Wednesday, December 25, 2019

Bipolar Disorder And Its Stages - 1296 Words

Introduction Do you know what Bipolar Disorder is and its stages? Do you know who Bipolar Disorder affects and what causes the disorder to form? Do you know the symptoms and treatments individuals with this disorder can use? First, I will be discussing what Bipolar Disorder is and its stages. Next, I will be discussing the cause and who Bipolar Disorder affects. Finally, I will be discussing the various signs and symptoms to diagnose individuals with Bipolar Disorder and the treatment options that individuals can use in order to have their Bipolar Disorder under control. What is Bipolar Disorder and it’s Stages? Bipolar Disorder a neurological disorder that has several severe indicators such as mood fluctuations, unusual behaviors such as†¦show more content†¦Depression is the final stage which is shown by individuals that exhibit physical and emotional indicators that make it tough to function in everyday functions and activities such as a loss of interest in important activities such as school and work, difficulty focusing, sadness, low self-esteem, and diminishing appetite. Depression typically persists for two weeks (Bressert, 2007). Unfortunately, all individuals with Bipolar Disorder differ based on the severity of symptoms and on the stage that they are currently in at the time being. Causes Unfortunately, there is no pin-pointed cause for obtaining Bipolar Disorder but there is a set of different factors working together to yield or cause additional risks. According to NCBI, Bipolar Disorder does not have a particular source of formation but studies shown to have found to be caused by genetics, environmental influences, and chemical disparities (NCBI, 2011). Bipolar Disorder is primarily caused by genetics due to familial genes which can be passed down by family and through earlier generations. According to Genet, studies have shown that children are seven times more at risk of obtaining Bipolar Disorder if their parents have the disorder (Genet, 1999). In the same study it showed that if a sibling has the disorder then the risk increases to fifteen times the risk (Genet, 1999). Environmental influences such as stress and

Tuesday, December 17, 2019

Analysis And Use Of Financial Ratios - 903 Words

Ratios are measurements. The reason ratios are used, as opposed to absolute values, is a mathematical one, and is basically in order to facilitate comparison by adjusting for size (Barnes, 1987). Similarly, knowledge of the behavior of turnover ratios might be useful in assessing the effects of changes in any of the underlying economic characteristics (Gupta and Hgefner, 1972). Article One In article â€Å"The Analysis and Use of Financial Ratios: A Review Article† by Barnes (1987), financial ratios are discussed. The discussion on financial ration is about the purpose of financial ratios. The purpose of financial ratios is to aid management s efficiency of planning and implementing actions based on prediction outcomes through coefficients and deviations. The financial ratios are used in design projects because the advantages outweigh the disadvantages. Barnes (1987) suggest using debt and performance ratios. Debt ratios indicated the percentage of a the assets verse debt. The formula is total debt divided total assets. Performance ratios indicated different aspects of cash flow. There are many different performance ratios. The advantages of debt and performance ratios are evaluating the worth or success of functions within a firm and identifying needs of a firm to meet the objectives, targets, goals, and scope before and after the planning process at different life cycles. The worth or success with a firm allows investors and managers to develop new opportunitiesShow MoreRelatedRatio and Financial Ratio Analyisis1712 Words   |  7 PagesRatio and Financial Statements Analysis Kimberly Y. Gruber University of Maryland University College Dr. Sunando Sengupta 07/25/2013 Turnitin Score: 23% Executive Summary The purpose of this paper is to examine ratio and financial statement analysis. Such analysis is a useful tool for managers and stakeholders to evaluate a company’s financial health in order to identify opportunities for growth and areas of weakness so as to institute corrective measures.   Financial statements are usedRead MoreFinancial Ratio Analysis in a Company859 Words   |  3 Pagesto Olowe (1997), Financial Ratio Analysis is the relationship between the performance of a company and the monetary data in the financial statements to assist the economic conditions. Financial ratio was defined by Robert (1994) as two financial variables being used that have been taken from either the income statement or from the balance sheet. Ratio analysis is a tool that is brought in by individuals to perform an evaluative analysis of information in the company’s financial statements. It isRead MoreRatio Analysis : Analysis And Interpretation Of Financial Statements1490 Words   |  6 PagesRatio analysis is used to describe the important relationship that lies between figures based on line items in financial statements like the balance sheet, profit and loss account, and a budgetary control organization. Ratio analysis is a technique of analysis and interpretation of financial statements. It helps in evaluating the financial position and performance of the firm, ratio analysis also allows firms to compare their operational or financial performance to another firm or the industry standardRead MoreUsefulness And Limitations Of Financial Ratios1510 Words   |  7 Pageslimitations of financial ratios in evaluating the performance and management of companies Ratio analysis is used to describe the important relationship that lies between figures based on line items in financial statements like the balance sheet, profit and loss account, and a budgetary control organization. Ratio analysis is a technique of analysis and interpretation of financial statements. It helps in evaluating the financial position and performance of the firm, ratio analysis also allows firmsRead MoreFinancial Performance Analysis1727 Words   |  7 PagesLITERATURE Financial statement analysis is the process of examining relationships among financial statement elements and making comparisons with relevant information. It is a tool in decision-making processes related to stocks, bonds, and other financial instruments. Analysis of financial statements provides valuable information for managerial decision. Financial analysis is commonly called analysis and interpretation offinancial statement. Analysis of financial statements means establishingRead MoreThe Financial Status Of A Company1548 Words   |  7 PagesThe financial status of a company is a high priority for internal personal such as managers and external personal such as stockholders. The reason being that by developing financial statements and ratio analysis it allows all users to see the current and future status of a company’s financial state. Financial statements are beneficial, but have certain limitations that may cause issues, if unknown, when the company or individuals use them. This paper will discuss the benefits of ratio analysis andRead MoreI)Explain Standardized Financial Statements Including Why932 Words   |  4 Pagesi) Explain standardized financial statements including why financial statements are stand ardized. i) Standardized financial statements are standardized because it is difficult to make comparisons between two companies. The company’s size and currency difference could be significantly different and it makes it harder to compare. One way to standardize a financial statement is to use percentages instead of total dollar amounts. This type of change would result in a common-size statement. ThereforeRead MoreEffectiveness And Limitations Of Ratio Analysis1540 Words   |  7 PagesRatio analysis is the fundamental indicator of company’s performances for so many years; it is also can be seen as the very first step to measure a company’s performance along with its financial position. Moreover, ratio analysis has been researched and developed for many years, Bliss had presented the first coherent system of ratios, and he also stated that ratios are â€Å"indicator of the status of fundamental relationship within the business† Horrigan (1968). However there ar e some arguments on whetherRead MoreImportance of Financial Statements1034 Words   |  5 PagesFinancial statements, also known as financial reports, record the financial activities of a business in short and long term. The four financial statements are: balance sheet, income statement, statement of retained earnings, and statement of cash flows. A balance sheet reports the assets, liabilities, and net equity on a company. An income statement reports income, expenses, and profits on a company. A statement of retained earnings shows a company s changed retained earnings. The statementRead MoreTools Used in Financial Management625 Words   |  3 PagesThere are wide range of tools used in such as, cost of capital, financial leverage, capital budgeting appraisal methods, ABC analysis, ratio analysis and cash flow statements. (a) Cost of capital Cost of capital is an important element in investment decision or basically in business. It is used to measure the value of investment proposal provided by investment concern. It is used as discount rate in defining the present value of future cash flow which is associated with capital projects. Cost

Monday, December 9, 2019

Spratly Island free essay sample

Spratly Islands The Spratly Islands are a group of more than 750 reefs,[1] islets, atolls, cays and islands in the South China Sea. The archipelago lies off the coasts of the Philippines and Malaysia (Sabah), about one third of the way from there to southern Vietnam. They comprise less than four square kilometers of land area spread over more than 425,000 square kilometers of sea. The Spratlys are one of three archipelagos of the South China Sea which comprise more than 30,000 islands and reefs and which complicate governance and economics in that region of Southeast Asia. Such small and remote islands have little economic value in themselves, but are important in establishing international boundaries. There are no native islanders but there are rich fishing grounds and initial surveys indicate the islands may contain significant reserves of oil and natural gas. About 45 islands are occupied by relatively small numbers of military forces from Vietnam, the Peoples Republic of China, the Republic of China (Taiwan), Malaysia and the Philippines. Brunei has also claimed an EEZ in the southeastern part of the Spratlys encompassing just one area of small islands above mean high water (on Louisa Reef. History Early cartography Geographic map of Spratlys. Click for more detailed image. For a satellite images of the islands, tagged by occupying country, see here. The first possible human interaction with the Spratly Islands dates back between 600Â  BCE to 3Â  BCE. This is based on the theoretical migration patterns of the people of Nanyue (southern China and northern Vietnam) and Old Champa kingdom who may have migrated from Borneo, which may have led them through the Spratly Islands. Ancient Chinese maps record the Thousand Li Stretch of Sands; Qianli Changsha ( and the Ten-Thousand Li of Stone Pools; Wanli Shitang ( ), which China today claims refers to the Spratly Islands. The Wanli Shitang have been explored by the Chinese since the Yuan Dynasty and may have been considered by them to have been within their national boundar ies. They are also referenced in the 13th century, followed by the Ming Dynasty. When the Ming Dynasty collapsed, the Qing Dynasty continued to include the territory in maps compiled in 1724, 1755, 1767, 1810, and 1817. A Vietnamese map from 1834 also includes the Spratly Islands clumped in with the Paracels (a common occurrence on maps of that time) labeled as Wanli Changsha. According to Hanoi, old Vietnamese maps record Bai Cat Vang (Golden Sandbanks, referring to both Paracels and the Spratly Islands) which lay near the Coast of the central Vietnam as early as 1838. In Ph? Bien T? p L? c (Frontier Chronicles) by the scholar Le Quy Don, Hoang Sa and Tru? ng Sa were defined as belonging to Qu? ng Ngai District. He described it as where sea products and shipwrecked cargoes were available to be collected. Vietnamese text written in the 17th century referenced government-sponsored economic activities during the Le Dynasty, 200Â  years earlier. The Vietnamese government conducted several geographical surveys of the islands in the 18th century. Despite the fact that China and Vietnam both made a claim to these territories simultaneously, at the time, neither side was aware that their neighbor had already charted and made claims to the same stretch of islands. The islands were sporadically visited throughout the nineteenth and early twentieth centuries by mariners from different European powers (including Richard Spratly, after whom the island group derives its most recognizable English name). However, these nations showed little interest in the islands. In 1883, German boats surveyed the Spratly and Paracel Islands but withdrew the survey eventually after receiving protests from the Nguyen Dynasty. Many European maps before the 20th century do not even make mention of this region. Military conflict and diplomatic dialogues Main article: Spratly Islands dispute In 1933, France asserted its claims from 1887 to the Spratly and Paracel Islands on behalf of its then-colony Vietnam. It occupied a number of the Spratly Islands, including Itu Aba, built weather stations on two, and administered them as part of French Indochina. This occupation was protested by the Republic of China government because France admitted finding Chinese fishermen there when French warships visited the nine islands. In 1935, the ROC government also announced a sovereignty claim on the Spratly Islands. Japan occupied some of the islands in 1939 during World War II, and used the islands as a submarine base for the occupation of Southeast Asia. During the occupation, these islands were called Shinnan Shoto ( ), literally the New Southern Islands, and put under the governance of Taiwan together with the Paracel Islands ( ). In 1945, The Republic of China sent its Naval ships to take control of the islands after the surrender of Japan. It had chosen the largest and perhaps the only inhabitable island, Itu Aba Island, as its base, and renamed the island under the name of the naval vessel as Taiping. The KMT force of Republic Of China briefly abandoned the islands after its defeat in Chinas civil war in 1949, but re-established the base in 1956. Today, Itu Aba Island is still administrated by the Republic of China, Following the defeat of Japan at the end of World War II, China re-claimed the entirety of the Spratly Islands (including Itu Aba), accepting the Japanese surrender on the islands based on the Cairo and Potsdam Declarations. The ROC government withdrew from most of the Spratly and Paracel Islands after they retreated to Taiwan from the opposing Communist Party of China, which founded the Peoples Republic of China in 1949. 21] ROC quietly withdrew troops from Itu Aba in 1950, but reinstated them in 1956 in response to Tomas Clomas sudden claim to the island as part of Freedomland. Japan renounced all claims to the islands in the 1951 San Francisco Peace Treaty, together with the Paracels, Pratas other islands captured from China, upon which China reasserted its claim t o the islands. It was unclear whether France continued its claim to the islands after WWII, since none of the islands other than Itu Aba is habitable. The South Vietnamese government took over the Tru? g Sa administration after the defeat of the French at the end of the First Indochina War. In 1958, the Peoples Republic of China issued a declaration defining its territorial waters, which encompassed the Spratly Islands. North Vietnams prime minister, Pham Van Dong, sent a formal note to Zhou Enlai, stating that the Government of the Democratic Republic of Vietnam respects the decision by China regarding the 12 nautical mile limit of territorial waters. Regarding this letter, there have been many arguments on its true meaning and the reason why Ph? m Van D? ng decided to send it to Zhou Enlai. One important fact is that the letter while accepting the 12 nautical mile principal for the limit of territorial waters of China, has never mentioned a word about how the territorial boundary was defined and thus leaving the dispute on South China Sea islands as its status quo for later settlement. In an interview with BBC, Dr. Balazs Szalontai provided an insight into this issue: The general context of the Chinese declaration was the United Nations Conference on the Law of the Sea, held in 1956, and the resulting treaties signed in 1958, such as the Convention on the Territorial Sea and Contiguous Zone. Understandably, the PRC government, though not being a member of the U. N. , also wanted to have a say in how these issues were dealt with. Hence the Chinese declaration of September 1958. In these years, North Vietnam could hardly afford to alienate Communist comrad China. The Soviet Union did not give any substantial support to Vietnamese reunification, and neither South Vietnamese leader Ngo Dinh Diem nor the U. S. government showed readiness to give consent to the holding of all-Vietnamese elections as stipulated by the Geneva Agreements. On the contrary, Diem did his best to suppress the Communist movement in the South. This is why Pham Van Dong felt it necessary to take sides with China, whose tough attitude toward the Asian policies of the U. S. offered some hope. And yet he seems to have been cautious enough to make a statement that supported only the principle that China was entitled for 12-mile territorial seas along its territory but evaded the issue of defining this territory. While the preceding Chinese statement was very specific, enumerating all the islands (including the Paracels and the Spratlys) for which the PRC laid claim, the DRV statement did not say a word about the concrete territories to which this rule was applicable. Still, it is true that in this bilateral territorial dispute between Chinese and Vietnamese interests, the DRV standpoint, more in a diplomatic than a legal sense, was incomparably closer to that of China than to that of South Vietnam. Some international scholars argued that, Pham Van Dong who represented North Vietnam at that time has no legal right to comment on a territorial part which belonged to the South Vietnam represented by Ngo Dinh Diem. Therefore, the letter has no legal value and is considered as a diplomatic document to show the support of the government of North Vietnam to the PRC at that time. verification needed] In 2004, Vietnam issued a white paper saying, in part, Vietnam has sufficient historical evidence and legal basis to assert its indisputable sovereignty over the territorial waters and islands of Vietnam in the East Sea, among them the Paracels and Spratlys. Nevertheless, for the common security interests of the parties concerned, Vietnam is ready to enter in to peaceful negotiations to settle the problem, first and foremost by reaching an agreement on the Code of Conduct pending the final solution. On May 23, 2011, Philippine President Benigno Aquino III warned the Chinese defense minister of a possible arms race in the region if tensions worsened over disputes in the South China Sea. Aquino said he told visiting Chinese Defense Minister Liang Guanglie in their meeting that such an arms race could result if there were more encounters in the disputed and potentially oil-rich Spratly islands. In May 2011, Chinese naval vessels opened fire on Vietnamese fishing vessels operating off East London Reef (Da Dong Island). Three military vessels were numbered 989, 27 and 28. They showed up with a small group of Chinese fishing vessels. Another Vietnamese fishing vessel was fired on near Cross (Chu Thap) Island. The Chief Commander of Border Guards in Phu Yen Province, Vietnam reports that a total of four Vietnamese vessels were fired upon by Chinese naval vesselsIn June 2011, the Philippines renamed the South China Sea and the Reed Bank as the West Philippine Sea and the Recto Bank. Telecommunications In 2005, a cellular phone base station was erected by the Philippines Smart Communications on Pag-asa Island. On 18 May 2011, China Mobile announced that its mobile phone coverage has expanded to the Spratly Islands, under the rationale that it can allow soldiers stationed on the islands, fishermen and merchant vessels within the area to use mobile services, and can also provide assistance during storms and sea rescues. The deployment of China Mobiles support over the islands took roughly one year to fulfil.

Sunday, December 1, 2019

The Brady Training Program

The problem in the article appears to be employee dissatisfaction, leading to the character Bill Flynn to engage in improper behavior in order to meet his work needs. Bill appears to be very ambitious, which causes him to quit a job that does not satisfy his desires. He left a sales position even before he had been accepted for the training position in the technical field of computers. Advertising We will write a custom essay sample on The Brady Training Program specifically for you for only $16.05 $11/page Learn More This is an indication that Bill is a person who knows what he wants and is not tied to job security, or afraid of not getting a job. He is rather confident for someone with less than one year work experience. The problem identified in the article involves the behavior of a person who is ambitious and willing to go to great heights to achieve his targets. Bill is provided with the opportunity to train for a whole year in the technical field, after which he can obtain employment at the firm. The problem is that there are ten other people, who threaten his chances of success, whereby success is finishing the one year training program and being offered permanent employment. There are a maximum of four vacancies, which means that at least seven people will be eliminated. This leads Bill to come up with strategies that will ensure that he makes it to the last day of the competition. Due to the intensity of the training, some trainees result to dysfunctional behavior, which is expected when the competition gets stiff. The trainees had been advice to work individually, but there are a few people who work in groups, assisting each other, and at times steal reference material from previous groups to get direction. According to Charles Darwin, survival of human beings and other creatures has been based on natural selection, whereby only the strongest can survive. One channel of survival is adaptation. Similarly, the work enviro nment is very competitive, and with increasing cases of unemployment, people tend to do whatever it takes, to make good use of available opportunities. Bill is aiming at increasing his computer knowledge base, and succeeding in the program would be very advantageous for him. The other trainees have the same views, and since the organization will only hire the best, the trainees decide to go on an all out war. Group work was discouraged but the trainees know that individual efforts are futile and therefore form discussion groups to assist them through the courses. Some people result in stealing of reference material from previous groups. The policies outlined, especially those involving individual work are likely to be overlooked in any organization. This is because people are social, and tend to create friendships, and companionship. Companionship leads to sharing problems, as was seen in the growth of Bill’s discussion group. Advertising Looking for essay on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More One way for organizations to pose such competitions would be based on creating group tasks, whereby people are forced to succeed in groups or face elimination. Duties in organizations require coordination with other people, and as much as individual talent and skill may be beneficial, the individual must be a team player. The three bosses seemed to identify this trait in Bill, as he went the extra mile to create friendships with them in other fields beside the work place. His involvement in sports must have pleased them too, since it showed his ability to work with others, and probably led to the pay rise, in his last interview when he was offered the job, but informed them of better pay elsewhere. Another solution to avoid cheating and stealing of material during challenges is to provide assessment teachers to assign the groups at least one experienced person to guide them in their cours e of the training. Providing such a person would save them on time spent trying to figure out what is required of them, and convert it into meaningful time spent working on providing the most suitable solution or response. Behavior problems can best be controlled by providing mentors, who can guide and encourage positive behavior, since achieving something by yourself is bound to attract negative means of attaining success. This essay on The Brady Training Program was written and submitted by user Maxx Serrano to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Tuesday, November 26, 2019

Essay Sample on Proteomics What is the Interest for Researchers

Essay Sample on Proteomics What is the Interest for Researchers Proteins are a basic building block of life on earth. They are the molecules that provide structure, produce energy, and allow communication, movement and reproduction within a cell. They, along with carbohydrates, amino acids, and phospholipids, are the key macromolecules that make up organisms. The body of proteins that make up an organism is referred to as its proteome. Proteomics is the study of these proteomes, including the identification of the proteins and their physiological functions. The study of proteomics had declined in recent years, but the inception of the Human Genome Project ten years ago revived interest for many researchers. Since then, the proteomes of numerous organisms have been determined. The Human Genome Project determined that the human body contains 30,000 genes. This translates to anywhere from 300,000 to one million possible proteins. The importance of proteomics largely lies in drug design and synthesis. Hopefully, new disease markers and drug targets can be identified that will help design products to prevent, diagnose and treat disease. This cannot be accomplished without knowledge of the proteome, however. A protein is a biological polymer that usually consists of hundreds of amino acid monomers. The general structure of an amino acid is a carbon atom to which four functional groups are bonded. Three of the groups include a hydrogen atom, an amine group, and a carboxylic acid group. The fourth group, or ‘R’ group, is a hydrocarbon chain. This R group is unique to each particular amino acid and is what determines one amino acid from another. The primary structure of a protein is its linear sequence of amino acids bound by peptide bonds between a nitrogen atom of one monomer and a carbon atom of another. Disulfide bonds between cysteine residues within the molecule stabilize it. This structure determines the secondary, tertiary, and quaternary structures of the protein as well. Proteins are highly specialized, and a single change in an amino acid monomer can result in a completely different function, or no function at all for the protein. Thus, the primary structure is of utmost importance. The secondary structure of proteins consists of the primary structure formed into two possible regular structures. These are an alpha helix or a pleated sheet. These structures can organize themselves in a repeating fashion or randomly. Disulfide bonds determine the secondary structure, while hydrogen bonding also stabilizes the conformation. A protein’s tertiary structure is the overall 3-D configuration of the complete protein. Amino acid residues that are far apart in a primary structure can have steric relationships in 3-D form, and the tertiary structure considers this. The tertiary structure is the most thermodynamically stable for the protein in a certain environment; it can change with environmental changes. This is how proteins are denatured. A protein may consist of several subunits. The quaternary structure of a protein is made up of all of these subunits bound together by electrostatic and hydrogen bonds. Multisubunit proteins are called oligomers and all of the component parts are monomers or subunits. Proteins may also contain non-amino acid functional structures such as a lipid or a carbohydrate. In order for proteins to be studied, they must first be isolated. In one dimension, the proteins are separated by charge based on their isoelectric points. The migration of different proteins in an electrically charged environment of graduated pH can separate them when their isoelectric points are different. The proteins move toward the pH at which they have no net charge. The main way this has been achieved is through 2-D polyacrylamide gel electrophoresis, or 2-D PAGE. This experiment can achieve the separation of several thousand different proteins in one gel, while high resolution 2-D PAGE can resolve up to 10,000 proteins per gel. Coomassie blue, silver, and SYPRO Ruby Red stains are typically used to visualize the proteins’ migrations. Mass spectrometry is a technique used for the determination of the mass of a compound; however, it is also useful in protein identification. The spectrometer ionizes the protein, and this charged molecule is sent into an analyzer on the basis of charge repulsion. This analyzer resolves the proteins based on their mass to charge ratio, thus separating them. The detector passes the information to the computer for analysis and identification. Fragmentation can cause problems in protein separation, so ionization methods that minimize formation of fragments are most useful. These methods include matrix-assisted laser desorption/ ionization, or MALDI and electrospray ionization, or ESI. Once a protein has been isolated, its structure must be determined. Secondary and tertiary protein structures can be found by two methods: X-ray crystallography and nuclear magnetic resonance. Both methods require that the protein be better than 95% pure for the best results, so the isolation methods are extremely important. The experimental technique can include gel or column separation, dialysis, differential centrifugation, salting out, or HPLC. The choice and order of experiments is modified to suit the protein of interest. In order to study a protein’s structure through X-ray crystallography, it must be crystallized. The most common methods of crystallization are batch methods and vapor diffusion. A supersaturated solution is formed which causes the protein to associate with other protein molecules. The formation of this solution often requires the addition of precipitants such as polyethylene glycol or certain salts. The identification of the amino acids in the protein are again important here, since they can determine the exact reagents and chemical and physical conditions used to crystallize the protein. The crystals are then mouted and snap frozen. This is accomplished by exposing them to cryogenic liquid or gas. In X-ray crystallography, the crystals are subjected to X-rays containing a heavy metal atom. This method can determine the protein’s secondary and tertiary structure. The X-rays are scattered by the crystal in a pattern unique to the protein. One drawback is that the radiation can damage or backscatter; keeping the crystals supercooled minimizes this side effect and allows the crystals to be stored and reused. A model of the protein is then constructed using the data translated into electron density maps. This method is highly important in drug design, since it is very precise and can reveal crucial structural data. Nuclear magnetic resonance, or NMR, spectroscopy involves the alignment of nuclear dipoles of a sample in a magnetic field. These dipoles can change orientation back and forth in a magnetic field and absorb and emit energy for each turn. The spectrometer contains an antenna within the magnet; radio waves are pulsed by this antenna through the magnet. The sample absorbs these pulses as energy and then emits them sometime later. This time is measured and stored on the computer. Most often, pulse sequences are used that take advantage of the strong nuclear dipole of the hydrogen nucleus. The information gained from this experiment allows researchers to map the chemical bond connectivity and the spatial orientation of the proteins. This method is particularly useful in determining the function of active sites on enzymes. NMR spectroscopy has several advantages over X-ray crystallography. One is that NMR requires no crystallization in order for the protein’s structure to be studied. Currently, this method can resolve proteins with molecular weights up to 30,000 Daltons; it is predicted that structures with molecular weights of up to 100,000 Daltons can soon be determined through this method in the coming years. Another advantage is that NMR is sensitive to motions on the millisecond to second range, which can be directly studied. Even motions as small as those of the nanosecond to microsecond scale can be studied indirectly. X-ray crystallography is also an extremely time-consuming process, and the crystalline structures can be difficult to maintain. However, the greatest advantage of NMR over X-ray crystallography is NMR’s ability to reveal the details of specific structural sites without solving the entire structure. Current studies in proteomics include the research being done by biochemists at the University of Washington in Seattle. These scientists are studying environmental effects on the transcription and translation of the mRNA molecule. This is the nucleic acid that codes for the manufacture of proteins within the cell. In an earlier study, they reported the use of Translational State Array Analysis, or TSAA. This method allowed for the simultaneous study of mRNA level and translation. They chose Saccharomyces cereviciae as their model and arrested it with the temperature-sensitive cdc 15-2 allele. A control was run in which forty-eight mRNA molecules changed upon release from arrest. However, when the temperature of the cdc 15-2 allele was lowered from 37 C to 25 C, fifty-four molecules of mRNA were affected. Therefore, regulating the translational level seems to affect directly the response of yeast cells to external cues. Another study done recently again involves the use of Saccharomyces cereviciae. This study, completed at Johns-Hopkins University, attempted to investigate whether indexing a proteome according to its C-terminal sequences could be of use in functional classification of proteins. The basis for this experiment is that the protein C-termini are capable of being recognition signatures for many biochemical processes. The extent to which carboxyl terminal sequences are conserved within the proteome is unknown, but this may be related to certain biological functions and therefore has great importance. The researchers analyzed the terminal sequences of Saccharomyces cereviciae and found that known and unknown terminal sequences existed. This result supports that there may be additional carboxyl terminal signals whose biological functions are not yet known. You can order a custom essay, term paper, research paper, thesis or dissertation on Proteomics topics at our professional custom essay writing service which provides students with custom papers written by highly qualified academic writers. High quality and no plagiarism guarantee! Get professional essay writing help at an affordable cost.

Friday, November 22, 2019

Learn how to get only As for your paper!

Learn how to get only As for your paper! How to End Failing Grades in Paper Writing Failing grades on papers in college is a GPA â€Å"killer.† When a major research paper can be fully one-third of a course grade, it is easy to understand that no one ever wants a â€Å"D† or â€Å"F† on one of them. And yet those grades are quite common, when students submit writing paper assignments that are just not up to the standards that college-level work demands. If you are the recipient of some of these kinds of grades, you know you have to something to fix the issues you have. But you can’t fix those issues unless you first identify them. So, here are common causes of poor writing grades, and if you can identify yours, you’ve made the first step toward grade recovery. Course overload: Some students are just too ambitious and enroll in either too many courses or in too many really challenging courses. And many students have part-time jobs that they must keep due to their financial situations. Take a long hard look at the courses you are currently in. If it is early in the semester, you might want to consider dropping ones in which you are struggling and picking up a â€Å"fluff† course to keep your credit load the same. This will naturally give you more time to spend on the essay and paper writing for the remaining courses. Time Management/Procrastination: If you are not organizing your time efficiently, you will always end up trying to get those essays and papers completed at the last minute. This is a â€Å"death knell,† because you will never do a good job when rushed. And if you are the type of person who is continually putting things off and choosing social time instead, you will always have your â€Å"back up against the wall† when you finally do have to get a paper in. Students who get consistently good grades on writing assignments schedule time for them in advance and stick to a schedule of daily assignments, time for work on longer-term essays and papers, down-time to just chill, job, and other co-curricular and social activities. If you manage yourself well, you will have time for all of these things. Lack of Motivation: If you are forced to take a course in which you have no interest, do not feel alone. Every college student faces this issue, and it is really hard to get motivated to write an essay or a paper on a topic you really dis-like. There is no cure for this, but you will have to force yourself to put together a credible piece of writing anyway. One thing you can do is get online and read sample essays and/or papers on the topic, and these will give you some good ideas for development and perhaps some current resource materials that you can use. A word of caution: all of your professors have plagairism-detection software at their disposal, and, in fact, a number of colleges now require that a student submit a TurnItIn report with their essays and papers. Don’t try to â€Å"game the system!† Organizing Information/Data from Several Sources: Writing a paper that will earn a good grade means that information and data is presented in an organized fashion. When several sources are used, synthesizing that content can be a challenge, especially when you have to be very careful about the specific source of each piece. If you struggle with combining the results of research into logical sub-topics, you need an organizing system. In high school, you probably used note cards, and that works for many students. If it doesn’t work for you, try listing each sub-topic at the top of a page and then enter information that pertains to that sub-topic (with the source and page number of course) all on two or three pages. You can then print those page out, lay them before you, and have a complete picture of the information you have on a sub-topic. Combining similar pieces of data from different sources is then an easy task. English writing skills: If you do not have proficient composition skills, you probably already know it. Even though a paper may be for a history class, lack of good writing automatically lowers a grade. Professors are, after all, human, and they get frustrated when they have to read anything that is poorly written – they cannot focus on your content, no matter how good it is. You must get help if this is your issue, and here are your options: First, commit to remediating your skills through an online course or a tutor. This will take time but eventually pays off. Make use of the writing lab on your campus – it’s free, and there are good writers there to help you. Write your rough draft and have a friend who is a good writer review and edit it for you. Get a writing style app that will find your major errors and give you solution suggestions. Contact a custom paper writing company and get original custom writing of your essays and papers. The additional â€Å"plus† of this option is that you can study the pieces as you work to improve your own skills.

Thursday, November 21, 2019

Health Leadership and Management Essay Example | Topics and Well Written Essays - 3500 words

Health Leadership and Management - Essay Example From the report it is clear that the management concepts of leadership and identification and establishment of a risk management process are to be applied for the ultimate design of a health care process. Such processes are more required at the Intensive Care Unit (ICU)/facilities of any hospital as ICU is one of the most critical services of any hospital and the quality of patients' response is important in determining the success of the entire hospital itself. As the essay highlights low evidence based practices are cleaning insertion site, use of heparin,tunneling,routine catheter change, routine Ab prophylaxis, hand washing compliance and use of Sucralfate; medium level evidence based practices are peri-operative normothermia, continuous oscillation,suprapubic catheters, barrier Precautions and Ab restrictions; high evidence based practices include supplemental perioperative oxygen, semi-recumbent position ,selective decontam- GI tract and silver alloy-coated catheters, to quote a few. While these best practices are indicative of the desirable course of actions in ICU situations ;they perhaps indicate more to the risk perceptions and associated risk bearing events within the ICU environment. There are noticeable gaps in prescription of these best practices and their actual practices which leads to occurrence of adverse events in ICU care. A careful identification and documentation of deviations which have resulted in adverse incidents is the much needed innovation for ICU management.

Tuesday, November 19, 2019

Franchising & Small Case Study Analysis Essay Example | Topics and Well Written Essays - 1250 words

Franchising & Small Case Study Analysis - Essay Example In addition, the nature of the business assures customers of different income backgrounds. In this sense, it is possible to have daily substantial sales (Lundahl, 2012). The business has two modes of serving customers. This pertains to internal partaking of food and delivery services. In most instances, customers partake of already prepared fries and artificial juice products. It is vital to note that preparation of natural juices might take different dimensions as concerns the taste and preference of customers. The institutions and businesses provide a significant market to Bucking Bull’s products as the outlet delivers food and drinks to the same. There are two types of delivery services. They are either on short or long term delivery terms. Short term delivery plans depend on daily orders. On the other hand, the business might deliver larger quantities of foods on monthly agreements and contracts with businesses. It is vital to stress that there is substantial competition in Bucking’s venue of conducting business. This relates to the mushrooming of smaller food outlets. The chance for expansion, in the industry, places Bucking at a vulnerable position for succumbing to competitive pressure (Andrews, 2007). This is because new businesses are tactful at satisfying loopholes of existing businesses. However, this is mitigated by creating a customer loyalty of following their recommendations for improvement of business. The first innovation pertains to value addition services and development of a brand that customers would associate with the same. It is vital to note that food outlets usually study the recipes of the best restaurant. In this sense, they would normally make similar foods across a chain of different outlets. Therefore, a brand name establishes a competitive edge that improvement in food services would not accomplish. A brand name is vital in pushing up revenues as more customers are

Sunday, November 17, 2019

Why Intelligent People Fail Essay Example for Free

Why Intelligent People Fail Essay 1. Lack of motivation. A talent is irrelevant if a person is not motivated to use it. Motivation may be external (for example, social approval) or internal (satisfaction from a job well-done, for instance). External sources tend to be transient, while internal sources tend to produce more consistent performance. 2. Lack of impulse control. Habitual impulsiveness gets in the way of optimal performance. Some people do not bring their full intellectual resources to bear on a problem but go with the first solution that pops into their heads. 3. Lack of perserverance and perseveration. Some people give up too easily, while others are unable to stop even when the quest will clearly be fruitless. 4. Using the wrong abilities. People may not be using the right abilities for the tasks in which they are engaged. 5. Inability to translate thought into action. Some people seem buried in thought. They have good ideas but rarely seem able to do anything about them. 6. Lack of product orientation. Some people seem more concerned about the process than the result of activity. 7. Inability to complete tasks. For some people nothing ever draws to a close. Perhaps it’s fear of what they would do next or fear of becoming hopelessly enmeshed in detail. 8. Failure to initiate. Still others are unwilling or unable to initiate a project. It may be indecision or fear of commitment. 9. Fear of failure. People may not reach peak performance because they avoid the really important challenges in life. 10. Procrastination. Some people are unable to act without pressure. They may also look for little things to do in order to put off the big ones. 11. Misattribution of blame. Some people always blame themselves for even the slightest mishap. Some always blame others. 12. Excessive self-pity. Some people spend more time feeling sorry for themselves than expending the effort necessary to overcome the problem. 13. Excessive dependency. Some people expect others to do for them what they ought to be doing themselves. 14. Wallowing in personal difficulties. Some people let their personal difficulties interfere grossly with their work. During the course of life, one can expect some real joys and some real sorrows. Maintaining a proper perspective is often difficult. 15. Distractibility and lack of concentration. Even some very intelligent people have very short attention spans. 16. Spreading oneself too think or too thick. Undertaking too many activities may result in none being completed on time. Undertaking too few can also result in missed opportunities and reduced levels of accomplishment. 17. Inability to delay gratification. Some people reward themselves and are rewarded by others for finishing small tasks, while avoiding bigger tasks that would earn them larger rewards. 18. Inability to see the forest for the trees. Some people become obsessed with details and are either unwilling or unable to see or deal with the larger picture in the projects they undertake. 19. Lack of balance between critical, analytical thinking and creative, synthetic thinking. It is important for people to learn what kind of thinking is expected of them in each situation. 20. Too little or too much self-confidence. Lack of self-confidence can gnaw away at a person’s ability to get things done and become a self-fulfilling prophecy. Conversely, individuals with too much self-confidence may not know when to admit they are wrong or in need of self-improvement.

Thursday, November 14, 2019

New Learning Strategies for Generation X Essay -- Education Careers Es

New Learning Strategies for Generation X Generation X workers resent the labels that have been used to describe them: slackers, arrogant, disloyal, having short attention spans. In fact, these descriptions are less likely to reflect the behaviors of individuals in Generation X than the perceptions of managers who are not attuned to new ways of learning. This Digest investigates ways in which the learning characteristics of the young adults classified as Generation X reflect the need for the new teaching and learning strategies promoted by cognitive scientists, such as learning in context, cooperative learning, and real-world application of knowledge. The Life Experience Gap The gap between Generation X and earlier generations represents much more than age and technological differences. It reflects the effects of a changing society on a generation. Young adults born between 1961 and 1981 have radically different life experiences than those in generations before them. In their youth, many Generation Xers were "latchkey kids"--children who saw both of their parents working and/or furthering their education. Many of them were raised in single parent homes, the children of divorced parents. They grew up with "fast" food; "remote control" entertainment; and "quick response" devices such as automatic teller machines and microwave ovens, all of which provided instant gratification. As young adults, Generation Xers find themselves facing limited economic prospects and a society different from any preceeding them. The previous generation saw rapid economic growth and expanding opportunities. Generation Xers see corporate downsizing and layoffs, limited opportunities for career positions, and an economically troubled socie... ..., p. 1. <http://www.physics.wisc.edu/~shalizi/Generation-x_Articles/brinkley/> Caudron, S. "Can Generation Xers be Trained?" Training and Development 51, no. 3 (March 1997): 20-24. Hornblower, M. "Great Xpectations." Time 129, no. 23 (June 9, 1997): 58-68. Losyk, B. "How to Manage an Xer." Current 392 (May 1997): 12 Newmann, F. M. et al. "Authentic Pedagogy: Standards that Boost Student Performance." Issues in Restructuring Schools. Issues Report No. 8. Madison, WI: Center on Organization and Restructuring of Schools, 1995. (ED 390 906) Sachs, P. Generation X Goes to College. An Eye-Opening Account of Teaching in Post- modern America. Chicago, IL: Open Court Publishing Company, 1996. Wagschal, K. "I Became Clueless Teaching the GenXers." Adult Learning 8, no. 4 (March 1997): 21-25. "Your Life." USA Today 125, no. 2622 (March 1997): 6.

Tuesday, November 12, 2019

Inta Omri by Oum Kalsoum Essay

Enta Omri is Egyptian singer and songwriter Oum Kalsoum’s best known work. The song Enta Omri has been revived and reinterpreted many times over the past few decades. Even then, no one can compare to the original recordings of Oum Kalsoum, who was the best singer to come from the Middle East. Many contemporary Western artists and musicians have been significantly influenced by her work. Famous artist known to be admirers of her body of work range from such stars as painter Salvador Dali to rock star Bono. Today, her popularity has not faded and the recordings of her songs continue to sell very well in the Middle East, with about one million records sold each year. The song Enta Omri has significantly influenced Oum Kalsoum as an artist. The lyrics of her subsequent songs followed the theme of Enta Omri, centered on the topics of love, longing for someone, or the loss of a loved one, much like the topics prevalent on country music today. Her musical performances are also very long by today’s standards. While the official recording of the song Enta Omri is about an hour, her live performances could last for several hours. The people listening to her songs are mesmerized by Oum Kalsoum’s vocal range, who had one of the deepest singing voice for females. References: 1. Shira. Inte Omri: You Are My Life. Retreived on November 28, 2008. 2. You Tube. Omm Kalthoum-Inta Omri.Retreived on November 28, 2008. 3. Imeem. Inta Omri by Yahel. Retreived on November 28, 2008. 4. Egypt State Information Service. Umm Kolthoum. Retreived on November 28, 2008. 5. Al-Ahram Weekly. The Voice of Authority. Retreived on November 28, 2008. 6. Al-Ahram. Umm Kuthoum Superstar. Retreived on November 28, 2008. 7. OumKalthoum. org. Oum Kalthoum. Retreived on November 28, 2008. 8. Al-Masriq. Umm Kulthum. Retreived on November 28, 2008.

Saturday, November 9, 2019

How was Islam founded? Essay

Islam was founded in the 17th century when the angel Gabriel revealed to the prophet Muhammad the revelations of God. What is the difference between a Shi’ite Muslim and a Sunni Muslim? The Sunni believes that the legitimate leaders to be recognized by the Muslims are Mohammad’s successors – the four caliphs. On the other hand, the Shi’ites believe that only the heirs of the fourth caliphs should succeed as a religious leader. Why was the site of the Great Mosque of Cordoba so appropriate? The Great Mosque is appropriate because it was originally built as a church and later became a mosque for the Muslims, which expanded and became the second-largest mosque. What events led to the end of the Muslim world in 1492? The main event that marked the end of the Muslim world in Iberia was the conquest of Granada. On the second day of January 1492, the Muslim leader of Granada gave up his kingdom to the Catholic Monarchs. This became the end of the reconquistas when all of the peninsulas were recaptured by the Catholics. How was the Ottoman Empire formed? The formal Ottoman Empire rose during the year 1299-1453, which is associated with the fall of the Roman Empire. Under this government, the religious and ethnic minorities had freedom from the central control with regards to their internal issues or concerns. How does the life of Galla Placida bring the fall of the Roman Empire to life? During the animosities between the Goths and the Emperor, Placidia was captured and later on married Athaulf after the fall of Rome and they settled in Southern France. How did the Norse use animal style in their art? With the use of seminaturalistic lions and bird motifs, the Norse used animal style in their art to create pieces that will represent the 9th to 12th century. Why were manuscript covers often reused or stolen?   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Manuscript covers were often reused or stolen because it is made of silver and gold. What beautiful artistic elements characterize the Book of Kells? The manuscripts were made interesting by the use of vibrant colors and intricate knotwork of human and animal figures. The decorations were filled with Christian symbolism that illuminates the major theme of the illustrations. What was the fate of most Ottonian architecture and why? It is a pre-Romanesque style of architecture and also known as the Ottonian Renaissance. Architecture was influenced by Carolingian tradition. Of the vast number of Churches built, only a few are well-reserved, most have disappeared.

Thursday, November 7, 2019

To Kill a Mockingbird3 essays

To Kill a Mockingbird3 essays Title of work: To Kill A Mockingbird In 1960 Harper Lees To Kill A Mockingbird was first published. Interviewers were stunned when they first met Harper Lee, after reading this novel. They often felt as if they were coming face to face with a grownup version of Scout Finch, the six-year old of the novel. Her features at thirty-five marked her as a former tomboy. Harper Lee was born in 1926, she would have been the same age as Scout during the time this story took place. She grew up in Monroeville, Alabama, a place much like the town of Maycomb described in this novel. Harper Lees father, Amasa C. Lee was a small town lawyer with an unusual first name. Just like Atticus Finch in this novel. Harper Lee attended the University of Alabama and spent a year in England as an exchange student at Oxford University. In 1950, she quit law school and moved to New York, and starting her dream career devoting her time to writing. Much of the background information for the novel came from Lees childhood experiences; the plot was mostly all from her imagination. In 1957, she finally finished the rough draft for To Kill A Mockingbird. The first editor turned it down; she spent much of two and a half more years reworking it. Finally in 1960, To Kill A Mockingbird was ready for publication. This book was a real success with readers young and old as well as the reviewers. The movie rights were sold immediately. In 1961, Lees success was crowned with a Pulitzer Prize for fiction, making her the first woman to win the award since 1942. Harper Lee has a very unique style in this novel. He uses different types of writing to get your attention and help you picture a mental image. Lee uses imagery throughout this novel. As soon as you start reading she has already sketched out the town scenery and a description of Boo Radley. Everything that happens takes on a clear focus with the way she uses imagery. The style that Lee...

Tuesday, November 5, 2019

Whats in store for the workplace in 2018 

Whats in store for the workplace in 2018   As one year ends and another begins, it’s a good time to start thinking about what may be lying ahead for you work-wise in 2018. It’s obvious that the world is changing pretty rapidly, with advances in technology and consumer demands having a tremendous impact on the workplace across all industries. Here’s an example- it’s fair to say that the traditional routine of commuting to work Monday through Friday and punching a clock from 9 a.m. to 5 p.m. is disappearing; in many professional sectors it has already gone the way of the dinosaur and in others it’s quickly evaporating, leaving many of us to wonder what’s next. A recent article on Ladders made some interesting predictions regarding workplace changes that could possibly be in store for us in 2018. If you’re wondering about what might be lying ahead for you at your current job or if the coming year might be a good time to make a career change, then keep reading!More flexible work ar rangementsIf there’s one thing that technological advances in recent years have changed it’s the ability to work from absolutely anywhere- these days, you can even get work done while waiting on line at the grocery store. More people are being more productive than ever before on their laptops, tablets, and smartphones and getting work done at home, while running errands or waiting for appointments, or wherever else they have pockets of spare time (and Internet access).Progressive employers have already capitalized on this trend by allowing their employees to take advantage of opportunities to work remotely. This can be a real win-win situation- employees get to save on the time, hassle, and expense of having to commute back and forth from work every day, and employers get to save money on things like office supplies and have a happier staff (and potentially greater employee retention from the added perk). Count on this telecommuting trend to continue through 2018 and b eyond.Decreasing full-time positionsModern innovations in the workplace have ushered in a new way of thinking about employee productivity. Simply put, companies are discovering creative ways to do more with less and to leverage new technology to empower fewer employees to get more work done. As a result, companies are reimagining what they need from a dedicated staff and are shifting away from hiring full-time employees and towards hiring part-time, freelance, and contract employees as needed for work projects- for better or for worse. This represents a real cost-savings for the average company, and in an economy in which domestic growth is sluggish at best, it’s a compelling option that less and less companies will shy away from in 2018.The rise of employee engagementAs companies learn to do more with less and rely on a smaller, more valuable core group of employees to drive productivity, expect to see a greater focus on making sure that these employees are fully engaged and happy. Why is this a growing trend? Employee turnover with leaner staffs can represent a significant loss of time, money, and institutional knowledge, so doing whatever it takes to keep folks happy- and in place- will become more strategically important. This can take lots of different forms- from added incentives and perks on the job to more flexibility regarding work-life balance and life outside of work.Greater cultural diversity and awarenessIt’s obvious that most progressive societies are moving towards a greater understanding, awareness, and appreciation of cultural diversity, and this is trickling down into the modern workplace. In 2018, expect to see most companies enhancing their efforts to ensure that their workplaces reflect the rich diversity that exists in our increasingly globalized world. Furthermore, according to Amy Cooper Hakim, Ph.D. and industrial-organizational psychologist, â€Å"more companies will hold training classes (both virtually and in-person) to ensure that all members of an organization treat others with respect. This respect is vital for interactions with employees, employers, stakeholders, and clients.†There you have it- some workplace predictions for the coming year. Although you can expect to see some variation across industries and companies, you can count on these trends continuing in the workplace in general through 2018 and beyond.

Sunday, November 3, 2019

Chapter 10 & 11 Assignment Example | Topics and Well Written Essays - 500 words

Chapter 10 & 11 - Assignment Example nizations safety, they supervise and monitor to ensure that all the safety requirements are being applied and they hire staff for the safety department. 2. Managers have been successful in motivating employees in using safety measures and ensuring organization’s safety with the help of incentive programs. Incentive programs also have a negative impact on the organization. Employees have manipulated incident reports and provided misleading information to managers to make sure that the manager continues using incentive programs. Due to manipulation and misleading data, managers have failed to counter safety issues at the right time. When managers stop incentive programs, employees return to their prior performance standards and in some cases standard of performance have even depleted. Maslow’s Hierarchy of need theory states that employees are motivated to fulfill their needs. Managers can motivate employees by helping employees fulfill these needs. The theory even states that individuals try to fulfill their basic needs first and then they pursue remaining needs. Managers can motivate employees to ensure that employees take care of the organization’s safety by providing them incentives which will help them purchase basic psychological needs such as food and shelter. An example of the safety needs is job security, if managers make employees feel that their jobs will not be taken away then employees will be motivated to ensure that their working environment is safe. Managers need to make the employees feel that they are a part of the organization; this will help in fulfilling employee’s belongingness need. Managers should provide work to the employees; this will fulfill employee’s self esteem needs. Once all the needs are fulfilled, emp loyees will start caring about the people around them and will make sure that their working environment is safe (Friend, 2010, 235). 4. McClelland stated that every individual is born with the need for power, affiliation

Thursday, October 31, 2019

Parenting Plans Essay Example | Topics and Well Written Essays - 500 words

Parenting Plans - Essay Example Parenting plans must be in writing and must integrate important aspects of the law adhering to the best interest of the child. HRS 571-46.5 requires that a parenting plan be submitted by both parents in a disputed child custody proceeding. Both parties have the option to submit a joint or individual parenting plans. Parties involved must mutually agree on the proposed parenting plan if they were to submit it jointly. But if they have individual desires, they are mandated to submit their recommended parenting plans separately. Joint custody does not have to mean that each parent gets equal time with the child. What is essential is for them to share custody and come up with a custody schedule where both parents get involved with the child. A parenting plan must contain details concerning child visitation, schedules, decision making designation, access to important record or information and other provisions concerning the child. Detailed information regarding child visitation schedule a nd residential schedule is a must to avoid timetable overlap and future arguments. Regarding the schedule for holidays, birthdays and vacations, it should include when the schedule begins, when it will end and a provision for additional day extension.

Tuesday, October 29, 2019

Marketing & Promotion Assignment Example | Topics and Well Written Essays - 1000 words

Marketing & Promotion - Assignment Example The coffee would appeal to these target age groups through contemporary and clean designs that shall be presented in a consistent way in its product and package designs, interior of the store and advertising. For young adults whose age is between18 and 24, the coffee shop would position itself as a place where college students can study, write, read and hang out with others. This target market tends to grow by 4.6% every year. The coffee shall be an ethically traded coffee (obtained through â€Å"fair trade†); hence, it shall focus specifically on career-oriented individuals living in urban areas with relatively higher incomes. These individuals are socially responsible individuals who care about sustainability and environment and would not hesitate in paying a premium price for an ethically traded coffee. Due to the presence of cultural diversity in UAE this strategy would be particularly useful in attracting foreigners and tourists who would rather go for ethically traded coffee rather than otherwise. The brand’s offerings are targeted towards such affluent individuals who are likely to go to Tim Horton’s or McDonalds. Furthermore, part of the proceeds of coffee purchases shall be donated regularly to local charity funds. The coffee would be promoted through television via placement in various reality and other shows. The â€Å"branded entertainment† strategy would be used here whereby the subliminal placement of coffee in these shows would subconsciously remind customers of the coffee brand while they watch their favorite shows (Hudson and Hudson). Since young, contemporary students and professionals are also targeted, therefore, contests can be run during popular shows such as â€Å"Friends†. Shows of this sort can be used to show a group of teenagers visiting the coffee’s outlet for getting together. The outlet of this coffee brand can then be promoted as being a place where individuals can relax, read novels or

Sunday, October 27, 2019

Attitudes Towards Gambling Behaviour Psychology Essay

Attitudes Towards Gambling Behaviour Psychology Essay Gambling has always tended to capture ambiguous views and opinions in society. This project discusses definitions of gambling, causes, models and treatments for those with gambling problems. The primary data is collected from an online questionnaire which was designed based on previous research, drawing particularly from the 2007 British gambling prevalence survey which was conducted in order to gain understanding about the social impact of gambling and the costs and benefits. Only 80 actual responses were recorded successfully. The participants age ranged from 17 52 making the mean age 24. The majority of participants were female with 37.5% being male and 62.5% being female. Due to the ethnic demographic of the area being predominantly White British, 81.2% of responses were from White backgrounds. A 14-item attitude scale was used for the main body of the questionnaire, including 7 positive statements and 7 negative statements. Each statement was given a score from 1 to 5, 1 being strongly agree and 5 being strongly disagree. In order to gather the correct data for analysis, the scores of the positive statements was swapped in reverse in order to indicate the more approving attitudes for each item. The 14 items are individually scored and added together to create one score. This score is known as the attitude score. As there were 14 items and each rating which was neither agree nor disagree was scored at 3, the mid-point attitude score is 42, anything below this suggests an overall negative response and anything above therefore suggests an overall positive response. Results show a strong correlation pointing towards a positive attitude towards gambling when the mid-point attitude score is 42, most scores show scores above 42 therefore showing a positive* response. There is only one item that received an overall negative response. Introduction The topic to be addressed in this research is about gambling, the different types and forms and how the public perceive gambling behaviour. The research will discuss various views and opinions of social and problem gambling and draw upon different theories as to why people gamble. Other research studies will be evaluated also. Orford (2009) conducted a survey based study using a 14 item attitude scaled which measures the general attitudes towards gambling. This scale was originally created to be used in a British gambling survey in 2007. This particular survey used a typical sample of 8880 partakers who were over 16 years old. It found that in most cases, attitudes towards gambling were negative, the only exception to these attitudes were from those who gambled the most. What is interesting about the results of this survey is that more people saw gambling to be a foolish and dangerous and to be harmful to families and communities, however, the majority of participants were against the prohibition of gambling. This survey has been the basis for the questionnaire in this study and therefore I will use the results of Orford survey to guide me towards the hypothesis for my own questionnaire. The main hypothesis is those who gamble regularly will have positive attitudes towards gambling. Another key hypothesis is those who have ever had a gambling problem will feel empathy and sympathy towards other problem gamblers. Gambling has always tended to capture ambiguous views and opinions in society while drawing in both massive public involvement and an increasing amount of criticism on moral, social and economic grounds (Cornish, 1978). There are many different types and forms of gambling. The main or most popular forms are gaming machines betting bingo casino lotteries and pools. Gaming machines allow the player to participate in a computerised game of chance in exchange for money and in some way the other forms of gambling are not dissimilar, due to either the exchange of money for a game of chance, like in betting and lotteries. Betting, pools and some casino games take some form of logic and or strategy, and therefore is less based on chance or luck, however, they are similar to gaming in regards to the exchange of money for chance (Gamble Aware, 2013). Game play therefore is a good way of describing what gambling is, for example, Herman (1976) articulates how gambling can be understood best through the example of game playing. He uses this instance because game playing is normal and inconspicuously integrated within the rest of gambling culture and society where it mostly occurs. Herman found that a common them e among previous research is that gambling is being studied as an activity that is singled out from the rest of the social society and that gambling as an activity is different to other routine activities. On the contrary, it can be argued that gambling relates to and links with other factors of society; that it is a product of this society and not separate. Therefore game play was a convenient topic for discussion in this instance. Gamblers anonymous (2012) see gambling as any form of wagering or bet placing, either for other people or themselves, whether it is for money or just for fun, where the result cannot be determined or relies on skill or chance. This definition includes any form of gambling no matter how small or insignificant because to a compulsive gambler, anything can be a trigger to resume their addiction. This definition opens up a new perspective on the term gambling. Routine activities that many of us participate in in everyday life may impact a compulsive gamblers life dramatically; this suggests that more should be done to sensitively create public awareness not just for ourselves but of those around us when gambling. A more in-depth definition and explanation of gambling is proposed by Perkins (1950), whom offered the idea that gambling could be segmented into 4 factors, the first being the swapping of money which takes place without any comparable value; the second is the possession of money regulated only by luck or chance; thirdly, the profit of the winners, made possible only by the loss of other people; and finally, the risk involved which is excessive. Using the belief that different forms of gambling all have clear fundamental features in common, people often, rationally, want to know about the connection between involvement in gambling irrespective of type and the descriptions of gamblers, such as age, sex, social class and income. The easiest measures are those whereby samples can be divided into gamblers and non-gamblers on the foundation of whether they take part in any number of gambling activities (Cornish, 1978). When talking about frequency of gambling, Downes et al (1976) found that there were considerable differences when it came to gender. Men seemed to gamble much more often than women and in particular younger men seemed to be more prone to gambling addiction, especially men from upper class and also, the poor. Downes also explains that younger men are more likely to participate in gambling activity. When it comes to explaining and discussing forms of problem gambling it is likely that biological, psychological and sociological processes are involved (Lesieur Rosenthal, Pathological gambling: A review of the literature, 1991). Each theory or model of problem gambling is more likely to only highlight one of these processes. There are numerous ways to define problem and compulsive gamblers. Clinically, the American Psychiatric Association (APA) uses the Diagnostic and Statistical Manual of Mental Disorders (DSM-IV), and categorizes problem and compulsive gambling as an impulse control disorder and uses ten conditions to conduct a diagnosis of this disorder. The ten conditions range from repeated unsuccessful efforts to control, cut back, or stop gambling through to illegal acts such as forgery, fraud, theft or embezzlement to finance gambling (University of Chicago, 1999). These ten conditions represent three dimensions within problem gambling: loss of control, damage or disruption, and dependence. Research has advocated that people who become easily attached or addicted to activities generally mistrust others around them, this could have stemmed from incidents of social or personal trauma, and therefore, they stay away from seeking help and instead turn to a specific addictive behaviour as a way of distracting them from this trauma, it is a temporary way of relieving distress. From this viewpoint, addiction may have developed as a process of relieving distress; whereas those who have negative views about ideas of histories of trauma are more prone to seek their relief from other places, such as gambling. It was hypothesized by Hoefler Kooyman (1996) that social and personal trauma can be related to problem gambling, and that this association would be arbitrated by perceptions of a lack of social support. One well known model of problem gambling is the social learning model, originating from skinners first (1953) social learning theory. This model assesses gambling as an operant behaviour, meaning a behaviour that can be modified by different consequences and outcomes. Logically, one would assume that in the instance of gambling, money or a prize would be the positive reinforcement factor to initiate addiction; however, more recent research increasing shows the significance of physiological arousal and its properties of reinforcement (Petri Govern, 2003) which can be related to the social learning model. Intriguingly, skinners (1953) study revealed a contradictory argument that a persons behaviour to gamble is a reflection of their prior history reinforcement issues. Skinner posited the hypothesis that beginning with success or beginners luck as some would call it, leads to an increase in the probability that that person would continue to demonstrate gambling behaviours, even when th e reinforcement ratio of winning had declined. Unfortunately, at the time, skinner was only able to test and demonstrate this theory on pigeons and rats. Later research on skinners theory allowed Custer (1984) to test the theory of humans, results showed that the same pattern towards addiction reflected from skinners results on animals, Custers results highlighted the high significance of an early big win towards the progression of a pathological gambling disorder. Although these results demonstrate what this pattern for gambling addiction is, the explanation of why the pattern occurs, still remains, specifically, the question should be why it exists even when reinforcement has gone or is decreased massively, for example, when the gambler hasnt had a win for a long time but still continues to gamble. One explanation of this is what is known as the partial reinforcement extinction effect, this is when an absence of reinforcement creates more persistence of gambling behaviour because the gambler knows that if they continues, eventually they will experience a win, therefore the continuation to gamble even after a long losing streak is eventually reinforced and consequently strengthened by the most recent win (Griffiths, 1995). Another explanation is one that contemplates again the role and idea of arousal. According to Brown (1987) this explanation considers arousal as a key factor of problem gambling, while also relating to physiological views fr om the social learning model. According to browns research, each person has their own unique psychophysiological needs for arousal, for example, one individual may learn to regulate their arousal needs through gambling, therefore in this instance, the loss while gambling would be the main reinforcement of gambling behaviour. Browns (1987) research is not limited to the theory of arousal; he also offered the idea that there are as many as six processes which participate in the development of problem gambling. These six processes are listed according to (Upfold, 2013): Affective states, like anxiety or depression; Cognitive distortions about gambling; Behavioural reinforcement schedules; Social and institutional determinants, like the opportunity to gamble; Subcultural conditions, such as the prevailing attitude toward gambling, and the prevailing values of the individuals social context and reference groups, And; Internal fantasy relationships with personifications such as lady luck, and the gamblers parents. To give a brief explanation, a person first has to be presented to gambling to enable the trigger to be able to express gambling behaviour; this is usually due to social determinants or cultural conditions. To then continue and perhaps escalate the gambling behaviour, arousal and reinforcement is needed. At a point in a gamblers life where all affective and cognitive factors are present, sometimes along with internal fantasy relationships, gambling is the most important task and a priority to that individual (Brown R. , 1987). This explanation that brown offers is broad and in depth, it offers a more complex understanding of problem gambling than the simple model of social learning (Upfold, 2013). For the benefit of evaluation and comparison, the psychodynamic model offers some interesting theories centred on gambling behaviours. This model suggests that problem gambling exists in the psyche; it is proposed by Epstein (1994) that gambling is an unconscious attempt to resolve conflicts within the psyche. Conflicts that exist in the psyche are uncontrollable and it is suggested that gambling is a behaviour performed in order to try to relieve psychological pain and stress. Within this area of exploration, there are a few main psychodynamic oriented theories which can help explain behaviour such as gambling. In these theories there tends to be three key factors, as listed by Griffiths (1995) these are: Gambling is an unconscious substitute for pre-genital libidinal/aggressive outlets. Gambling involves an unconscious desire to lose a wish to be punished in reaction to guilt. Gambling is a medium for continued enactment (but not resolution) of psychological conflict Rosenthal (1994) proposes that most problem gamblers have narcissistic tendencies, along with regular feelings of hopelessness and inadequacy which then leads to their psyche constructing a fictional world where gambling can be perceived as a solution to their pain. This fictional world enables the gambler to learn feelings of power, independence and overall, feel in control and important while they gamble. Rosenthal (1994) also comments that the narcissistic tendencies are vulnerable to fluctuating feelings of depression and arousal. It is noted that by participating in gambling behaviour, these feelings are regulated. An alternative topic of interest in the psychodynamic theory is that of loss, this term includes any form of actual separation from the death of a loved companion to an emotional loss such as self-esteem (Upfold, 2013). To sum up the theory of loss, it is that a universal loss is a significant issue for a problem gambler, resulting in intolerance for losses in the future. Furthermore, the psychodynamic theory suggests that gambling is triggered by an emotional loss but additionally can be a way of avoiding further risks that could cause the emotional pain to increase. The theory suggests that, if a child loses its mother when their psychic development is not yet fully matured, they will then use gambling as a substitute to the love of their mother. An obvious theme throughout the explanation of psychodynamic theories is that it is largely based upon opinions and does not hold a strong factual or scientific content, this is probably due to the concepts of the unconscious and the psych e being untestable as they are not physical objects or places, they are entirely theoretical, most of Rosenthals so called evidence was based upon a few grouped or many individual case studies, therefore cannot be relied upon for accurate scientific research (Cox, Yu, Afifi, Ladouceur, 2005). Granting that the psychodynamic approach isnt reliable in actual research, it is however a good path to look down when thinking about contributions to society, for example, counsellors working with problem gamblers may be led further to understand that there may be unseen, internal processes coinciding with the actual gambling behaviour itself, also, and many gamblers are thought to benefit from counselling which explores their feelings of emotional loss, intimacy and their fantasy ideas about gambling and luck. Many psychodynamic theorists advocate that some gamblers may reunite with these feelings from their unconscious when they stop gambling, thus creating an uncomfortable urge to gamble again (Upfold, 2013). Before moving on to results and statistics about the publics perception of gambling, first it should be discussed as to why the publics perception is important to us and society. First of all, the stances of the public community possibly will influence the capability of local and national governments to apply new, or review existing legislation associated with the control of gambling and gambling activities (Mond, Davidson, McAllister, 2011). In many countries, controlling gambling activities legislation are already under review, for example, in Australia, high stake poker machines will require you to commit to a spending limit in order to play, this disables the player from betting any more money on that particular game that day (Parliamentary Joint Select Committee on Gambling Reform, 2011). Secondly, the more accurately public perception is studied, the higher the likelihood of new therapies and treatments becoming available for those with gambling problems and addictions. Additi onally, negative perceptions regarding people with gambling problems may composite negative emotional states such as vulnerability and thus make more people hesitancy to seek help (Mond, Davidson, McAllister, 2011). Treatments In numerous countries around the world, there is growing fascination in early intervention tactics to support people who are suffering from severe gambling-related problems. Key to these thoughts and considerations is whether we are able, as professionals, to recognize problem gambling behaviour and or risky behaviour in risky gambling situations before people officially seek help or treatment (Delfabbro, King, Griffiths, 2012). Literature shows that interventions and treatments for problem gambling and be rather similar to the methods involved in treating other disorders such as drug addiction. Much like drug addiction, a major challenge in treating gambling problems is being able to prevent a relapse. An example to support this is that not many people that discontinue using drugs due to treatment remain sober in the long-term future. Within drug addiction, slips are single episodes of drug use that subsequently lead to a major relapse (Marlatt Gordon, 1985). There are so many factors that can affect the risk of any individual trying to recover from any kind of addiction, from relapsing, these factors can be environmental however, and the majority are personal to each individual. In order to succeed in recovering from an addiction, the development of new skills is essential. These skills should encourage positive behaviour and be integrated into everyday life so that in the event of a relapse; these skills will become easier to perform (Brown, Schubert, Saykally, Evenson, 1986). Many of these skills will be something to substitute trigger activities from their drug addiction, many take up forms of exercise and others turn to spiritual or religious activities in order to sustain their abstinence. At this point it is unknown whether or not the same behaviour patterns will help in problem gamblers to help them quit. It may be important to understand the characteristics of those who want to gain treatment for their gambling. Reasons for this are so that it can help develop the correct effective treatment for those who actually want to stop gambling. It has already been noted that the majority of clinical research on the topic of problem gambling has been either case studies or small sample studies. Data collected from this type of research is not able to be generalised to the wider population. Due to this disadvantage, creating accurate demographic profiles of treatment seekers is problematic; however there has been research that gives a small insight into the most likely candidates. Research from Blackman (1986), Ciarrocchi Richardson (1989) and Volberg (1995)have found that in general, it tends to be white middle-aged men that most commonly seek treatment for their gambling addiction; however, more recently, research is finding an increase in women wanting treatment or advice on gambling probl ems (Moore Volberg, 1998). Many treatment seekers are in their 30s and 40s and have an average or higher educational background. There are many methods to treat problem gambling, the methods derive from many approaches such as psychoanalytical/psychodynamic and behavioural approaches. This discussion of treatment approaches will both reiterate and contradict previous evaluation of the same approaches that have attempted to explain the causes of gambling problems. Psychodynamic professionals look for an understanding of gambling by reflecting upon the motivation influences that come from our unconscious processes; they refer to it as the science of the mind and consider how these processes may be able to oppose cognition and emotion and turn them into a behaviour (Lesieur Blume, 1987). Although psychodynamic therapies and treatments have not proven to gain effective results, they are the most regularly used forms of treatment for problem gambling behaviour at this time. The psychodynamic perspective proposes that problem gambling is an expression or a symptom of an underlying issue within the psyche. The best way of helping gamblers at the moment is by attempting to make them understand their underlying issue and confront it (Rosenthal Rugle, 1994). While many other academics have recorded the significance of psychodynamic treatments relating to addiction, there are no controlled studies or research that investigates the efficiency of this approach in terms of treating a gambling problem. Moving onto a behavioural approach, treatments within this approach are more active, especially looking towards classical and operant conditioning theories as a solution or treatment. One known treatment that is currently used is aversion therapy. This involves a negative stimulus being applied to the patient while they are thinking about or participating in gambling behaviour, the negative stimulus us quite often small electric shock. Obviously, this method has many ethical drawbacks and is used only in severe cases and if the patient is mentally stable to agree to it (Epstein, 1994). A second example of a behaviourist treatment is a simple procedure called imaginable desensitization. It uses two stages in the process. First of all the patient is taught how to relax, once they are in a relaxed state, the behaviourist professional will ask them to imagine some situations related to gambling that they find stimulating. From this, the patient will learn to relax then they find themselves in situations where they are able to gamble, the relaxation will be a substitute to giving in to their addiction (Brown R. , 1987). This approach links closely to some psychodynamic theories, but initially is seen as a cognitive treatment. Methods It was decided that an online questionnaire would be used to conduct this research because they are quick and easy to create and collect data from. Choosing to conduct this questionnaire online proved to be the right choice also as it did not take up lots of time for either the researcher or for the participants. Online questionnaires are effective for a number of reasons, the main one being that they are inexpensive and easy to gain fast responses from a large sample size (Deutskens, Ruyter, Wetzels, Oosterveld, 2004). I designed my questionnaire based on previous research, drawing particularly from the 2007 British gambling prevalence survey which was conducted in order to gain understanding about the social impact of gambling and the costs and benefits (Orford, 2009). General lifestyle and demographic questions are at the beginning of the questionnaire in order to gain data of who is participating in the research. The main body of the questionnaire is the 14-item attitude scale o riginally produced by Orford (2009) who believed that it was vital that his survey about attitudes towards gambling should contain a dependable and legitimate scale that can reliably measure general attitudes towards gambling. This scale uses a straight forward format containing a sequence of statements which express either a specific negative or positive attitude, the participant would rate how much they disagreed or agreed with each statement using a lickert scale. My questionnaire used all 14 items in its attitude scale, 7 positive statements and 7 negative statements. Each statement was given a score from 1 to 5, 1 being strongly agree and 5 being strongly disagree. In order to gather the correct data for analysis, the scores of the positive statements was swapped in reverse in order to indicate the more approving attitudes for each item. The 14 items are individually scored and added together to create one score. This score is known as the attitude score. As there were 14 items and each rating which was neither agree nor disagree was scored at 3, the mid-point attitude score is 42, anything below this suggests an overall negative response and anything above therefore suggests an overall positive response. The aim was to have a sample size of 100, only 80 actual responses were recorded successfully. The participants age ranged from 17 52 making the mean age 24. The majority of participants were female with 37.5% being male and 62.5% being female. Due to the ethnic demographic of the area being predominantly White British, 81.2% of responses were from White backgrounds. The sample was collected online via email, Facebook and twitter accounts along with a description of the study and its purposes. None of the participants are excluded as all relevant questions were answered in every response. To eliminate social desirability, whereby the participant might purposely give the answers the researcher is looking for, the questionnaire aims were distorted slightly by asking general exercise, drinking and diet questions along with gambling questions. The second part of the questionnaire will be the main part used for analysis; this section will state that it is a control group questionnaire about gambling. The title of the questionnaire was explained to be assessing how the public perceive social behaviours, although the questionnaire aim was to measure how the public perceive only gambling behaviours. Ethical situations were taken into consideration in this instance and it was decided that slightly deceiving participants was needed in order to enable the study to gain more realistic results and validity. The next part of the questionnaire measured if each participant had a gambling problem, ever had a gambling problem or if theyre parents or guardians ever had a gambling problem, the results from this section are to be taken into consideration when analysing the final question. The final question is a vignette about a young males gambling problem and some trouble that gambling had got him into; participants were given a list of attitudes and feelings such as Anger sympathy empathy and were asked if they blamed the characters parents or himself. This section is relevant because those with positive attitudes towards gambling may relate to the character and therefore give a positive or sympathetic attitude towards the situation. A recent study about profiling problem gamblers shows that there is near enough a 50/50 weighting of female problem gamblers to female social gamblers. Also, there are a considerably higher amount of males at risk to problem gambling than when compared to women. When analysing demographic results, findings show that there was a significantly lower amount of problem gamblers in the 65 years and over age category. The second most at risk age group was found, in this case to be 35 49 year olds, leaving the most at risk category to be the 18 24 year olds (Department Of Justice, 2013). Demographic Analysis and Results The following results present demographic data collected from the primary survey conducted. The data contains the total number of responses returned for all questions and the representative percentage of responses for each modality available. If there were any non-responses to any questions, this will not be included in the charts and tables. If the value of representative responses is 0, this will not show in the charts, however will be shown in the tables. This chart shows the representative percentage age of all participants. Age ranges Frequencies % representative From 17 to 20 29 36.2% From 21 to 29 40 50.0% From 30 to 37 3 3.8% 38 and over 8 10.0% Total 80 100.0% This chart shows the representative percentage gender of all participants. Gender modality Frequencies % Representative Male 30 37.5% Female 50 62.5% Total 80 100.0% Etiological reports of problem gambling have commonly concentrated on men from Gamblers Anonymous (GA) men from the Veterans Administration hospital system (Lesieur Blume, 1987) Therefore, women are diagnostically underrepresented also. Numerous initial studies that did include women used small samples or case studies from Gamblers Anonymous (Lesieur Blume, 1991). These results show a much higher percentage of female respondents than men. Thus, it enables this type of research to be analysed for gender specific data if needed. This chart shows the representative percentage ethnicity of all participants. The table below shows all the modalities available for selection within the survey. Ethnicity modality Frequencies % Representative White 65 81.2% Mixed white and black Caribbean 7 8.8% Mixed white and black African 1 1.2% Mixed white and Asian 0 0.0% Any other mixed background 2 2.5% Asian indian 3 3.8% Asian Pakistani 0 0.0% Asian Bangladeshi 0 0.0% Any other Asian background 0 0.0% Black Caribbean 1 1.2% Black African 0 0.0% Any other black background 1 1.2% Chinese 0 0.0% Any other ethnic group 0 0.0% Total 80 100.0% Results frequency score and attitude score table The results shown in the table below indicates the response count to each modality and also to each option within that modality. The frequencies are shown to indicate how many responses were given, however any non-responses are not shown in the table. In place of a percentage score, an attitude score is present. An explanation of the attitude scores is presented below the table. Strongly agree agree neither agree nor disagree

Friday, October 25, 2019

Character Analysis of Blanche DuBois in Tennessee Williams A Streetcar

Character Analysis of Blanche Through Text and Symbolism in A Streetcar Named Desire      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Tennessee Williams was once quoted as saying "Symbols are nothing but the natural speech of drama...the purest language of plays" (Adler 30). This is clearly evident in A Streetcar Named Desire, one of Williams's many plays. In analyzing the main character of the story, Blanche DuBois, it is crucial to use both the literal text as well as the symbols of the story to get a complete and thorough understanding of her.    Before one can understand Blanche's character, one must understand the reason why she moved to New Orleans and joined her sister, Stella, and brother-in-law, Stanley. By analyzing the symbolism in the first scene, one can understand what prompted Blanche to move. Her appearance in the first scene "suggests a moth" (Williams 96). In literature, a moth represents the soul. So it is possible to see her entire voyage as the journey of her soul (Quirino 63). Later in the same scene she describes her voyage: "They told me to take a streetcar named Desire, and then transfer to one called Cemeteries and ride six blocks and get off at Elysian Fields" (Quirino 63). Taken literally this does not seem to add much to the story. However, if one investigates Blanche's past, one can truly understand what this quotation symbolizes. Blanche left her home to join her sister, because her life was a miserable wreck in her former place of residence. She admits, at one point in the story, that "after the d eath of Allan (her husband) intimacies with strangers was all I seemed able to fill my empty heart with" (Williams 178). She had sexual relations with anyone who would agree to it. This is the first step in her voyage-"Desire". She ... ...n. Boston: Twayne, 1990. Corrigan, Mary Ann. â€Å"Memory, Dream, and Myth in the Plays of Tennessee Williams.† Dialogue in American Drama. Bloomington: Indiana University Press, 1971. Engle, Paul. "A Locomotive Named Reality," The New Republic, CXXXII (Jan. 24, 1955), 26, 27. Falk, Signi. Tennessee Williams. Grosset & Dunlap, Inc. New York, 1961. Jackson, Esther M. The Broken World of Tennessee Williams.   Madison and Milwaukee: University of Wisconsin, 1965. Quirino, Leonard. â€Å"The Cards Indicate a Voyage on A Streetcar Named Desire.† Modern Critical Interpretations: A Streetcar Named Desire. Ed. Harold Bloom. Philadelphia: Chelsea House, 1988. Vowles, Richard B. "Tennessee Williams: The World of His Imagery," Tulane Drama Review, III (Dec., 1958), 51-56. Williams, Tennessee. A Streetcar Named Desire. New York: Viking Penguin, 1976.