Saturday, August 31, 2019

Jane Eyre Essay

Charlotte Bronte’s novel Jane Eyre depends upon the carefully constructed development of its protagonist to forward themes of self-reliance, morality, and freedom. Because the novel’s protagonist, Jane Eyre, is depicted as being a person of moral fortitude and integrity, the abuse she suffers during the early part of the novel at the hands of her adoptive family instills within her a deep desire for independence, escape and personal freedom. The abuse that Jane suffers from her Aunt Reed begins within her, a feeling of separation and alienation. Jane begins to dream of finding a place where she can be accepted and where she really and truly belongs. As the novel progresses, the reader finds that Jane’s sense of alienation and her sense of solitude prove to bolster her inner-sense of integrity and morality. This fact becomes crucial when she makes the decision not to become Rochester’s mistress, even though she loves him. She understands that although her sexual liberation may be bound up with Rochester’s own desire to make her his mistress, her need to find a firm community and society where she feels respected and comfortable over-rules her desire for mere sexual liberation. The fact that, in the end, Jane is able to accept Rochester as her husband indicates that through the trial tribulation of the novel’s events, Jane retained her sense of morality and integrity which is rooted in her simultaneous need to belong to society and to be a free individual. In the long run, it is Rochester, and not Jane who has his moral weaknesses exposed, and who begins to regret his past life. Jane’s development of inner-strength and self-determination is rooted in the abusive experiences of her past and her character development in the novel establishes that, without a doubt, she has not only triumphed over the sense of alienation and loneliness which impacted her childhood, but she has become a moral example to others, and in doing so, achieved her persistent dream of finding a meaningful connection to a meaningful social collective or family.

Friday, August 30, 2019

Low Involvement Theory Essay

1.0 BACKGROUND OF FOUNDER They are two founders who developed Interpersonal Deception Theory. Judee Burgoon or known as Professor Burgoon is the director of Human Communication Research for The Management of Information Centre. Besides that, she is also She is Professor of Communication and Professor of Family Studies and Human Development at the University of Arizona She was the PHD holder from West Virgina University. Professor Burgoon has authored 7 books and over 240 articles, chapters and reviews related to nonverbal and relational communication, interpersonal relationship, the impact of new communication technologies on human and human-computer interaction, and other researches. Among the theories that she almost notably linked are Interpersonal Adaptation Theory, Expectancy Violations Theory and Interpersonal Deception Theory. During her career, she has received many awards such as, NCA’s Golden Anniversary Monographs Awards, the Charles H. Woolbert Research Award for Scholarship of Lasting Impact. In 1999, she got the National Communication Association’s Distinguished Scholar Award, its highest award for lifetime of scholarly achievement. While in 2006, she awarded the Steven Chaffee Career Productivity Award. The awards that she gained show that she was talented American Academic. The second founder is David Buller. Professor David Buller was the Professor at Northern Illinois University. He was the philosophy professor. Besides that he also was the writer. Among his publication are Function, Selection and Design, in 1999, Adapting Minds, Evolutionary Psychology and the Persistent Quest for Human Nature in 2005. He has also contributed a lot in writing articles to books and journals. During his career, Buller has experience in finance, management, operations and sales. He has served as chairman of the Writing Committee for Social Studies Standards for Minnesota public schools. In his community he has served on the Hugo Planning Commission and political party precinct chair. As an active member of several professional organizations, he has been president of both the Strategic Leadership Forum and the Association for Corporate Growth. He was also a leader of the Edison Electric Institute Strategy Group and the Society of Competitive Intelligence Professionals. He was graduated from the Centre for Business Intelligence. He was died in 2011. 2.0 BACKGROUND OF THEORY Interpersonal deception theory (IDT) explain the interplay between active deceivers and detectors who communicate with multiple motives, who behave strategically, whose communication behaviours mutually influence one another to produce a sequence of moves and countermoves, and whose communication is influenced by the situation in which the deception transpires (EmGriffin, 2000). IDT attempts to explain the manner in which individuals deal with actual or perceived deception on the conscious and subconscious levels while engaged in face-to-face communication (Buller, 1996). This theory is an interpersonal theory that a set of unchanging assumptions concerning interpersonal communication in general and deception in particular. This theory is developed by Judee Burgoon and David Buller. The core ideas of IDT can be divided into two which are Interpersonal communication is interactive and strategies deception demands mental effort. Firstly, interpersonal communication is interactive means that interaction, rather than individuality, is at the core of their theory. For instance, if the encounter between you and Pat actually took place, both of you would be active participants, constantly adjusting your behaviour in response to feedback from each other. Whatever story you tell, you shouldn’t expect Pat to remain verbally and nonverbally mute (EmGriffin, 2000). (Judee K.Burgoon, 1996) Second idea is strategies deception demands mental efforts which means that successful deceiver must consciously manipulate information to create a plausible message, present it in a sincere manner, monitor reactions, prepare follow-up responses, and get ready for damage control of a tarnished image-all at the same time. For example, If you choose to be less than honest in your surprise encounter with Pat, you may find yourself unable to attend to every aspect of deception, and some of your communication behaviour will go on à ¢â‚¬Å"automatic pilot.† (EmGriffin, 2000). 3.0 MAIN CONCEPTS/ VARIABLES 3.1 Leakage Leakage concept is the behaviour outside of the deceptive Sender’s conscious control, mostly nonverbal in character, can signal dishonesty and it is applied in IDT. The concept was developed by Miron Zuckerman, who created a four-factor model to explain when and why leakage is apt to occur (A.Fos, 2005). First, deceiver’s intense attempt to control information can produce performances that come across as too slick. Second, lying causes physiological arousal. Third, the predominant felt emotions that accompany deceit are guilt and anxiety. Fouth, the complex cognitive factors involved in deception can tax the brain beyond its capacity (EmGriffin, 2000). Under the four-factor model the extreme concentration required by an individual engaged in deception and employing the compensating mechanisms to mask that deceit may result in their performance appearing polished or rehearsed. Lying also causes a sender to become psychologically and physiological aroused. Suc h arousal is difficult to mask and will eventually evidence itself. It is this very principle on which the polygraph machine is base (A.Fos, 2005). 3.2 Truth bias According to Burgoon and Buller, people tend to regard interpersonal message as honest, complete, direct, relevant and clear although when the speaker lying to them. McCornack claims that there exists an implied social contract that all of us will be honest with each other. It means that a mutual understanding that our messages will reflect reality as we know it. Besides that, Burgoon and Buller also convinced that people who know and like each other are particularly resistant to doubting ach others’ words. For example, the warmth relationships are motivated to find truth in whatever the other says and thus overlook or rationalize away statements that others might find questionable. (EmGriffin, 2000). 3.3 Suspicion Buller and Burgoon picture suspicion as a mid-range mind-set, located somewhere between truth and falsity. In spite of the many ways that respondents could become suspicious, Buller and Burgoon have found that it’s difficult to induce a deep-seated scepticism. Doubters tend to favour indirect methods to gain more information, but there is scant evidence that these probes help unmask deception (Judee K.Burgoon, 1996). Suspicion occurs when someone is tried to find the truth from the others. The person becomes suspicious with people who make them unconfident to believe what the others talk about. It usually happens when the person does not believe what the person says and he/she will not accept the word hundred percent truths. For instance, when you have cheated by someone, it is hard to believe that person again. You become suspicious to whatever the person says to you. 3.4 Interactivity Interpersonal deception theory views deception through the interactivity of interpersonal communication. As such, it considers deception as an interactive process between a sender and receiver. In contrast with previous studies of deception that focused on the sender and receiver individually, IDT focuses on the dyadic, relational and dialogic of deceptive communication. Next, Dyadic communication refers to communication between two people. A dyad is a group of two people between whom messages are sent and received. While relational means that refers to communication in which meaning is created by two people simultaneously filling the roles of both sender and receiver. Dialogic activity refers to the active communicative language of the sender and receiver, each relying upon the other within the exchange. Deception uses when the communication of one participant is deliberately false. For a variety of reasons, including receivers’ own cognitive loading from ongoing information management and the development of rapport between parties as interaction unfolds, receivers will typically judge senders more favorably than passive observers. Obviously, there is a correlation between the level of favorable impression of the sender and the ultimate chances of undetected deception (Burgoon, 1996). 3.5 Strategic behaviour When the Receiver doubts the truthfulness of the information conveyed they will give clues in the form of non-typical behaviours. This will occur even if they attempt to mask such behaviours. Strategic behaviour is the proper behaviour or reaction that people use to act like nothing is happen or trying to hide a secret or the truth. However, deceptive senders are by their nature more attuned to sensing suspicion than the receivers are to sensing deception. Thus, senders will adjust their message and its manner of presentation if they sense suspicion. This serves to make deception all the more difficult to detect. For instance, there is what is known as the â€Å"Othello error.† Individuals who are actually telling the truth behave in the same way when falsely accused or confronted with suspicion as do those guilty of actual deception. The term Othello error refers to the situation where a truth teller’s adaptation to a false accusation strikes the respondent as devious (Hearn, 2006). 3.6 Deception in Communication Buller and Burgoon are more concerned with an individual’s motivation than with their actual actions in determining deception. In their work they found that every deceptive act has, at its core, at least one of three motivations. The first is to accomplish some task or attain some goal. Second, the communication may be directed at maintaining or creating a relationship with the other party. Finally, deception is often used to save face of one or both of the parties to the communication. Most people are uncomfortable when engaging in deception. One way in which they deal with this feeling is to attempt to disassociate from the behaviour. For example, when people try to lie they try to react like normal but there must be something different like reducing eye contact or through their body movement. (Judee K.Burgoon, 1996) The other ways that senders deal with the deception is to engage in their masking behaviour. Masking is an attempt to protect the sender’s self-image and their relationship with the Receiver. When engaging in intentional deception senders will attempt to restrain any bodily cues which may signal deception. They may also engage in compensating behaviour, such as exhibiting extreme sincerity. The difficulty is that the detection of all of these behaviours can only be done if they are measured against the sender’s base-line behaviours (Judee K.Burgoon, 1996). 3.7 Falsification, Concealment and Equivocation One strategy is falsification where the deceiving party also referred as sender. While the person who is flat-out lies of the communication called as receiver. It means that the sender creates a fiction to deceit. For example the sender will creates a story that not really happen just only to lie or hide the truth. The second type of deception is concealment. In concealment the sender omits certain material facts which results in deceptive communication. Finally, equivocation is included in the roster of deceptive behaviour. When employing equivocation the Sender skirts issues by, for instance, by changing the subject or offering indirect responses (Hearn, 2006). Nonverbal cues A nonverbal cue is important element in IDT. People can detect deception through non verbal cues. Although people can manipulate their words, however it is difficult to hide their truth nonverbal cues. Nonverbal cues are including facial expression, eye contact, gestures and touch. When someone try to hide secret or lie, they are difficult to hide their facial expression and especially their eye contact with others. They try to reduce the eye contact with others and the way they talk, they move or react is little bit different from their usual reaction. 4.0 Development of IDT Interpersonal Deception Theory (IDT) is generating from the concept of nonverbal cues to detect deception during conversation. The idea of this study was come from Sigmund Freud who studied about nonverbal cues in detecting deception among people. In his study, Freud observed a patient being asked about his darkest feelings. If his mouth was shut and his fingers were trembling, he was considered to be lying. From the situation, he tried to study more about nonverbal cues. Then, in 1989, DePaulo and Kirkendol developed the Motivation Impairment Effect (MIE). This occurs when a person’s motivation to succeed at lying negatively affects on the person’s performance, making the lie less convincing. (Kirekendol, 2011). MIE states the harder people try to deceive others, the more likely they are to get caught. Burgoon and Floyd, however, revisited this research and formed the idea that deceivers are more active in their attempt to deceive than most would anticipate or expect. For instance, DePaulo has estimated the human ability to detect deception at 53%, which she states is â€Å"not much better than flipping a coin.† She has also stated that â€Å"human accuracy is really just better than chance.† (Hearn, 2006). In 1996, IDT was developed by two communication professors, David B. Buller and Judee K. Burgoon. They restudied the studies made by Sigmund Freud, nonverbal cues, and then they observed DePaulo and Kirkendol† studies which they developed about Motivation Impairment Effect. Judee Burgoon and David Buller then combined both studies and they studied in depth about deception in conversation among people. Prior to their study, deception had not been fully considered as a communication activity, it is more like theory of communication strategies use to lie or hide the truth information from others. Previous work had focused upon the formulation of principles of deception. The principles of Interpersonal Deception Study were derived by evaluating the lie detection ability of individuals observing unidirectional communication (Hearn, 2006). The early studies of Interpersonal Deception Theory found initially that, although humans are far from perfect in their efforts to diagnose lies, they are substantially better at the task than would result merely by chance. However, this statement should be contrasted with subsequent statements made by the same researchers. Buller and Burgoon discount the value of highly controlled studies. Therefore, IDT is based on two-way communication and intended to describe deception as an interactive communicative process (Hearn, 2006). Based over years of the author’s and other scholars’ research, IDT expound on the dynamics properties of interpersonal communication, nonverbal behaviour, message processing, credibility and deception as it is achieved through interpersonal interaction. 5.0 Application of IDT IDT demonstrate that people are poor at detecting deception. Thus, it is crucial that one not rely upon a perceived ability to detect deception in the negotiation context. There are habitual liars who compulsively engage in deception. However, most people do not lie without reason. It is natural to think that deception would be beneficial to any negotiating party. Many statements will be made in the course of a negotiation. Not all statements will completely true or completely false. The language used to achieve a specific task can be varied as the people who feel a need to deceive. Yet Buller and Burgoon list some characteristic that reflect strategic intent. 5.1 Uncertainty and vagueness If we do not want our friend to know about our absent for class yesterday, we must keep the answer short and noncommittal. If we say, â€Å"I’m sick† the brevity precludes detail to challenge (Burgoon, 2000). Another way is to speak in the passive voice and use indefinite pronouns. 5.2 Nonimmediacy, reticence, and withdrawal We wish not to be there when our friend ask why we did not come to class yesterday. That desire to be out of the situation is often encoded in nonverbal actions. We might sit further apart that others, or lean back rather than forward as our answer. Words also can show nonimmediacy when the speaker changes verbs from present to past tense (Burgoon, 2000). 5.3 Disassociation This is the way of distancing yourself from what you have done. Levelers are inclusive terms that do this by removing individual choice (Burgoon, 2000). For example, we will tell our friends that everyone has done it and not attending class is normal. All of these linguistic constructions sever the personal connection between the actor and the act of deception. 5.4 Image- and relationship-protecting behavior Since discovery could hurt their reputations and threaten their relationship, they consciously strive to suppress the bodily cues that might signal deception. To mask the cues that leak out despite their best efforts, they try to appear extra sincere. Deceivers tend to nod in agreement when the respondent speaks, avoid interrupting, and smile frequently (Burgoon, 2000). 5.5 Flood the circuits Interpersonal Deception Theory demonstrates that when a Sender’s cognitive abilities are â€Å"overloaded† they will begin to leak. It stands to reason that the greater the load, the greater the leak and the easier its detection. Another major premise of Interpersonal Deception Theory is that individuals are poor lie detectors in one-on-one communication situations. Thus, it would appear to be to a negotiator’s advantage to increase the load on their opposite (Burgoon, 2000). 5.6 Falsification, Concealment and Equivocation One strategy is falsification where the deceiving party also referred as sender. While the person who is flat-out lies of the communication called as receiver. It means that the sender creates a fiction to deceit. For example the sender will creates a story that not really happen just only to lie or hide the truth. The second type of deception is concealment. In concealment the sender omits certain material facts which results in deceptive communication. Finally, equivocation is included in the roster of deceptive behaviour. When employing equivocation the Sender skirts issues by, for instance, by changing the subject or offering indirect responses (Hearn, 2006).

Thursday, August 29, 2019

An Overview of the Legitimization and the Improvement of Drug Rules in America

An Overview of the Legitimization and the Improvement of Drug Rules in America Reforming Americas Drug Policies. An extremely controversial question lingers among citizens and government officials of the United States today. Should drugs be legalized ? Is the War on Drugs working ? After thoroughly researching this topic and understanding each side of the argument, I can easily state that the War on Drugs is not working, and the United States government has taken the wrong approach on handling drugs in the United States. Although it may seem as a problematic solution to some Americans, the legalization (and regulation, of course) of drugs is the only way to solve the issues caused by the newly founded War on Drugs. Legalization will not only halt the wasteful, ineffective War on Drugs, but it will help the United States economy, and solve the over crowding problems in our jails and legal systems that are caused by this war that was begun for the nations public health(Harris 1). Despite the strong opposing arguments, many disagree with this opinion. Many people say the War on Drugs is working, and no benefits can result from legalizing drugs. Drugs are looked down upon, and some are known to be very dangerous, even lethal if abused. In addition, some say drug use rates would only increase if legalized, causing even more problems among our communities. Most people would assume drugs would be more readily available to our youth, and addicts would just be able to get the drugs they crave easier. It is easy to assume things such as this when hearing that legalization is the solution to our nations drug problems, but these assumptions are indeed wrong. When government and health officials in our country became aware of some of the problems certain drug users were going through, such as drug abuse, violence, and death, the officials in our government began to make more and more laws restricting drugs in the United States. These resulted in the prohibition of drugs, making all drugs illegal to posses, manufacture, or distribute (Schaffer 3). Then Nixon declared war on all drugs, and the War on Drugs began, becoming increasingly worse as the years progressed. Under Nixons orders, drug laws became stricter, and efforts were made to try and influence the American population not to do drugs. Lies and propaganda were used in commercials, while outrageous claims were being made to scare people away from drugs (Harris 2). Right away, problems were being caused. The US prison population was relatively stable from about 1926, when figures were first compiled, through 1970. After this point, the effects of Nixons war against drugs, and later t he Reagan and Bush war against drugs, produced a dramatic increase in the number of prisoners. (Schaffer 39). Today, this problem has progressed and has become even worse. There are currently about 1.5 million people in state and Federal prisons and jails throughout the United States. At the current time, at least 24 states are under Federal court orders to relieve prison overcrowding.(Schaffer 39) Despite these high numbers of prisoners that resulted from the War on Drugs, about 10 million Americans are casual drug users (Schaffer 4). These statistics clearly show that a large portion of Americans still use drugs, despite the strict laws that make them illegal. Despite the $15 billion spent on drug use prevention every year, most Americans agree that it is not working (Schaffer 5). American citizens are not the only ones holding the opinion that the war is not working. Official reports state that the war on drugs has reduced the American supply of drugs 10 to 15 percent. However, f ormer San Jose Police Chief Joseph McNamara told New York Magazine, Off the record, [the Drug Enforcement Agency says] its more like one percent.'(Schaffer 32). In addition to the War on Drugs being ineffective, the legalization of drugs will not only eliminate that problem, but it will eliminate other problems caused by the prohibition of drugs. One huge problem in our government today is the money wasted on trying to enforce these drug laws. Jails are also becoming overcrowded, clogging our court systems, and wasting even more money. Some people think that it is good that many convicts go to jail, because it eliminates the violence that supposedly is linked to illegal drugs. Violence is not linked to the use of illegal drugs, and it is only caused by the prohibition. Of all psychoactive substances, alcohol is the only one whose consumption has been shown to commonly increase aggression.(Harris 7). All major authorities agree that the vast majority of drug-related violent crime is caused by the prohibition against drugs, rather than the drugs themselves. This was the same situation which was true during alcohol Prohibition. Alcohol Prohibit ion gave rise to a violent criminal organization. Violent crime dropped 65 percent in the year Prohibition was repealed (Schaffer 12). It is obvious that the prohibition against drugs is the problem, and not the drugs themselves. The violence caused by prohibition is apparent in drug marketing, such as disputes among rival distributors, arguments and robberies involving buyers and sellers, property crimes committed to raise drug money and, more speculatively, social and economic interactions between the illegal markets and the surrounding communities (Schaffer 26). Additionally, the money spent each year on this war could be saved, and used more productively. If the governments of America didnt have to spend so much money on putting drug offenders in jail and making efforts to reduce drug use, they could more wisely use the money on putting more serious criminals in jail. The money could also be used to help more drug abusers with their problems. One way to save much of the money sp ent on the war would directly result from less citizens being put in jail for drug offences. State prisons are so crowded, that at least 24 states are under Federal court orders to relieve prison overcrowding. On average, it costs thirty thousand dollars a year to hold one prisoner in a jail (Schaffer 24). The cost to put a single drug dealer in jail is about $450,000. The same $450,000 can provide treatment or education for about 200 people. In addition, putting a person in prison produces about fifteen dollars in related welfare costs, for every dollar spent on incarceration. Every dollar spent on treatment and education saves about five dollars in related welfare costs. (Schaffer 19). Legalization clearly demonstrates benefits that outweigh any negative effect in this situation, and this can lead to making our communities much better places. Not only would the people of our country gain from legalization of drugs, but our countrys economy would as well. The best analysis done to date by any Federal official shows that legalization of the now illegal drugs would result in a net $37 Billion annual savings. This estimate is considered conservative. That is, it is likely that the savings would be more (Schaffer 18). One important substance that would aid in the boost of our economy is marijuana, or the hemp plant. Hemp is cheaper to produce than cotton, and has many more uses and benefits than cotton does. Growing hemp plants as a cash crop would provide many jobs, and prove to be a large, profitable industry (Gieringer 4). Not only will marijuana be used as a cash crop, but it can also be sold to many Americans, with regulations such as those for alcohol. Substances would be safe because they would come from plausible drug companies, it would eliminate dealers from trying to sell drugs, and it would also be taxable, generat ing money for the government. Marijuana legalization offers an important advantage over decriminalization in that it allows for legal distribution and taxation of cannabis.(Gieringer 5) Also, by eliminating dealers and placing regulations on the substance like those on alcohol, marijuana would also be harder for the youth to get a hold of (Gieringer 7). Altogether, legalization would save the taxpayers around $8 $16 billion, not counting the economic benefits of hemp agriculture and other spin-off industries (Gieringer 8). There are clear positive effects on our economy that could result from the legalization of drugs, or even marijuana alone. The legalization of drugs may seem to be a solution that would only cause more problems in our society, and it may seem that drug use would only increase. However, by making all drugs illegal, the government has taken the wrong approach on solving our nations drug issues. The War on Drugs has proven to only more problems in our society, and these problems can and should be eliminated. There are far too many benefits of legalizing drugs for our countrys laws to remain as they are. Not only is the drug war ineffective, but has caused our jails to become overcrowded. It has also brought violence among our nation with the drug traffickers that smuggle drugs into the country and distribute them. The sixty seven billion dollars that is spent each year on the war on drugs can be used more productively by solving many of our nations other problems, in turn making our country a better place to be.

Wednesday, August 28, 2019

Drivers today are very dangerous Essay Example | Topics and Well Written Essays - 500 words

Drivers today are very dangerous - Essay Example Many of these games simulate the driving of some sort of vehicle. By the time some teenagers are eligible for their driving permits at age sixteen, they have had thousands of simulated crashes. This leads to a certain immaturity behind the wheel. These young drivers are especially dangerous because there is never a real negative consequence for recklessness in a video game. Actually, in most games, you are rewarded for dangerous driving. These young drivers are a hazard to us all. But not all dangerous drivers are young. Some dangerous drivers are as out of touch with reality as a sixteen-year-old cyber driver, but they cant blame their dangerous driving on immaturity. Theirs stems from a lack of self-control. Road rage is a situation where a driver becomes furious over another persons driving or road conditions in general. Perhaps traffic is at a standstill or they are in a long line of cars stuck behind a slow driver. Whatever the cause, drivers that exhibit road rage are a danger to us all. Shouting or swearing at other drivers shows their lack of self-control. A raging driver is a distraction to the person they are assailing. This can cause an unsafe situation. Even more dangerous is when a person engaging in road-rage decides to drive erratically or to even bump another vehicle. This level of anger creates a situation where serious damage can occur to another drivers car of the driver herself. As our lives get busier and roads get more crowded, road rage is increasing. More road rage means that drivers are more dangerous today that they have ever been before. Road rage impairs a drivers ability to react rationally to changing driving conditions. Other dangerous drivers are impaired b efore they even sit in the car. Drunk driving is the greatest cause of danger on our roads today. Drink drivers cannot physically operate their cars in a safe manner. Depending on how drunk the driver is, they may harm or

Tuesday, August 27, 2019

National Income Determination Term Paper Example | Topics and Well Written Essays - 1500 words

National Income Determination - Term Paper Example Two common measures of income are GNP (gross national product) and GDP (gross domestic product). GDP measures the total value of output (goods and services) produced by the factors of production located within the country's boundary in a year. The factors production may be owned by any one - citizens or foreigners. GNP is the total value of output (goods and services) produced and income received in a year by domestic residents of a country. It includes profits earned from capital invested abroad. While taking them both together we get, Economically speaking when the demand for commodity goes up; the production increases. Income leads to expenditure which again leads to production. Thus production, income and expenditure are mutually related; economic activities are related to these 3 stage. Based on this 3 methods are used to calculate national income National income's measurement is necessary for a country due to various purposes; it helps in projection of future course of economy, estimates economic development and how far have they been achieved, helps government to design suitable development policies, helps firms in forecasting the future demand of their product, tells the contribution of various sectors to national income and facilitates international comparison. Various problems rise while measuring national income. ... For e.g. we can not add kilograms of wheat, to meters of cloth, to tones of coal in physical terms. (G.F. Stanlake, 1995). Thus the only common measure is money. Secondly when goods and services have no market price values difficulties are encountered like in public services such as defense, law and order, education and health services. The solution adopted is to measure their values at cost. Then there are problems with the goods and services which people provide for themselves like farmers consume some of their own output or much of repair and improvement work is done by 'do it yourself' basis. Rough estimates are used in these cases in measuring national income. Double counting is yet other problem as the output of one firm are the inputs of other firm; two ways to tackle this is either by adding value of final product or totaling the values added at every stage of production. National output is measured at times in terms of factor cost, using market prices could be misleading thi s is another problem associated with measurement of national income. Measuring national income Three different methods are used based on different views of national income. Firstly the production method in which national income is viewed as the total output from domestically owned resources during the course of year. This is the most direct method where the output figures of all the firms in the country are taken. Exports are included but imported materials and services are excluded (this is automatically done as values added in the country are taken). This will give us GDP and to it add NPIA. Income method the second approach is viewed in terms of incomes earned by factors of production engaged in producing the national output. As the total product is valued at factor cost,

Monday, August 26, 2019

The Bridge on the River Kwai Movie Review Example | Topics and Well Written Essays - 2000 words

The Bridge on the River Kwai - Movie Review Example The story speaks about living in dignity, being civilized and treating others in a human manner regardless of their condition and status in life. However, it also speaks about the realities of the possibilities that the good motives of dignified men, trained and educated to do service to other people, may well be mixed with personal intentions and objectives that is, to satisfy one’s ego and desires by being known throughout the world for ages because of their achievements. Colonel Nicholson presents a confusing character. He was stubborn in demanding his rights and for a viewer, it would be hard to understand why he would allow himself to suffer rather than just obey orders and be treated well. He is also an interesting character who stirs curiosity from the audience. The initial reasoning of the British colonel is highly commendable. He thought about the good of his officers, fighting for their rights. It is highly appreciated for an officer to keep to the rules and regulati ons even in the face of death. In defending his and the rights of his officers, colonel Nicholson endangered his life as well as his officers. Still, wanting to show his men the principles that he clings to, he defied the Japanese commander. When he was punished, caged in a box like an animal, he did not allow his situation to limit or even depreciate his beliefs rather he stood his ground that the British officers will have no part in the manual labor demanded by the Japanese as stated in the international law. This showed cultural issues, with the British showing diplomacy and the Japanese showing barbaric disciplines. In the course of time, when the Japanese commander was pressured by his deadlines, he eventually had to bend his rules against his will to the demands of the British officer if only to save his life from the dangers he faces if he was not able to meet his deadline for the construction of the bridge. Having regained his power and dignity in the presence of the Japane se soldiers, colonel Nicholson solicited the help of the British officers and soldiers to build the bridge they were ordered to do, the best thing that happened in the movie. The colonel had good intentions of showing how diplomatic the British could work with their enemies and let them appreciate the ‘civilized’ living they have, adhering to rules and respecting humanity, giving them the dignity of human beings. Instead of working against their enemies as initially intended, the British prisoners of war worked in their favor. The engineer revealed the mistakes in building the bridge on an unstable area and he collaborated with the other officers to plan to make a good bridge. The ideal of Nicholson were logical he could even convince any viewer with it. Build a bridge of good quality and show the Japanese what British soldiers could do, boost the morale of the soldiers and uphold their dignity and, to top his reasoning, the project would be for the good of the British government, were what the officer said. Building the bridge would be a diplomatic act in favor of the British government, he reasons. But was that really it? When the engineer told Colonel Nicholson that the bridge they were to build is similar to the medieval London Bridge that stood six hundred years of service, he became ecstatic, more driven and ambitious. He probably was

Sunday, August 25, 2019

Slavery in Farming Research Paper Example | Topics and Well Written Essays - 3000 words

Slavery in Farming - Research Paper Example What is their living pattern, how much are they paid, what kind of working conditions are they experiencing and are they satisfied. In a Country like the United States, there are about 1.4 million farm workers who work in states like Washington, Texas, North Carolina, Oregon, Florida and about one-third of them are living in California. Majorly the farmers are working on the large farms. Most of the farm workers are immigrants and are part of the temporary population. From the times of Chinese gold diggers coming from the Pearl River Delta and trying to work on their native horticulture especially in the valleys and areas of California from the 19th century, the farm workers are most marginalized and are living a life which is precarious especially in the agriculture state along with slavery practice bringing with it from the South a lot of concerns about the agriculture. They are problems and the major problem is their language problem and this makes them live an isolated life, tota lly away from the outside world (Hopkinson, D. 2006).   During the New deal era, there was a Wagner Act along with national labor relations act which was signed by the President Franklin Roosevelt during the year 1935, sadly the farm workers were excluded from these acts as per the demand and request of the democratic senators coming from the south. They were not ready to extend the privileges to the African Americans and these were mostly the farm workers who were working in that region. The situation and condition along with the treatment had been the same with the farm workers since that time and no remedies and solutions have been taken out to work or improve conditions for them or think about them. Minimum wage laws do not apply federally to the farm workers along with the farmers not being entitled to the overtime pay as well. The labor rules totally change for the farm workers. Children who are of 12 years can be hired to work on the farms. According to some researchers and surveys, there has been an estimation of about 300,000 and 800,000 who work in the American fields at some point in their life in a year. There is no proper system to check, track and count them and their work. A lady from Bon Appetite Management company foundation, Vera Chang said that last week at the Eco-Farm Conference that about 22 full-time inspectors are taking control of 1.4 million farm workers and even during the 21st century there has been a systemic progress linked with the farm workers and their situation. Throughout America different incidents took place, from farm owners who were existing in Florida were charged for violating human rights and there have been about eight cases which involved slavery and about more than 1000 farm workers who were foreigners were prosecuted (Bushman, C. L., & Walker, J. 2002).  

Financial analysis report Essay Example | Topics and Well Written Essays - 1500 words

Financial analysis report - Essay Example Some of the strategic business sales include sale of two European security hardware business namely Corbin and NEMEF during January 2004 and sale of DOM security hardware in November 2005. The analysis of the performance of Black & Decker Corporation is split into two parts. Part One deals with the company's situation for 10 years post acquisition of Emhart Corporation for $2.8 billion in 1989. Part two would deal with the performance of the company during more recent times, including the year 2005 and first quarter of 2006. The financial performance of Black & Decker post its acquisition of Emhart Corporation had been standard. A simple glance at the ten year consolidated financials would tell us that sales has grown only by an average of 42% ($1348 Million) during 1989 to 1999. A deeper analysis throws light on the fact that sales numbers have grown only from 1989 to 1994. Post 1994, though sales during 1996-1997 shot up to $4900 million mark, the rest of the period have only had a stable number revolving around the $4,500 Million mark. A quick glimpse at the 10year financials shocks the reader that the Operating Income has grown over 100% during 1989 - 1999 period. But analysis reveals that the average growth in Operating income over the 10 years has been very meager with negative growth being recorded in 3 out of the 10 years. Actual average stands at 9.4% growth as an average of 10 years. In the year 1998, the company recorded an earning (loss) from continuing operations at ($754.6) Million, but qu ickly took hold of the situation and revised its earnings from continuing operations to a profit of $300.3 Million the next year. A striking feature of the company is its large reduction in number of employees from 1989 to 1999. The company's employee strength stood at 38,600 during 1989, while it reported its employee strength at 22,106 during 1999. Ironic to a growing company, this gross reduction of 74.6% in 10 years is surprising. I believe the shareholder of the company would have been quite disappointed seeing the NIL or minimal growth in the dividends declared. The dividends declared stayed constantly at $0.40 per share from 1989 to 1995 and increase by a meager $0.08 to $0.48 from 1996 until 1999. Analysis of the ratios of the company for the period 1989 - 1999 reveals the following. The average of operating income ratio over the 10year period stood at 6.79% (CAGR 74%) with the highest recording at 11.86%(1999). Though this seems quite low, the company has posed a net profit record for the majority of the ten years. The net profit average stood at 0.48% (CAGR 5.30%). This had a positive impact of the stock prices, which is also evidenced by the growing prices of the company stocks during the period from $10 range (1989) to $60+ range during 1999. The average return on the total assets for the 10year period stood as low as average of 0.03%. This shows the in-effectiveness with which the company has deployed the capital though not a conclusive evidence. The average earnings per share (EPS) over the 10year period stood at 0.22 per share, which seems good for the average dividend of 0.40 to 0.48 per

Saturday, August 24, 2019

Different Aspects of Evidence Law Case Study Example | Topics and Well Written Essays - 2250 words

Different Aspects of Evidence Law - Case Study Example Usually evidence of some struggle or resistance by the complainant maybe the best proof of lack of consent but this is not always necessary. It will be recalled in the case D.P.P. v Morgan3 the House of Lords held that if an accused person believed that the woman was consenting he should not be guilty of rape even though he had no reasonable grounds for his belief. The mental element of rape is intention to have sexual intercourse without the woman's consent or not. The sexual offences (Amendment) Act 1976 amended the law relating to rape in England by providing that a man commits rape if he has sexual intercourse with a woman who does not consent to it; and at the time he knows that she does not consent to it or he is reckless as to whether she consents to it. The amendment in effect confirmss the decision in D.P.P. v Morgan. A similar case was reported in Jamieson v HMA4 This Scottish criminal case decided by the High Court of Justiciary on appeal held that a man does not commit rape where he honestly, albeit unreasonably, believes his victim is consenting. For the facts of the case: Phil raped Jill in a lane close to the house that Jill shares with her mother, Bunty, and her two sisters, Joleen and Shula. Bunty was still up when Jill returned home on the night of the alleged rape, but Jill said nothing about it. She did not mention it to her mother or sisters the next morning, but told Joleen about it two days after the alleged incident. Whatever reason made her to report an incidence, as rape 2 days after it occurred is very suspicious. Rape, as stated earlier is a criminal offence punishable by life imprisonment. Not telling of the incident the moment it happened could mean that she was not raped on that night. It could be that she finds Phil as the most culpable person to put a rape charge on when she was raped two days after having sex with Phil. The doctrine of break in chain of causation could be applied here. Lord Hoffman in Environment Agency v. Empress Car Company Ltd5 had spelt out the test of causation: whether the intervening act was an "ordinary" occurrence, which would not be a novus actus, or something "extraordinary". In this case Jill is claiming to have been raped by Phil and did not report the rape to her mother on the night neither did she scream for help from passersby. The delay in reporting the issue of rape can cause for the doctrine of break in chain of causation to be applied. The period bet ween when she alleged the offence to have been committed and the period of reporting it is so long that any thing could have happened within that period. This makes her claim of being raped by Phil very questionable. Phil and Jill have a one-year

Friday, August 23, 2019

Methodology Essay Example | Topics and Well Written Essays - 1000 words - 2

Methodology - Essay Example Over the last few decades, the exploring and understanding of phenomena has given birth to various paradigms of social research, especially in context of educational betterment. Paradigms are a mixture of concepts and variables, attached to methodologies and tools that can help shape research into a certain subject or verify a certain theoretical proposition (Saunders et al, 2006). The positivist paradigm seeks to gather true knowledge, utilising a method of observation and experiment. The primary approach used in this paradigm is quantitative, with surveys and experiments becoming the tools to gage relationship and effect between two or more entities. On the other hand, an anti-positivist paradigm approaches a research subject under a qualitative cloud, using case studies and phenomenological methods to understand a single entity and its activities. In reference to this paper, the approach taken is under the positivist paradigm, as the crux of the research is evaluating the link between two or more entities, and the effects of change that is passed because of the existing linkage. However, the author acknowledges the importance of the anti-positive approach, and aims to undertake some tools of this methodology like interviews, in order to reach a more comprehensive conclusion. The methodology of research adopted is important in selecting the most suitable approach by which the researcher can answer the aims of a paper. A part of the approach is linked to the strategy adopted by the researcher; if deductive, the researcher is seeking to develop and test a theory, while if inductive, it involves the gathering of data from which a theory is likely to be built (Saunders et al, 2006). The research in this paper is set around understanding the linkage between the Indian textile industry with the Western markets of Europe and US, and the impact of the global downturn and financial

Thursday, August 22, 2019

I.G. “International Grocer” Essay Example for Free

I.G. â€Å"International Grocer† Essay 1. Values and principles a. Respect; at I.G. we treat all of our employees with courtesy as human beings first and foremost, at the same time; we stand strongly against any actions of exploitation and taking advantage of others. We welcome, acknowledge and respect other opinion. We deal with our difference with open mindedness. b. Honesty; at I.G. We expect all employees to be honest about their work and how they feel about the management. While honesty is a difficult value to be accomplished by all employees, here at I. G. we encourage honesty by rewarding good honest actions and feed backs that lead to company improvement, and by setting a high level of forgiving threshold when mistakes are made and admitted. c. Tolerance; at I.G. is a tolerant work environment. Our employees are made of men and women of all ages and different back ground and cultures; we don’t tolerate any prejudice and biases towards any employees in any way shape or form. d. Caring; at I.G. we care about each employee and ask that you do the same to the company! We expect all employees to show compassionate and practice forgiveness when possible. 2. Accountability: a. Responsibility for own actions; every individual is responsible for their own actions whether they are positive or negative. Positive actions are recognized and acknowledged by management for rewards, and negative actions can lead to disciplinary actions. b. Appropriate use of information; the use of information on a need to know basis, information should only be conveyed to the appropriate employees. Company’s plans, pricing, pay scale, etc. are not to be disclosed without proper approvals. c. Avoiding conflict of interest; keeping the Company’s interest should every employee’s priority. 3. Standard of conduct and practice a. Complying with Job description; every employee is hired with a set of skills that should allow them to perform their jobs, and expected to comply with the task that is been assign to them. b. Commitment and loyalty;  employees are expected to be satisfied with their workload and resources at their disposal to do their jobs and fell proud of what they do. The Goal at I.G. is to make all employee feel a sense of ownership at the company. c. Proper technology use; Data is an important part of our everyday operations. The use of computers hardware, internet services, and emails should be used exclusively for work purposes. 4. Disciplinary actions a. Dealing with complains; proper investigation will be conducted to handle complaints. Every complaint will be handled very seriously by our HR, no matter how small and insignificant it might seem at that time. We have a zero tolerance for any sort of harassment, work violence, and any misconduct. We encourage support employees to step up and file a complaint when they feel uncomfortable in their surroundings to avoid bigger problems and to find workable resolutions in a timely manner. b. Penalties for violations; Employees will be written up for wrong doing for two times, Third time could lead to suspension or termination of job. Crimes (identified by local law enforcement) will be turned over to the police to handle. B. Training Program: 1.Training will be held quarterly y to insure that all employees are up to date with Ethical training. Training will be based on a simulated scenario from different departments. Training will include but limited to I.G’s standard and procedures guide. 2.Training will be Web based an interactive; this will include short quizzes to ensure that the information is understood and comprehended. There also will be suggestion box to listen to other alliterative training delivery methods. Employees who attend all 4 ethic trainings in the year, and pass the quizzes will get an appreciation bonus. 3.Training will take 2 hours; it will be in the conference room with maximum attendance of 10 employees at a time. Employees will be given an opportunity to block their preferred time to attend one of 5 conferences during the week. 4.Training will be presented by professional third party company, I.G. Managers will be trained and certified to help conduct all trainings. C. Explaining the process for the following: 1. Monitoring Employee Misconduct: a. All Misconducts will be immediately recorded in the employee record. I.G. will utilize all of its resources to educate all employees with the company policies. HR will write up, reprimand, and/or terminate base on the level of misconduct and the findings. b. I.G. will continually monitor any harassment actions, internet misuse and theft during work hours and breaks. c. Company resource such as video surveillance, internet logs, and review of anonymous complaints will be used to monitor misconduct. 2. Auditing employee Misconduct: a. Auditing will include a full review of recorded phone conversations, call logs, internet records and employee records of pervious misconduct. Auditing will take in consideration the possibility of being misunderstood before taking a corrective action. b. Audits will be conducted in infrequent patterns; they will be announced the day of the audits. c. Management will assign a combination of HR and Department Managers to conduct audits. 3. Reporting Misconduct I.G. has an open door policy to bring issues to the HR office without the fear for recourse; HR will handle all misconduct complaints with confidentiality. Also employees can write a letter with anonymous Complaint and drop it in the suggestion box.

Wednesday, August 21, 2019

Theme of Imprisonment Essay Example for Free

Theme of Imprisonment Essay Within the novel ‘Regeneration’ Pat Barker explores the theme of imprisonment and the feeling of ‘being trapped’ through the use of setting and the characters mentality. ‘Regeneration’ was written in 1991; however, Barker sets the novel in 1917, during the First World War. The setting for this novel is at Craiglockhart War hospital in Scotland and is mainly rooted to this one location. It is at Craiglockhart that Barker explores the theme of imprisonment. It’s not the characters which Barker uses to show imprisonment and feeling ‘trapped’. Barker uses the setting of Craiglockhart to expand the reader’s visual image of how the characters are trapped or imprisoned. Sassoon, in chapter five, makes a comparison between Craiglockhart and ‘dottyville’ by saying; ‘It makes dottyville almost bearable.’ Barker mostly uses the interior landscape of Craiglockhart to show that the characters are still trapped in the war. For example, the corridors are described with a powerful simile; ‘like a trench without a sky’. By using this description, it links the hospital and the front line together and this could perhaps make some patients worse under those conditions. The description could suggest that the corridors are worse than warfare trenches because there is no natural light above them but instead a dark and dingy room. The setting of Craiglockhart is still darkened even at the very beginning of the novel; ‘Nobody arriving at Craiglockhart for the first time could fail to be daunted by the sheer gloomy, cavernous bulk of the place.’ This allows the reader to get a first impression of Craiglockhart. Being in a place like Craiglockhart shows how soldier’s conditions deteriorated through society constrictions. Throughout ‘Regeneration’, Barker uses a theme of Imprisonment in the presentation of her characters. This is to show that although they are physically away from the war, within their minds they are still trapped within the warfare. The character of Burns is first brought to the reader’s attention in chapter two. He is described as a ‘thin yellow skinned man’. The colour ‘yellow’ being significant as to show illness and how close to death he is. who keeps violently throwing up due to a horrific war experience Barker has purposely twinned with Burns. ‘He’d been thrown into the air by the explosion of a shellwhat filled his nose and mouth was decomposing human flesh’ Here , Barker uses descriptive language to support her ideas about the true horror of war and what effects it may have upon the soldier. With Burns, he is still mentally trapped within that memory and the theme of imprisonment first becomes apparent in chapt er four with Burns conflict with the setting. Barker uses an extended metaphor when dealing with the bus journey and this give Barker an opportunity to use visual imagery. Barker creates the bus journey to be a very difficult time for Burns as everything he smells makes him want to be sick. Barker has made Burns character to feel trapped in cowardice and has a constant fear of judgement for not returning to the front line. However, it was the un-enlisted men who were deemed cowards during the early twentieth century. Later on in Chapter four, Burns removes his clothes and lies down next to the dead animals. For Burns, he feels like this is the right place and feels that while he lays next to the burdenless animals , he too has lost the burden of the war. Barker decided to make Burns psychological effects a lot worse and deeper than other characters. Barker has almost made this seem like a cry for help. Back in 1917, this sort of behaviour would have been deemed as ‘going mad’ and wasnt seen as the masculine behaviour men were expected to obtain. When Barker describes Burns ‘stumbling’ across the field, she uses personification when it says; ‘tensing himself against the wind that seemed to be trying to scrape him, a fiercer gust snatched his breath’. This could show that Burns is fighting a invisible barrier which keeps pushing him back and not letting him through and this connects with Burns fighting against his internal struggles against the war. . The character of Billy Prior is introduced to the reader as a mute. The way in which Barker has shown the theme of imprisonment through Priors is through the use of reoccurring nightmares. He wakes up in the middle of the night screaming which is when he regains his voice. Although he gets his voice back, the reoccurring nightmares how that a part of priors mind is still ‘trapped’ within the warfare. This could also show that Barker put across the point that nightmares to soldiers could represent how they are constantly reminded about the horrors of war, and they can never escape it. Barker shows that soldier’s uniforms are constraints to them and this is apparent throughout the novel. It may have been seen during the war that although a soldiers uniform would show honour and pride, a soldiers uniform could also secrete their true identity and dehumanises the soldier. Barker shows this especially in chapter in chapter four with Burns and the dead animals. By Burns taking off his clothes, it could mean that a little bit of the war has gone away for Burns and he feels relief for removing his uniform. Barker develops the theme of imprisonment and the feeling of ‘being trapped’ throughout ‘Regeneration’. Each Character has a different aspect of ‘being trapped’ within the war. Reoccurring Nightmares, speech impediments and other aids are used to give the true scale of how imprisoned Soldiers were during the War.

Tuesday, August 20, 2019

Front suspension system of motorcycle

Front suspension system of motorcycle CHAPTER 1: INTRODUCTION 1.1 AIMS The main aim of this project is to Design and analyse of a front suspension system of motorcycle. The designing and modelling of the fork is done using Pro-Engineer (wildfire-4) and Stress analysis is undertaken by Ansys 11 softwares. 1.2 OBJECTIVES To get aware of deformations caused due to application of brakes to the fork of the front suspension system; To demonstrate detailed view of functioning of fork ; To show existence of various kind of front suspension systems used in motorcycles; Evolution of front suspension systems; To verify the benefits and the flaws of different front suspension systems, used right from the old age to modern age; To illustrate how the motorcycle keeps its balance and analyzing the factors that come into play while riding; Application of vibration modes, on suspension system of a motorcycle while riding. 1.3 INTRODUCTION TO MOTORCYCLE FRONT SUSPENSION SYSTEM A Motorcycle front fork connects a wheel and axle to its frame, by way of a pair of triple trees. The bike is steered by handle bars which are attached to the triple tree and also brake is provided to retard or stop the acceleration of the bike. There are loads of critical geometric parameters such as ‘Rake and ‘Trail which are establish by the fork and its attachment points on the frame, which usually play for handling and riding and dives as well during braking. Telescopic forks The term ‘Telescopic forks is defined because the tubes slide in and out of the body they are ‘Telescoping. The upper portion generally called as ‘Fork tubes (Male tubes) slides inside the fork bodies (Female tubes), which are lower part of the forks. Over more than century years of motorcycle improvement, different variety of front form arrangements have been attempted but some of them are still remain available nowadays. The most common form of front suspension for motorcycle now days are the ‘Telescopic fork Nimbus was the first manufacturer to produce a motorcycle with hydraulically damped telescopic forks in 1934.Early front suspension designs were used frames with springs. Greeves, a British manufacturer used a version of swinging arm for front suspension on their motocross design and also a single sided version suspension system is used in motor scooters such as the Vespa. Suspension system is equipped with large hydraulic shock absorbers with internal coil springs. The main work of the shock absorbers is to allow the front wheel to react to imperfections in the road while isolating the rest of the motorcycle from that motion. The Upper part (Top yoke) of the forks is connected to the motorcycles frame in triple tree clamp, which allows the forks to be turned while steering the bike. The Lower part (Bottom yoke) is fixed to the front axle around which front wheel rotates. The fork tubes should be smooth and mirrored finish, so as to seal the fork oil. Some fork tubes found on the off-road motorcycles are covered with plastic protective sleeves called as ‘Gaiters. The forks are constructed either of the conventional ‘right-side-up or sliding -female configuration, or the ‘Upside-down or Sliding -male configuration. In Both the cases, a cylindrical tube or piston sided axially within the cylindrical cylinder. Trail and Rake: ‘Trail is the measurement, on the ground, from a point which is projected through steering axis to the centre of the tyres contact patch below the axle. Trail determines the self centring stability of the steering as well. The triple clamps provide good lateral offset that the forks clear the sides of the front tyre. Usually Triple clamps are introduced to provide some measure of longitudinal offset as well, to alter the trail. Trail impacts directly on the steering stability of the motorcycle and its ‘return-to-center force. The trail is much affected by rake .Rake is defined as the angle between the vertical and steering axis. The steeper rake reduces the trail and trail itself is also affected by the longitudinal fork offset. More offset decreases the trail. The trail is also affected by axle offset. The trail increases in the case if the axle is coupled to the forks in front of their centre. Ride height: Sometimes rider desires to increase or decrease trail to change the steering feel so as to improve steering swiftness, or to eliminate high-speed shake, or to reduce a front end push. Ride height is simply defined as the forks extending up through the triple clamp. Decreasing the ride height by raising the forks farther through triple clamps in reality steepens the rake, which results in decreasing the trail. Alter in trail causes the effects to the rider to his ride height adjustments. CHAPTER 2: LITERATURE REVIEW Motorcycles were first developed out of the bicycle frame, which certainly is rigid. Suspension systems were progressed over the years after critical researchers to filter out ground disturbances in more efficient ways. CHAPTER 3: 3.2 FORK FUNCTIONING: The weights are transmitted from inner tube to the outer tube or vice versa through the slider bushes which are placed between the two tubes. The bushes used for the good fork are critical because it should have a very low coefficient of friction as well as mounting tolerance. The system smoothness is totally dependent upon the friction forces developed during sliding movements as well as on the amount of stiction.The stiction is at maximum at â€Å"Moto incipiente â€Å",,When the initiation of the movement occurs between the surfaces. This stage is called as static friction. In Designing and fabrication of the slider bushes, the problem of sliding friction always stand for a weak point in the front fork of the vehicle. If we compare it, for example, to the rear suspension in which there is practically no sliding due to the displacements consists of rotations around the bearings. The suspension settings can be achieved by the stiffness of the spring, as well as the damping provided by the hydraulic part, to which is added the resistance given by the sliding friction. It is difficult to predict what the suspension behaviour operates and its proper functioning is taking cared by the availability of friction. In the design stage, limiting friction forces require that the loads on the bushes be minimized, boosting movement of the unit. When the fork is extended fully, only a small segment of the slider tube enters inside the sleeve. Hence at this stage its overlap is reduced to a minimum. This is also constitutes the least rigid configuration of the whole system. At the end of the travel, as a substitute of the fork tube overlap extreme therefore maintaining the stiffness. 3.3 FORK STRESSES AND DEFORMATIONS: Certain forces acts on the fork leg while the vehicle is in motion. Two cases can be considered which helps us to derive fork stresses as well as deformation. They are (i) Fork flexure due to vertical loads: The flexure due to vertical loads involves the stresses which act on by weight of the motorcycle plus rider. Also stresses tend to develop due to road surface irregularities such as through potholes, steps ridges, etc. Actually these stresses are considered negligible for example, If we travel in the city at The ‘Moment of flexure or ‘Bending moment is generated when the vertical load is finally applied to the wheel. The moment of flexure or bending moment gradually increases as the fork is inclined. When with the same force applied, the bending moment will reach to the maximum in the case of fork extended fully and vice versa the bending moment will be minimum with the maximum compression. Therefore the values vary as the changes occur in the arm of the force applied. The stresses are less when the slider bushes are closer to the wheel spindle and are expected to function better. When the rider passing over dip holes in the ground in the road surface, the vertical loads can attempt very high values, hence the frame structure has to be stiff enough to avoid excessive deformation and simultaneously it should have the capability to absorb all the immediate bumps whenever the suspension bottoms out. At the front end the area, steering head tube receives the heavy stress .whereas, at the rear end connecting rods as well as the shock mounting come under the greater stress. When the motorcycle is stationary, the load values that appear during normal use are two to three times as big as static loads which are normally acting on the wheels. If we consider a medium powered street bike which is kindly moving on a bumpy road with a high speed and if the wheel bounce on hole then the stress exerted on the structure may be hundred of kilos or more. Maximum load values can take place when the off-street bikes jumps and cross over the obstacles. (ii) Fork flexure due to braking force: As it is the known fact that when braking force is applied to the wheel, then it is obvious to the wheel, experiencing the deformations upon different circumstances of road. In this case, Bending will greater as the length of the fork is high. The highly noticeable point of interest is that the deformation due to vertical forces is opposite to the deformation due to the braking force. In the previous case we observed that, during braking, because of the weight transfer effect, the front load increases; i.e. there cant be a braking force without an increase in vertical load. When the brakes are applied to the bike then some strong longitudinal forces are created, giving rise to bending moment that gets stronger as it rises from the ground to the steering head tube, finally transmitted to the whole frame. The steering head tube experiences the strongest moment. The steering head tube is the point with the least depth of section, which is the major plane of stress. Due to this considerations observed, detailed research and study has undergone to give the actual design dimensions of the whole steering tube. On this part of flexure happens during the big thrust of acceleration would definitely cause trail variation. When the braking stress dies out for example; when entering a corner, there would be an annoying elastic rebound action in response. Meanwhile the rear fork doesnt experience much stress during braking as front fork does. The above two effects (i) Flexure due to vertical load as well as (ii) Flexure due to braking force will certainly oppose each other and within the deceleration range of characteristics of motorcycle, depending upon Cg height, wheel base and fork inclination. In general fork flexing during braking is not as severe as one might think. Deformation due to torsional forces: The twisting forces which derived are as follows The alignment is poor between the fork axis and equilibrium forces; The components of equilibrium forces perpendicular to the fork axis and out of alignment with it; The couple which applied by the rider to the steering head. The resultant deformation is said to be very harmful for handling because the wheel does not respond properly according to the direction of control set by the rider of the vehicle. Effect of deformation on functionality: It is clear straight away that the presence of fork deformation makes the proper sliding inside one another more complex to the point of potentially impeding it. When the bike is in motion, the deformation is at highest at most critical circumstances such as brake application and corner entry. 3.4 DIFFERENT DESIGN TYPES OF FRONT SUSPENSION SYSTEM Telescopic forks are mainly classified into two kinds which are used in practical applications in daily routine life. They are Traditional or standard which is equipped with an internal tube, the one with smaller diameter in the upper postion, fixed to the frame. Upside Down or Inverted which is equipped with internal tube in the lower position, which is fixed to the frame. The hydraulic as well as elastic fundamentals of these kinds can be simply comparable in order to know the different responses of the same motorcycle equipped with two distinct types of forks. There are some manufacturers whom have created a ‘Cartridge containing the hydraulic part which can be easily mounted onto each of the applications being tested. The first telescopic fork prototypes was designed right after the Second World War, were laid out with little attention as to whether they were in traditional or upside down form. In the sixties, the majority of the forks produced was traditional type whereas Upside down design came into the existence at the beginning of the eighties. The upside down design was popularised back into circulation of sport bike applications. Contrast between Traditional and Upside Down form of telescopic forks: Benefits of Tradional form: Less number of components, given that the wheel attachments and axle lug derive directly out of lower stanchion which also keeps weight down; Unsprung mass weight is slightly reduced; Tubes slides in areas that are more protected from bumps and dirt. Benefits of Upside down form: It has superior torsional stiffness with the same weight, where the tube has larger diameter and is positioned in upper area, which deals with greater stress from the bending moment; Strong attachment between the tubes and the triple clamps which have large tube diameters. The above comparison between the two applications says that one is absolutely better than other. So, in this case upside down layout presents more advantages in the terms of stiffness which makes ideal for some sport-oriented applications. Both the applications Traditional as well as Upside down forks are characterized by Different stiffnesss; Different weight distribution; Different values of unsprung weight; Different center of gravity heights between the steering and the ground; Different values of inertia around the steering head axis. There are some other types of unconventional fork types and can be classified into the groups. They are Swinging front fork or Pivoted; Parallelogram linkage or Girders; Straight line slider guides; Paralever linkage. a) Swinging front fork : This type of fork was especially used on the earliest bike models and it is a very simple construction solution. In practical, it reproduces the geometry of the rear fork, along with a n arm that usually rests on a fulcrum which is placed on the steering column, making the fork rotate in one piece along with the steering head. Depending upon whether the arm is compressed or extended during braking, leading link or trailing link front forks are discovered. In both the cases of the forks, the layout may be seen to be symmetrical to the head angle with two arms or it may consist of only one arm. For scooter models, Pivoted front fork suspension is adopted, but they are almost rare when coming to high performance vehicles. The main characteristics of swinging front fork suspension system are as follows. In Smoothness ,They are very smooth when the rotations are assured by rolling bearings eliminating stiction; When the matter comes to design construction, the stiffness may be better or sometimes worst. The connecting rod linkage systems have never been used to gain progressive rates; it is easy enough to obtain progressive spring rather. The inertia is high around the steering axis and the unsprung masses have moderate weights which are totally dependent upon the type of construction used for the forks If we compare both leading link as well as trailing link, it will be the great point of interest. Leading link: In mid 1950s, the world champion Moto Guzzis which are the best handling racing machines of their period, were installed with leading link. The leading link consist of a tubular or pressed steel structure which connects the steering column in the link pivots and slot in for the suspension struts. The links appear to be independent or formed by a single U-shaped loop around the back of the wheel. In the case of the links separation, their resistance to independent movement as in the type of telescopic fork, depends upon the rigidity if their attachment to the wheel. If the wheel has large- diameter spindle then it also haves large wheel bearing and the most convenient and efficient method is a loop behind the wheel and a smaller -diameter spindle. Benefits of leading fork are as follows Quality of detail design Possibility of greater rigidity. Greater stability on the fork Precise control over the steering. The lack of stiction enhances the sensitivity to the small undulations and also any degree of anti -dive under heavy braking. The wheel has precise path which usually depends on the relative heights of the wheel spindle and link pivots. Because of the curve shaped, these forks are highly unsuited for the large movements which are usually used on modern off road machines. In the leading link during braking the anti-dive behaviour can be seen. The anti dive behaviour tries to extend the suspension, in the case of application of braking force that is applied to the fork .The Anti -dive behaviour can be prevented by fixing brake calliper to a torque arm which is connected to the steering. In this case, spontaneous center of rotation may be positioned so as to create anti-dive behaviour. Trailing link: The trailing link differs from that of leading link in many ways like the link pivots of the wheel spindle are ahead, not behind. The demerit of this kind of fork is higher steering inertia, since the bulk of the mass is relatively far from the steering axis, which has an effect that partially offset by the smaller amount of material required to reach the pivots. In the trailing link during braking, the pro-dive effect occurs which is quite similar to the traditional fork .In this case as well brake torque arm will be introduced along with fixing brake callipers in order to get the proper effect when braking. b) Parallelogram linkage or Girders: Girder forks are widely used now a days which is also considered for their excellent steering. Due to friction dampers, the performance was generally limited and very crude by current hydraulic standards. The links which operates the suspension system were short and due to this kind of forks are very much suitable for small amount of suspension movement. One of the forks namely Vincent â€Å"Girdaulic† was most sophisticated. It consists of light -alloy blades and one-piece upper as well as lower link assemblies. The trail for this fork was readily adjustable. Springs were adjusted in the long telescopic tubes, behind the uprights, but the hydraulic damper was separate, mounted in front of the head stock. The lateral stiffness was boosted by a plate which will bridge the front of the blades. Hydraulic damping is employed against suspension movement and also to damp out steering excursions, a damper was used. The most recently released linkage designs comes under this category. The main characteristics of the parallelogram linkage are as follows The smoothness of the fork is outstanding, since sliding friction is substituted by rolling friction i.e. Sliding movements are kindly replaced by rotations around the roller bearings; It has got adequate amount of stiffness enhanced by the design construction; The progressive rate of the suspension can be incorporated; The trajectory control is excellent which is highly dependent on type of fork used. It is possible to have different types of wheel trajectories with the help of parallelogram linkage system. The trajectory can be considered perpendicular to the ground, maintaining the same wheel base, or to obtain certain degree of anti-dive it may be inclined forward, in the beginning phrase. The trail control is good. In this case, it is highly possible to create constant trail geometry with varying travel .It can be increased or decreased according to riding behaviour of the vehicle. Depending upon the fork design, the unsprung weigh could be less but the net weight of the suspension remains constant. The most popular design solutions used in automotive industry are as follows Solution (a): In this type of solution, the fork legs are allowed longer along with mounting brake callipers. Like single sided rear fork, the links that hold the wheel can also be asymmetrical. The steering is controlled by positioned links. Solution (b): It is rarely employed and characterized by high steering masses and substantial inertia, less bulk and steering control is high. Section (c): This type is rarely employed. The leg length is reduced to make large wheel travel. Kinematic loads will be large with such a short fork legs. Solution (d): This kind of solution is generally employed for light motorcycles and has been introduced right after the Second World War. The steering control is good but it imposes limits on the steering mass size and on trajectories available to the wheel. Because the links are located at certain altitude, the stresses on the links due ot the forces are very tough. Solution (e): This kind of solution has been introduced in most advanced applications. In general, it unites all the advantages offered by girder solutions. When it comes to design of the fork, it experiences some drawbacks in the terms of the looks. The horizontal arms have to be long enough to allow the wheel to be steered. Due to this factor, it could be a strong limit the maximum steering angle value, which usually restricting the use of this solution to the street bikes. The links controls the steering; offering the possibility to position the shock absorber in areas that make the mountings powerful and fabrication is easy. Through connecting rod system, the steering control may be easily constructed. Solution (f): This solution is quite similar to the solution (e), but it does not allow offset of the wheel with respect to the steering head axis or zero offset. Due to the large diameter bearings in order to house the steering kingpin, the wheel hub center becomes complicated. (c) Straight -line slider guides: Straight-line slider guides are especially regarded by the same geometry as the rear fork when speaking about the controlling the trajectory of the point O point and trail are concerned. Practically, the cylindrical slider is replaced by a straight line slider but of rolling type. The classic shock absorber is represented as the damping element in this case, while rolling guide bearings are similar to ones used for highly developed mechanical machining work. The Advantages of Straight-line slider guides are as follows à ¼ It enhances better smoothness; à ¼ It hails limited play as well as has got good stiffness; The limitations of straight-line slide guides are as follows The main problem is difficulty in positioning the two disc brakes Asymmetry-it gives rise to bothersome moment around the steering axis. (d) Paralever linkage This type of solution is generally considered as a corrupted parallelogram linkage system because, the upper linking bar is missing and also the suspension function is done by a slider derived from intermediary part that becomes a sort of fork. Advantages of paralever linkage system are as follows: The sliding motion in this case is simpler when compare it to standard fork The transmission ratio is 1:1 in this case as the steering is directly connected to the tubes. Limitations of Paralever linkage are as follows: It is more mechanically complex than a traditional fork and generally bulky due to the presence of horizontal arm. (e) Mechanical anti-dive system: In the field of racing, mechanical anti-dive type fork systems have been introduced to limit their tendency to front end dive. In this case, By means of a series of links, the braking force sustained by the brake calliper is transferred to the chasis, opposing its tendency to dive. The mechanical anti-dive system has been not recognised universally because of the following problems incurred. Making of brake callipers is difficult in this case which mounts rigid enough, with possible braking power loss and aswell as formation of micro-vibrations. The systems weight is high Moment of inertia is increased over the steering masses Less amount of effort have made in vehicles handling. (f) Hydraulic anti-dive system: Mechanical anti dive system has been replaced by hydraulic-anti system. Hence they are increasingly rare. The hydraulic anti-system is totally based on the hydraulic braking usually when the brakes are applied, by blocking the passages. When the hydraulic brakes are made too strong thus it becomes difficult to absorb small irregularities in the road surface, especially during the complex way of entering the corner of the road. CHAPTER 4: STRAIGHT LINE MOTION The topic straight line motions deals with How the motorcycle keeps its balance analyzing the factors that come into play which can simply help the rider to maintain the motorcycle in a vertical and stable position while travelling. The factors that are responsible for maintaining the straight line motion path are Inertia effects Gyroscopic effects Righting effects. 4.1 INERTIA EFFECTS The product if mass multiplied by the velocity of a body gives the quantity of motion of the body. Due to greater value of this is, the less influence external forces will have on trajectory. For example, lets assume that a motorcycle is travelling at high speed such as 100km/h then the vehicle also attains a velocity of 10 km/h perpendicular to the original trajectory as shown in fig a. If the motorcycle moves at slower speed of 10km/h, then the same component velocity influenced by the gust of wind brings variation in the direction of travel as shown in fig b. Hence as the velocity increases, small directional variations orthogonal to original direction will bring smaller angular variation. Therefore, now we can state that the greater the forward velocity, the more difficult is to move the vehicle from its initial straight-line trajectory. The same concept can be applied to mass like heavier a body is; the more it resists changes to its speed and direction. In the figure, Vint = initial velocity Vres = resultant velocity dV = variation in velocity ÃŽ ± = angular variation in velocity. 4.2 GYROSCOPIC EFFECTS: When every time a body spins rapidly on its axis and simultaneously is to set into rapid spin around a second axis is referred as gyroscopic effects or a moment that eventually acts around a third axis perpendicular to the other two. In routine life, gyroscopic effects can be seen for example, a spinning of bicycle wheel in between ones hands illustrates gyroscopic effect. If the wheel is set to keep axially parallel to it and raise and lower the wheel straight up and down then we can notice no opposing action on our hands. Hence it can be said that the opposing vertical force is needed to perform the action will never be more than the weight of the wheel itself. Now in the next trial if the axis of the wheel is turned in clockwise motion around vertical axis, as if we were holding the steering handlebars. In this case, we will notice that our arms are affected by a couple that tends to rotate them around the longitudinal axis. From the following experiment, certain conclusions can be drawn Gyroscopic effects will be more when the wheel rotates faster The intensity of the reaction will differ obviously, if the axis is tilted faster or slower. 4.3 RIGHTING EFFECTS: The parameter righting effects is profoundly influenced by the geometrical characteristics of the steering unit of the motorcycle. The correct combination of these factors gives positive results for the awareness of stability. Righting effects can be depend upon the following phenomenons Steering axis Rake angle (Castor) Trail 4.3.1 Steering axis: Regardless of structure of motorcycle suspension they are characterized by a front wheel suspension by a front wheel steering, because front wheel is free to rotate around the axis which is called as steering axis. In general, the steering axis in the bicycles is referred as Head angle and is measured clockwise from the horizontal when viewed from right hand side. A 90 ° head angle would be vertical. For example a 2007 Filmore, which was designed for the track with a head angle, varies right from 72.5  ° to 74  °, depending upon frame structure and size. 4.3.2 Rake angle: In the case of front suspension, it is very easy to identify steering axis especially in the telescopic fork because the steering axis coincides with the axis of the guide bearings inside the slider around which the fork rotates. This steering axis is present in all automotive type suspensions is inclined with respect to the vertical angle known as Rake angle. Rake angle is measured usually in degrees from zero. Inclination of rake angle (ÃŽ µ): If we increase the angle of the steering axis then we should also increase the value of trail. Usually the steeper the inclination of the rake angle, the motorcycle tends to be more stable directionally. Some grand prix bikes meant for competitive or sports oriented uses smaller rake angles such as little as 21 ° rake angle. custom made bikes have modified a steeper rake angle beginning from 28 ° and reaching 40 °. 4.3.3 Trail: The Trail of the front suspension system is defined as the distance between the point of intersection of the axis with the ground and the contact point of the front wheel w

Monday, August 19, 2019

Articles Of Confederation Essay -- essays research papers

Articles of Confederation Analyze the degree to which the Articles provided an effective form of government with respect to any two of the following: Foreign Relations, Economic Conditions, or Western Lands In 1777, the states enacted the Articles of Confederation to preserve democracy and prevent tyranny from those who sought to centralize power. But in their efforts to keep their independence, the states created a weak central government that was unable to improve an insolvent economy and poor foreign relations. Although the confederation gained some substantial powers, the crucial powers to tax and regulate commerce remained with the individual states. Each state passed their own currency, and therefore created inflation and made â€Å"Continentals† in circulation worthless. Compounded with restrictions on trade to Great Britain and down the Mississippi River, the states became mired in a heavy depression. John Fiske, of the conservative view, realized the precarious situation when he stated â€Å"the Nation was under the verge of collapse and near-anarchy and that the five year period after 1783 was the most critical time in American History.† Robert Morris, secretary of finance, resorted to desperate measures with the Newburgh conspiracy in an attempt to raise funds for a depleted military; but it took an impassioned plea from General Washington himself to put down the rebellion. Furthermore, the Articles allowed for personal rights abuses such as unsubstantiated foreclosure s...

Effects of the Atomic Bomb :: World War II History

Effects of the Atomic Bomb The effects of the atomic bomb were terrible. There's no doubt in my mind that the atomic bombs dropped on Hiroshima and Nagasaki were a costly mistake. Atomic bombs produce heat millions of degrees high, and visible ultraviolet and inferred rays.(Lapp 844) Everyone and everything exposed to their blast is affected. No one is left untouched, whether it be emotional or physical; in many cases both. However, many members of the science community argue that the atomic bomb was a great advance in technology, and see their effect on Hiroshima and Nagasaki as a scientific experiment. People from the defense department in government also see the bomb as great weapons in national defense. When reading my paper, you must decide for yourself the moral issues involved with using atomic bombs in warfare.The day after the atomic bomb was dropped on Hiroshima, it rained all day. The rain was pitch black, and very cold.(Pacific War Research Society (PWRS) 245) A huge cloud of dust covered the sun a nd made what was left of the city very dark. Realizing the bombs effect on climate, a group of scientists came up with the "Nuclear Winter Theory" in 1983.(Glasstone NPG) The theory states that if only one half the nuclear warheads in the United States were exploded, there would be enough smoke and dust in the atmosphere to block sunlight for several months destroying all plant life and creating a subfreezing climate until the dust dispersed.(Glasstone NPG) According to the "Nuclear Winter Theory," that would be the end of human civilization!(Glasstone NPG) Although the US Department of Defense acknowledges the validity of this theory they say that it won't affect it's defense policies on how many warheads are kept.(Glasstone NPG)Although atomic bombs can have a catastrophic effect on climate, we learned that their effect on buildings is almost as bad. With the bombings in World War 2, we saw their effect on historic landmarks, houses, and office buildings. When the bomb was dropped only one mile away from ground zero, the blast cracked walls over twelve inches thick.(Lapp 843) The shockwave after the bomb was felt over a mile away. Heat incinerated everything within a 500 yard radius of the hypocenter. In Hiroshima, the blast demolished all buildings except those that were earthquake resistant.(Lapp 843) Some buildings just "vanished" into air.(PWRS 243)However terrible the effect of atomic bombs on climate and buildings, what stands out most in our minds about atomic bombs is usually the people.

Sunday, August 18, 2019

Research into the Mind of Serial Killers Essay -- Serial Killers Murde

The criminal homicide rate for the United States is currently at its lowest rate during the last forty years (6.3 per 100,000 people in 1998: Bureau of Justice Statistics); yet according to the media and entertainment fields, homicide is reaching epidemic proportions. Unfortunately these fields tend to exploit the concept of homicide in American society, rather than attempting to understand and control it. No where is this more prevalent than in the study of a small subset of criminal homicide referred to as serial murder. This area of serial homicide specifically refers to the murder of several victims by a single person, generally unknown to the victim, over a designated period of time. Serial murder and those who commit it have always been around but have only really come to national attention in the last thirty years. Since the 1970’s people have been fascinated with and horrified by serial murderers. Despite the enormous amount of coverage of serial killers by video and print media, television, and movies, relatively few sources of information about them exist and even less is known. The details of ones crimes tend to be sensationalized, making rationalization very difficult, but what is lost among the horror and gore are the motives and reasons that lead a person to do this. What causes a person to kill again and again? An attempt to explain, rationalize and predict has plagued law enforcement and medical personnel for a considerable amount of time. If law enforcement is to create proactive, rather than reactive, strategies to this type of criminal behavior then they must be able to understand why it happens. Unfortunately we still do not have a clear understanding for the motives of murder, thus making understanding serial murder that much more difficult. Coming to any definite conclusions or making any definitive statements is not currently possible, the best that experts can do is make broad generalizations and educated guesses. Current literature on the subject comes to a number of fairly educated (and a few non-educated) conclusions that help to explain serial murder. Only a relatively few studies have been done that include in-depth first hand interviews with the perpetrators of the crimes themselves. This analysis of past offenders has elicited several key behavioral and childhood similaritie s among this sub-group of homicide perpetrators i... ...cholars are simply posing the same questions that have always been asked and are not necessarily answering any of them. The reason for this, as is the belief of this author, is that questions are all we will ever have. Answers are not available regarding why, how and when in serial murder. As upsetting as it is to this researcher, actually admitting, especially to ourselves, that not being able to find an answer has to be the first step. Possibly moving the focus of a proactive strategy to the identification of victims and perpetrators, from troubled children, is our best bet for success. Focusing on identification rather than prediction should be looked at as the nest possible step. Being able to stop these killers very early instead of wasting money researching childhood behavior, which is obviously not currently working, needs to occur. The ultimate conclusion of this author is that we will never be able to fight this problem to extinction. As sad and unfortunate as it is, as long as there are people who desire to ultimately control others, this problem will persist. The more we understand about this, the more it becomes a reflection of society and the direction it is taking.

Saturday, August 17, 2019

Theme of Feminism in The Women Who Walked into Doors

The Women Who Walked Into Doors The Feminist lens allows us to view a piece of literature from a different perspective. It applies the perspective of feminism to a certain piece of literature. There are a large number of feminism literary theories and all with a different angle of viewing the literature. Some theories look at the way words and symbols in the book are gendered. Other theories show the difference of writing between male and female authors.Many theories also focus on stereotypes and inequalities of women's ights and how they are symbolized in a book. Basically the feminist lens helps you analyze a book based on the philosophies and views of modern day feminism the any piece of literature. The Women Who Walked into Doors is a book about a woman named Paula and her struggle against her abusive husband that spent the 17 years of their marriage beating and abusing her. I am pretty sure that everyone who has read this book agrees that it is really a feminist novel with Roddy Doyle, the author, really trying to explore the life a woman's mind under abuse.The first signs of feminism come early in the book. Paula seems to be attracted to a guy named Charlo Spencer who is considered to be a â€Å"ride†, a term used to define an attracting looking person. We see the idea that women are into â€Å"bad boys† demonstrated by Paula when she falls for Charlo. She states how he looks sexy with his cigarette, a leather jacket, and blue denim Jeans. This was a typical description of a â€Å"bad boy' in the 90's. She also stated that he had a criminal record as if it were a good thing and rather attractive.As the novel progresses a lot of feminist theories are presented such as the audacity is young women in the 90's and even in current times. Paula is a risk taker and likes to explore around and not really afraid of consequences. This again touches on the feminist theory that women tend to be irrational decision makers in their late teenage hood. A p erfect example from the book is when Paula ignored her father's view on Charlo when he made it obvious he hated Charlo and said he is a criminal.However later in the novel as she grows older she realizes her father was right and only trying to protect her. This again supports the idea that during a stage of their life, women tend to make stupid decisions that they will regret later on in life. After Paula gets married to Charlo and the abuse and beatings start Roddy Doyle really starts to push some strong feminist theories through. One of the most important being the reliance that a woman has towards a man and really takes this idea to its peaks.This is portrayed by Paula throughout most of the novel, even though Charlo beats, rapes, and abuses her she still says she loves him and she can't leave him. For the sake of her own safety and well being she was not willing to let go of the man who she loved yet who abused her. This is supposed to show how women are dependent on men and bei ng beat by a man is better than not having one. Finally he most important theory being presented I believe is the imbalance of power between men and women and the breaking point ot a woman's tolerance towards abusive behavior.Throughout their marriage Paula has been powerless by not being able to make any choices or have any say in how things are done, because if she were to speak up she would likely get beaten by Charlo. This shows the imbalance in power and inequality in women's rights in the 90's when this book was written. Also even if Paula wanted to leave Charlo she did not have the power to on her own. However the idea presented is that women behave only like this is the problem is etween husband and wife, in the novel, when Charlo looks at Nicola, his oldest daughter, in a dirty way as if he wants to harm her is when Paula's breaking point is reached.She takes a frying pan and beats him down in the kitchen then kicks him out of the house for good. This brings us to the idea that when women's will not stand up for themselves but when their children are targeted they do the unthinkable to protect them. The fact that this book was written by a male author is really impressive for how he constructed the book from a females perspective and make it so effective in sending its messages and impacting on the reader.