Saturday, August 31, 2019

The Concept of Globalisation

There are a plethora of factors that have played a role in influencing world politics in the 20th century. There are the political ideologies, each with their own agenda, conflicting or similar, such as Communism, Fascism, Nationalism, Capitalism and Socialism. There are the various worldwide treaties and agreements, such as the Treaty of Versailles, the League of Nations and the United Nations. Accompanying these are economic agreements, which have an ever-increasing role in world politics, like the General Agreement on Tariffs and Trade (GATT), the World Trade Organisation (WTO), the World Bank, the International Monetary Fund (IMF), plus regional trade agreements and customs unions such as the North American Free Trade Area (NAFTA), the European Union (EU) and the Asia Pacific Economic Community (APEC). Even the two World Wars have had an influence. However, the single force that has had the greatest impact on world politics in the 20th century is Globalisation. Globalisation is a concept with many differing definitions. Bayliss & Smith (1998, p. 15) define globalisation as the ‘intensification of worldwide social relations which link distant localities in such a way that local happenings are shaped by events occurring many miles away and vice versa. † Globalisation is a process that entails the movement of capital, goods, services and labour around the world. Globalisation is the massive control of the world†s economy by big business, transcending national boundaries. The underlying factors in all of these definitions are that globalisation involves worldwide integration of both political and economic ideals. Furthermore, Strachan (1998, p. 159) argues that it involves legal and cultural integration also. But does such integration undermine a country†s sovereignty? Can such integration be achieved without violence and conflict? In order to answer these questions, this essay will examine the driving forces behind globalisation, its downfalls and cultural adaptability. Globalisation is an ever-increasing force, even today, as technological advances literally make the world smaller by increasing communication and decreasing travel times, or what can be referred to as the ‘Communication Revolution† (Durst, 2000, p. 5). Through massive and rapid improvements in the Information Technology industry; telecommunications, exponential increases in computing power coupled with lower costs and the development of electronic communications and information networks such as the Internet, communications are now possible almost instantaneously between any two points on the globe. The threads of global web are computers, facsimile machines, satellites, monitors and modems-all of them linking designers, engineers, contractors, licensees and dealers worldwide (Sims, 1989, p. 21). Physical distance is now irrelevant. This improvement of communications this century from sailing ship to satellite has contributed directly to the globalisation of the world†s economies and political systems (Rimmer, 2000, p. 3). This has taken place across cultural and physical boundaries, effectively eliminating the capacity of countries to isolate themselves from the rest of the world. A prime example of this is China. For most of its existence, China has kept its doors closed to the rest of the world. No outside influences reached China and it remained unchanged and untouched. In recent times however, China has relaxed its legislation to accommodate foreign investment and trade. Its economy has improved and new information on how to do things more efficiently has been introduced. Borders no longer act as boundaries, especially with respect to the movement of information and finance. Furthermore, borders are becoming increasingly difficult for governments to define and maintain. Regional conflicts are arising everywhere; Sierra Leone, the coup in Fiji, Chechnya, Southern Lebanon and Kosovo. As a result, national governments are being forced to redefine their roles, responsibilities and policy relationships. Thus, globalisation has raised fears that the sovereignty of nation states is being undermined. If sovereignty can be defined as the ability to exercise control without outside interference, then nation states are clearly experiencing diminished sovereignty. Governments have no choice but to recognise and work on the assumption that most issues they are required to deal with are affected by or will affect the international competitiveness of the country. Government†s own responses to globalisation or the search for joint solutions to global problems have further effects on sovereignty. Participation in international organisations or the adoption of international agreements puts limits on policy options available to governments (Rimmer, 2000, p. 5). Instead of independence, the world is now pursuing interdependence. Proponents of globalisation argue that unilateral action is not the most effective way to achieve policy goals. In combating environmental problems and international crime, the interests of individual nations can only be protected by collective action. This belief has led to competition between countries on almost all fronts. International investment is encouraged by the activities and mobility of multinational corporations, meaning that most domestic policies such as education and training, taxation, social protection, economic regulation and labour legislation have become international. Even a country†s domestic management policy is a matter of great concern to its trading rivals, because this will ultimately affect a country†s efficiency and competitiveness. Therefore, government policies must increasingly be made more consistent with, or competitive to, those of their trading rivals. Robert Reich is a strong supporter of globalisation, publishing the book entitled ‘The Work of Nations†. In his book, Reich argues that it is already too late to stop globalisation. His view is supported by Joan Spero, US Under Secretary of State for Economic Affairs, who states that capital now moves around the world with startling speed. Each day over US $1 trillion is traded in a global foreign exchange market that never closes. (Spero in Strachan, 1998, p. 156). Reich (1991, p. 112) argues that there is no such thing as an American product anymore, giving the example of an ice hockey stick. It is designed in Sweden, financed in Canada, assembled in Cleveland and Denmark out of alloys patented in Delaware and fabricated in Japan and finally distributed in North America and Europe. There are many criticisms of globalisation and Edward Herman (1999, pp. 3-5) classifies his criticisms into a number of categories. Two of those are that, firstly, globalisation is undemocratic and secondly, that it is an assault on labour. In the United States, public opinion polls showed the general public was against NAFTA, even after incessant propaganda, but the mass media supported it and it was passed. In Europe as well, polls have shown persistent majorities opposed to the introduction of the Euro, but a powerful elite supports it, so it moves forward. Globalisation has been a tool serving elite interests. This contradicts the democratic and egalitarian utopia that these regions have been relentlessly encouraging during the 20th century. Globalisation has also steadily weakened democracy because the containment of labour costs and scaling down of the welfare state has required the business minority to establish firm control of the state and remove its capacity to respond to the demands of the majority (Herman, 1999, p. ). One of the main objectives of Transnational Corporations (TNC†s) movement abroad, for example Nike manufacturing shoes in Korea, has been to tap cheaper labour sources. Labour is often cheapest, and least prone to cause employer problems, in authoritarian states that curb unions and enter into virtual joint venture arrangements with foreign capital, as in Suharto's Indonesia and PRI's Mexico. Once again, this directly contradicts government†s agendas. Publicly, politicians speak out in support of foreign aid, human rights and equality, while behind closed doors they are endorsing and funding TNC†s operations that exploit cheap labour in third world countries. Another criticism of globalisation is that it is against the very nature of culture. Culture derives its diversity from the differences between different human communities and the distinctions between their respective geographical roots and historical experiences. Globalisation disregards these factors and ultimately aims to treat the entire world population as if they have the same tastes, personalities, customs, traditions and language, through a universal government system. If this were to be so, the world would be a very boring, robotic, monotonous place, devoid of any form of culture. The ramifications of this are wide-ranging. Diversity, variety and room for change are lost and forgotten. Identities of oneself are lost; ‘I† is replaced with ‘we†. Power is placed into the hands of a select elite few, very oligarchic and undemocratic. If a group of countries were to unite under a common government, equality would not be established. Such a grouping would encompass a wide spectrum of political views, ideologies, religions, races and colours. Instead of one whole body, there would be many minority groups. This transfers an unequal balance of power throughout the states. As the regional conflicts in East Timor, Yugoslavia and Chechnya have shown, conflict shall arise. There are too many barriers to overcome which only leads to frustration and violence. A Commission on Global Governance (COGG) has been established since 1992. In a report published in 1995 entitled ‘Our Global Neighbourhood†, the commission argued that countries have to accept that in certain fields, sovereignty has to be exercised collectively (Strachan, 1998, p. 155). Once again we have a contradiction in terms; by definition, collective and sovereign are exact opposites that are mutually exclusive. Having stated all the above criticisms, it is important to mention that there is no perfect system in society today that is capable of running a country absolutely efficiently. In fact, conflicting ideologies often correct each other. Communism corrects the equality problem of democracy and democracy corrects the problem of efficiency of communism. By choosing one system or the other, up risal and discontent from the people is inevitable. But is it possible to combine the two? Hitler and Mussolini argued that fascism was the ‘third way†; an alternative to capitalism and socialism. However, fascism led to the death of more than six million Jewish people, so it justifiable to be wary of anyone offering a third alternative. So globalisation has had the greatest impact on world politics in the 20th century, mainly because of the technological advances in telecommunications and information technology. This is most likely to continue through this the 21st century. The criticisms of globalisation are that it undermines sovereignty, exploits third word countries and is undemocratic. However, there is no feasible alternative at this time and globalisation is already well-spread and embedded in economics and politics. For now, the world will just have to go with it.

Friday, August 30, 2019

Gay Marriage Should Be Legal

Gay marriage should be legalized. Our civil rights and the Constitution give us many liberties. One of our civil liberties is the pursuit of happiness, which homosexual people are not allowed to chase. They cannot be married to the person they love and it violates their freedoms. According to professorshouse. com, â€Å"In Alaska, Nevada, Montana, Oregon, Utah, Nebraska, Missouri, Michigan, North Dakota, Ohio, Kentucky, Oklahoma, Kansas, Louisiana, Arkansas, Georgia, Mississippi, Texas, and Alabama, not only is gay marriage banned, but so are civil partnerships.   The 1st amendment of the Constitution states that a person’s religious beliefs or a lack of thereof must be protected. Legislatures also cannot discriminate against marriages of the minority party which, homosexual people fall into that category. There is also an amendment stating there is separation of church and state, so you cannot declare that a marriage is a gift from God. Others might ask why gay marriage sh ould be legalized, but my question is this: why should other people be able to choose who marries who? If a man and a woman get married, no one seems to care.They are two people who feel affection for one another and those two people want to start a family. If we change the scenario a little bit and a man and a man, or a woman and a woman, try to get married it causes uproar. They are not allowed to be married or raise a family together. Imagine waking up one day to a world that was completely opposite from the world we went to sleep in, meaning gay people are now straight and all straight people are now gay. Do you think the newly straight people would fight for the newly homosexual people’s rights?America is the land of the free, but we are not free to marry whomever we would like. After everything straight people have put homosexual people through, in this scenario, homosexual people would most likely vote for their rights because they would want their rights to be voted f or. We are equals in this world whether we are Black, White, Hispanic, Indian, or any other race for that matter. Why should we not be equals based on sexual orientation? In a marriage there is one thing that truly matters: love.Yes, other things are important too, but not one couple would make it to even asking someone to marry them if there was not some love. Las Vegas, Nevada is also known for being the place where many weddings occur which are annulled within one week. These marriages are not based off love, but simply a drunken night in Vegas. High divorce rates weaken what a marriage is defined as. Why are we not able to rewrite what a marriage stands for and make it include a homosexual marriage? The definition of love, according to dictionary. com is as follows: â€Å"Very strong affection: an intense feeling of tender affection and compassion. If gay people feel this way then why shouldn’t they be able to be married? If they are happy with each other, said persons s hould be able to marry. California, Hawaii, New York, and the District of Columbia all have domestic partnership laws and civil partnerships meaning it is almost a marriage without the matrimony. Civil partnerships also give couples the ability to have joint bank accounts, live in the same house, and pay bills together. Homosexual couples are not entitled to this in most states. Marriage benefits should be available to all couples, no matter what.In places where gay marriages are banned, the gay couples are not able to have the same benefits as others. When filing for health care or insurance through a job, gay couples are not able to add each other on. Most loved ones, such as a spouse or a child, in a straight marriage, can make life altering decisions in a hospital if need be. Since gay marriage is not legal, said person’s spouse is not recognized as their next of kin and care is delayed. Who would be affected if homosexual marriage was legalized? No one. Everyone believes there is one person who is out there to love us.Gay people feel the same way. Parenthood is a benefit of marriage and gay couples cannot have children by themselves, without some type of help, so they look to adoption agencies. In some cases gay couples are put on longer waiting lists or denied completely. There are other benefits to being married as well, such as tax breaks. On the website professorshouse. com it reads, â€Å"When we hit our mid-thirties, we wanted only true friendships- friendships that were durable. † This is a perfect example of matrimony and what it should be based on. . According to dictionary. om a marriage is, â€Å"The legal or religious ceremony that formalizes the decision of two people to live as a married couple, including the accompanying social festivities. † If this is a marriage why are gay people not included in this? Even though gay marriage should be legalized, some people have different beliefs. In most religions including, Christ ianity, Islam, and Orthodox Judaism same sex preferences are a sin. People believe in procreation to repopulate the world, but are against gay marriage and homosexuals adopting children because they cannot procreate on their own.If this is a stand point on making or breaking gay marriage then only people who are fertile and want to procreate should be able to get married according to this bias. America has never really given gay marriage a chance, but they believe gay marriage will weaken its institution by leading to high divorce rates. On loveandpride. com I read, â€Å"One reason legislatures are denying gay marriage is because they are fearful that opening the door to allowing gay marriages will open the door to polygamy as well. This would also mean reopening cases about polygamy in the past which they are not willing to do. Others are fearful for children’s futures and they fear being raised by two fathers or by two mothers may compromise children’s mental capac ities. Even though to most people gay marriage should be illegal and should stay in its current state, I believe we need to change the world for future generations. We feared that different religions were going to clash, but now all of the religions coexist. White people had Black and Hispanic slaves, but we overcame the odds and now White men, Black men, and Hispanic men can be equals.If it is possible to overcome such fierce obstacles then we can overcome the boundary obstructing gay marriages and straight marriages alike. Gay marriage should be legalized for these reasons. Evolution will always continue and at any given point in time, something will occur that we will not like in this world, but we can overcome this. Gay marriage is a controversial issue that people have been fighting for years and it has finally come to the surface. We should take charge of it.

Thursday, August 29, 2019

ANIMAL WELFARE BOARD OF INDIA V A.NAGARAJA ORS

ANIMAL WELFARE BOARD OF INDIA V A.NAGARAJA & ORS â€Å"Whenever there is a conflict between the customs and the law, there are two outcomes of the conflict. One is where the law changes the custom and society and the other is when the customs and society change the law†. The purpose of making a case commentary on this particular case is due to the after-effects of the postponement of the judgment on the public of south India and to study the relevance and compatibility of the judgment. The paper also aims in providing an alternative Even though I stand by and support several viewpoints of the courts, I still consider it would be better for the court to have gone through a harmonious approach. The judgment was solely based on the exhibits submitted by the councils and the previous. I have briefly explained the obnoxious reactions from the public towards the judgment and the order of the government in this paper. According to my observations, the viewpoint of the government hasn’t been noted enough rather the validation of the Acts and Orders were widely concentrated. The court was being too much stringent on the previous judgment in such a way that it fails to consider the sentimental feelings of the society and the benefits to them thereof. Hence there were certain curable flows on part of the court though the judgment cannot be said has completely irrelevant. India is a country with vast divergence, culture, customs and practices which has a direct influence on the eco-system. Though these customs are sources of law many of the customs cannot be in conformity with the statute. The legislature and judiciary take steps in eradicating such practices from the society. The judgment has proved to be a milestone in the perseverance of culture and the safety of the animals. The issues in consideration of the case include one, challenging the Madras High Court judgment on validating the Tamil Nadu Regulation of Jallikattu Act (hereafter TNRJ Act) and the other, challenging the Bombay High Court Judgement validating the 2011 notification whereby bulls were added in the prohibitory list of performing animals. Jallikattu and Rekla race is represented as a sport for bravery which uses trained bulls and participants. These bulls are subjected to immense cruelty before sending them through the entrance which leads to their violent behavior on the playground. The deaths and injuries during the game show its unhealthy nature. Thus Madras High Court in 2006 banned the practice of Jallikattu and rekla racing, which was upheld by the Supreme Court bench headed by Justice K.S. Radakrishnan in this case. An interim orders were passed by the court since till 2014 permitting both the sports, until the judgement which strictly banned the sports and held that the rights guaranteed under Sections 3 and 11 of Prevention of Cruelty to Animals (hereafter PCA Act) and Articles 51A (g) (h) cannot be curtailed, except for procedures laid down under Sections 22 of PCA Act, and instructed the government to protect and safeguard the freedoms of animals. After the TNRJ Act came into force, the Act was challenged under Art 32 of the constitution. Where the Supreme Court set aside the judgment of the Madras High Court which validated the Amended TNRJ Act, 2009 and held the Act as unconstitutional and violative to PCA Act and upheld the judgment of Bombay High Court which validated the Ministry of Environment and Forest (hereafter MoEF) notification of 2011 including bulls in the list of animals prohibited from being trained. PARTIES: In the initial petition i.e., in the writ of Mandamus filed under Art.226 of Indian Constitution, against Deputy Superintendent of Police of 2006, the parties were 1. Petitioner: K. Muniasamy Thevar, then vice-president of Karisalkulam panchayat for whom L. Shaji Chellan appeared before the court 2. Respondent: Deputy Superintend of Police for whom Government Advocate J. Viswanathan appeared The judgment was held by Madras High court bench headed by Justice R. Banumathi and Pinki Chandra Ghose. Later on, in 2014 in the SLP of Animal welfare board vs. A Nagaraja other (2014) 7 SCC 547 the parties were 1. Petitioner or Appellants: Animal Welfare Board of India (hereafter AWBI) and People for Ethical Treatment for Animals (hereafter PETA). Sunil Kr. Jain, Aneesh Mittal, Sachin Sharma, A.K. Soni, G. Sivabalamurugan, Anis Mohd, L.K. Pandey. Dr. Adish Agarwala appeared. 2. Respondents: A. Nagaraja and other 11 petitions from 2011 to 2014 clubbed together for whom Additional General, A. Mariarputham, Raj Panjwani were the council. In the appealed case, the son of the respondent who was a participant in the game was killed during the game due to sustaining many injuries on his body. Procedural facts: The 2006 and 2014 petition was initially filed in Madras High Court as a writ of Mandamus[2] under Art 226 and in 2007 the division bench consisting of Justices Elipe Dharma Rao and P.P.S. Janarthana Raja reversed the previous judgment against which several SLPs were filed in Supreme Court under Art.136[3], Art 133[4], Art 142[5] and Art. 32[6] and the bench headed by Justice K.S. Radhakrishnan granted the leave. Historical facts: Jallikattu of Tamil Nadu and Bullock cart racing of Maharashtra were being practiced for over 2500 and 450 years respectively. The term Jallikattu refers to silver or gold coins tied on the bulls’ horns. In Tamil Nadu, it is a sport played on the third day of Pongal. On this day a running bull is released into a crowd, where participants either, grab and ride on the bull to stop it, or take the flag attached in the bull’s horn[7]. The bulls which perform well in this game are used for breeding and they fetch a high price in the market. Similarly, rekla race of Maharashtra is organized after Makara Sankaranthi, on Chaitra astami. On this day various cart owners organize bullock cart race where bullock carts run miles and the winning team is rewarded. The roller coaster of the bull games controversy started in the year 2004 with the petition filed by the South Indian Humanitarian League and Blue Cross of India to the Petitions’ Committee of the TN state legislature to ban Jallikattu and other sports using bulls. Though the judgment of the said petitions held by Justice FM Ibrahim Kalifulla permitted the â€Å"sport† with a rider, that the bulls used in the game should be unharmed. In 2006 judgement held by Madras High Court by Justice R. Banumathi and Pinki Chandra Ghose, by expanding the scope on a writ of mandamus[8] filed against a police officer for willful omission in granting permission for the condonations filed by villagers seeking permission for conducting the game by Ramanathapuram Police the court along with dismissing the writ with reference to the 1996 judgement of Panaji Bench, Bombay High Court, banned conducting all games involving harsh training of animals like rekla race, oxen race and jallikattu. This strengthened the then PCA Act, 1960. Whereas in 2007 the division bench[9] consisting of Justices Elipe Dharma Rao and P.P.S. Janarthana Raja took a harmonious construction and enabled regulatory measures to ensure the safety of the animals instead of previous complete restriction, this order was later on overruled by three judges’ bench of Supreme Court. The apex court in 2008 granted permission for conducting rekla race by limiting the race field distance to 15m radius. The Tamil Nadu government then passed TNRJ Act to do away with this judgment, against which AWBI and PETA filed writ petition challenged in the Division Bench Judgment on the basis of PCA Act, MoEF Notification 2011. Another set of SLPs were filed again the Bombay High Court upholding the MoEF Notification 2011 and the corrigendum issued by the Government prohibiting exhibition and training of animal, of which A. Nagaraja father of a participant who died in the course of game and others, and AWBI and other animal welfare organisation working for the protection of the animals were parties, the court held the final judgement to ban both the games stating that these games as violation to S. 5 to S.11 of the PCA Act and fundamental duties, under Art 51A (g) and (h)[10] of the Constitution. Relief: The relief claimed by the parties were to clarify whether 1. the TNRJ Act was in repugnancy and in violation of PCA Act 1960, 2. Jallikatt and rekla race promotes cruelty in the name of culture 3. The Bombay High Court judgment was justified in upholding the 2011 notification of the central government. Arguments: From the judgment, the appellants argued on the basis of physical and mental cruelty faced by the bulls, repugnancy of the Act to PCA Act and many reports, affidavits and photographs from certified authorities, which talks about the animal behavior prior and after the game highlighting the cruelty over bulls during the games. It was also argued that TNRJ Act doesn’t have the effect of a law since the President has not asserted it. Furthermore forcing an animal to take part in such game was against Art.51A (g) and Art. 21[11] in addition to being in violation of S.3 and 11 of PCA Act. Organizers of Jallikattu and rekla race took a standby stating that the game was conducted during the days of the festival which is being practised for years and proper care has been taken by the committee members and the bull owners ensuring its safety and no cruelty as mentioned under S.11(1)(a) is meted out. It was further argued that the presence of collectors, doctors and police officials etc on duty ensures such cruelty doesn’t take place and also requested to regulate the event rather than stopping it. These apprehensions were meet by TNRJ Act. In addition to this, it was argued by the state that non-applicability of tickets for the event excludes them from being a part of S.22 of PCA Act. The matter of previous notifications of MoEF was also discussed with reference to N.R. Nair Others Vs U.O.I[12], where the court formed a committee to discuss the corrigendum of exclusion of dogs from the initial list whereas the same was not done at the present situation. The outcome of the case: The Special Leave petition was granted and the case was disposed of, setting aside the Madras High Court order of upholding the TNRJ Act, holding the Act unconstitutional and void, upheld the Bombay High Court judgment validating 2011 notification whereby bull was included in the list of animals prohibited from being exhibited and trained. Application: The judgement, in this case, strengthened the PCA Act, 1960 and elevated the rights of the animals to that of Art 21 and imposed Art 51 of the constitution as a strict obligation upon the citizens. It also held that spectators would also be hurt, since the requirement of 8 feet high barricades were not emulated and guaranteed rights under S.3 and 11 of PCA Act r/w Art.51A (g) (h) cannot be curtailed, unless as per S. 11(3) and 28 of PCA Act. Also recommended the state and other authorities to take reasonable steps to ensure the protection of the freedoms. The TNRJ Act 2009 was held violative to Art. 254(1). Analysis The judgment starts with a brief summary of the case followed by arguments and the holding. The decision of Supreme Court thought was appropriate there were alternative methods available which could have been much more harmonious in nature. The judgment might have strengthened the animal protection workers and raised the status of the animal right to the level of fundamental rights in the constitution. But it has also lead to public unrest in the state for three days which ended in the passing of an ordinance. The logical reasoning in the judgment was irrational and it was pleaded by the prosecutor that â€Å"if the court can grant permission for slaughtering animals for religious then why not grant permission to conduct a game which doesn’t possess any threat to their life†. Regarding the repugnancy nature of the tnrj act with respect to PCA act, 1960: It has to be noted that Entry 17[13] of List 3 guarantees the right to frame laws on the said subject to both State and Union government. The PCA Act was enacted in 1960 for this purpose. In 2009 the TN State government passed TNRJ Act which was argued to be repugnant to the 1960 Act. This entry indirectly implies that such laws cannot be made which could be hazardous with respect to the purpose of the entry. The evidence submitted by the AWBI and PETA where cruelty on animals are shown cannot be left blind. The animal which is being taken care of so well and trained require an external pressure to force them to behave in such a manner as in the games, which is certainly in direct conflict with the Act. The repugnancy arises only when there is any conflict between both acts and when there is an overlap between the provisions of the Acts. But here the 2009 Act cannot be repugnant to 1960 because the 2009 Act can be viewed as an extension to that of 1960 Act. Although the recent act p ermits the exhibition and training of the animal, prohibited in the 1960 Act. But the Act provides strict regulation over the rules and health of the bulls. With regards to promotion of cruelty: The game is a cruelty not only towards the animals but also towards participants and spectators. The increase in the number of deaths and injured while conducting the game cannot be ignored. The responsibility of State is much wider. Public health being a matter under State list have equal importance as ensuring public interest. Thus the Act which has a direct impact on the health and safety of the public cannot be encouraged. Art 19 (1) (g) has given the right to practice, profess and carry any occupation trade or business and also forbids to force any citizen to practice profession hence the State cannot force the citizen to engage in non-profit trade in the name of Agriculture. Though banning the sports could end the physical and mental torments faced by the bulls it could also affect in the slaughtering of them and leads to their extinction. This is against the Biodiversity Act 2002. The Court laid down the aspects of Article 51-A (g) and (h), Fundamental Duties on the part of the citizens and extended the scope of Art. 21 to the animals. It is indeed a ‘dangerous sport’. Considering the number of people being injured and died and the cruelty and harassment faced. As said by Mahatma Gandhi â€Å"The greatness of a nation and its moral progress can be judged by the way its animals are treated†. Treating an animal with cruelty for its existence doesn’t make an ideal methodology. But instead of banishing regulating is better.

Wednesday, August 28, 2019

Operational Auditing Essay Example | Topics and Well Written Essays - 5000 words

Operational Auditing - Essay Example An operational audit is a review of any part of an organization's operating procedures and methods for the purpose of evaluating efficiency and effectiveness. At the completion of an operational audit, management normally expects recommendations for improving operations. An example of an operational audit is evaluating the efficiency and accuracy of processing payroll transactions in a newly installed computer system. Another example, where most accountants would feel less qualified, is evaluating the efficiency, accuracy, and customer satisfaction in processing the distribution of letters and packages by a company such as federal express. Because of the many different areas in which operational effectiveness can be evaluated, it is impossible to characterize the conduct of a typical operational audit. In one organization, the auditor might evaluate the relevancy and sufficiency of the information flow in processing sales. In operational auditing, the reviews are not limited to accounting. They can include the evaluation of organization structure, computer operations, production methods, marketing, and any other area in which the auditor qualified.1 The conduct of an operational audit and the reported results are less easily defined than for either of the other two types of audit.effeciency and effectivene... In addition, establishing criteria for evaluating the information in an operational audit is an extremely subjective matter. In this sense, operational auditing is more like management consulting than what is generally regarded as auditing. Operational Auditing is a non-financial audit that involves a systematic process of evaluating an organization's (or part of an organization's) effectiveness, efficiency, and economy of operations under management's control, and reporting to appropriate persons the results of the evaluation along with recommendations for improvement. Operational auditing focuses on management goals, initiatives and strategic plans to generate innovative solutions for the challenges that face the units and their managers. The process verifies the existence and effectiveness of management controls that are meant to ensure that the unit meets its operating objectives. The scope of the audit is expanded beyond the verification of financial controls or compliance with policies. Operational auditing looks for the existence of management controls (such as leadership, employee empowerment, teamwork, risk assessment, information, communication, resource allocation, productivity measurement, etc.) that support the financial controls in attaining goals set by the units. Desired results of operational audits include discovering innovative solutions, promoting creativity and new ideas, and recommending operational improvements. Effectiveness: Before an operational audit for effectiveness can be performed, there must be specific criteria for what is meant by effectiveness. Effectiveness is the degree to which the organization's objectives are accomplished. An example of an

Tuesday, August 27, 2019

Oil Business - Advantages and Disadvantages Essay

Oil Business - Advantages and Disadvantages - Essay Example Typically, the entire oil business is divided into three main parts which are the upstream, midstream, and downstream sector. The upstream sector is concerned with the location and extraction of oil from various parts of the world while the midstream is concerned with the processing of extracted oil to marketable products as well as the transportation of such products. Both the upstream and the midstream sectors are concentrated only in certain parts of the world such as Russia or the Middle East while the distribution industry which is part of the downstream sector is spread throughout the world (Gary & Handwerk, 1994). Therefore, any changes in the global market of oil can either favorable or adversely affect the distribution industry significantly. The unpredictability of the global market can also lead to many changes inside of the distribution industry, and the rising cost of fuel has only put a strain on the already straining oil distribution industry.One of the industryâ€℠¢s strengths is that it is among the first in the line of industries affected by oil prices and therefore it can suffer minimally as compared to other industries when it comes to changes in oil prices. Because it is the first hit by the changes, it is also the first that can adapt and the first to be able to quickly overcome the changes to try to lessen losses based on the change in oil prices. Where other industries are affected conversely through the chain of order and sometimes have little room to do anything about the price of oil, the gas distribution is hit first and therefore can adapt most quickly with the other industries adapting around it.When less oil is mined and processed in the international market, independent distributors would have to compete to obtain what is available. This sort of competition can drive smaller distributors out of business. And for those smaller distributors, this can cause problems, and may at first look like an outright negative effect of gas p rices, and a negative effect of the whole of the industry. But this negative opportunity for the smaller firms soon opens up a larger one for the bigger firms, which can then flex their economic muscle a little bit. It is this versatility and adaptability that helps the oil distribution industry to survive at hard times when most other industries would fold upon themselves and crumble.

Monday, August 26, 2019

Black Stork Essay Example | Topics and Well Written Essays - 1000 words

Black Stork - Essay Example It was the belief of those that ascribed to this type of world view that such a human was possible and the only thing that was stopping the further evolution of mankind was societal constructs of mercy and value towards all life equally. The proponents of the eugenics movement, Dr. Harry J. Haiselden himself a member, advocated for a more direct approach towards achieving this particular interpretation of Darwin’s theories (Pernick, 1996). The rational for this particular worldview was not formed from a state of mind that espoused hatred, malice, or contempt for human life; instead, the proponents of eugenics sought to create an idealistic world in which society would no longer be plagued by disease, and genetic disorders – a world in which a superhuman would eventually emerge. As such, opponents to the eugenics movement quickly crystallized around the belief and notion that all human life was sacred and it was not for the doctor/attending physician or anyone else for t hat matter to deem what life was not worthy of being saved through his own inaction allow an infant to die (Voluntary Euthanasia, 1932). As such, in 1919 a silent movie entitled Black Stork began to be shown in the then rare theaters. The movie was concentric around the actions/inactions of Dr. Harry J. Haiselden which led to the deaths of many infants the doctor deemed unworthy of life. Although this name is not likely to ring any bells currently, this was a medical doctor whose exploits were the thing of tabloid newspapers at the time. Due to the fact that Dr. Haiselden was a strong proponent of eugenics he was known to withhold treatment from certain infants that when born required immediate surgical procedures to ensure their continued longevity. As such, Dr. Haiselden was known to withhold theses procedures deeming it as a mercy to the child and to society to prevent them from being a drain on their parents and the society at large. As such, the movie displayed in detail the pr ocess through which the doctor would make these determinations as well as the graphic display of the corpses of the dead and dying infant with its own mother. This practice alone caused the film to have to be edited on a number of occasions in order to tone down the graphic displays of death and dying that were presented to the audience (CITE). The idea of eugenics, coupled with the fact that many in society were willing to carry to an ultimate end the theory of natural selection (aided by human hands) and survival of the fittest, meant that a term was brought into the lexicon of the medical community and society at large in a new and revamped way. The term itself, â€Å"Euthanasia† had previously had a much different meaning; however, due to the exploits of individuals such as Doctor Haiselden, the meaning grew from â€Å"efforts to ease the sufferings of the dying without hastening their death" to â€Å"actively or inactively ending life in an effort to end suffering† (Capron, 1974). As such, the term greatly progressed from what was its original meaning. Furthermore, the movement was presented to society in ways that they could no longer ignore the implications that such practices brought along with them. It is interesting to theorize what would have happened with eugenics and euthanasia had Hitler not risen to power in Germany during the early 1930’s (Benzenho?fer, 2010). Due to the Third Reich’s belief that racial superiority was the best model

Millennium Development Goals Assignment Example | Topics and Well Written Essays - 500 words

Millennium Development Goals - Assignment Example Primary education will help the development of countries because it helps develop and improve the essential human learning and life skills which are necessary for gainful employment and productivity, which on the other hand are important for economic progress (Bruns, Mingat and Rakotomalala 2). This goal is still significant for developed countries because while most of the children in the urban areas are already given primary education, those in the rural or remote places many not have the same opportunity. Furthermore, the more educated people there are in other countries, the more the global economy improves, which affects all countries of the world whether they be underdeveloped, developing or developed. Part 2- How successful are we globally in meeting this goal? What are the victories or concerns laid out in the discussion provided on the website? What statistics or evidence do they use to support these conclusions? Based on the facts given by UNDP, the pace of progress is insufficient since in 2009 not all boys and girls are in primary schooling, as evidenced by data on the sub-Saharan African countries alone, where at least one of four children are not enrolled in 2008 (United Nations Development Programme , par 3). The concerns presented are the high drop-out rates among the children, that is, in the sub-Saharan Africa, more than 30 per cent of the children drop out before reaching a final grade (United Nations Development Programme , par 4). Another major concern is the lack of teachers and classrooms (United Nations Development Programme , par 5). Part 3- Discuss the data that you have been reviewing. What sorts of measures are they recording? How does this tie into the goal? What do the overall trends suggest? How does this compare to the conclusions discussed in part 2 of your homework? The measures that they

Sunday, August 25, 2019

Introduction to Business Essay Example | Topics and Well Written Essays - 500 words - 4

Introduction to Business - Essay Example In addition, the increase of female employees has illustrated this as it has been seen to increase sales to female customers raising their bottom line, and creating a family like environment where every employee is appreciated hence more work done. The Lorraine motel, which is now a National Civil Rights Museum, is located in Memphis and picked by best buy in conducting training to its employees. Moreover, the motel being where Dr. Martin Luther King, who was a great fighter for black human and civil rights in America was assassinated, makes it an ideal location for training racial diversity employees. Therefore, Best Buy employs immersion techniques here to enable employees understand the importance of cultural and racial diversity as presented in Memphis. The Memphis environment is ideal in giving managers and employees some of the following: first, managers and employees should understand better the struggles for civil rights and generate respect for individuals of different races in the workplace and customers. Another effect is that it helps employees generate and appreciate cultural diversity among the different races in the world. In addition, this appreciation enables them to understand each other and be aware of how d ifferent races cultures perform in work environment hence appreciate it. Therefore, the trip also highlights the need for equality among different races and that no employee is greater than the other in the workplace. A diverse workforce in racial and gender senses has been analyzed to have positive effects on a company’s bottom line in the following manner. First, race and gender diversity caters for customer of all races and gender, hence customers are able to get more personalized services from racially and gender diverse employees who understand them, enhancing their shopping experiences encouraging more sales and consumer loyalty. Moreover, diverse gender in

Saturday, August 24, 2019

Homeopathic remedies (argumentative Essay Example | Topics and Well Written Essays - 2750 words

Homeopathic remedies (argumentative - Essay Example The second principle is that the natural property of homeopathic remedies is maintained and retained even after the repeated dilution and sucussion beyond the Avogadros number. The fundamental theory of Homeopathic remedies is that the micro doses of these materials are used to stimulate the natural protective and healing mechanism of the body resultantly aiding as a remedial system. The interesting part of homeopathy is that this alternative medical branch utilizes diluted doses of such materials which are assumed to cause similar symptoms as that of the actual disease. The basic theory involved is that imparting such foreign materials would cause and prompt the body to formulate a defensive mechanism which ultimately would help the remedy of the actual disease. This possibilities branch of such a remedial system was first explored by Samuel Hahnemann, a German physician in the year 1796 (Jonas, Kaptchuk & Linde 2003, 393-399). The continued dilution of the naturally extracted mater ials is achieved by serial shaking and the dilution is expected to continue till a stage where least of the original ingredient remains. The remedial outcome is assumed to increase with the continued dilution. The general strategy followed by the homeopaths in determining the remedial measure is through the assessment of the disease symptoms with reference to a calibrated index of symptoms (Rite Care, 2009). Along with this, the physical and psychological state of the patients is taken into account while recommending the remedial measure (Rite Care, 2009). In the present scenario of clinical research, homeopathy is increasing growing in importance. A lot number of researches are seriously undertaken so as scientifically to confirm the benefits of homeopathy as an effective remedial branch of medicine. This should be read together with the fact

Friday, August 23, 2019

Management Practices and Operations Essay Example | Topics and Well Written Essays - 500 words

Management Practices and Operations - Essay Example A second problem is the arrival pattern of trucks to pick up products that materially contribute to gridlock within the facility. The company has identified various factors that can affect the customer satisfaction because of waiting time and provide a framework for showing managers which of these factors are under their control. The main solution for the problem lies in the queuing or waiting line models. 1.2.1 Queuing theory or waiting line theory is primarily concerned with processes characterized by random arrivals (i.e., arrivals at random time intervals); the servicing of the customer is also a random process. If we assume there are costs associated with waiting in line, and if there are costs of adding more channels (i.e., adding more service facilities), we want to minimize the sum of the costs of waiting and the costs of providing service facilities.( Queuing models – waiting lines). The diagram focuses on the causes rather than the effect, because there may be a number of causes for a particular problem. This technique helps us to identify the root cause of the problem in a structured and uncomplicated manner. It also helps us to work on each cause prior to finding the root cause. (Applying the fishbone diagram and Pareto principle to Domino, 2004). â€Å"Breakdown maintenance is reduced to the minimum by resorting to planned/ scheduled maintenance. And computerized software is used to redesign the plant layout to minimize handling cost. ABC analysis is carried out to reduce the inventory carrying cost. When carrying out an ABC analysis, inventory items are valued (item cost multiplied by quantity issued/consumed in period) with the results then ranked. The results are then grouped typically into three bands. These bands are called ABC codes.† (ABC analysis, 2009). The stocks are not meeting the requirements, or in other words, stocks which are in frequent demand are not stored in sufficient quantities. Production

Thursday, August 22, 2019

Zara Summary Essay Example for Free

Zara Summary Essay Global apparel chain are characterized by unique combinations of high value research, design that they have been pursued for quite some time. Almost more than 30% percent of world production apparel was exported. Lots of company making their manufacturing production on the developing country, because of some factor of the cheap labor intensive. Some country are keen to supply their product to the country that has a very low quote restrictions like China supply their product to Japan where there are no quota restrictions. Some country also do like combining all of the resources part from other country and combine it, like in making a jacket, the zipper come from Japan, the shell from Korea, the jacket filling from Japan, and the label, and other trim are from Hong Kong. Apparel retailing usually try to promote quick response that is needed to improve coordination between the manufacturer and the retailer itself. This is used to increase flexibility and response. The main competitor of Zara are GAP, HM, Benetton. All of them have a comparative advantage among each other. More than 90% percent of GAP product are outsourced from outside US, GAP do this to get the competitive advantage of cheap labor, also, they are lack of clear fashion positioning. HM are Inditex closest competitors from all side. They generate more than half sales outside the country. They have a cheaper price than ZARA. The last is Benneton, they focus on a colored knitwear. They are labor intensive. They use a strategy of narrowing their product lines. Basically, Inditex are global specialty retailer that sell apparel, footwear and accessories for women, children, and men through a prominent store like Zara and others. They are headquartered in Galatia to get the advantage of poor labor and other advantage. There are 6 chains that Inditex worked with which Pull and Bear, Massimo Dutti, Bershka, Stradivarius, Oysho and Zara. This are all the prominent chain. That are all the chain in 2002, but in May 2001, Inditex sold 26% percent of their share to the public to raise cash. The largest chain of Inditex are Zara that are oprated in 507 stores in various countries. Zara has it’s own way to track consumer preferences. Zara usually supply the store directly from the main distributor which usually take twice a week. Zara can work very fast regarding the finished goods, with the systematic technique, they can be able to have a finished goods including finishing the design in just 4 weeks. Zara has it’s own professional creative team, designer and consulting team, product development and sourcing specialist. Zara focused it’s product distribution from internal and external supplier. That passes through the distribution center in Arteixo and than it is distributed on the store to saves time. By the time going, Zara want to improve their model to be more sophisticated based on the trends to increase consumer loyalty and keep maintaining the lower prices than the competitor. Zara only do a small amount of advertising campaign. They focused on the freshness of the product that stay up to date with the changing environments.

Wednesday, August 21, 2019

The Governments’ Responsibility Essay Example for Free

The Governments’ Responsibility Essay Whether or not rich countries should help poor nations by providing food and education has long been an issue. Others go against such act of charity arguing that it is the poor countries’ governments’ full responsibility. I say, charity is good, but governments should not rely on it. Rich countries like Japan, Australia and the United States (to name a few) have been sending volunteers to aid poor and developing countries like the Philippines. Indeed, they have done much to improve the lives of the people in these countries. However, eventually, the governments of these countries tend to pass on the responsibility of taking their citizens’ welfare into the hands of the wealthy. Somehow, they forget that it is their task to uplift the lives of their people. And, rich countries are not required, whatsoever, to lend assistance. However true this may be, human nature still rules. Because we are not made to live by ourselves, we reach out to our less fortunate brothers and sisters. This is made even more possible through the United Nations Organization which brings every nation, rich or poor, closer. Through the UNO, rich countries send assistance to poor and developing countries by sending basic needs such as food, clothing and education. True enough, economic conditions of benefiting countries have alleviated. Nevertheless, the effort should not be one-sided. National governments should always see first-hand the welfare of their people. Seeking for aide should not always be the option. For the betterment of the nation, governments should inspire the people to help themselves by providing employment opportunities for basic needs to be met. The government should come up with programs to provide free education, so that their sense of pride would boost up, thus, motivating them to improve their lives with the government’s assistance. To sum it up, it is basically the governments’ responsibility to bring about progress in their nation through their citizens. Wealthy nations are not and should not be required to share their wealth. Charity is an act of love, not an obligation. We can’t just rely on aides for the rest of our lives, can we?

Tuesday, August 20, 2019

European Union Decision Making

European Union Decision Making Introduction The European Union (EU) decision making process is quite a complex perform which involves more than one institution most of the times. The European council, the European parliament, and the European commissions are the key players within this key complex and multi-party process. More than the past five decades the European Parliament (EP) has motivated from being a mainly consultative assembly to being a genuine co-legislature. The growth in the European Parliaments powers was accompanied by a revaluation of its Standing Committees. The European Parliament (EP) is now generally seen as a co-legislator with the Council is a comparatively new development. It did not enjoy any effective rights of participation in the legislative process for more than three decades. As an assembly it started out with only two key powers: the supremacy to pass a motion of censure against the High Authority and the power to be consulted by the Council on selected legislative proposals. The opinions given in this traditional consultation procedure were non-binding. The Single European Act (SEA) 1987 represented a key step promote for the EP. It manifest the inauguration of a new triangular relationship between the Council, the Commission and the EP by introducing the co-operation procedure, which significantly enhanced inter-institutional dialogue, giving the EP the first opportunity to loosen its legislative power and to make use of its agenda-setting powers. The positive experiences structure of the co-operation procedure, the EPs legislative competencies were extended by the Treaty on European Union (TEU) commonly known as the Maastricht Treaty, 1993. Through the co-decision procedures beginning the Members of the European Parliament (MEPs) were, granted the power of veto in several policy areas, for the first time. The EPs role considerably strengthened by the Treaty of Amsterdam (1999), especially as regards its involvement in the legislative process. The procedure of co-decision has been extended from 15 to 38 Treaty areas or types of Community action and now applies to new areas within the fields of transport, environment, energy, development co-operation and certain aspects of social affairs. A new element in the Amsterdam Treaty is the reform of the co-decision procedure. Most significantly, a legislative act can now be adopted at the first reading if either the EP fails to suggest amendments to the Commission proposal or the Council agrees to the changes suggested by the EP. The EPs powers were accompanied by a revaluation of the EP Standing Committees. In the EU policy-making process they have become a key element and can be seen as a very important contribution to the determining of legislation. Operating Mode The EP Standing Committees have been described as the â€Å"legislative backbone† of the EP (Westlake 1994, p. 191). Under the proficiency of these committees everything that could possibly be dealt with by the EP, which officially examine only questions referred by the Bureau. The proposals in the practical political process, incoming legislative directly go to the responsible committee or committees. EP committees Development By 1953, committees have played a vital role within the EP from its setting up: seven committees had already installed by the Common Assembly. In 1979, after the direct elections, 16 standing committees were established. By the year of 1999 their number gradually increased to 20. At that point there was a growing feeling, however, that the number of committees should be reviewed with the main objective of distributing the new legislative obligations resulting from the Amsterdam Treaty more evenly (Corbett; Jacobs; Shackleton 2000, p. 105) The number of EP Standing Committees was subsequently reduced from 20 to 17 after the June 1999 elections. They each cover a particular area or policy field of the EUs activities and now have been reshuffled for the purpose of: (Christine Neuhold, 2001) merging issue clusters (external economic relations has been merged with industry and research and the Committee on Regional Policy now deals with policies concerning transport and tourism), emphasizing new priorities (e.g. equal opportunities now has a more prominent role in the Committee on Womens Rights and the same is true for human rights in the Committee on Foreign Affairs), ensuring greater committee oversight. The EPs committee structure does not correspond to any particular model. The Foreign Affairs, Human Rights, CFSP committee is, according to Westlake, clearly modeled on its equivalent in the United States Senate, but has far fewer powers (Westlake 1994, p. 135). Key players in committees We usually found that committee proceedings are to a large size formed by key players in the committee: committee chairmen, vice-chairs and rapporteurs, generally whose role is well known, and also draftsmen of opinion, shadow rapporteurs and committee co-ordinators. The chairmen and three vice-chairmen are its formal officeholders within each committee. When sensitive votes are held in plenary, the chairman presides over the meetings of the committee and can contribute considerably to shaping legislation. The function of the vice-chairmen is generally to stand in for the chairman when he/she is not available. Once a committee has decided to draw up a report or an opinion it nominates a rapporteur (when the committee bears primary responsibility) or a draftsman (when it has to give an opinion for another committee) (Corbett, Jacobs, Shackleton 2000, p. 108, 117). The group co-ordinators play an important role separately from the official officeholders. A co-ordinator selects by each political group who is responsible for allocating tasks to the group members as its main spokesperson. By opposition political group(s), mainly to monitor the work of the rapporteur are appointed the so-called shadow rapporteurs. By political groups the EP committees are composed on a cross-party basis and the composition process is organized in various ways through procedural rules, and by way of bargaining. Assigning leadership positions within committees is formally based on the dHondt procedure, whereby political groups have the choice of which committee they want to chair in an order determined by the size of the group (Christine Neuhold, 2001).   The individual (both full and substitute) members are chosen by the political groups with the aim of ensuring that each committee reflects the overall political balance among the groups in the EP(Christine Neuhold, 2001). The pivotal role of the committee chairmen, a position that has been described as a â€Å"prized office for MEPs† (Hix 1999), can be illustrated by the contrasting examples of two different directives. Even though the committee chairs were heavily lobbied in both cases, especially by industry, the outcome was highly different Normally the selection of rapporteurs and draftsmen is decided within the individual committees by a system, which is more or less the same in all committees. Each political group has, according to its size, a quota of points. The group co-ordinators then discuss reports and opinions to be distributed, decide how many points each subject is worth and make bids on behalf of their group, the bids based in theory (but not always in the practical political process) on the relationship between the number of points already used by the group and the original quota (Corbett, Jacobs, Shackleton 2000, p. 117). Political groups Significance within committees If committees are the legislative backbone of the EP, the political parties are its lifeblood or the institutional cement pasting together the different units of the Parliament (Williams 1995, p. 395). Each party group in the EP represents a very heterogeneous collection of established groups and temporary alliances (Raunio 2000, p. 242). For the legislative period of 1999-2004 eight political groups are represented in the EP (and a number of non-aligned members). In the elections of June 1999 the PES lost more than 30 seats while the EPP-ED gained 52 and now holds (with 233 seats) a 53-seat majority over the PES. It must be pointed out, however, that these two large political groups together hold more than 66 % of all EP seats. In comparison the European Liberal Democratic and Reformist Group (ELDR), which is the third strongest party within the EP, has only 50 members, i.e. 8 % of the seats (EU Committee of the American Chamber of Commerce in Belgium 1999, p. 13). Political groups have their own staff, in which the total number of employees to which a group is entitled, is linked to the groups size and based on the number of languages used in the group. (Christine Neuhold, 2001). Within the larger groups between two to three staff members observe and follow the work done by each committee, whereas one official might be responsible for observing the work of three or four committees in smaller groups (Raunio 2000). A variety of functions perform within the groups by the staff. One very main aspect is to follow and to prepare the committee proceedings and to support the rapporteur i.e. the shadow rapporteur in their political work. The existing task this involves varies from committee to committee. For example in the Committee on Agriculture and Rural Development the respective administrator is responsible for drawing up voting lists, whereas in the environment committee the Political Group Staff would only bring the voting lists into a readable form. When trying to co-ordinate their positions or exchanging views the rapporteur might in selected cases not negotiate with the shadow rapporteur but with the responsible administrator (Christine Neuhold, 2001). Expertise and openness significance of committee debates EP committees can exploit a growing pool of expertise. When it comes to supporting the rapporteur or draftsman of opinion in the performance of their task the EP Committee Secretariat is attributed great importance. The officials help increase the functional capacity of the EP by assisting the individual MEPs and the committees. The committee staff not only provides scientific and technical information, but also gives advice on â€Å"political† issues (Christine Neuhold, 2001). Separately from the Committee Secretariat interest groups are another important source of information. For the representation of interests Lobbyists gradually notice the importance of the EP. MEPs act in so far as possible as representatives of the European people, however if they are elected by local constituencies. They have to integrate interests with relevance to Europe as a whole and are therefore contacted by actors working within the myriad of networks to be found in the EU system of multi-level governance (Benz 2001, p. 7). Wessels reports that average MEPs have roughly 109 contacts with interest groups from the national and supranational level each year. In total this amounts to some 67,000 contacts and interest groups annually (Wessels 1999, p. 109). A remarkable improvement in the EPs activities is a great increase in the organization of public hearings by the committees. These hearings can serve up numerous purposes: they can facilitate the identification of or familiarization with a particular issue, assist a committee in the scrutiny of draft legislation, and facilitate identification of preferences. A remarkable example is the drinking water directive: a public hearing, involving a wide range of experts and interested parties, was conducted on the revision of this directive. The key conclusion reached was that there is a critical need to evaluate the existing series of directives and decisions on water quality. Consequently of this hearing particular deficits and problems within this context were recognized and methods of reform were proposed. Relations of EP committees with other EU institutions The connection between the EP and other institutions on the European level has evolved extensively with the introduction of first the co-operation and later the co-decision procedures. Co-operation marked an end to the old bipolar relationship between Council and Commission and the beginning of a triangular relationship in which the EPs legislative input was limited at the outset, though it gradually increased later (Westlake 1994, p. 137). Relations with other institutions throughout the legislative process during co-decision The introduction of the co-decision procedure by the Treaty of Maastricht has been regarded as a major step forward for the EP and â€Å"the cause for parliamentary democracy† at the EU level (Shackleton 2000, p.325). Negotiation between the Council of Ministers and the EP committees has established by the new Treaty provision. As soon as the Amsterdam Treaty took effect these contacts were intensified, mainly as a result of the possibility of concluding the procedure at first reading. Both institutions have paid close attention to the â€Å"Joint declaration on the practical arrangements for the new co-decision procedure† of May 1999, which encourages appropriate contacts with the aim of â€Å"bringing the legislative procedure to a conclusion as quickly as possible† (Christine Neuhold, 2001). Each Council Presidency is in contact with the responsible EP committee, and the respective Minister approaches the committee to present the priorities of the Presidencys programme and also illustrates the particular achievements at the end of the six-month period. Even after Amsterdam there are no clear procedural guidelines for the first reading. The most contentious question is how to mandate the representatives of the EP for negotiating with the Council. An additional open question is which members of the Council and EP hierarchy should meet with whom. At the first reading as a means of speeding up the procedure the EP sees the possibility of reaching an agreement, but not something that should be accepted at any cost. Within the conciliation procedure a process of exchange has developed where both sides are open to make concessions, but at a price that differs according to each set of negotiations (Shackleton 1999, p. 331). The procedure has evolved significantly since its introduction by the Maastricht Treaty, â€Å"where a lot was not written down† and even the basic procedural issues were not always clear. Considering the problems of conciliation, the so-called trialogue meetings are of great significance during its preparation. These sessions, neither the Treaty nor the EP Rules of Procedure, have been formed to an extent under the motto â€Å"necessity is the mother of invention†. They were answer back to the gap left in the Treaty between the Councils second reading and convention of the conciliation committee. The Treaty provisions do not require what, should happen after the Council has given its view on the EPs second-reading amendments and before the delegations meet in the conciliation committee. There were occasional bilateral contacts between Council and EP during the first year and a half after the Maastricht Treaty came into effect, but no structured dialogue. As a result both institutions attempted to find compromises in a room, which could hold over 100 persons. Only in the second half year after the Treaty came into effect was the conclusion finally drawn that this was not an efficient forum for institutional dialogue and that conciliation needed to be prepared by a smaller group (Shackleton 1999, p. 333). In light of the smaller number of persons taking part in trialogues, namely the vice-president concerned; the chairman of the responsible EP committee; and the rapporteur At the level of the trialogue and only have to be â€Å"rubber-stamped† in conciliation a large percentage controversial issue is already solved. The optimistic function of the trialogue is illustrated by the directive on end of vehicle life. At second reading the EP adopted a total of 32 amendments. In a series of trialogue meetings, compromises were reached regarding a considerable number of amendments Study conducted on the effect the co-decision procedure has on the EP committees has shown that co-decision has led to a structural concentration of the bulk of the workload on only three out of 20 Permanent Committees. The three committees dealt with the majority of the draft legal acts submitted under co-decision were: (Christine Neuhold, 2001) Committee on the Environment (36.7 %); Committee on Economic and Monetary Affairs and Industrial Policy (25.9 %); Committee on Legal Affairs (16.9 %). As regards the amount of time needed to conclude a co-decision procedure, the analysis reflects that the Committee on the Environment with the heaviest co-decision burden of all committees stabilized the amount of time required for adoption. The Committee on Economic and Monetary Affairs and Industrial Policy and the Committee on Legal Affairs have even reduced the time needed for the adoption of legislative acts considerably since co-decision was introduced in 1993 (Maurer 1999, p. 29). Role of EP committees within the implementation process One more significant issue is the process of implementing legislation. In the system of comitology, EP committees play only a marginal role. Comitology is a short-hand term for the process by which certain powers of implementation are delegated to the Commission. The comitology committees are composed of representatives of Member State governments and as such are not democratically elected (Bradley 1997). Since installation of the first comitology committees, the EP has put forward far-reaching demands as regards its involvement in the comitology system. Translating them into political science terms, they could be summarised in the following manner (Hix 2000): clear definition of legislative and executive matters so that the executive authority would be strictly responsible for implementing measures; when implementing acts have been adopted by way of co-decision in the legislative process, the EP should be put on an equal footing with the governments of the Member States; limitation of the executive powers of the Member State governments (at least to a certain extent); the right of the EP to examine all draft implementing acts before they are adopted with the implementation timetable; the right of the EP to veto legislation before it is implemented. Connection to EU citizens: the problem of accountability and responsibility The concept of accountability for this study is defined in two ways: primary, to be accountable is seen to be in a position of stewardship and thus to be called to answer questions about ones activities and administration. This is very much connected to ensuring a certain degree of openness and transparency within the decision making process. Choices and debates have to be broken down in such a way that citizens are able to understand them and have a certain degree of insight into decision-making processes. Second, to be accountable is perceived as being censurable or dismissible (Bealey 1999, p. 2; Lord 1998). Because of the fact that they are directly elected, the members of the EP are directly accountable to their electorate. Though, the electoral procedures of the EP are questionable as regards the principle of political equality. Concerning accountability, it is also doubtful whether electors are adequately informed about the EPs activities, and they seem to have insufficient motivation to monitor the EP by participating in elections: the average turnout of 49 % in the 1999 EP elections speaks for itself(Christine Neuhold, 2001). The complex EU decision-making procedures are not transparent and sometimes rather difficult to describe and understand, when the process reached by a majority. European parties be unsuccessful to organize dependable factions and the relationships between the EP and other EU institutions, specially the Council, are difficult to comprehend. One of the problems the EP is presently facing is that the EP does not have the authority of a legislature. As a co-legislator together with the Council, it cannot be held accountable for decisions it makes on its own (Benz 2000, p. 16). Additionally, there is no European government that can be held accountable to the EP. The EP has to give the rights of its vote of approval to the Commission and to the Commission President. By vote of censure, it can also force the entire Commission to resign. The EP hence has the power to vote the Commission out of office. Though, it is not the EP but the European Council that selects the President and the members of the Commission. In consequence the composition of the executive is not based on the results of European elections. Changes to the Treaties do not have to be ratified by the EP, nor are members of the EP present at Intergovernmental Conferences held with the aim of Treaty reform (Raunio 2000, p. 231). By this study it has been reflected, complex forms of inter-institutional bargaining make it difficult to pinpoint what decisions were taken by whom. Main decisions are taken in smaller groups such as the trialogue that permit for the achievement of consensus with other institutional actors such as the Council. However, the conclusion of complex deals obscures who has won or lost on particular issues. The circumstances is problematical by the fact that MEPs are like members of any national parliament confronted with a fundamental conflict of roles, specifically that of the competent co-legislator versus the representative of the interests of the people who elected him/her. The previous requires expertise and knowledge and complicated negotiations within the committee and with representatives of the EU institutions. The concluding requires stable contact with the EU citizens. The burden of committee work will require more time and effort of MEPs, making it more difficult to tend to the interests of the â€Å"potential voter† With the growth in the EPs legislative tasks. Concluding notes The actual authority of the EP is at least partly based on the work of its committees. In shaping EU legislation they play a vital role. This becomes noticeable when taking a final look at what EP committees achieve: Operation of economization: From an improved familiarity with the subject, EP committees make processing of a growing workload possible and benefit. To cope with its increasing legislative workload, committees play a vital role in the EPs quest. This improved burden for committees has not led to a slowing down of the decision-making process. Information acquisition: This improved familiarity of committee members with particular issues leads to improved specialization, thereby increase the confidence of non-committee members in the work of the committee. It has found that the EP committees constitute an important arena for the communication of interests. MEPs can use a rising pool of expertise from members of the Committee Secretariat on the one hand and on the other hand representatives of interests groups or NGOs. Co-ordination: Committee members are selected on a cross-party basis and through different means: throughout the political groups, procedural rules, and bargaining. The political groups within the EP have found different means to maximize their influence within committees, for instance by appointing shadow rapporteurs and group co-ordinators. Committees however provide an arena for the political groups to deliberate in order to find the necessary majorities, something not possible in plenary sessions. Input of smaller political groups: committee membership provides a real chance for representatives of smaller political groups in certain instances for example the Greens/EFA to take part in the shaping of legislation, by appointing the rapporteur for example. Consensus-building: The EP committee construction can give to consensus-building by providing an arena for detailed deliberation, which is not possible in plenary. It has found that divisions in committees are very issue-specific, and it must be noted that the committee lead very often plays an integrative role. Publicity: Committee meetings are usually open to the public and also the media. Committees permit members and committee chairs in particular to make publicity, at least when controversial topics such as the BSE crisis are on the agenda. Beyond this categorization, this provides an overview of how EP committees operate rather more normative, conclusions. The Standing Committees and the EP operate in a very different environment than the committees in national parliaments, a key difference being the lack of a European government directly accountable to the EP and the unique forms of decision-making in the multi-level system of European governance. In this process of relations with other EU institutions, remarkably the Council and the Commission, the EP committees play a vital role. The EPs work environment brings order and structure by the committee-based division of labor. Committees present personnel and structural resources which build up the negotiating position of the EP vis-ÃÆ'  -vis the Council, for instance in the co-decision process. Vital players in committees for example group co-ordinators, chairmen and rapporteurs not only contribute to cohesion and coherence within committees, but play a very important role in finding useful solutions to problems, so raising the committees output significantly. It has found that key players are often appointed due to their expertise in the particular policy area, which is sometimes gained throughout work within the industry previous to their parliamentary career. This and the fact that they can use a growing pool of expertise enhances their standing vis-ÃÆ'  -vis other institutions. It is also found that political actors who have acquired experience with these very specific forms of inter-institutional negotiations are selected to deal with co-decision, thus contributing to the level of trust and coh erence, particularly during conciliation. By the negotiations this is illustrated which dealt with the SOCRATES programme, the revision of the directive on open network provisions regarding voice telephony where the rapporteur was re-appointed, and the Fifth Framework Programme. Committees enlarge accountability of the EP as much as their meetings are usually open to the public and committee documents for instance draft reports are rather freely available. By meeting visiting groups and spending a large part of the working week in their constituencies, i.e. Member States Committee members also try to build up the link to EU citizens. Moreover committees enable effective communication of relevant (citizen) interests to those involved in the process of governance. Contact with lobbyists has normally become part of the daily business of committee members. In spite of these positive aspects, EP committees can do little to alleviate general structural deficits regarding accountability and legitimacy within the multi-level system, such as the lack of a European government, which is directly accountable to the EP.

Monday, August 19, 2019

Successful Organizational Diversity Management :: Workplace Employment Business Essays

Successful Organizational Diversity Management Why is organizational diversity important? Historically, diversity in the workplace has been recognized as an employment equity issue. Now, however, diversity in the workplace is being recognized as a benefit that will contribute to an organization's bottom line. Increased employee and customer satisfaction end up as increased productivity, all of which are measurable outcomes (Goff, 1998). Diversity goes beyond employment equity to nurturing an environment that values the differences and maximizes the potential of all employees, one that stimulates employee creativity and innovativeness (U.S. Merit Systems Protection Board (U.S. MSPB), 1993). To create an organizational culture that supports workforce diversity involves several important elements. These elements include a needs analysis, administrative and management support and commitment, education and training, culture and management systems changes and continuous follow-up and evaluation. Needs Analysis In many of my resources, a needs analysis was the second crucial element after senior management support and commitment. I feel a needs analysis should be prepared first to provide information to senior management in sequestering their support as well as to adequately determine workforce and organizational needs for creating a diverse workplace. First, find out what employees are concerned about. Most often used for this are focus groups and surveys. The needs and expectations of a diverse workforce can vary by organizational and functional levels, location, ethnicity, and gender (Baytos and Delatte, 1993). Second, determine the needs of the organization. By asking certain questions, an organization can determine its needs based on its culture and resources (U.S. MSPB, 1993). Does the organization have trouble retaining employees who would add to its diversity? In an organization with diversity, which, if any, areas of the workforce are being treated inappropriately? Ha s the organization impressed upon its leaders and managers the benefits that come from managing diversity appropriately? By using a survey that focuses on these questions you can ascertain where administration and management feel the organization presently is regarding diversity. Administrative and Management Commitment and Support Administrative and management support is critical for diversity change efforts. An important role for senior management is to provide leadership through development of a vision and goals for a diverse workplace (Lapid-Bogda, 1992). To gain support from administration you need to directly link diversity to the business.

Impact of the Ratification of the 13th Amendment on Commerce Essay

Background Information on the Thirteenth Amendment: The 13th amendment to the United States’ constitution was introduced in order to free the slaves from slavery and make united states a free country by abolishing and prohibiting slavery. This amendment finalized the abolition of slave trade in the United States. The 13th amendment has its origin in the proposition made by Abraham Lincoln to his cabinet in relation to the freeing of all slaves in the rebellious states. It was proposed by the 38th congress of the United States and passed by the senate on 8th April 1864 before being adopted on the 6th of December in 1865 following the announcement of the secretary of state who declared it to have been adopted. President Lincoln made an emancipation proclamation which was aimed at outlawing slavery in the ten confederation states which resulted in the abolition of slavery in the confederate states. However slave trade continued on the Border States until the thirteenth amendment was formulated. This amendment ended slavery in all parts of the United States including the Border States. Section 1 of this amendment provides that neither slavery nor involuntary servitude shall exist within the United States except in conditions where the individual was being punished because of crimes committed. The ratification of this amendment was completed on 6th December 1865 following the approval by most of the states (Goluboff 1609). The ratification of the 13th amendment had a significant impact on commerce since slaves were the main source of labor in most industries, factories and agricultural plantations. After this ratification, slaves were released from plantations and factories which forced more white men to work in plantations and fa... ...y or other heavy equipments. There was a significant decline in exports in these states which was followed by the collapse of their currency and this made it difficult for these states to obtain credit (Engerman 208).Significant reduction in agricultural production across the state resulted in scarcity of agricultural commodities which in turn increased the prices of agricultural products as well as export surpluses. References Goluboff, R. (2001). The 13th amendment and the lost origins of civil rights. Duke Law Journal, 50 (228): 1609 Engerman, S.L. (1982). Economic adjustments to emancipation in the United States and British West Indies. The Journal of Interdisciplinary History, 13(2): 191 – 220 McGlynn, F., and Drescher, S. (1992). The meaning of freedom economics, politics and culture after slavery. Pittsburgh, Pa: University of Pittsburgh Press.

Sunday, August 18, 2019

ANABOLIC STEROIDS :: essays research papers

Anabolic steroids are drugs containing, or hormone-like substances, that are used to increase strength and promote muscle growth. They were first developed in the 1930s in Europe to treat undernourished patients and to promote healing after surgery. Competitive weightlifters began using steroids in the 1950s as a way to increase their athletic performance. Use gradually spread throughout the world among athletes in other has been estimated that at least one in 15 male high school seniors in the United States--more than a half-million boys--has used steroids. Some are athletes attempting to increase their strength and size; others are simply youths attempting to speed up their growth to keep pace with their peers. In some countries, anabolic steroids are available over the counter. In the United States, a doctor's prescription is necessary. While the effects of steroids can seem desirable at first, there are serious side effects. Excessive use can cause a harmful imbalance in the body's normal hormonal balance and body chemistry. Heart attacks, water retention leading to high blood pressure and stroke, and liver and kidney tumors all are possible. Young people may develop and a halting of bone growth. Males may experience shrinking testicles, falling sperm counts, and enlarged prostates. Women frequently show signs of masculinity and may be at higher risk for certain types of and the possibility of birth defects in their children. The psychological effects of steroid use are also alarming: drastic mood swings, inability to sleep, and feelings of hostility. Steroids may also be psychologically addictive. Once started, users, particularly athletes, enjoy the physical "benefits" of increased size, strength, and endurance so much that they are reluctant to stop even when told about the risks. Major athletic compet itions, including the Olympics, routinely screen athletes to prevent steroid use.

Saturday, August 17, 2019

Capitalism & Socialism

A Better Change in Society Socialism and Capitalism are two different types of government. Socialism is the society were the government takes care of all individuals. There is no personal responsibility and the government owns everything but most personal freedoms are gone. Capitalism is an economical system in which wealth and the productions of wealth are privately owned and controlled rather than being state owned and controlled. Socialism critiqued capitalism for being an unfair economic structure.Before Socialism, the government was not engaged with the people, products and businesses, and taxes and classes were all functioning differently wen Capitalism was in play. What Capitalism really involves of is laissez faire, which means to let it be. In capitalism, the means of production is owned, ran, and traded for the purpose of making profits for private owners. Capitalisms’ importance is on individual profit instead of workers or society as a whole.However, on the Sociali sm side, all people should be given an equal opportunity to succeed and workers should have more rights and treated better. Socialism emphasis more on profits being distributed among the society to receiving a better wage. Capitalism was a time where government did not do much and let individuals to own their factories, houses, goods, etc. and put their own prices on them. Production are privately owned and used for a private profit. This gives motivations for producers to engage in economic activity.Once Socialism came to be, government began to act and the productions became socially owned with the surplus value produced increasing to either all of society or to all the workers of the business. The economy back in Capitalism was not very stable. Employment with low wages was affecting everyone except the rich. In socialism, there are the rich, middle and lower classes, but in capitalism there is no class that does not have its basic needs encountered. In this type of government th e rich, middle and lower classes are taxed depending on their salary, the more money made the more the tax.Taxes benefit the people and are used to support any of there programs and Capitalism has similar traits. However, in Capitalism it was more of a support to the rich only. The rich individuals goal for their business is maximizing wealth or the price of the stock of the business in order to make owners as wealthy as possible just like a free market economy, but does not befit the lower classes at all. In the Socialists point of view, Capitalism was considered an unfair form of government.Capitalism interested more on individuals’ own wealth, goods, and profits, which only benefited the rich class while the middle and lower class, had to work very hard to be able to get their money. That is why Socialism started and made everything equal for everyone. The rich were taxed more so that it would be fair any wasted the same as what a middle or lower class would waste. An impo rtant part of Socialism was that government had been more into their society and now government began to own factories, houses, and property and put it cost on it and nobody owned anything without government being engaged. Capitalism & Socialism A Better Change in Society Socialism and Capitalism are two different types of government. Socialism is the society were the government takes care of all individuals. There is no personal responsibility and the government owns everything but most personal freedoms are gone. Capitalism is an economical system in which wealth and the productions of wealth are privately owned and controlled rather than being state owned and controlled. Socialism critiqued capitalism for being an unfair economic structure.Before Socialism, the government was not engaged with the people, products and businesses, and taxes and classes were all functioning differently wen Capitalism was in play. What Capitalism really involves of is laissez faire, which means to let it be. In capitalism, the means of production is owned, ran, and traded for the purpose of making profits for private owners. Capitalisms’ importance is on individual profit instead of workers or society as a whole.However, on the Sociali sm side, all people should be given an equal opportunity to succeed and workers should have more rights and treated better. Socialism emphasis more on profits being distributed among the society to receiving a better wage. Capitalism was a time where government did not do much and let individuals to own their factories, houses, goods, etc. and put their own prices on them. Production are privately owned and used for a private profit. This gives motivations for producers to engage in economic activity.Once Socialism came to be, government began to act and the productions became socially owned with the surplus value produced increasing to either all of society or to all the workers of the business. The economy back in Capitalism was not very stable. Employment with low wages was affecting everyone except the rich. In socialism, there are the rich, middle and lower classes, but in capitalism there is no class that does not have its basic needs encountered. In this type of government th e rich, middle and lower classes are taxed depending on their salary, the more money made the more the tax.Taxes benefit the people and are used to support any of there programs and Capitalism has similar traits. However, in Capitalism it was more of a support to the rich only. The rich individuals goal for their business is maximizing wealth or the price of the stock of the business in order to make owners as wealthy as possible just like a free market economy, but does not befit the lower classes at all. In the Socialists point of view, Capitalism was considered an unfair form of government.Capitalism interested more on individuals’ own wealth, goods, and profits, which only benefited the rich class while the middle and lower class, had to work very hard to be able to get their money. That is why Socialism started and made everything equal for everyone. The rich were taxed more so that it would be fair any wasted the same as what a middle or lower class would waste. An impo rtant part of Socialism was that government had been more into their society and now government began to own factories, houses, and property and put it cost on it and nobody owned anything without government being engaged.

Friday, August 16, 2019

Descartes Essay Essay

None of the proposed philosophical theories is exact, not even a combination of two or more theories (Sayre, 2011). However, Descartes has unique way of metaphysical argument concerning existence of God. Descartes’ Discourse on the Method (Part IV) ends surprisingly with a claim of God’s existence, which can be deduced from the interrelationship between mind, soul and our existence. Descartes began the fourth section by discussing about himself. The reading up to the point where he gives credit to a supreme being, God, could only suggest that Descartes was discussing about his philosophical thought about his being as a man. However, the discourse twist came when he inferred, â€Å"something indeed having every perfection of which I could have any idea, that is—to explain myself in one word—by God† (Bennett, 2007, p. 16). After this inference, the discourse changed to one that discussed the existence of God. It was at this point that it became clear that the ending would be more of God’s existence rather than a conclusion of Descartes as a human being. The change of discourse from exploration of self to a proof of God’s existence through personal evaluation was indeed an ingenious thought. Most of the times we try to prove existence of God or lack thereof by evaluating what are outside us. However, Descartes made a self-evaluation on intrinsic values of himself as a human being. By deconstructing his strengths and limitations, he was able to realize a fair conclusion about the existence of a supreme being, which we refer to as God. Therefore, the ending was different but offered a concise conclusion on God’s existence despite starting on a different discourse. References Bennett, J. (2007). Discourse on the Method of Rightly Conducting one’s Reason and Seeking Truth in the Sciences. Retrieved from http://www. earlymoderntexts. com/pdf/descdisc. pdf Sayre, H. (2011). The Humanities Culture, Continuity, and Change: New York: Pearson College Div.

Thursday, August 15, 2019

Pride of Paradise Lost’s Satan and Dr Faustus Essay

â€Å"Pride and worse ambition threw me down†(4.40) says Satan in John Milton’s Paradise Lost. This short and simple confession hides several deep meanings and significant messages to humankind. That is because it is not only Satan who stumbles by the sin of pride. Satan is the tempter and foe of mankind, and he imposes his own ill traits on mankind while trying to draw him to the depths of hell. That is, like Satan human may think highly of himself though he is not. In Christopher Marlowe’s The Tragical History of Doctor Faustus presents an impressive example of how limitless human is in swelling with pride. Pride was a common theme during Renaissance and, both Milton and Marlowe demonstrated how it can lead a catastrophe. Pride is the reason why both Satan and Doctor Faustus turns against God, cannot repent despite their regret, and eventually destructed and punished by God. Firstly, it is pride, their common trait, which leads Satan in Doctor Faustus to rebel against God. When we look at Satan’s situation he is in the Heaven as well as other angels, so what makes him to be fallen from there? God creates Son and makes him His most favorite one, and puts him in a higher position than Satan and other angels are. This is the point when Satan becomes Satan. He is jealous of Son because his pride makes him suppose that he should be the superior, the most beloved and valued. In lines 686-690 (Book 6), he says, â€Å"for they weened/ That selfsame day by fight, or by surprise/ To win the Mount of God, and on His throne/ To set the envier of His State, the proud /Aspirer†. These lines are an example of how his pride makes him an â€Å"aspirer† to God. However, we can see his desire for superiority when he, disguised as a serpent, and trying to deceive Eve; he says, â€Å"Look on me! /Me who have touched and tasted yet both live /And life mo re perfect have attained than fate /Meant me, by vent’ring higher than my Lot.† He teems with the idea of â€Å"a more perfect life,† and he tries to contaminate others with the same idea. His uneasiness is not only with Son, but he is unsatisfactory with God as well. Eventually, he rebels against God and be placed in Hell. As Milton starts medias res, the adventure of Satan, actually, begins when he is fallen in Hell. His fatal pride and ambition leads him to claim battle with God; he is so blinded with ambition that he cannot see his limitations. In this sense, he behaves  naively in spite of his heroic characteristic, and he is so proud of his army that he never thinks he will be defeated. For example, â€Å"How such united force of gods, how such/ As stood like these, could ever know repulse?† Here, he thinks a strong force as his will never know â€Å"repulse†. Another praise of his army is between the lines 631-634 (Book 1): â€Å"For who can yet believe, though after loss, /That all these puissant legions whose exile /Hath emptied Heav’n shall fail to re-ascend,/ Self-raised, and repossess their native seat?† He thinks so highly of his army that they surely will get their seats back in the Heaven. In short, Satan’s pride does not only lead her to rebel but also to fight with God. When we look at Doctor Faustus, though he is a human; that means he is son of Adam and enemy of Satan, he follows the paths of Satan and his pride gives rise to other sins; as a result his relation with God is broken. Doctor Faustus is a scientist who is obsessed with the idea of conjuring; however, his greatest sin is pride, which is the greatest of seven deadly sins and the one leading others. Before the play begins the Chorus tells us his pride: â€Å"Till swollen with cunning, of a self conceit† (page 1, 1.0.20). He is so proud of himself that he becomes self- conceit. Due to his pride, Doctor Faustus searches knowledge beyond human realm for power. Thus, pride brings greed, which is not just for knowledge but also for wealth. He believes thorough magic he will be richer; he says, â€Å"†A world of profit and delight, Of power, of honor, of omnipotence† (page 5, 1.1.1-2). Eventually, he makes a deal with devil and trades his soul for knowledge. Making a deal with Devil means to defy God, because he is not satisfied with what God has given him. Doctor Faustus regards himself on a higher level than devils and hell; â€Å" I charge thee to return and change thy shape,/ Thou art too ugly to attend on me; (scene 3, 23-24). He thinks nothing will happen to him; â€Å"Come, I think hell’s a fable†. His challenge with God progresses throughout the play; he supposes he is more deserving the special dish than the Pope; â€Å"POPE: My Lord, here is a dainty dish was sent to me from the bishop of Milan. FAUSTUS: I thank you, sir. [snatch it] (scene 7, 62-64)† This behavior to Pope is a disrespect to God as well. He goes further and declares he can be â€Å"Great Emperor of the world,† able to â€Å"Make a bridge through the moving air,† which is a clear defiance to God. Secondly, even  the Despair of Doctor Faustus is another aspect of his pride, which prevents him from prevent as Satan’s pr ide suggests God will not forgive him. Both characters feel regret from time to time; Good Angels ask Dr Faustus to repent and give chance to release from his deal with Lucifer, on the other hand; Satan struggles with Despair throughout the epic. However, they are so blinded with pride that anything good has no meaning to them. We can see Satan’s sorrow in these lines: , â€Å"†¦for now the thought/Both of lost happiness and lasting pain/Torments him†¦Ã¢â‚¬ (1.55-56). Yet, his pride overcomes his regret: â€Å"All is not lost; the unconquerable Will,/ And courage never to submit or yield:/ And what is else not to be overcome? / That Glory never shall his wrath or might/ Extort from me.† Another time when he thinks of reconciliation he immediately gives up, â€Å"say I could repent and could obtain/By act of grace my former state; how soon/Would height recall high thoughts† (4, 93-95). Similarly, in his encounters with Good Angels, Doctor Faustus is tempted by his pride and believes no need to doubt because nothing can hurt him â€Å"FAUSTUS. What god can hurt thee, Faustus? Thou art safe, /Cast no more doubts. (scene 5, 25-26). In Paradise Lost, Satan decides it is too late to repent because of his pride (4. 80-82); in a Satanic way Doctor Faustus believes when Devil tells him it is too late to repent. Both cannot see the power and mercy of God because they have already refused His grace before. Thirdly, both Satan and Doctor Faustus encounter punishment, and fall from grace of God; that is their pride prepares their tragic end. Firstly, when we look at Satan’s situation we see that his pride caused him to fall two times. At first, his pride leads him to envy Son, and he is punished by casted off to Hell. His first fall; â€Å"â€Å"Him the Almighty Power/ Hurled headlong flaming from the ethereal sky/ With hideous ruin and combustion down / To bottomless perdition, there to dwell (44) As Milton begins medias res he focuses on the second flaw. He does not choose the way to repent, instead; his pride grows to such an extent that he claims battle over God. Inevitably, he is defeated at last though his achievement to cause Adam and Eve to be exiled from Paradise. Satan’s attempts due to his pride and his fall is clearly explained in these lines; â€Å"â€Å"To set himself in glory above his peers,/ He trusted to have equaled the Most High, / If he opposed; and with ambitious aim/ Against the throne and monarchy of God, / Raised impious was in Heaven and battle proud /With vain attempt.†(39-44). Even  Satan himself confesses the reason of his fall â€Å"†pride and worse ambition threw me down† (4, 40). † Secondly, when we look at Doctor Faustus his fall due to his pride and how he follows the paths of Satan is foreshadowed at the beginning; when he inquires Satan, Mephastophilis replies â€Å"O, by aspiring pride and insolence / For which God threw him from the face of Heaven. (scene 3, 66- 68). That demonstrates why Satan has fallen and implies how Doctor Faustus, who makes a deal with Satan, will fall. Before that, in prologue the Chorus explicitly suggests he will fall due to his pride: â€Å"Till, swollen with cunning, of a self conceit, /His waxen wings did mount above his reach,/ And melting heavens conspired his overthrow. (prologue,18-22). In conclusion, a heavenly character and a human being intersect in their characteristics, flaws, and ends. Satan in Paradise Lost and Doctor Faustus in Marlowe’s play swell with pride; the former claiming himself an enemy to God, and the latter denying the power of God. Both, inability to repent, allow their pride, to become excessive and bring their downfall.