Wednesday, July 31, 2019

Corporate Law and Governance Essay

Question 1 Bryan, Sarah, Jason, Calvin and Rubini are interested in starting a travel agency specializing in tours around Sabah. They are keen in having an office at Damai, Kota Kinabalu and to hire a few staff. Their initial capital is RM30, 000 each. They are also planning to acquire MPV vans to cater to small groups of travelers. All of them agreed to be involved in the management of the business and to make decision together. However, they are seeking your advice as to which business structure would best serve their purpose.  Advise Bryan, Sarah, Jason, Calvin and Rubini. (15 marks) Question 2 If they have decided to form a private limited company for their business, what are the things they need to consider in incorporating a company? They would like to use Friendly Tours Sdn Bhd as the name of their business. Also, they agreed to appoint Rubini as the Managing Director of the company for 5 years. Advise them in the drafting of the Memorandum and Article of Association. (15 marks) Question 3 In May 2013, they would like to expand their business in exporting fresh food and vegetables to Sarawak.  They are not sure whether they are allowed to divert from their initial objective in travel agency business. They also would like to change their business name to Borneo Connection Sdn Bhd. In the recent meeting, Sarah was appointed as Managing Director of their business instead of Rubini as stated in the Article of Association. Advise Bryan, Sarah, Jason, Calvin and Rubini in the situations above. (15 marks) Question 1 There are three types of business structure which are sole proprietorship, artnership and company. Choosing the right type of business structure is one of the most important choices of all for which they have to make when starting a business. Not only will this decision has an impact on their liability, it will also affect their ability to raise capital, management and decision making rights. Since there are five people who are interested in starting new business, it is important for them to compare and choose whether a partnership or company will best suit to their purpose. According to Section 3(1) of Partnership Act 1961, a partnership is the relation which subsists between persons carrying on business in common with a view of profit. In other words, they must continuously carry on travel agency business and all partners agreed to operate the travelling business together with the intention to make profits from it. As for company, it is an artificial legal person who is bound by law to manage company. It is a separate legal entity for which its legal identity separates itself from its members, officers, employees and others who form the company. In term of management and decision making, there are two types of partners in partnership: dormant partner who is not participate in management of the firm and managing partner who manages and makes all business decision of the firm, subject to any agreement requiring them to obtain consent of all other partners. According to the situation, all five of them are agreed to be involved in the management and to make decision together, so it is confirmed that they are all managing partners of the partnership and it is clearly set out in their written agreement. Hence, they are entitled to manage the partnership together and they have a wider pool of skills, knowledge and experiences collectively from all partners, so they have more inputs and suggestions to a better management of the business. In decision making wise, any major decision relating to any change which will affect the nature of the partnership must obtain the consent of all partners by carrying out formal meeting. For instance, type of business carried on, admission and removal of partners, and dissolution of partnership. Otherwise, they can freely make decision in their own or perhaps together by carrying out a less formal meeting, provided they are acted in good faith. As for a company, although only person who are appointed as director has the power to manage the company, members of the company have the definite voting rights in any major decision making. So, director has to comply with statutory requirements, which is to carry out general meetings by sending out notices of meeting to all members and must pass certain resolution from the members in order to obtain their consent and reach a decision. Yet, the procedures in decision making in a company compared to a partnership is more tedious and time-consuming, especially when facing crucial matters to be solved in short amount of time. So, it is better to form a partnership in terms of management and decision making. As mentioned previously, partnership is not a separate legal entity and hence, they are having unlimited liability. All partners are personally and jointly responsible for all debts and obligations of the firm. Not only it might end up with dissolution of the partnership, personal properties of partners can be seized to settle the business when the firm’s fund is insufficient to cover debts and obligations incurred during the ordinary course of the business. Unlike a company, it is a separate legal entity which separates itself from its members. As a result, only company is fully liable for debts and obligations incurred by itself while members’ liability is only limited to the unpaid amount of their shares capital, as established in case Salomon v Salomon & Co Ltd. The creditors claimed that Salomon and his company were one and the same and they should be repaid in top priority. However, the court held that he is not liable for debts of the company due to separate legal entity. Hence, in the event of winding up, creditors cannot bring actions against members of the company to contribute more than their initial contribution in debts settlement and so, their personal assets are not affected. Therefore, it is better to form a company in term of personal liability. Apart from that, they are planning to acquire several MPV vans in order to support their business but apparently their initial capital contribution which is totaling RM150, 000 is merely sufficient to acquire one or two second-hand MPV van. So, in term of raising capital, partnership’s fund is raised through capital contribution by all partners. If they wish to raise more capital by admitting more partners into the business but prior to admission, they must dissolve the partnership and form a new partnership consisting old and new members again, and perhaps their previous written agreement must be re-wrote. However, continuous admission of new partner may not be the solution if they wish to expand the business as the amount of capital contribution from each partner may not collectively big enough to do so. As for company, a private limited may normally issue shares or debentures to family, friends or employees by way of a private arrangement while a public limited may invite public to subscribe for its shares or debentures. Also, a private limited may convert to public limited by passing special resolution to raise more capital. Despite the risk of being a new business and compilation of statutory procedures, the amount of capital raised may be relatively more than the amount of capital contributed by each partners in the partnership. Therefore, it is better to form a company in term of raising capital and business expansion. Furthermore, partnership is not a separate legal entity and it can be easily dissolved upon the death, retirement, or new admission of any partner. Hence, partnership’s duration of existence is uncertain and has a finite lifespan. Meanwhile, since company is a separate legal entity, it has the characteristic of perpetual succession. In other words, despite any changes occur in its membership, they should not worry about dissolution of the company as it is has an infinite lifespan and exists perpetually until it is legally wound up or deregistered. As such in case Re Noel Tedman Holdings Pty Ltd, a husband and wife who were the only directors and members of the company were killed in an accident but the court held that the company is not affected by the accident and would continue to exist. Therefore, it is better to form a company in term of duration of existence. In conclusion, compared to a partnership, they are recommended to form a company in terms of limited liability of members, easier to raise more capital and its perpetual succession. Question 2 When they have chosen to form a private limited company, they should appoint a promoter to assist them in formation of company by performing secretarial services. Firstly, the promoter must conduct name search on the availability of proposed company’s name. Next, incorporation documents such as Memorandum of Association (hereinafter referred as MA), Articles of Association (hereinafter referred as AA), statutory declarations and any prescribed forms must be lodged with Registrar of Companies’ (hereinafter referred as ROC) within three months from the date of approval of the company’s name. Upon submission of documents and payment of fees, ROC will issue certificate of incorporation to them. In MA, they need to state the name clause, registered office, object clause, share capital clause and liability clause. While setting out name clause, they need to apply name search to ROC to check on the availability of their company’s intended name which is Friendly Tours Sdn Bhd. However, care must be taken where they should not register their company in a name that in opinion of ROC is undesirable or unaccepted by the Ministers, and also confusingly similar to the name of an existing company. In addition, they must include ‘Sendirian Berhad’ or the abbreviation ‘Sdn Bhd’ in their company’s name as it is a private limited company. Once they obtain bona fide approval from ROC, the name is reserved for three months from the date of approval. Next, they should set travel agency business which tours around Sabah as their company’s principal object clause and from thereafter it defines their company’s legal capacity when entering into any contract. Yet, in order to expand their company’s legal capacity and evade ultra vires act, they are advised to draft their object clause in widest possible terms by including many conceivable forms of activities, either dependent or independent to company’s principal object clause i. e. ravelling business, and each of it should be regarded as a separate and independent object in its own paragraph. Furthermore, they have to state the amount of company’s initial authorized share capital, which is RM150, 000 and its division into shares of a fixed amount, which can be 150,000 ordinary shares of RM1 per share. They can increase or decrease their authorized share capital in future by passing ordinary resolution. Also, their liability as a member in the company also must be stated, which is limited to the unpaid amount on their share capital, to protect their personal assets in the event of winding up. Other information such as company’s registered office which located at Damai, Kota Kinabalu, subscribers clause and association clause must also be stated in MA. As a private limited company, it is open for them to decide whether to adopt its own AA which meets company’s requirements, adopt Table A of Fourth Schedule as its AA or a combination of Table A articles with specific articles designed to meet company’s requirements. However, under Section 30(2) of Companies Act 1965, Table A will be AA of their company if they failed to register its articles upon registration. Any further alteration of AA is required to pass special resolution under some conditions. In drafting of AA, information such as appointment and removal of directors should be included in AA. To be appointed as a director, Rubini must be a natural person which is at least 18 years old and not being disqualified from being a director. Since they are forming a private limited company, they are allowed to name Rubini as Managing Director of the company and state a five years term of office in AA provided she is not 70 years old and above. Then, they should ensure that the company has at least two directors including Rubini who shall be named in AA as the first directors of the company and will hold office until the first Annual General Meeting where they will automatically retire (except Rubini in this situation). If they adopt Articles 64, 66 and 67 of Table A, retiring directors may be reappointed and the company may increase or decrease the number of directors in a general meeting by ordinary resolution. Furthermore, board of directors may have the power to appoint anyone as a director either to fill in casual vacancy or addition to existing board members if they adopt Articles 68 of Table A. Also, they have rights as members of the company to remove a director by ordinary resolution before his term of office expires. Yet, it is always subjected to company’s AA such as a provision is provided not to remove a director. They should also include the duties and powers of being a director, for example Rubini must greatly exercise her duties of care, skill and diligence. Other officers such as company secretary and auditor must be appointed at least one in the company and his legal position and duties must be clearly set out in company’s AA. In addition, they should include rights of various classes of shareholders in terms of company’s profitability, repayment of capital, transfer of shares, and decision making process. Detailed information regarding share capital should be clearly furnished such as methods of issuance of shares, transfer of shares, share buyback and reduction of capital. For debenture holders’ protection, they may need to state rules relating any fixed or floating charges attaching to specific properties as a security to creditors in case of unable to repay any loan or borrowing. Notices and procedures to meeting and winding up also must be stated in AA. Apart from that, they must insert restrictions as contained in Section 15(1) of Companies Act 1965 into MA and AA as a result of being a private limited company. For instance, it restricts its members’ rights to transfer shares. It also cannot have more than 50 members. The company, too, cannot raise capital by a way of offering shares and debentures to public or the public deposit money with the company. In a nutshell, they will receive certificate of incorporation upon successful registration of the company. Certificate of incorporation signifies that their company has been duly registered on date mentioned in it and restrictions in Section 15(1) of Companies Act 1965 will be effective. Besides, incorporation may bring forth effect that the company is a body corporate with the powers of an incorporated company, where it may sue or be sued in its own name, has a perpetual succession, may own property and the liability of its members may be limited. Question 3 During commencement of business, the company may wish to expand its business, change its name or alter provisions relating internal management. The company is permitted to do so by altering MA and AA by virtues of Section 21 and 31 of Companies Act 1965. MA is allowed to be altered to the extent and in the manner which is provided by the Act under Section 21 of Companies Act 1965. Meanwhile, Section 31 of Companies Act 1965 states that articles in AA may be altered or added by special resolution and become valid as if originally contained in the articles despite subjected to few limitations. The first issue arises in this question is whether the company is allowed to divert their initial objective in travel agency business and expand their business in exporting fresh food and vegetables. Upon incorporation, the legal capacity of the company is defined by object clause which has been stated in MA and it is not allowed to enter into any contract with third party, of which the purpose goes against its object. Otherwise, such act by the company is deemed to be an ultra vires act. Hence, the contract cannot be ratified by the company and considered as void contract which is shown in case Ashbury Railway v Riche. The company entered into a contract to build a railway station in Belgium for which the purpose went against their object clause of making, selling and hiring railway carriages. The court held that the contract was considered as void as it was beyond the legal capacity of the company to undertake it. So, in their situation, the company is not supposed to enter into any contract including exporting fresh food and vegetables because their legal capacity is only limited to travel agency business which tours around Sabah. However, Section 20 of Companies Act 1965 has provided that even an ultra vires contract is still valid if it has been executed despite company’s lack of capacity to enter into it. Meanwhile, if the contract has yet to be executed, minority shareholders may file for injunction to restrain company from performing the contract. Nevertheless, it is for the company’s best interest to evade the purpose of ultra vires doctrine by altering its object clause under Section 28 of Companies Act 1965. In case Bell House Ltd. v City Wall Properties Ltd. , defendant refused to pay procuration fee to company on the ground that the contract was made outside company’s object clause. However, there was such clause in MA which allowed company ‘to carry on business or any trade whatsoever in opinion of board of directors be advantageously carried on by the company in connection with or ancillary to any of the above business or the general business of the company’. Although there was no relationship with main object clause, the court held that it was within plaintiff’s legal capacity due to the bona fide opinion of board of directors. Therefore, based on their situation, the company can widen the scope of object clause by adding such clause into their MA in order for them to expand their business in exporting fresh food and vegetables. Apart from that, notices must be sent out to all members within 21 days of the general meeting and the company must pass a special resolution from members who attend and vote at the general meeting. Then, if there is no objection to the alteration within 21 days after passing of resolution, the company has to lodge with ROC within 14 days in order for the alteration to come in effective. The second issue arises is whether the company can alter its name in MA from Friendly Tours Sdn Bhd to Borneo Connection Sdn Bhd. Prior to alternation, the company must conduct name search and apply to ROC to check on availability of its proposed new name which is Borneo Connection Sdn Bhd. It must also ensure that the new name is not undesirable or unacceptable in the opinion of ROC or similar to the name of an existing company. Once it obtains approval from ROC, the new name will be automatically reserved for 3 months and the company must perform steps to change its name within the reservation period. Then, under Section 23(1) of Companies Act 1965, the company must provide notice of 21 days to all members of the general meeting and pass a special resolution from members who attend and vote at the general meeting. Upon that, ROC will only re-issue certificate of incorporation under the new name i. e. Borneo Connection Sdn Bhd and effects are taken into place. However, the company remains the same legal entity as the change of name will not affect any rights or liabilities of the company. In the third situation, Sarah was appointed as the Managing Director of the company instead of Rubini as stated in AA. Firstly, the first issue arises is regarding validity of naming Rubini as Managing Director in AA. Section 123 of Companies Act 1965 has stated that a person shall not be named as a director or proposed director in MA or AA or company’s prospectus but this section is not applicable to a private limited company. So, it is valid to name Rubini as the Managing Director. Assuming Rubini’s term of office is not stated in AA, she will hold office until the next Annual General Meeting where she will retire automatically and may be re-elected for next appointment. However, there is also a possibility where members of the company may remove Rubini as Managing Director by ordinary resolution before her term of office expires. Hence, Rubini should be given special notice of 28 days of the general meeting where she is proposed to be removed. Yet, based on the situation, she was not given any notice regarding removal of her position and Sarah was directly appointed as the Managing Director and therefore, it brought up straight to the next issue on whether Sarah is eligible to be appointed as Managing Director. The person must be a natural person who at least 18 years old and above, has consented to appointment and not being disqualified from being a director can be appointed as a director. So, it is assumed that Sarah has fulfilled the criterion and she can be appointed as the Managing Director. Upon successful appointment of Sarah as the Managing Director, it brought up the key issue on whether the contract between Rubini and the company is in breach. Section 33(1) of Companies Act 1965 has explained that MA and AA perate as a contract which only binding the company and its members, and members amongst themselves, but not between the company and outsiders. Generally, director is merely an officer but not a member of the company and so, he is considered as an outsider. Since he is not privy to the contracts, he cannot enforce any rights that MA or AA purport to confer upon them. However, Rubini has been validly named as the Managing Director of the company in AA and so, she has a valid contract between the company and herself. Therefore, she can enforce her rights against the company if the company fails to observe provisions in AA. This situation is supported by the case Southern Foundries v Shirlaw. Shirlaw sued for breach of contract because he was removed by Federation Foundries which altered the articles of Southern Foundries to give them power to remove Shirlaw before his ten years term of office was expired. The court held that an alteration of the articles was not amounted to a breach of contract but their act on altered articles was deemed to be and, therefore, Shirlaw was only entitled to damages. From the case, judge of the case has laid down the general principles where a company is not precluded from altering its articles so as to give itself to act upon altered articles, but acting on altered articles is construed as a breach of contract. Moreover, no injunction can be granted to prevent the adoption of the new articles but damages was the only remedy for breach of contract. In Rubini’s situation, there is a breach of contract as the company appointed Sarah as the Managing Director instead of her who has been stated in AA and it was assumed that the alteration of articles was in progress. Yet, she cannot re-enforce her appointment since she cannot prevent company from altering its AA as it is given the power to do so under Section 33(1) of Companies Act 1965. So, she can only obtain damages for wrongful dismissal. In conclusion, the company is allowed to expand its business scope and change its name to a new name as long as it passes special resolution. However, Rubini was only entitled to damages as a result of wrongful dismissal because she cannot restrain the company from performing alteration in articles.

Tuesday, July 30, 2019

Online School vs. Public School Essay

Sloan Consortium stated that, â€Å"More than one million students attended classes via the Internet in 2008. Of those million, around 200,000 were enrolled in full-time virtual schools, meaning they attend all of their classes online.† I have been doing Online Schooling for two years but before that I went to public school. Online schooling is a better choice than public schooling because you have more control, there is no drama, and you have more free time. I prefer online homeschooling because I can control my pace. I get to decide when I want to work and I don’t have to study all day, everyday like I normally would. The course schedule is also up to me; courses can be done one at a time or in groups. During my first year at an online school I did five courses at one time. It’s now my second year and I am doing one course at a time, which I definitely prefer. At Public schools, course schedules are picked for me and I would have no control. You also can’t control what is going on in your school environment. One of the best things about online school is that there is never any drama. I really hate gossiping, which is a big problem at public schools. Because I only interact with other kids from my school by way of the internet there is no pettiness between us. Kids my age fight over friends and boyfriends or girlfriends. There’s nothing to fight about when you live as far away from each other as we do. At normal schools though, you see everyone everyday. When your constantly with the same group of people, someone’s feelings are always getting hurt and there is constant arguments. Many of situations involve your â€Å"friends†. If your friends with someone you can’t be friends with anyone they don’t like, which can get very complicated. 3 When doing school online, you have much more free time. If I stay caught up, I’m able to do things after school and on the weekends. When I was in public school, I had far too much homework to do anything. Now I’m able to take a few days off for vacation or because I’m sick and not have to worry about falling far behind. While at public school all of my time was filled by homework, but now I’m able to spend hours after school with my horse or just relaxing. Some of my family has expressed concern about me not  interacting with children my age because I don’t go to public school. Because of online schooling, I’m able to hang out with my friends at our barn. Before I switched I never saw any of my friends outside of school because I never had the time. Online schooling is a much better choice than public schooling. The benefits of online school far outweigh those of public schooling. With Online schooling you have so many more choices, everything is up to you! There are many different schooling choices but online schooling has made my life easier and stress free. I definitely suggest that you look into online schooling as an alternative to public school. It may not be right for everyone, but it might be right for you.

Critically Examine the Geopolitics of Humanitarian Aid Within the 21st Century.

Critically examine the geopolitics of humanitarian aid within the 21st century. How have responses to famine changed over time and what are the key challenges to famine prevention today? Geopolitics have played a huge role in humanitarian aid in the current century. Because humanitarian aid is largely sponsored by western countries it poses a huge problem in the form of a â€Å"parochial form of theorizing†1 that supports the interests of the richest countries of the world. For the purpose of this essay I will begin by examining the problems that have arisen in the most recent years of humanitarian aid assistance.This arises from conditional aid, whereby donor countries or organizations impose conditions in order for recipient countries to receive this aid. Followed by this is the secularization and polarization of the aid industry where organizations are constantly in competition for finite resources. Lastly the 21st century has seen foreign militaries carry out humanitarian aid missions which jeopardizes the neutrality and impartiality which is so essential in carrying out aid to anyone who is in need. Secondly this essay will look at how humanitarian aid has changed over time.For the purpose of this short essay I will look at the 1998 famine in North Korea whereby humanitarian aid was given, only under political concessions. Disguised as aid, the humanitarian assistance given to North Korea was used as a political tool that undermines the fundamental ideas of humanitarian aid. The basic theorizations of humanitarianism put a deep emphasis on adherence to principles of impartiality and neutrality and assistance based solely on need. Adherence to these principles has been the biggest problems of humanitarian aid over its history, but never more so than in the 21st century.Aid in recent years has been based on conditionality which essentially means that in order for nations to receive aid, these nations have to adopt conditions that that the donor nation imposes. This means that aid is not offered on the basis of those who need it, but is based on policy that supports the donors giving aid. Therefore critics see these policies, although framed as humanitarian in principle, as very far removed from humanitarian. In essence it is foreign policy that is advantageous to the donor. Some such policies that come from conditionality are trade liberalization, that can ruin domestic economies and increase unemployment, and capital account liberalization that would open less developed economies to investments from multi-national corporations. Such investments have little impact on the majority of people in these countries and generally only benefit the corporations themselves and a small group of elites in the recipient countries. This supply of aid, especially in the events of crisis is in complete contrast to the fundamental principles of humanitarian aid. One of the most problematic concerns of aid in the last ten years has been the politi cization and secularization of the aid industry. Over the last twenty five years humanitarian aid has become heavily institutionalized. This has led to more effective logistics and delivery systems. However it has also created institutions that are perhaps not so concerned with providing aid to those in need, but acting in the interests of governments or big businesses that are the donors of the resources. Humanitarian organizations such as NGO’s and now foreign military forces are often in competition with local organizations which has led to valuable resources being wasted because of constant competition for aid . 5Because of this, NGO’s neutrality (one of the most fundamental principles of humanitarian aid) is severely compromised because the boundaries between relief and development, war and peace and political objectives are not easily defined.Thus, NGO’s in these most recent years have struggled to adhere to the basic humanitarian principles of providing t o those most in need because their ideals are compromised by the secularization and politicization of aid organizations. 6 Perhaps one of the most fundamental problems of humanitarian aid in the 21st century is the fact that it is often no longer carried out by NGO’s, but is in fact coordinated by foreign military forces. In cases such as Iraq and Afghanistan the United States military assumed a huge role for the distribution of disaster and humanitarian assistance alongside their military objectives.If foreign militaries are carrying out humanitarian aid alongside military objectives, then there is no way that aid can be supplied to whoever is in need in ways that are impartial, neutral and independent. This new system whereby foreign militaries are responsible for supplying aid has created huge security problems for not only the military, but for the people who are receiving aid. Opposing factions to foreign military time and time again in Afghanistan and Iraq have targeted civilians receiving aid to further their own agenda. These are the problems that exist in the humanitarian aid industry today, but these problems have developed over a course of many years and responses to famine and humanitarian disasters have evolved over time. Thirty years ago disaster relief and humanitarian aid were not considered to be of huge significance on a geopolitical scale. During the 70’s and 80’s although humanitarian crisis existed, the geopolitics was more focused on the cold war and respecting the sovereignty of nation states.Although crisis in Africa, East Pakistan and Guatemala (to name a few) were made aware to the international community , they were sidelined by the real political concerns defined by the cold war. Throughout the 1970’s, 1980’s and even the 1990’s international opinion and more importantly international law, respected the fact that governments, even of highly prone man-made and natural disasters had the respon sibility, will, interest and ability to protect their own citizens.Any humanitarian aid that was given in these years was seen as assistance to these governments to look after their own citizens. Essentially 25 years ago, the concept of ‘humanitarian intervention’ without the concurrence of the affected state would not have been considered and certainly would not have been sanctioned by the United Nations or the International Community. 8 Since the 1980’s humanitarian aid and responses to famine have changed not only in thought, but institutionally.In the mid 1980’s there were approximately 280 governmental, intergovernmental and non-governmental aid organizations. Today that number is over 1000. As well as this huge expansion of organizations there has been a dramatic increase in aid expenditure. In the last two decades humanitarian assistance has tripled from approximately two billion to six billion dollars. 9 Because of this huge increase in the funding of aid the competition between organizations can sometimes have disastrous consequences because the organizations are competing for finite resources.This is increased by for profit organizations that are competing for lucrative humanitarian and development contracts. Many donors of aid motives are not for the needs of the people that are in need of these resources but are aligned with domestic considerations or international interests that are a world apart from the specific needs of those people affected by disaster or emergency. 10 The famine of North Korea in 1998 is a perfect example of conditional humanitarian aid, and how it is driven not by humanitarian principle, but a clever tool for geopolitical gains.The North Korean famine shows how humanitarian aid today has changed to become an important political tool in contrast to two decades ago whereby any humanitarian crisis was sidelined because of the geopolitical context of the cold war. 9 In times of famine it is important t o emphasize that the likelihood of a starving nation to accept emergency aid under any condition means that conditional aid can be seen as a political tool to establish a diplomatic, political or even military presence under the disguise of humanitarian aid. 11 This was such the case in the North Korean famine.From 1995-1998 North Korea was hit by a series of national disasters that resulted in a large scale famine. Rough estimates say that by 1998 North Korea lacked about two million tones of grain needed to feed its people. According to the world food program the rate of moderate to severe malnutrition of children in North Korea was about sixty per cent by mid 1998. 12 By mid 1998 the United States and South Korea realized that it could use the famine in North Korea as a political tool to penetrate the isolated North and offer aid on terms that benefited themselves.The United States and South Korea offered food aid on terms that North Korea had to enter into reunification and peac e talks and not break out of the 1994 agreed framework designed to end the North’s nuclear program. If the North refused to adhere to these conditions, no food aid would be given. Another condition was that the shipments of aid would be covered with stickers and logos from the United States and South Korea. Although this may seem insignificant it was a huge propaganda tool for the donor powers.It could serve as an undermining of the North Korean regime that had told its people for decades that the South and the United States were undermining their nation. 13 The slow response to give aid put the US and South Korea in a strategically advantageous situation to further its political goals. If North Korea didn’t accept United States conditions the famine would continue and the possibility of an internal break down of the state increased. If the North accepted the terms on which the donors offered, the aid functioned as an important political tool.It meant North Korea had t o give concessions and that the people of North Korea could see the failure of its regime and the kindness of the western powers that they had been told for so long were there enemies. Thus, humanitarian aid was not offered to support those people starving, but was rather used as a political tool to further the donor states own political agendas under the guise of humanitarian aid. In actual fact, the aid was so far removed from what humanitarian aid in its purest sense really was. 4 So much was this aid seen as a political tool that in 1998 the South Korean government banned non governmental groups from fundraising to support those starving in the North. 15 This is undeniable proof that political aims were the underlying focus of the ‘conditional aid’ rather than aid to help the starving North Korean population that was stricken by famine. The key challenges to famine prevention today are huge and include a combination of factors that are not easily unchanged.First of all, humanitarian aid is now such a lucrative industry that competition for contracts means that organizations are in constant competition for finite resources, the resources that are needed in times when famine strikes. Secondly, as long as foreign militaries carry out some humanitarian aid then the adherence to neutrality and impartiality that is so fundamental to the aid process is essentially undermined. Military goals will always be aligned alongside objectives that are not necessarily aligned with those of starving people.And finally, as long as conditional aid is used as a political tool, then humanitarian aid faces huge challenges. In a time when people need aid, if governments are focused on geopolitical goals and furthering their own agendas rather than helping those in times of famine then humanitarian aid is essentially a guise and is merely a political tool for donor governments to use to further their own agendas. 1 Robinson, J. (2003) ‘Postcolonising geography: tactics and pitfalls' Singapore Journal of Tropical Geography p273 2 When does aid conditionally work?Gabriella R Montinola. Studies in comparative international development, vol 45, 2010, pp 358-362 3 ibid (same ref as above) 4 International Human Crisis: two decades before and two decades beyond. Randolf C Kent. International Affairs Volume 80, issie 5, 2004 p 851-870 5 Aaltola, M. – Responding to emergencies and fostering development: the dilemmas of humanitarian aid Third world planning review. – Liverpool University Press. – 0142-7849   Vol. 22(1), 2000, p. 111-112 6 International Human Crisis: two decades before and two decades beyond. Randolf C Kent.International Affairs Volume 80, issie 5, 2004 pp 851-870 7International Human Crisis: two decades before and two decades beyond. Randolf C Kent. International Affairs Volume 80, issie 5, 2004 851-870 8 Reshaping humanitarian assistance in the twenty first century. Tim O’Dempsey and Barry Munslow. Pro gress in Development Studies 2009 9:1 pp 1-2 9 Randolf C Kent. Pp 851-870 10 Aaltola, M. – Responding to emergencies and fostering development: the dilemmas of humanitarian aid Third world planning review. – Liverpool University Press. – 0142-7849   Vol. 22(1), 2000, p. 111-112 11. G.M Guess. The Politics of United States Foreign Aid, London: Croom Helm, 1987, p3 12 Lischer, Sarah Kenyon. Dangerous Sanctuaries:  Refugee Camps, Civil War, And the Dilemmas of Humanitarian Aid. Cornwell University Press. 2006. Pp 3-9 13 Emergency Food Aid as a Means of Political Persuasion in the North Korean Famine Mika Aaltola Third World Quarterly  , Vol. 20, No. 2 (Apr. , 1999), p 374 14 Emergency Food Aid as a Means of Political Persuasion in the North Korean Famine Mika Aaltola Third World Quarterly  , Vol. 20, No. 2 (Apr. , 1999), pp 372- 386 15 Korean Herald, 13 May, 1997

Monday, July 29, 2019

Struggles inside the queer community and related struggles in a larger Essay

Struggles inside the queer community and related struggles in a larger society - Essay Example This "misunderstanding ourselves" is necessary to really know what we think of ourselves rather assuming what we are compelled to think by the community. This urge to know ourselves lead to struggle within and resultantly in the community we are living in. The feeling of being "furthest from oneself" leads a person to new grounds which are taboo for the community. Homosexuality is one of such grounds. "Attitudes toward homosexuality are generally in flux, partially as a result of increased political activism and efforts by homosexuals to be seen not as aberrant personalities but as differing from "normal" individuals only in their sexual orientation." (Encyclopedia Britanica, 2007) Still the comfort with which queers would like to move in most of the societies is a far fetched dream. When a queer is subjected to opposition from the community he balks under the pressure and either forfeit his inner desires or tailor them accordingly. Myers compare this with Foucault's concept of reverse discourse and says "the regulation of homosexuality has provoked unanticipated responses and counter representations, unforeseen pictures of difference and self conscious staging of deviance" (Myer 10) Therefore, queers are depicted as someone "different" and due to such an identity most of them tried to deviate from their inner call and join back in the main stream of community.

Sunday, July 28, 2019

SWOT Analysis Coursework Example | Topics and Well Written Essays - 250 words

SWOT Analysis - Coursework Example Walmart also has a very competitive pricing pattern (Kummer). By promoting locally produced food items, they are saving on the side of transportation and middle men and are able to place smaller orders (Kummer). Weakness The prices are not really low but the company is only creating a perception that they are low with the slogan, â€Å"always low prices† (Zenith). It has been pointed out that 80% to 85% of Wal-Mart’s items are more expensive† (Zenith). There has been allegation that the quality of goods sold at Walmart is poor and the service is also not up to the expectations of the customers (Zenith). Another bad reputation of the company has been that â€Å"Wal-mart’s buying practices injure its vendors† (Zenith). Walmart’s poor services to its workers had come under criticism many a times (Zenith). The conventional â€Å"business model and organizational rigidity† of Wal-Mart has been another weakness of this company (Zenith). Oppor tunities It has been an advantage of Walmart that, â€Å"instead of establishing stores near major urban centers where the population concentrates, Wal-Mart expands from its Arkansas base by constructing new stores that are strategically located near distribution centers and in smaller towns† (Rao, Qingyuan yue and Ingram, 7).

Saturday, July 27, 2019

Bus. Research and Writing Essay Example | Topics and Well Written Essays - 2500 words

Bus. Research and Writing - Essay Example Selecting the best form of financing is critical for the success of any business venture and this should be guided by the amount required. Ideally, this paper recommends that the business should settle on the cheapest and most available form of financing. They should also establish the amount required before settling on a particular source of financing. Moreover, when seeking debt financing the business should ensure that all the paperwork must be made available. These may include the business plan, bank statements, business history and references. Most business start their operations before the owners decide to expand. This can be done by establishing new ventures or expanding. Some of the new ventures that can be explored include developing new product lines, creating and sustaining a presence in a new geographical area and establishing a new market. Each one of the ventures requires funds in order to be successful. The funds that are required by businesses, organizations or enterp rises either to start up new ventures or to bolster already existing ventures may be acquired through external sources or internal sources. The sources of capital usually depend on whether the business or organization is at an early stage of rapid expansion. The first source of capital for any corporation is usually the retained profits. The corporation has to approximate the amount of money required. The retained profits are the profits that are kept by the corporation rather than being distributed as dividends to the shareholders. The profits are retained in the organization and invested in new business ventures. A business can choose to opt for debt financing. This form of financing allows the borrower to use the money borrowed for a specified period provided they repay the money with some interest. In most instances, the terms of the loan are usually outlined in the loan agreement. To ensure that the repayment of the loan is guaranteed, the loan may be backed by â€Å"collatera l† for the sake of a secured loan or â€Å"cash flow† for the sake of unsecured loans. A corporation can raise capital through the sale of shares. Essentially, shares relate to public limited companies or private limited companies. â€Å"Shares† are self-explanatory and once one buys a shares form a particular company, they in turn own a share of the company. Shares are ideal forms of funding majorly because they are non-redeemable, that is, they form a permanent source of finance and they are usually non-refundable. 2. Introduction Most organizations seek to expand their operations by exploring the prospects of undertaking new ventures. Some of the ventures may include the production of new product line, entry into a new geographical area or the establishment of a new market. With the primary aim of expanding its operations, our firm is intending to create a presence in a new geographical area. For this to happen we will definitely require two considerable sums of money. Some of the notable sources of financing the business may include financing by debt, engaging private investors/angels, selling of shares, early stage venture capital, and expansion stage venture capital (Matthew2011). The companies that are in their early stages may receive their financing from the founders and this may be supplemented by some other financing from friends and family. The founders may also seek financing from other financial institutions but this is usually

Friday, July 26, 2019

Health Problems among Teens and Young Adults Assignment

Health Problems among Teens and Young Adults - Assignment Example Consequently, family support is very vital as it allows the concerned persons to make appropriate decisions. Teenagers and young adults are strongly accustomed to social associations with their peers. In case their peers cannot make healthy decisions or indulge in activities that are against the law like drug abuse, they will also tend to develop risk-taking behaviors. Specific attention is directed to the wellbeing of teenagers brought up in single-parent families. It has been discovered that such children do not fare well compared to those coming from families with both parents (Amato &Fowler, 2002). Researches have always indicated that such teenagers and young adults tend to experience health or academic problems. These might change their mindset and make them think of unhealthy decisions like taking alcohol or drugs to reduce the levels of stress. Teenagers and young adults form and join groups for different reasons. For instance, some may decide to join the groups because they want to have a sense of family. They develop feelings that they are not receiving sufficient consideration at home. Moreover, children raised by single mothers might also search for a father figure from the groups (Sanchez-Jankowski, 2003). Negative behavior increases when the teens try to copy their peers in the group. For instance, when most of the members in the group are smokers, one would also be tempted to smoke in order to act in a similar manner. With time, this leads to addiction. Teenagers tend to get involved in gang violence, drug trade, drug abuse, and other unlawful activities due to the social and economic status of the marginal population in United States (Vigil, 2003). This becomes dangerous to the health. For instance, drug abuse or smoking always comes with serious health problems. Such teenagers will not afford and access quality health care. Other issues affecting minority groups that

Thursday, July 25, 2019

Participation 2 Essay Example | Topics and Well Written Essays - 250 words

Participation 2 - Essay Example Outlines set the whole process and indicate whether the essay is complete or not. Outlines are a roadmap for the cohesive, constructive and concise progression of the topic (read thesis statement) that writer wants to stress upon. Freehand essay writing means doing a construction of a building just to break and alter it again and again realizing that it has not shaped as per the original idea. Outlines are clear reflections of writer’s idea. They draw a clear picture in the mind as to how one wants to progress with the given topic. Though ideas are in mind but outlines are laid down on a piece of paper. It is always easy and less exhausting to make changes on outlines in the beginning itself – before finishing on a draft of paper. When the essay emerges following precise and clear outlines, it is an indication that nothing is omitted in preparing the essay. That is a measure of its completeness and such essay is likely to create a lasting impact and inquisitiveness in t he minds of readers. Reference How to Write an Essay, online from http://www1.aucegypt.edu/academic/writers/ [Accessed on 6/25/2011]

Research paper Example | Topics and Well Written Essays - 250 words

Research Paper Example Our subject belongs to the last stage, teenager. The physical size is normal for the Asian race. His vital signs are presumed normal since he was dancing with his friends at the park. Their group is composed of dance enthusiasts. I cannot assume about his organ development. But looking at his physically, nothing seemed to be abnormal. He dances well and this shows that his vision and hearing are refined. The subject’s developmental stage showed his capability to function normally. Piaget’s Stages of Cognitive Development The Swiss biologist and psychologist Jean Piaget observed his children and in the end developed a four-stage model of how the mind processes new information met. He speculated that children improve through 4 stages and they all do in the same order. The four stages of Piaget’s cognitive development include sensorimotor stage, preoperational stage, concrete operations, and formal operations. Our subject belongs to the formal operations stage which includes ages 11 to 15. The cognition is in its final form. Our subject no longer needs concrete objects to make reasonable and logical judgments. He is already competent of hypothetical and deductive reasoning.

Wednesday, July 24, 2019

LPN to RN transition Essay Example | Topics and Well Written Essays - 1250 words

LPN to RN transition - Essay Example LPNs perform the role of providing the basic nursing care to their patients. This mainly involves monitoring of patient’s health, providing basic care like inserting catheters or changing bandages etc., and discussing and reporting patients’ health concerns to RNs or doctors. RNs on the other hand perform enhanced functions like recording patients’ symptoms and medical histories, setting up care plans for patients, assistance in performing diagnostic tests and administering medications and educating patients and their families. Additionally, they have the responsibility to arrange consultations with doctors and also with professionals of other disciplines in a given health care setup. The transition from the role of LPN to RN demands that a better understanding of the ‘family as unit’ is developed. With the improvement in health care delivery services, the role of family in the overall process of care continues to play a critical role (Duncan & DePew, 2011). A registered nurse is therefore expected to take into account the function of the family to get an insight into the health status of her patient. Since the focus of job shifts from mere reporting to analysis of clinical situations, the professional role of RN is attributed to the development of more enhanced analytical skills. The habit of thinking critically, to derive useful results from clinical information is essential, if the role of a RN is to be performed effectively. It should be understood that transition is divided into three distinct phases: endings, neutral zone and beginnings (Harrington & Terry, 2009). For a transition to begin, it is essential that the connection with a previously ongoing process be brought to an end; this may equate to separation from a previously established social condition, losing older identity, disenchantment and disorientation. This follows a condition when the person in transition is ‘in limbo’; this allows renewal and

Tuesday, July 23, 2019

Incident Response, Business Continuity and Disaster Recovery Plans Case Study

Incident Response, Business Continuity and Disaster Recovery Plans - Case Study Example In addition, it is also compulsory to identify assets that may not limit to employees, information, hardware/network devices, financials, legal counsel, security and locations for facilitating BCP. The BCP increases the image of an organization among the employees, shareholders and consumers through representing a positive approach. Importantly, an effective BCP recognizes the link between human and assets. 15 Organizations are always at probable catastrophe for instances tornadoes, floods, blizzards, earthquakes and fire mishaps. However these are known natural disasters but other risks include power and energy distractions, sabotage, cyber assaults, hackers, infrastructure, transportation and security failure. Moreover, ecological disasters for example pollution and harmful materials spills are also a possible risk for organizations. Therefore, generating BCP ensures any organization is able to resolve any of the above crises. 16 The data related to the services or the goods that need to be delivered can be obtained through the mission statement of the organization. Moreover, the legal and delivering specifications of the products or the services can also be achieved via mission statement. The objective of the IT department states mission-critical functions and services for the organization. (this is my own constructed mission statement) 16 As the I.T department has not implemented a risk management and I.T service management framework, we were not able to find the required answers. (I have assumed these requirements, as there is no case study) 17 The additional expenses must be determined if the functions or procedures related to the business are untreatable. Moreover, this should also be taken into consideration that for the duration of time the functions can be operated without the hiring of additional staff. Similarly, the government regulations  regarding the fines, penalties, breaches must be determined and factored into the BCP budget. Risk management framework address risks that can be mitigated, transferred, void or accepted.

Monday, July 22, 2019

A comparison between the 1920s and the 1980s Essay Example for Free

A comparison between the 1920s and the 1980s Essay The 1920s and 1980s are similar in many ways. Their similarities are social, economical, and political. Some of the similarities between the decades are Prohibition and the War on Drugs, the Stock Market Crash of 1929 and 1987, and the influence of music on society. Prohibition was passed as the 18th amendment, that importing, exporting, transporting, and manufacturing of alcohol was to be put to an end. Prohibition did not achieve its goals. Instead, it added to the problems that it intended to solve. It was expected that the decrease in alcohol consumption would in turn reduce crime, poverty, death rates, improve the economy, and the quality of life. As a result of the lack of enforcement of the Prohibition Act and the creation of an illegal industry of bootlegging an increase in crime transpired. The Prohibitionists hoped that the Volstead Act would decrease drunkenness in America and thereby decrease the crime rate, especially in large cities. Although towards the beginning of Prohibition this purpose seemed to be fulfilled, the crime rate soon skyrocketed to nearly twice that of the pre-prohibition period. In large cities the homicide went from 5.6 (per 100,000 population) in the pre-prohibition period, to nearly 10 (per 100,000 population) during prohibition, nearly a 78 percent increase. Serious crimes, such as homicides, assault, and battery, increased nearly 13 percent, while other crimes involving victims increased 9 percent. Many supporters of prohibition argued that the crime rate decreased. This is true if one is examining only minor crimes, such as swearing, mischief, and vagrancy, which did in fact decrease due to prohibition. The major crimes, however, such as homicides, and burglaries, increased 24 percent between 1920 and 1921. In addition, the number of federal convicts over the course of the prohibition period increased 561 percent (Hanson 31-34). After Prohibition was deemed a failure, the National Prohibition Act, or Volstead Act, was passed. The Volstead Act was put into place to determine specific laws and methods of enforcement; the Federal Prohibition Bureau was formulated in order to see that the Volstead Act was enforced. Nevertheless, bootleggers and commoners alike flagrantly violated these laws. Bootleggers  smuggled liquor from oversees and Canada, stole it from government warehouses, and produced their own. Many people hid their liquor in hip flasks, false books, hollow canes, and anything else they could find (Hanson 29). Although one would think that prohibition would enhance the difficulty of obtaining alcohol, liquor was actually very easy to acquire. The bootlegging business was so immense that customers could easily obtain alcohol by simply walking down almost any street. Replacing saloons, which were all shut down at the start of prohibition, were illegal speak-easies. These businesses, hidden in basements, office buildings, and anywhere that could be found, admitted only those with membership cards, and had the most modern alarm systems to avoid being shut down (Hanson 28). In the beginning of the 1980s drugs begin to spread rapidly through inner cities because of the easy accessibility. In 1982 the National Survey on Drug Abuse found 22 million Americans had used cocaine one time in their life. It became the choice of drug for the famous and successful; professional athletes, celebrities in entertainment, lawyers, university professors, and Wall Street brokers. It became labeled as the champagne of drugs. Many people took to the popular form of cocaine known as crack, which could be disguised as smoking a cigarette even though it was incredibly addicting. People could also acquire crack cocaine easily and inexpensively. Dealers would disguise regular homes and apartments as crack houses where a user could easily obtain their fix. In the 1980s Reagan had a similar problem with the war on drugs. Inner city violence increased due to gangs fighting for territory. It was also an underlying cause in the rise of domestic violence, child abuse, homelessness, violence in school, and dropout rates. In 1986 Anti-Drug Abuse Act was passed in effort to stop the drug crisis. The Act was aimed towards accountability and zero-tolerance towards addicts.. Critics accused the government of spending too much on enforcing rather than educating and treatment. Its effects were similar to those of Prohibition so in 1988 the act was redone (Bondi 395). It was almost impossible for government agencies to stop the smuggling of drugs into the U.S. It was done most commonly by boat but dealers would often find new ways to get their contraband past drug sniffing dogs and the border patrol at the Mexico border. When Reagans term ended and George W. Bush took office he gave his inaugural speech in which he said, When the first cocaine was smuggled in on a ship, it may as well have been a deadly bacteria, so much has it hurt the body, the soul of our country. There is much to be done and much to be said, but take my word for it: This scourge will stop. (Bondi 396). By the end of the 1920s the Stock Market was flourishing. In 1928 the New York Stock Exchange was trading at about six to seven million shares a day. Many economists warned about the dangers of rising prices. People disregarded this information and speculation increased about the Stock Market being the easy way to make money. People invested their lifes savings. Banks too invested large sums of money into the Stock Market. On Thursday, October 24, 1929, the bottom began to fall out. Prices dropped precipitously as more and more investors tried to sell their holdings. By the end of the day, the New York Stock Exchange had lost four billion dollars, and it took exchange clerks until five oclock AM the next day to clear all the transactions. By the following Monday, the realization of what had happened began to sink in, and a full-blown panic ensued. Thousands of investors, many of them ordinary working people, not serious players were financially ruined. By the end of the year, stock values had dropped by fifteen billion dollars (Hanson 67). Although the crash of 1929 was devastating on the economy, the crash on October 19, 1987,Black Monday, was more devastating be cause the Dow Jones Industrial Average plunged 508.32 points, losing 22.6% of its total value. The fall far surpassed the one-day loss of 12.9% that began the great stock market crash of 1929. The Dows 1987 fall also triggered panic selling and similar drops in stock markets worldwide. What made this market break extraordinary was the speed with which prices fell, the unprecedented volume  of trading and the consequent threat to the financial system. Both crashes were significant because they took a devastating toll on the economy. This led to the loss of jobs and shutting down of companies. Although much had been done after the crash of 1929, such as making Paper Companies illegal, it could not prevent the devastating losses of 1987 (Bondi 301). In the early 1920s times were prosperous and people begin to look for a new form of entertainment. It was the commercial dawn of radio, and the continued popularity of the phonograph. Neither invention was new. Radio had been experimented with as early as 1896, and Marconi stations lined the coasts before the Great War. The 20s saw the demise of the wax cylinder recorder (Edison manufactured them into the 20s), and the rise of the disk that was to stay with us in some form until the CD. Music became widely available for the average person because of the availability of phonographs and the accessibility to the radio. Things like the Charleston and dance marathons became popular do to the music that could be played at any given time. Jazz and blues also became big because of musicians like Louis Armstrong, Billie Holiday, Sam Morgan, and Oscar Popa Celestin (Hanson 25).. On October 1, 1982 Sony introduced the CDP-101, the first Compact Disc audio CD player. This new technological advance sparked the development of a new type of music known as New Wave. Like Jazz, it began to gain popularity in New York City. The music became increasingly popular and began the attraction of people to nightclubs, such as CGBGs (Bondi 135). Despite the differences in technology and standards, the 1920s and 1980s were very similar. When it comes down to it, history really does repeat itself in many ways. Historians can only inform us as to what we can expect of the future and what we can do to prevent such devastating events. Works Cited Bondi, Victor. American Decades 1980 1989. Washington D.C. : Amanly, Inc. Book 1996 Hanson, Erica. Through the Decades The 1920s. San Diego: Lucent Books, Inc. 1999

Sunday, July 21, 2019

Category Specific Impairments in Recognition and Naming

Category Specific Impairments in Recognition and Naming Category specific impairments in recognition and naming: fact or not? - Question: What’s black and white and looks like a horse? Answer: Hmmmmm†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦..a black and white horse? Question: What do you call a guy who can’t tell the difference between an apple and a barn? Answer: Uhhhh.†¦ what’s the name for a thing with two legs, two arms and a head and, well, they look familiar†¦ they are, like, everywhere†¦ oh, I give up†¦ - Introduction to a Both Sides of an Issue In the above riddles the answers may seem strikingly obvious almost anyone. That is, anyone except what is termed â€Å"semantic impairments† in which there is a marked disability of the individual to pair up the meaning of what they see (visual semantic disorders), hear (auditory semantic disorders) or even touch (tactile semantic disorders) with the ability to identify the object. This represents essentially a disconnection between what a person knows and what they can readily express. As there are numerous specific documented cases such as those studied in Capitani, Laiacona, Mahon Caramazza’s review of 79 patients for the purpose of assessing the ‘division’ line of the impairment with regards to specific semantic categories such as â€Å"animate/living† and â€Å"inanimate/artifact†-type items (Capitani, Laiacona, Mahon, Caramazza 2003, p.213). In a different setting, Tyler and Moss present the interesting case of â€Å"DrO†, a 61-year old male who suffered particular deficits with regard to abstract words (i.e., love, hope, trust vs. concrete words such as bird, cup, etc.) following a cerebro-vascular incident. This study thoroughly details a number of testing procedures to compare his abilities to a group of peers as well as significant data in regards to his perceptual acuities such as hearing and vision. In their investigation, these utilize DrO as a literal test bed against the various theories regarding ‘traditional’ category-specific deficit disorders and the way that words and ideas might be encoded into memory. In the end, though DrO looks like a â€Å"classic† case of category-specific deficit, the researcher conclude that it is more likely to due an auditory ‘input’ problem in which they endorse the model proposed by Plaut Shallice in which concrete words are posited to ha ve greater semantic features, that is, they are easier to ‘grab on to’, and thus typically evidence faster recall and recognition (Tyler Moss, 1997, p. 315). Though it seems clear that cases exist which exhibit the phenomena of category-specific disorders, as the above example of the case of DrO indicates, things may not always be what they seem as it is not necessarily the memory that is at fault but more likely the ‘connections’ that allow one to have full mastery of the information stored in one’s own brain. In Support of Category Specific Disorders†¦ To begin, one must understand that the brain is essentially a storage bin of some sort for intangible inputs and outputs. The real trick of the matter is to know the nature of the bins†¦ specifically, how are they divided and how do they function? What is the hierarchy or taxonomy of stored sensory information? Are experiences broken down into the different sensory components? Is it stored chronologically? Most of these eclipse the current state of knowledge yet, by carefully observing the output, an idea can be formed about how the system might work. It is by these means that the idea of a category-specific impairment came to be when researchers noted, in ‘normal’ subjects, a difference in picture identification between natural objects and other artifacts suggesting that memories were stored or accessed according to some categorical hierarchy (Humphreys, Price Riddoch, 1999, p.118). Issues such as these manifest themselves in the classic ‘naming difficultyâ €™ tests such as the patient who was presented with a picture of celery and responded, â€Å"†¦it is green and you have it as a main course†¦ I dip it in salt†. This type of response, in which the subject demonstrated extensive knowledge about the object, was heard numerous times as the issue of category-specific impairment certainly seemed to be a logical explanation that fit the theory of memory in which data is separated and stored in logical â€Å"bins† to retrieve on cue later (Humphreys, Price Riddoch, 1999, p.122). Operating under the assumption that such a disorder exists, one interesting aspect that the categories while logically infinite seem to limit themselves to a comparatively very few key groups: biological categories (possibly subdivided into ‘animals’), food (often fruits vegetables) and artifact-type items with musical instruments a popular sub-category (Capitani, et al. 2003, pp. 225, 235-244). In terms of the type of impairment reflecting the proposed model, the most frequently occurring impairment has exhibits a disability to retrieve information related to the properties of an object or its associative knowledge of the item in a given category (Capitani, et al. 2003, pp. 228-229). One potential rationale for the division of categories is the within-category similarity of items. For example, categories such as â€Å"musical instruments† or â€Å"animals† have a greater perceived degree of within group similarity than categories such as â€Å"jewelryâ⠂¬  or â€Å"beverages†. Accordingly, this same justification can be utilized to rationalize the breakdown of particularly large heterogeneous categories such as â€Å"animate/living† (Sartori Lombardi, 2004, pp. 441-442, 446). Additional insights are provided when one observes impairments in items that have both â€Å"functional† and â€Å"perceptual† qualities such as would be the case in which deficits were observed in both musical instruments and living objects, thus defying the heretofore idea that deficits were limited to semantic ‘categories’. Based upon these findings, it has been hypothesized that the perspective of perceptual attributes are primary memory sorting parameters and then category-specific attributes (i.e., living vs. non-living) play a potential secondary role (Devline et al. 1998, pp. 77-78). Also, the idea that categories such as â€Å"living things† are stored/recalled by perceptual attributes while inanimate objects are stored/recalled by â€Å"functional† attributes, thereby establishing a fit for perceptual and functional priorities (Berndt, 2003 , p. 101). A popular understanding of the brain is that functions are laid out ‘topographically’ such that differing item attributes are focused in different physical locations in the cortex. Though it may seem overly simplistic, there is research to support a topographical model as evidenced by imaging studies that have demonstrated a different location of activity for living versus non-living items (Humphreys Riddoch, 2003, p. 263). Consistent with the topographical view is the â€Å"sensory/functional theory† one of the early hypothesis on how memory ‘works’ with regard to category-specific impairments. According to this theory, experiential data is organized in the brain by sensory modality and, secondly, that the primary differentiation in stimuli is determined by its sensory or perceptual properties and by its functional attributes (Caramazza Shelton, 1998, p. 4). Despite some support, a problem with these models occurs in the cases of non-focal, widely distributed legions such as those produced by Alzheimer’s or Herpes simplex encephalitis patients have produced the same type of category-specific deficit as would be expected with a highly localized lesion (Devline et al. 1998, p. 78). In attempting to explain cases from this theoretical perspective, category-specific disorder cases similar to DrO in which the problem was believed to be an ‘input’ or ‘processing’ failure, a key factor is that the impairment should not be mode-specific in that the issue should reside at the â€Å"semantic† node from which all inputs and outputs pass. That being the case, for a case to be a ‘real’ category-specific disorder, the problem should be isolated to instances in which the stimulus is presented not just in a solely audible or visual form (Caramazza Shelton, 1998, p. 13). Explaining Things Based on the existence of category-specific disorder, Humphreys and Riddoch began to seek to postulate a model that would explain the myriad complexities of both normal and deviate cases. Extending from the information presented previously on the division of categories, researchers suggest that perceptual and functional memory associations are recalled by correlated perceptual features. For example, â€Å"has a trunk† is likely to be highly correlated with an elephant whereas â€Å"has four legs†, while quite accurate, does not exude the same strength as the previous descriptor (Sartori Lombardi, 2004, p. 439; Humphreys Riddoch, 2003, p.265). This model is referred to as the â€Å"distributed semantics† model as a consequence of the features of memory being stored in numerous ‘places’. Taking this model a step further, Humphrey and Riddoch proffer the Hierarchical Interactive Theory (HIT) the allows the use of a flexible (but fairly standard) metho d of categorization by individual. In this model, there is a hierarch of processing levels that include, â€Å"the structural description system through to the semantic representations [functional attributes]†¦ or names†. With such a structure, one the means by which it differs from the distributed semantics or other models is that is acknowledges ‘up-front’ that processing can occur at level rather than a fixed ‘processing spot’ (Humphreys Riddoch, 2003, pp.266-267). In summary, though memory is, at best, only a partially understood concept, the existence of disorders such as category-specific impairments provide researchers with both a challenge and the key to solving a portion of the puzzle. By understanding the dynamics of what can happen when the system is ‘working right’, one has the opportunity observe the differences. Works Consulted Capatani, E., Laiacona, M., Mahon, B. Caramazza,A. (2003). What are the Facts of Semantic Category-Specific Deficits? A Critical Review of the Clinical Evidence. Cognitive Neuropsychology, 20 (3,4,5,6), 213-261. Caramazza, A. Shelton, J. (1998). Domain-Specific Knowledge Systems in the Brain: The Animate-Inanimate Distinction. Journal of Cognitive Neuroscience, 10 (1), 1-34. Devlin, J., Gonnerman, L., Andersen., E., Seidenberg, M. (1998). Category-Spefic Semantic Deficits in Focal and Widespread Brain Damage: A Computational Account. Journal of Cognitive Neuroscience, 10 (1), 77-94. Humphreys, G., Riddoch, M. (2003). A Case Series Analysis of â€Å"Category-Specific† Deficits of Living Things: The HIT Account. Cognitive Neuropsychology, 20 (3,4,5,6), 263-306. Humphreys, G., Price, C. Riddoch, M. (1999). From Objects to Names: A Cognitive Neuroscience Approach. Psychological Research, (62), pp. 118-130. Sartori, G. Lombardi, L. (2004). Semantic Relevance and Semantic Disorders. Journal of Cognitive Neuroscience, 16 (3), 439-452. Sloan-Berndt, R. (2003). Lexical-Semantic Aspects of Language Disorders. In K. Heilman E. Valenstein (Eds.), Clinical Neuroscience, 4th Edition. (pp. 92-107). New York, New York: Oxford University Press. Tyler, L. Moss, H. (1997). Imageability and Category-specificity. Cognitive Neuropsychology, 14 (2), 293-318.

Geometric Morphometrics Analysis of Fish

Geometric Morphometrics Analysis of Fish Use of Fish Geometric Morphometric Markers for Characterizing Shape Variations of Selected Fishes: Family Leiognathidae in the Marine Waters of Zamboanga City, Western Mindanao, Philippines Roldan T. Echem Abstract [AU1] In this investigation, geometric morphometric analysis was used to determine the extent and degree of morphological diversity within and among four species of fishes under Family Leiognathidae and one out-group under Family Menidae collected in the marine waters of Zambonaga City. A total of 200 of fish samples, these include Leiognathus equulus, L. fasciatus, L. bindus, L. daura and one out-group Mene maculata which showed evolution and diversification of L. fasciatus, were subjected to various geometric morphometric analyses. Fish samples were scanned at uniform 400 dpi and the resulting images were binarized using SCIONIMAGE, an image analysis and processing software. The x and y coordinates of a total of 15 landmark points were collected from around the contour of the fish samples. For the landmark analyses, the 15 landmark coefficients were used as morphometric variables for multivariate and cluster analyses in order to assess its shape. Procrustes fitting of the landmark points allowed for the comparison of the various shapes of the fish samples. The resultant shape variables were analyze to determine differences in form, contour and profile of the fishes using geometric thin-plate spline grids (TPS), partial warps (PW) and relative warps (RW). Results of this study showed variations in the various species of fishes under Family Leiognathidae and within each species. Significant differences were found among species and these shape changes are probably related to differences in habitat and feeding habits among the species. Keywords: Biology, Leiognathidae, Geometric morphometrics, Partial-warp scores, Multivariate  Analysis, Western Mindanao, Philippines Introduction [AU2] Leiognathids are schooling, bacterially bioluminescent fishes abundant in coastal bay and estuarine environments throughout the Philippine Islands (Borja, 1978)[AU3]. The family is readily divided into three genera namely; Gazza, Leiognathus and Secutor, but due to the wide geographical distribution of the family and morphological similarity of the species within genus, much confusion presently exists over identification of the 20 to 30 species (Borja, 1978; James, 1985)[AU4]. Menidae (moonfishes) are a morphologically distinctive group represented by a single recent and numerous fossil species. Members of this family are easily recognized by their laterally compressed disc-like bodies, dorsally oriented mouth large, distinctly shaped maxillae and long ascending processes of the premaxillae, anteroposteriorly elongated dorsal and anal fins with relatively short rays, and narrow pelvic fins with a compressed and greatly elongated second ray. This unique morphology is conserved over th e known fossil history of this group, and characterizes the only extant member of Menidae, Mene maculata (Bloch and Schneider, 1801)[AU5]. This recent form is found throughout the Indo-Pacific, ranging from the eastern coast of Africa, India, the Philippines, northern Australia, and Japan. The phylogenetic affinities of Mene have been the subject of some historical debate. Morphological characters have been commonly used in fisheries biology to measure discreteness and relationships among various taxonomic categories (Bookstein, 1991). However, the major limitation of morphological characters at the intra-specific level is that phenotypic variation is not directly under genetic control but subjected to environmental modification. Blake (1983) stated that the phenotypic plasticity of fish allows them to respond adaptively to environmental change by modification in their physiology and behavior which leads to changes in their morphology, reproduction or survival that mitigate the effects of environmental variation. Such phenotypic adaptations do not necessarily result in genetic changes in the population, and thus the detection of such phenotypic differences among populations cannot usually be taken as evidence of genetic differentiation. According to Sparks (2004) that environmentally induced phenotypic variation may have advantages in the stock identif ication, especially when the time is insufficient for significant genetic differentiation to accumulate among populations. A fundamental problem facing systematists and comparative biologists is that of deciding just how two separate phenotypes are different. Geometrics morphometric analyses can thus be a first step in investigating the stock structure of species with large population sizes of Leiognathids and Menids. No study so far has examined the relation of body form in these groups of fishes using the methods of geometric morphometrics analyses of landmark data. Morphometric studies are based on a set of measurements which represent size and shape variation and are continuous data. The geometric morphometric analysis covers the entire fish in a uniform network, and theoretically should increase the likelihood of extracting morphometric differences within and between species (Rohlf, 1990). There is evidence that geometric morophometric analysis is much more powerful in describing morphological variation between closely related fish taxa than traditional measurements (Turan, 1998). When combined with multivariate statistical procedures, they offer the most powerful tool for testing and graphically displaying differences in shape (Loy et al. 1993, Rohlf and Marcus 1993, Rohlf et al. 1996). The main objective of this paper was to use geometric morphometric analyses to determine the extent and degree of morphological diversity within and among four species of fishes under Family Leiognathidae and one out-group under family Menidae collected in the marine waters of Zamboanga City. Second, to determined patterns of significant differentiation and its biological implications, and third, to analyzed the taxonomic classification of the four species fishes belonging to family leiognathidae and one out-group under family menidae based on their morphological characters. Method [AU6] A total of 200 of fish samples, these include Leiognathus equulus, L. fasciatus, L. bindus, L. daura and one out-group M. maculataan evolution and diversification of L. fasciatus, were subjected to various geometric morphometric analyses (Figure 1). Figure 1. Fish samples under family Leiognathidae and family Menidae. Geometric morphometric methods usually begin with digitized images. The fish samples were scanned at uniform 400 dpi and the resulting images were binarized using SCIONIMAGE, an image analysis and processing software. The x and y coordinates of a total of 15 landmark points were identified and collected from around the contour of the fish samples (Figure 2). Figure 2. Relative positions of all landmarks assigned on the body of the fishes. landmark’s  description (Leiognathus equulus in the example): (1) snout tip; (2) nostrils;  (3) anterior and posterior;(4) insertion of the dorsal fin; (5) insertion of the second  dorsal fin;(6) origin of the caudal fin;(7) middle of the caudal fin;(8) insertion of the  caudal fin;(9) insertion of the anal fin;(10) origin of the anal fin;(11) origin of  Ã‚  the pelvic fin;(12) origin of pectoral fin;(13) posteriormost margin of the  operculum;(14) junction between maxilla and upper lip;(15) middle of the eye Then contours of the fish samples were then summarized as chain codes. For the landmark analyses, the 15 landmark coefficients were used as morphometric variables for multivariate statistical analyses and hierarchical cluster analyses in order to assess the shape. To remove all information unrelated to shape, a generalized orthogonal least-squares Procrustes (GPA) superimposition (translation, scaling and rotation) described in Rohlf and Slice (1990) was conducted on the sets of landmarks. Procrustes fitting of the landmark points allowed for the comparison of the various shapes of the fish samples. Consensus configurations of each species were subjected to thin-plate spline (TPS), partial warps (PW) and relative warps (RW) to determine variations in shapes through examination of the deform shape of the grids. The extent and degree of variability within and between species belonging to the same family leiognathidae including the out-group were also assessed using the method of Principal component analysis. PCA is a discriminant function analysis to confirm size and shape variations. PCA involves the calculation of the eigen value of the data and the results of a PCA are usually described in terms of component scores and loadings. Discriminant function analysis is used to determine which variables discriminate between two or more naturally occurring groups. Canonical analysis are obtained to performed a multiple group discriminant analysis and automatically determine some optimal combination of variables so that the first function provides the most overall discrimination between groups, the second provides second most, and so on. The uniform components were tested for significant differences among species by multivariate analysis of variance MANOVA: (Neff and Marcus 1980). Multivariate anal ysis of variance was performed to test for significant differences in shapes between species, a multivariate was obtained F value (Wilks lambda) based on a comparison of the covariance matrix. Results and Discussion [AU7] Table 1 revealed that there was a high significant difference between the x and y components (p = 0.0001) of the landmarks on the contours of the fish. Table1 Analysis of variance of the x and y uniform components Sum of squares df Mean of square F P Groups: 2.52 9 2.79 1.41 0.0001* significant Columns: 2.58 29 8.89 4.51 Interaction: 3.55 261 1.36 Within: 1.12 5700 197.2 Total: 3.19 5999 The extent and degree of variability within and between species belonging to the same family Leiognathidae including one out-group under family Menidae were also assessed using the method of Principal component analysis. The result of PCA shows largest component scores at 96.9%. The first principal component showed high significance and accounts for as much of the variability in the data, and each succeeding component accounts for as much of the remaining variability (Table 2). Table 2 Principal Component Analysis (PCA) of the 5 Groups of Fishes Species Sex Eigen Value Variance 100% Leiognathus equulus Male 28.81 69.45 Female 25.52 39.61 Leiognathus fasciatus Male 32.89 96.9 Female 17.5 83.78 Leiognathus bindus Male 11.14 57.6 Female 18.9 40.43 Leiognathus daura Male 13.82 37.17 Female 15.69 50.58 Mene maculata Male 30.9 78.61 Female 18.9 85.17 Figure 3 shows that the canonical analysis was performed to automatically determine some optimal combination of variables that provides overall discrimination between groups. Results showed that the shape variations can be attributed to changes in the upper lip, caudal fin and pectoral fin and dorsal fin as shown in the deformation of shapes of the grids. The 1st relative warp extracted from the matrix of the partial-warp scores accounted for about 69.45% of the total nonaffine shape variation, whereas the 2nd relative warp explained 39.61% of the total variation. The 1st relative warp is characterized by shape changes along the upper lip between the male and female Leiognathus equulus. The specimens with highest scores on the 1st relative warp is between male and female Leiognathus fasciatus which accounted 96.9% variation and is characterized by shape changes along the dorsal fin. Biological meaning of these partial shape variations can be explained in the change in fin morphology and position, the central component of the evolutionary transformation of functional design in leiognathid fishes. Documenting phylogenetic patterns in the structure of the dorsal fin, caudal fin and pectoral fin, and interpreting the functional significance of such patterns, has been the subject of ongoing study by systematists (Breder, 1996). There is significant anatomical variation because of hydrodymic significance of evolutionary transformation in dorsal fin and the important similarities in patterns of diversity in fishes seem to indicate competition for food resources that may cause diversity in jaw apparatus among fish (Lauder, 2000). [AU8] Figure 3. Transformation Grid and Warps of the Five Species Including the Out-Group, Deformations of Grids in the Anteriormost Tip Or the Upper Lip, Dorsal Fin  and Caudal Fin. Table 3 shows that the canonical vector analysis indicated the existence of large and highly significant among group differences. The first discriminant variable is the caudal fin and highly significant (Wilks Λ = 2.0, F = 1.76, P= 0.002), the second variable that provides discrimination between groups is the pectoral fin and displayed high significance (Wilks Λ =1.0.35, F = 0.75, P= 0.81), and the snout tip (Wilks Λ = 0.51, F = 2.60, P= 0.002) and dorsal fin (Wilks Λ = 0.35, F =1.89, P= 0.002). Table 3 Canonical Vector Analysis Variable Var.N LambdaA P F Caudal fin 7 2 0.002 1.76 Pectoral fin 12 1 0.75 0.81 Upper tip 1 0.51 0.002 2.60 dorsal fin 4 0.35 0.002 1.89 Prosanta (2006) reported that the family Leiognathidae, commonly known as ponyfish or slip mouth, comprises three genera, each being characterized mainly by mouth morphology. The relationships allowed phylogenetic analyses of mouthpart structures and light organ systems. The results suggested that the morphology of the mouthparts is ancestral in the family. The results also suggested that internal sexual dimorphism of the light organ system was present in the common ancestor of a sister clade to L. equulus, whereas external sexual dimorphism seems to have evolved subsequently in two monophyletic subgroups. The evolution and diversification of L. fasciatus to other group Mene maculata under family menidae support the result of this study that the out-group exhibited similarity of morphological features from L. fasciatus. The analysis of the shape differences depicted in the fish species sampled mainly according to their systematic relationships. This agrees with the findings of Loy et al. (1993) and Rohlf et al. (1996), that the shape components may contain more taxonomic information than the uniform components of shape variation. The shape variation using geometrical analysis of landmark data can describe and locate differences of form in organisms more efficiently (Bookstein 1991). This approach has been shown to yield the most accurate information in fish morphological studies (Walker 1996; 1997), [AU9]and is expected to find increasing applications in the near future. As reported by Loy et al. (2001) shape differences between 3 sparids of the genus Diplodus juveniles appear to be related to ecological differences in their ecology. Webb (1984) [AU10]showed evidence that body shape is a reliable indicator of the swimming behavior and the ecology of fish. The link between morphology and diet in fish is provided by feeding performance (Norton 1991; Wainwright 1991; Motta and Kotrschal 1992). [AU11]As suggested by Wainwright and Richard (1995),[AU12] morphology and shapes is influence on a fish’s feeding capability. A major challenge in fish ecology is to establish the linkage between morphology and diet. Functional morphological, biomechanical, and physiological analyses may be used to determine the expected consequences of morphological variation on feeding performance (Wainwright 1988).[AU13] Conclusion and Recommendation[AU14] In this present study, the findings reveal the potential power of the use of geometric morphometric markers for characterizing shape variations in several species of fishes under family Leiognathidae for identifying phenotypic stocks. The geometric system can be successfully used to investigate stock separation within a species that allows, in a long term, a better and direct comparison of morphological evolution of stocks, while using the same set of measurements. Results of this study revealed variations in shape of the selected species of fishes under Family Leiognathidae and within each species and one out-group under family Menidae. Significant differences were found among species with respect to caudal fin, pectoral fin, upper lip and dorsal fin. These shape changes are probably related to differences in habitat and feeding habits among the species. This present study concluded the usefulness of the geometric morphometric system as a fisheries management tool and it is capable of examining large numbers of samples in a short time. It is also effective in identification of stocks and improving the biological basis of management of fishes. References Bookstein, FL. (1991). Morphometric tools for landmark data. Cambridge Univ. Press, p 435. Blake, R.W. (1983). Functional design and burst-and-coast swimming in fishes. Can J Zool, 61  (11):2491–2494 Breder, .CM. (1996). The locomotion of fishes. Zoologica, 4:159–297. Sparks, J.S. (2004). Phylogeny and biogeography of cichlid fishes (Teleostei: Perciformes: Cichlidae)  Cladistics, 20 (6), 501-517. Loy, A.; Bertelletti, M.; Costa, C; Ferlin, L. Cataudella, S. (2001). Shape changes and growth  trajectories in the early stages of three species of the genus Diplodus (Perciformes,  Sparidae). J Morphol, 250:24–33. Prosanta, C. (2006). Evolution and diversification of a sexually dimorphic luminescent system in  ponyfishes (Teleostei: Leiognathidae), including diagnoses for two new genera. Cladistics,  20 (6), 501-517. Rohlf, F.J. (1990). Rotational fit (Procrustes) methods. In FJ Rohlf, FL Bookstein, eds. Proceedings of  the Michigan Morphometrics Workshop. Special Publication No. 2. Ann Arbor: Univ. of  Michigan Museum of Zoology, pp. 227-236. Rohlf, F.J. (1993). Relative warp analysis and an example of its application to mosquito wings. In LF  Marcus, E Bello, A  [AU15] Rohlf, F.J. (1995). Multivariate analysis of shape using partial-warp scores. In KV Mardia, CA Gill, eds.  Proceedings in current issues in statistical shape analysis. Leeds: Leeds Univ.Press,  pp. 154-158. Rohlf, F.J. (1996). Morphometric spaces, shape components, and the effects of linear  transformations. In LF Marcus, M Corti, A Loy, G Naylor, DE Slice, eds. Advances in morphometrics. NATO ASI Series A: Life Sciences, 284.[AU16] Rohlf, F.J.; Loy, M. Corti (1996). Morphometric analysis of Old World Talpidae (Mammalia,  Insectivora) using partial-warp scores. Syst. Biol. 45: 344-362. Rohlf, F.J. Marcus, L.F. (1993). A revolution in morphometrics. Trends Ecol. Evol. 8: 129-132. Rohlf, F. Slice, D.E. (1990). Extensions of the Procrustes method for the optimal superimposition of  landmarks. Syst. Zool., 39: 40-59. Turan, C. Basusta, N. (2001). Comparison of Morphometric Characters of Twaite Shad (Alosa fallax  nilotica, Geoffroy Saint-Hilaire, 1808) among three areas in Turkish Seas. Bull. Fr. Peche  Piscic. ; 362/363 : 1027-1035. Smith, P.J. (1990) Protein Electrophoresis for Identification of Australian Fish Stocks. Aus. J. Mar.  Fresh. Res., 0; 41: 823- 833. [AU17] [AU1]  236 words Ok [AU2]  598 words OK [AU3]  Not found in the References. [AU4]  Not found in the References. Use the more recent work. [AU5]  Not found in the References. If possible use their more recent work. This is very very old source. [AU6]  485 words OK [AU7]  944 words – Add some more. The Results and Discussion (combined) should be at least 1, 200 words in length. [AU8]  Not found in the References [AU9]  Not found in the References [AU10]  Not found in the References [AU11]  Not found in the References. [AU12]  Not found in the References. [AU13]  Not found in the References. [AU14]  178 words only – Add some to make the length at least 300 words. [AU15]  NOT cited in the text. Recheck and complete the information items. If book, add place of publication publisher [AU16] Not found in the text [AU17]  Not cited in the text.

Saturday, July 20, 2019

Conformity:The Greek Society Essay -- essays research papers

Conformity: The Greek Society   Ã‚  Ã‚  Ã‚  Ã‚  Conformity, on a daily basis we conform to the social norms set forth before us by our friends, family and past experiences. Group cohesiveness (the desire to which one has to be in and is attracted to the group) greatly increases conformity. Enter Greek life.   Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  We have all seen them, parading down the halls, across campus, and in the Student Union. Strutting around with their number one symbols of pride across their backs or chests, on a sleeve, a pin or hat, GREEKS. Going Greek is a social decision as one enters college. You either are or are not a Greek, which creates a rather noticeable IngroupOutgroup situation, and millions of stereotypes between both Greeks and Independents.   Ã‚  Ã‚  Ã‚  Ã‚  To some Independents, Greeks are seen as followers, conformists, who joined simply to ?buy their friends? and some Greeks see Independents as ?GDIs (God Damned Independents, for lack of better definition), people who are losers because they won?t join, for whatever reason. It has been said that ?From the outside looking in you will never understand it, and from the inside looking out you can not explain it.?   Ã‚  Ã‚  Ã‚  Ã‚  Greeks more predominately create the sense of IngroupOutgroup. It is very simple to see who is part of the group and who is not. It is pretty obvious from the blaring letters, ringing chants, songs, and stories that you are part of the group. From the Greek point of view there are 3 types of groups, Fraternity Men& Sorority Women, Pledges, and everyone else. You are either in or out it is that, plain and simple. You have either chose to conform to the ideals of your perspective organization or you have chosen not to be a part.   Ã‚  Ã‚  Ã‚  Ã‚  There are sub divisions of the In-group, as far as the different organizations; you are a Sig-Kap, TKE, Skull, AST, etc. This is turn creates In-groups amongst the In-group. Each individual organization sees themselves as ?good? and in turn everyone else is ?bad.? Which is a predominate theme in IngroupOutgroup Theory.   Ã‚  Ã‚  Ã‚  Ã‚  Greeks call this ?pride?, conforming to these beliefs is part of the whole Greek concept. Through the pledging process you are taught the ways of the organization, how members are expected to ... ..., Luigi, Katia Vanzetto, and others; The   Ã‚  Ã‚  Ã‚  Ã‚  explicit and implicit perception of in-groups   Ã‚  Ã‚  Ã‚  Ã‚  members who use stereotypes: Blatant rejection but   Ã‚  Ã‚  Ã‚  Ã‚  subtle conformity. Journal of Experimental Social   Ã‚  Ã‚  Ã‚  Ã‚  Psychology. Sep 2001, Vol 37, pp. 419-426. Pendry, Louise; Carrick, Rachael, Doing what the mob   Ã‚  Ã‚  Ã‚  Ã‚  do: Priming effects on conformity. European   Ã‚  Ã‚  Ã‚  Ã‚  Journal of Social Psychology. Vol 31, Jan-Feb   Ã‚  Ã‚  Ã‚  Ã‚  2001. pp.83-92 Robinson, Frank; Campaigns for Conformity. Journal of   Ã‚  Ã‚  Ã‚  Ã‚  American College Health. May2001, Vol. 49 Issue 6,   Ã‚  Ã‚  Ã‚  Ã‚  pp. 316-318. Rose, Randall L., Bearden, William O., Manning, Kenneth   Ã‚  Ã‚  Ã‚  Ã‚  C. Attributions and Conformity in Illicit   Ã‚  Ã‚  Ã‚  Ã‚  Consumption: The Mediating Role of Group   Ã‚  Ã‚  Ã‚  Ã‚  Attractiveness. Journal of Public Policy &   Ã‚  Ã‚  Ã‚  Ã‚  Marketing. Spring 2001, Vol. 20 Issue 1, p84, 9p   Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚