Saturday, August 31, 2019

Schools Should Ask Students to Evaluate Their Teachers

Nowadays, education is at the top of people’s concern. Most of schools consider the interaction between students and teachers as an important role in the teaching process. Therefore, it leads to a policy that students can evaluate their teachers. In my opinion, I support that idea for several reasons.First of all, students are the very people who receive knowledge and lessons from their professors directly thus their evaluations must be exact and appropriate. In fact, it is very difficult to ask people to evaluate something that they never experience by themselves. As an example, customers are always the accurate measuring device of products’ quality because customers often try to find the best product among a lot of ones in the market to use. Similarly, students will express true opinions about their teachers and those opinions are very helpful for schools to know their teachers better. In this way, schools can have right methods to improve their staff.Furthermore, eva luations from students will make teachers perform their tasks better. As teachers know that their students always consider their teaching methods and their profession in every lecture or discussion, they will be stimulated to do well at the class. Besides, students’view will help teachers to find out their most effective teaching way and thus, their skills and experience can be boosted to a higher level.Finally, asking studentd to evaluate their teachers is also a way of showing concern to students. By that way, the schools indicate that they really appriciate their students’opinions and feeling. Hence, students may feel more comfortable and free. Also, when evaluating teachers, students have to pay attention to their lessons and they may realize their attitude of studying as well.To sum up, I strongly believe that schools should ask students to evaluate their teachers. That idea will help both of students and teachers to do better in their tasks. Schools Should Ask Students to Evaluate Their Teachers Nowadays, education is at the top of people’s concern. Most of schools consider the interaction between students and teachers as an important role in the teaching process. Therefore, it leads to a policy that students can evaluate their teachers. In my opinion, I support that idea for several reasons.First of all, students are the very people who receive knowledge and lessons from their professors directly thus their evaluations must be exact and appropriate. In fact, it is very difficult to ask people to evaluate something that they never experience by themselves. As an example, customers are always the accurate measuring device of products’ quality because customers often try to find the best product among a lot of ones in the market to use. Similarly, students will express true opinions about their teachers and those opinions are very helpful for schools to know their teachers better. In this way, schools can have right methods to improve their staff.Furthermore, eva luations from students will make teachers perform their tasks better. As teachers know that their students always consider their teaching methods and their profession in every lecture or discussion, they will be stimulated to do well at the class. Besides, students’view will help teachers to find out their most effective teaching way and thus, their skills and experience can be boosted to a higher level.Finally, asking studentd to evaluate their teachers is also a way of showing concern to students. By that way, the schools indicate that they really appriciate their students’opinions and feeling. Hence, students may feel more comfortable and free. Also, when evaluating teachers, students have to pay attention to their lessons and they may realize their attitude of studying as well.To sum up, I strongly believe that schools should ask students to evaluate their teachers. That idea will help both of students and teachers to do better in their tasks.

Friday, August 30, 2019

The Story of Herbert Ernest Bates “The Beauty of the Dead”.

Interpretation by Arkadiy Kurakin The story of Herbert Ernest Bates â€Å"The Beauty of the Dead†. The story is a unit of literary fiction. The author uses different expressive means and stylistic devices to show the reader the idea of the story, such as epithets, metaphor, similar, oxymoron, irony, hyperbola, understatement, etc. The protagonist of this story is Mr. Grimshaw. This is a complex character, reticent, gloomy. His surname is rather significant.The adjective â€Å"grim† means harsh, merciless, severe; ghastly, joyless, sinister (has a grim truth in it); unpleasant, unattractive. – expresses here the impression to be made by him on a reader. We can see his mercilessness from the following phrase: he turned with satisfaction to look at his wife, who lay dying on the bed. From his interaction with the minor character it occurs that though his relative consider him to be another, he is so a man that his name gives our an impression.The most important acti on of the protagonist is his inner thoughts, his choice in using sudden circumstances, his impulse to go through all the events happened. The minor characters is his wife. We do not know and the author do not let us know her name and it is significant because her name is of no account as her character is weak-willed, dull and infirm. What why he doesn't care about her inner world and doesn't interpret her as a person. Stylistic AnalysisThe story â€Å"The Beauty of the Dead† by Herbert Ernest Bates is casual in its subject-matter, describing a particular place at a particular time. In analysing this story we must point out its three main features: 1) the effect of striking concreteness and simplicity; 2) the impression of a melancholy meditating tone; 3) the implication suggested by the author as the ultimate stylistic effect. These three peculiarities are linked and interwoven to produce a joint impression, the EMs and SDs of the story are aimed at achieving the desired effe ct.SDs used in describing the picture are aimed at arousing a concrete image: epithets â€Å"yellow†, â€Å"grassy†, metonymical periphrasis â€Å"wanted wear† and â€Å"no step had trodden black† suggesting paths which are seldom used. A careful and inclusive analysis must consider linguistic items at various levels, as all stylistically significant features form a complex. The impression of colloquial intonation of reminiscence is mainly created in the story through enjambment. The pause in the middle of the line (see the third lines in the first and the last stanzas) makes the tone of the lines natural and meditating.The combination of the SDs of enjambment and anadiplosis (the repetition of the pronoun â€Å"I† at the end of the line and at the beginning of the next line) in the last stanza produces the impression of a kind of afterthought uttered quite naturally after a pause: Lexical EMs and SDs emphasise the melancholy tone of the story. Thi s SD is that of antonomasia. The proper name is substituted by a common noun which stands in certain relations to the name. Beatrice in her reply to Benedick treats the word â€Å"disdain† as a living being ascribing to it human qualities.Hence here we have the SD of personification. Stylistic Analysis This story is one of Hemingway's masterpieces. It gives a deep insight into human nature and a true picture of contemporary social and family relations in bourgeois society. The writer leaves the surface comparatively bare: the meaning is plain and simple. The impression of simplicity which strikes the reader from the first is brought out not only by the plain dialogues, the common matter-of-fact events at the beginning of the story but by the language itself.A close study of the story for the purposes of examining its style involves a careful observation and a detailed description of the language phenomena at various levels. The text of the story is not homogeneous: the author 's narration is interrupted by the dialogues of the characters; inner thoughts of come characters (mostly Wilson's) are imperceptibly interwoven with the narration. A rigorous analysis of the vocabulary of the story clearly shows that the author employs common words in his narration and a restricted number of colloquial words in the dialogue and represented speech.Here are some examples of colloquial words: â€Å"†¦ †. In many instances the reader sees that the number of synonyms is deliberately restricted. Note the use of verbs of communication (â€Å"to say† and its synonyms) times; â€Å"to tell† — 3; â€Å"to ask† — 2; â€Å"to speak†, â€Å"to agree†Ã¢â‚¬â€ once each. No other verb of communication is used. Besides, the author does not usually add any adverbial modifier to show the manner in which the character speaks. See the first page where the author plainly states â€Å"†. The impression of impassive matt er-of-fact narration is brought out also by a very limited use of words denoting feelings.On the first pages we can find only the following words: â€Å"pretending†, â€Å"in triumph†, â€Å"smiled†, â€Å"liked†, Author’s scrupulous attention to minute details adds to the matter-of-fact and logical tone of the story. Underneath this simple exterior of restraint there lies a rich treasure of suggestions and implications. The very structure of the story adds to the effect of implication but the actual meaning of what is going on is not clear at the beginning of the story, as the feelings suggested by the writer are not precisely determined.The reader however feels that something has happened and that the characters are strained and full of hidden apprehension and suppressed emotions. The effect of implication ( ) and suspense () is brought about in various ways, firstly by the direct means of stating that something has happened but not revealing wha t. Observe the repetition of the word â€Å"happen†. Note the word â€Å"pretending† which characterises from the start the atmosphere of suppressed emotion.Note the various cases of logical periphrasis used by the characters to say in a round-about way what happened that morning. The reader is kept in constant suspense: â€Å"the whole thing†; â€Å"about it†; â€Å"that lion business†; â€Å"something like today†. Observe also the repeated use of the verb â€Å"to forget† stressing the intention of the speaker not to think of some unpleasant fact; the verb â€Å"to forget† is used four times and its contextual synonym â€Å"to drop† — twice. The hints and suggestive remarks uttered by the characters in their seemingly plain unpretentious dialogues are very effective in their implication.The effect of implication and suspense is brought about indirectly too: The macro-context that comes after these words affects them and determines their meaning. The peculiar use of the verbs â€Å"to look† and â€Å"to smile† may also be regarded as an indirect means of creating the effect of implication. However additional contextual meaning and emotive colouring is received mainly from the macrocontext. This manner of describing the character's reaction and emotions by presenting simple external actions may be considered a specific SD—metonymical description which is realised only in the macrocontext.The SD of metonymical description makes the reader supply what is missing and creates the effect of implication. This is one of the ways in which Hemingway employs his â€Å"iceberg principle†: â€Å"I leave out what I know but knowledge is what makes the underwater part of the iceberg,† writes Hemingway. In a similar way the writer uses the verb â€Å"to smile†: the implication conveyed by this verb is also brought out in the macrocontext. The role of the macroconte xt in Hemingway's story is of utmost importance. Note instances where the verb â€Å"to smile† is used: â€Å"So author's story devoid at the beginning of any apparent emotional colouring, of any apparent expression of the characters' feelings is impassive and matter-of-fact only on the surface whereas beneath the surface can be found intense emotions, meditations, sufferings. Note that the feelings and emotional reactions of Mrs. Macomber and Wilson are mostly conveyed by this means. Note the role of repetition in heightening the impression of growing fear: the word â€Å"fear† is used here twice, and the word â€Å"afraid† is repeated three times.One more note about author's usage of words and how it is related to the description of his characters. The impartial tone and the absence of emotive words in describing Mrs. Macomber may be accounted for by two reasons: the writer's principle to leave the surface comparatively bare of any emotion, and the desire to emphasise the woman's nature by choosing relevant words and expressions (note the writer's way to explain her purpose for desiring to marry again — â€Å"to better herself†). Analyse the use of the adjectives â€Å"red† and â€Å"blue† in the story.Similarly, the adjective â€Å"blue† is affected by the surrounding words (it is constantly used in such combinations as â€Å"cold blue eyes†, â€Å"his flat, blue, machinegunner's eyes†) and had acquired an additional contextual meaning making it an epithet in the macrocontext. It is the macrocontext that determines the meanings of some words and suggests their implication in author’s story, and therefore should not be underestimated. The grammatical peculiarities of the story serve the basic stylistic purpose — that of giving the impression of simplicity and mpartiality on the one hand, and creating implication and emotional tension, on the other. Long sentences which are s o characteristic of the author's narration in the story do not produce a sense of complexity. On the contrary, the long sentences give the illusion of simplicity. The impression of simplicity is generally maintained by a peculiar sentence structure. The most striking feature which is easily observed is the repetition of one and the same conjunction within the sentence. Read this sentence: † † Similar structures can be seen on the same page: â€Å" † The use of one and the same conjunction and one and the ame type of subordinate clause within the sentence (a complex sentence with successive subordination) creates a monotonous analogous description where the author seems concerned only with presenting a bare enumeration of details. It is interesting to point out that folklore contains clear-cut structures of this type with successive subordination as in the well-known nursery rhyme â€Å"This is the house that Jack built†¦ â€Å". The established syntactical pattern which is repeated within the sentence is a stylistically significant feature in the story leading to a seeming lack of variety and maintaining the effect of simplicity.Note that this holds true not only of the sentence-structure but to a larger extent of the paragraph-structure. The established pattern (or patterns) is repeated with a slight variation throughout the paragraph giving the impression of analogy and logic in structure. Read the paragraph on p. XX beginning: â€Å" † The predominant sentence-type in the above paragraph is the complex sentence with a subordinate clause of time. The conjunction â€Å"when† is repeated five times, the conjunctions â€Å"while† and â€Å"before† are used once each. The paragraph being a unity of ideas presents in the story a striking unity of syntactic structure.There is no conspicuous topic sentence, the paragraph gives a series of details or actions which go on and on, as if the writer assumes that his r eaders want only to learn as quickly and easily as possible what happens. The unity of the paragraph manifests itself in the established syntactical pattern used throughout the whole of the paragraph and in the one and the same conjunction. Repetition assumes in the story various structural forms. Catch-word repetition (anadiplosis) is frequently used giving the impression of plain, logical structure: â€Å"Margot looked at them both and they both saw that she was going to cry. â€Å"But more than shame he felt cold, hollow fear in him. The fear was still there†¦ â€Å". Note that anadiplosis produces the effect of a â€Å"chain-pattern† structure similar to that produced by successive subordination often used in the story. Anadiplosis is sometimes employed to connect successive paragraphs. The dominant conjunction which is employed frequently and variously in the story is â€Å"and†. The repetition of the conjunction â€Å"and† usually maintains paralle lism and rhythm: â€Å"† The effect of a rhythmical arrangement is heightened in this example by alliteration at the end of the paragraph.Suspense which is the basic compositional feature of the story manifests itself in the structure of most paragraphs. Read the paragraph by which the first part of the story culminates: â€Å"† Note that the paragraph tends toward balanced structure for the sake of contrast: â€Å"Macomber did not know†¦ ,† â€Å"Wilson knew†¦ â€Å". The repeated use of the words â€Å"knew†, â€Å"did not know† adds to the effect of contrast and gives the impression of a certain established pattern of the paragraph.Observe that parallel constructions are interrupted by inserting modifiers (three instances of subordinate clause of time introduced by â€Å"before†, â€Å"when†, â€Å"when†) and some other relevant detail. Syntactical parallelism supported and intensified by lexical repetition (four instances of â€Å"know†; â€Å"nor †¦ nor†; â€Å"when, when †¦ â€Å"; â€Å"how, how †¦ â€Å") lends an unmistakable rhythm to the passage. Note that the length of sentences and clauses is shortened and the number of inserted details is lessened by the end of the paragraph and so causing a change in rhythm: from a slow, even rhythm to a rapid, excited rhythm.This change of rhythm heightens the emotional tension and reinforces the implication suggested by the last unexpected sentence of the paragraph: â€Å"He did not know how his wife felt except that she was through with him. † The repeated words do not assume any definite compositional pattern, such a simple scattered repetition contributes to the impression of a colloquial simplicity of narration: â€Å"† The principle of repetition which reveals itself in the use of the established syntactic pattern and the repetition of one and the same conjunction often leads to the SD of cum ulation: â€Å"† The clash between the yntactical analogy and semantic distance in the SD of cumulation brings about the effect of implication and hints at the real relations of the characters. All these similar features contribute to the impression of parallelism in the structure of the paragraph. Cumulation is striking as the clash between the grammatical identity and semantic difference is sudden and strong. Cumulation gives rise to implication and presents the first obvious hint at what happened before the story began. The main dramatic force is achieved by syntax — by the writer's masterly utilisation of the resources concealed in the syntactic structure of the language.Stylistic tendencies and peculiarities of the story manifest themselves in the passage most intensely and palpably. The passage tends to rhythmical structure: parallel constructions, various types of repetition, a peculiar scheme of sense-group division — all contribute to this impression. A ll these features lend balance to the passage. A change in rhythm from slow to rapid reinforces the effect of suspense and climax. Suspense is created by a number of interrupting but relevant details postponing the completion of the thought.The length of the interrupting phrases and coordinate clauses is shortened by the end of the passage (note once again that the last three clauses contain two sense-groups while the first four — three or six) and causing a change in rhythm adds to emotional tension. The sentences are not so long, not so fragmentary, the relevant details are not so numerous. Note that some details are repeated (â€Å"like slate† — â€Å"like hitting a slate roof†). The rhythm of the paragraph is even and quiet giving the impression of an impassionate description.The paragraph may be regarded as a kind of comment on what happened. Note the use of the Past Perfect which plainly refers the actions to those which have been mentioned. The ide a of suspense and the effect of implication is masterfully revealed at the end of the story — the writer does not say plainly whether it was an accident or murder. The writer presents only a sequence of outward actions and the reader is left to imagine more than the words themselves convey. Assignments for Stylistic Analysis: 1. Speak on the subject-matter and the idea of the story. . Analyse the structure of the poem (its stanzas, rhythm, rhymes), note instances of enjambment and speak on its stylistic function. 3. What characters of the novel are described in the passage and what does the reader learn about them? 4. Who are the major and minor character/s? Describe them shortly. 5. What impression do you get from the protagonist? Discuss his/her character and his/her views as they are revealed through his/her speech. Describe the protagonist’s state of hopelessness and frustration. Comment on the protagonist’s words: â€Å"†. 6.Analyse the direct speech and speak on its peculiarities. 7. Discuss the meaning of the saying: â€Å"† and comment on its stylistic peculiarity. Say why he/she uses it. Speak on the way he/she interprets the above mentioned saying. What SD is used by him? 8. Find cases of periphrasis in her speech and speak of their function. 9. Discuss she attitude towards the situation, comment on lexical and phonetic EMs and SDs used in her speech and speak of the effect achieved through the use of these devices. 10. Pick out various types of metaphors and comment on their stylistic effect. 1. Comment on the meaning and stylistic peculiarities of some lines. 12. Dwell on the implication suggested by the author. 13. Pick out epithets, state their types and structure and speak on their stylistic function. 14. Comment on the exclamatory sentence 15. How do you account for the sudden transmission from literary vocabulary mostly used by the author (â€Å"under the auspices†, etc. ) to the colloquial words (â₠¬Å"a confounded quarrelsome highbred jade†)? What stylistic effect is achieved by this device? 16. Comment on the stylistic effect of the rhetorical question: 17.Speak on the author's attitude towards the society he describes. Pay attention to the EMs and SDs employed by the author (note the vocabulary of the passage, metaphors, metonymies, allusions, rhetorical questions and their stylistic function). 18. Speak on the scene and the characters introduced in the excerpt and SDs used to describe them. 19. Find various forms of repetition in the author's narration: the repetition of a sound (alliteration); of a conjunction (polysyndeton); of a notional word; of a syntactical pattern (parallelism) and speak on the role of repetition in the structure of a paragraph. 0. Analyse the SD of repetition from the point of view of its compositional design (anaphora, anadiplosis etc. ); note what kind of repetition prevails in the excerpt; speak on the stylistic functions of repetition. 21. Take the Xth paragraph for rigorous analysis; in doing so dwell on the following points: 1) the main thought of the paragraph and the way it is developed; 2) the SD of polysyndeton; 3) the metaphor, the way it is prolonged and the stylistic effect achieved; 4) represented speech, its type and stylistic function; 5) antithesis as the culmination point of the paragraph. 2. Comment on the different ways author manipulates with the remarks of the characters. 23. Summing up the analysis of the chapter pick out all passages where the author's ironic or sarcastic attitude towards high society and its corrupt morality is acutely felt and analyse the main SDs used to achieve this effect. 24. Summing up the analysis of the chapter/extract/passage/story, speak on the allegoric character of the story and on various SDs used to make the particular effect..

Thursday, August 29, 2019

Supply Chain Management Assignment Example | Topics and Well Written Essays - 2000 words

Supply Chain Management - Assignment Example Perhaps the foremost social and economic responsibility levied upon private and public organisation in recent decades is the maximisation. This responsibility is being increasingly codified in law and various governmental orders. Its influence is becoming increasingly pervasive through a constant series of federal court decisions as well as steady enlargement in the size and scope of administering agencies. Despite the pressure from the competitors Nostovia's new airport will undertake effective supply management as the cutting edge. Higher number of satisfactory customers and efficient services will maximise the profitability of Nostovia by attracting a large number of foreign tourists. It is argued that the supply chain standards are not fixed at a uniform level or universal conditions cannot be established. Several factors should be taken into consideration while implementing a supply chain implementation or improvement plan. Factors contributing to the effective development of supply chain management are many and varied, which include: The main source of competitive advantage in services industry is efficient service for the customers. Supply chain plays an important role in the efficient service provision to the customers. "The goal of a supply chain should be to maximise overall supply chain profitability. Supply chain profitability is the difference between the revenue generated from the customer and the total cost incurred across all stages of the supply chain. Supply chain decisions have a large impact on the success or failure of each firm because they significantly influence both the revenue generated as well as the cost incurred. Successful supply chains manage flows of product, information, and funds to provide a high level of product availability to the customer while keeping costs low." (Chopra & Meindl, 2004;

Wednesday, August 28, 2019

Plan Development for a Major Health Care Facility Essay

Plan Development for a Major Health Care Facility - Essay Example The main aim of business plan is to oversee the implementation of a project based on good decision making, proper planning procedures and methods that eventually will lead to full completion of a project to all parties’ satisfaction. This paper is aimed at establishing a business plan for a major health care facility to its full functionality. The actual project here is a business plan of a major health care facility. For a successful completion of the project, there are many considerations, obstacles as well as opportunities that all have to be looked at before and during the project implementation. Unlike other projects, health care facility requires special attention due to the nature of its work hence it needs more expertise in its project planning. The plan should put in consideration many factors among them; that healthcare facilities depends on continues operations with no tolerance to disruptions, in terms of its construction it will require unique waste streams since chemicals might be involved within its wastes, there is need for provision of intense energy and water use within its surroundings due to the nature of the activities within the healthcare, there should be provision for infection control which should be unique on its own and lastly but not least, indoor air circulation is of importance and hence should be considered in the business plan for healthcare project. These special specifications differentiate a healthcare plan to that of a normal business plan. Any project that is to be consisted within a healthcare facility should fully be planed for and evaluated before its implementation. Existing research has shown that in a period of about last five years, there indeed has been an increase in healthcare projects development to almost 50% as compared to the previous years. This rapid increase has mainly been attributed to the need for new and developing technological innovations in the healthcare sector, aging populations as well as fa cilities, the need for new standards of care and a considerate reimbursement and financing environment. All these have contributed to the witnessed introductions of various projects to the health sector. This intern has brought the need to come up with business plans so as to attain the healthcare objectives with less challenges. The market analysis has shown that indeed there is more need for effective service integration and healthcare management especially for new enrollees within the healthcare sector. This is attributed to the fact that majority of new enrollees are soon to be non-disabled adults and this is a critical fact to the health sector since it’s worth noting that the disabled and dually eligible populations are much more costly and hence stand to benefit more from effective healthcare system. Market analysis has shown that there has been a high rise in the resent years of various special cases in the health sector that indeed have called for business plans to h elp in projects integrations in the health sector. Such like programs include; perinatal conditions that have played a big role in maternal and child health care, Chronic conditions, smoking complications and obesity among others. These complex health matters have brought about the need for establishment of more healthcare facilities and this has called for the need for project planning since healthcare

Tuesday, August 27, 2019

Synthesis paper Essay Example | Topics and Well Written Essays - 750 words

Synthesis paper - Essay Example Thus, it is offering adequate training to the managers on how to motivate employees, that forms the core of establishing a culture of employee motivation (Musselwhite, 2011). This article simply focuses on the role of managers as the ultimate siource of employee motivation within a firm. Similarly, A Dose of Positive Reinforcement Can Go a Long Way by Nelson; is another article that focus on the fundamentals of employee motivation, but from a different approach of applying praise and recognition as the main tools for realizing employee motivation. However, while praise and recognition are powerful tools used for employee motivation, the essential elements that must be applied to reinforce these tools include sincerity, specification and personalization of praise, so that the tools become fully effective in inspiring the employees (Nelson, 2013). Nevertheless, the effective tools of employee motivation cannot deliver any results, whenever the management team does not have sufficient s kills to motivate the employees. Therefore, the management should always operate on the basis of the principle that; â€Å"you get what you reward† (Nelson, 2013) p41. ... The application of this rule entails complementing the employees for all the good things that they have done for several times, before suggesting some improvement or even offering positive criticism, and most fundamentally, ensuring that both praise and criticism are not done in a single session. However, the most important thing is to realize that giving praise should be done as soon as the achievement has been made, or immediately â€Å"the desired behavior is displayed† (Nelson, 2013) p42. The application of positive reinforcement should always be treated as a matter of urgency, even necessitating the interruption of a meeting to give a complement where it is due, while reserving the discussion in great length, of the positive behavior or the achievement made, for a later date (Nelson, 2013). Another fundamental aspect of motivating employees through giving praise, is ensuring that the manager talks in specifics and addresses the accomplished employee directly, instead of a pplying generalities, while also drawing references on how the accomplishment or the positive behavior can help others (Musselwhite, 2011). Specifics give credibility to the praise given by the manager, while also going to great lengths to state, â€Å"exactly what was good about an employee’s behavior or achievement† (Nelson, 2013) p42. Humanizing and personalizing the complement is an essential step towards ensuring that the praise and recognition is received positively, while ensuring that it works towards boosting the morale of the employee involved. Considering that different employees respond differently to complements and praise, it is essential for the manager to take time to analyze the

Monday, August 26, 2019

Factory Gate pricing Essay Example | Topics and Well Written Essays - 1750 words

Factory Gate pricing - Essay Example either directly to the stores or to his retail ware houses. The retail got the finished goods at reduced prices than before. Prior to the implementation of the FGP the supplier used to incur the transportation costs and the retailers the inventory costs at the warehouses. The factory gate pricing give the option to reduce the investment cost on maintaining the inventory for the distribution centre at times as the retailer will have he option to transport the goods directly to the shops. The retailer has the option of making the entire supply chain operations under one roof. FGP brings the control of primary transportation from the factory to distribution centers and inventory into one hand which likely leads to generate cost savings operations. In addition FGP offers two other sources for savings. Firstly, retailers generally have a vast product range for which they can make the transportation-inventory trade-off at one point of time. The orders from different suppliers that are located close to each other may be synchronized in time, such that they can be combined in the same vehicle route. Secondly, under FGP, primary and secondary distribution can be integrated and can be handled by one single entity. The supply chain initiative can be improved by optimizing the usage of space by the retailer by using the same vehicle to deliver the goods to the shop and to the distribution centre on one single trip.Significance of factory gate pricing The significance of FGP is that it removes traditional geographic transport boundaries where an assigned logistics provider controls all vehicle movement within a particular region for a... The significance of FGP is that it removes traditional geographic transport boundaries where an assigned logistics provider controls all vehicle movement within a particular region for a retailer. Better vehicle utilization as suppliers shares vehicles in order to reduce costs by sharing the space with the vehicles. Removal of uneconomical vehicle movements through combining additional products from different sources to ensure every lorry is full when it sets out on its delivery route. Benefits of implementing factory gate pricing. The benefits of factory gate pricing are Effective Transportation as the retailer is involved with the supplier and the time for transportation reduces to a considerable extent. Effective transportation may lead to Improved Availability of the goods in the stores and sustainable stock can be maintained in the shops. The decrease in transport costs leads to reduced prices on the finished goods. Environmentally it will be a positive aspect as the vehicles wi ll fully carry the goods of different supplier thus reducing the repeat trips to the same route thus reducing the vehicular traffic which results in reduced air pollution. Collaborative Planning, Forecasting and Replenishment â€Å"CPFR is the sharing of forecasts and related business information among business partners in the supply chain to enable automatic product replenishment†. CPFR is designed to link the supply and demand processes allowing for a more consumer driven supply chain. CPFR aims to seamlessly link the industry from manufacturer to consumer.

Sunday, August 25, 2019

The NHS Essay Example | Topics and Well Written Essays - 1750 words

The NHS - Essay Example This free treatment policy of the NHS needs to be revised, as this is not only unfair to the taxpayers but is likely to bring economic collapse to the NHS budget with the increasing number of diabetic and cancer patients (Hardman, 2012). Diseases of lungs cancer, diabetes, and metabolic syndromes are the ones which require expensive and prolong medical treatment. Lungs cancer is the most known form of cancer which can cause malfunctioning lungs of patients and could also result in a painful death. Doctors researching on this ailment have clearly stated that 90% of the lung cancer is due o cigarette smoking or tobacco consumption. As the number of active smokers have increased, so is the rate of lung cancer, and there is no other major factor contributing to this disease (Groves, 2012). Report of the American Lung Association on world diseases, reveals that the among all cancer deaths including Breast and Colon cancer, lung cancer has the highest number of deaths (American Lung Associ ation, 2013). In the course of just 50 years, this disease has taken lives of more than 6.5 million people in the UK alone. The major reasons for this is the contribution of globalization, which has hundreds of cigarette, cigar and tobacco manufacturing companies, which has decreased the prices of these drugs and has made it easily accessible to everyone (Cancer Research UK, 2012). The other reason is the lack of government attention on this matter and the failure of introducing applicable and futuristic policies. In the ongoing debates to whether the NHS should change its funding and free treatment policies for lung cancer patients, these facts can provide a firm ground to the argument of restricting those funds. In this regard, Phillip Lee, a GP practitioner, raised the point that if the government kept paying for smokers and diabetic patients, it is in a way encouraging other smokers. He said in the NHS conference (2012) that people are free to consume whatever they wish for, but only at the cost of their own money. If the NHS is not going to cut down the treatment expenses funded to the smoking patients, then there is no way the country will get rid of smoking health disorders (Groves, 2012). It is evident from these facts that the disease of lung cancer is due to the bad appetite choice and smoking habit of the patient. Moreover, these people have harm the health of other people in their surroundings, as anyone who inhales the smoke of cigarette is also affected to some extent. Medical researchers have outlined the fact that passive smokers, the ones who are exposed to cigarette smokes of a smoker, have more chances to develop lung cancer than those who are not (Groves, 2012). This explains that smokers have not only put their lives on risks, but also the lives of many others who come in the vicinity of their smoking zone. One encouraging fact for these smokers is their free treatment from the healthcare budget of the country (Groves, 2012). The purpose o f providing free medical treatment to patients is to help those who cannot afford for the medical expense of their diseases or disorders, which have developed naturally or accidently and they are not the ones responsible. Providing this facility to lung cancer patients will not make them realize their act of ignorance and immorality. Therefore, if individuals who are addicted to smoking or tobacco are

Saturday, August 24, 2019

Economics - DQ 2 Essay Example | Topics and Well Written Essays - 500 words

Economics - DQ 2 - Essay Example However, the point where marginal cost and marginal revenue intersects represents output which is less than maximum capacity. Thus, there lies inefficiency in production as these firms control the level of supply in order to regulate the prices. This is true in the real world. For example, monopolist firms in developing countries especially those in the provision of public utilities like water and utility set prices too high while controlling quantity. They do not operate in their full efficiency in order to bid up the prices of their goods and services. Thus, most countries where utilities are monopolized are where the highest electricity costs are found. Monopolists take advantage of the situation by using their capacity of influencing price level. Globalization is characterized by the entry of foreign firms in the domestic market and vice versa. This is also a process by which business organizations operate anywhere in order to take advantage of profit opportunities. Globalization is seen as the way of increasing the number of competitors in the market through the entry of new players and the survival of the most efficient ones. Yes, globalization intensifies the market competition in a given country. It is irrefutable that multinationals or huge business organizations operating on three or more markets have gained significant economies of scale and are the most efficient ones. The entry of these players in the domestic market often threatens the local players who are less efficient. Thus, competition heats up as these smaller players cope with the ability of large foreign firms to operate more efficiently and profitably. In so doing, it also tries to safeguard its shares by equipping itself with competencies. Local manufacturers often go beyond their limit. The entry of foreign players pressures them to improve their processes, strengthen their brand image, produce higher quality products, and even double

Best source for Expo Essay Example | Topics and Well Written Essays - 750 words

Best source for Expo - Essay Example From the article, one can tell that it was the second year for the event and it was like a combination show of trade that gathered fans and made a big party with some music festival in it. How well the author elaborates on the activities that were carried out in the expo makes it a good source of expo. Through reading this article, a reader can tell what to expect in a penny arcade expo. The author analyses the expo in a way that anyone who reads the article can tell every detail of the Expo. The article explains that in the Penny Arcade expo there were more than 10,000 attendees. According to the article, the expo involved console and computer game tournaments (Penny, 2005). I chose this source because it elaborates on every session that took place in the expo. For example, it gives the activities that took place in the show such as the question and answer sessions with penny arcade creators, pro-player challenges, and performances by music rockers. The article gives the highlight of the show as Omegathon, which is a gaming decathlon with six events. The author makes the expo activities look exciting to the reader. Even for individuals who did not attend the expo, through reading this article they can get a clear picture of the activities that took place and how exciting they were. The article also names its sponsors as sonny, Microsoft, Ncsoft, and Nintendo (Penny, 56). By naming the sponsors of the expo, the source makes the reader grasp an idea of corporations that work hand in hand with the Penny arcade Expo. The performances that were made in the expo give the reader an idea of the activities of an expo. Through using this source, an individual can compare how the 2005 expo was different from other expos that have been held since then in different places. One can compare the events and be able to tell the most common events that take place in such expos. The source gives information of the expo through

Friday, August 23, 2019

What's the difference between Financial Accounting and Management Essay

What's the difference between Financial Accounting and Management Accounting - Essay Example While management accounting is largely implemented for individuals working within the organization, financial accounting generally functions for external entities. In terms of financial accounting there are a number of specific considerations. Although law does not require management accounting, financial accounting is a necessity for organizations. The requirements for corporations to keep financial accounting records is a large consideration, as recent Dodd-Frank regulation has necessitated that expensive accounting measures be kept to ensure that accurate records are established. Within this spectrum of understanding financial accounting is further distinguished, as it requires an external review by a certified public accountant (CPA). It follows that external stakeholders use financial accounting. Generally these external stakeholders implement financial accounting reports as a means of making investment decisions, as the financials of a company are the primary determinant of equ ity value. In addition to management accounting being for individuals within the organization and financial accounting being for external stakeholders, there are a number of further differentiating factors between these forms of accounting. While financial accounting necessarily involves the entire organization, oftentimes management accounting is implemented for significant sectors of the business or corporation. This division is such that it creates significant structural divisions between these forms of accounting. While the structure of financial accounting is regulated by the Internal Revenue Service and accounting regulations, managerial accounting is contingent only on the strategic initiatives within the organization. For instance, management accounting records may occur on a daily, weekly, or monthly basis. Additionally, management accounting oftentimes has a strategic angle, as it allows internal officers examine the

Thursday, August 22, 2019

Drug Legalization in the United States Essay Example for Free

Drug Legalization in the United States Essay Abstract This paper will explore four websites and one online newspaper addressing the subject of drug trafficking in the United States and why legalization is a profitable alternative. The various ways drugs are bought into the country, information on how and why drug trafficking has increased in the United States, statistics on the number of people that are addicts, and the problems related to foreign countries on this issue. The reasons why illicit drugs should be legalized and what the income from the taxation from them could do to better our health care reform and our economy. Keywords: drug trafficking, economy, legalization Drug Legalization in the United States Illegal drugs are exports and deported out if our country everyday by different groups such as high profile criminal gangs or groups such as the cartel. Law enforcement has yet found a suitable way in controlling the war on drugs and have in past years, up until now, have made and passed bills and policies within the government that has made it worse. The legalization of illicit drugs, such as marijuana, would dramatically save, if not make our country more money.The Department of Justice reports the trafficking of drugs has increased in the United States (2012). Criminal groups from other countries, such as Mexican, Cuban, and Asian, including the groups in our country, grow, manufacturer, and distribute marijuana and other illicit drugs. Meth being in such high demand, leads to the growing number of addicts. Domestic cannabis growers and producers provide marijuana as easy completion for such drugs such as cocaine, LSD, and heroine. Since the price of the final product increases to abnormally high values, because of the black market status, this together with the powerful effects of drug addiction causes users to commit crimes in order to fund their addiction. The ways that illicit drugs are brought in to the country are by passenger ships at United States ports and shipping containers, criminal groups operating from South America smuggling cocaine and heroin in the United States. Self-propelled semisubmersible vessels are maritime vessels used by traffickers to transport illicit drugs. These vessels typically protrude only a few inches above the surface of the water, making them very difficult to detect visually. SPSS’s typically have a four-man crew and are capable of carrying multiton quantities of cocaine. The primary threat from drug smuggling via private vessels is from Caribbean-based traffickers exploiting the Puerto Rico and Florida coastlines. Traffickers transported mostly cocaine from the Dominican Republic to Puerto Rico, although they smuggled lesser amounts of heroin, sometimes combined with cocaine loads. Caribbean traffickers also smuggled cocaine, heroin, and marijuana from the Bahamas to areas of South Florida bet ween Miami and Palm Beach. Seizure totals and routes remained relatively constant compared with those of previous years. These routes have been opened and used frequently since the 1970’s. Traffickers used private maritime vessels to smuggle drugs into the United States during 2009 through Puerto Rico, South Florida, South Texas, and southern California, and Mexican DTOs sometimes smuggle drugs by maritime means to avoid law enforcement scrutiny along the Southwest Border. According to Drug Addiction Facts and Statistics, the statistics on the number of addicts that we have in the United States are also growing rapidly. These numbers are solely based on the harsher illicit drugs such as heroin and cocaine. â€Å"2010 estimated 22.6 million Americans over the age of 12 that were currently or formally illicit drug users are equivalent to about 8.9% of the population† Over 6 million children in the United States live with at least one parent with a drug problem. Since the 1980’s the numbers of people that used illicit drugs that ended death either by overdose or some other type of reaction has risen to over 540%. A 1996 U.S. government study claims that heavy marijuana use may impair learning ability. The key words are heavy use and may. This claim is based on studying people who use marijuana daily–a sample that represents less than 1 percent of all marijuana users. This study concluded: 1) Learning impairments cited were subtle, minimal, and may be temporary. In other words, there is little evidence that such learning impairments even exist. 2) Long-term memory was not affected by heavy marijuana use. 3) Casual marijuana users showed no signs of impaired learning. 4) Heavy alcohol use was cited as being more detrimental to the thought and learning process than heavy marijuana use. (2012). Drug raids in the United States happen on the average of hundreds of times a day. The policies are a lot more dangerous and dramatic then public use of drugs. These policies harm not just families of the users and dealers, but the neighbors and general public that surround them. It has been known that law enforcement has gotten wrong addresses, and bad leads to help them follow through enforcement. Drug task force units have their equipment such as big guns and bullet proof amour, for their defense, but to a child of the suspect, it can seem very intimidating and scary. This also has been known as traumatizing to the youth and families involved. It has also been classified as terrorizing. This is not what these policies were set out to do. Prohibition on illicit drugs brings more gang violence, murder, and violence from dealers, users, children, families, and law enforcement made to enforce policies. There are approximately 17.4 million users of marijuana between 2007 through to 2010 . The numbers increased to 6.9% up from 5.8% or 14.4 million to 17.4 million users. â€Å"To allow policy experimentation, the federal government should permit states to legalize the production, sales, taxation, and consumption of marijuana. While testing this policy shift, authorities should redirect scarce law enforcement resources to focus on the more damaging and socially unacceptable drugs such as heroin, cocaine and meth. From which Mexican drug trafficking organizations derive more than 70% of their proceeds (Moffat, 2012). Replacing marijuana prohibition with a system of taxation and regulation similar to that used for alcoholic beverages would produce combined savings and tax revenues of between $10 billion and $14 billion per year. The revenue from marijuana sales after legalizing for the government could be lucrative. If the tax of marijuana cigarettes was substituted for equal to the difference between the local production cost and the street price currently paid, transfer the revenue from the crime groups to the government, we would have revenue of abo ut $7 per unit. This adds up to over $2 billion on the Canadian sales and even more on an export tax then we can forgo the cost of enforcement and deploy our policy assets elsewhere. By providing legal supplies of currently illegal drugs the price will fall, leading to a collapse in the illegal drug industry, and a reduction in crimes committed by both drug suppliers and users. Some could also argue that the reduction in the price will lead to little, if any, growth in drug addiction, due to the inelasticity of demand. In a strictly regulated market, drug use may fall overall, by removing the marketing activities of the illegal drug industry. There are a growing number of law enforcement professionals speaking out for legalization. LEAP (Law Enforcement against Prohibition) is an international organization founded in 2002 made up of current and former members of the law enforcement and criminal justice communities who are speaking out about the failures of our existing drug policies. According to Betty Taylor, former Chief of Police of Winfield, MO and a speaker for LEAP (Law Enforcement against Prohibition) â€Å"If you can’t control the problem then regulate it. Regardless of law enforcement expenditures, the negative effects of prohibition include violence and other criminal activity† (Bozarth, 2012). The prohibition of marijuana is taking away from our economy in many different ways, such as financially. It is also taking our law enforcement officials away from being able to enforce the more dangerous crimes such as murder and enforce the policies of the more dangerous drugs such as cocaine and heroin. Taxes from the product can bring in more revenue and create another cash crop for farmers to contribute to the economy and also help with drug care reform in making a prescription drug that is affordable and easily acquired. These things are beneficiary to our country as long as it is monitored and maintained by its own policies put in place by ou r government. References DEA Briefs Background, Drugs and Drug Abuse, Drug Descriptions, Drug Trafficking in the United States. (n.d.). Welcome to the United States Department of Justice. Retrieved March 5, 2012, from http://www.justice.gov/dea/concern/drug_trafficking.html Drug Addiction Facts and Statistics. (n.d.). http://www.michaelshouse.com. Retrieved March 5, 2012, from http://www.michaelshouse.com/drug-addiction/drug-addiction-statistics/ Law Enforcement Against Prohibition. (n.d.). Retrieved March 5, 2012, from www.CopsSayLegalizeDrugs.com Moffatt, M. (n.d.). Should Governments Legalize and Tax Marijuana?. About.com. Retrieved March 5, 2012, from http://economics.about.com/od/incometaxestaxcuts/a/marijuana.htm Bozarth, M. (2012, 02 23). LEAP Helps Launch Marijuana Initiative. http://stjtelegraph.org/. Retrieved March 5, 2012, from stjtelegraph.org/wp-content/uploads/2012/02/stjtelegraph-23-08_all.pdf

Wednesday, August 21, 2019

European Court of Human Rights

European Court of Human Rights Introduction The purpose of litigation at the European Court of Human Rights (ECtHR), is to examine alleged violations and ensure that States Parties comply with their obligations under the Convention, providing individual applicants with effective remedies and just satisfaction under Articles 13 and 41 of the European Convention on Human Rights (ECHR). The wider objective is to protect and embed locally the three CoE foundation stones; liberal pluralist democracy, human rights and the rule of law to effect structural and institutional change and create a common democratic and legal area throughout the whole of the continent. Yet comprised of 47 member states and 811 million citizens, the CoE inhabits a fundamentally different territorial scope to that in May 1949. Originally a social and ideological counterpart to NATO, it has undergone a central shift in its core modus operandi from an interstate process of protecting the democratic identity of Member States through the medium of human rights to its emerging front line role as an arbiter of liberal human rights through the medium of individual petition. Considerable problems that threaten to undermine what has been achieved over the fifty years during which the Convention has operated lead one to ask whether there is any point taking such cases at all. This brief essay is split in two sections. Section one analyses the tripartite problem outlined within PACE Resolution 1226 (2000); the inadequate clarity and casuistical nature of Court judgements, characterised by doctrinal uncertainty in the margin of appreciation; the systemic non-implementation of judgments and failure to employ necessary reforms that would avoid further violations, with a case study of the Russian Federation; and a critique of the insufficient rigour and failure of the Committee of Ministers (CoM) to exert enough pressure when supervising the execution of judgments. Section two, explores the central debate between individual and constitutional justice; and the potential impact Protocol 14 may have on the asphyxiating6] Court and CoM. Finally I assess the accomplishments of Strasbourg litigation before returning positively to our initial question with a passionate case for individual petition against the backdrop of a tide of human rights abuse in post-communist accession Europe; the utility of the Interlaken proposals; and preservation of the Human Rights Act 1998. Section One: Problems Theoretical Fault Lines: An Unprincipled Margin The extent to which there is any point to Strasbourg litigation is determined in the first instance by the extent to which the Court can effectively balance its role as a supranational judicial guarantor of liberal individualist human rights, within the CoE framework of upholding and deferring to the thread of pluralist democracy; an intrinsically collective ideal. For McHarg, Strasbourg jurisprudence is characterised by the absence of a conceptual framework integrating a preferable rights model with a defensible conception of the public interest. Greer agrees, highlighting unresolved normative, institutional, and adjudicative questions, and the failure of the Court to deliver a concrete body of jurisprudence and constitutional authority. The result formulaic, thin decisions and un-ordered interpretive principles, at best devaluing Convention rights and at worst denying them. This dichotomy is played out through the margin of appreciation doctrine; the latitude given to States Parties based on their better position with the facts on the ground. ECHR protections are not absolute, but relative; they are subject to exceptions permitting infringement of the fundamental right or freedom, specifically defined within paragraph two of Articles 8-11; and under Article 15 (A15) can be erased altogether to the extent strictly required by the exigencies of the situation. These express definitional restrictions remind us of Bentham; this, we see, is saying nothing: it leaves the law just as free and unfettered as it found it. Strict judicial interpretation and objectivity are critical to the defence of Convention rights in the context of these exceptions. The flexibility of the margin is for Waldock advantageous to the evolutive nature of Strasbourg Jurisprudence, and for Dr Arai-Takahashi value pluralism being the fundamental prerequisite and virtue of a liberal democratic society, a set of standardised rules would devalue regional legitimacy and richness of cultural values and traditions among member states. The CoE is clear in its aim to promote awareness and encourage the development of Europes cultural identity and diversity.That Convention rights are relative is a moot point for realist theorists, since States Parties would never have been willing to be bound by the Convention in the first place without safeguarding their democratic sovereignty. Yet McHarg notes the paradox in a legal scheme which is supposed to protect the individual against the collective, sanctioning limitations to rights on collective grounds. How far in practice does the ECtHR go towards fulfilling the supervisory function it refers to in Handyside v UK (1976)? To what extent does Osts assertion that there is never an unchallengeable margin hold true? McHarg talks of doctrinal uncertainty while Jones points out that even the Courts president has acknowledged the justification to some extent of criticism of the doctrines lack of precision and use without principled standards. Fiercer critics lambast the abdication of the Courts enforcement responsibility. Dembour questions if Convention rights are so full of contradictions that they are useless? It is intrinsic to the dichotomy between international individual rights protections and the national collective interest that the margin of appreciation occupies a middle position between subjectivity and objectivity; between a burden of proof firmly on the government on one hand and on the other of wide deference to it. In Lawless v. Ireland (1961), Waldock asserted: a Governments discharge of responsibilities is a problem of appreciating complex factors and balancing conflicting considerations of the public interest; once the Court is satisfied that the appreciation is on the margin the interest the public itself has in effective Government and maintenance of order justifies and requires a decision in favour of the legality of the Governments appreciation; Simpson saw this reflecting an implicit determination to back the authorities. Dembour and Jones respective assessments of further A15 derogations demonstrate consistently deferential applications of the margin, and reluctance to objectively scrutinise the existence of an emergency or of the measures implemented to tackle it. In Greece v. United Kingdom (1958), the Commission argued that the assessment whether or not a public danger threatening the life of the nation existed is a question of appreciation; determining the validity of the repressive measures employed, the UK government enjoyed a certain discretion. Such a position is clearly evident in Ireland v. United Kingdom (1978), confirmed in Brannigan v. McBride (1993), both concerning A15 derogations of Article 5 with regard to the detention of suspects in Ireland. Several problems arise from the rationale employed in these cases. Dembour draws our attention to the absence of a factually and theoretically strict analysis impossible to justify in human rights terms. Indeed, the inevitability of a wide margin in the context of A15 derogations, led Judge Martens to assert that there is no justification for leaving a wide margin because the Court, being the last resort protector, is called upon to strictly scrutinise every derogation. Jones contends a state of emergency objectively determinable if a national government has evidence of such a situation, he asks why this is not capable of assessment by an international Court? Implementation: A pessimistic view is well founded Strasbourg jurisprudence has demonstrated the capability of the Court to robustly uphold Convention rights from major shows of arbitrariness, ensuring a degree of justice for applicants and families, international attention, accountability in relation to serious violations, and domestic legislative change. Notwithstanding the significance of such supranational decisions, analysis of the pending caseload (some 116,800 cases in October 2009), reveals a Court facing unsustainable pressure from repetitive cases concerned with structural problems in civil, criminal and administrative proceedings; serious pervasive human rights abuses; and unacceptable delays in the implementation of judgements. Implementation remains the Achilles heel of the Convention system, A brief case study of Russia underscores the gravity of the situation. It is the irony of history that the Russian Federation now occupies a key position in the very organisation established to provide European unity and security in the face of Soviet communism. Comprising 27.3% (31,850) of all pending applications at the ECtHR, the Medvedev Government faces protracted challenges in its attempts to develop civil and economic freedoms ending the legal nihilism that is seriously hindering modern development. I write following the death in Butyrka prison of Sergei Magnitsky, an anti-corruption lawyer acting for HSBC / Hermitage Capital in the $230m tax fraud case. This case and the ongoing second Khordokovsky trial are emblematic of structural defects in the Russian criminal justice system and procuratura that have lead to the accusation and incarceration of many innocent persons. Other important cases demonstrate the gravity of the situation, including Gusinskiy v Russia, Ilascu and Others v Moldova and Russia, the first six Chechen cases, Shamayev and 12 others v Russia and Georgia and Aleksanyan v Russia. Leutheusser-Schnarrenbergers recent PACE report on politically motivated abuses of the criminal justice system is a powerful indictment of the failure of the Russian Federation to entrench a meaningful institutional framework that engages with the rule of law. The report highlights a multi-layered problematic of political and hierarchical vectors of pressure on judges to secure convictions; retrogressive legislative proposals that call into questions Putins implementation of jury trial; the endemic failure to safeguard defence lawyers from coercion and realise a truly independent objective procedure for their selection and quality; serious investigative flaws; and unremitting legal nihilism. The systemic pervasive abuse of human rights in Chechnya represents perhaps the most serious Convention violations. It is here that PACE and the CoM face their most urgent challenges. Bowring draws our attention to the recent memorandum on the North Caucasus, exposing violations by security forces, including enforced disappearances, torture, extrajudicial executions; and impunity for these violations of international law; while Leach candidly outlines the scope and extent of the crisis; the first Chechen cases demonstrate the real limitations of the individual rights mechanism of the European Court as a forum for resolving wide scale, systemic and serious human rights violations. In his recent visit to Birkbeck College, Leach vividly underscored the paradoxical and lamentable and legally unsatisfactory problem of non-disclosure (ND) of domestic case files, in spite of repeated requests made by the Court. 33 of the 37 Chechen judgments have been characterised by this problem, notably Basayeva and Others v. Russia and Bitayeva and X v. Russia and Isayeva, Yusopova and Bazayeva v. Russia. The Court in Bazorkina v. Russia pointed out that documents of the criminal investigation are fundamental to the establishment of the facts and their absence may prejudice the Courts proper examination of the compliant both at the admissibility and merits stage. Chechnya aside, Leach identifies a further threefold problem of implementation vis-Ã  -vis Russia, confirmed in Pourgourides 2008 CLAHR Report; deficient judicial review over pre-trial detention, resulting in excessive periods of detention and overcrowding; the Nadzor procedure supervisory review of final judicial dec isions; and the urgent complex problem of the non-enforcement of domestic judicial decisions against the state In the context of these problems, can there be any hope for optimism? Bowring draws our attention to the often ignored historical context which has characterised Russia as part of a long and complex relationship with human rights and with the rule of law and judicial independence, which are its essential underpinning. It is in this context he argues that the ECHR, rather than an alien implantis to a large extent a restoration of the reforms of the 1860s. Ghorkova contends current legal reforms and the creation of the rule of law and a civil society with the appropriate structures and mechanisms to protect human rights and fundamental freedoms as well as the participation in the activities of the Council of Europe, are wholly in line with Russian Interests. Behind Russias posturing is, according to Bowring a serious engagement with international law its commitment in terms of diplomatic and financial resources is substantial; and compliance with its obligations indeed, in 2007 the ECtHR heard 192 complaints against Russia. Russia won just 6 and paid in full the orders for compensation in every case. In addition, in a wider sense, Leach points out the pre-eminent position of the CoE vis-Ã  -vis Russia in view of the inability of the United Nations effectively to sanction Russia over human rights abuses, and as a result of Russian suspicion about the motives and aims of the OSCE. Entrenching the rule of law in Russia will be a slow process. However, the mechanisms for its success are at least in legislative terms visible. It is my contention that through the work of the CoE and ECtHR, the Russian Federation will make a true engagement with human rights. As we shall explore below, the right of individual petition is an essential part of this process. It is easy to dismiss the Court as having failed in its mission when confronted by the ongoing abuses of rights in Russia. Yet this depends on how one defines success. From Systemic Individual Justice to an Abstract Constitutional identity The critical mass of applications lodged coupled with systemic non implementation of Court judgements has led Wildhaber to a paradoxical observation; that the quantum leap in recognising the individual as a subject of international law, has reduced the capability of the ECtHR to ensure the safeguarding of the individual from violations of Convention rights. That the Courts well noted asphyxiation is intrinsically related to the right of individual recourse is clear. De Vries April 2009 CLAHR Report lays bare the unsustainable increase in applications, principally in the wake of post-communist accession, underscoring the urgent need to tackle obviously inadmissible cases; repetitive cases that concern established systemic defects; and to concentrate on the most important cases. The inferences drawn from these stark figures have been decisive shaping proposals to ameliorate the crisis; but moreover reveal the wider battle for the soul of the ECHR borne out of competing understandings of the Courts function. The crippling application rate is for Greer emblematic of the intrinsic failure of the CoE structure to systematically deliver individual justice; intrinsic since individual recourse is a flawed paradigm. Foremost, the Convention system was, according to Greer, simply not designed as a conduit for the fulfilment of individual human rights through the medium of individual petition, but rather the protection of democratic identity through the medium of human rights. Its contemporary utility is thus encouraging European public organisational, legal and ideological parity though articulation of an abstract constitutional model member states should then apply. Greer goes on to cast doubt over the possibility of the ability of the Convention system to deliver systematic justice to every applicant, concluding that given this individual justice becomes arbitrary. Finally, he argues that where cases are adjudicated in favour of the applicant, they are often hollow victories marked by symbolic rather than instrumental awards of just satisfaction, but beyond that little else. Consequentially he argues the urgent need to that the cases the Court does select for adjudication represent the most serious Convention compliance problems in Europe, and that they are settled with maximum authority and impact. Wildhaber agrees, the need for the Court to concentrate its efforts on decisions of principle However, for Sir Stephen Sedley, the proposal to introduce a discretion to refuse to entertain cases which are legally admissible is a counsel of despair; to do this would be to abandon the Courts crucial role, which is not that of a Supreme Court, but that of a tribunal of last resort for citizens of non-compliant states. This, he argues may be attractive to judges but is less attractive to citizens of sates which persistently or systematically fail to observe the convention. And this is less attractive still in light of the concern that amendments to the admissibility criteria will restrict the right of individuals to seek redress at the European Court, without ade quately tackling the problem of the increasing number of Convention violations across Europe. Conclusion: Why Bother? Camerons renewed pledge to repatriate the Human Rights Act (1998) (HRA) with a British bill of rights to better tailor, but also strengthen, the protection of our core rights may soon be a reality. DPP Kier Starmer has made an impassioned defence of the HRA and broad impact of Convention jurisprudence on the CPS: the common law sometimes struggles with a coherent approach to human rights; the Human Rights Act is an essential component of the framework within which everyones rights may be protected. The ECHR has shored up the right to a fair trial in the UK, the CPS underscoring the relationship between Article 6 and its work securing the fairness of trial proceedings in criminal proceedings. It was central to the development of PACE (1984), ensuring formality of interrogation and ending miscarriages of justice through uncorroborated evidence. Regina v Fulling (1987) demonstrates the efficacy of PACE safeguards against evidence collected under oppression, contrary to the ECHR; the meaning of the term (oppression) reflects the wording of Article 3. Starmer underscores the positive obligation on the state to take reasonable steps to protect potential victims from a real and immediate risk to their lives from criminal activity. When they (victims) unfortunately acquire that status, they have the right to an effective investigation. These are rights that spring from the Human Rights Act, not rights that conflict with it. Critically, they are now enforceable in court. Through the application of the ECHR, challenges may be made under Section 78 PACE as to the admissibility of the evidence obtained; and victims have the right to challenge decisions not to prosecute, particularly where they can point to poor decision-making or inappropriate consideration of irrelevant factors in that process. The HRA is central to legal certainty and transparency, and development of a modern public prosecution service prosecuting firmly and fairly, in an open, transparent and independent way; supporting victims and witnesses by enabling, encouraging and supporting their effective participation at all stages in the criminal justice process; and a commitment to respect and protect the human rights of all those affected by our decisions, whether they be victims, witnesses, suspects or defendants. Klug demonstrates the tangible protection of freedom under the Human Rights Act in sixteen important areas; freedom of association; private and family life; freedom of expression and the media; terrorism; torture; jurisdiction in Iraq; protecting the right to life; investigations into deaths; marriage; asylum seekers; disability; mental health; restraint of young people in secure training centres; sexual orientation; race; and gender. A few examples of Case law in these areas make a powerful case for Strasbourg litigation. A and others v UK (2009) held that the incarceration of suspected international terrorists under the Anti-Terrorism, Crime and Security Act 2001 without charge or trial was disproportionate and discriminated on the ground of nationality or immigration status. In R (H) v Mental Health Review Tribunal, the rights of those detained under the Mental Health Act (1983) were bolstered by the shifting burden of proof for continued detention onto the health authority. Prisoners rights have been enhanced, including the granting of voting rights in Goldberg and Others v. Minister of Prisons (1979); the freedom from censorship of correspondence, in Silver and Others v. UK (1980); and changes to cell policies following the racist murder of a prisoner in R (Amin) v SSHD (2003). R (Baiai) v SSHD (2008) was important ensuring the sacrosanct right to marry under Article 12 was free from discrimination on the grounds of immigration status. Leach, in his recent visit to Birkbeck College drew attention to the heart-rending fact finding missions in Anchora in the early 1990s, highlighting serious pervasive violations of the Kurdish minority in South East Turkey. The deplorable case of Aydin v. Turkey (2005) is emblematic of the effect of individual petition and its fundamental importance to the effective protection of the substantive rights and freedoms provided for in the Convention. It is perhaps through this significant programme of litigation, setting key standards in violations of Articles 2, 3 and 5, and delivering access to justice to those most vulnerable and marginalised members of society that the true point of litigation in Strasbourg is made. For those in the North Caucuses, 2009 has been a frightful year, symbolised by the death in Grozny in July of Natalia Estimirova, followed a month later by Zarema Sadulayeva and Alik Dzhabrailov. Through the delivery of constitutional justice those most vulnerable people whose voices so desperately need to be heard will be cut off from the most advanced international system for protecting civil and political liberties. Barkhuysen and Emmerick contend that the Courts constitutional legitimacy and moral authority are derived through providing legal protection to individuals by breaking the State Partys sovereignty. This unique achievement, unprecedented in international must be defended. It is here that the point of Strasbourg litigation is to be found.

Tuesday, August 20, 2019

German Public During WW2

German Public During WW2 To what extent were the German people supportive of Nazi anti-Semitic policy? Only a few years ago, a remarkable book exploded on to the academic scene which initiated a heated and sometimes acrimonious debate amongst historians. The Harvard historian Daniel Goldhagen had argued in his book Hitler’s willing executioners[1] that Germans were culturally predisposed to mistreat and kill Jews. This essay will look the extent to which Germans were supportive of Nazi anti-Semitic policy mainly through the lens of the Goldhagen debate. It will have to explore three interrelated but distinct conceptual questions. Firstly, it will have to determine the nature of the anti-Semitic policies themselves. Secondly, the essay needs to clarify what type of support was typical amongst Germans. Thirdly, the essay needs to ask how support was articulated and how reliable the various types of historical evidence is to reach so dramatic conclusions as Goldhagen did in his work. Goldhagen’s thesis can be summed up briefly by saying that he believes to have identified the single most important motivation of Germans to kill Jews. He writes: ‘[There was a] widespread profound German cultural animus towards Jews that evolved from an early nineteenth century eliminationist form to the more deadly twentieth century incarnation.’[2] While Germans throughout the past two centuries harboured this ‘eliminationist anit-Semitic attitude’ towards the Jewish people, ‘only with the control of Eastern Europe could Germans finally act upon Hitler’s pre-existing exterminationist intentions.’[3] Goldhagen attributes to Germans a general voluntarism and enthusiasm for cruelty in performing their assigned and self-appointed task of exterminating Jews.[4] Goldhagen maintains that all other ways of explaining German anti-Semitic behaviour during the various phases of discriminatory Nazi policy have failed for some reason. The only viable explanation must be, so Goldhagen argues, that Germans were somehow pre-disposed to kill Jews. His claims rests on an analysis of the actions of ordinary Germans, the Police Battalion 101 and their general willingness to execute the exterminationist orders of the Nazi leadership. He then claims that ‘all conventional explanations explicitly or implicitly p osit universal human traits’[5] so that explanations must hold true for everyone. Something Goldhagen insistently rejects. This, he exclaims, is ‘obviously and demonstrably false’[6]. He uses a two-pronged, methodologically questionable, strategy however. First, his thesis undergoes a daring generalisation when he claims that the actions of some Germans, those who willingly engage in mass murder, are indicative of the attitudes of all Germans (something that implicitly accepts by the way the Nazi assumption that assimilated German Jews are not Germans!). The second step is even more audacious methodologically. On some grounds he now claims that this attitudes is a trait specific only to Germans, no one else. He writes: ‘The one explanation adequate to these tasks holds that a demonological anti-Semitism, of the virulent racial variety, was the common structure of the perpetrators cognition, and of German society in general.’[7] In short, Germans killed Jews because they were Germans, and every German would be subscribing to the same eliminationist anti-Semitic attitude. If that is the case, the extent to which Germans were supportive of Nazi anti-Semitic ideology and policy is clear. All Germans potentially supported them, even or especially if this included the physical elimination of the Jewish people. They did so, not because they found Nazi ideology particularly persuasive, or were convinced that this is for the better good of German society, but simply because they were Germans. This identification of an ethnic group with a particular character trait of course is, strictly speaking, no explanation at all.[8] It is a conjecture that awaits evidence and elaboration. Goldhagen provides neither. His logic, as Josef Joffe writes, is simplistic and defies any reasonable historical method. ‘The killers were ordinary Germans, ergo the ordinary Germans were killers.’[9] Goldhagen’s book therefore lack the rigorous methodological standards of any decent historical work. Methodologically his work offers a circular thesis and is conspicuously devoid of argument and evidence. If such a simplistic approach fails to provide an answer to the question, we should look further. First, what was Nazi policy towards the Jews? Historians stress that Nazi policy greatly differed throughout the years of their twelve-year terror reign. Although Hitler had sketched the main outlines of his anti-Semitic attitude even before January 1933 and although Hitler and others were very sympathetic to the sporadic killings, beatings and other reprisals against Jews in German cities, they also feared this would diminish the widespread popular support that the Nazi government enjoyed in the first months after the appointment of Hitler as chancellor. What was needed was to reign in and organise properly the anti-Semitic actions, effectively basing them on a more legal basis and thereby giving them a faà §ade of legitimacy. Behind this problem stood the issue of competency of policy, and a constant state of confusion as to who was responsible for what in the many layers of the new regime. The fact however that Hitler and his inner circle deemed it necessary after coming to power to curtail the actions of the SA and place an ti-Semitic boycotts on a more legal basis indicates that, although many Germans agreed with Hitler’s assessment that Jews had a too prominent role in German economic and social life, they did not necessarily support haphazard, extralegal and sporadic anti-Semitic attacks on a daily basis. The Nazi leadership hence adjusted their policy and from now on favoured a slower approach to eliminating Jews from German public life. Graml notes that a process took place that may be termed the ‘disciplining the persecution of Jews’. He writes: ‘Disciplining the persecution of the Jews meant above all a move away from the terror of the stormtroopers to formal anti-Semitic legislation.’[10] Another significant difference in anti-Semitic policy is equally overlooked by Goldhagen but of great relevance to the question of why Germans supported Nazi policy. With the start of the war in 1939 and the occupation of Poland and other Eastern European countries is became clear that Nazi policy towards Jews distinguished sharply between assimilated German Jews and Sephardic Eastern European Jews. While the former were gradually frozen out of German public life, East European Jews suffered from exterminationist policies almost immediately after the start of the war. The goal of the Nazi leadership with respect to them was immediate and radical obliteration of any Jewish culture and life in this area, something that was eventually extended to the German Jewry as well but only as late as 1943. The difference of treatment is significant since it may indicate that Germans harboured different attitudes to their widely assimilated neighbours and Eastern European Jews. Eventual exterminat ion of German Jews may have been anticipated by the Nazi leadership fairly early on, but the regime lacked the popular support to introduce any radical measures to initiate this process. In fact, historians point out that the progrom of 1938 (Reichskristallnacht) was received with widespread horror and disapproval amongst the German population.[11] The government never engaged in similar boycotts and overt actions against German Jews until the beginning of the war. Graml writes: ‘[to implement] the anti-Semitic message into policy was not simple, other priorities existed, amongst others to solidify their [the Nazi’s] power base. The brutal and open anti-Semitic agitation practiced by the Nazi party failed to make any positive impression at all on the majority of the population.’[12] That does not mean that German Jews did not suffer a horrifying slow marginalisation in German society which culminated in the visible stigmatisation and discrimination of Jews in all parts of public life. Jews were rapidly becoming second class citizens and this process was visible and obvious to every German. It is this process of gradual marginalisation of Jews in German society that probably received most support from ordinary Germans, and which eventually led to a broader acceptance of their ‘final destination’: physical extermination. The broad catalogue of discriminatory measures against German Jews were in effect removing them from German society and ensured that the final step, their physical obliteration, was accepted as inevitable fate as they were increasingly associated with the guilt for war in Nazi propaganda.[13] To summarise, the differences in policy vis-à  -vis Jews in Germany and the occupied territories after the start of the war also elicited different responses by Germans and hence indicate different levels of support. Kulka notes that Germans probably viewed ‘racial legislation as a permanent solution of social, cultural and biological segregation but conditional upon the preservation of public law and order.’[14] Thus Germans distinguished between Eastern European and German Jews, although this differentiation grew less and less significant as the war progressed and as Nazi ideology managed to portray German Jews as similar to those of the Sephardic Jews. The second important issue concerns the constituency of supporters of Nazi ideologies and policy. Who were they? Did they all equally endorse anti-Semitic policies? Goldhagen claims that all ordinary Germans were in fact anti-Semites, and bases this claim on his account of the role of ordinary Germans in the mass killings that occurred in Eastern Europe. His conclusion is a swift and methodologically flawed one: ordinary Germans did the killing, so every ordinary German must potentially be a killer. In this logic, all ordinary Germans would be supportive of the most radically eliminationist policy. A closer look at the evidence reveals a different picture however. Goldhagen was not the first who looked at ‘ordinary Germans’ and emphasised their voluntary and at times sadistic attitude to mass murder. In fact not even the particular focus of his inquiry, the Police Battalions operating in the hinterland of the Eastern front were original. Christopher Browning already published a book on the unparalleled brutality of the Police Battalion 101 and attempts similarly to identify a plausible explanation for the behaviour of the policemen. Although Browning is equally perplexed by the cruelty and viciousness that the policemen displayed throughout the murderous procedures, he rejects any simplistic explanations but instead argues that a whole range of factors may are contributed to the callousness of the men. He stresses in stark contrast to Goldhagen, that at the root of every action lies an individual decision which must be accounted for in individual not generalist terms; an explanatory approach that deeply resonates with the opinion of other scholars.[15] Therefore, dealing with a whole group of murderers, explanations can only sketch some of the most significant factors which may have played a role in stripping the men of their humane and cultural inhibitions. Browning does not shy away from references to the wider German society, but the tone of his propositions is remarkably different to that of Goldhagen. Browning writes: ‘The men of the Reserve Police Battalion 101, like the rest of German society [sic], were immersed in a deluge of racist and anti-Semitic propaganda.’[16] However, he declines to extrapolate from his evidential base to German society as a whole. Instead he is sympathetic to a complex social explanation of their actions. ‘Insidiously, most of those who did not shoot only re-affirmed the ‘macho’ values of the majority according to which it was a positive quality to be ‘tough’ enough to kill unarmed, non-combatant men, women, and children – and tried not to rupture the bonds of comradeship that constituted their social world.’[17] According to Browning, the men were motivated by a raft of socio-psychological aspects not by simply being German. This should illustrate that talking about Germans as a collection of individuals who feature that same preternatural anti-Semitic disposition makes little sense. It fails to acknowledge the variance of opinion on Nazi ideology and policy as well as cannot explain why some become inhibited murderers and others do not. Their ethnic identity (being German) does not add up to be a plausible explanation of their allegedly eliminationist anti-Semitism since it cannot take account of the fact the Germans frequently intermarried with Jews since their emancipation in 1867. German had long ceased to be a homogenous ethnic group, tied together by ‘purity of blood lines’ as Nazi ideology suggested. Now let us proceed to the last issue, the forms in which Germans may have expressed their support for anti-Semitic policies. Again, a methodologically difficulty lies at the heart of this issue. How to distinguish between those who gave their tacit support and those who engaged in demonstrative actions of support? Which form was a more accurate reflection of endorsement for Nazi policies? Historians have pointed out that about half a million Germans were actively involved in the Final Solution, the physical extermination of Jews after 1943. This included administrative work as well as the actual killings. Important sections of the economy and government were directly involved in the killings by providing crucial assistance in terms of resources, material and time to the Holocaust.[18] Interestingly, we do not have to engage in a flight of fancy guess work but have some hard facts that may shed some light on the forms and extent of support for anti-Semitic policies amongst the German population. Nazis as well as the victorious armies conducted extensive surveys that were supposed to demonstrate the extent to which anti-Semitism messages were favourably received by the German population. Kulka sums up the evidence: ‘the post 1945 surveys†¦ give [us] a reliable indication of attitudes amongst Germans: twenty percent were supportive of Nazi policies towards Jews; nineteen percent were generally in favour [of anti-Semitic policies] but said that Hitler had gone too far. Overall the surveys found that identification with the Final Solution was quite widespread among the public in the Third Reich.’[19] The question however remains whether the silence on the Holocaust was due to indifference or reflected endorsement of physical elimination of Jews. Norbert Frei argues that the extent to which workers had been won over by Nazi policies may give us a reliable clue as to the amount of support. He argues that the Nazi slogan of Volksgemeinschaft (people’s community) somehow captures the essence of anti-Semitism and the gradual acceptance of this idea would in turn show how far Germans had consented to discriminatory measures against Jews. By the mid 1930s, Frei argues, the German workers had virtually be convinced the idea of people’s community was constitutive for German society, a concept that would preclude any participation of Jews in German public life.[20] This hints at those pockets of resistance to Nazi propaganda which many historians conventionally identify as conservative, catholic milieus and whose resilience to Nazi propaganda can only be explained by social and cultural factors, an explanation that Goldhagen explicitly rejects. Overall, to what extent were Germans really supportive of anti-Semitic policies? The question evokes a complex answer. Policy changed throughout the regime and hence the degree of support differed. Also, policies varied with regard to different ethnic groups of Jews throughout Europe, and so did the response and support of Germans for these policies. And finally, German people were not a unitary entity. Their responses to Nazi policy was influenced by their educational, cultural, religious and social background, by the different level of sympathy for the wider Nazi ideology, as well as by the way in which they were affected themselves by Nazi policies throughout the regime. Given this wide range of variances, no serious historian can offer only one universal portrait of German support for anti-Semitic measures. Bibliography Christopher R. Browning. Ordinary Men. Reserve Police Battalion 101 and the Final Solution in Poland. New York: Harper Collins 1992. Norbert Frei. People’s Community and War: Hitler’s Popular Support. In Hans Mommsen (ed.). The Third Reich between Vision and Reality. New Perspectives on German History 1918-1945. Oxford New York: Berg 2001. Daniel Jonah Goldhagen. Hitler’s Willing Executioners. Ordinary Germans and the Holocaust. London: Abacus 1996. Hermann Graml. Anti-Semitism in the Third Reich. Oxford: Blackwell 1992. Josef Joffe. ‘The Killers were ordinary Germans, ergo the ordinary Germans were killers’: The Logic, the Language and the Meaning of a Book that conquered Germany. In Robert R. Shandley (ed.). Unwilling Germans? The Goldhagen Debate. London: University of Minnesota Press 1998. Otto Dov Kulka. The German Population and the Jews: State of Research and New Perspectives. In David Bankier (ed.). Probing the Depths of German Anti-Semitism. German Society and the Persecution of the Jews, 1933-1941. Jerusalem: Yad Vashem 2000. Hans Mommsen. From Weimar to Auschwitz. Essays in German History. Cambridge: Polity 1991. P.G.J. Pulzer. The Rise of Political Anti-Semitism in Germany and Austria. New York e.a.: Wiley 1964. Roger W. Smith. ‘Ordinary Germans’, the Holocaust, and Responsibility: Hitler’s Willing Executioners in Moral Perspective. In Franklyn H. Littell (ed.). Hyping the Holocaust. Scholars answer Goldhagen. Merion Station 1997. 1 Footnotes [1] Daniel Jonah Goldhagen. Hitler’s Willing Executioners. Ordinary Germans and the Holocaust. London: Abacus 1996. [2] Goldhagen, Willing Executioners, p.375. [3] Goldhagen, Willing Executioners, p.375. [4] Goldhagen, Willing Executioners, p.375. [5] Goldhagen, Willing Executioners, p.389. [6] Goldhagen, Willing Executioners, p.389. [7] Goldhagen, Willing Executioners, p.392. [8] Cf. Roger W. Smith. ‘Ordinary Germans’, the Holocaust, and Responsibility: Hitler’s Willing Executioners in Moral Perspective. In Franklyn H. Littell (ed.). Hyping the Holocaust. Scholars answer Goldhagen. Merion Station 1997, p.48-49. [9] Josef Joffe. ‘The Killers were ordinary Germans, ergo the ordinary Germans were killers’: The Logic, the Language and the Meaning of a Book that conquered Germany. In Robert R. Shandley (ed.). Unwilling Germans? The Goldhagen Debate. London: University of Minnesota Press 1998, p.217. [10] Hermann Graml. Anti-Semitism in the Third Reich. Oxford: Blackwell 1992, p.96. [11] Hans Mommsen. From Weimar to Auschwitz. Essays in German History. Cambridge: Polity 1991, p.241. [12] Graml, Anti-Semitism, p.89. [13] Otto Dov Kulka. The German Population and the Jews: State of Research and New Perspectives. In David Bankier (ed.). Probing the Depths of German Anti-Semitism. German Society and the Persecution of the Jews, 1933-1941. Jerusalem: Yad Vashem 2000, p.274. [14] Kulka, Population, p.273. [15] Cf. P.G.J. Pulzer. The Rise of Political Anti-Semitism in Germany and Austria. New York e.a.: Wiley 1964, p.31. [16] Christopher R. Browning. Ordinary Men. Reserve Police Battalion 101 and the Final Solution in Poland. New York: Harper Collins 1992, p.184 [17] Browning, Ordinary Men, p.185. [18] Mommsen, Weimar, p.225. [19] Kulka, Population, p.279f. [20] Norbert Frei. People’s Community and War: Hitler’s Popular Support. In Hans Mommsen (ed.). The Third Reich between Vision and Reality. New Perspectives on German History 1918-1945. Oxford New York: Berg 2001, p.63.

Monday, August 19, 2019

Politeness - a comparison between Chinese and English :: essays research papers

Table of contents 1. Introduction   Ã‚  Ã‚  Ã‚  Ã‚  2 2. Politeness – a theoretical approach  Ã‚  Ã‚  Ã‚  Ã‚  3 3. the concept of limao  Ã‚  Ã‚  Ã‚  Ã‚  4 4. Request strategies  Ã‚  Ã‚  Ã‚  Ã‚  4   Ã‚  Ã‚  Ã‚  Ã‚  4.1. Request strategies in Chinese  Ã‚  Ã‚  Ã‚  Ã‚  4   Ã‚  Ã‚  Ã‚  Ã‚  4.2. Request strategies in English  Ã‚  Ã‚  Ã‚  Ã‚  5 5. Forms of address  Ã‚  Ã‚  Ã‚  Ã‚  6   Ã‚  Ã‚  Ã‚  Ã‚  5.1. Forms of address in Chinese  Ã‚  Ã‚  Ã‚  Ã‚  6   Ã‚  Ã‚  Ã‚  Ã‚  5.2. Forms of address in English  Ã‚  Ã‚  Ã‚  Ã‚  7 6. Chinese: Politeness across social groups  Ã‚  Ã‚  Ã‚  Ã‚  8 7. Conclusion  Ã‚  Ã‚  Ã‚  Ã‚  9 References  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  11 1. Introduction In many parts of this world, former existing borders are removed and people move closer together. It has to be admitted that most of the time this happens due to economical reasons, and the phenomenon of mass media has to be mentioned in this context as well. Therefore it becomes even more important to be able to understand cultures of different life-styles. But the success or failure of communication does not only depend on how well a language is spoken, but also on intonation and body language. Dr. Mehrabian, a prominent and successful psychologist, is perhaps best known for the investigation of the role of non-verbal communication. He published findings indicating that spoken words only account for 7% of what a listener perceives. The remaining 93% of what a listener comprehends originate from the speaker's body language and tone employed in the delivery of the words. Not only because of studies like this, non-verbal communication plays an important role when studying language in its social context. A very interesting topic in this large field is politeness, since forms of politeness are often misinterpreted and lead to misunderstandings. So I chose to have a closer look at the differences between politeness in Chinese and English. Since it is very difficult to collect data concerning politeness in the language of Chinese, this paper is theory-based only. Nevertheless, many books that cover this topic can be found. Some of the books used for the research of this paper were written by native speakers of Chinese, which is an indication for the author’s competence of the language. Therefore, collecting additional data would not only have been difficult, but also inefficient. This paper will deal with the topic of request strategies used by speakers of the People’s Republic of China and the terms of address in Chinese and English. Besides, it will focus on request strategies across societal structures and social groups. In addition, it will discuss the concept of limao, the traditional concept of politeness in China. This paper will not allow to cover all important issues concerning this topic, but it shall give a rough overview and should give the reader an incentive to have a closer look at this field of study.