provide immunisation are offered this service. The majority of staff will have received immunisation from childhood and have received the appropriate booster doses e. g. Tetanus, Rubella, Measles and Polio. However, it is important for the immunisation state of staff to be checked e. g. women of childbearing age should be protected against Rubella. Good practice and common sense should indicate that the immunisation state of staff is checked and appropriate action taken. If there is a potential risk of infection, change of work rotas or areas of responsibility can sometimes avoid the risk of contamination. Vaccination is not always the only course of action and in some cases staff may not agree to be vaccinated. 1. 4. 1 IMMUNISATION SCHEDULE Vaccine Age Notes D/T/P and Hib Polio 1st dose at 2 months 2nd dose at 3 months 3rd dose at 4 months Primary Course Measles / Mumps / Rubella (MMR) 12 – 15 months Can be given at any age over 12 months Booster DT and Polio, MMR second dose 3 – 5 years Three years after completion of primary course BCG 10 – 14 years or infancy Only offered to certain high risk groups after an initial risk assessment Booster Tetanus, Diphtheria and Polio 13 – 18 years Children should therefore have received the following vaccines: By 6 months:3 doses of DTP, Hib and Polio By 15 months:Measles / Mumps / Rubella By school entry:4th DT and Polio; second dose of Measles / Mumps / Rubella Between 10 14 years:BCG (certain high risk groups only) Before leaving school:5th Polio and Tetanus Diphtheria (Td) Adults should receive the following vaccines: Women sero-negative Rubella For Rubella: Previously un-immunisedPolio, Tetanus, Diphtheria Individuals: Individuals in high Hepatitis B, Hepatitis A, Influenza risk groups:Pneumonococcal vaccine 1. 5 EXCLUSION FROM WORK The following table gives advice on the minimum period of exclusions from work for staff members suffering from infectious disease (cases) or in contact with a case of infection in their own homes (home contacts). Advice on work exclusions can be sought from CCDC (Consultant in Communicable Disease Control) / HPN (Health Protection Nurse) / CICN (Community Infection Control Nurse) / EHO (Environmental Health Officer) or GP (General Practitioner) Minimum exclusion period Disease Period of Infectivity Case Home contact Chickenpox Infectious for 1-2 days before the onset of symptoms and 6 days after rash appears or until lesions are crusted (if longer) 6 days from onset of rash None. Non-immune pregnant women should seek medical advice Conjunctivitis Until 48 hours after treatment Until discharge stops None Erythema infectiosum (slapped cheek syndrome) 4 days before and until 4 days after the onset of the rash Until clinically well None. Pregnant women should seek medical advice Gastroenteritis (including salmonellosis and shigellosis) As long as organism is present in stools, but mainly while diarrhoea lasts Until clinically well and 48 hours without diarrhoea or vomiting. CCDC or EHO may advise a longer period of exclusion CCDC or EHO will advise on local policy Glandular fever When symptomatic Until clinically well None Giardia lamblia While diarrhoea is present Until 48 hours after first normal stool None Hand, foot and mouth disease As long as active ulcers are present 1 week or until open lesions are healed None Hepatitis A The incubation period is 15-50 days, average 28-30 days. Maximum infectivity occurs during the latter half of the incubation period and continues until 7 days after jaundice appears 1 week after onset of jaundice None – immunisation may be advised (through GP) HIV/AIDS For life None None 1. 5 EXCLUSION FROM WORK – cont. Minimum exclusion period Disease Period of infectivity Case Home contact Measles Up to 4 days before and until 4 days after the rash appears 4 days from the onset of the rash None Meningitis Varies with organism Until clinical recovery None Mumps Greatest infectivity from 2 days before the onset of symptoms to 4 days after symptoms appear 4 days from the onset of the rash None Rubella (German measles) 1 week before and until 5 days after the onset of the rash 4 days from the onset of the rash None Streptococcal sore throat and Scarlet fever As long as the organism is present in the throat, usually up to 48 hours after antibiotic is started Until clinically improved (usually 48 hours after antibiotic is started) None Shingles Until after the last of the lesions are dry Until all lesions are dry – minimum 6 days from the onset of the rash None Tuberculosis Depends on part infected. Patients with open TB usually become non-infectious after 2 weeks of treatment In the case of open TB, until cleared by TB clinic. No exclusion necessary in other situations Will require medical follow-up Threadworm As long as eggs present on perianal skin None but requires treatment Treatment is necessary Typhoid fever As long as case harbours the organism Seek advice from CCDC Seek advice from CCDC Whooping cough 1 week before and until 3 weeks after onset of cough (or 5 days after the start of antibiotic treatment) Until clinically well, but check with CCDC None 1. 5 EXCLUSION FROM WORK – cont. SKIN CONDITIONS Minimum exclusion period Disease Period of infectivity Case Home contact Impetigo As long as purulent lesions are present Until skin has healed or 48 hours after treatment started None. Avoid sharing towels Head lice As long as lice or live eggs are present Exclude until treated Exclude until treated Ringworm 1. Tinea capitis (head) 2. Tinea corporis (body) 3. Tinea pedis (athlete’s foot) As long as active lesions are present As long as active lesions are present As long as active lesions are present Exclusion not always necessary until an epidemic is suspected None None None None None Scabies Until mites and eggs have been destroyed Until day after treatment is given None (GP should treat family) Verrucae (plantar warts) As long as wart is present None (warts should be covered with waterproof dressing for swimming and barefoot activities) None

Saturday, October 26, 2019

Terrorism in Kenya Essay -- A Level Essays

Terrorism in Kenya Introduction Kenya has been the battlefield of tragic terrorist attacks on western interests twice since 1998 – once in 1998 when the US embassy was attacked and a second time in 2002 when a Israeli-owned Paradise hotel was bombed. In 1980, Jewish-owned Norfolk hotel was attacked by the PLO. Every single attack shared a common thread of irony: the majority of the lives lost were Kenyan, even though the ideology behind the attacks suggests that Kenyan and Kenyans were not involved in the political dynamic that precipitated the attacks. The paper seeks to understand the political, social and cultural variables that have thrown Kenya into the geo-political limelight insofar as the so-called ‘War on Terrorism’ is concerned. The paper ends by discussing the security and economic implications of Kenya’s foreign policy positions as they relate to the evolving Middle-East conflicts. Precipitating events The following are the major events that have been categorized as terrorist activities in Kenya. These are the events that actually transpired. There could conceivably be more that were and still are on the drawing board but never executed. In 1976, the famous Entebbe hostage crisis was witnessed in neighboring Uganda. Members of the Baader-Meinhof Group and the Popular Front for the Liberation of Palestine (PFLP) seized an Air France airliner and its 258 passengers.They forced the airplane to land in Uganda. During a 35-minute battle, 20 Ugandan soldiers and all seven hijackers died along with three hostages. when Israeli commandos rescued the passengers. Uganda’s President and dictator Idi Amin arrived at the airport to give a speech in support of the PFLP and supplied the hijackers with extra troop... ... The Daily Nation (Nairobi), 1 December, 2002. [8] â€Å"US War With Iraq Could Be Averted† The East African Standard (Nairobi), March 2, 2003 [9] â€Å"Sudanese plant bombed by Pentagon was civilian† By Sarah Sloan, Worker's World Newspaper www.endiraqsanctions.net/resources/el-shifa.htm [10] â€Å"Sudanese plant bombed by Pentagon was civilian† By Sarah Sloan, Worker's World Newspaper www.endiraqsanctions.net/resources/el-shifa.htm [11] â€Å"The Mombasa Attack could Damage the Process of Tourism Recovery in Kenya† Professor Thea Sinclair and Dr. Guntur Sugiyarto, Christel DeHaan Tourism and Travel Research Institute [12] â€Å"An analysis of reactions to a U.S. government policy regarding compensation for African victims.† by Anthony Kuria, Advocate of the High Court of Kenya, www.africanconnections.com/AnthonyKuria.html

Thursday, October 24, 2019

Discussion and Analysis Essay

Construct a good, solid essay of at least 3 full pages which answers one of the prompts below. In addition to consulting your lecture notes and textbook, you may find it helpful to consult the New Cambridge Medieval History, Vol. I, which may be found in the Walsh Library Reference Room, call number D117. N48. Essays will be graded on content (clarity and coherence) as well as mechanics (grammar and spelling). Late papers will be significantly penalized and any paper later than 24 hours will NOT be accepted. Drafts of papers are to be submitted as hard (printed) copies to both  your editing partner and me. Final versions of papers are to be submitted as hard (printed) copies to me; you will also  include  the marked-up version of your draft. All papers must have 1† margins, be double spaced, and in Times New Roman or Garamond, size 10-12 font. Do not double-space your initial, first page heading. In supporting your observations, you will certainly need to point to specifics in the texts. However, you should not rely on direct quotations and should use them very sparingly. You may not use any quote lengthier than two sentences. No block quotations. Any essay that consists of more than one-quarter direct quotations will receive a D. You should learn how to sum up examples in your own words, but be aware that changing only a few words of someone else is still considered plagiarism. Any time you use a direct quotation or paraphrase something, you need to cite the material. This includes anything from the Chronicle text. For this second essay, your goal is to analytically read primary source materials. As you read and begin to formulate your essay, consider some of the following questions: who is this author? Why are they writing? What is the obvious, surface purpose of this document? Is there a purpose or conclusion that the author reaches which is not so obvious? What fundamental assumptions does the author have about his subject material? How do these assumptions influence or appear in the work, either explicitly or implicitly? How do the attitudes or perceptions of the subject matter change or evolve over time? How does the historical context of each author influence his approach and treatment of his subject matter? These questions should be only the beginning of your inquiry and you certainly are not restricted to them. Use them to formulate your own questions, and then use those questions to help you structure your essay. Often the best essays are built around thesis questions, not thesis statements. Primary source excerpts can be found in your Rosenwein reader or online at the Fordham Medieval Sourcebook and google books. This is a 3 page paper; obviously you cannot use all the sources, however what you choose should make sense for your thesis. The Crusades Tactic I Using the documents listed below, explore what motivated people to go on crusade to the Holy Land in the middle ages. Did their experiences match their expectations? Were they fulfilled, disappointed? How important was morale and how was it kept up? Address strengths and weaknesses of the source material and be sure to make connections between the sources. Tactic II Using the documents listed below, explore what we can learn about memory and different groups’ interpretation of events. Address strengths and weaknesses of the source material and be sure to make connections between the sources.

Wednesday, October 23, 2019

Marco Polo and Ponce de Leon

My two explorers are Marco Polo and Ponce De Leon. Marco Polo was one of the most famous westerner travelers. He traveled across Asia. He sailed south from Venice, Italy in the Mediterranean Sea. He also explored an area south of Beijing and the coast of china which is now Vietnam. Ponce de Leon sailed for Florida in the Americas. The reason why Marco Polo did his exploration was to find all kinds of different goods to trade.He did this because he was learning about trading goods. He was able to find perfumes, jewels, porcelain, and silk garments. He made lots of money while he stayed in Khan’s court. Pone de Leon’s reason for his expedition was because he was hurt by the king’s action for making Columbus’ son governor so he sailed off. Also he reason was to find new lands and treasures. Another thing was the Fountain of Youth, which was a mythical spring that the Indians spoke of.The Fountain of Youth was believed to make older people young again. Some of Marco’s hardships came when he was traveling to the Gobi Desert. It was hard without camels and was very hot. It was also hard not having food or water. Some times Marco felt like he was in a dream because he would hear frightening sounds, he would see ghost figures of his friends, and was having weird illusions. Some of Ponce de Leon’s hardships that he faced where he was ambushed by the Calusa Tribe.He was ambushed by them on his way back to Florida to start a farming colony. He was shot in the thigh by an arrow and was seriously wounded, so they decided to sail back to Cuba. The result of Marco’s expedition was that he ended up in prison because he was in war against the Genous and was captured. The result of Ponce de Leon’s expedition was that he never found the gold or the mythical fountain. Also he died at 61 because of he serious wound.

Tuesday, October 22, 2019

Holland Theory and Application Essay Example

Holland Theory and Application Essay Example Holland Theory and Application Essay Holland Theory and Application Essay Essay Topic: College application John Holland made his grade from 1953-1556 while working at Vocational Counseling Service in Perry Point Veterans Hospital followed by his work as the Director of Research for the National Merit Scholarship Corporation. His work at these two organisations leads to the first edition of Vocational Preference Inventory. In 1959. John Holland was published in the Journal of Counseling Psychology for his vocational theory ( Gottfredson A ; Johnstun. 2009 ) . He established his theory of fiting people to careers in the universe of work. Although the trait and factor attack was established in 1909. John Holland took it a measure further utilizing the Army as his theoretical account ( Bolles A ; Figler. 1999 ) . John Holland was quoted. I am a psychologist who pays attending to the obvious ( Bolles A ; Figler. 1999. p. 63 ) . This was the subject of his theory. Holland theory is about the tantrum of the person to the work environment. Some clients will be better suited for certain on the job environments and ill matched to others ( Anderson A ; Vandehey. 2012 ) . The Holland theory is based on designation of people environment. accomplishments. and values taking into six occupational classs known as RIASEC’ ( realistic. fact-finding. artistic. societal. enterprising. and conventional ) ( Bolles A ; Figler. 1999 ) . Although each class is see a unchanged type of personality most clients will non suit into merely one type. Holland’s theory assigns them a set of two or three of the types ( Anderson A ; Vandehey. 2012 ) . The first of Holland’s types. realistic. are clients who have athletic or mechanical ability. work with objects. machines. tools. workss. animate beings and the out-of-doorss. Realistic client will be competent in reading bluish prints. fix of furniture. doing mechanical types of drawings. utilizing particular instruments such as a voltmeter. and will besides hold good math and mechanical backgrounds. They will besides hold involvements in woodwork. metal work. and easy work with tools. Some realistic businesss would include wireless operator. civil applied scientist. mechanic. or piano tuner ( Bolles A ; Figler. 1999 ) . The following type. fact-finding. will be clients who like to detect. learn. analyze. fact-finding. work out jobs or measure in general. Their proficiencies include scientific and proficient preparation utilizing a slide regulation or microscope. utilizing a logarithmic tabular array. describes white blood cells by their utilizations. interpret chemical expressions. and understand the workings of a vacuity tubing. These clients readily enjoy scientific books. lab work. chemical science. math mystifiers. and usually take several categories in natural philosophies. math. and biological science. Fact-finding occupation chances could be physician. math instructor. lab technician. or oceanographer ( Bolles A ; Figler. 1999 ) . The artistic clients. Holland’s 3rd type. are introducing or intuitive minds. like to work in unrestrictive environments. and be given to be highly originative or inventive. Skills for originative people would incorporate playing a musical instrument. choir. planing. making picture taking or art. or read/write poesy. Artistic types. harmonizing to Holland. would bask chalk outing. go toing dramas. taking an art category. or reading popular fiction. Occupations for these clients can be drama manager. advertisement executive. lensman. or foreign linguistic communication translator ( Bolles A ; Figler. 1999 ) . Holland’s 4th types of clients. societal. like to work with people by informing. assisting. preparation. or are skilled with words. These clients will experience competent with equals older than them. easy plan a school or church map. and are good justice of others personalities. They will belong to clubs. write letters. attend athleticss events. travel to parties. aid others with personal jobs. and like to run into new people. Director of societal services. employment representative. counsellor. diversion decision maker. and Foreign Service officer are a few of the businesss good suited for a societal Holland codification ( Bolles A ; Figler. 1999 ) . Enterprising. Holland’s 5th codification. are comprised of clients that a people-influencing. leaders. inducers. or economic end friendly. They easy sell. influence others. give pep negotiations. run into of import people. and discuss political relations. In college or high school these clients were elected to office. organized nines. debated. supervised the work of others. or acted as a interpreter for a cause. They become bankers. forces recruiters. labour arbiters. insurance directors. and little concern proprietors ( Bolles A ; Figler. 1999 ) . The conventional is the last of Holland’s types. Conventional types like to work with informations and transporting out in elaborate instructions. They have the ability to register correspondence. work in office scene. type 40 words per minute. usage stenography. station credits and debits. and maintain accurate records. They may hold done clerking. operated concern machines. written concern letters. or maintain orderly records and files. Conventational types are frequently employed as comptrollers. recognition directors. paysheet clerks. bookkeepers. library helpers or forces secretary ( Bolles A ; Figler. 1999 ) . Holland realized that non every client would suit into a type Nice and neatly hence the Holland two or three codifications are established in order to hold a individual in a occupation that would give work satisfaction. They are several resources available to clients and counsellors to help in detecting a client’s RIASEC codification. The Autonomous Search ( SDS ) was foremost published in 1970 and was development by John Holland. The advantage of this appraisal is that it is intended for the college or grownup scene. The written version non merely includes the appraisal but besides Holland’s Occupation Finder ( OF ) brochure for a counsellor to utilize with their clients. Holland besides created a seven page brochure. You and Your Career. that can be used to heighten the SDS and OF with suggestions for effectual calling planning ( Reardon A ; Lumsden. 2002 ) . Later. Holland. with Amy Powell. created SDS Career Explorer designed for in-between school pupils along with his brochure Exploring Your Future with the SDS. Along with the appraisal are several tools for pedagogues and pupils likewise. Holland. along with several other co-workers. has expanded the abilities of instruments to include steps for stableness. environment. and extra resource to guarantee apprehension of the instruments and proper usage and application ( Reardon A ; Lumsden. 2002 ) . In my universe of calling guidance. I apply Holland’s theory of seting the right client into the best tantrum for client. I agree with his theory that if a client is non utilizing the accomplishments or involvements that they enjoy that will hold hapless public presentation. This finally in my sentiment leads to occupation skiping. deficiency of self-efficacy. and depression. I have the advantage of money on my side and we use the plan Discover for most appraisals. However. I do non ever leap to prove. By holding cognition of Holland theory and his types and codification lucifer through counsellor I am able to acquire a client to happen their calling ends on their ain without trial. With my type of client they do non desire to sit through proving no affair how short it is. they already have to analyze for their current occupations. college categories. and advancement tests. I try to integrate Holland’s theory daily which can hold its drawbacks. They occupation that my client would be good at may non hold gaps or worse the Navy does non hold it. so I try assist them compromise with community service or college class that would fulfill their demands. Over the last 10 old ages. I have learned that I am non the answer individual more like their vas to maintenance stage of their passage rhythms ( Anderson A ; Vandehey. 2002 ) . I could non merchandise in the feeling of when I see them eventually calculate out what they want to make when the grow up.

Monday, October 21, 2019

Leonidas of Sparta essays

Leonidas of Sparta essays Leonidas was a king of ancient Sparta, the seventeenth of the Agiad line. He succeeded to the throne after his half brother Cleomenes committed suicide in around 489 BC. Very little is known about his life, but his heroic death at the pass of Thermopylae is one of the most famous episodes in history. The Persian king, Xerxes, invaded Greece in about 480 BC, with a large army. The Greek army was considerably smaller and inferior to that of the Persians, and so their only option, to avoid defeat, was to find a position to defend where Persian numbers would be of less account. Two defensive lines remained; at the narrow coastal pass of Thermopylae, where the Greek fleet could block the north-Euboean strait, or at the Isthmus itself with the fleet a little to the north of Salamis. After much indecision, the choice fell on Thermopylae. Leonidas was sent with about 7000 men to the pass of Thermopylae. In the pass, Leonidas men repulsed the frontal attacks of the Persians for the first two days, but on the third day Leonidas learned that a Greek traitor had informed Xerxes of a mountain top trail that would help the Persians break the pass. Leonidas sent most of the Greeks to safety to Southern Greece and then swung his remaining force of 300 Spartans and 1100 other Greeks, against the enemy with undaunted courage and grim determination worthy of their Gods. Leonidas fell bravely in the thickest of the fight and a fierce struggle raged over the body of the Spartan King, but given the numbers they faced, the body did fall into Persian hands. It has been said by contemporary Greeks, that Leonidas head was afterwards cut off by Xerxes order and his body then crucified. He was buried with full honours, including a very un-Spartan display of wailing and mourning, and a carved lion was dedicated at his death site to symbolise his courage. The mourning of Leonidas death reinforces his import...

Sunday, October 20, 2019

From LO to LOL - Emphasis

From LO to LOL From LO to LOL It is 40 years ago, almost to the day, that the internet made its first connection. On 29 October 1969, a computer in the University of California connected with one several hundred miles away in the Stanford Research Institute, just long enough to receive the message LO. (It was meant to be LOGIN, but the system crashed before the G could be typed.) The rate at which the internet and related technologies have developed since that fateful day is positively dizzying: from science fiction to something tentatively toyed with by a very few, to a ubiquitous part of life for the vast majority in a few decades. Increasingly frequently this is our chosen method of communication in work and out to the point where the future of a national institution like the postal service is threatened. But could our relationship with language be threatened too? The question does keep rearing its worried head over the possibilities of the future: illiterate children? Txt spk @ work? Robot computers marking exam papers? Whats certain is that there will be an effect of some kind. After all, use of the word hello as the greeting we unthinkingly use originated when Thomas Edison declared it the clearest way of answering the telephone. Interestingly, in 2003 it was reported that traditional greetings like hello would soon become obsolete, replaced (as they often are in texts and email) with globespeak alternatives, such as hey, howdy and gday. This, if true, would effectively bring the life of hello full circle: both created for and destroyed by the rise of a new technology. Although we probably neednt sound its death knell quite yet. Then, of course, theres Microsoft: it may rule the world, but to what extent does it rule our words? We are all guilty of relying more and more heavily on Words varicoloured squiggly lines and AutoCorrect function to correct our mistakes, but we are all also probably aware that the program is far from infallible. For example, certain errors such as unnecessary initial capital letters or accidental use of homonyms may not be flagged, while words that are actually spelled accurately can be. Changes both in language and in technology are inevitable and move at a great pace, but theyre not always in step with each other. While newer words like podcast and texting have found their way into dictionaries, older versions of Word still mark them as wrong. The limitations of spellcheckers have been such that the phenomenon of them wreaking havoc with documents now has its own name: the Cupertino effect. Its so-called because Cupertino (the Californian city home to Apple Inc.) used to be the first offering to replace cooperation, back when spellcheckers only recognised the hyphenated version of the word. This meant that anyone breezily pressing accept all changes was left with such nonsensical phrases as the Cupertino with our Italian comrades proved to be very fruitful. (This is taken from an official NATO document from 2003.) Proper nouns and foreign words can also cause problems, as news service Reuters discovered when it inadvertently ended up referring to Pakistans Muttahida Quami Movement as the Muttonhead Quail Movement. Naturally, updates are being made all the time to prevent these particular blunders Microsoft Office 2010 offers a contextual speller in order to make correction suggestions more accurate. Nevertheless, other problems are quite likely to pop up and, however ingenious the algorithm behind the latest features, the ultimate responsibility is with us to check what we actually end up saying. It is also unavoidable that around periods of great change therell be those who fret over the potential consequences. The massive rise in texting has led to concern that this abbreviation-filled medium is going to destroy childrens literacy and have them including such terms as LOL (laugh out loud) and gr8 (great) in their schoolwork. Tales of such inclusions abound, but many are mere fabrication; in fact, several studies have found that the majority of children scornfully denounce the idea that theyd do such a thing. Indeed, a positive aspect could be that kids are taught the importance of writing appropriately for different contexts. We wont be able to stop the dual juggernauts of technology and language change, but we neednt necessarily fear them. The best approach is probably to stop worrying about a future filled with texted essays and automatons in charge of education, and make sure to keep a responsible eye on what we are each actually producing. After all, the future of writing if not the future of technology is largely in our hands.

Saturday, October 19, 2019

Current and Projected Situation in Bosnia- Herzegovina Essay

Current and Projected Situation in Bosnia- Herzegovina - Essay Example The armed conflict in Bosnia between 1992 and 1995 is rather long and arduous to explain, but an attempt will be made here. Basically, Serbians were funding their own armed forces, which the Croats were doing as well. Bosnian government forces were also involved. The three opposing sides switched loyalties several times during the course of the war. Since friction had been brewing for a long time in the area, there was much unrest over whether this conflict could be considered a civil war or not. Research suggests that there were at least 100,000 people who were killed. Not only this, but there were almost 2 million people who were displaced as a cause of this war. The casualties that were recorded by percentages included Bosniaks, or Bosnian Muslims, at roughly 65%. Serbs constituted about a fourth of those killed, while Croats only represented about 10% of those killed. Obviously, the Muslims were those who were most affected. Systematic rape was common, which happened to several thousand people, a third of whom were women and children. According to intelligence figures, an almost overwhelming majority of the war crimes committed in this conflict were done by Serbian people. Genocide was committed both by the Serbs and the Croats, while Bosniaks were charged with the lesser crime of breaking rules in the Geneva Convention. The war in Bosnia started as a result of the disintegration of the Republic of Yugoslavia. Slobodan MiloÃ… ¡ević, who was elected President of Serbia in 1989, was originally born in Yugoslavia. He is widely thought to have incited violence through the proffering of Serbian nationalism. However, at the ICTY (International Criminal Tribunal for the Former Yugoslavia), it was often debated as to what crimes he should have been prosecuted for, as it was argued by some writers and reporters that he hadn't really had as significant a role in the war as some people argued. Some people argued that Miloevi was a butcher, that he incited the wars that were in Serbia, Croatia, Bosnia, and the disputed territory of Kosovo. Others yet claim that Miloevi did not do anything more wrong than some of the other people at fault for similar crimes in the Bosnian War. This is what is going to be analyzed forthwith, is what the roles of each ethnic group in the conflict were. Obviously, they probably would change several times during the course of the war. It is also obvious that this war was filled with genocide. Although Noam Chomsky wrote a scathing report about people who are "worthy victims" and

Friday, October 18, 2019

Answer some question form some lectures Essay Example | Topics and Well Written Essays - 500 words

Answer some question form some lectures - Essay Example By measuring and assessing the routines tasks of employees, the manager establishes the path of performance and progression for the workers (Armstrong, 2000). 3. A high performance organization is achieved by means of establishing and placing effective HRM (human resource management) function. It is the effective HRM function that strategically drives the growth and progression of the organization. An effective HRM function is based with the concept of knowledge management. Managing and maintaining intellectual knowledge, corporate knowledge, institutional and structural knowledge, the HRM function invites success for the organization. It is strategic and effective knowledge management that enables performance of the organization (Deb, 2006). 4. A strategic HRM function can be evaluated by means of the level of progress and improvement the organization has shown after the function got established. If employees have the best work environment, they have the best wages designed and they have performance-based appraisals project that the strategic HRM function has increased the strategic value of the organization. The values of trust, cooperation and collaboration are further indications that the organization has made strategic growth and progress (Armstrong, 2000). 5. Job Analysis is one of the significant tasks of the HRM function. It is a functional task to understand the nature and the requirements of a specific task or job. Job analysis elaborates the requirements of a specific job, the skills and qualifications needed to perform that job. Job analysis actually understands the relativeness of a worker on a specific task position. Placing right man to the right job is one significant outcome of job analysis operation. Analyzing the job of a HR manager, it can be said that planning and coordination are ultimate skills required for this designation. If a HR manager holds strong

456 Essay Example | Topics and Well Written Essays - 500 words

456 - Essay Example Roger’s extended family is mentioned several times in the story. Specifically, Roger talks about his aunt, grandma, and grandpa. The relationship between these people is close, especially the one between Roger and his aunt. When Roger runs away from home, his aunt welcomingly takes him in. a caretaking activity is seen through this. Moreover, Aunt Greta brings Roger up with the permission of his father. The relationship between Roger and his aunt is one based on solidarity. They understand one another’s way of life, thus living their lives in coherence. Aunt Greta treats Roger like a child of her own. She tries to bring him up in the best way she can. Even after running away from home and having been brought up by Aunt Greta, Roger has a close relationship with his dad. The family unit can be the simplest form possible, but it can also turn out to be the most sophisticated in the world. Different families observe different ways of life, but the common denominator is that each family is unique in its own way. The America society is held to have the most organized family unit. However, this assumption does not apply to all American families. As a matter of fact, it is outright possible to find a family unit outside America that outperforms the American context of family organization. In other words, it is relatively difficult to define organization in a generalized context. On the other hand, proving family solidarity and caretaking activities is easy and open. Roger’s nuclear and extended family relates in a manner that promotes their relational welfare. There is a sense of family responsibility across Roger, his mom, dad, aunt, grandpa, and grandma. In this respect, the uniqueness of the family setup lies in the lifestyle and activities involved in the day to day life of all the persons involved. Notably, it is hardly possible to come by family units that run the same way. Individual diversity within and without the

Thursday, October 17, 2019

Company Overview Essay Example | Topics and Well Written Essays - 250 words

Company Overview - Essay Example Mr. Daryl Scholz is a project management coordinator that utilizes project management methodologies to plan, implement, and evaluate projects related to technology for the Information Technology Services department. Scholz works with numerous projects including, curriculum navigator, map works, student dashboard, centralized ticketing, web CMS, and the student portal. Even though Mr. Daryl Scholz is managing many projects, we narrowed it down to his latest accomplishment, the HuskeyNet Student Portal. The purpose of the HuskeyNet Student Portal Project was to create a user-friendly, customizable portal for student to use. It was student tested and students can implement ideas and suggestions to how or what they want the portal to have. Every project come with a challenge and the student portal did not escape to the rule. After working on the student health services and backing up thousands of student files. The student portal appeared at first sight to be an easier project. After meeting with different constituent and stockholder, they soon realize that the task was far from being a small project. Many aspects involved in this project was crucial to the success and satisfaction of students. â€Å" K and his team developed a plan that will help reach their goals. A time has to be set for the project to be delivered as soon as possible for student to be able test and implement it by fall 2012 with a period set , of one year and half, the team started refining and giving life to the project. At first sight the project presented many strength and opportunities. Students were thrill by this new look and were anxious to come and see it coming alive. The student portal was a great opportunity for workers to expand their professional skills. Instead of using it the same skills over and over again they had to master software like java. Despite K and his team was still worried about some weakness and threats that may appear along the way

A Critical Analysis of the Early Years Foundation Stage (EYFS) Essay

A Critical Analysis of the Early Years Foundation Stage (EYFS) - Essay Example There are seven main parts that are covered at this stage. They include the social and emotional development. This allows the children to recognize who they are as well as respecting other people in the society. At the same time, the children learn how to perform certain activities such as dressing. Communication and problem solving are other important areas of learning at this stage (Silberfeld 2009, p.67). The children begin developing the confidence needed when communicating. At the same time, they learn how to solve problem through games and listening and answering questions from stories. The curriculum also ensures that children understand the world they live in and development physically and creatively. They understand the world around them through use of different materials and tools to create their surroundings. The EYFS is used as a platform that prepares children for what they will become in future (Beckley 2009, p.98). The knowledge and the kind of preparation at this stag e dictate how the children will respond to learning in future. The environment in which the children are raised is imperative. It determines whether such children become intelligent or not. While certain settings foster intelligence, others do not (Carr 2005, p.65). it is imperative for teachers to know that children at this stage learn more from observation and what they hear. The children believe the information passed to them. They are not able to criticise like their counterparts in late childhood (Callaway 2005, p.67). For that reason, accurate information is vital at this state. This includes the information on chats, which the pupils are expected to read. It is difficult to undo what the children have already recorded in their mind. The curriculum is the most important tool in ensuring that the children acquire the best learning while still in their early stages (Glazzard et al. 2010, p.98). However, one of the most striking feature is the fact that play becomes an integral p art of learning (Edwards 2001, p.38). Children understand better, when concepts are addressed through play. It has been effective in ensuring that children develop both physically, cognitively and socially (Glenda 2003, p.98). Through play for instance, most children are able to discover their potential. This is especially when such children are involved in activities that involve role-play. It is therefore imperative that the curriculum involve all kinds of play to ensure that the children concentrate and get the best out of learning (Goffin 2011, p.78). The following discussion will focus on the role of curriculum in promoting learn as well as how play promotes learning. The environment where the children are exposed is supposed to be safe and free from any materials that would cause any harm. It is the responsibility of the school management to ensure that the structures are well constructed and are safe to be used by the children (. The classroom for instance should have enough space where the children are allowed to play and interact. With the current need for inclusion, I it is also vital that the designs of such classes make it possible for children with disabilities to learn. They ought to be made part of the class and benefit just like any other child. In addition to that, the current classes may have children from different cultural backgrounds. The teacher has a responsibility of ensuring that such students benefit from this kind of setting. To help understand the above themes, I visited a primary school in New Ham East London. It was a class that had the children at the age of between 3 and 4. The class had a total of 25 pupils with one main teacher. The class has children from dif

Wednesday, October 16, 2019

Company Overview Essay Example | Topics and Well Written Essays - 250 words

Company Overview - Essay Example Mr. Daryl Scholz is a project management coordinator that utilizes project management methodologies to plan, implement, and evaluate projects related to technology for the Information Technology Services department. Scholz works with numerous projects including, curriculum navigator, map works, student dashboard, centralized ticketing, web CMS, and the student portal. Even though Mr. Daryl Scholz is managing many projects, we narrowed it down to his latest accomplishment, the HuskeyNet Student Portal. The purpose of the HuskeyNet Student Portal Project was to create a user-friendly, customizable portal for student to use. It was student tested and students can implement ideas and suggestions to how or what they want the portal to have. Every project come with a challenge and the student portal did not escape to the rule. After working on the student health services and backing up thousands of student files. The student portal appeared at first sight to be an easier project. After meeting with different constituent and stockholder, they soon realize that the task was far from being a small project. Many aspects involved in this project was crucial to the success and satisfaction of students. â€Å" K and his team developed a plan that will help reach their goals. A time has to be set for the project to be delivered as soon as possible for student to be able test and implement it by fall 2012 with a period set , of one year and half, the team started refining and giving life to the project. At first sight the project presented many strength and opportunities. Students were thrill by this new look and were anxious to come and see it coming alive. The student portal was a great opportunity for workers to expand their professional skills. Instead of using it the same skills over and over again they had to master software like java. Despite K and his team was still worried about some weakness and threats that may appear along the way

Tuesday, October 15, 2019

My Writing Improvements, Challenges, and Goals Essay - 1

My Writing Improvements, Challenges, and Goals - Essay Example I avoid repetition and redundancy. I avoid using high faluting words, but rather I use words that are simple and can easily be understood. I face several challenges in my writing. A challenge that I have to deal with is my failure to follow a specific format. I am quite confused with the APA, MLA and Harvard style. A specific problem which I encounter with regards to the different styles is the format of the in-text citations and the references. I also think that I should expand my vocabulary so as not to repeat words in a single article that I write. Another shortcoming that I have to tackle is my need to be more concise in my writing style and refrain from being overly wordy in my prose. I still find summarizing an article a challenge. I realize that I just end up copying most of the sentences in the piece that I have to summarize instead of paraphrasing them. I intend to improve my writing skills because I know that it is essential in communicating my thoughts, ideas and feelings. If I want to excel in my academic and professional life, I should try to enhance my writing prowess. I plan to read more prose and poetry, not to copy their style but to widen my knowledge on the various styles of writing. Doing so will also expand my vocabulary. Re-reading and editing my work more than twice will surely help me not to commit grammatical and spelling errors. Moreover, if I re-read my work, the sentence constructions will also be checked. I am determined to perfect my work by requesting other people to read it and asking their opinions on how I can further improve on it. One important step that I can do to improve my writing is to determine who will be the readers of my work. The profile of my readers will help me choose my paper’s tone, the words I will use and the ideas I am going to present. Furthermore, before I even start to write, I have to identify the idea I want to convey to my readers. Having a thesis statement will keep me focused on

Monday, October 14, 2019

The History and Development of the ECCE in Ireland Essay Example for Free

The History and Development of the ECCE in Ireland Essay A, The History and development of the ECCE in Ireland The environments in which our youngest children live, grow and play have changed dramatically over the past century. For the best part of the twentieth century, young children were cared for in the family home and went to school sometime after the age of three. For much of that time, Irish society was largely agrarian based and children worked on the farm; work which had economic value to the family. Families were large, twice as large on average as those in the rest of Europe for most of the century. Children lived in households which frequently comprised members of the extended family. Emigration was a way of life and many children must have grown up in the knowledge that they would leave and not return. The Catholic Church and the State operated a symbiotic relationship in relation to many aspects of Irish life, including education, following Independence. In particular, the Church appears to have had considerable influence in terms of family life, a position consolidated by the 1937 Constitution. Changes began to occur in the 1950s when increasing industrialisation and urbanisation began to have an impact. Around this time, too, family size began to reduce. It was not until the 1970s, though, that substantial numbers of women began to enter – and stay in – the paid workforce. This was partly due to the lifting of the marriage bar in the civil service and the beginnings of movement towards parity of pay and rights for women with their male colleagues following Ireland’s entry into the European Economic Community (EEC). Out-of-home care arrangements for children then became a necessity for some families. Contemporary experience With changes in family patterns, more children are now living in smaller families, one parent families or in disparate families. Young children in contemporary Irish families are experiencing substantially different parenting trends, not least of which is that many now have the more active involvement of their fathers as well as their mothers. Traditionally, parents tended to concentrate more on the physical well-being of their children, whereas now they are increasingly concerned with their children’s holistic development, including their cognitive, emotional and social development. Widespread dissemination of research on child development in popular and accessible media formats, such as television programmes and self-help books on child development and parenting, indicate interest among the population on such issues. Such a media profile for child development also suggests an increased awareness among parents of the importance of this stage of life, and of the importance of supporting children’s optimal development. However, there is also the possibility that such media will exert pressure on parents in suggesting that parenting is a complicated and fraught occupation, with the margins for error being frighteningly wide, and the possibilities for success intimidatingly narrow. In fact, parents get it right even in difficult circumstances. Impact of socio-economic change While there is greater sensitivity to children’s needs in the holistic sense, there are depleted resources, notably time, within families and communities to meet them. Many aspects of the socio-economic context, including the organization of work and work/life balance, are not child friendly. House prices have risen enormously and consequently, the difficulty in finding affordable housing in central parts of cities such as Dublin has meant that many people, particularly young couples, have had to move out into the surrounding counties. The road and rail infrastructure is unable to meet the new demand and many people have had to succumb to lengthy hours of commuting. Stress and tiredness caused by parents’ commuting and work is likely to put pressure on children’s quality of life within their families. There is an element of irony in the fact that while children are experiencing more environments in their day-to-day lives in comparison to children even thirty years ago, we now find it necessary to plan for children’s access to, in particular, the outdoor environment. Parental and adult concern for the child’s safety and security means that the range of places in which children can play has shrunk, particularly in urban areas. Traffic volumes, development of green spaces and fear for children being out and about without adult supervision contributes to a contraction of freedom for children. Additionally, it would appear that children are spending increasing time in front of computers and televisions with consequent health risks, including diminished outdoor play, physical inactivity and obesity. Employment and childcare While unemployment was endemic during most of the 1980s, Ireland has experienced increasingly high levels of employment over the past ten years or so. Employment growth and a greater demand for labour, coupled with the need for dual income households to meet the cost of housing, impacted on female work force participation rates. Mothers’ employment participation rates in Ireland are comparatively high. Because of relatively short leave entitlements after the birth of a child, more mothers of young children are in employment in Ireland than in other Organisation for Economic Co-operation and Development (OECD) countries. The obvious consequence of these circumstances is that more children are now being cared for outside the home than heretofore, despite continuing shortages of provision. Much of the increase in supply has occurred in the private commercial sector where costs to parents are among the highest in Europe. Substantial percentages of mothers working full-time and part-time use no paid childcare at all, indicating a reliance on informal provision provided by family or friends. There is very limited information on the nature and quality of the many and varied forms of childcare and pre-school provision for children who attend out-of-home settings. Implications for ECCE provision There are several implications emanating from this position, but just one will be considered here; that of the young child’s right to educational provision. To be meaningful, life-long learning must be conceptualised on a continuum which begins at birth. There are good reasons, based on the knowledge we now have on the efficacy of early education and the magnitude of young children’s potential for learning, for making provision for children from birth. However, a more fundamental argument relates to the young child’s right to education in the same way that older children are entitled to educational provision. This position is underpinned by the UNCRC (UN, 1989). Care and Education Provision for young children in Ireland has been fragmented and many of the fault lines can be traced to the historical understanding of care and education as being separate forms of provision. It is not difficult to see how this fracture developed historically here in Ireland. Home and School The national school system was established in 1831 and there were enough infants (3-5 year olds) in the system by 1872 to warrant a specific infant programme. Figures from the mid-1940s indicate that by then, over 48,000 children between the ages of three and five were in the system. These figures represent substantial numbers of young children in school. It is possible that this indicates that parents placed a high value on their children’s education and may explain why the national or primary school system here in Ireland has, since its inception, been regarded as concerned exclusively with ‘education’. Throughout the period referred to above, children were ‘cared for’ at home up until the point at which they began to attend school. These two contexts of ‘care’ and ‘education’ were quite different, and that difference seems to have been translated to mean mutually exclusive. While there is very little documented evidence about the care of young children at home, it appears that care was primarily the responsibility of the mother. Families were large and older siblings were involved in looking after younger children. While there were differences in urban and rural contexts, the extended family, particularly grandmothers, who often lived in the family home, were involved. Home and school were the two contexts in which children spent time so, even before the concepts were considered, it is possible to see the genesis of our traditional conceptualisation of care as what happens up to the age of three or so, and education as what happens after that. Revised Programme, 1900 One of the most remarkable stages in that history was the Revised Programme of 1900 (Commissioners of National Education in Ireland, 1901), though this is a somewhat arbitrary starting point. Even before this time, the philosophies of Rousseau, Froebel, Pestalozzi and Dewey had influenced individuals who put such theories into practice here. In fact, one might locate the provenance of the concept of child-centred practice with these theorists. The Revised Programme is strikingly familiar to the modern reader. It was influenced by Frobelian principles and incorporated heuristic approaches to teaching and learning. It advocated development from within rather than moulding from without, promoted the integration of subject areas and emphasised the environment as a context for the child’s learning. The Revised Programme advocated teaching content in an integrated manner, breaking with the tradition at that time of compartmentalising knowledge. Unfortunately, however, the necessary finances for equipment, training and implementation were never put in place. While the Revised Programme led to improvements in the dire state of infant education, the Dale Report (Dale, 1904) still found that this was one of the weakest elements of the system. Then, as now, no matter how good the curriculum, it is dependent for effectiveness on resourcing, training and investment. 1922 and 1948 curricular change A very different approach was taken in the curriculum introduced in 1922 following the foundation of the Irish Free State (National Programme Conference, 1922). This approach moved the focus off the young child onto curriculum content, specifically the Irish language, which was to be re-established as part of the socio-political transformation of Ireland following independence. The curricular changes introduced meant that the restoration of the Irish language became the primary aim of infant education. Following some years of implementation of this programme, teachers expressed deep reservations about its effect, stating that it inhibited the child intellectually, repressed the natural urge for self-expression and led to some children being mentally and physically damaged. This programme was replaced by the Revised Programme for Infants (Department of Education [DoE], 1948) in 1948, which returned to the values and direction espoused by the 1900 Revised Programme. However, due to continuing requirements regarding the teaching of Irish, it proved difficult to implement the philosophy of this programme. New Curriculum, 1971 Major curricular change occurred in 1971 with the introduction of the New Curriculum (DoE, 1971). Play was an integral part of this curriculum which was designed to cater for the full and harmonious development of each child, with an inherent flexibility to adapt to the needs of children of varying abilities and cultural backgrounds. However, the economic recession of the 1970s meant that the comprehensive network of supports for teachers which was envisaged did not materialise. Class size remained very large during the period following the introduction of the New Curriculum. Spending on education increased over the following decades, and while class size remained an issue at this time, the number of teaching posts in the system increased substantially. This relates to the introduction of schemes such as Home/School/Community Liaison (HSCL) and the expansion of Special Needs provision. Revised Curriculum, 1999 The 1999 Revised Curriculum (DES, 1999b) is designed to nurture children in all dimensions of their lives. In-service training is ongoing for teachers and structures (e.g. the Primary Curriculum Support Programme [PCSP] and the School Development Planning Service [SDPS]) have been put in place to support its roll-out into schools. A close study of these consecutive curricula illustrates the evolving understandings of concepts such as childcentred and holistic education in Ireland. Developments in provision One of the consequences of the relative economic prosperity of the 1960s was to increase interest and focus on education. From around this period, education became a new catalyst for social mobility, possibly on account of the introduction of free secondary education. Parents became increasingly anxious that their children’s future opportunities would be enhanced through education. Ireland’s increased involvement with international organisations such as the United Nations Educational, Scientific and Cultural Office (UNESCO), the OECD and the UN, allied with the aspiration to become a member of the EEC, contributed to a lessening of the insularity which had been a feature of the previous period. There was a shift in focus from social expenditure in relation to education and children to one of investment in the individual, the economy and society.

Sunday, October 13, 2019

Is globalization to be blamed for child labour

Is globalization to be blamed for child labour This paper addresses an issue that appears to be on the increase worldwide; Child Labour. Recent ILO estimates state that every seventh child in the world is engaged in working activities. Because of their familys financial difficulties these children are forced to give up their future in terms of education, health and leisure. This emphasises the importance to carry out further research and analysis on the phenomenon of child labour as well as come up with effective policy inventions in order to eliminate child labour. According to Basu (1999) designing policies should be based on careful analysis and research instead of underlying emotions or feelings towards child labour. It is extremely important to consider the precise definition of child labour before proceeding. There is immense heterogeneity in defining child labour as different groups view it differently. For example according to Ashagrie (1993) a child is categorised as labourer if the child is economically active. Then again we need to come to an agreement on what age group being a child consists of. Most studies however follow the ILOs convention No.138 and treat a person under 15 years old as a child and estimate child labour by observing economic activity of children under the age of 15. For the purpose of our study we will be looking at children between the ages 0-14. The aim of this paper is to discover the impact globalisation has had and is having on child labour. As globalization is a broad topic, I will be focusing specifically on trade liberalization, which plays an essential role within the globalization process. Liberalised trade had been the engine of capitalistic growth from colonial times; however globalization has led to a change in this pattern. Under colonialism, land conquest operated as a pre-condition and  (foreign) capital and (foreign) labour converged on land to produce goods for trade (e.g. plantation production). But, with globalization, capital is seeking investment outlets globally, where, besides marketing opportunities,  cheap labour is a key determinant. This has resulted in large scale foreign direct investment (FDI) with multi national corporations yielding the necessary structural change. LEDCs are keen to receive FDI and have gone to the extent of creating a suitable environment for such capital overlooking socia l issues.  The policy had been conducive for cheap labour in the form of children and women (e.g. garment industries within the FTZ in Sri Lanka). Economists argue that international trade is beneficial in terms of increasing the income of the country as well as creating job opportunities in the country. It is also one of the important sources of revenue for a developing country. But there is no denying that there may be losers from international trade too; for example the imports of cheap goods produced by low skilled workers may not only reduce the demand for those goods but also reduces employment opportunities for low skilled workers. Although trade can bring some disadvantages to a countrys economy, it is necessary that it does not effect the younger population who will determine the future of the economy. This paper investigates whether trade liberalization increases the incidence of child labour. Since our concern is working children, who are predominant in the developing world, my focus will be on developing countries specifically on India, Pakistan, Bangladesh, Nepal and Sri Lanka. The main reason for why it is interesting to consider these South Asian countries is due to the high proportion (40%) of the worlds child labour emerging from these countries as well as the rapid export growth monitored in these countries. One would expect a positive relationship between trade openness and child labour as more trade means more exports, which in turn means an increase in demand for labour; therefore, children enter the labour market. However this is an extremely generalised statement, the next section presents what the economic theory says about this matter. This study looks at a panel of 50 developing countries over a period of 4 decades to in order to observe the effect of trade on chil d labour. Another reason for the use of panel data is due to the fact that child labour is not a recent issue, it has been happening for several decades now, therefore it is interesting to see if there has been a trend over time. It also makes sense to observe the consequences of globalisation over time as there has been a rapid, continuous progress in information and technology which highly contributes to trade liberalization (Krugman 1995), especially in the 1980s when globalisation got in its stride. In order to test the effect of trade liberalization on child labour, a multiple regression analysis will be carried out using economic activity rate of children between 10-14 as the indicator for child labour and the countrys imports and exports (%GDP) as the measure of trade openness. In addition control variables such as GDP per capita and proportion of children between 0-14 as well as regional dummies are added to the regression. Data are mainly collected from the World Bank and UN common database. The report proceeds as follows. Chapter 2 reviews the theory of trade and how it is likely to affect child labour. The methods used to carry out the empirical analysis along with the description of the data used is described in chapter 3. The results and findings are presented in chapter 4 followed by the conclusions and possible policy recommendations in chapter 5. Theory Parents make the decisions regarding whether to send their children to school; they make these decisions by comparing benefits and costs of education as well the opportunity cost of time spent in education rather than working. Ranjan (1999) says that credit market imperfections are the reason for the existence of borrowing constraints. Therefore when parents cannot borrow against their childrens future earnings, the deep poverty forces them to send their children to work. When the country opens to trade in an unskilled labour abundant country (i.e. developing country) this may affect child labour in two ways. Firstly, the demand effect due to the increase in wage of the unskilled workers which in turn reduces the returns to skilled workers. Looking at it in this perspective makes it more likely that parents would send their children to work rather than to school. Another perspective is that households with unskilled workers become better off as they receive higher wages; therefore th ere is less of a need to send the children to work. The overall outcome will depend on which of these effects dominates (Ranjan 2001). However it is important to note that the impact of trade liberalization on child labour will be varied in different countries depending on the factor endowments of the country. Developing countries are relatively abundant in unskilled labour therefore trade growth may not have a significant impact on child labour. Krueger(1996) says that trade between two countries is determined by comparative advantage. A country has a comparative advantage in producing a good if the opportunity cost of producing that good is smaller in that country compared to other countries. The country with a comparative advantage also uses its resources most efficiently in the production of that good. So for example if developing countries specialize in goods that make use of unskilled labour, more of those goods are produced. The country gains from trade due to its specialization in the products that uses its resources more efficiently. This in turn brings more income to the country which can then be used to buy the goods and services the country desires. Domestic workers also benefit from this as the familys real income increases from producing the good the country specializes in. This theory can be linked with the two possible implications trade has on child labour as discussed by Ranjan; income effect reduces child l abour as the additional income helps parents reduce the work load of their children or the higher income to families may also mean parents would rather send their children to work. However Cigno et al (2002) found a negative relationship between trade and the incidence of child labour in their cross country study. The problems using a cross country study is that data collection methods in different countries may vary; therefore results may be less reliable when comparing. Also cross sectional  studies are carried out at one particular point in time or over a short period of time, therefore its only a snapshot. The results may be different if the study had been carried out in a different period. Findings of Shelbourne (2002) also supports the results derived from the study carried out by Cigno et al. Her reasoning was that the economy expands due to international trade which in turn increases per capita GDP reducing the need for child labourers. This is not necessarily true as an i ncrease in the volume of production within the country might mean there is higher demand for cheap labour in order to maximize profits. The Heckscher-Ohlin theory explains trade through differences in resources. For example let us now take a look at a simple framework where capital and labour are the factors of production. Under this framework a country will have comparative advantage in producing goods which intensively uses the factor with which they are abundantly endowed. According to this theory openness to trade increases demand for the good produced by the abundant factor which indirectly increases the demand for the abundant factor itself. This also increases the price of the abundant factor. In other words, countries that have a relatively high proportion of labour (labour intensive), which are mainly the developing countries will tend to export labour intensive goods and countries which are well endowed in terms of capital will export capital intensive goods. (criticize) Brown (2000) and Dixit (2000) believe that when countries involve in trade the wages are determined by the prices of the products. In conjunction with Heckscher-Ohlins model, this means the increase in price of the export products can actually reduce the incidence of child labour as adult wages rise. However according to Maskus (1997) the demand for child labour depends on the demand for export goods. In other words the higher the demand for export goods the higher the demand for child workers through higher equilibrium wages. His theory, however contradicts with Stolper Samuelsons theorem, which states that the expansion of the export sector increases adult wages and therefore it reduces the supply of child labour. These are two contradicting views as the expansion in the export sector can either increase or decrease child labour. However, all these theories are solely based on income and how child labour is affected due to the income effects triggered by trade. Perhaps other factor s such as poverty and welfare benefits should be taken in to account. It is generally accepted that liberalization under globalization has led to a maldistribution of income, which has created relative poverty. The worst affected has been the LEDCs. It is also true that certain  LEDCs, the least developed ones, are also affected by absolute poverty. When families are threatened to be  below poverty lines, child labour becomes a convenient means to enhance family incomes. Moreover part of the liberalized programme under globalization has been a reduction in welfare activities both in the developing and developed world. World Bank and IMF impose on LDCs welfare reduction as a pre-requisite for capital and any other form of assistance. It has led to privatisation in especially health and education driving a lot of families to lower income levels, eventually, culminating in denial of proper educational facilities  and the creation of child labour. Overall, the review of theory works seems to be more supportive towards a negative relationship between trade openness and child labour mainly due to the positive income effect trade brings to the country. We will now take a look at some empirical evidence to see if they support these theories. Empirical evidence The empirical evidence already found on the relationship between trade openness and child labour does not give us a clear picture. Most cross-sectional studies tend to show a negative relationship between trade improvement and the incidence of child labour. In fact in the panel study carried out by Cigno et al. (2002) there were no significant relationship between the two variables. The overall effect of trade liberalization on child labour seems to differ across countries. Kis-Katos (2007) carried out an empirical study using a panel of 91 countries measuring variables every decade from 1960-2000. However she only included the countries that reported a positive value of child labour; one needs to take into consideration that not all countries let out information about issues such as child labour and also countries tend to underreport work by children, therefore her results may have been different if these secretive countries were also included. She found an overall increase in trade openness over the decades as well as a steady decrease in the incidence of child labour. However the reliability of the data should be taken into account as illegal work or household work carried out by children may not be reported, which affect the reliability of the results. Moreover in developing countries economic censuses are rare and the ILO often makes adjustments such as intrapolating or extrapolating data in order to get estimates. This means the actual values may be over or under estimated than the true value. Cigno et al. (2002) found no empirical evidence that international trade raises child labour. In fact their cross country study shows that trade liberalisation actually decreases child labour. One of the indicators they used to measure child labour was primary school non-attendance rate. It is important to note that child not attending school does not necessarily mean the child is engaging in economic activity. It may for example be the case that the family cannot afford to send the child to school or even that the child has health problems. Therefore using primary school non attendance rate is not as appropriate as an indicator. The other indicator used was economic activity of children between ages 10-14, which clearly excludes children younger the 10 who are more of a cause of concern. However considering there are only limited data available on child labour, these indicators do give us a broad brush picture of the evolution of child labour. Issues with the reliability of data are the same as those discussed for Kis-Katoss empirical study above. As we have seen, most of the empirical findings are consistent with the theoretical considerations we discussed previously. In other words empirical work carried out so far mainly find a negative relationship between trade openness and child labour supporting most of the theories. Methodology Our empirical work is aimed at understanding whether the panel data evidence suggests a link between trade and child labour and whether there is any evidence to support our hypothesis of trade liberalization exerting an upward pressure of child labour. Data and variables In order to address the research question which is to observe whether trade liberalization increases child labour, a panel of 50 developing countries are used, where the variables are measured every ten years between 1960-2000. The focus of the regression is to observe child labour over time keeping in mind the current wave of globalisation progressed rapidly around the 1980s. However by looking at the data it is important to note that not all countries have experienced an increase in trade over each decade. There are a total of 250 observations for each variable considered over the years 1960, 1970, 1980, 1990 and 2000. A panel data method has been carried out for this analysis for several reasons. Firstly the use of panel data increases the number of observations. For example in our case using data over 5 different time periods has increased the sample size by 5 times which will help increase the precision of the regression estimates. It also increases the degrees of freedom and reduces the collinearity among explanatory variables, again increasing the precision of the estimates. Moreover it allows us to analyse important economic questions which cannot be addressed using cross sectional analysis alone. For example in our case using a cross sectional analysis will not be appropriate as we are interested in observing a trend over time. Data was taken from the World Bank development indicators (reference) and the United Nation common database. The dependent variable used is the economic activity rate of children between the ages 10-14 taken from the ILO estimates. Using this variable as an indicator for child labour has two main problems. Firstly children under the age of 10 who may be involved in child labour are excluded. Secondly this indicator does not include children working within the household, or children involved in illegal work such as prostitution. In developing countries economic censuses are rare and the ILO often makes adjustments such as intrapolating or extrapolating data in order to get estimates. This means the actual values may be over or under estimated than the true value, which also have an impact on the results. However considering the lack of data available on child labour and comparing with other indicators present, this indicator serves best available proxy for measuring child labour. As we are looking at the impact of trade on child labour the main explanatory variable used in our analysis is trade (% GDP). The trade variable gives the sum of exports and imports of goods and services measured as a share of gross domestic product. In addition to this two other control variables have been included. The control variables are GDP per capita growth (%) and the age group 0-14 as a percentage of the whole population. The reason for the use of control variables is to see if there is actually a relationship between trade and child labour given that these control variables which also affect the dependent variable are kept constant. It would have been desirable to control for variables such as poverty and differences in income distribution, but the data available was not sufficiently consistent across the countries and years we are considering. GDP per capita is used as a control variable because it controls for average income effects caused by trade liberalization. As we mentioned earlier increase in trade means countries gain new production opportunities which in turn increases GDP per capita. This positive income effect is most likely to reduce child labour. Therefore it is essential to control this variable. The other control variable used is age group 0-14 as a percentage of the whole population. This variable allows us to observe whether the increase in number of children in that given age group over the years affects child labour. The notion behind this is that the larger the families the higher the demand for income therefore a higher chance of children entering the labour force. As my main focus is on South Asian countries a regional dummy variable has been added to the regression which takes a value of 1 if the country is in South Asia and a value of 0 if not. This regional dummy helps to capture the change in child labour in the south Asian countries which is known to have a high prevalence of child labour. Results By looking at the data for every 10 years from 1960 to 2000, we can see a general increase in trade openness over time as well as a steady decrease in economic activity rates. We begin our analysis by considering the association between volume of trade (openness) and child labour for the years 1960, 1980 and 2000. This allows us to have a rough overview of how the relationship has changed (if any) before and after globalisation (considering globalisation occurred around the 1980s). 1980 This figure shows a scatter plot of the data for 1980 for the variables trade and child labour. A point on this scatter plot represents the volume of trade in 1980 and the economic activity rate of children between 10-14 in 1980 for a given country. The OLS regression line obtained by regressing these two variables is also plotted on the figure, which shows a slightly negative relationship; the estimated regression line is: CL = 26.6601794934 0.0149024702066*TRADE (1980 data) Because we have data for more than one year, we can re-examine this relation for another year. The scatter plots for the years 1960 and 2000 are given below. CL = 36.3205247048 0.119594768169*TRADE (1960 data) CL = 26.0540622351 0.109873185356*TRADE (2000 data) All three scatter plots show a negative relation between trade and child labour although year 2000 has the highest coefficient on trade implying that the reduction in child labour was greater in the year 2000 compared to 1960 and 1980. Keeping in mind that globalization took its stride in the 1980s, these scatter plots show that globalization has in fact reduced child labour further. However these plots only show what happened in that specific year, there may have been fluctuations between the years (i.e between 1980 and 1990) and also we cannot tell the trend over time using these individual plots. A better way of estimating the relationship is a regression approach that takes into account both the time and the cross section. Estimation strategy The estimation equation is of the following form: CLit = f( Tradeit, GDPit, Population 0-14it, Regional dummy for South Asiait), Where i= country x and t= time (decade t). More formally: Yit = ÃŽÂ ²1i + ÃŽÂ ²2X2it + ÃŽÂ ²3X3it + ÃŽÂ ²4X4it + ÃŽÂ ´(SAit) + ÃŽÂ µit. The anticipated signs of the coefficients: The coefficient of trade (ÃŽÂ ²2) which is what we are most interested in could either be positive or negative, although according to theory it is most likely to be negative. Coefficient of GDP (ÃŽÂ ²3) is expected to be negative as the higher the GDP per capita the lower the incidence of child labour due to the positive income effect. The coefficient of the number of children aged 0-14 (ÃŽÂ ²4) is expected to be positive as the larger the number of children per family the higher the demand for income in order to support the family. As south Asia has a high incidence of child labour, the coefficient of the dummy variable is expected to be positive and large. Dependent Variable: CL Method: Panel Least Squares Date: 03/21/10 Time: 16:24 Sample: 1 5 Periods included: 5 Cross-sections included: 50 Total panel (balanced) observations: 250 Variable Coefficient Std. Error t-Statistic Prob.  Ã‚   C -1.326061 7.182926 -0.184613 0.8537 TRADE -0.103054 0.031110 -3.312572 0.0011 GDP -0.448464 0.186588 -2.403504 0.0170 POP 0.778480 0.163337 4.766091 0.0000 SA 6.023961 3.378131 1.783223 0.0758 R-squared 0.149969   Ã‚  Ã‚  Ã‚  Mean dependent var 25.40160 Adjusted R-squared 0.136091   Ã‚  Ã‚  Ã‚  S.D. dependent var 15.99024 S.E. of regression 14.86241   Ã‚  Ã‚  Ã‚  Akaike info criterion 8.255344 Sum squared resid 54118.32   Ã‚  Ã‚  Ã‚  Schwarz criterion 8.325773 Log likelihood -1026.918   Ã‚  Ã‚  Ã‚  Hannan-Quinn criter. 8.283690 F-statistic 10.80618   Ã‚  Ã‚  Ã‚  Durbin-Watson stat 0.152585 Prob(F-statistic) 0.000000 CL = -1.32606116682 0.103053628312*TRADE 0.448464386734*GDP + 0.778479521915*POP + 6.0239606613*SA The results show the coefficients of ÃŽÂ ²2, ÃŽÂ ²3, ÃŽÂ ²4 are as expected. For a given country i, when trade liberalization varies across time by one unit, child labour decreases by 0.103 units. Similarly when GDP and population vary across time by one unit child labour decreases by 0.448 and increases by 0.778 respectively. Looking at the results it is clear that trade liberalization does not have much of an impact on child labour as indicated by a very small coefficient, which we may even interpret as there being no impact of trade on child labour. It is important to note that being a South Asian country is associated with child labour that is 6.02 units higher, everything else held constant. This was also expected as we found out earlier that a large proportion of child labour comes from South Asian countries. Our previous theory discussion implied that the relationship between openness and child labour could be either positive or negative. Our results suggest that grea ter openness is associated with slightly less child labour or even no effect on child labour. In order to test the significance of the coefficients, t-tests have been carried for each variable: Trade: H0: ÃŽÂ ²2 à ¢Ã¢â‚¬ °Ã‚ ¥ 0 (there is no relationship or a positive relationship between trade openness and child labour) H1: ÃŽÂ ²2 t = b2 = -3.313 se(b2) Under the 5% significance level the critical t-value is t(0.05,246) = -1.651. Since -3.313 GDP: H0: ÃŽÂ ²3 à ¢Ã¢â‚¬ °Ã‚ ¥ 0 (there is no relationship or a positive relationship between GDP and child labour) H1: ÃŽÂ ²3 t = b3 = -2.404 se(b3) Since -2.404 Number of children between 0-14: H0: ÃŽÂ ²4 = 0 (there is no relationship between number of children and child labour) H1: ÃŽÂ ²4 à ¢Ã¢â‚¬ °Ã‚   0 (there is a negative relationship between number of children and child labour) t = b4 = 4.77 se(b4) Since 4.77 > 1.651 we do not reject H0. In this case there is insufficient evidence in our sample to conclude that there is a relationship between number of children between 0-14 and child labour. Therefore we cannot be confident that this variable is actually has an impact on child labour. Perhaps further research into this will be useful. Estimating the regression excluding the population variable yields similar coefficients for the trade and GDP variables however the dummy variable for south Asia has a much smaller coefficient compared to when population was included. This shows that population is an important variable when considering South Asian countries and excluding it leads to an omitted variable bias especially when south Asian countries are involved. This is true as countries like India have a very large population therefore the proportion of children between 0-14 is likely to be high. As discussed earlier large number of children per household means extra income is required to support the family, which may lead to a necessity for children to work. Although population is an important variable, regressing it with child labour may not yield extremely reliable results in our case. This is because we are only taking into account children between the ages 10-14 as a measure of child labour, which is excluding the age group 0-9, whereas the population variables includes all ages between 0-14. This implies that the coefficient is likely to be much higher if we were to include economic activity rate of children between 0-14 as our dependent variable, which was not possible due to limited availability of data. This may be a reason why the coefficient of the population variable was insignificant as we found when carrying out the t-test. These results interpreted above however did not control for the characteristics of the countries. Fixed effect approach An advantage of panel data is that we are able to hold constant individual differences which allow us to focus on marginal effects of the independent variables considered. It is reasonable to into include the fixed effects model in our analysis as the data complies with the 2 basic requirements of using the fixed effects model; firstly dependent variable must be measured for each country for at least 2 periods and secondly the independent variable must change in value across the periods. There is no need to add the dummy variable in this case as the fixed effects are already controlling for location. Having the cross section as fixed yield the following results: As we can see from the table the coefficient of trade is more or less the same as before, however GDP now has a slightly positive coefficient. The regression R2 jumps from 0.0705 to 0.9097 when fixed effects are included. This shows that the country fixed effects account for a large amount of variation in the data. Although fixed effect approach has an attractive feature that allows controlling for the variables that have not or cannot be measured, they only take into account within country differences discarding any information about differences between countries. An F-test can be carried out to see if there is individual differences and it if is important to include cross section fixed effects in the model. Ho: ÃŽÂ ²11=ÃŽÂ ²12=ÃŽÂ ²13à ¢Ã¢â€š ¬Ã‚ ¦. =ÃŽÂ ²1N (no fixed effect differences) H1: the ÃŽÂ ²1i are not all equal F = (SSER SSEU) /J = 38.63 SSEU/(NT-N-(K-1)) Where the degrees of freedom J = N-1 = 50-1 = 49 and NT-N-(K-1) = (50x 5)-50-(3-1) = 198. Under the 5% significant level the critical value is Fc = 1.419 We reject Ho if F à ¢Ã¢â‚¬ °Ã‚ ¥ Fc, since 38.63 à ¢Ã¢â‚¬ °Ã‚ ¥1.419 we reject the null hypothesis of no fixed effect differences between these countries, therefore it is good to include fixed effects in the model. Overall, changes in trade over the decades had no impact or very little (decrease) effect on child labour. The other explanatory variables GDP and population also had the expected signs on the coefficients although under the fixed effects GDP had a small but positive coefficient. (what does this mean?) These finding are consistent with the theory we discussed previously. Policy interventions What can the Government do to reduce child labour? Some of the previous studies carried out on this topic have mainly mentioned improvements in schooling facilities as one of the main policy recommendations for combating child labour. For example Basu (0000) says that availability of good schools and provision of free meals for the children would be a way to reduce the number of children working. However, developing countries are generally poorer due to the lack of funds; therefore it may not be feasible to invest a lot on schooling. Moreover, attending school is only going to decrease full time work, whereas children could still be involved in part-time work after school. This shows that it is very difficult to abolish child labour completely by changes in schooling policy. Basu also mentions that a total ban on child labour may be a better option as a large scale of withdrawa

Saturday, October 12, 2019

Integrity and Supererogation in Ethical Communities Essay -- Sociology

Integrity and Supererogation in Ethical Communities ABSTRACT: This paper explores the connection between supererogation and the integrity of ethical agents. It argues two theses: (1) there is a generally unrecognized but crucial social dimension to the moral integrity of individuals which challenges individual ideals and encourages supererogation; (2) the social dimension of integrity, however, must have limits that preserve the individuals's integrity. The concept of integrity is explored through recent works by Christine Korsgaard, Charles Taylor, and Susan Babbitt. A life of integrity is in part a life whereby one 'lives up to' one's own deeply held values. Yet, as one seeks to transcend the realm of the morally customary or the dutiful, one must check one's progress not only against one's own ideals but against the ideals and behavior of the ethical community. To answer affirmatively to one's own ideals is to hear the call of integrity both from within oneself and from without. However, by being free to hear, the freedom to close one's ears inevitably will arise. Only actions displaying such freedom can be actions of moral integrity. Since supererogatory actions are always left to an agent's discretion-that is, are fully optional-they show in paradigmatic fashion the integrity of moral agents. While an ethic of integrity and supererogation provides challenges to members of an ethical community by encouraging them continually to reevaluate their actions and character in reference to postulated ideals, it also leads us to be quite wary of judging individual's moral motives from the outside. A passage by Jonathan Kozol is cited that suggests our society routinely demands supererogatory action from its poorest members. This i... ...lly published 1958. Murphy, Liam B. 1993. The Demands of Beneficence. Philosophy and Public Affairs 22 (4): 269-292. Nagel, Thomas. 1986. The View from Nowhere. New York: Oxford University Press. Putnam, Robert. 1993a. Making Democracy Work: Civic Traditions in Modern Italy. Princeton: Princeton University Press. Putnam, Robert D. 1993b. The Prosperous Community: Social Capital and Public Life. American Prospect 13: 35-42. Putnam, Robert D. 1995. Bowling Alone: America's Declining Social Capital. Journal of Democracy 6 (1): 65-78. Singer, Peter. 1986. Famine, Affluence, and Morality. In Introduction to Philosophy: Classical and Contemporary Readings, ed. John Perry and Michael Bratman: 573-580. New York: Oxford University Press. Originally published 1972. Taylor, Charles. 1992. The Ethics of Authenticity. Cambridge, MA: Harvard University Press.