Thursday, October 31, 2019

Financial Services Essay Example | Topics and Well Written Essays - 5000 words

Financial Services - Essay Example ave assumed new perspectives with most of the advisory services being focused on marketing specific financial products to the customers rather than highlighting the potential benefits, scope and efficiency of different products. The financial advisor receives commission based on the sales of the specific financial product. In view of this lack of transparency and increasing variation in financial charges by service providers are considered the primary reason behind the framing of the Retail Distribution Review (RDR). The RDR was initiated by the Financial Services Authority (FSA) in June 2006 with the primary objective of shifting the retail financial service industry away from commission based revenue paid by customers for financial advice. The RDR proposes to remove such practices and provide a ground for fair customer treatment. â€Å"Under the proposed FSA rules, an advisor firm will be prohibited from holding itself out to a retail client as acting independently unless the advisory service that it offers to the client is unbiased and unrestricted; and based on a comprehensive and fair analysis of the relevant market† (Smith, 2009). The key features of the RDR are improving the clarity for customers about financial advisory services, addressing the potential for remuneration bias, and increasing the potential standards of advisors (Davies, 2009). The RDR will have an impact on any financial institutions or agencies involved in retail investment dealings, trading and professional bodies, financial product providers, advisory firms, distributors, investment advisors, banks, building societies, mutual funds, and consumers (Davies, 2009). To gain an improved understanding of the impact of RDR on retail investment markets, firms should conduct an impact analysis to evaluate the effects of this framework on their business (KPMG, 2010). There are number of challenges facing the effective implementation of RDR in the present industry environment and existing business

Tuesday, October 29, 2019

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

Fish - Essay Example The success of tilapia fishing has been its profitable aspect due to its omnivorous feeding habits, its rapid growth that allow high populations in the ponds, its high tolerance level allows the species to be harvested in large quantity (Halweil and Mastny, 56). The reason for tilapia farming is that its farming helps in the acquirement of Omega 6 and Omega 3 that are so important in the human body. Tilapia farming has also helped to reduce the disease occurrence of the fish species. Tilapia population in the world is around 1,500000 metric tonnes. Trout fish are a native fish of the north west America parts, but in the recent days they have been introduced into the rest of the world. The most cultivated trout are the rainbow trout due to its hardy species. It has been a successful farming because of the tolerability of the fish species in a wide range of temperatures (0-27ÌŠ C), trout fish are also farmed due to their ability to survive in fresh water. The population of trout in Britain is 16000 tonnes each year. The farming of trout in ponds and cages in the world has really helped in controlling its wild population because wild trout help in cleaning the river streams and oxygenation of the water (Halweil and Mastny, 63). Carp fish are of many different types such as common carp, grass carp among other types. Carp fish is a native fish from the Asia and Europe. Carp fish has a hurting effect on the other wild fish, this is because they interfere with the vegetation found on the sea bed, and hence other fish starve to death or migrate to other areas (Halweil and Mastny, 67). Fish farming has had a negative effect on the environment in the world. Most of the wet areas along the coast of the planets have been dried up as most of them are cleared in order to create space for putting up a fish farm. The mangrove vegetation is cut down for easy flow of water (Halweil and Mastny 2008). It is known that fish

Sunday, October 27, 2019

The Zero Crossing Detector Engineering Essay

The Zero Crossing Detector Engineering Essay The X 10 transmitter sends data timed with the zero crossing of the power line, thus each unit needs to have a built-in zero crossing detectors. Mainly, the X10 manufactures are using PIC16F8XXX family to detect zero crossing by applying the external interrupt on the RB0 pin, which links to the power line through 5M resistance (to limit the current into the PICmicro) as it is shown in the figure 00. The PICmicro has a protection diodes which are designed to clamp any voltage higher than VDD or lower than VSS. Thus, when a negative half cycle of the AC voltage is applied, the RB0 pin clamps the voltage to VSS 0.5V, this can be interpreted as a logic-0. At the same time, as the AC voltage rises to or over VDD, the logical value will become logic-1. RB-0 is configured for external interrupts, whereas the input buffer is a Schmitt trigger. Therefore, the input threshold (0.2 VDD = 1V) on the falling edge and (0.8 VDD = 4V) on a rising edge. So there is an interrupt occurs on every zero crossing. The following equation is used to calculate the RB0 pin state which will change in relative to the zero crossing V = Vpk*sin(2*Ġ¢*f*t), where Vpk = 320Vand f = 50 Hz On the rising edge, RB0 can go high about 64  µ s after the zero-crossing. However, on the falling edge, it can go low about 16 ÃŽ ¼s before the zero-crossing. 120 kHz Carrier Generator X-10 transmitters use 1msec bursts of a 120 kHz to send information over 50 Hz power lines. Different techniques could be used in order to generate 120 kHz, however, in x10 units are mainly use one of the PICmicro MCUs CCP modules as it is shown in the figure100. The CCP (Capture/Compare/PWM) module of PIC 16F67xA is used in PWM mode to produce a 120 kHz square-wave with a half duty cycle of (50% of the duty cycle). In order to generate the carrier frequency of 120 kHz, the system oscillator capacity was chosen to be 7.680 MHz, Where the frequency of the PWM is the inverse of the period (1/period) And since one instruction is taking four oscillation periods we come up with the term of 4Tosc Main oscillator is 7.680MHz, Tosc = 1/7.680MHz PWM period = 1/120 kHz = 8.333 µs PWM period = [(PR2) + 1] * 4 * Tosc * (TMR2 prescale value) = [(0) + 1] * 4 * 1/7.680MHz * (16) = 8.333 µs After initialization, the CCP (Capture/Compare/PWM) is always enabled, and the register TRISC bit is used to gate On and Off the PWM output. By sitting the TRISC bit = 1, then the pin is an input and the 120 kHz signal is blocked and not accessible to the pin, other than When the TRISC bit = 0, the pin becomes an output and the 120 kHz signal is free and coupled to the AC power line. Before the 120 kHz coupled to the powerline, it will pass through 200à ¢Ã¢â‚¬Å¾Ã‚ ¦ resistance, a transistor amplifier and high pass filter as depicted in the Figure 5. Since the impedance of a capacitor is Zc = 1/(2*Ġ¢*f*C), If f = 120kHz Zc = 1/(2*Ġ¢*120k*0.1*10-6) If f = 50kHz Zc = 1/(2*Ġ¢*50k*0.1*10-6) The capacitor of the high pass filter is equal to 0.1 ÃŽ ¼F which presents low impedance to the 120 kHz carrier frequency, but with 50 Hz power line frequency it will present high impedance. Therefore high pass filter will safely couple the 120 kHz signal to the 50 Hz power line. Finally, the 12 kHz signal should well match with the synchronize of zero crossing with maximum delay about 300 ÃŽ ¼s from the zero-crossing to the beginning of the X-10 envelope in order to be compatible with other x10 receiver. Since the maximum delay of the zero-crossing detector = 64 ÃŽ ¼s 300 ÃŽ ¼s 64 ÃŽ ¼s = 236 ÃŽ ¼s Thus the firmware must begin the transmission of the 120 kHz envelope with maximum time of 236 ÃŽ ¼s after detection of the zero-crossing to. 120 kHz Carrier Detector In order to receive a x10 signal, it is essential to detect the presence of the 120 kHz signal on the 50Hz AC power line. This application requires a specific hardware structure which? contains three blocks placed between the PIC and the power line and subsequence the 120 kHz carrier will bass through all of them to reached RC pin of the PIC. The first block from the power line side is the decoupling capacitor which contains e a 0.1 µ capacitor in parallel with 1Mà ¢Ã¢â‚¬Å¾Ã‚ ¦ resistance. The next one is the high bass filter and the final one is the envelop detector which is connected to the PC pin of the PIC as it shown in figureXX. Since the impedance of a decoupling capacitor is Zc = 1/ (2*Ġ¢*f*C), If f = 120 kHz Zc = 1/ (2*Ġ¢*120k*0.1*10-6) =1/ 0.075 = 13.26 à ¢Ã¢â‚¬Å¾Ã‚ ¦ Zc of 120 kHz = 13.26 à ¢Ã¢â‚¬Å¾Ã‚ ¦ If f = 50 kHz Zc = 1/ (2*Ġ¢*50*0.1*10-6) = 1/3110^-6 = 32.25 k à ¢Ã¢â‚¬Å¾Ã‚ ¦ Zc of 50 Hz = 32.25 k à ¢Ã¢â‚¬Å¾Ã‚ ¦ The capacitor of the decoupling filter is equal to 0.1 ÃŽ ¼ farad which is presenting low impedance (13.26 à ¢Ã¢â‚¬Å¾Ã‚ ¦) to the 120 kHz carrier frequency, but with 50 Hz power line frequency it will present high impedance (32.25 k à ¢Ã¢â‚¬Å¾Ã‚ ¦). Therefore the decoupling filter will safely couple the 120 kHz signal detector to the 50 Hz power line and allow only 120 kHz to bass through it. The next block is another high pass filter, design an RC filter that will pass only 120 kHz carrier and attenuate the entire 50Hz. The second high pass filter scheme is shown below Where the high pass filter characteristics is shown in the next scheme ωp is the passband edge of the high pass filter ωp = 1 / CR where C = 150 pF and R = 33 k à ¢Ã¢â‚¬Å¾Ã‚ ¦ ωp = 2 Ġ¢ fp fp = 1 / 2*Ġ¢*C*R fp = 1/(2*3.14*33*10^3*150*10^-9). fp = 32 kHz. Where, fp is the frequency of the passband edge that will assures all the 50 Hz signal is completely attenuated, at the same time as the 120 kHz signal is passed through the filter to the amplifier stages. The signals are inter the amplifier stage with a value between ten millivolts to a few hundred millivolts. The module must amplify the carrier to certain limit and converted to a logic level signal that the PIC can detect. The amplification, however, must be carefully selected in order to prevent the signal will pass through the first stage which is the tuned amplifier stage where the 120 kHz signal is amplified by using a series of 4069UB inverters to configure as high gain amplifiers. The tuned amplifiers operate with peak response at 120 kHz at the first two stages while the next two stages are untuned amplifier but provide additional amplification. The amplified 120 kHz signal is passed to the envelope detector block which is containing a diode, capacitor, and resistor. The out put of the envelope detector is buffered through an inverter and finally the inverse of the amplified 120 kHz is presented to an input pin (RC3) of the PIC16F8xxx. When the zero crossing is interrupt the RC3 will checked to see whether or not the carrier is present within the 1 ms transmission envelope. A stream of 1 volt is representing the presence of the carrier while 0 is the absence of the carrier. Transformerless Power Supply X10 modules used PIC16F877A or any other PIC requires a 5V supply to feed the board circuit. Since X-10 units are intended to be plugged into a wall outlet, a transformerless power supply is used to provide the require voltage. There are two significant characteristics of transformerless supplies that should be kept in mind: lack of isolation from the 240 volt AC and limited current capacity. Figure00 illustrates the transformerless power supply diagram used in this application. As it shown in figure00, a 220v VDR (voltage dependent resistor) being and connected between Line and Neutra to protect the circuit from spikes on the AC power line. 1Mà ¢Ã¢â‚¬Å¾Ã‚ ¦ resister connects in parallel with two capacitors to provide a discharge path for the voltage left on the capacitors when the module is unplugged from the wall. The voltage across 1000Mfarad was rectified by using two diodes and finally a 5.1V Zener diode to produce a 5V supply for the circuit. Load Switch There are two options to control a mains rated load, either to use a Triac or a relay. Electrical designers used relays in many different applications because they are suitable for very high power loads and very low power loads also when the main rated load need to be isolated and finally when the load require a relatively slow toggling rates. A Triac is the best option for switching non isolated medium power loads and they have a rapid switching capability and subsequence they are very suitable for dimming and lamp control. x10 manufacturer used a Triac as a load switch of the x10 units because its medium power switching capacity and most of the home appliances are consumes a medium power. In addition, Triacs are an inexpensive three-terminal device designed to switch a medium current load and has been used extensively in home appliances such as lamp dimmers and motor speed controllers. The main two terminals M1 and M2 are wired in series with the load figure00. A Triac is, three-te rminal device that acts as a high-speed, bidirectional AC switch, two terminals, MT1 and MT2, are wired in series with the load. A small trigger current between MT1 and the gate allow conduction to occur between MT2 and MT1.when the latching occur between M1 and M2, the load current continues to flow even after the gate current is disconnected, as long as the load current exceeds the latching value. Therefore, when the 50Hz AC voltage falls below the latching voltage near each zero-crossing, the Triac will automatically switch off. There are two ways to maintain the load current beyond each single half cycle of the 50Hz AC supply, either the gate current have to be maintained continuously or the triac have to be retriggered each half-cycle of 50Hz. the advantage of the pulse trigger is that only lower average current is required. Typically, the trigger pulse duration must be long enough for the load current in order to reach the latching current. A L4008L6 Triac was selected for X10 module because it has a sensitive gate that the logic level output of the PIC MCU I/O pin will directly control it. Although, the PIC MCU can provide only positive voltages to the gate, the sensitive gate Triac can control the alternative AC current in both directions through the device. A lamp dimmer can be created by including a delay between the time that the trigger current is provided to the Triac from the PIC MCU and the time of each zero-crossing. In other words, TRIACs can be used to control the brightness of a light by switching the 50Hz AC power on part-way through each half cycle (Figure 2 and Figure 3). Therefore x10 maker allows the PIC MCU to directly drive the gate of a TRIAC through a current limiting resistor. By controlling the power-line cycle, the PIC MCU can control the average voltage across the lamp, and therefore the brightness . . .(unclear) http://www3.telus.net/Whalco/SDim.htm ftp://ftp.efo.ru/pub/cypress/psoc/capsense/app/TD-AN_LampDimmerAppNote.pdf http://www.freescale.com/files/microcontrollers/doc/app_note/AN2839.pdf

Friday, October 25, 2019

Global Warming :: Greenhouse Gases Climate Change

For decades and decades, human factories and cars have discharged billions of tons of artificial greenhouse gases into the atmosphere, and the climate has begun to show many signs of global warming. On the other hand, some people want you to believe that global warming does not exist. There are many people who are only out for personal gain and are outright liars. According to a scientist at NASA "Global warming is the single largest threat to our planet"(Weier 2002). Over the past two hundred years we have seen significant changes in the effects on our environment, primarily due to humans and both their lack of awareness, or their total disregard for the effects that their actions have on the environment. Global warming is one of our toughest environmental challenges. It threatens the health of people, wildlife and economies around the world. The problem is carbon dioxide and other heat-trapping pollution. This pollution mainly comes from cars, power plants and other industrial sources that burn gasoline, coal and other fossil fuels. This matter collects like a blanket in our atmosphere. As a result, the planet gets warmer. We can say that the amount of radiation from the sun that reaches the earth each year has been fairly consistent from year to year and century to century until recently. Thirty percent of the total solar energy that strikes the earth is reflected back into space by clouds, atmospheric aerosols, reflective ground surfaces, and even ocean surf. Seventy percent of the solar energy is absorbed by the land, air and oceans.  ¡Ã‚ °The absorbed light is mostly in the form ultraviolet and near infrared solar radiation ¡Ã‚ ±(Weier 2002). Absorption of this solar energy makes life on this planet possible. The energy does not stay bound up forever. If it did our planet would wind up being hotter than the sun. Instead, when the rocks, air, and sea heat up, they give off thermal radiation, which escapes into space and allows it to cool down. This radiation is invisible to our eyes, but our hands can feel it radiating from a fire or a car engine. What we should be worried about now is that over the past 250 years, we have been artificially raising the concentration of greenhouse gases in our atmosphere. Factories, power plants, and cars, burn coal and gasoline and spit out a seemingly endless stream of carbon dioxide. Power plants are the largest contributors to global warming.

Thursday, October 24, 2019

The Mexican & American Economy

Growth has slowed considerably in early 2001 in response to the hard downturn in the US economy. The Gross Domestic Product (GDP) growth in 2001 is forecast to slow to 2%, from 6.9% in 2000. A rebound of growth in 2002 will depend on an upturn in the U.S. economy and continued conventional economic management. A tightening of monetary policy should enable inflation to fall to under 7% by the end of 2001. With hopes in 2002 of a further reduction in inflation, provided the peso depreciates gradually. The first year of the Fox administration, combined both the fiscal and monetary tightening that will characterize the administration, this will limit GDP growth to only 2% in 2001. A pick-up in growth to 4.5% can be forecast for 2002 as private consumption and export-oriented industrial output rebound with the beginning of a turnaround in the US economy. A sharper slowdown than currently forecast is possible if the US economy goes into recession. A slowing domestic economy, combined with tight monetary and fiscal policy, will ensure that inflation continues to fall in 2001-02, although not as quickly as officials have targeted. With inflation already at single-digit levels and the peso likely to depreciate during the next year, further large reductions in inflation will be difficult to achieve. To reach its inflation target of 6.5% for 2001, Banxico will have to tighten monetary policy again following several tightening moves over the past 12 months. Even considering a relatively tight fiscal deficit target ceiling of 0.6% of GDP, year-end inflation will probably be around 7.5% in 2001 and about 5% in 2002. Positive investor sentiment towards Mexico, fuelled by expectations of an investment upgrade, has resulted in a strengthening of the peso in 2001. However, with the trade deficit widening on the back of the US slowdown and a possible cooling of sentiment towards Mexico, the peso seems bound for depreciation against the US dollar of more than 10% in total during 2001-02. The depreciation would be more severe except for rate cuts by the US Federal Reserve (the US central bank), which began in January and are likely to continue during the year in reaction to a slowing US economy. Both exports and imports will grow at a much slower rate in 2001-02 than in the previous two years, reflecting a slowdown in the US economy as well as in domestic demand. Mexican exporters are facing an unfavorable environment for their products for the first time since the beginning of NAFTA in 1994. In 2000 growth in the import bill outstripped export earnings growth, a trend that will continue into the next year. Were the peso to depreciate more suddenly than currently forecast, export earnings growth could trend higher than import growth, resulting in a downward revision of the forecast for the current-account deficit. If the peso depreciates as expected, the current-account deficit will widen in 2001 and will further expand in 2002.

Wednesday, October 23, 2019

Ptlls Assignment 2

Summarise the key aspects of current legislative requirements and codes of practice relevant to your subject and the type of organisation within which you would like to work. In my future job I will be teaching basic literacy and numeracy skills using ICT. There are normally 15 students to a room sitting at a computer desk with headphones and a computer with keyboard. Basic health and safety is discussed at the induction session detailing emergency exits and the alarm that can be expected in the event of a fire.Ground rules are also discussed which state clearly that no food or drink is to be taken into the main classrooms and all mobile phones must be switched off. According to the Health and Safety at Work Act 1974, under the duties of employers: ‘All working practices must be safe; The work environment must be safe and healthy; All plant and machinery must be kept to a minimum; Safety policies must be stated to all staff. The reasons behind these ground rules are explored fo r example, if drinks are taken into the training classroom they could become a hazard if they were spilt over a computer keyboard or over another learner.Mobile phones can be very disruptive if they go off in the training classroom as they will disturb the other learners who despite the earphones will be able to hear the ring tones. Minton (1991) also states that ‘As a teacher your responsibility for the safety of your students is a legal requirement’. This legal requirement extends to the safeguarding from suspected abuse young people or vulnerable adults and the abuse covered is physical, sexual, emotional, bullying, discrimination and neglect, which all form a part of both the Sex Discrimination Act 1975 and the Race Relations Act 2006.Wherever people gather in groups they can be vulnerable to discrimination. The computer programmes themselves are published with copyright protection under the ‘Data Protections Act 1998’ and all programmes can only be run by learners enrolled on courses with appropriate passwords and registration. Copyright gives the creators certain kinds of material rights to control the ways in which their materials are used. These rights start as soon as the computer programme is accessed and the course is started. All learners are also protected under the Equal Opportunities Act 2006.Under this Act all people must be treated equally regardless of their differences both visible and non visible and treatment of all learners must be free from any kind of discrimination. There are a number of laws that promote equality and diversity and as teachers it is essential that we conform to all legislation to ensure the safety of our students. References Handout Notes Session 2 – 1/10/10/ Health and Safety at Work Act 1974 Sex Discrimination Act 1975 Race Relations Act 1976 Disability Discrimination Act 2005 Data Protection Act 1988 Equal Opportunities Act 2006 Debra Clarke PTLLS Assignment 2

Tuesday, October 22, 2019

Synoptic Healing Stories Of Demon Possession Religion Essay Essays

Synoptic Healing Stories Of Demon Possession Religion Essay Essays Synoptic Healing Stories Of Demon Possession Religion Essay Essay Synoptic Healing Stories Of Demon Possession Religion Essay Essay or signs ( sAâ€Å"meia ) , wonders ( monsters, ever used together with sAâ€Å"meia ) , and works ( erga ) . These footings turn our attending off from the fantastic component as such and stress the theological and symbolic character of Jesus earthly ministry[ 3 ] Alternatively of overtly showing the healings entirely as miracles , frequently holding the significance of violation ( of the Torahs of nature ) , the Gospel authors chose to portray them as Acts of the Apostless of will, a deliberate act to relieve agony. Remembering the Old Testament tradition, God is regarded as a therapist and mending powers originate from God. During their Egyptian imprisonment God tells Israel, I am the Lord, who heals you ( Exod. 15:26 ) Harmonizing to Keil and Delitzsch, it is clear that Jehovah made himself known to the people of Israel as their Doctor .[ 4 ]Certain prophetic figures in the Old Testament are besides portrayed as possessing the ability to mend. The Hebrew words related to mending root from the root  ¤ , which conveys the thought of doing something whole, whether a individual or object.[ 5 ]When mentioning to people, it ever relates to physical healing. It besides signifies Restoration.[ 6 ]Therefore the tradition of significance goes much beyond than a mere miraculous act. Therefore, the term healing as opposed to miracle is more appropriate.[ 7 ] Precedence of Mending Histories of Demon Possession The Gospel healing histories often portray mending as the projecting out of evil liquors from possessed persons. There is common understanding that a major part of Jesus ministry was devoted to mending the ill and executing dispossessions.[ 8 ]In so making early Christianity established a theoretical account of behavior for both sick person and the therapist. Multitudes of persons believing themselves possessed by dirty or evil liquors sought the aid of Jesus and his adherents. How can we understand this historical portraiture, its literary and behavioral world? Does it bear a correspondence to our modern preparation of crowd behavior and ownership? Despite the overplus of folklore or popular cultural portraiture of demon ownership, the Biblical narrations tend, with few exclusions, to be instead meagre in their inside informations sing these events. These inside informations may be found in narratives consisting the huge extra-Biblical tradition about demon ownership ; in comparing, nevertheless, Scriptural narratives of this phenomenon be given to be instead restrained. The repeat of the histories in more than one Gospel and their assortment and item points to the being of some undeniable facts as the footing for the religious healing in early Christianity. The presence of big witnessing groups in the assorted episodes supports the world of the events and argues against the pure innovation of the histories. Persons are wholly healed of their unwellnesss. However there is one case where a individual comes back to Jesus as the healing is non seemingly complete and Jesus heals him once more ( Mk 8:22-25 ) . There is a clear case where the Gospel authors have adhered to the historical genuineness of the histories without trying to conceal the awkward cases.[ 9 ]Osborne makes a important point to this terminal that, [ T ] he fact that the Synoptic histories were written down many old ages after the events does non do them needfully surmise, for as already stated the local colour is unusually faithful to the times of Jesus and shows indicants of acqua intance with the original events. [ 10 ] It is hard to chalk out the congruity of medical specialty and mending narratives. That Jesus understood and appreciated the ability to mend is evident in the Synoptic histories of the healing, even if there is no Biblical grounds to propose that Jesus lent much acceptance to the medicative humanistic disciplines of the twenty-four hours. Of the more than 40 recorded healings in the all the Gospels, three-fourthss of these are straight related to the physical or mental healing of the individual who requests intercession[ 11 ] However, there is merely non adequate information to determine the cause of the medical conditions in the Gospel acA ­counts, which are missing in descriptions of medical history and other item. In the terminal, it becomes hard to do any difficult and fast statements about JeA ­sus attitude toward medical healing as practiced by doctors based on the Gospel accounts entirely. This presents a practical job of kinds for anyone wishing to understand Jesus relationship to medicate: how to accommodate the evident neutrality of Jesus toward the medicinal coupled with his signifiA ­cant ministerial attending to the sick? For Jesus, the procedure of the mending instead than a quick-fix miracle seems to be more relevant. Why is this specific survey of mending narratives related to demon ownership and dispossession important? Geza Vermes provinces: Jesus himself defined his indispensable ministry in footings of dispossession and healing, but even if those words are non Jesus ain but the revivalist s, they reflect the house and consentaneous testimony of the whole Synoptic tradition. [ 12 ] If we turn to the Synoptic Gospel authors, even a brief study reveals how of import Jesus mending the demon-possessed was for them. For illustration, of the 13 mending narratives of Jesus in Mark s Gospel 1:29-31, 1:40-45 ; 2:1-12 ; 3:1-6 ; 5:21-43 ; 7:31-37 ; 8:22-26 ; 10:46-52 and 1:21-28 ; 5:1-20 ; 7:24-30 ; 9:14-29 the last four mentioned are healings of demon ownership. This makes the class of dispossession the most legion class of mending narrative in Mark. It is to be noted here that Theissen references evident differentiations between mending and dispossession, but holds that it is difficult to divide them.[ 13 ] Even though ( apart from Matthew 12:22/Luke 11:14 ) Matthew and Luke provide no excess elaborate narratives of dispossession they, like Mark, agree that dispossession was an of import facet of Jesus ministry and travel so far as to propose that Jesus traffics with the demon-possessed is of cardinal significance in understanding Jesus and his ministry. At least this is the instance on a first reading of Matthew 12:28/Luke 11.20: But if it is by the Spirit/finger of God that I cast out devils, so the Kingdom of God has come to you. Even within the Synoptic Gospels, many of the histories of demon ownership provide no information about its biological, psychological, or societal symptoms. The Syrophoenician adult female, for illustration, pleads with Jesus to mend a girl afflicted with a devil, but we learn nil of how this ownership is manifest in the kid ( Matthew 15: 21-28 ) . However, the Gospels do depict one instance with some grade of item in which the devil possessed individual clearly exhibits some signifier of psychological and societal disfunction. The narrative of the individual at Gerasenes appears in the three synoptic Gospels ( Matthew 8: 28-24 ; Mark 5: 1-17 ; Luke 8: 26-37 ) , but in Matthew, the narrative involves two individuals and non one. Other characteristics of the narratives are similar. In all three narrations, the demon-possessed are violent and unrecorded in the grave ; in Mark, he is shouting out and cutting himself with rocks ; in Luke, he roams about without vesture into lone topogra phic points ( 8:29 ) . In this case, the narrative of his dispossession is dramatic, non merely because of the unusual nature of his behavior, but because of the subsequent and curious drowning of a herd of hogs, and the local community s reaction to this healing, inquiring Jesus to go forth them. Therefore, in the New Testament entirely, devils ( I?I ±I?I?I?I? ) are referred to more than 100 times, with many of those mentions affecting ownership. This is peculiarly true of the Gospel histories where J. Ramsey Michaels goes farther and asserts: Nothing is more certain about the ministry of Jesus than the fact that he performed exorcisms. [ 14 ]It will besides be assumed that the devil ownership in the New Testament is of supernatural beginning and is hard to explicate simply on the footing of contemporary psychological research. Most of the Biblical instances seem to bespeak that these were nonvoluntary ownerships. The remainder of the New Testament Hagiographas do non incorporate descriptions of instances of demon ownership. Mention is, nevertheless, made in several topographic points to devils and diabolic powers ( 1 Timothy 4:1 ; Ephesians 6:12 ; James 2:19 ; and Revelation 9:20 and 16:14 ) . Unger notes that it is possibly non without significance that about all the instances of demon ownership are recorded as happening among the rude and half-Gentile populations of Galilee. [ 15 ] No instances are recorded in Jerusalem and merely one in Capernaum. The others were in rural subdivisions of Galilee, Gadera and in the parts of Tyre and Sidon and that of Caesarea Philippi. How are these descriptions to be considered? Virkler opines that there needs to be a hermeneutical distance that must be maintained in footings of the nature of demon ownership . He says, [ tungsten ] vitamin E have no warrant that the comparatively brief descriptions of demonically-caused symptomatology found in Bibles were meant to be considered normative illustrations of ownership across clip and civilizations. All that the narrative histories of demonisation found in the Gospels and Acts claim is that they are accurate descriptions of demonisation of that clip, non normative descriptions of demonisation that can be used for all succeeding coevalss. [ 16 ] So despite the evident importance of Jesus healings of the devil possessed in the Synoptic tradition, there is certain uneasiness in covering with these narratives in modern New Testament research, allow entirely wellness attention moralss. This is likely because the dispossession narratives stated to organize portion of the mending tradition of the Gospels carry particular troubles in that these narratives presuppose a belief in the being of devils or evil liquors. For the huge bulk of the modern universe such a belief is no longer possible nor is it necessary in the face of the progress in our cognition of our universe. Besides, every bit readily as there is a persuasion to compare mental unwellness with Biblical histories of demon ownership and its cure with dispossession, we are confronted with troubles of terrible mistiming, imposing modern classs to ancient informations and the really futility of such unscientific equations. Any cogency of such spiritual claims would be questioned by modern classs of scientific discipline. In a study more late conducted by the Mental Health Foundation in the UK, entitled Spirituality and Mental Health: Voices and Worlds found that individuals were said have been damaged by dispossession. The charity justly warned that the impression of diabolic ownership could be highly detrimental when linked to people with a label of mental unwellness and risked blending impressions of immorality and sick wellness. [ 17 ] If nevertheless, we digress off from the said equation, so we may overlook the suggestion that diabolic influence may be a ignored aetiological factor within a multifactorial theoretical account for the aetiology of mental upset as Chris Cook has suggested.[ 18 ]As Cook elucidates: If mental unwellness and demonization are non merely different names for, or different theoretical accounts of apprehension of the same thing, so we are left so with two possibilities. Either they are unrelated phenomena, or else there is some sort of association between them. Of class, even if they are unrelated, they may still be confused with each other because of superficial similarities. If they are related, nevertheless, we need to understand the nature of the connexion between them. Therefore, we may be faced with a differential diagnostic job. Either we need to separate which of these two entities we are covering with, or else we need to place which is the primary job which led to the other as a secondary complication . Alternatively, possibly we may necessitate to place a 3rd, independent, variable which gives rise to both demonization and mental unwellness.[ 19 ] Sometimes it is non ever easy to pull a clear line between profound spiritual or religious experiences, including seeing visions or hearing voices, and pathological provinces. The mental wellness of some of the Biblical writers, such as the prophesier Ezekiel and the writer of the Book of Revelation becomes questionable if modern psychological parametric quantities are used. It would be interesting to mention to the societal and cultural elements in diagnosing of mental unwellness, which gives another position in the handling of mental wellness service. In the Indian context, spiritualty and faith figure conspicuously in an apprehension of personal troubles and of the boundaries between normal and abnormal or between usual and debatable. Religious experiences and linguistic communication are frequently portion and package of the look of these troubles. Understanding both the person s cultural context and the context of one s ain pattern, so, is indispensable in doing judgements ab out spiritual or religious experiences that may be associated with subjective hurt or observed symptoms. In one civilization, an person who attributes his/her frights and enduring to the threatening or intrusive actions of unseeable liquors may be good within the scope of cultural acceptableness while in others it may clearly go against cultural outlooks. The individual s overall operation is besides a key to spoting the diagnostic significance of religious ideation, emotion, or behavior. Whereas modern readings have sometimes explained away or ignored histories of extrasensory healing, an increasing figure of bookmans peculiarly Borg, Crossan, Boyd, Klutz and others have used cross-cultural surveies of ownership and dispossession to put early Christian histories in a broader context.[ 20 ]One danger of this attack is that bookmans could disregard important differences among how assorted civilizations conceptualise or classify the experiences grouped together under these labels. A important benefit, nevertheless, is that they take us beyond our modern premises that prevent us from sympathetically hearing the ancient texts we are analyzing. Reading these ancient beginnings can convey us closer to how first century audiences understood many of these complaints and their symptoms and how Jesus negotiated the complex sociological deductions of these complaints in footings of conveying about mending in general and markedly, credence of individuals in peculiar. This may be an alternate to the ways that we intuitively read these texts. More by and large, nevertheless, the presently spread outing field of medical anthropology can spread out our cultural skylines in reading mending texts in the Gospels, as John Pilch has emphasised.[ 21 ]Graham Dwyer s anthropological research of supernatural affliction and its intervention in north India besides points out this country of disregard.[ 22 ] Ernst Troeltsch s suggestion of analogical associations may besides be utile. He suggests that, Analogy with what happens before our eyes and what is given within ourselves is the key to unfavorable judgment. Illusions, supplantings, myth formation, fraud, and party spirit, as we see them before our ain eyes, are the agencies whereby we can acknowledge similar things in what tradition hands down. Agreement with normal, ordinary, repeatedly attested manners of happening and conditions as we know them is the grade of chance for the happening that the critic can either admit truly to hold happened or leave on one side. The observation of analogies between past happenings of the same kind makes it possible to impute chance to them and to construe the 1 that is unknown from what is known of the other.[ 23 ] The analogical method of reading affirms the necessity of an extra-textual key while grammatical exegesis tried to work from within the text by analyzing its lingual devices and connexions. However, both methods, frequently applied at the same time, acknowledge the principal spread which exists between the text and the reader and which is to be bridged in the act of reading. Analogical exegesis has one point in its favor, viz. its ability to construe as symbolical all those transitions in the texts which, if taken literally, would go against the moral norms and feelings of the reader. The designation of modern-day parallels means that there can be a conversation between the yesteryear and the present manifestations which can be compared and decisions drawn. Given that these suggestions are valid and that fruitful comparings can be made and readings construed, it is an burdensome undertaking to decode the multiple Biblical narrations and descriptions of demon ownership. It is besides non within the range of the present survey to clarify the comparings of modern differentiations of mental unwellness and the Biblical analogues of mental unwellness. We are here fundamentally concerned with whether Jesus brush with demon ownership has values to be deduced for attention. Therefore two presuppositions in line with the declared methodological analysis can be brought to the text, that: Demon ownership may be understood as an undiagnosed aetiological factor in the many-sided causes of mental unwellness. Demon ownership as an analogy for mental unwellness given its common perceptual experience of stigma and impression of rejection attached to it. One could research these premises in well more item, but I introduce them as one country where Gospels bookmans have so far done merely limited research, yet where I believe that farther research could spread out our culturally conditioned scope of interpretative options. Besides it needs to be remembered as Marshall justly put it that, in the Synoptic healing narratives, [ H ] ealing of the organic structure is neer strictly physical, and the redemption of the psyche is neer strictly religious, but both are combined in the entire rescue of the whole adult male ( sic ) . [ 24 ]There are two constructs of any curative narrative at drama. The first conceives it as a magnetic presentation for the interest of spiritual propaganda, the 2nd one considers it a manner of making off with enduring. It is to make with the 2nd attack that Synoptic healing narratives fit into. Standards of Choice The transition refers to evident mental disablement. Healings affecting other types of disablements, such as disablements of a centripetal, or of unspecified beginning, were non included, since they point to a figure of different issues. The beginning of the disablement is expressed as demon ownership ( while emphasizing the correspondent nature instead than similarity with issues in mental unwellness ) . The transition refers to a peculiar person, instead than to herd or battalions, and therefore involves a direct brush between the affected person ( or a representative of the affected person ) and Jesus. Exposition of Selected Synoptic Healing Narratives This survey seeks to do a part to turn up the societal context of Jesus healing of individuals who were demon possessed and to the apprehension of Jesus healing attack. To get down with, the reported individuality of the demoniacs with whom Jesus came into contact may assist us see how Jesus might hold encountered them. Besides, cognizing the individuality of the demoniacs will lend to the apprehension of the focal point of Jesus ministry. It is presently popular to reason that ownership was caused or at least aggravated by societal tenseness and was a socially acceptable signifier of oblique protest against, or flight from, subjugation. Therefore, demoniacs are seen to be socially vagabond people, driven to the borders of society by the societal and economic crises in Palestine.[ 25 ]However, an scrutiny of the Gospel information modifies this position of the demoniacs with whom Jesus dealt and that non all were from the peripheries of society. The demoniac in the Capernaum temple ( Mk. 1:21-8 ) is described as holding an dirty spirit. The helter-skelter and unpredictable character of demoniacs could intend that at times the adult male may h old showed no inauspicious symptoms of his status. Or, the devil merely revealed itself when confronted by a religious enemy. In any instance, the Gospel tradition portrays a adult male, with no old symptoms of holding an dirty spirit, in the mainstream of Judaic society and take parting in the spiritual life of his community. The narrative of the adult male who was demon-possessed at Gerasenes ( Mk 5:1-20 ) reveals a different image. He lived on the borders of society among the graves, possibly populating in the burial caves. To be unclean meant he would hold been thought to be rejected by God ( californium. Isaiah 35:8 ) , unable to come in the Temple or take part in worship or spiritual repasts. That there had been unsuccessful efforts to keep him ( Mark 5.3-4 ) shows that one manner violent demoniacs were dealt with was by chaining them. The epileptic male child ( Mk 9:14-29 ) appears to hold remained with his household. He besides appears to hold been sufficiently governable for him to attach to his male parent to see the adherents of Jesus. Form critical analysis shows that most narratives follow the typical signifier of the mending narratives really closely: request-response-result.[ 26 ]Jesus is approached in the thick of a crowd by the individual in demand, who kneels before him and asks Jesus whether he is willing to mend him/her. On meeting Jesus, the demoniacs, whether in his presence or distance, de-identify with their pathological province of being and larn to re-identify the ego and state of head ( Mk 1:16, 18, 20 ) in conformity with positive feelings and constructs. The inexplicit quality of life has so been enhanced. This open show of such a province is certainly through whole healing. Yet this may be difficult to come by in present instances as stated earlier. It is in no manner to overlook the positive alteration of being that has been achieved by the individual in attention nevertheless minuscular betterment in his/her appraisal it may be. The function of passionate emotion has been highlighted as one of the cardinal factors in healing.[ 27 ]In such healings, the procedure by which the ego is transformed, enabling the individual to see integrity is clearly shaped by shared constructs and beliefs into which the ill individual is socialised, a procedure that is held to be effected by agencies of emotion, the activation of an emotional charge. However, although individuals in such healing surroundings seem to see emotion and are frequently portrayed as being so, this does non intend that it is present or that it is generated. What is deeply of import is that the emotion is generated or aimed at the unwellness steeping the individual or a peculiar unpleasant state of affairs instead than the individual himself/herself. Such emotions can be interpreted as unacceptance of the position quo and is geared at assisting the individual recover. Graham Dwyer s absorbing observations of evident devil ownerships and its intervention in North India in The Divine and the Demonic sheds priceless visible radiation on the bing context in India where tantriks and vaidyas engage as exorcists.[ 28 ]It is common topographic point in India that people journey to such Centres for intervention of mental unwellnesss. It is besides a reduplication that such afflictions have direct links to the subordination and marginality of individuals seeking remedies. Dwyer is doubting of such cures and sees the exposure of such individuals. He forthrightly locates the accusals of demon ownership as being contrived by the divinators.[ 29 ]It is interesting to observe here that the presiding divinity Balaji ( Hanuman ) of Mehndipur small town where Dwyer has based his research is frequently described as being full of compassion ( karuna ) , as one who removes agony, hurting and hurt. [ 30 ]However the procedure is far from the word karuna as it borders on maltreatment and misrepresentation. In contrast to this, Vermes comparative survey of Jesus mending gives an interesting position. He presents a elaborate survey of the different ways Jesus healed people harmonizing to the Gospel authors, and compares this healing to other Judaic therapists during the same clip period. Vermes thesis is that Jesus healing powers are different from his coevalss, who focused more on certain rites that had to be performed to do the healing work. He remarks: Was Jesus a professional exorcist of this kind? He is said to hold cast out many Satans, but no rite is mentioned in connexion with these accomplishments. In fact, compared with the esotericism of other methods, his ain, as depicted in the Gospels, is simplicity itself. Even in respect to healing, the closest he came to the Noachic, Solomonic and Essene type of remedy was when he touched the sick with his ain spit, a substance by and large thought to be medicative.[ 31 ] However, while Jesus healings were much simpler, Vermes argues there was case in point with the Prophetss of the yesteryear for these simpler healings. The form set by the miracle-working Prophetss Elijah and Elisha was foremost of all applied by post-Biblical tradition to other saints of the biblical yesteryear ; they, excessively, were credited with powers of mending and dispossession deducing non from conjurations and drugs or the observation of luxuriant rubrics, but entirely from address and touch. [ 32 ] Decision While reading the Synoptic healing narrations, it is of import to integrate apprehensions of demon ownership and religion that ancient readers might hold held in relation to finish healing. There may be culture-specific ways by which persons expressed their unwellnesss. This is done while maintaining in head and esteeming the on-going difficult work required for lovingness of individuals get bying with mental unwellness. Jesus performs many different sorts of healings in the Synoptic Gospels. However, non every healing is repeated in each Gospel. Some are described by one or two of the three Synoptics, and merely a smattering are discussed by all three. The mending narratives in peculiar Gospels and its analogues discussed here are chosen harmonizing to the cases where the value of compassion is most explicitly stated. Therefore single healing narrations are sometimes studied independently and parallel narratives are considered where appropriate. Some texts do non explicitly mention compassion. But Jesus finding to assist those in demand shows a great trade of inexplicit compassion. Here, in these cases, there is no expressed statement of the feelings of the therapist, but however is reflected in the really act of the therapist. The analysis and deduction of the healing narratives would seek to convey out the indispensable elements of compassion in the undermentioned chapter.

Monday, October 21, 2019

Lotteries essays

Lotteries essays Lotteries Do lotteries hurt the poor? Is It hurting us Americans? Should we band the lotteries that are legalized in many states? Well, I sure do think so, but there was a time when I didnt think the lottery could be harmful to anyone. After doing some research I found that the state-run lottery can be harmful to us Americans. Who plays the lottery? The Rich? Hardly ever. They have no desire to play such games. It is the poor, the poor are the ones who play the lottery as a means to get lucky, strike it rich, and make an easy buck (Sanchez). Any get-rich-quick scheme is developed to entrap the weak and especially the poor, after all buying lottery is almost irresistible enticement to people who want to meet the needs and desire of their families but find that they cannot (Burkett). Lower-income households spend a larger percentage of their income on lotteries than families with more wealth (Sanchez). There was a toll taken in Virginia in 1997 that showed that 80% of people that made under 15k a year played the lottery, 30% of people that made 15-20k a year played the lottery, 20% of people that made 25-50k a year played the lottery, and 5% of people that made over 50k a year played the lottery (Clotfelter). Why is it that so many poor people are playing the lottery? Is it because the state uses slogans to mislead the poor? Gloria Jimenez essay Against the odds, and Against the common Good (Jimenez110) is an essay that opened my eyes to how gambling can hurt us Americans, it is about how state-run lotteries are so common in many states and how many states urge people to gamble when she believes that they should not. Jimenez believes that many states use slogans to mislead people, like the slogan used in Maryland Play Today. Cash Tomorrow (110) which falsely suggests to have money tomorrow, you have to buy a lottery ticket today. Jimenez also believes t...

Sunday, October 20, 2019

Fish Weir - Ancient Fishing Tool of Hunter-Gatherers

Fish Weir - Ancient Fishing Tool of Hunter-Gatherers A fish weir or fish trap is a human-made structure built of stone, reeds, or wooden posts placed within the channel of a stream or at the edge of a tidal lagoon intended to capture fish as they swim along with the current. Fish traps are part of many small-scale fisheries around the world today, supporting subsistence farmers and sustaining people during difficult periods. When they are built and maintained following traditional ecological methodologies, they are secure ways for people to support their families. However, local management ethics have been undermined by colonial governments. For example, in the 19th century, British Columbias government passed laws to prohibit fisheries established by First Nations people. A revitalization effort is underway. Some evidence of their ancient and continuing use is found in the wide variety of names still used for fish weirs: fish impoundment, tidal weir, fishtrap or fish-trap, weir, yair, coret, gorad, kiddle, visvywer, fyshe herdes, and passive trapping. Types of Fish Weirs Regional differences are apparent in construction techniques or materials used, species harvested, and of course terminology, but the basic format and theory is the same world-wide. Fish weirs vary in size from a small temporary brush frameworks to extensive complexes of stone walls and channels. Fish traps on rivers or streams are circular, wedge-shaped, or ovoid rings of posts or reeds, with an upstream opening. The posts are often connected by basketry netting or wattle fences: the fish swim in and are trapped within the circle or upstream of the current. Tidal fish traps are typically solid low walls of boulders or blocks built across gullies: the fish swim across the top of the wall at spring high tides, and as the water recedes with the tide, they are trapped behind it. These types of fish weirs are often considered a form of fish farming (sometimes called aquaculture), since the fish can live in the trap for a period until they are harvested. Often, according to ethnographic research, the fish weir is regularly dismantled at the beginning of the spawning season, so fish may freely find mates. Invention and Innovation The earliest fish weirs known were made by complex hunter-gatherers all over the world during the Mesolithic of Europe, the Archaic period in North America, the Jomon in Asia, and other similarly dated hunter-gatherer cultures around the world. Fish traps were used well into the historic period by many groups of hunter-gatherers, and in fact still are, and ethnographic information about historic fish weir use has been gathered from North America, Australia, and South Africa. Historical data has also been collected from medieval period fish weir use in the UK and Ireland. What weve learned from these studies gives us information about the methods of fish trapping, but also about the importance of fish to hunter-gatherer societies and at least a glimmer of light into traditional ways of life. Dating Fishtraps Fish weirs are difficult to date, in part some of them were used for decades or centuries and were dismantled and rebuilt in the same locations. The best dates come from radiocarbon assays on wooden stakes or basketry which were used to construct the trap, which only dates the latest rebuild. If a fish trap was completely dismantled, the likelihood that it left evidence is very slim. Fishbone assemblages from adjacent middens have been used as a proxy for the use of a fish weir. Organic sediments such as pollen or charcoal in the bottoms of traps have also been used. Other methods used by scholars include identifying local environmental changes such as changing sea level or the formation of sandbars that would impact the weirs use. Recent Studies The earliest known fish traps to date are from Mesolithic sites in marine and freshwater locations in the Netherlands and Denmark, dated to between 8,000 and 7,000 years ago. In 2012, scholars reported new dates on the Zamostje 2 weirs near Moscow, Russia, of more than 7,500 years ago. Neolithic and Bronze Age wooden structures are known at Wooton-Quarr on the Isle of Wight and along the shores of the Severn estuary in Wales. The Band e-Dukhtar irrigation works of the Achaemenid dynasty of the Persian Empire, which includes a stone weir, dates between 500–330 BCE. Muldoons Trap Complex, a stone-walled fish trap at Lake Condah in western Victoria, Australia, was constructed 6600 calendar years ago (cal BP) by removing basalt bedrock to create a bifurcated channel. Excavated by Monash University and the local Gundijmara Aboriginal community, Muldoons is an eel-trapping facility, one of many located near Lake Condah. It has a complex of at least 350 meters of constructed channels running alongside an ancient lava flow corridor. It was used as recently as the 19th century to trap fish and eels, but excavations reported in 2012 included AMS radiocarbon dates of 6570–6620 cal BP. The earliest weirs in Japan are currently associated with the transition from hunting and gathering to farming, generally at the end of the Jomon period (ca. 2000–1000 BC). In southern Africa, stone-walled fishtraps (called visvywers) are known but not direct-dated as of yet. Rock art paintings and fish bone assemblages from marine sites there suggest dates between 6000 and 1700 BP. Fish weirs have also been recorded in several locations in North America. The oldest appears to be the Sebasticook Fish Weir in central Maine, where a stake returned a radiocarbon date of 5080 RCYPB (5770 cal BP). Glenrose Cannery at the mouth of the Fraser River in British Columbia dates to about 4000–4500 RCYBP (4500-5280 cal BP). Fish weirs in southeastern Alaska date to ca. 3,000 years ago. A Few Archaeological Fish Weirs Asia:  Asahi (Japan), Kajiko (Japan)Australia:  Muldoons Trap Complex (Victoria), Ngarrindjeri (South Australia)Middle East/West Asia:  Hibabiya  (Jordan),  Band-e Dukhtar  (Turkey)North America:  Sebasticook (Maine),  Boylston Street Fish Weir  (Massachusetts), Glenrose Cannery (British Columbia), Big Bear (Washington), Fair Lawn-Paterson Fish Weir (New Jersey)UK:  Gorad-y-Gyt (Wales), Wooton-Quarry (Isle of Wight), Blackwater estuary weirs (Essex), Ashlett Creek (Hampshire)dRussia:  Zamostje 2 The Future of Fish Trapping Some government-sponsored programs have been funded to blend traditional fish weir knowledge from indigenous peoples with scientific research. The purpose of these efforts is to make fish weir construction safe and productive while maintaining ecological balances and keeping the costs and materials within the range of families and communities, especially in the face of climate change. One such recent study is described by Atlas and colleagues, on weir construction for the exploitation of sockeye salmon in British Columbia. That combined work by members of the Heiltsuk Nation and Simon Fraser University to rebuild weirs on the Koeye River, and establish fish population monitoring. A STEM (science, technology, engineering, and mathematics) education program has been developed (Kern and colleagues) to engage students in the construction of fish weirs, the Fish Weir Engineering Challenge. Sources Atlas, William I., et al. Ancient Fish Weir Technology for Modern Stewardship: Lessons from Community-Based Salmon Monitoring. Ecosystem Health and Sustainability 3.6 (2017): 1341284. Print.Cooper, John P., et al. A Saxon Fish Weir and Undated Fish Trap Frames near Ashlett Creek, Hampshire, Uk: Static Structures on a Dynamic Foreshore. Journal of Maritime Archaeology 12.1 (2017): 33–69. Print.Jeffery, Bill. Reviving Community Spirit: Furthering the Sustainable, Historical and Economic Role of Fish Weirs and Traps. Journal of Maritime Archaeology 8.1 (2013): 29–57. Print.Kennedy, David. Recovering the Past from above Hibabiya - an Early Islamic Village in the Jordanian Desert? Arabian Archaeology and Epigraphy 22.2 (2011): 253–60. Print.Kern, Anne, et al. The Fish Weir: A Culturally Relevant Stem Activity. Science Scope 30.9 (2015): 45–52. Print.Langouà «t, Loà ¯c, and Marie-Yvane Daire. Ancient Maritime Fish-Traps of Brittany (France): A Reappraisal of the Relationship between Human and Coastal Environment During the Holocene. Journal of Maritime Archaeology 4.2 (2009): 131–48. Print. Losey, Robert. Animism as a Means of Exploring Archaeological Fishing Structures on Willapa Bay, Washington, USA. Cambridge Archaeological Journal 20.01 (2010): 17–32. Print.McNiven, Ian J., et al. Dating Aboriginal Stone-Walled Fishtraps at Lake Condah, Southeast Australia. Journal of Archaeological Science 39.2 (2012): 268–86. Print.OSullivan, Aidan. Place, Memory and Identity among Estuarine Fishing Communities: Interpreting the Archaeology of Early Medieval Fish Weirs. World Archaeology 35.3 (2003): 449–68. Print.Ross, Peter J. Ngarrindjeri Fish Traps of the Lower Murray Lakes and Northern Coorong Estuary, South Australia. MSc, Maritime Archaeology. Flinders University of South Australia, 2009. Print.Saha, Ratan K., and Dilip Nath. Indigenous Technical Knowledge (Itk) of Fish Farmers at Dhalai District of Tripura, Ne India. Indian Journal of Traditional Knowledge 12.1 (2013): 80–84. Print.Takahashi, Ryuzaburou. Symbiotic Relations between Paddy-Field R ice Cultivators and Hunter-Gatherer-Fishers in Japanese Prehistory: Archaeological Considerations of the Transition from the Jomon Age to the Yayoi Age. Senri Ethnological Studies. Eds. Ikeya, K., H. Ogawa and P. Mitchell. Vol. 732009. 71–98. Print.

Saturday, October 19, 2019

Left Bank Group Analysis Research Paper Example | Topics and Well Written Essays - 1250 words

Left Bank Group Analysis - Research Paper Example Likewise, as with many movements, the New Wave movement was something of a conscious rejection with regards to the subject matter, stylistics, self-actualization, and experimentation that seemed to be so devoid in the periods prior to the development and nominal success that the New Wave movement was ultimately able to engender. Furthermore, like so many other artistic movements throughout history, the full scope of the importance contributions that the New Wave movement brought to cinematography filmmaking were of course not realized completely or appreciated accordingly during the time that they were being developed. Nevertheless, although many aspects of the New Wave movement were so experimental that they existed only within the confines of the current time in which they were developed, many of the experimental techniques and new ideas with which these filmmakers sought to integrate continue to have found measurable effect on some talk to the current Europe. Accordingly, this bri ef analysis will seek to understand, identify, and draw inference on the means by which one such group of influential French filmmakers from this New Wave movement contributed to a more complete and nuanced understanding of filmmaking is the hope of this author that such an analysis will engage the reader with the lasting importance that this group of film makers continues to exhibit. As such, the group to be analyzed will be that which was dubbed â€Å"Left Bank†. ... nown, were referred to as the Right Bank; likewise, the group of filmmakers which will be analyzed herein came to be known as the Left Bank (Reeder 63). This was not only a reference to the geographical meaning of where these individuals hailed from within Paris, but also a thinly veiled allusion to the political views espoused by the latter group. One of the greatest differentials came to be seen between the right bank as compared to the Left Bank directors was with regards to the level and approach that these Left Bank directors viewed the relationship between cinema and art. Whereas more traditional numbers of the New Wave movement saw literature and other art forms distinctly separate from cinematography, the Left Bank directors saw them as one and the same attempt to incorporate many of the avant garde and cutting edge techniques and ideas that were being pioneered within the art world within the cinematography that they created (Schwartz 147). However, as much as one might seek to distinguish the Left Bank New Wave filmmakers from their other counterparts within the New Wave movement, the reality of the situation was that they were oftentimes almost identical with regards to the approach to cinematography that they made. In reality, both schools of thought sought integrate a high level of modernism within current cinematography; the only means differential and/or to supreme that existed with regards to this modernism was where the inspiration for it could ultimately be drawn. To the Left Bank filmmakers, this inspiration was available from both existing and previous arts. Regardless of the level to which critics may seek to portray these groups as being in opposition to one another, the fact of the matter is that there was never any ill will between either the

Friday, October 18, 2019

International Human Resource Management Essay Example | Topics and Well Written Essays - 4000 words

International Human Resource Management - Essay Example The most striking feature of international human resource management is the incorporation of two key ideas in the department. On one hand coordination of human resource management policies in all the subsidiary branches is ensured to bring harmony in operations. On the other hand, there must be some element of flexibility in order to accommodate policy differences that arise from business and cultural variations (Sims, 2002). International human resource management is primarily similar to domestic human resource management, but modifications are made to ensure that international scope of operations is comprehensibly taken care of. According to Schuler et al as cited in Sims (2002), while domestic human resource management influences come from internal forces, international human resource management is influenced by more external sources. A greater level of risk element is involved in international human resource management than its counterpart. The management functions become numerous and more heterogeneous due to the constant changes in business perspectives at the international arena. An engineering service providing company which is mainly capital intensive in comparison to many other service industries has critical questions to address (Becker et al, 1997, p39). The human resource director at Mango, a British Engineering multinational company with headquarters in London, highlights the following preparations for the creation of new a plant in Perth, Australia. The general manger will conduct the job analysis for a general manager in order to come up with a job design specifying that the manager will be a UK national currently located in the UK. The reason for nationality criteria is to ensure that the manager has sufficient understanding of operations of the company. The business cultural setting of the company in the UK bears an important role in the job design

Corporate Finance Essay Example | Topics and Well Written Essays - 1000 words - 4

Corporate Finance - Essay Example The price of Woolworths Limited company share can be calculated by formula: P= D [1] (r-g) where D [1] is the next dividend= 81 (from expected growth using current growth rate of 14.51%). P is the stock= 81* 9.91-0.1451 giving as price of share at 793.39.Substituting the figures into the formula; Therefore, this is to mean that Woolworth limited company paid as compensation 6.3 to the market demand in exchange owning the assets, which have the risks of ownership. It is a widely used formula by most companies for assurance purpose, to those who buy shares of those particular companies for risk taking. A keen and a thoughtful look on the Woolworth limited company annual report is suggestive that they have massive risks. By natural law of commerce, the riskier the business or the company the higher the cost of debt. The company uses various bonds, and loans and other form of debts that in turn give insights the rate of being paid by company to use debt financing. The cost of debt is usually calculated by a simple multiplication of the credits before tax rate by one minus marginal tax. So in this segment borrowing of Woolworth will be considered in coming up with the cost of the debt of the company. Borrowing here are stated at amortized cost with the difference between the cost and redemption value recognized in a collected income over a period of borrowing. Consolidated cash flow statement of Woolworth limited company the amortization of borrowing costs was 3491.6 (Woolworth Limited Annual Report 2013, pg. 162)while the marginal tax for the company was in the range of 30 % (Woolworth Limited Annual Report 2013, pg. 48). Substituting into the formula; This are the overall cost for financing a company like Woolworth limited. The mode of financing usually plays a pivotal role in determining the cost of capital. Financing can be done in two ways to a company or a combination of both. The two modes

Thursday, October 17, 2019

Children's Communicable Diseases Assignment Example | Topics and Well Written Essays - 250 words

Children's Communicable Diseases - Assignment Example Most parents dread vaccinating their children because they believe that the vaccines used are not safe for their children. They strongly believe that the vaccines used cause autism as well as other neurological disorders, thus exposing their children to health risk in the future. In order to reconcile parents rights to make health decisions for their children with the states responsibility to protect its citizens, the state and federal governments should enact a law that compels parents to vaccinate all their children. The state is charged with the responsibility of making sure that all its citizens are safe. As such, federal government should make childhood vaccination a mandatory process for all children (Bradley, Bradley & Burls, 2012). The safety of children and all other citizens overrides parent’s right to make health decisions for their children, particularly when it is in the wrong way. Besides, states and federal government should promote public awareness through massive and robust public education about vaccines and the importance of vaccination. This can help dispel misguided belief that vaccines skeptics propagate through media and other social platforms. Public health professionals also argue that childhood vaccination is a life-and-death issue that needs to be made

REVIEW OF V. BARKER, 2010 Essay Example | Topics and Well Written Essays - 1000 words

REVIEW OF V. BARKER, 2010 - Essay Example For instance, the number of homicide cases reported was similar to those of the 1960s. These crimes were found in all regions including the suburbs, exurbs, cities, and rural areas. The people involved came from all races and social backgrounds. No one would accuse any group of people of being criminals (Becker 511). Consequently, there was the establishment of some laws in America. One of the laws that could have helped to reduce crimes in America is legalization of abortion in the 1970s. It was a very controversial law but according to criminal justice specialists. It helped a lot. They argue that the unwanted children are not given proper care and end up being thugs. People started being charged with this cases and were severely punished for them. It would also help in controlling the population in order to make it manageable by the number of police officers. Initially, people know that they would not face a severe punishment that led them to go ahead to commit these crimes. Investigations have also been intensified. Nothing goes uninvestigated until the real culprits are caught. It also made criminals to be aware that no matter the crime they commit they will be caught after an extensive investigation is conducted. These are some of the changes that could have seen the decrement of crimes in America according to Becker. Imprisonment was also prolonged. Initially, people would serve for few years no matter the degree of crime committed. The laws were changed, and criminals would face a very long imprisonment that would serve as a lesson to them once they are out. It also means that by the time they are out of prison, so many things will have changed, and the person will be focused on self-recovery and acceptance by the community (Becker 511). Two researchers Alfred Blumstein and Richard Rosenfeld did an extensive research on crime patterns and their punishment. They agreed that long imprisonment was a solution to combat crime in

Wednesday, October 16, 2019

Journal Essay Example | Topics and Well Written Essays - 250 words - 69

Journal - Essay Example I forgot how to properly communicate with my friends, and in the sense, forgot to properly live in the community. Facebook and other forms of social media has influenced me to become less participative in the community. I have forgotten that laughing with friends is very different than just typing "LOL" or putting a smiley on the board. I did not realize this, until I read Kingsolvers speech. And as much as I hate to admit it, she was right. At this point, my reflection is beyond just the meaning of the speech. I believe I have to adjust my way of life and prevent myself from becoming one of those people who have forgotten to associate in the community. Now, Facebook or Skype I think, were designed to help us communicate with people who are thousand miles away from us, not those near us physically. I intend to keep that thinking in me. Maybe I should start trying to minimize chatting with my friends through SMS or over the phone, and be with them physically, to laugh with them and talk with them than working my fingers out typing in my laptops keyboard. Kingsolver spoke of hope, of building dreams with it, of putting it in ones life. I could not agree with her more, and I will try to live in that community that she portrayed. One that does not hesitate when asked at gunpoint, and I intent to be one who will always choose

REVIEW OF V. BARKER, 2010 Essay Example | Topics and Well Written Essays - 1000 words

REVIEW OF V. BARKER, 2010 - Essay Example For instance, the number of homicide cases reported was similar to those of the 1960s. These crimes were found in all regions including the suburbs, exurbs, cities, and rural areas. The people involved came from all races and social backgrounds. No one would accuse any group of people of being criminals (Becker 511). Consequently, there was the establishment of some laws in America. One of the laws that could have helped to reduce crimes in America is legalization of abortion in the 1970s. It was a very controversial law but according to criminal justice specialists. It helped a lot. They argue that the unwanted children are not given proper care and end up being thugs. People started being charged with this cases and were severely punished for them. It would also help in controlling the population in order to make it manageable by the number of police officers. Initially, people know that they would not face a severe punishment that led them to go ahead to commit these crimes. Investigations have also been intensified. Nothing goes uninvestigated until the real culprits are caught. It also made criminals to be aware that no matter the crime they commit they will be caught after an extensive investigation is conducted. These are some of the changes that could have seen the decrement of crimes in America according to Becker. Imprisonment was also prolonged. Initially, people would serve for few years no matter the degree of crime committed. The laws were changed, and criminals would face a very long imprisonment that would serve as a lesson to them once they are out. It also means that by the time they are out of prison, so many things will have changed, and the person will be focused on self-recovery and acceptance by the community (Becker 511). Two researchers Alfred Blumstein and Richard Rosenfeld did an extensive research on crime patterns and their punishment. They agreed that long imprisonment was a solution to combat crime in

Tuesday, October 15, 2019

Educational Technology Essay Example for Free

Educational Technology Essay With the passage of time, the advances of technology are making their presence felt in every walk of life from space exploration to clean a room. The central though behind these technological advances is to make life more comfortable, efficient, and safe. As such technology is an integral part of daily workaday life. Newer forms of technology are being introduced with improved rates of efficiency, safety, and comfort. In this regard, inclusion of technology in education has also become the hard norm of the present educational system of such a country as the United States of America with the same focus as quoted above. Henceforth, all important areas of educational development have been hinged with the inclusion of technology. One such area of focus today, with regard to the inclusion of technology in education, is the educational development of the disabled and other disadvantage students’ enhanced learning. The present paper examines in detail the inclusion of technology in education with relation to the learning of disabled and disadvantaged students. The paper first of all discusses the present literature on the present state of educational technology and disabled learners; furthermore, the present paper specifically examines studies conducted in the same area to investigate the legitimacy on educational technology inclusion to teach the disabled students, say, English language, and see what difference the technology inclusion makes upon the learning of the students. Literature Review In the past several decades, changing perspectives on the use of technology inclusion in education for the disabled students has caused the curricular guidance to undergo changes that are significant on their own. It was in the time of the 1970s and the 1980s that parents and teachers came to realize the vision that graduating students with disabilities could now go on living and working in the general community environment with some support that differed according to individual. This vision, then, bypassed the shelters of workshops, centers for day treatment, and other massive settings for residential purposes which were indispensable for the previous students. This revolutionary vision then gave birth to â€Å"the development of curricula that were relevant to students’ functioning to everyday life† (Davern, et.al, 2001). In addition to the above, the Individual with Disabilities Education Act (IDEA, 1997) also paved the way for the educators to look for technology inclusion that can boost up learning in the disabled students; hence the premise of this act is that: A free and appropriate public education will be provided for all children with special needs. IDEA 97 emphasizes the participation of students with disabilities in the general curriculum and requires that Individualized Education Program (IEP) teams make many decisions that support and encourage student performance in the general curriculum and general education classroom (Robinson, et.al, 2002). However, when it comes to the participation of the disabled students in the learning of more complex cognitive content (say reading comprehension or learning vocabulary, and so on) with the mainstream education, with their peers, it is seen as an obstacle that these students show a difference of learning from their peers. Hence there are various involvements made by researchers. These interventions focus on overcoming these differences among the two types of learners. â€Å"Curriculum-based assessment†, â€Å"Direct instruction curriculum design†, and â€Å"learning strategies Deshier† are some of them (Carnine, 1989). Today, as such, technology is fast becoming the norm of the area of educating the learners with disabilities. The times of the twenty first century has given rapid rise to technology integration in education. Henceforward, as Dr. Frank B. Withrow, Director of Development Able Company Washington D.C. (2000) notes that â€Å"Technology predictions for the 21st century include sensory prosthetic devices for disabled people. This may be one of the most significant factors in providing all children an equal and appropriate education.† He further points out that â€Å"Cochlear implants are already providing many hard of hearing youngsters with functional hearing.† Moreover, â€Å"Speech synthesizers give voice to mute individuals. New developments in microelectronic lenses may enable a large number of visually disabled people to read printed books† (Frank, 2000) However, it is another thing to investigate the integration of technology and its feasibility with the production: effectiveness of technology with regard to the learning rate of the students with disabilities. In the later part of the paper I would examine the role of technology in relation to this very theme. I would discuss the role of the educational software for the special education. Educational Software and Special Students Today, like all other areas of education, special education is also influenced by the introduction of newer and newer software that provide the educators the opportunities to better teach the disabled students so that their learning can be worth it. Since commercial software for education usually shapes the center of instruction which is technology-based in special education (also for general classroom education), there is a very rapid race among the educational authorities to obtain the most effective and result-oriented software. However, with the advances made in this area, there are certain concerns raised by the educators and researchers about the feasibility of these software packages with regard to effective learning among the disabled students. In this connection, the most common practice found among the educators is that they â€Å"rely on experts in commercial businesses to produce quality educational software for classroom use, with the assumption that the software has been designed to meet the unique learning needs of the population of students for whom it is targeted† (Boone, et.al, 2000). In other words, the consumers of the software assume that the software was properly designed and developed with a population being the focus of that software, for example, students with disabilities, junior school students, students learning English as a second language, and so forth. The net result that these consumers anticipate from the software obtained, as such, is that it will help them improve the learning capabilities of their students – in our case students with learning disabilities and disadvantaged students. On the contrary, Boone et al. (p. 109, 2000) observe that though many of the software developers are aware of the fact that consulting educational experts and researchers is way important in order to develop a result-oriented, population-targeted software, â€Å"some companies still develop software without taking into account education factors that may affect learning† (Boone, et.al, 2000). They point out three major areas regarding such software development for the disabled students, which were major concerns of the educators: 1) The developed software did not have a theoretical base for its formation; 2) There is an overemphasis on such technical aspects of the software as high graphic designs and audio add-ons; and 3) The software development manifested an improper approach toward educational concerns. With these three major concerns, Boone et al. (2000) also list three major areas – investigated in a Delphi research study – which, according to educators, the educational software for the disabled students was proved to be lacking. These areas are: 1) The investigation revealed that software lacked an incorporation or association of higher-level of thinking; 2) The software also lacked a grounding in the educational research and pedagogical investigation of the related teaching content to the disabled students; 3) The last major area of lacking of the educational software for the disabled students was that the software lacked the inclusion of a number of different level skills which can be used to effectively meet an individual’s specific needs. Therefore, Forcier, 1999 (as cited in Boone et al. p. 01, 2000) notes that because of these so complex issues with regard to the educational software, it seems unclear as to which degree such educational improvisation is actually meeting the needs of the educators/teachers and their students. (Boone, et.al, 2000) Evaluation of Software Boone et al. (2000) point out the importance of the educational for the disabled students so that their feasibility can be put to a check. For the evaluation of an educational software, the authors state that many of the educational software developers and publishers are not providing enough information to the educators. This is a practical problem for the educators who opt for a specific software program available in the market suiting the needs of their educational context; however: (Boone, et.al, 2000) â€Å"Educators often find that software they have purchased is not adaptable, does not teach what it purports to teach, or does not support what is occurring in the classroom. For these reasons, educators must independently evaluate software by taking into consideration the following†. (Boone, et.al, 2000) 1) The educators must look for the software’s intended use by monitoring the help that the software lends to achieve their objectives; 2) Content which accompanies the software must be scrutinized; it is also seen whether or not the software has a teacher’s supplement for implementation; 3) â€Å"the instructional presentation and whether the software meets the principles of universal design (i.e., multiple representations of content, multiple means of expression and control, and multiple forms of engagement)† (Boone, et.al, 2000); 4) they should also go for software that is user-friendly: that is easy to use both by the teacher(s) and students; 5) the software should also provide considerable amount of documents and other support; 6) The software should also contain user inputs. With these areas in mind, the authors further come up with the evaluation criteria of the two kinds of evaluation of the software: formative and summative evaluation through the use of the software to make sure of its compatibility with the learning of the disabled students. I discuss both these steps of the evaluations separately so that a thorough understanding of the issue can be grasped. Formative Evaluation and Learning Software for Disabled Students To evaluate the efficiency of software for students with disabilities Boone et al (2000) state that the first and the foremost focus of the educators should be to take into account an area of the students’ learning and/ or other aspects of their life; this are can be the learning characteristics of those students; or their learning goals; or it can be the area of their social skills and goals, and so on. After this specification, the educators should put the software to test on a across-student level, that is to say: Software evaluation by students should involve a high-achieving student, a middle-achieving student, and a low-achieving student who all have a particular disability. This allows the educator to determine the softwares usability across students with a particular disability and, beforehand, to identify specific areas in the software with which particular students may need help (Boone, et.al, 2000). They also give a precaution to the educators that they should not count on the opinions of the parents of the students because it is possible that some software is not efficient to adults; however, the same is greatly enjoyed by the students.

Monday, October 14, 2019

Importance Of Social Spaces In Urban Spaces

Importance Of Social Spaces In Urban Spaces Since the early days people have lived in groups and survived through good and bad days. The communities form by humans has led to the development and enrichment of this world both technologically and habitually. It is the very human need the human interaction; this was the one most basic principal in development of architecture but the new age because of privacy needs and technology (internet) has grown people apart from each other rather than bring them together. The growing capitalist economy demands more of living space than of social space. This has led to poor quality of life standards and increase in crime and decrease in healthy life style. These days many professionals like architects, city planners and sociologist are researching how people live in more densely populated areas. How this has affected the social life of the residents and led the shrinking of social spaces. This paper will discuss the merits and demerits of the contemporary urban development, various effect of social space on communities. How this has led to increase in crime rates and decrease in productivity health and how this situation can be resolved. Key words :Social space , Public space, urban space, urban planning Outline: Introduction: sociology of human communities and their habitat Cause and effects of contemporary urban development The possible solutions and hypothesis of solutionsà ¢Ã¢â€š ¬Ã‚ ¦. Introduction Growth is inevitable and desirable, but destruction of community character is not. The question is not whether your part of the world is going to change. The question is how. (Edward T. McMahon) Change Life! Change Society! These precepts mean nothing without the production of an appropriate space (Henri Lefebvre) By 2080 it is predicted that 80% of the human population will move to the cities and urban areas with highest concentrations in Asia and Africa. More people habitat now in urban spaces than in rural spaces ever before. This shows that the level of growth never has been this great and it is still growing. The comparative recent rise and progress of metropolises internationally has caused an increase of the significance of city planning. Urban developments are vibrant and diverse all over the globe. This necessitates an in-depth exploration and approaches to director expansions in the correct direction. New approaches and techniques to secure the extended sustainability of regions are being developed nowadays. Along with these swift expansions come numerous urban complications, like isolation, transportation congestion, contamination and deprivation of the atmosphere. In the international discussion about urban planning, approaches to develop metropolises in the future are expected to alterations. This is because a relatively new term has appeared among designers and planners: sustainable development. Various kinds of professions and practices go into generating public spaces that bring wellbeing and fortune to metropolises and societies. The skill of planning and designing for eminence and vitality in communal places rests in the equilibrium of societies, residence, essence and tradition. Public spaces must be more than safe and manageable; moreover they need to have sense and importance for people, to be used more fully and with better gratitude. Space, however is limited in this metropolitan where the topographical landscape limit possibilities to a definite range. Nevertheless, urban planners and designers have to find the best setting and try to discover a sustainable and long term solutions or ways which is best for the town and its present and prospect inhabitants. In some circumstances they come up with astonishing results and in some not that great. Urban renewal has been associated with urban expansion since the initial social settlement, and was given emphasis after the World War 2. Numerous periods knowledge and billions of moneys forced the judgment givers to comprehend the significance of urban appearance, value of life, and urban setting, which were accepted as fundamentals and facilitators for the economic advancement of metropolises, urban revival projects are created as symbol of the metropolitan and to offer space for occupants, and have been shown to be operational for cities rejuvenation by many countries. This paper examines this merits and demerits of urban development in general. With the growth and development of cities and metropolises around the world, urban planners and architects always keen on areas for impending advancements. Whether regeneration of old fragments of the city or emerging new areas out skirts of the current city limits, prospects are always open.. The study and material is largely based on literature. This paper adopts an extensive understanding of urban planning as the development of making better spaces for societies than would otherwise be created. How can urban planning contribute to the formation of miscellaneous public spaces that increase or improve value and quality to urban socio- economic life? What does a definition of diverse public spaces include? In what ways can public spaces enhance value and quality in urban life? How can urban planning make a positive contribution to creating public spaces? Does urban planning have a negative effect in some cases? Public /Social Spaces The measure of any great civilization is its cities and a measure of a citys greatness is to be found in the quality of its public spaces, its parks and squares. (John Ruskin) Public space is the juncture upon which the expression of public life develops. The paths, squares and gardens of a metropolitan give a form to the sanctuary and movement of social exchange. These vibrant spaces are a vital counterpart to the other established spaces and levies of work and family life, providing the networks for movement, nodes for communication and common grounds for play and relaxation (Carr, Francis, Rivlin, and Stone, 1992). There are number of definition on urban public place or space and its correlation (Wang, 2002). The description of public space and open space in the perspective of urban area provided by different institutes, is as the space which occurs among structures in urban space, which can be accessible freely by communal societies the space should be the room for urban inhabitants to meet and dialogue with other individuals, and for residence to stay in more natural atmosphere. It is also the representation of urban appearance the landscape, thus bei ng called as the breathing room or as the open window of the city. It is multifunctional place in urban space, which could be middle of governmental, monetary, or traditional events. Communal urban space is lively and all full of energy, which is vital for the ecological expansion of the city. Public spaces are shaped by at least two diverse processes; some have evolved naturally through assumption, by frequent use in a specific way, or by the concentration of societies because of an allure or an attraction say may be like a cafà © or very old tree where people wish for something etc. Both of these results in a space that accommodates societies for explicit reasons and it becomes a location that people depend on on as a place to encounter other people. These events might happen on a street junction, on some stairs in front of a structure, or on an undeveloped proportion in a area (Carr et al., 1992). Great communal places are the living area of the metropolitan the place where ind ividuals come together to appreciate the urban area and other individuals. Public spaces add value and increase the quality of life. Public spaces vary from plazas to squares, to small and big, local neighborhood parks or pounds. The combination of exquisite architecture with unique public spaces creates the most gorgeous places to live in places where one can express the joy and relish the nature and manmade structures Another way that public space gets created is by planning, which have diverse roots, though the purpose they serve may be parallel to unplanned or developing spaces. Planned spaces commonly transpire from the offices of urban planners, designers and landscape architects, who may be appointed by community or by private clienteles. Such public or open spaces may be the outcome of the arranging of an urban space the thoughtful or unplanned consequences of building accommodation, workplaces or communal structures. A district or neighborhood may be structured around a square, or the space around a monumental erection /structure may be intended as a public place with other edifices arranged around, or a space may be the surplus outcome of obstruction in a zoning regulation (Carr et al., 1993). The significance of social space has been recognized worldwide, primarily from the perception in refining quality of life through contented atmosphere and plentiful public life; improving urban appearance through urban vagueness; and compelling commercial development through investment which is appealed by the good appearance. The prominence of public space in building a pleasant atmosphere for human beings for work, resides, and relaxes. According to the Athens Charter in 1943 citys most noticeable public spaces are often illustrative of the metropolitan itself and imitate how its inhabitants relate to the town and to each other. Darin-Drabkin (1977) claimed that a decent living setting needs public spaces. Prominent designers and city planners have often reasoned that the quality of a metropoliss social spaces has much to do with how a district /town/ city prospers or fails as a place to habitat or do trade (Bacon, 1976). A numerous researchers and urban planners indicate that publ ic spaces can serve people to be content, to state and defend human rights and morals, and to express distinctive cultural values. Societies can learn new things and learn from others through public life (Carr and Lynch, 1968; Ward, 1978). No matter what technical innovations are taking place, human beings have not changed (Gehl 1980).They still need the casual contact with other human beings that used to be built into daily life. Public spaces can afford opportunities for such casual encounters in the course of daily life that can bind people together and give their lives meaning and power. Public spaces not only can serve daily needs but also can be places to gather for special occasions. City/Urban Planning Towns and cities are not God-given or à ¢Ã¢â€š ¬Ã… ¾naturalà ¢Ã¢â€š ¬Ã… ¸. They are the result of centuries of decision-making by individual owners and developers, and of government intervention. Whilst topography and geography do play a part, they do not absolutely determine development. The nature of towns and cities, to a considerable extent, is dependent on who shouts the loudest, and who has the greatest influence over policy. Clara Greed, 1996