Wednesday, October 30, 2019

World Paper Company - Finance Case 18 Study Example | Topics and Well Written Essays - 750 words

World Paper Company - Finance 18 - Case Study Example The initial outlay cash flow is the total cost of the investment which is set at $18 million. The initial outlay consists of investment capital, net working costs, set up and transport cost, and training costs. After-tax salvage value of the old assets is subtracted from the initial outlay when making replacement decision (Tham & Pareja, 2004). The annual after-tax cash flows (ATCF) refer to the incremental after-tax cash flows that are expected from the investment. The company’s ATCF cash flows can either fall into these four categories: Tax savings resulting from depreciation (set at 40 percent), incremental income (positive cash flow) (set at 10 percent), incremental expenses (negative cash flow) or savings (positive cash flow), and lost cash flows (negative cash flow) resulting from the existing project activities (set at 15 percent) (Tham & Pareja, 2004). In investment scenario, lost cash flow is an opportunity cost. Terminal cash flow is the cash flows that are extra ordinary at the end of the project’s life. In the case study, it components will include shut-down costs, estimated salvage value (is set at zero), and recovery of the improved net working capital (is set at 10 percent of the recoverable capital). Reasons: (1) Worldwide Plant Company has not changed its WACC in 10 years. (2) The company has a policy to utilize its corporate Cost of Capital to analyze investment opportunities (Tham & Pareja, 2004). The Company should invest in the new longwood Woodyard. This is because the outlay capital ($18 million) and the incremental investment in working capital over the next 6 years will be of significant benefit to the

Monday, October 28, 2019

Cietac Ethical Rules for Arbitrators Essay Example for Free

Cietac Ethical Rules for Arbitrators Essay 1. Each arbitrator shall independently and impartially hear cases on the basis of the facts, in accordance with the law, with reference to international practice and in compliance with the principles of fairness and reasonableness. 2. An arbitrator does not represent either party and shall remain independent of the parties and treat them equally. 3. No arbitrator on the Panel of Arbitrators may be appointed to a case once he/she has discussed the case with either party or given any advisory opinion about the case. 4. Unless otherwise agreed between the parties and the Tribunal during conciliation within arbitration, an arbitrator shall not meet either party independently to discuss the case or accept any materials relevant to the case. In any case, an arbitrator shall not accept any gift from either party. 5. An arbitrator shall disclose to International Economic and Trade Arbitration Commission (hereinafter ‘CIETAC’) his/her relationship with the parties if he considers that there is any conflict of interest or other relationship which may affect his/her impartiality, e.g. lineal consanguinity, obligations, proprietary and financial relationships, service and business relationships, and request voluntary withdrawal. 6. The arbitrators shall hear cases strictly in accordance with the procedure provided by the CIETAC Arbitration Rules, and shall give the parties full opportunity to state their case. 7. The arbitrators shall guarantee sufficient time for hearings and deliberations after the appointment, and the hearing should remain his/her top priority under all circumstances. Arbitrators shall inform the Secretariat immediately if any extraordinary circumstances arise. 8. The arbitrators shall carefully and conscientiously go through the entire documents and materials of the case and find out the main issues. 9. The arbitrators shall discuss the case and work out a plan before hearing the case, and the presiding arbitrator shall put forward a proposal as the basis for the discussion. The sole arbitrator shall work out a plan before the hearing where the arbitral tribunal is composed of one arbitrator. 10. The arbitrators shall stay impartial during the hearing, be wary of the way they ask questions and express opinions, avoid a premature decision on the key issues, and stay away from any argument or confrontation with the parties. 11. Immediately after the hearing, the presiding arbitrator shall preside over the deliberations and give his opinions for the next step in the procedure or the drafting of the final arbitration award. 12. The arbitrators, in particular the presiding arbitrator, shall control the whole process of the hearing, and keep it within the time limits provided by the CIETAC Arbitration Rules. 13. The arbitrators shall maintain strict confidentiality in the case, and shall not disclose to any outsiders any substantive or procedural matters of the case, including the facts, hearing procedure, content of the deliberations, etc. Neither shall he/she disclose his/her opinions or the details of the deliberation to either party. 14. An arbitrator is entitled and encouraged to participate in activities organized by CIETAC, concerning study or experience exchange between arbitrators. 15. An arbitrator who acts on behalf of CIETAC to take part in any meeting or activities related to arbitration or publish articles or give lectures shall obtain permission from CIETAC in advance.

Saturday, October 26, 2019

Chechnya Essay -- essays research papers

Chechnya The Continuing Conflict Chechnya is situated in the Caucasus Mountains, between the Black Sea and the Caspian Sea. It is surrounded by Dagestan to the east, Georgia and South Ossetia to the south, Russia to the north and North Ossetia in the west. Chechnya is rich in mineral oil and produced twenty million tons per year before the disintegration of the Soviet Union. The collapse of the Soviet Union in 1991 created the opportunity for the Russian provinces to declare their independence. The Russian government managed to keep its control of all states apart from Chechnya, which, under the new president Dzhokhar Dudayev, declared independence in October 1991. The Russian Government did not approve this and President Yeltsin declared war against the newborn regime in 1994. Yeltsin feared that if they had not declared war the other Caucasus states may have followed suit, to prevent this they preferred to curb it at the out set. The second Chechen war, which began in September 1999, was a result of the actions taken by Russia in the first war and was a product of the same policies. The fight for independence for Chechnya has been ongoing since the Bolshevik Revolution and is one that will be fought well into the future if something is not done about it now. The Russo-Chechen war that ended in 1996 should have given the Russian government a feel of things to come when they decided to attack in late September of last year. Triggered by security challenges to the State, Russia decided that the democracy would be in danger if they didn’t act. Russia was in a politically unstable situation right now with the resignation of Yeltsin, and the current Presidential elections looming. Also looming on the political horizon was the concern over rampant corruption in the government. If they had done nothing Yeltsin’s party would have stood to lose, yet Putin, (Yeltsin’s successor) succeeded in focusing the medias attention on the war rather that the domestic corruption. This war has given rise to a huge influx of racial hatred that has again helped Putin. Because the majority of the Chechen’s are Muslim, and not of the same ethnic background as Russians, racial discrimination has helped to boost the wars popularity and subsequently Putins. The security of oil in the southern Caucasus states and its transportation routes are the main influential factors in the... ...the task of the US and their European allies to bring the case to the European Court of Human Rights; the charge, a violation of its international treaty rights. Russia should also be required to conduct peace negotiations with the Chechens under the guidance of the various European Groups with a vested interest in the preservation of the borders of the surrounding countries. Threats of this can be conveyed to Russia, but this action, and anything that may come of it will not necessarily by abided by Russia. Russia has already shown that it will do what it wants concerning this issue. The US and its European allies are in apposition where threatening Russia with action is the only thing that they can do. Russia will not respond to these threats and will best only give them lip service. That this conflict be resolved in a manner favourable to Russia is essential. Russia cannot permit the secession of any part of its territory because it will lead to actions by other regions and th e access to Caucasus oil fields cannot be lost. Any other action taken by a third party will only result in destabilization of Russia and termination of diplomatic relations between Russia and the west.

Thursday, October 24, 2019

Privatization in India Essay

Ram Mohan Visiting Faculty, Finance and Accounting Area Indian Institute of Management Ahmedabad, India Abstract The proposed research is intended to survey the process of privatization in India and assess its impact on the Indian economy. The central issue we will address is the impact of privatization that has taken place so far on profitability and performance of PSUs. Going beyond this, we will attempt to understand what explains the impact of privatization on performance. Is it the use of market power by oligopolistic firms whose pricing power had been constrained under government ownership ? Is performance bought at the expense of labour through extensive layoffs so that what we see is essentially a transfer from workers to shareholders ? Or are we confusing the impact of privatization with the more generalised impact of deregulation in the economy, which in itself could spur efficiency ? The research output will comprise the following: 1. A survey of the literature on privatization, particularly with respect to less developed countries. 2. A review of the role of the public sector in the Indian economy, and the process of economic liberalization and privatization in India upto this point. 3. Impact of privatization on firm performance. 4. Explanation for the impact of privatization 5. Assessment of mechanisms of corporate governance in India. -2- I. Background: privatization in theory and practice A great wave of privatization has swept the world in the past two decades, embracing the industrial economies, the transition economies of East Europe and large parts of the less developed world, and it continues to roll on. It is interesting, however, that its basis in theory was somewhat shaky to start with. Moreover, a sizable enough body of empirical evidence, on which hypotheses about its impact could be tested, became available only several years down the road. So much of the initial impetus to privatization entailed a leap in faith, and, as happens all too often in the development of knowledge, attempts to explain its impact have followed on the heels of widespread existing practice.

Wednesday, October 23, 2019

Heart of Darkness/Blood Diamond

Greed is the Root of All Evil Greed exists at the centre of evil on not only an individual level, but also that of a communal and global level. Contextually there is a superficial alteration in the stimulus (Ivory vs. diamond) for greed and of global awareness towards the issue, although in the century that separates Joseph Conrad’s exploration of colonial regime in his novella Heart of Darkness and Edward Zwick’s post-colonial film Blood Diamond, the values driving the major characters and factions from the different texts are comparably similar.In both texts, there are individuals showcasing major facets motivated by greed, obsessed with the stimulus that is presented in either century. In Conrad’s Heart of Darkness, the character ‘Kurtz’ is primarily stimulated by greed. His obsession with ivory was at an extreme where main character ‘Marlow’ refers to his physical appearance as â€Å"like a ball- an ivory ball† and as having a n â€Å"ivory face. † These respective simile and metaphors encapsulate how Kurtz had become gripped by ivory to the point where it was taking over his very being.This description that Kurtz is placed in is carried through to his dying moments where â€Å"The brown current ran swiftly out of the Heart of Darkness-Kurtz’s life was running swiftly, too†¦Ã¢â‚¬  This indirect juxtaposition links the ideas of Kurtz’s life with the Heart of Darkness, not being a physical location, but an internalised nature representing Kurtz. These links of the rapacious Kurtz to a being of pure immorality is an insight into the overtaken existence of greed within individuals of evil.In similarity, is ‘Colonel Coetzee’ from Zwick’s Blood Diamond. This individual has a lust for wealth, one so overbearing that it blinds him from the fact that he destroys masses of lives to achieve his personal benefit. A scene that best represents this mindless mass murder fo r a cause that results in selfish profit is the Colonel’s order from the helicopter, â€Å"I don’t give a damn who’s down there, kill them all! † A low angle close up shot of the centre framed helicopter is used, presenting it as an overpowering, menacing presence.The line itself poses an emphasis on the Colonel’s voracious motives, suggesting he would kill his friend, and main character ‘Danny Archer’, if it means his war is won and his seldom benefits are received. There is considered intertextuality between this quote and that of Kurtz from Heart of Darkness. At the complete loss of morality from Kurtz, a quote marks this points â€Å"Exterminate all the brutes. † These quotes juxtapose the two characters from the individual texts together and with it, their greedy purposes and malevolent natures, proving that the greed of an individual is the root of their co-existing evil.Greed driven corruption is also existential on a com munal level, both in Heart of Darkness and Blood Diamond. In Heart of Darkness, the Company is the centre of trade in the Congo, a seemingly legitimate industry, although with hidden voracious motives. â€Å"She talked about weaning those ignorant millions from their horrid ways-I ventured to hint that the Company was run for profit. † This understatement made by Marlow expresses the Company’s care, or lack of, for the natives of the Congo, but in fact they only care to exploit the natural resources.We are consistently hinted that their work isn’t â€Å"out there in the luminous estuary† but â€Å"within the brooding gloom. † These binary opposites are repeatedly used in the novella to separate the ideas of light and dark with good and evil respectively, an extreme use of irony that Conrad persists with throughout the book. This mindless exploitation is an example of how greed can negatively affect a community. The communal effects of evil driven b y rapacity in Blood Diamond, is displayed through the actions of the R. U.F, the Revolutionary United Front. Their turning of native children into child soldiers and other locals into slave labourers, marks their negligence to human life so that they can gain wealth from the diamond trade. A heavily symbolistic scene in the film is the celebration following the overtake of Freetown in Sierra Leonne by the R. U. F. The loud, scratchy music accompanying the low key lighting in contrast to the bright blurred flames creates a sense of chaos and lack of morality, emphasised by the fast cuts and camera movement.The chiaroscuro lighting on the character’s faces and the silhouettes juxtaposed to the bright fiery background symbolises their consummation by darkness. Several presentations of immoral acts are shown, dead bodies being strung, children consuming alcohol and drugs and the destruction of property, linking to the classical allusion of Dante’s Inferno, exemplifying poi ntless suffering and destruction. This, among other scenes, symbolises the complete carelessness for human life in the voracious scramble for Africa’s resources.Although in the century that separates the two texts, awareness has grown dramatically, the global scale of corruption due to acts of greed are present in both texts. In Heart of Darkness, the novella ends back aboard the boat with Marlow and his crew as they are â€Å"lead into the heart of an immense darkness. † The physical connotations of this quote is that the effects can be seen on the other side of the world in England, although ironically the Heart of Darkness doesn’t lie in both the Congo and the Thames but man himself, whose actions have a global effect; the actions of Kurtz. Upon the whole, the trade will suffer. I don’t deny there is a remarkable quantity of ivory-mostly fossil†¦Ã¢â‚¬  This quote demonstrates the global effect that Kurtz’s actions undertake, making a histo rical allusion to the fossil ivory that ended up in Siberia. This demonstrates the global effects that branches out from the corrupt actions of a greedy soul. In contrast, the global awareness to the situation in Blood Diamond was comparably increased to that of the nineteenth century, although the global effects of gluttony driven evil were evidently more severe. The third world is not a world apart† is an ironic statement represented by the heavily juxtaposed scenes between a G8 conference and the diamond fields of Sierra Leonne. The high key lighting of the conference opposed to the overcast lighting of the diamond fields along with the respective modern colour scheme and the dirty, unappealing colour scheme is contrasted with quick scene cuts to juxtapose the sheer difference between the two ‘separate worlds. ’ Although these two locations seem so distant, the effects are carried through from one to the other.The conflict diamonds reach the stores of the first world but â€Å"are not ours to steal in the name of comfort, corporations, and consumerism. † This captures the global effects that man’s greed enfolds, taking advantage of the actions of corruption for our own consumerism, or greed. So in the century that separates Joseph Conrad’s exploration of colonial regime in his novella Heart of Darkness and Edward Zwick’s post-colonial film Blood Diamond, there is sufficient evidence to remark that greed is the root of all evil in man, the effects spanning not only the heart of man but within its community and on a global scale.

Tuesday, October 22, 2019

Creative Piece Cheating Death Essays

Creative Piece Cheating Death Essays Creative Piece Cheating Death Essay Creative Piece Cheating Death Essay Essay Topic: Creative Today there was is hope, chance. Beneath the crimsoned, broken pain, insecurities continue to devour the single beating flesh beneath my chest. There it laysthe broken link which withstands the feelings that ache. Withstanding the diminished, breathless air, I fail to understand the absence of being. No longer able to see the hurt in your ardent eyes I feel the want to be with what is lost. Fading into the pasty dark, I have every reason to despise you for letting me go, letting me slip back into unconsciousness.It was thereI remember. I cannot touch it. I used to pass it every day. How could a human forget those sacred words beautifully scrawled across the white paint, in Black-Eternal ink?You are under a curse, for your whole nation has been cheating me. Malachi 3:9Ghosting past this entrance to death, witnessing this beauty asks too many questions. Why does my hand prevent itself from feeling the scratched indents of foretold stories engraved on this Wall?Fear is only in our minds even though it hungers for the naà ¯Ã‚ ¿Ã‚ ½ve and shatters every hopeful thought and empties your heart andHere begins the emptiness. I cannot fear more than death. No thoughts allowed, the nature of the mind is restrained to white space. You cannot hide the pure desire for emptiness as the guilty thoughts explore your mind. Wishing to stay awake, for that second longer, I can never reach the switch to rescue life again. A part of me knows, one day, just maybe, one day, I can return to life. Perceiving the world through faded eyes implants the immoral statuses within.Trying to seek the truth beneath your eyes, the breathing flames numb my heart. To see you infected, by this senseless tumour, persisting never to let go. But one day I will be; I thrive to reach beyond all ideology, to end this idiocy; you will, once again, be able to be with me when I return.I found myself glancing to the other side. I had been there, once. Where the unknown normality grows. Loose ends tied in my w orld; I yearn to touch the golden creatures before the emptiness. My perception deceived, you could not cannot see me anymore. The uncontrollable longing to sprint, spreading the clipped wings of time. Go. Run. To where and how? To the past to retrieve the life lost. There was no way out, I had to go back. As they wired my body below I felt surges that helped return, flashing through streams of consciousness, urging, gasping to see you again.Moments controlled the existence of death, inducing life. But in between us was The Wall. What emerges behind The Wall? Clones. Originality. Unfinished, natural life. Controlled, possessive and twisted views, hidden behind the barrier, preventing my return. I cannot look past the glass.Incessantly transgressing that boundary of otherness, there is no true way I can pause my existence much longer, for there is no other reason to stay; it is healthier to live as two, combined, than stand as one, alone. My identity, stolen. The one feature that I c ould call my own was now lost. The disorientation, heightened by the entirely ambiguous ending of life itself. Until. Until what? Until the angel of death evokes the innocence beneath the heavens? Nountil the destiny of life is fulfilled with the seamless understanding of your individual prophecy and rejects any invidious comment that destroys your inner-voice.I cannot find you. The real you, the Truth. Its hiding who you are, deep down there, in that transgression of hope. Through all the lies I desperately seek for the empty teardrops. Deceiving my invidious mind, youre standing there, in front of me. I cannot reach you. So I walked away leaving no-one to hold the mask that causes my exhilaration. Why can you not bring me back? I Am Watching You, Holding My Hand. But They Are Trying To Leave Me Here, On This Side.Grasping your presence helped the restraint of the essence inside me. Walking away did not help beyond the pain, although I left without understanding the true height of tenderness that still manipulates my dreams; dreams in which the pavement shines like silver until reality streaks that true burning nightmare of this strange existence.Nothing deceives me but the lies that you give, the lies that run through the soul of my mind. You dont understand the feelings that you have captured within my every diminishing thought. I want to run further. To release my mind from the burning passion that writhes my veins but the need to stay within a small perimeter of your shadow conjoins me until it is your turn to go, to join me on this side.Honesty lays a lonely word. Rare to be heard, the honesty released the death of images drenched in hate. I cannot distinguish the power beneath the revulsion. There is every reason to crush the pumping vein that injects my corpse with poison. Silent screams repulse my lips, desiring to gasp, to breathe. But what is there reason to? Our shadows no longer stitched, our rose reducing petals. So why is there a constant though t of forgetting everything you are not? Erasing the things you could have been, erasing the tears, scarring my puppeted face. Stringed from rejection, pain and torment puppeteers my broken limbs, the white coats hold me.We were not liars then. I am not a liar now. We both watched the broken yesterday and I longed for tomorrow, together. Always on display, I close my eyes to see past the pain of dark.Today, unable to wake I lay illusive to the shreds of my heart, wounding my expression. It hurts to witness the human echoes, re-lived through the nightmares of my dreams. Bring me past the hurt, the agony of watching the unreachable. Why can you not cross over too?Startled by the dusted gasps of forced air that respond to the crippling need for suffering I believe the shadows that whisper your life and fade mine. What blinds their bright eyes, unseen to the day, with the unthoughtful death of the truth? What reflects mine the envious shade of green? Temptations to end the sickening thou ghts of preventing my life fulfil the emotions of ghostly hauntsUntrue to the world, there are no essential extensions beyond the blank colour of living. NothingnessEmpty. Thus what fact of life presents the immortal eternity of insipid day? The burning wish for the vile expressions to disappear, tortured my thoughts. The containing of these emotions pains the eyes, watching the memories drift by the expressionless seams that reduce the image to shreds. Why does this reckless behaviour pursue beyond the crazed insanities? Why is this episode taking so long, like a deplorable dawn, continuing the revulsion?I cannot seek through this mindless minefield to find the meaning of how I startled you. I have lost you. Through all the unnecessary disputes of hiding this anguish, came the hopelessness. Lost. Damaged by the insufferable healings, the dawn breaks through. Another day, another time. Now will take my life to hold on to the dead ghost you have become. Without the laughing grimaces, there cannot be a strand of a possibility that this will return to ordinariness, unless there is saviour of this democracy.I have fortunately become comfortably numb. Longing for safety, a content, distinguished life creates disturbance since adopting a treacherous, deceived living. There stood a misunderstood portrait glaring, incessantly, back at the shattered reflection illustrating the possessed front diminished by the aching breaths. What I saw, cannot be taken back. What I heard cannot be forgotten. The nauseating pearled eyes scowl at the forgotten side of me. The crystal visionary protected you from my touch. I can see you but I cannot reach you from this side.Here begins a torn moment when I stare at that beautiful, wondering place and see nothinghere begins the fragile moments that scare me the most. Arms outstretched, desperately seeking past the shallow graves to find Someone, Something, Anything. The flames of hesitation smoulder the earth to the hellish nightmare belo wlying here on the floor helps see beyond reality, patiently drowning in regret and hope. From this perspective the sky can be seen, the smoking flamed sky, ruined from the eternal loss of life. Is eternal accurate, or will this transparent life end?Promises abandoned deep from the shrieking cries, everyone leaning on nothing. Left behind the settling dust, lays the small, tight walls, surrounding the echo of quiet sound, the vividly dull poster, strung from one corner, and the light. Bleak and flickering. What thought required me to enter the tortured bricks of crimson? How did my tortured soul end up wishing to live life, if still life, like this dreary spirit?Last hopes suspended, entering the mirrored reflection paved the road to hell, whilst the images on my side were suffering, but right. Rules and regulations followed forprotection. I think. There is a different atmosphere on this side, stranded, less appealing. I want for nothing than to recede towards what once was.Calm and ready, I progress towards the Wall. Fighting to clamber beyond the glass, the need for water to tremble down my face, to feel again, pushes me towards the boundary. I will step beyond this shield, I will go back. Capturing the moment in the music of mind gives one chance. The soul escaping through the taped up hole, triggers the emotional privation and screams pierce the splintered hearts, wreathed in bandage.Me? Eyeballed by white coats told an odd story. What was happening now? Am I Alive Again? Sightless to the happening, drowsiness mumbled through the watered silence.A familiar hand grasped mine as I felt my eyes flicker back into my body.Dont let go of me. I dont want to go back without you, I was am scared.Within you I lose myself. Without you I find myself wanting to become lost again. I am not leaving now. Im just sleeping.

Monday, October 21, 2019

Whats in store for the workplace in 2018 

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

Sunday, October 20, 2019

How Teachers Should Report Suspected Abuse of Children

How Teachers Should Report Suspected Abuse of Children Teachers are state-mandated reporters  meaning that if they observe signs of suspected child abuse or neglect, they are legally required to take action and report your suspicions to the proper authorities, usually Child Protective Services. Although situations like these are challenging for all parties involved, its important to have your students best interests in mind and to act in accordance with your districts and states requirements. Heres how you should proceed. 1. Do Your Research You need to take action at the first sign of trouble. If this is your first time reporting suspected abuse or you are working in a new school district, arm yourself with information. You must follow the requirements specific to your school and state. All 50 of the United States require your compliance. So go online and find your states site for Child Protective Services, or similar. Read about how to file your report and make a plan of action. 2. Dont Second-Guess Yourself Unless you witness abuse firsthand, you can never be 100% certain about what occurs in a childs home. But dont let that sliver of doubt cloud your judgment to the point where you ignore your legal responsibility. Even if you simply suspect a problem, you must report it. You can clarify in your report that you suspect abuse, but are not certain. Know that your report will be treated with care so that the family will not know who filed it. The government experts will know how best to proceed, and you must trust their ability to weed through the suspicions and find out the truth. 3. Keep a Watchful Eye on Your Student   If you suspect that one of your students is in a vulnerable situation, make sure to pay special attention to his or her behavior, needs, and schoolwork. Notice any major changes in his or her habits. Of course, you wouldnt want to go overboard by coddling the child or making excuses for poor behavior. However, it is important to remain vigilant and report any further suspicions to authorities again, as many times as is necessary in order to protect the childs well being. 4. Follow the Progress Familiarize yourself with the long-term procedures that Child Protective Services will follow with the family in question. Introduce yourself to the caseworker, and ask for updates on what conclusions are reached and which actions are taken to help the family. The government agents will work with the family to provide supportive services, such as counseling, in order to guide them along the path to being better caretakers. The last resort is to remove the child from his or her home. 5. Remain Committed to Protecting Children Dealing with child abuse, suspected or confirmed, is one of the most serious and stressful parts of being a classroom teacher. No matter how unpleasant the experience may be for you, dont let the process deter you from reporting each and every case of suspected abuse that you observe during your time in this profession. Not only is it your legal obligation, but you can rest easily at night knowing that you took the tough actions required to protect the students under your care. Tips Document all of your concerns, with dates and times, in order to support your claims.Gather tips and support from veteran colleagues.Procure the support of your principal and ask him or her for advice if needed.Remain confident that you are doing the right thing, no matter how hard it may be.

Saturday, October 19, 2019

Letter to the editor on school bullies Essay Example | Topics and Well Written Essays - 750 words

Letter to the editor on school bullies - Essay Example First of all, this cyber bullying business is not an entirely new area and those who engage to the extent of driving a victim to commit suicide have perfected their skills. Cyber bullies are very persistent one they identify their victim and would not give the issue a rest until total humiliation or in this case death ensures. One of the perpetrators in her own confession says that she committed the cyber bullying which is the reason that led to the death of the victim but she does not care â€Å"yes I bullied Rebecca and she killed herself, but I don’t give a (expletive).† This carefree attitude does not simply come by a practicing bully but a fully accomplished one who thinks that she is immune to any repercussions based on her don’t care attitude. The fact that her parents seem to think that she is a sweet and innocent child only adds to fuel up her don’t care attitude without the realization that she can be charged with manslaughter of the victim. Seco ndly, cyber bullying is a social crime which inflicts pain on the victim emotionally rather than physically. Emotional pain is way harder to show on the surface than physical pain and hence the victims of cyber bullies suffer in silence and continue enduring the cyber bullies. Being a mother myself to teenagers, I understand the hard time the parents of the victim may be going through trying to come to terms with the fact that they did not help their daughter with her emotional pain inflicted by the cyber bullies. It is hard to read these teenagers and make them open up to their parents because they consider parents as enemies thinking they will not understand them. If only there is a way that parents can be able to know beforehand that their child is being subjected to cyber bullying, then they can help them put a stop to it no matter how long it will take and even put the perpetrators under the long arm of the law for justice to be served and to stop the bullying of other victims as well. I have in the recent past as a parent found it very hard to make my children open up to me as a parent about their problems. They however have friends and other people they trust whom they think of as secret-keepers and who understand them better than their parents and they share their experiences with. I appeal to such people today (since they are the only ones that know if a person is being subjected to bullying, what their feelings are and who the perpetrators are) not to stay hidden with the information and only come forward with it when it is a little too late. They need to break the code or oath of silence if there is danger of victimization and if whomever they are protecting can be helped by more qualified and professional individuals. Lastly I appeal to the parents of the bullies, please do not tend to support or justify the actions of your child when they commit such atrocious acts on other children as in the case of one of the perpetrators of Rebecca’s dea th where the parents are quoted saying â€Å"they feel that their daughter is a loving, caring and supportive young girl with many friends†¦

Friday, October 18, 2019

360 Degree Feedback Case Study Example | Topics and Well Written Essays - 1250 words

360 Degree Feedback - Case Study Example This is so because unlike traditional review process, 360 degree feedback involves the ratings and comments of not only immediate supervisors and bosses, but also peers, colleagues, subordinates and even some outsiders. Thus, the person getting rated might feel uncomfortable or not ready to accept feedback from so many people or employees falling below him in the hierarchy level. Thus, 360 degree feedback first needs to be aligned with that of the corporate strategy and specific objective needs to be specified for its implementation. Whatever has been specified above is missing from Landon’s initiative of 360 degree feedback. Sam Glass, who is one of the supervisors and person responsible for looking after 360 degree feedback process is himself unsure of the fact that whether it is used as a performance appraisal tool or for chalking out future compensation plan. Following it, it cannot be denied that even more unawareness will be spread amongst the employees of Landon regardi ng the purpose and benefits of 360 degree feedback process. As already mentioned by Alex in the opening paragraphs, this tool was suggested by the Vice-President of Avant-Garde’s Consumer Products Division. Thus, no evidence of this tool being aligned to corporate strategy or specific objectives charted out is visible. ... Numerous modifications and changes are required in the way Landon is proceeding with its 360 degree feedback process. First and foremost, it needs to state in clear terms what actually it wants to achieve with this tool- just evaluating the performance of its employees or devising compensation, training and development plans based on feedbacks received. One thing important to note here is this tool cannot be used for a single problem employee. Also, it should not be used at times when the organization or one of its departments are going a change or revamping in any way. This might be one of the reasons why Alex is uncomfortable with this system of feedback because he was made responsible to restructure the marketing of two product lines. Definitely he might have used some measures or actions which brought out his tough, uncaring and ambitious personality traits which get accounted for in the feedback and can face repercussion for those temporary actions and behavior. Secondly, organi zation wide communication has to be undertaken by Landon to ensure that each and every member of the organization knows and understand well the concept. Employees cannot connect with this form of rating unless and until they perceive security and benefits for them. Raters should be chosen keeping in mind the surrounding network of the person being rated. Regular query handling session should also be incorporated by Landon to make sure that employees are positive towards this concept and do not feel that organization is using this tool as a means to kick them off their jobs. Question 2 360 degree feedback is a tool to modify behaviors of employees and align them with that of the corporate mission and strategy. The 360 degree feedback tool comprises of data and comments from

Summary devil's knot Essay Example | Topics and Well Written Essays - 500 words

Summary devil's knot - Essay Example orts are geared towards depicting the rumors for what they are in an attempt to dismiss this urban legend that consumed the lives of six innocent youngsters. When the bodies of three eight year old boys-Steve Branch, Christopher Myers and Michael Moore were found dumped in a stream barely half a mile away from their home, the police were clueless, the people frightened and the town was in shock. After four weeks, the police, by the testimony provided by Jessie Misskelley Jr. a seventeen year old, arrested him and his two friends Damien Echols and Jason Baldwin, charging them with homicide. After a much publicized trial, the trio was pronounced guilty and Baldwin and Misskelley were sentenced to life imprisonment while Echols was put on death row. Leveritt followed the trial from day one and it was clear that the three boys were being put in the dock because they had â€Å"an obsession with heavy metal music†¦.Baldwin had fifteen shirts with the heavy metal thing.† Leveritt’s search for the truth revealed to the world the xenophobia of the small town, and how this is translated into a travesty of justice. The collective moral panic that had gripped the town â€Å"cost at least one innocent youth his life† (Root, 2003) Leveritt, systematically analyses the proof offered and the lack of evidence to show how the police bungled the case and the jury handed out life sentences and death penalties because all were â€Å"blinded by their fantasies about satanic cults† (Ebert). The biggest flaw in the whole case stems from the fact, that the police believed the testimony of Misskelley.Jr. a school dropout with an IQ of 72 and a history of behavioral problems, who implicated himself together with Echols and Baldwin. The police arrested the three without any physical evidence, which was against the law. Apart from that, the scene of the crime had not a drop of blood, while in fact the three children had been brutally killed, and their hands and feet tied together. Since the

Thursday, October 17, 2019

The relationship between reason and democracy Essay

The relationship between reason and democracy - Essay Example In this time period, the Enlightenment, people began to believe that rationality was the most important thing, indeed, Immanuel Kant said at the beginning of his work â€Å"What is the Enlightenment?† that having â€Å"courage to use your own reason† was the â€Å"motto of the Enlightenment† (Kant 1). In this kind of classical liberal thinking about democracy, there is no way to separate the idea of democracy from the idea of idea of reason – democracy could only be successful as a form of government because the people who are choosing the leaders are acting in a rational way – either for their own self interest or because of morality or for some other, rational reason. Yet there might be other reasons why democracy is successful that these thinkers do not cover. So essentially, whether or not democracy relies on reason depends on whether or not one believes in the classical idea of the reasons for democracy. Under classical conceptions of democracy , where it exists as a kind of contract between the leaders and the people they lead, democracy cannot exist without reason; I would argue, however, that classical ideas do not actually describe why democracy is successful, and that alternative explanations could allow for democracy to exist and succeed without reason or rationality being involved in any way shape or form. Classical understandings of democracy come from the Enlightenment, and this classical understanding must be understood in its hirtorical context. This was a time when many rulers ruled by divine right – the monarchy was still the most powerful thing in Europe, and these monarchs used considerable power to shape and even abuse the people who they were in control of, for their own gain. As Locke notes the ability to â€Å"compel by the sword† was the power of the civil magistrate alone, which essentially means that the ruler is the only person who is able to force his people to do something based on fo rce and violence (Locke 2). Through this understanding, it was important to provide a basis for a new system of government that made a lot of sense in theory as well as working in practice, and the theory behind democracy relied on the idea that every person was reasonable. When trying to convince people that they should not be led by their current leaders (the kind of leaders who had been in control of the world for essentially the entire history of the world), one had to convince everyone that there was a better system, not just an alternate system. And the â€Å"betterness† of democracy relies on the idea that each person is rational and can act rationally when choosing a leader or deciding what is best for them – and will do so. So the basic idea of democracy, from a classical perspective, relies on reason in a very strong way, and so cannot be separated from reason – the classical defenses of democracy would fall apart if people were not reasonable. But thi s does not mean that the classical justification for democracy was the reason that democracy is a good system of government. I would argue that one of the main reasons democracy is a good system of government is that it does not give any one group or person the ability to form a tyranny, to get into complete control and begin making everything better for them

Selfies Assignment Example | Topics and Well Written Essays - 750 words

Selfies - Assignment Example However, some older people are trying to use selfies in the quest of associating themselves with the young generation. Selfies are though to have more benefits than disadvantages and have attracted the attention of the older generation which has been trying to use selfies to associate with the youth. Selfies are self taken photographs and with the right photo angle and posture, selfies may result in eye catching portraits, images and photos (Kraus, 2005). Selfies were not known before 2005. As camera mobile phones started to be popular, self portraits started to be appreciated. People started taking their own photos in different places and time. When social media came into being, people felt that it would be a good idea to share their selfies with their friends and family. Argument Block One Some people in the society feel that selfies are not good while others believe that they are good for the young adults and teenagers. Critics of selfies claim that the young especially those who have not gotten to adulthood may not know the limits of taking selfies. True to that, some adolescents may go to the extent of taking inappropriate selfies for example naked images. Though they are self taken and probably in secret, they would not have a good image if they are shared through the social media. Proponents of selfies disregard this claim stating that the self taken portraits are for self expression. As such, they should not matter how they are taken as long as they are expressing an issue or concern (Day, 2013). A teenager may take a selfie of some part of the body like to hear the comments of their friends for example. Teenagers that are vulnerable to relatively inappropriate selfies are those that are weight gain sensitive yet their friends are spread across the country or the globe. They would want to request their friends to comment yet they want instantaneous answers or responses after they are informed they look in a certain way, for instance being told they look fat. Some people can go to the extent of taking a selfie of their entire body to get the right response from their friends. People taking such selfies should use friend specific message media that is specific to their friends. Selfies of such nature should only be sent after requesting their friends accordingly and they approve the suggestion. Argument Block Two Other critics claim that selfies may have negative effects on especially young adolescents and teenagers. Material of all nature is shared through the social media and those who do not have certain knowledge may be curious. As such, they may try experimenting and trying out some things on their own. They are usually afraid to ask their parents. Inappropriate selfies may in fact change the behavior and perception of adolescents towards certain things. Even so, those in support of selfies claim that the content is somehow regulated. Most social media websites cannot be used by those less than thirteen years. By the time someo ne is thirteen years, they know a lot about their bodies. In that case, they would not be adversely affected in case they come across inappropriate images. At the same time, the chances of inappropriate images being posted over the social media is relatively low. In addition, social media sites do not encourage posting of inappropriate selfies. People who are likely to post inappropriate images and content are socialites. It would be extremely hard for adolescents and teenagers having socialites as their friend through social media. However, it cannot be ignored that some teenagers know such celebrities and may search for them on the internet and come across inappropriate content. Argument Block Three Critics argue that selfies are not good and may have a negative

Wednesday, October 16, 2019

The relationship between reason and democracy Essay

The relationship between reason and democracy - Essay Example In this time period, the Enlightenment, people began to believe that rationality was the most important thing, indeed, Immanuel Kant said at the beginning of his work â€Å"What is the Enlightenment?† that having â€Å"courage to use your own reason† was the â€Å"motto of the Enlightenment† (Kant 1). In this kind of classical liberal thinking about democracy, there is no way to separate the idea of democracy from the idea of idea of reason – democracy could only be successful as a form of government because the people who are choosing the leaders are acting in a rational way – either for their own self interest or because of morality or for some other, rational reason. Yet there might be other reasons why democracy is successful that these thinkers do not cover. So essentially, whether or not democracy relies on reason depends on whether or not one believes in the classical idea of the reasons for democracy. Under classical conceptions of democracy , where it exists as a kind of contract between the leaders and the people they lead, democracy cannot exist without reason; I would argue, however, that classical ideas do not actually describe why democracy is successful, and that alternative explanations could allow for democracy to exist and succeed without reason or rationality being involved in any way shape or form. Classical understandings of democracy come from the Enlightenment, and this classical understanding must be understood in its hirtorical context. This was a time when many rulers ruled by divine right – the monarchy was still the most powerful thing in Europe, and these monarchs used considerable power to shape and even abuse the people who they were in control of, for their own gain. As Locke notes the ability to â€Å"compel by the sword† was the power of the civil magistrate alone, which essentially means that the ruler is the only person who is able to force his people to do something based on fo rce and violence (Locke 2). Through this understanding, it was important to provide a basis for a new system of government that made a lot of sense in theory as well as working in practice, and the theory behind democracy relied on the idea that every person was reasonable. When trying to convince people that they should not be led by their current leaders (the kind of leaders who had been in control of the world for essentially the entire history of the world), one had to convince everyone that there was a better system, not just an alternate system. And the â€Å"betterness† of democracy relies on the idea that each person is rational and can act rationally when choosing a leader or deciding what is best for them – and will do so. So the basic idea of democracy, from a classical perspective, relies on reason in a very strong way, and so cannot be separated from reason – the classical defenses of democracy would fall apart if people were not reasonable. But thi s does not mean that the classical justification for democracy was the reason that democracy is a good system of government. I would argue that one of the main reasons democracy is a good system of government is that it does not give any one group or person the ability to form a tyranny, to get into complete control and begin making everything better for them

Tuesday, October 15, 2019

Community Policing and Anti-terrorism Essay Example | Topics and Well Written Essays - 1000 words

Community Policing and Anti-terrorism - Essay Example The essay will attempt to link some of these agencies with the police department, community policing strategies and antiterrorism efforts. (Abrams, 2003) Community policing attempts to foster partnerships solve problems and transform organizations. One cannot underestimate the potential that community policing represents in terms of preventing crime. This is because community policing embraces all the stakeholders involved in crime prevention and it is also instrumental in dealing with the after effects of crime. Proactive policing is an issue that has gained a lot of acceptance in current policing practice. Research conducted in the late nineties indicated that this practice has increased by a whooping thirty percent. One would assume that such figures ill only increase with the passage of time. However, after a dramatic event such as the September eleventh attacks, it the police department was under pressure to adopt more conventional policing strategies. However, ignoring community policing strategies in terrorism prevention will be the wrong way to go because of the following reasons. First of all, community policing is a proactive strategy. It places more emphasis on prevention rather than response to crimes already committed. Furthermore community policing allows citizens and government agencies to participate in crime prevention by collaborating with the police. ... It usually moves away from a hierarchycal structure because this will slow down decision making problems and it will also reducing accountable. Instead, community policing fosters horizontal integration. Here, members of the organization; even those located in the lowest levels are given the mandate to make their own decisions. Normally, specific officers are given a specific area in their community. Cultural and geographical differences between the officers and the community must not be too intense in order to facilitate cooperation between the two parties. By bringing law enforcement closer to the community, the police department is empowered in the process of crime prevention. There are four main steps involved in problem solving and these are as follows; Scanning Analysis Response Assessment In the scanning phase, police asses what are the likely problems facing the community. Afterwards, there is a need to examine what could be the possible causes of those problems hence the analysis stage. Thereafter, there is a need to come up with solutions to these underlying causes; this constitutes the response phase. Afterwards, police are supposed o examine how effective their strategies were in dealing with the problem. It should be noted that these steps can become a cycle because whenever the last step is completed, there will be a need to make some changes in all the other stages too. It should be noted that community policing is quite advantageous because it takes account of the fact that the police my have some inadequacies when dealing with crime. They may not be fully aware of all the issues affecting a community or they may not have the ability to make use of all the resources necessary in

Monday, October 14, 2019

The structure of the play Essay Example for Free

The structure of the play Essay In the Requiem we see Willys funeral, but alas, the friends and customers he claimed to have has not shown up. Linda and Happy are confused as to why this is, but Charley, Biff and Bernard know and have come to terms with the fact that Willy was not well liked and that his business ventures were ill-fated and old-fashioned. Biff finally opens up and says that Willy had the wrong dreams and Willy never knew who he was. Happy is distressed by what Biff says and is almost ready to fight. Happy obviously still believe in Willys ideals and in capitalism and states that he is gonna win it for him (Willy) much to the distress of Biff who knows that it is a vain attempt at getting rich quick. Linda is comforted by Charley, who says that being a salesman is a good profession and that a salesman has got to dream. Charley goes on to say he was a happy man with a batch of cement, this could be interpreted as the author saying that most people are happy to work for a purpose, e.  g. Socialism. Throughout much of the play we see Willy symbolising old capitalism, the belief that if you work hard and are well liked then you gain lots of financial wealth. In the Requiem we see the death of this old capitalism due to the unscrupulous nature of new capitalism which unfortunately, is not dead yet. Ben, Willys brother, symbolises new capitalism, the belief that if you are merciless and cut-throat in business then you will gain financial success. Much of the play is spent showing how new capitalism is getting rid of old capitalism. The structure of the play Throughout the play we have frequent flashbacks to the past, as Willys life falls apart and he dreams about the past to preserve his happiness. As the play progresses, the flashbacks become more frequent and crossover more into the present. The flashbacks are essential to the rest of the play and provide vital points that are key to the story. As the flashbacks become more frequent and frenzied, Willy starts acting out the flashbacks in the present. This makes him appear crazy and even leads Biff and Happy to openly claim Willy is not their father. Miller uses these flashbacks to adequately convey the emotion and structure of Willys breakdown to the audience. Conclusion Death of a salesman could easily be interpreted as an attack on the unscrupulous nature of all capitalism, but this is only a small part of the play. It is an emotive story of the last few days of a failed salesmans life, as he seeks happiness in the past and can not face the reality of his life. It is about a man who has been robbed by time and takes refuge in the past when he was well liked, yet in the present no-one in the business world likes him. Miller has written Death of a salesman in a powerful way and is successful in his purpose of touching the reader and making the read thinking about the world and the life they lead.

Sunday, October 13, 2019

Social Constructions Of Tuberculosis Sociology Essay

Social Constructions Of Tuberculosis Sociology Essay Even in the twenty-first century tuberculosis is a major public health concern, with an estimated 8.9 million new cases and 1.7 million deaths in 2004 Dye, 2006. TB is an infectious disease caused by a bacterium called Mycobacterium tuberculosis and it primary affects the lungs however it can also affect organs in the circulatory system, nervous system and lymphatic system as well as others. Commonly in the majority of cases an individual contracts the TB bacterium which then multiplies in the lungs often causing pneumonia along with chest pain, coughing up blood and a prolonged cough. As the bacterium spreads to other parts of the body, it is often interrupted by the bodys immune system. The immune system forms scar tissue or fibrosis around the TB bacteria and this helps fight the infection and prevents the disease from spreading throughout the body and to other people. If the bodys immune system is unable to fight TB or if the bacteria breaks through the scar tissue, the disease r eturns to an active state with pneumonia and damage to kidneys, bones, and the meninges that line the spinal cord and brain (Crosta, 2012). Thus, TB is generally classified as either latent or active; latent TB is the state when bacteria are present in the body however presents no systems therefore is inactive and not contagious. Whereas, active TB is contagious and can consists of numerous aforementioned symptoms. This essay will attempt to illustrate the ways in which social constructions of TB reflect wider socio-cultural values within contemporary global society. In the first part I will examine the historical context of TB and its link with poverty which continues on in present time. Secondly, I will explore the stigmatism and isolation with TB and finally I will relate the social construction of TB with the work of Emile Durkheim. It is important to recognise the geographical disparities in the prevalence of TB. For example, countries such as Australia have a relatively low incidence of the disease with new cases primarily being identified in migrant populations a decade after their settlement. In some European nations with substantial public healthcare facilities, TB continues to be a problem particularly within large thriving cities such as London. This disproportionate increase in disease incidence compared with other community groups and national rates can be found in those who are socially disadvantaged including homeless, drug and alcohol addicted, people with HIV, prisoner populations as well as refugees and migrantsà ¢Ã¢â€š ¬Ã‚ ¦ (Smith, 2009: 1). This demonstrates the negative connotations society denotes to TB infected individuals as well as suggesting that in order to better understand the social construction of TB, the history of the bacterium needs to be explored. In 1882 Koch isolated the Mycoba cterium tuberculosis and it was acknowledged that the disease was spread through overcrowded conditions, insufficient nutrition and a penurious lifestyle. It can be argued that TB has been constructed in two main ways: socially and biologically. Biologically through science as an organism and socially by the community as a slow wasting death that was often associated with pale individuals being removed from the community (Smith, 2009: 1). Throughout history TB has been ambiguously represented. Much of the Western nineteenth century fictional literature highly romanticized the disease and reinforced the prevailing practices and beliefs. Often referred to as consumption; people were described as being consumed and exhausted by the disease as symptoms were assumed to be individuals looking delicate, pale and drained of energy. Treatment during this period in history mirrored these romanticised notions. Medical care was commonly described as a combination of fresh air, companionship and rest. In contrast, many non-European countries negatively popularised TB as part of vampire myths as people tried to make sense of the disease symptoms (Smith, 2010). As a result, diseased bodies were exhumed and ritually burnt to remove vampires existence (Smith, 2009: 1). This demonstrates the contrasting representations of TB within differing societies, suggesting that the hegemonic socio-cultural values of a disease in this case TB pla ys a crucial role in the social representations of a disease. As well as illustrating the importance of considering the impact of spatial and temporal differences. Following the identification of the disease the discovery of streptomycin and other anti-tuberculosis medications quickly emerged. This gave the impression that TB was no longer a major health problem but instead incurable and controllable. Despite being important for treating TN, streptomycin, isoniazid and other anti-tuberculosis drugs contained limits for treatment. Resistance quickly developed and resistant strains of the bacterium quickly emerged limiting the use of many drugs. Consequently, to stop resistance several of the anti- TB drugs are required in combination and need to be taken for a period between 6 months and two years during therapy (Gandy and Zumla, 2002). However, recent outbreaks of multi-drug (MDR) TB have once again brought the disease to the forefront of global health problems. MDR TB is said to have emerged due to inadequate treatment of TB, commonly due to over- prescribing or improper prescribing of anti-TB drugs. Problems with treatment generally occur in immunocompromised patients, such as malnourished patients and Immune Deficiency Syndrome (AIDS) patients (Craig et al., 2007). In addition, it can be observed that the increase in TB closely reflects the rise cases of human immunodeficiency virus (HIV) and AIDS globally. Frequently, individuals with immune disorders are not only more likely to contract and develop TB, they are also more likely to be in contact with other TB patients due to often being placed in special wards and clinics, where the disease is easily spread to others (Gray, 1996: 25). In 2009, 12% of over 9 million new TB cases worldwide were HIV-positive, equalling approximately 1.1 million people (WHO, 2010). One of the most significantly affected countries is South Africa, where 73% of all TB cases are HIV-positive (Padarath and Fonn, 2010). Furthermore, in the early twentieth century improved medical knowledge and technology allowed for better diagnosis. During this period words such as contagion and plagues were popularly used in negative terms in association to judge societies. TB was reported as a form of societal assessment, infecting the bad and the good being disease free. A number of reports suggest a sense of apprehension became apparent as differing tuberculosis beliefs began to emerge (Smith, 2009: 1). This highlights the importance of social representations in terms of common terms associated with a disease play in the social constructions of TB. Moreover, it could be argued that peoples perceptions of a disease are not only shaped by their direct experiences and the impressions received from others but also significantly through media representations of the disease (Castells, 1998). It is important to recognise the symbiotic relationship between media representations of a disease and the dominant public disc ourses. It should be acknowledged that the term discourse has multiple meanings, nevertheless this essay will employ Luptons (1992) assessment that discourse as a set of ideas or a patterned way of thinking which can be discerned within texts and identified within wider social structures. The discourses that are founded and circulated by the media (mainly newspapers) can be regarded as working to produce what Foucault (1980) calls particular understandings about the world that are accepted as truth (Waitt, 2005). Thus in the process of disseminating such truths, it could be argued that the media as a collective and commercial institution is implicated in governing populations. Meaning that the power of the media can (directly or indirectly) influence the conduct of its audiences (Lawrence et al., 2008: 728). This illustrates that media representations of a disease (TB) impact and are themselves influenced by dominant societal discourses thus helping to shape the social constructions of TB. Moreover, it could be argued that there is strong link between those associated with TB and stigmatism and isolation as well as poverty and dirt (Scambler, 1998). Historically, TB was romanticised and referred to as consumption, however once its infectious nature was recognised this notion quickly changed. By the early twentieth century, the prevailing social and cultural values at the time generally believed that the disease festered in environments of dirt and squalor and was known as the diseases of the poor which could then be spread to the middle and upper classes. However, by the twenty-first century this discourse shifted from the poor (although marginalised groups such as the homeless and those with AIDS were still implicated) to the role played by Third World populations in harbouring the disease which threatens to explode into the developed world (Lawrence et al., 2008: 729). This demonstrates that as societys socio-cultural values change the way in which disease is constru cted and perceived also changes. It is important to consider the ways which these socio-cultural values change as well as acknowledge the interlinked relationship between dominant discourses, media representations and prevailing socio-cultural values. The relationship between TB and poverty has been recognised (Elender, Bentham and Langford, 1998) and arguably may not only reflect medical and social characteristics of poor individuals, but also characteristics of housing and neighbourhood which foster airborne spread of TB infection, such as crowding and poor ventilation. Population groups with an increased prevalence of latent infection (such as new immigrants) are disproportionately found in poor areas- often with lower quality housing (Wanyeki et al,. 2006: 501). This illustrates that not only socio-cultural values influence the social constructions of TB but socio-economic factors such as income and housing play a key role too. Additionally, it is important to recognise the global disparities with TB. For example, Dodor et al (2008) argue that in countries where treatment for TB is not readily available, the disease has become highly stigmatised and infected individuals are exceedingly discriminated. According to Link and Phelan (2001) stigma arises when a person is identified by a label that sets the person apart and prevailing cultural beliefs link the person to undesirable stereotypes that result in loss of status and discrimination (Gerrish, Naisby and Ismail, 2012: 2655). This can be illustrates in common cases where people with TB often isolate themselves in order to avoid infecting others may try to hide their diagnosis to reduce the risk of being shunned (Baral et al,. 2007). From research in Thailand, Johansson et al. (2000) distinguish two main forms of stigma; one based on social discrimination and second on fear from self-perceived stigma. Furthermore, patients commonly experience social isolati on in family sphere where they are obligated to eat and sleep separately (Baral et al,. 2007). This is a common case in countries such as India where little factual knowledge exists about the causes and treatments of TB and access to the necessary healthcare is diminutive (Weiss and Ramakrishna, 2006). As well as many rural communities where knowledge is passed through previous generations; stigmatism and isolation related to TB is substantial- representing the social cultural beliefs of the community. It is important to recognise that the stigma and its associated discrimination have a significant impact on disease control (Macq, Solis and Martinez, 2006). Concern about being identified as someone with TB can potentially put off people who suspect they have TB to get proper diagnosis and treatment. These delays in diagnosis and treatment mean that people remain infectious longer thus are more likely to transmit the disease to others (Mohamed at al,. 2011). In a study conducted by Balasubramanian, Oommen and Samuel (2000) in Kerala, India stated that stigma and fears about being identified with TB were responsible for 28% of patients and this was a significantly greater problem for women (50%) than men (21%). This illustrates those socio- cultural values, for example the gender inequality highly present in Indian societies has a crucial impact on the social construction of TB. Also, in another study of social stigma related to TB conducted in Maharashtra, India, showed that stigma and discrimination of the disease resulted in late diagnosis and treatment. Moranker et al,. (2000) found that 38 out of 80 patients they studies (40 women and 40 men) reported to actively attempting to hide their disease from the community. Social vulnerability contributed to womens reticence to disclose TB, and such women were typically widows or married and living with joint families (Weiss, Ramakrishna and Somma, 2006: 281). This demonstrates the extent to which negative socio-cultural beliefs and values about TB can help to construct the disease- in terms of diagnosis, treatment and contagion. Emile Durkheims (1915) work can help to better understand the argument that social constructions of TB reflect wider socio-cultural values. One of Durkheims core arguments was his claim that the ideas of time, space, class, cause and personality are constructed out of social elements. This allows us to examine the human body not only as a reflection of social elements but it draws attention to changes over time. Durkheims idea that space and classification are socially constructed stems from the collective experience of the social group. According to Durkheim the fundamental social division is dualistic in that one is between the social group and the other not the social group; which he applied to religion resulted in the sacred and the profane. This central framework can then be used to various ways of viewing the world. Simply put as one geographic space could be labelled as A and another as not A. Social anthropologist Mary Douglas (1966) extended this Durkheimian vision and disce rned that: far from a chasm separating the sacred and profane, as Durkheim had argued, there was a potential space which existed outside the classification system: this unclassified space polluted the purity of classification and was therefore seen as potentially dangerousà ¢Ã¢â€š ¬Ã‚ ¦Douglass analysis of purity and danger can equally be applied to the rules underpinning public health which are concerned with maintaining hygiene. The basic rule of hygiene is that some things are clean and others are dirty and therefore dangerous. Danger arises primarily from objects existing outside the classification system and therefore by determining what is dangerous and where it comes from it is possible to reconstruct the contemporary classification system (Armstrong, 2012: 16-17). This illustrates the essays central argument that social constructions of TB reflect wider socio- cultural values- meaning that till present day in many parts of the world TB is still perceived as an unknown variable and thus outside of societys normal classification system therefore is commonly professed synonymously with connotations of danger and dirt. These results in significant stigmatism, isolation and discrimination associated with individuals with TB (Heijnders and Van Der Meij, 2006). Furthermore, this highlights the fluid nature of social constructions of TB- meaning that since societies change over time so do their values and beliefs resulting in changes in the ways in which disease are socially constructed. Therefore, in order to fully understand how social constructions of TB reflect wider socio-cultural values, the historical context in which these factors are based and the dominant discourses must be considered. For example, in the mid nineteenth century public health, mainly relied on quarantine as a preventative method, slowly began to classify new sources of danger in objects and processes such as faeces, urine, contaminated food, smelly air, masturbation, dental sepsis, etc. The prevailing public health strategy at the time of Sanitary Science; which monitored objects entering the body (air, food, water) or leaving it (faeces, urine, etc.). Whereas, in the twentieth century new sources of danger emerged including venereal disease and TB .Thus, a new public health regime of Interpersonal Hygiene developed. Interpersonal Hygiene identified the new dangers not as emerging from nature and threatening body boundaries but as arising from other human bodies. TB, which had been a disease of insanitary conditions in the nineteenth century, became a disease of human contact, of coughing and sneezing (Armstrong, 2012: 18). This further demonstrates the changing and interlinking relationship between socio-cultural values and social constructions of TB. In conclusion, this essay has attempted to explore the various ways in which social constructions of TB reflects wider socio-cultural values in contemporary global society, by briefly examining the history of the disease and its prevalence in present time. As well as exploring the relationship between TB and poverty- statistically it can be observed that individuals with TB often belong to marginalised social groups and economically impoverished groups. Also, global disparities of TB prevalence was noted demonstrating that since each society is different and has varying socio-cultural beliefs and in lieu of the social constructionist theory this essay has adopted it could be argued that each society has its own particular social construction of TB influenced by its unique socio-cultural beliefs. This may be problematic given that if social constructions of TB are diverse but TB is perceived as a global health problem thus requiring global action then the nuances between the diverse s ocial constructions of TB will be overlooked thereby arguably hindering the possibility of improving TB diagnosis and treatment. This also points to the need for not only considering the medical sphere of TB but also if we argue that TB is socially constructed then it is important to recognise the need for including the social aspects to health policies. Furthermore, this essay examined the link between TB and stigmatism, isolation and discrimination through time and present day. Establishing that there are two main types of stigma associated with people with TB; self-stigmatism and societal stigmatism. Both are results of the negative connotations TB has held throughout time. Also, I briefly examined the role media representations play on the social construction of TB- particularly newspapers where the reader is viewed as an active agent. Finally, I utilised Emile Durkheims work to better understand and link the arguments presented in the essay. Durkheim states that ideas of time, space, class, personality are all produced with social elements. This highlights the argument that not only does the social construction of TB reflect wider socio-cultural values but that these values change over time thus the social construction of TB also correspondingly changes. Word Count: 2997

Saturday, October 12, 2019

My Life Essay -- essays research papers

  Ã‚  Ã‚  Ã‚  Ã‚  Every person in life must go through changes in their lifetime. Some are drastic changes and some are minor changes, but either way, a person must learn to cope with all of sorts of them. Change can take the best out of someone or it can bring the worst out in someone, for example, going to a new school, getting a new haircut, anything can make a difference in a persons life. In my situation, the most enormous change must have been coming to the United States with my family and trying to adjust to a new lifestyle.   Ã‚  Ã‚  Ã‚  Ã‚  While growing up in a family of five people including myself, coming to a new country was a horrid experience. Being ten years old myself, things became harder while living with 4 other people, especially when they are all counting on you. Similar to Edite’s life, my first few years in the U.S. became difficult to deal with, considering how I was only a ten year old girl doing things for my family that a normal ten year old child would not do, for example, translating television to important phone calls, it became overwhelming.   Ã‚  Ã‚  Ã‚  Ã‚  Many of the problems, which I dealt with for the first few years, were very consistent. Everyday things such as, watching a movie or watching a sitcom became more of a headache than a relaxing moment. I would spent the program translating what people are saying rather than watching it for myself and being able to enjoy it. Since I was the only one in t...

Friday, October 11, 2019

Explanations of East Asian Economic Development

The economic success of the East Asian countries has inspired many economists to study the background of their rapid growth. Interestingly, different economists interpret this success in entirely different ways. During the 1970s and an important part of the 1980s advocates of the neoclassical model argued that growth in East Asia was the result mainly of the market mechanism and the emphasis on export promotion in these countries. Especially since the mid-1980s the neoclassical approach was criticised by economists who stressed that government intervention played a crucial role in the process of economic growth. This paper aims at presenting a survey of the arguments recently put forward by the critics of the neoclassical approach to explain the role of government in the economic success of the countries in East Asia. Such a survey is very useful, since it forms a new breeding ground for the discussion on the role of the government in the economic development of other Developing countries and the countries in Eastern Europe. Without a doubt East Asia’s economic expansion during the past twenty years is one of the most remarkable economic changes since the Second World War. Gross national product of the East Asian countries increased by more than five per cent per year in the period 1965-1990, which is considerably larger than that of Latin America (1. 8 per cent), sub-Saharan Africa (0. 3 per cent), or even the OECD (2. 4 per cent). Six of the seven fastest growing economies in the period 1960-1985 (measured on the basis of the average growth of per capita GDP) were East Asian countries. The economic success of these countries has inspired many economists to study the background of this rapid growth. What is rather remarkable in this context is the fact that different economists interpret this success in entirely different ways. During the 1970s and an important part of the 1980s advocates of the neoclassical model argued that growth in East Asia was the result mainly of the market mechanism and the emphasis on export promotion in these countries. This interpretation dominated the debate for a long time. Especially since the mid-1980s the neoclassical approach was criticised by economists who stressed that government intervention actually played a crucial role in the process of economic growth. In this paper these economists are referred to as the new interventionists. The debate between the neoclassical economists and the new interventionists seems to concentrate on the issue concerning the role of the government in the process of economic development in general and the East Asian growth miracle in particular. In this article East Asia includes the following countries: Japan, South Korea, Taiwan, Singapore, Hong Kong, Indonesia, Thailand, and Malaysia. A significant part of the literature used for this article concentrates mainly on South Korea and Taiwan. This paper mainly aims at presenting a survey of the arguments recently put forward by the critics of the neoclassical approach to explain the economic success of the countries in East Asia. In particular, it emphasises their view with respect to the role of the government in the process of economic development. Such a listing of the contributions of the new interventionists concerning the backgrounds of the Asian miracle and the possible contribution of the government is very useful The article is structured as follows. Section 2 presents a survey of the contributions of development economists with respect to the role of the government in the process of economic development as put forward by them in the 1940s and 1950s. Section 3 describes the reactions of the neoclassical economists on these early contributions. They emphasised that especially the market mechanism played an important role in the growth of the East Asian countries. Section 4 deals with the critics of the neoclassical economists and describes their approach to the backgrounds of the Asian miracle. The discussion on the role of the government in the process of economic development originated in the 1940s and 1950s, this discussion fits into the post-war predominance of Keynesian economics. During this period several theoretical models contributions in the literature pointed out that market imperfections justified government intervention. The main emphasis was on the existence and benefits of economies of scale and the external effects of production. One of the most influential models was the model of industrialisation based on the notion of infant industry. The existence of dynamic economies of scale and positive external effects of production in certain industries prompted the government to actively stimulate the development of these industries since the private sector was thought to be incapable of assessing the long-term economic benefits of investing in these industries. According to this model the government would stimulate the development of these industries by means of subsidies and protective measures until they were sufficiently developed to produce without government support. Other models went further in their recommendations concerning the role of the government in development. According to several economists, the economic growth potential of developing countries was restricted since many of these countries mainly exported primary goods. They expected that the prices of these goods relative to prices of industrial goods would fall permanently; this is also known as export pessimism. By combining the infant industry argument with export pessimism they pointed out that a structural change in the production structure of these countries was absolutely necessary in order to obtain positive long-run economic growth prospects. The government ought to play an important role since such a drastic change could never be realised through the market mechanism due to considerably large coordination problems in the economy. The emphasis was put on improving infrastructure and education. Both these aspects were assumed to be extremely important in order to realise such a structural change. Furthermore, the mutual dependence of industries was pointed out: the development of one industry was also determined by the development of other sectors, either as a producer of inputs4 or as a demander of output. This caused simultaneous support of different industries necessary. Later on, the debate in literature concentrated on the way in which the government ought to intervene. Some supported simultaneous intervention in all industries essential to economic growth; others stressed the limited availability of scarce resources which would hinder the execution of such a comprehensive strategy. They advocated government intervention mainly in those industries that had the most relations with other industries (unbalanced growth strategy; see Hirschman, 1958). These models very much influenced the economic policies pursued by the various developing countries during the 1950s, 1960s, and a large part of the 1970s. The idea of a government intervening in the process of economic growth was appealing to many politicians. It contributed to developing models of central planning, and it stimulated to using trade policies, such as import quota, export subsidies, and fixed exchange rates, introducing price controls and subsidies in markets for goods and production factors, and establishing public enterprises in important sectors like mining and heavy industries. Many governments pursued policies of import substitution (and later also export promotion). Initially, several countries appeared to be successful in achieving economic growth by way of government intervention. However, as increasingly more problems arose with respect to the models of planned economic growth, this approach was increasingly criticised by economists whose ideas matched the neoclassical tradition. This is the term to which they are referred to in the debate on the role of markets versus the Government in the process of growth. Mainly at the fact that the above described models primarily pointed at the imperfections of the market mechanism; the models seemed not to be concerned about the possibility that government intervention in itself could also lead to an inefficient allocation of resources. The neoclassical economists rejected the implicit assumptions that allocate inefficiency due to market imperfections would always be larger than the inefficiency resulting from government failures. This assumption would imply that the government has sufficient information in order to determine for which particular industries positive externalities and dynamic economies of scale could be expected, and to properly assess the costs and benefits of supporting certain activities and industries. This also would imply a well-functioning apparatus of government within which this information would be translated into a policy in the right way. Moreover, it meant that the government would also be strong enough to resist pressure groups and to minimalize the negative effects of rent-seeking behaviour. Finally, it was anticipated that the government put maximum welfare for the country as a whole before maximising the individual objectives of those representing the government. The neoliberals very much doubted the fact that these conditions had been sufficiently met in developing countries. They were rather convinced of the fact that especially such factors as lobbying, rent seeking, and a government pursuing maximisation of the individual welfare function, would negatively affect the efficiency of intervention. Therefore, they concluded that the imperfections of government intervention generally exceeded market imperfections. Only in some cases the government could play a role, e. g. with respect to providing physical infrastructure, macroeconomic stability, and maintaining order and upholding the law. This is all the government should do. The device of getting the prices right plays a crucial role in the neoliberal view: If the markets are not interfered with, scarce resources will be allocated most efficiently. Their starting points were the basis of the IMF and World Bank policy. Recommendations that were part of the structural adjustment programmes presented to developing countries in the 1980s and 1990s. The neoliberal interpretation of the role of the government versus the role of the market in the process of economic development has also been applied in analysing the economic success of East Asia of the past three decades. According to the neoliberals, the governments of these countries observed the limits of their capabilities, and the economic success, therefore, was caused mainly by the market which functioned quite well. They especially pointed out the emphasis governments placed on developing and stimulating exports, private entrepreneurship, and the execution of market-oriented policy measures. Focusing on export enhanced the development of industries with a comparative advantage. The East Asian countries especially developed those industries in which they had a comparative advantage. The governments had created the right environment – by providing macroeconomic stability and public investment in social and physical infrastructure – in which the private sector was encouraged to invest in such a way that it, would contribute positively to economic development. The neoliberal interpretation of the economic success of the East Asian countries was supported by the observation that several African and Latin American countries, where the government had played a very significant role for several decades, had experienced a deep economic crisis since the 1980s. The failure of government intervention and the positive contributions of the market mechanism were elaborately discussed in studies by, among others, these studies considered the East Asian countries as examples of countries where the market mechanism had positively influenced the process of economic development. The neoliberal criticism of the models from the 1940s and 1950s was justified to a certain extent. They rightly emphasised that too much government interference in the process of economic development could lead to considerable inefficiencies. They provided a theoretical basis for the possibility and consequences of government failure (Islam, 1992). Since the early 1970s and especially during the 1980s practically everybody agreed on the fact that government-led economic development, with an important role for state enterprises, would lead to large inefficiencies. However, this did not automatically mean that the neoliberal alternative provided a correct interpretation of the backgrounds of the successes in East Asia. Since the mid-1980s there was increasing criticism of the neoliberal interpretation of the role of the market versus the role of the government in development. These critics can be referred to as new interventionists. This group of economists argued that the government could contribute more to economic development than just providing certain important public goods. They based their ideas mainly on their analysis of the backgrounds of economic success in East Asia. The centre of their analysis proved to have rather a lot in common with the analyses of and themes addressed by development economists of the 1940s and 1950s. Criticism of the Neoliberal Model and the Arguments in Favour of Government Intervention According to the new interventionists, the neoliberal interpretation could not explain satisfactorily the success of the East Asian countries. A growing amount of research showed that government could indeed contribute positively to growth by means of comprehensive intervention in the economic process. This was not in keeping with the usual neoliberal starting points, and therefore alternative approaches were sought after to explain for this finding. An important alternative explanation of the East Asian economic success was found by emphasising the extent of problems concerning coordination in less developed economies. Critics of the neoliberal interpretation pointed out that the government could play an important role in stimulating the process of economic development by reducing coordination problems, related to the hoice of and relationship between production decisions that hinder development. These problems concerning coordination are the result of dynamic economies of scale of production and external effects resulting from the strong mutual dependence of certain industries. If such circumstances do play a role, the allocation of resources on the basis of the market mechanism can quite easily become sub-optimal. To begin with, in practice market prices provide information abou t the current profitability of productive activities; they contain hardly any – if at all – information on future profitability. Under these circumstances, if there are any activities that lead to economies of scale in the future, current market prices give the wrong signals with respect to optimal allocation. In this case, allocation will not be dynamically efficient. Moreover, investment decisions at the level of the individual entrepreneur may be sub-optimal if the future profitability of an investment project also depends on the degree to which investments are made in other sectors at the same time. In this case, too, allocation of resources based on the free market principle results in dynamically inefficient allocation. According to the new interventionists, interventions of East Asian governments were mainly aimed at decreasing these coordination problems, thus stimulating economic growth. The interventions actually improved the economy since barriers caused by economies of scale and external effects were taken down, which probably would not have happened if resource allocation was based purely on market principles. The model explaining the East Asian economic miracle as proposed by these new interventionists matches some of the central thoughts of the development economists of the 1940s and 1950s. One major difference, however, is that this model is formalised in some recent contributions. Recent theories on industrial organisation also point at the positive effect of limited competition – rather than free markets – and protection and co-ordination by the government. The remainder of this section will discuss in more detail several of the above mentioned aspects of the East Asian intervention policy, such as the characteristics of industrial policies, the instruments that were used to stimulate specific investments, the institutional context, and the preconditions. Industrial policy The contents and effectiveness of the industrial policies pursued in the East Asian countries is the central focus of several new interventionist studies, Focusing mainly on the analysis of the Korean experiences, this is also presents a new interventionist interpretation of the economic development of South Korea. In her analysis she shows why the Korean government policy can be considered dynamically efficient. She emphasises the fact that government intervention led to a situation of getting the prices wrong, which, according to her, precisely resulted in an optimal allocation of scarce resources. By deliberately disturbing prices, the government was able to reduce the coordination problems that occur when allocation of resources is left to the market mechanism. Policies aiming at disturbing the market mechanism led to other priorities concerning what should be produced as compared to the outcomes of the market as the coordinating mechanism. The industrial policies of other rapid growers in the region have been interpreted in a similar manner in other studies; characterises the process of economic development in South Korea as the process of late industrialisation. Fast growth in this country is mainly based on the implementation of existing (Western) technologies. The aspect of learning, adopting and adjusting existing technologies is central in her analysis. Since learning processes have the characteristics of a public good and are for example, closely related to increasing economies of scale and the external effects of production, government intervention is vital in the process of late industrialisation. The government sees to it that the Western technology is copied and implemented as efficiently as possible, and that the labour force is educated sufficiently to work with the new technology. Moreover, they coordinate production decisions in different industries. Thus, the government becomes an entrepreneur who decides what, when, and how much to produce. The active intervention resulted in the industrial development of South Korea, which would not have been realised without government intervention. The government especially stimulated those industries that were thought to be of crucial importance to the long-term development of South Korea. Whereas in the 1960s mainly export-oriented industries were stimulated, in the 1970s emphasis was placed on the development of heavy and chemical industries, the electronics industry, and shipbuilding. In the 1980s the centre of attention of industrial policies shifted towards stimulating the development of high-quality industries, the so-called sunrise industries. Due to government intervention South Korea became a leading producer of microchips, and had an important share in the world markets for consumer electronics, cars, and in shipbuilding. In this context, leading economists point out the difficulties involved in the development of especially heavy and chemical industries, and in electronics and shipbuilding. The relatively long time these industries require reaching maturity, and the limited profitability (or even temporary loss) during the initial phase cause these industries to be rather unattractive when it comes to private investment. This provides a legitimate reason for an active industrial policy by the government. Instruments of government intervention The East Asian governments used various instruments that enabled them to influence the organisation of production decisions and the allocation of production factors, in order to achieve that scarce resource would be applied in the areas they preferred. These instruments primarily aim at creating rents, i. e. providing subsidies for certain investments. A subsidy may be a strong instrument to influence the use and allocation of means; provided that the granting meets certain conditions. A subsidy will contain a protective element on the one hand, and provide an incentive to implement specific activities on the other hand. Given these conditions, a subsidy may contribute to the fact that investors who are granted a subsidy may take into account more than short-term profitability only, and may also consider future possible profitability of the decisions. In these cases, the dynamic aspects of implementing investment decisions are taken into account, and thus granting subsidies may contribute to a better allocation of means. Initially, subsidies were granted by means of programmes for cheap credit and selective credit loans. In countries like South Korea and Taiwan, the government had a significant impact on determining the nominal deposit and loan rate in the 1960s and 1970s. Moreover, they also introduced guidelines with respect to the allocation of bank loans to the private sector. Thus, they were able to stimulate the development of specific industries and private activities by granting them access to external funding and by subsidising this Funding. The role of the export promotion policy Especially with respect to the role of export-oriented policies as part of industrial policies, and the related specific instruments of government intervention in East Asia, the neoliberals and the new interventionists do not agree. In the neoliberal model the emphasis of government policies on export promotion is very important, since they believe that competition on world markets stimulated East Asian companies to produce efficiently. They exported especially those products for which the countries had a comparative advantage in production. According to the neoliberals, the rapid growth of exports justified this approach. Subsequently, the development of export industries was thought to have a positive effect on the production in other sectors of the economy. In this model – the so-called model of export-led development – the rapid growth of the export industries led to a growth in investment and was therefore the driving force behind the overall economic success. The new interventionists disputed the neoliberal point of view. Some of them point out the fact that the governments created comparative advantages, thus actually reversing the causal relationship between export growth and14 comparative advantages. The above mentioned industrial policies in South Korea can again be used to illustrate this view. The South Koreans developed advantages in shipbuilding, and in the electronics and car industries, all industries in which they initially did not have comparative advantages. Some new interventionists stressed the fact that government intervention stimulated especially those export industries for which competition in international markets was fierce, in order to stimulate the building up of a competitive external sector. To a certain degree, this view resembles the neoliberal interpretation of the role of international trade, although the new interventionists put much more weight into the role of government intervention to develop such a competitive external sector. They argue that international competition can be regarded as an efficiency check of interventionist policies and the policy measures used. The success or failure of export producing firms provided the government with information which enabled it to decide whether or not to continue support to particular industries, and to decide on the extent of this support. Thus, protection measures and the granting of subsidies were linked to the performance of firms with regard to the development of sales in foreign markets. Others, however, resist the argument that exports played a crucial role in stimulating the economic growth of these countries. On the one hand, they point at the limited share of the export sector in total GNP of most East Asian growing countries in the period concerned. Considered this limited share, this sector could never have been the driving force behind the strong economic development during the 1960s and 1970s. On the other hand, the direction of the causality between exports and investments as supposed by the neoliberals is questioned. It is more likely that the explosive export growth was the result of a strong increase in domestic investments, rather than the other way round. The increase in these investments led to an increasing demand for imports, which – taking into account the limited availability of foreign currencies – went hand in hand with an increase in exports. This increase in exports was realised by reducing the domestic consumption of tradable goods, making them available for exports. Exports were not hampered by any unfavourable exchange rate policies, which had indeed been the case in many other developing countries in the 1960s, 1970s, and part of the 1980s. They argue that export production was actively stimulated by means of several instruments, particularly the above described systems of subsidisation. Therefore, some new interventionists argue that the explanation of economic growth in East Asian countries lies in the factors that influenced the strong growth in domestic investments, such as the creation of rents to stimulate investment behaviour. Cooperation between the state and the private sector in the previous sections it has been pointed out continuously that the East Asian governments proved to be able to reduce coordination problems, which contributed to stimulate economic growth. However, this still has not answered the question concerning the way governments were able to dispose of sufficient information to efficiently coordinate investment decisions and to determine which industries were important in realising a dynamically efficient allocation of scarce resources. Several studies have examined this aspect. These studies show that very close ties existed between the government, banks, and the private sector. These ties led to frequent contacts between the government and the private sector about the economy’s weaknesses and strengths. In this way, the government gained a better understanding of the nature of the coordination problems that played a role in the economy. On the basis of this information the government was better able to take decisions concerning intervention. In the case of South Korea, civil servants from different ministries, bank managers, and managers of large companies regularly met on so-called deliberation councils. Apart from this there were also monthly export meetings. At these meetings, presided by the president of the country and attended by16 senior civil servants, managers of banks and companies, economic bottlenecks were directly discussed, and decisions were taken concerning the outlines of the industrial, trade, and financial policies. Specific attention would be paid to the performance of the export industries, and if necessary the export policy would be adjusted on the basis of the information available. The South Korean private sector was very much organised on the basis of conglomerate structures, the so-called Chaebols. A limited number of very large conglomerates were actively involved in various economic activities, thus controlling an important part of the total production of the private sector. The government actively stimulated the development of these large conglomerates. The idea was that this would lead to an optimal use of economies of scale and external effects due to the strong mutual dependence between industries. In this way, the conglomerates would internalise existing coordination problems. Moreover, an advantage of the existence of several large conglomerates was that there were only a small number of ties between the government and the private sector, so that a relatively small number of policy makers and managers would be responsible for making important decisions. This added to an efficient exchange of information and a reduction of coordination problems. Some studies describe the model of the East Asian economies as a governed market. This means that private companies competed and cooperated and were supervised by the government. Other studies – especially referring to the case of South Korea – characterise the relations between government and the private sector as a quasi-internal organisation. This model describes a firm as an organisation that minimalizes transaction costs by internalising certain activities, i. e. hese activities are executed within the organisation. This may cause the allocation within an internal organisation to be superior to allocation resulting from the market mechanism. The model contains a central management that determines the outlines of the activities of the firm and that delegates the execution and immediate responsibility for the results to different divisions. The divisions are accountable to th e central management and have to provide information regularly, enabling the management to change its strategy on the basis of this new information – if necessary. In this way, coordination problems between the different activities can be reduced. The comparison to the characteristics of the Korean society applies to a certain extent, if the government is regarded as the central manager and the various conglomerates as the divisions. Due to the intense and informal contacts between the government and the private sector, the government had at their disposal information concerning the nature and extent of coordination problems in the economy. On the basis of this information, economic policies could be designed and choices could be made on which industries should be supported, since they were supposed to be of crucial importance to the growth of the country. Furthermore, economic policy programmes could constantly be adjusted on the basis of new information so that they would positively contribute to the economic development of the country. To conclude, it can be argued that the strong ties between the government and the private sector contributed to an intense exchange of information. Based on this information, the government was able to follow and if necessary adjust the activities in private industries. The new interventionists considered the combination of these ties and the nature of the way the government created rents and distributed these among firms and industrial sectors as an important explanation of the successful government intervention in the various East Asian countries. Initial conditions and political factors The new interventionists also point at other factors they feel have been important in realising that the government translated the information they eceived from the private sector into a policy that contributed to the successful18 reduction of coordination problems. These factors are closely related to the initial conditions that applied at the moment this miraculous process of economic growth was started. They also point at certain specific political economic circumstances. To begin with, the new interventionists emphasise that in these count ries the educational system and the level of education of the labour force were of a relatively high standard as early as the 1950s, especially compared to countries in Latin America and Africa. This positive initial condition had various positive consequences. To start with, this meant that labour productivity was relatively high and that the East Asian economies were at least capable of working with relatively high-grade production processes as early as the 1950s. Moreover, this meant that the copying of Western technologies is the essence of late industrialisation – could be executed faster. Finally, the high level of education had a positive effect on the quality of the civil service. The latter was not to be underestimated as an aspect of the success of the East Asian intervention policy. Several authors have therefore paid special attention to the aspect of the quality of the civil service. An efficient apparatus of government was of great importance in order to translate the information on coordination problems in the economy into a policy that could contribute to increasing economic growth. Moreover, the work ethic of the average civil servant in the Eastern Asian countries was also important in explaining the efficiency of government intervention. In many developing countries civil servants seemed to be easily corrupted, whereas in most East Asian countries this was relatively less common. Consequently, the abuse of, for example, the granting of subsidies and other benefits to firms could be kept rather limited. To explain this phenomenon the new interventionists argued, among other things that in such countries as South Korea and Taiwan a high degree of social responsibility had been developed and introduced through the educational system. Education very much contributed to a sense of social awareness. This led to the fact that a position as a civil servant involved a high social status. This may be an explanation for the fact that the best students often accepted a19 position with the government whereas a similar position in the private sector would pay far more. This high status would also contribute to a lower degree of corruptness as compared to that in many other developing countries. Moreover, a career with the civil service was considered the perfect way to a high position in the private sector. Apart from these initial conditions, several authors argue that the political economic circumstances in the East Asian countries contributed to the fact that government intervention could concentrate on the efficient use of scarce resources. As is well-known from the public-choice literature, a government may implement a policy because they are being pressurised by certain groups in society that are crucial to a possible re-election. In such case, in their policy the government may to a certain extent want to comply with the wishes of their future voters, rather than pursue a policy that contributes to economic growth as much as possible. 9 For example, they may not use subsidies to support certain important economic activities; instead subsidies may be used to secure political support. In many Latin American and African countries such a populist policy has been pursued in the past with all the associated negative consequences to general economic growth. In case of a more autocratic government, the government will use part of the means available to bribe representatives of powerful lobbies who could jeopardise the government’s continuity or to forcefully suppress these lobbies. In South Korea and Taiwan the government hardly ever faced lobbies of real importance so that a populist policy was not necessary. Therefore, they could develop and pursue their policies independent of any lobby and they could efficiently employ subsidies and other instruments to promote economic growth, rather than use them in order to gain political support. There were several different reasons for this particular circumstance, according to the new interventionists. Among others, for an empirical analysis of such kind of political economic processes, to start with, countries like South Korea and Taiwan were characterised by a relatively equal income distribution due to which the governments of these countries were less pressurised into taking popular measures to please certain lobbies. The equal income distribution was mainly the result of the land reforms of the 1950s which took place both in South Korea and Taiwan. Thus, equal income distribution had been realised before the start of the period of rapid growth. More recently, empirical support for the positive relation between equal income distribution and economic growth has been found. Moreover, some mention the fact that both the South Korean and the Taiwanese society were characterised by a relatively cultural unity, This meant that this potential source of political instability was less strong than it often was in other developing countries and that this made it easier to develop a solid nation state. Some authors also mention the fact that the Japanese oppression of South Korea before 1945 drastically reduced the role of lobbies in this country. With respect to Taiwan, the flight of political leaders and their supporters from China had actually decimated the differences between the various political lobbies. Finally, there was no elite based on the ownership of natural resources, since these countries hardly had any natural resources. In several Latin American countries this elite was an important opponent of the government. The new interventionists offer an alternative explanation for the economic success of the East Asian countries during the past few decades. They point at the existence of coordination problems and argue that these problems are the main obstacle for economic development. For this reason the government should play an active role. The analysis of the role of the government in East Asia shows under which circumstances government intervention may have a positive impact on the economic growth of a country. The contributions by the new interventionists appear to resemble those by the development economists21 from the 1940s and 1950s. The difference, however, is that the new interventionists have provided the understandings of the development economists with a more solid theoretical and empirical basis. Some questions remain unanswered, however. For example, the new interventionist analysis of the role of the government in the East Asian success has not convincingly shown why the efforts of the governments of these countries seemed to have been explicitly concentrated on promoting long-term economic development. This paper has described all conditions that must be met in order for government intervention to contribute positively to economic growth, as was the case in East Asia. Another starting point for future research refers to the empirical foundation of the existence, nature and importance of coordination problems in a less developed economy. Although the new interventionists have frequently and convincingly described the existence of these failures, until now their empirical proof has been scarcely provided. Therefore, micro-level research – i. e. t the industrial level – into the significance of these coordination problems in economic development is vital. Related to this, more empirical research ought to be conducted into the importance of dynamic efficiency in a less developed economy. This requires more analysis of the nature of the possible economies of scale, the external effects in such economies, and the way in which they could be exploited by government interventi on. The debate on the role of the government was quite explicit after the World Bank had published a study in 1993 which contained an in-depth analysis of the backgrounds of the East Asian success. The new interventionists criticised the World Bank for the contents of this report ,the analysis in this report builds on an earlier World Bank report (World Bank, 1991) in which the neoliberal view on the role of the government is somewhat changed with respect to their previous attitude on this subject. Both the 1991 and 1993 reports assign a more positive role to government intervention. The reports argue that interventions may add to economic growth, provided that these interventions are market friendly. The market friendly nature of interventions means that markets ought to function freely, unless the results are clearly better in case of government intervention. Furthermore, checks and balances have to be introduced: interventions must always be subject to the discipline of the domestic and foreign markets as much as possible. Finally, intervention must be straightforward and transparent, based on clear regulations, so that the contents and consequences can be monitored by anyone. The 1991 World Bank report introduces the market friendly approach of government policy as the alternative road between market and government. Starting from this analysis framework, the 1993 report studies the economic development of East Asia and endorse the positive role of the government in the process of economic development of these countries. Furthermore, the report argues that the distortions that were a result of government interventions were small, especially as compared to those in other developing countries. Government policies were often embedded in a competitive environment, all according to the market friendly approach. At the same time, however, the analysis shows that government intervention was by no means always successful. The market is considered to remain the most efficient coordinating mechanism. Therefore, the report’s advice is to get the prices right. The final conclusion is that the most important positive contributions of government intervention referred to creating a stable macroeconomic environment – in the form of low inflation and government deficits, and a stable exchange rate – and investment in the development of human capital. The government created the right environment within which private initiative could optimally contribute to economic growth. Economic policies should concentrate on these factors, the World Bank argues. The recent World Bank report does only partly do justice to the new interventionist’s criticism. The policy recommendations still seem to be rather neoliberal. Although the World Bank report initially appears to lead to a synthesis of the neoliberal model and the new interventionist understandings, the policy implications of the analysis of the two camps differ very much. The new interventionists point at the importance of government intervention and set great store by industrial policies and the use of subsidies and other instruments in order to realise a dynamically efficient allocation of resources, whereas the World Bank continues to argue that the government ought to aim mainly at creating macroeconomic stability and should aim solely at creating the right conditions for private initiative. Conclusion To conclude, since the early 1990s there appears to be some general agreement concerning the debate on the role of the government in the process of economic development in East Asian countries. The World Bank – being the main representative of the neoliberal point of view – and its critics agree on the fact that the governments of these countries severely intervened in the economic process. Thus, it would make great sense for developing nations in Africa, South America and south East Asia to place prodigious importance of state intervention to economic development and to dismay the western â€Å"liberal† model as useless and deceptive. As they themselves (western countries, including Japan) all at some point in their economic development guided their economy towards what they thought was suitable and progressive, which is called â€Å"industrialisation†.