Friday, November 29, 2019
Yellow Journalism free essay sample
A discussion of yellow journalism and its influence on the world. Yellow journalism, a term used for the use of negligent and flamboyant newspaper reporting without regard to facts, is examined in this paper. Its history and development, its purpose in the media and its impact on history are discussed. Yellow Journalism is a term used for the use of negligent and flamboyant newspaper reporting, without regard to facts. With yellow journalism the truth is usually misrepresented or concealed, more often than not, there may be no truth to the story at all. In its infancy, the term yellow journalism was used to describe the writing tactics used by William Hearsts New York Journal and Joseph Pulitzers New York World. These men used yellow journalism to exaggerate and misguide the American public on happenings in Cuba; such reporting may have even sparked the Spanish-American war. Yellow journalism is by no means a memory in Americas distant past; even the most conservative newspapers still practice it in a refined form today. We will write a custom essay sample on Yellow Journalism or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Tabloids such as the Star and the Inquirer are notorious for sensationalizing and even falsifying headlines. Additionally, every once in a while straight edged newspapers papers such as the Wall Street Journal may get into the act as well. In 1996, ABC News was singled out for reporting that Israels Benjamin Netanyahu had called then Prime Minister Yitzhak Rabin a traitor, further investigation revealed that the accusation was false.
Monday, November 25, 2019
Battle of Quebec in the American Revolution
Battle of Quebec in the American Revolution The Battle of Quebec was fought on the night of December 30/31, 1775 during the American Revolution (1775-1783). Beginning in September 1775, the invasion of Canada was the first major offensive operation conducted by American forces during the war. Initially led by Major General Philip Schuyler, the invading forceà departed Fort Ticonderoga and commenced an advance down (northward) the Richelieu River toward Fort St. Jean. Initial attempts to reach the fort proved abortive and an increasingly ill Schuyler was compelled to turn over command to Brigadier General Richard Montgomery. A distinguished veteran of the French and Indian War, Montgomery resumed the advance on September 16 with 1,700 militia. Arriving at Fort St. Jean three days later, he laid siege and forced the garrison to surrender on November 3. Though a victory, the length of the siege badly delayed the American invasion effort and saw many suffer from sickness. Pressing on, the Americans occupied Montreal without a fight on November 28. Armies Commanders: Americans Brigadier General Richard MontgomeryColonel Benedict ArnoldColonel James Livingston900 men British Governor Sir Guy Carleton1,800 men Arnolds Expedition To the east, a second American expedition fought its way north through the Maine wilderness. Organized by Colonel Benedict Arnold, this force of 1,100 men had been picked from the ranks of General George Washingtons Continental Army outside Boston. Proceeding from Massachusetts to the mouth of the Kennebec River, Arnold had expected the trek north through Maine to take around twenty days. This estimate was based on a rough map of the route developed by Captainà John Montresor in 1760/61. Moving north, the expedition soon suffered due to the poor construction of their boats and the faulty nature of Montresors maps. Lacking adequate supplies, starvation set in and the men were reduced to eating shoe leather and candle wax. Of the original force, only 600 eventually reached the St. Lawrence. Nearing Quebec, it quickly became clear that Arnold lacked the men needed to take the city and that the British were aware of their approach. British Preparations Withdrawing to Pointe aux Trembles, Arnold was forced to wait for reinforcements and artillery. On December 2, Montgomery descended the river with around 700 men and united with Arnold.à Along with reinforcements, Montgomery brought four cannon, six mortars, additional ammunition, and winter clothing for Arnolds men. Returning to the vicinity of Quebec, the combined American force laid siege to the city on December 6. At this time, Montgomery issued the first of several surrender demands to the Governor-General of Canada, Sir Guy Carleton.à These were dismissed out of hand by Carleton who instead looked to improve the citys defenses. Outside of the city, Montgomery endeavored to construct batteries, the largest of which was completed on December 10. Due to the frozen ground, it was constructed from blocks of snow. Though a bombardment commenced, it did little damage. As days passed, Montgomery and Arnolds situation became increasingly desperate as they lacked the heavy artillery to conduct a traditional siege, their mens enlistments would soon be expiring, and British reinforcements likely would arrive in the spring. Seeing little alternative, the two began planning an attack on the city. They hoped that if they advanced during a snowstorm, they would be able to scale Quebecs walls undetected. Within its walls, Carleton possessed a garrison of 1,800 regulars and militia. Aware of American activities in the area, Carleton made efforts to enhance the citys formidable defenses by erecting a series of barricades. The Americans Advance To assault the city, Montgomery and Arnold planned on advancing from two directions. Montgomery was to attack from the west, moving along the St. Lawrence waterfront, while Arnold was to advance from the north, marching along the St. Charles River. The two were to reunite at point where the rivers joined and then turn to attack the city wall. To divert the British, two militia units would make feints against Quebecs western walls. Moving out on December 30, the assault began after midnight on the 31st during a snowstorm. Advancing past the Cape Diamond Bastion, Montgomerys force pressed into the Lower Town where they encountered the first barricade. Forming to attack the barricades 30 defenders, the Americans were stunned when the first British volley killed Montgomery. A British Victory In addition to killing Montgomery, the volley struck down his two chief subordinates. With their general down, the American attack faltered and the remaining officers ordered a withdrawal. Unaware of Montgomerys death and the attacks failure, Arnolds column pressed on from the north. Reaching the Sault au Matelot, Arnold was hit and wounded in the left ankle. Unable to walk, he was carried to the rear and command was transferred to Captain Daniel Morgan. Successfully taking the first barricade they encountered, Morgans men moved into the city proper. Continuing the advance, Morgans men suffered from damp gunpowder and had difficulty navigating the narrow streets. As a result, they paused to dry their powder. With Montgomerys column repulsed and Carletons realization that the attacks from the west were a diversion, Morgan became the focus of the defenders activities. British troops counterattacked in the rear and retook the barricade before moving through the streets to surround Morgans men. With no options remaining, Morgan and his men were forced to surrender. Aftermath The Battle of Quebec cost the Americans 60 dead and wounded as well as 426 captured. For the British, casualties were a light 6 killed and 19 wounded. Though the assault failed, American troops remained in the field around Quebec. Rallying the men, Arnold attempted to lay siege to the city. This proved increasingly ineffective as men began to desert following the expiration of their enlistments. Though he was reinforced, Arnold was forced to fall back following the arrival of 4,000 British troops under Major General John Burgoyne. After being defeated at Trois-Rivià ¨res on June 8, 1776, American forces were forced to retreat back into New York, ending the invasion of Canada.
Friday, November 22, 2019
Why does the trade union movement, overall, in Australia, support the Essay
Why does the trade union movement, overall, in Australia, support the Labor Party - Essay Example Explaining the reasons behind the dwindling trade union membership, the paper scrutinises changes in the labour market composition, differences in the unionisation rate of certain groups of workers, along with the effects of conservative legislation, anti-union employer activity, relationships with federal government, etc. Finally, the paper details the trade union responses to membership decline, accessing whether those responses have been a success story. Introduction Ellem and Franks (2008), and Griffin (2002) write that trade unionism in Australasia (Australia and New Zealand) has not unexpectedly been shaped by their membersââ¬â¢ prior trade union experience in Britain, given the numerous British migrants who had brought with them the values of their mother country; with the first formal unions having emerged amongst the most skilled employees, such as the Amalgamated Society of Engineers established as overseas branches of the ââ¬Ëparentââ¬â¢ union in Great Britain (Sh eridan, 1975, as cited in Griffin, 2002). Itââ¬â¢s also noteworthy that the first unions had been town-based; having experienced rapid growth during the roaring twenties and the post-war decade, as well as being on the wane during the Great Depression and the ââ¬Ëswingingââ¬â¢ sixties, the trade unions flourished in Australia over most of the twentieth century ââ¬â with at least two out of every five workers being members of a union. The then trade unionsââ¬â¢ status and power are considered to have been derived from the centralised conciliation and arbitration system first introduced in 1904 with the Conciliation and Arbitration Act (Svensen, Small, Griffin, n.d.). Due to the significant benefits promised, and consequently delivered by the new industrial relations system, like employerââ¬â¢s recognition, legally enforceable minimum wages, working conditions, etc., the Australian trade unions enjoyed remarkable ease in achieving their goals, following a descending hierarchy of arbitral, political, and industrial strategies, in contrast to other countries. Thus, in many cases, Australian unions are considered to have won their battles on bureaucratic battleground, rather than on the industrial one, to a degree that made some commentators to argue whether the title ââ¬Ëunionââ¬â¢ is being used correctly with regard to them (Howard, 1977, as cited in Svensen, Small, Griffin, n.d.). It should be mentioned that the then Commonwealth Court of Conciliation and Arbitration, nowadays the Australian Industrial Relations Commission (AIRC), has adopted the traditional horizontal occupational structure of trade unionism as the basis for its own segmentation (Griffin, 2002). Starting with about 200 unions in 1901 with over 97à 000 members which represented 6.1 per cent of the working force, the number of unions significantly jumped, following the 1904 legislation ââ¬â 573 in 1911, with more than 360à 000 members representing about 28 per cen t of the total number of employees. The post-World War One rationalisation had reduced that number to less than 400, followed by a slow decrease within the next decades ââ¬â to finally drop below 300 until 1989. Overall, trade unionism in Australia until 1990 is characterised by three main features as follows: a skewed distribution of membership, multi-unionism at both industry and enterprise levels, and well-developed inter-union structures at national and stateââ¬â¢s level but not at the enterprise one (Griffin, 2002). In other words, in 1990, 57 per cent of all unions (170 out
Wednesday, November 20, 2019
Ineffective Work Place & Organizational Work Essay
Ineffective Work Place & Organizational Work - Essay Example As the discussion declares à procedures are developed, which culminate in to events and eventually give results. From the results, more ideas are developed for more procedures, making the process an endless circle. This is the process that generates change within an organization. However, in some instances, this process may not generate the desired change. There are times when the results culminate in events which are disastrous. This necessitates careful observation and supervision of the processes which are routine in the organization in order to avoid unwarranted circumstances. In health care, ineffective work place routine may be detrimental to human life and therefore it is necessary that these procedures be clearly understood by the health care managers. This paper highlights that In order for work place routine to be effective in achieving the objectives of the organization, it is important for health care managers to study and confirm their effectiveness. Performance of health care routines is usually the obligation of informed and skilled people. They are people who care about the outcome of their activities. Their actions are usually governed by institutional or organizational regulations as well as personal perspective and profession. In their research, Trisha Greenhalgh, Christopher Voisey and Nadia Robb view routine as an important aspect of health care. It enhances learning especially where foreign patients are involved. According to the research they conducted, it was routine for patients to be brought in accompanied by interpreters. This is significant in ensuring that staff and the medical personnel understand the patient. The research also established that interpreters had developed a way of overcoming the challenges in r egard to many patients who are used to making appointments for service.Ã
Monday, November 18, 2019
Wal-Mart--Are they doing anything unethical Essay
Wal-Mart--Are they doing anything unethical - Essay Example Business ethics should be followed or consequences will result which can be detrimental to all. Machan (2003) lists the meaning of business ethics as "a discipline specializing in the examination of answers to the questions 'How should I act' or 'What standards ought I use to guide my conduct'...Business ethics assumes commerce and business are, as a rule, morally proper." In the quest to maximize profits, some businesses do not act in an ethical manner. It is an ever-increasing problem as business acquire more profits, they tend to behave in an unethical manner. However, a business can still maximize profits, This essay shall focus on small businesses in regards to ethics. Small businesses are more flexible and if they adopt innovative methods and technology, they can increase growth can increase growth capacity (which leads to more jobs), better profitability, and more purchasing power. However, businesses tend to act in ways that are not moral and are unethical in their pursuit to maximize profits. In the beginning, Sam Walton's first Wal-Mart was funded 95% by his own money. Many believe that small businesses that have grown tremendously such as Wal-Mart behaved unethically in order to get where they are. Today the company has grown to 1.3 million worldwide associates and fifteen countries are home to the wholesale clubs. (The Wal-Mart Story, n.d.). They tell of how Wal-Mart has created millions of jobs. A post by Average Joe (2006) states that "Wal-Mart pays billions and billions of dollars in Federal Taxes every year and is one of the only companies in the US to pay the 35% corporate tax rate. They are one of the only companies left in America that doesn't cheat the U.S. government!" Regardless of the job increases and tax payments, many support John's (2004) opinion, "Wal-Mart has destroyed communities in thousands of small towns across America. Check out any small town main street and all you see is boarded up shops and dead, lifeless, streetsnow its coming to Europe and doing the same thing because for every mom and pop store that's thrown on the scrap heap other local jobs are lost as well." Last Name 3 And although Wal-Mart may be creating jobs while it is destroying jobs, the more Wal-mart lowers its prices, more customer loyalty is created. This leads to lower rates of pay in other countries such as China in order to justify for the lower prices. A corporation such as Wal-Mart can pressure to shut down cheap warehouses in third world countries such as Mexico because their workers were making too much. As corporations get bigger especially as huge as Wal-Mart has become, they "are in positions of power that allow them to do greater damage to others when they act immorally or unethically or socially irresponsibly" as Why Bother With Ethics (n.d.), reports. One blogger Eli (2005) posts, "Do you know where all of those cheap products are being producedThose products were OUTSOURCED taking THOUSANDS of jobs
Saturday, November 16, 2019
Detection of Apoptosing Retinal Cells in Glaucoma Diagnosis
Detection of Apoptosing Retinal Cells in Glaucoma Diagnosis Study Proposal Investigating a possible correlation between DARC (Detection of Apoptosing Retinal Cells) and Psychophysical methods (e.g. Contrast Sensitivity, Colour Vision, LogMAR Visual Acuity in different contrast levels) in Glaucoma diagnosis and assessing treatment efficacy. Background Glaucoma is a neurodegenerative eye disease and one of the major causes offor blindness in developed countries. It is a chronic degenerative disease of the optic nerve, which has been characterised by a progressive loss of retinal ganglion cells (RGCs) and their axons (Sommer, 1989). Glaucoma is a collective term for a complex group of conditions that cause progressive optic neuropathy, which may result in irreversible loss of visual function.[E1] Therefore, assessment of visual function is essential in diagnosis and treatment of Glaucoma. Although several diagnostic tools have been developed to detect and monitor this disease, none is sensitive enough to identify it at a preclinical stage or to distinguish small changes in retinal health in a relatively short periods (Normando et al., 2013) In Glaucoma, irreversible visual changes may occur before neuronal damages are discovered. The detection of glaucomatous structural damage might happen before, during and after glaucomatous visual field defects findings (Kass et al., 2002). Clinical assessment of visual function in parafoveal regions is mostly dependent on the examination of visual fields by using standard perimetry (Rauscher et al., 2013). Perimetry plots often do not represent full extent of visual loss as conventional field assessments only examine a single feature at the location tested, which usually is the differential light threshold. Although, outcome for absolute thresholds of flashed stimuli is useful but frequently these findings are the final component of visual function that are affected in disease. It should be taken into consideration that visual field defects cannot be detected until 20-40% of retinal ganglion cells (RGCs) which are the key cells associated with the development of irreversible blindne ss in glaucoma, have already been lost (Guo and Cordeiro, 2008). In many of the eye disease, sensitivity for detection of fine spatial detail and colour signals can be damaged prior to visual field loss (Barbur and Konstantakopoulou, 2012). In studies such as (Rauscher et al., 2013) colour thresholds revealed the highest sensitivity to early glaucomatous changes and Red/Green losses tended to happen before perimetric loss of binocular visual field sensitivity. It should be noted that simple measures of perimetriy are not sensitive enough to detect selective loss of specific visual attributes and therefore fail to show a strong correlation with Quality Of Life (QOL) measures. Moreover, the ability to differentiate contrast plays an important role in patients everyday vision and quality of life. Contrast sensitivity testing can identify many ocular diseases and provides additional useful clinical information to standard visual acuity assessments (Richman et al., 2013). Additionally, a new noninvasive real-time imaging technology, has recently been developed which is named DARC (Detection of Apoptosing Retinal Cells). Apoptosis is a form of programmed cell death that is involved in both pathological and physiological processes throughout the body. Although, Apoptosis plays a vital role in normal development and ageing but deregulation of this process is responsible for many disease including neurodegenerative disorders. Therefore, in vivo imaging of apoptosis may prove a useful tool for both laboratory research and clinical diagnostics (Galvao et al., 2013) DARC visualizes single RGC, which undergo apoptosis, as the earliest sign of glaucoma. Use of fluorescent annexin A5 is one of the most widely accepted in vitro assay for apoptotic cells (Normando et al., 2013). DARC is a non-radioactive approach that can evaluate the efficiency of the treatments by monitoring RGC apoptosis in the same living eye over time by using fluorescently labeled annexin 5 and confocal laser scanning ophthalmoscopy. DARC uses unique optical properties of the eye for direct microscopic observation of cellular processes in the retina. DARC has been used to assess different neuroprotective therapies in glaucoma-related animal models and demonstrated to be a useful tool in screening neuroprotective strategies. As DARC directly evaluates the RGC death process, it will potentially provide a meaningful clinical end point. DARC can be used in tracking disease, assessing treatment efficacy and may lead to the early identification of patients with glaucoma (Cordeiro et al., 2010; Cordeiro et al., 2011; Guo and Cordeiro, 2008; Normando et al., 2013). DARC uses a novel automated algorithm, which enables accurate quantification of apoptosing RGCs and is highly comparable to manual counting. This appears to minimise operator-bias and at the same time being both fast and reproducible. Quantification of apoptosing retinal cells may prove to be a valuable method, particularly in relation to translation in the clinic now that a Phase I clinical trial of DARC in glaucoma patients is due to start shortly (Bizrah et al., 2014). 3 year plan 1st Year Ethics approval Pre-Screening patients with glaucoma for suitability using LogMAR visual acuity in low contrast level and any available visual field findings 2nd Year Recruiting candidates Study both psychophysical methods (Contrast sensitivity and colour vision) and DARC 3RD Year Data analyzing Writing up Expecting outcome Better evaluation of sensation in patients with glaucoma Better evaluation of Quality Of Life (QOL) Better evaluation of the most suitable method for early diagnostic and follow-up treatments in glaucoma Possible diagnostic and follow-up applications of the selected methods for other neurodegenerative disease such as Alzheimer and Parkinson References Barbur JL, Konstantakopoulou E (2012) Changes in color vision with decreasing light level: separating the effects of normal aging from disease. J Opt Soc Am A Opt Image Sci Vis 29:A27ââ¬âA35 Bizrah, M., S. C. Dakin, L. Guo, F. Rahman, M. Parnell, E. Normando, S. Nizari, B. Davis, A. Younis, and M. F. Cordeiro, 2014, A semi-automated technique for labeling and counting of apoptosing retinal cells: BMC Bioinformatics, v. 15, p. 169. Cordeiro, M. F., L. Guo, K. M. Coxon, J. Duggan, S. Nizari, E. M. Normando, S. L. Sensi, A. M. Sillito, F. W. Fitzke, T. E. Salt, and S. E. Moss, 2010, Imaging multiple phases of neurodegeneration: a novel approach to assessing cell death in vivo: Cell Death Dis, v. 1, p. e3. Cordeiro, M. F., C. Migdal, P. Bloom, F. W. Fitzke, and S. E. Moss, 2011, Imaging apoptosis in the eye: Eye (Lond), v. 25, p. 545-53. Galvao, J., B. M. Davis, and M. F. Cordeiro, 2013, In vivo imaging of retinal ganglion cell apoptosis: Curr Opin Pharmacol, v. 13, p. 123-7. Guo, L., and M. F. Cordeiro, 2008, Assessment of neuroprotection in the retina with DARC: Prog Brain Res, v. 173, p. 437-50. Kass, M. A., D. K. Heuer, E. J. Higginbotham, C. A. Johnson, J. L. Keltner, J. P. Miller, R. K. Parrish, M. R. Wilson, and M. O. Gordon, 2002, The Ocular Hypertension Treatment Study: a randomized trial determines that topical ocular hypotensive medication delays or prevents the onset of primary open-angle glaucoma: Arch Ophthalmol, v. 120, p. 701-13; discussion 829-30. Lek, J. J., A. J. Vingrys, and A. M. McKendrick, 2014, Rapid contrast adaptation in glaucoma and in aging: Invest Ophthalmol Vis Sci, v. 55, p. 3171-8. Normando, E. M., L. A. Turner, and M. F. Cordeiro, 2013, The potential of annexin-labelling for the diagnosis and follow-up of glaucoma: Cell Tissue Res, v. 353, p. 279-85. Rauscher, F. G., C. M. Chisholm, D. F. Edgar, and J. L. Barbur, 2013, Assessment of novel binocular colour, motion and contrast tests in glaucoma: Cell Tissue Res, v. 353, p. 297-310. Richman, J., G. L. Spaeth, and B. Wirostko, 2013, Contrast sensitivity basics and a critique of currently available tests: J Cataract Refract Surg, v. 39, p. 1100-6. Sommer, A., 1989, Intraocular pressure and glaucoma: Am J Ophthalmol, v. 107, p. 186-8. [E1]it looks too similar to the sentence in the article below. Could you please rephrase? http://openaccess.city.ac.uk/3294/1/Author version Edgar DF paper 1432-0878 15 03 14.pdf
Wednesday, November 13, 2019
The Effects of Male Pattern Baldness :: essays research papers
The health and wellbeing of Americaââ¬â¢s children and adolescents is in jeopardy. now and in the future, is under threat. In 2002ââ¬â2003, research found that most healthcare problems stemmed from a preventable condition. the most prevalent child health issues affecting children are preventable: obesity, dental disease, emotional and behavioural problems, bullying and learning delays. These problems often present as comorbidities. Overweight and obesity affect about 23% of children and adolescents in the United States, with 6% being obese.1 This figure has tripled compared to studies in the early 90ââ¬â¢s. Studies of historical datasets have also revealed that the prevalence of overweight and obesity in children and adolescents doubled over the period 1985ââ¬â1997, a far greater rate of increase than in the preceding 16 years.3 Health inequalities related to overweight and obesity are evident. There is a higher incidence of overweight and obesity in children of parents of particular backgrounds,3 and maternal education is the strongest social determinant of overweight and obesity in childhood.4 Although there are limited national data, and combined New South Wales, Victorian and National Nutrition datasets1 failed to find a rural/urban difference, Victorian epidemiological data show a statistically significant, higher proportion of overweight and obese boys in metropolitan areas, but this difference was not found for girls (Ms K Hesketh, NHMRC PhD Scholar, Centre for Community Child Health, Melbourne, VIC, personal communication). The health consequences of overweight and obesity are substantial, although Australian data remain unclear in certain areas.5 At least in the United States, obesity carries more stigma in children than any physical disability, and this is evident across all socioeconomic and ethnic groups.6 Issues of social acceptance, athletic competence and physical appearance are well known to obese children and affect their sense of social and psychological wellbeing. Obese children with decreasing self-esteem are more likely to smoke and drink alcohol compared with those whose self-esteem increases or remains the same.7 Obese children and adolescents may also have a range of medical conditions including hypertension, dyslipidaemia, and even type 2 diabetes. Other problems, such as musculoskeletal discomfort, obstructive sleep apnoea, heat intolerance, asthma and shortness of breath, greatly affect their lifestyle.8 Implications for the future can be gathered from longitudinal studies. Combined cohort studies indicate that relative body weight is sustained from childhood to adulthood, and, once children or adolescents are overweight or obese, their weight is unlikely to track backwards.5 If this is not sufficient reason for concern, reflect that these studies (of the long-term consequences of child and adolescent obesity) were all performed before the worldwide obesity epidemic developed.
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