Wednesday, July 31, 2019

Christian and Wiccan beliefs Essay

Two miles south of where Mary Anne lived, I encountered Sheila, a 36 year old self-professed astrology and tarot card reader working part-time for a local pharmacy. My initial data revealed that Sheila belonged to the Wiccan Rede principle which is currently considered radical among traditional Wiccan groups. Fortunately, Sheila was at home on her day-off and was talking animatedly with a client in her front porch. While waiting for her client to leave, I was allowed to wander around her house which was surrounded by huge trees making her home look gloomy. After a few minutes, I was ushered in and Sheila welcomed me graciously knowing full well about my intentions. She began by explaining how their group had grown lesser over the years as the other wiccan practitioners complained on the religious incorporation of Christian and Wiccan beliefs. Sheila added that the element of Wicca which includes fertility and reincarnation is incorporated in the key points of the divinity of Jehovah, Jesus Christ, and the Holy Spirit as retained from Christianity that was also quoted in Guiley (1999). According to her, the combination of two religions, which was traditionally at odds with one another, is frequently criticized by members of other wiccan sects. For her, there is no other One God as the greatest and the Lord of all and that the Earth is the Goddess of common Wicca. She has equated the Holy Spirit as a Feminine deity that may be regarded as the Great Mother Goddess similar to the Christian thought. With this in mind, she showed me a picture of the Madonna and Child and claimed that the Holy Spirit is actually embodied in the Virgin Mary. Their small liberalized group was initiated by the BTW or the British Traditional Witchcraft coven. They were widely criticized according to her because many Wiccan practitioners consider Christianity to be incompatible with the pagan philosophy. She added that the merging of Christian and pagan beliefs was considered a lambaste to the Wiccan religion since the Christian faith is male-dominated and an insufficient acceptance of true Wiccan belief. She explained that Wicca, as a ditheistic religion may contain a male god and female goddess giving equal emphasis to the aspects of both divine beings. Admittedly, she said that the principal tenets of Christian Wicca elevate the status of a God which altogether makes it different as there is no equality between the male and female according to Guiley (1999). In the elements of nature symbolically represented by different objects, the Christian wicca believes in the instance of crystals and stones as objects for the element earth, and seashells for the water element in Salomonsen (2002). Sheila added that their group also worships and observes the eight sabbats of the year and the full moon. Most of the practitioners in their group may practice in solitaries but do attend gatherings and other community events but reserve other rituals when they are alone. Their initiation into a coven begins with a one-year study before the actual initiation that spins a religious dedication. She related her initial experience at the thrill of being able to join the coven six years ago which had been a long time dream for her. She had already ventured in yoga and Asian Buddhism before finally exploring the Christian wicca. Sheila unlike Mary Ann does not want to show me her altar and her wares but pointed out a small hut beside the family house as her â€Å"solitary camp† to prevent family members from disturbing her. For Sheila, wicca should not be mistaken for witchcraft as they are simply a religion with ethical standards to live by.

Tuesday, July 30, 2019

Can Chinese Brands Make It Abroad Essay

China is known for its manufacturing due to low labor costs and supplies the world’s biggest brands. Most Chinese companies take on the role of original-equipment manufacturer (OEM). However, due to the home market being so competitive, the Chinese government now wants Chinese companies to tackle the market abroad by establishing their brands in developed countries. Currently, companies have now emerged in developed markets with products such as appliances and consumer electronics. Examples of this include Lenovo computers which have positioned itself for overseas expansion. Keijian, a mobile-telephone maker, sponsors one of England’s top soccer teams to build brand recognition. The way in which Samsung achieved this was acquiring basic product-development skills through joint ventures and more than 50 technology-licensing agreements. On establishing their brand in the US, Samsung discounted their products to target price-sensitive customers. Slowly it learned the requirements of its markets by conducting extensive market research, building sales overseas and manufacturing operations in the US, Germany, the UK and Australia. They also increased R&D budgets which allowed them to invest in products and technologies that would raise their brand profile. China competes against the world’s best electronic products in features, quality and price. Furthermore, its low labor costs make Chinese goods less expensive. Also, China has a large growing pool of skilled engineers and money to invest in new products. By products alone, it is safe to say that China can establish themselves abroad, however, developing the right marketing strategy for branded goods is key. Branding Before, consumers were reluctant to buy good from Japan or Korea in fear of quality issues and now China is experiencing the same issue. The Chinese companies most likely to succeed are those which have a track record in low-cost, high-quality manufacturing and show marketing skill on a local level. Haier has built factories in the US which they believe the added expense of producing goods there is outweighed by the ability to respond quickly to changes in the market. OEM Cost, quality leadership, acquiring the need technology and capabilities and the ability to support a number of global customers are the key success actors in the OEM model. Low costs must be accompanied by excellent skills in supply chain management and sourcing. Manufacturers for OEM customers target those who want lower manufacturing costs but not ready to set up operations in China. Channels – Step by step approach Retailers are looking for distinct brands and products. They may also be interested in deals with Chinese companies who supply products on an exclusive basis. Shelf space is also expensive and the competition for it can be intense. SVA has transformed itself, focusing on high-end plasma TVs, TFT-LCD displays and DLP projection TVs. It also mass-produces quality products at a low cost. The company took a step by step approach to success: 1. Relying largely on distributors that offer promotion and service assistance to manufacturers. This gave the company a chance to learn about the US market. 2. Working with distributors on trade-level promotional activities including attendance at industry conferences rather than spending millions to build brand awareness. Distributors find SVA attractive because it can offer customers low-cost products, a factor that’s important to small and midsize electronic retails that compete with big retailers like Wal-Mart. 3. Avoid low-end color TV market where it would be up against other Chinese companies selling on an OEM basis. They instead focused on upmarket products where the market is growing and there is little rivalry from other Chinese companies. 4. Recruited US-based executives to whom they gave an equity stake in the venture and hired Japanese ex-Sony production man agers to help control its manufacturing quality. It’s also working with international firms to improve design. Taking this model to Europe may prove a little trickier due to Europeans being more conscious of brands and quality. Channels – Buying your way in An alternative is buying into the market through mergers and acquisitions. Suitable targets would have valuable assets, brands, customer bases, technology or channels. A buyer could move the bulk of the acquired company’s production to China while retaining the brand name, distribution channels and some of the local talent. Over time, it could co-brand the product with its own name to build customer awareness of its Chinese brand. Once this is established, the buyer could phase out the target brand. The biggest obstacle is locating qualified turnaround managers. TCL International Holdings purchased a German television maker in an attempt to tap into the European market. Included in the acquisition was Schneider’s plants, distribution network of chain stores, hypermarket, mail order and trademark rights to a series of brands. Some Schneider employees were also rehired to oversee production. TCL is also using the Schneider brand to position its mobile telephones in the high-end segment of the Chinese market.

Monday, July 29, 2019

Learning Styles Comparison Coursework Example | Topics and Well Written Essays - 1000 words

Learning Styles Comparison - Coursework Example According to the Indiana University website, there exists three major learning styles which are visual, auditory and kinesthetic (Indiana University, 2008). The three major styles are discussed in the list below. Learners who use this style of learning heavily rely on their sense of sight. They learn optimally by looking at information presented in a visual form such as graphs, pictures, charts, maps, colors and other forms of diagrams. They are able to make meaningful conclusions from these diagrams. They also good in recalling information from documentaries, movies or motion pictures. Commonly, visual learners are easily distracted if they listen while looking at pictures or diagrams. They also easily recall things that were written down thus taking notes is a great aid to their learning (Indiana University, 2008). This learning style heavily utilizes a learner’s listening ability. Learners are able to understand and easily recall things that they were told or explained to by others. Auditory learners understand better if a set of instructions is read out to them rather than reading them by themselves. They are also better in reading and understanding body language from other individuals they interact with. If they want to internalize information, they can do this easily by reciting the information. Commonly, auditory learners have talents in music and they easily differentiate voices and noises of different things. This learning style heavily relies on the sense of touch as it involves a more practical approach to learning. Learners who use this style learn things by actually doing them. Commonly, kinesthetic learning is associated with students or learners who are good in mathematics and sciences as they involve relating theory to practice and they are more comfortable learning in groups. In class, such students learn optimally when they are taking notes (Indiana University, 2008). 3. Logical learning style- This learning

Sunday, July 28, 2019

Why I am ready to return to Monroe Essay Example | Topics and Well Written Essays - 250 words

Why I am ready to return to Monroe - Essay Example It has made me realize as well the value of spending time wisely on each aspect of the course and of being trained to possess moral character in terms of discipline, respect, and integrity. Moreover, I find it reasonable to attend classes in Monroe College once again for its capacity to engage students in appreciative learning. Through the school’s intelligent and encouraging faculty staff and up-to-date academic resources, I had received great help in developing interest in several areas of relevant study. It would also be wonderful to reconnect with old friends and certain lower class fellows under a different field yet whose influence led me to find delight in reading classical literature and world history. Subjects as these, I recall, are taught in Monroe College with such enthusiasm and manner that inspires students to be critical in thought and creative in imagination. I am further drawn to believe that I am ready to resume my scholastic life with Monroe knowing that it has the most conducive facilities I could possibly ask

Saturday, July 27, 2019

Thomas Struths Expedition reveal about Photography Essay

Thomas Struths Expedition reveal about Photography - Essay Example The essay "Thomas Struth’s Expedition reveal about Photography" talks about Expedition about Photography by Thomas Struth. The artist presents in a landscape format or as portraits to highlight different themes as thought out most of these photographs. The photography according to Thomas Struth attempts to answer questions about self as seen by the audience. It is worth noting that the photography by Thomas Struth is mainly landscapes that are shown in different compositions, color and detail. However, an important part of the photography that has been exercised by the contemporary photographers is the use of portraits that also form a big part of photography collections found in galleries. Additionally, the photography by Thomas Struth is sincerely portrayed in that the artist attempts to bring out true life situations that make the audience trust the message in the portraits. The portraits are brought out in a natural way that brings about the true relationship between form and content, which makes it possible to identify with the photographer. Once a person comes into contact with the portraits captured by Thomas Struth, for instance the Giles Robertson, Edinburgh 1987, there is a communication bond that is created between the audience and the photograph, whereby the audience would be asking itself what the photograph represents in a continuous dialogue. This shows that the images in the portraits actively show that Thomas Struth prioritizes the perception of his audience.

Friday, July 26, 2019

Depression Research Paper Essay Example | Topics and Well Written Essays - 4250 words

Depression Research Paper - Essay Example As a mood or affect or emotional state, depression is part of normal human experience. Feelings of sadness and disappointment are within the vicissitudes of the normal human condition. The distinction between normal mood and abnormal depression is not always clear, although considerable research on diagnostic criteria is underway, and neither psychiatrists nor other clinicians agree on the precise line between normal and psychopathological affective phenomena. Diagnosis is especially difficult for the large number of patients with episodes of mood change in which a recent precipitating event appears significant, especially since clinicians tend to credit depressive reactions to such stressful events when they are apparent. As a pathological symptom, depression often occurs in association with other psychiatric and medical illnesses, which makes precise diagnosis even harder. For example, in elderly people the differential diagnosis between early senile dementia and depression may be difficult. The term "secondary depression" has been proposed to encompass these symptomatic depression states. In clinical psychiatric practice, however, most depressive symptoms are "primary," that is, without apparent association with preexistent or concomitant illness. Each year, between 4 and 8 percent of the population experiences a clinical depressive syndrome, a constellation of symptoms in which the mood disturbance is accompanied by sleep difficulty, change in appetite, retardation of thinking, and attitudes of hopelessness, helplessness, pessimism, and even suicidal tendencies. Moreover, since these symptoms often persist, the diagnostic criteria embodied in the third edition of the American Psychiatric Association's Diagnostic and Statistical Manual, known as DSM-III, require at least two weeks' duration of such symptoms, plus evidence that their intensity and pervasiveness have impaired the individual's usual social role performance and personal activities. (Brett Silverstein, Emily Blumenthal, 1997). THE BIOLOGY OF DEPRESSION The human brain is extremely sophisticated; indeed, it is far more complicated and versatile than even the most powerful modern computer. It contains in excess of 100 billion brain cells, known as neurones, each of which is connected to many other neurones. If you look at them under a microscope, neurones appear as thin wires connecting little blobs of brain tissue. However, even with strong magnification the neurone-to-neurone connections, known as synapses, are not apparent. Synapses can be electrical but the majority are chemical. A signal from one part of the brain travels to another-as a series of electrical impulses-along neurones. Where two neurones meet, the signal is carried across the synapse by the release of a tiny balloon-like packet of 'neurotransmitter', in which a message-carrying chemical is carefully packaged. Once released into the synapse this balloon immediately ruptures, releasing its chemical contents, which are then free to quickly migrate across the synapse

AFGHANISTAN Essay Example | Topics and Well Written Essays - 1000 words

AFGHANISTAN - Essay Example The male members of Afghanistan’s population keep weapons with them as a sign of their personal honor. This paper contains a description of people and culture of Afghanistan. Afghanistan is an Islamic state and is landlocked which means that it has no sea routes. It can be considered as present in the center of Asia. The citizens of Afghanistan are called Afghans or Afghanis (Dupree 1977). The name of the state Afghanistan is given to it because it is the land of Afghans as they are the nationals of the country. The people of Afghanistan speak Pushto and Persian along with many local dialects. Afghanistan is a rich state in terms of culture and traditions (Jawad 1992). The people of Afghanistan consider themselves strongly associated to their culture, religion, identity and freedom (Toynbee 1961). Afghans live in form of Clans and are deeply rooted in the clan system. They felt themselves associated to other clan members and are always ready to secure their clan members from any attack or inconvenience from any side (Jawad 1992). The country has gone through many hard conditions of warfare and foreign invasion due to which, the country along with its people and culture has suffered immensely (Rall 2002). The country is mostly mountainous with green valleys in between. There are also plains and deserts in Afghanistan. Due to warfare in Afghanistan, many Afghans moved away from Afghanistan to the neighboring states such as Pakistan and Iran (Rall 2002). The people of Afghanistan are divided into many ethnicities or it can be said that Afghanistan is a country of people with mixed ethnicities (Toynbee 1961). It has a multiethnic culture but as far as religion is concerned, the dominant religion is Islam. The ethnic groups in Afghanistan are Pashtuns, Tajiks, Hazaras, Uzbeks, Turkmen, Baluch, Nuristani, Pashai, Aimak and Arabs (Dupree 1977). The Afghani people are identified according to their ethnicity by means of their being resided at different

Thursday, July 25, 2019

Case Study #2 Example | Topics and Well Written Essays - 1250 words

#2 - Case Study Example Gasoline is most commonly used as a fuel in vehicles which makes it one of the most important commodities in human life today. One of the characteristics of a necessary item is that its price should stay within the affordable limits of the general public, so that they are not deprived from its usage under any circumstances. But, gasoline price is found not to adhere to this rule and had often been subjected to wide variations, a consequence of similar variations in oil prices. The impact of such price movements is more intensely felt in the Western economies where almost every household owns a car. The following diagram is evidence of the wide fluctuations in gasoline prices in USA over five years (2004-2008). In fact, the mean and standard deviations of the gasoline prices, which are 251.38 (cents per gallon) and 62.15, over the five year span being considered, are also evident of wide variations in the same. The present study tries to investigate the causes and effects of wide fluctuations in gasoline prices in context of the US economy. USA being one of the highest GDP earning nation in the world and also the one with the highest per capita income, is a good ground for the study since oil has become more like a mode of daily life for the Americans. Hence, any fluctuations in the price level of the same, will have a widespread impact on the lifestyle of the nationals. The research outcome will help the residents of the country to get more aware of the possible impact of a rising oil price and thus they will be in a position to anticipate beforehand how they might be affected when subjected to such price fluctuations, and thus shield themselves accordingly. The fluctuations in oil prices and hence that of gasoline could be owed to a large proportion of oil being produced in the Middle East nations which, having formed an organization in themselves (OPEC) enjoy almost a monopoly power over the price movements of the

Wednesday, July 24, 2019

Strategy and organizational learning Essay Example | Topics and Well Written Essays - 3000 words

Strategy and organizational learning - Essay Example Flow of information, knowledge, technology and capital has transcended geographic and national boundaries due to globalization. With such fast, easy and fluid flow of information, knowledge and technology the major asset of an organization has become knowledge and not production. Rate of an organizations ability to learn and adapt is considered to be the only real source of competitive advantage. How organizations can become a learning organization? Does individual learning and social learning has any relationship with organizational learning? What is the difference between an organization that learns and a learning organization? Is it just mastery of words or there is some substance in it? This paper aims at answering all these questions with the help of theory and its critical analysis along with the examples from the business world. Emergence of Knowledge/ Learning Organizations Charles Darwin said â€Å"It is not the strongest of the species who survive, nor the most intelligent ; as a matter of fact, it is the ones who are the most agile to change†. The same point stands valid for organizations too. The organization who wishes to remain relevant and thrive in the long run, learning better and faster is the solution or the technology. Learning is not only the key to success but perhaps vital for survival for today’s organizations. For this purpose organizations must strive to enrich knowledge through continuous internal and external learning. A learning organization is one that encourages and values learning and realizes the role learning can play in enhancing organizational effectiveness. This attitude and importance of learning is reflected in the vision of the organization and a learning strategy that supports the inspiring vision for learning. Building a Learning Organization A learning organization depends on a lot of internal and external factors. External environment includes economy, society, polity and technology. The subsystem of lear ning organization includes organization, people, knowledge and technology. Each subsystem not only interacts with each but also support for learning to permeate all across the organization. The importance of learning is communicated by leaders. An effective communication system is developed to avoid the development of silos and ensure smooth lateral flow of knowledge across structural boundaries. Both planned and emergent learning needs are emphasized. For building effective learning organization following steps must be taken, strategy development, collaboration mechanism, knowledge sharing and learning, management techniques and knowledge capture and storage (Serrat, 2009). Social Complexity and Organizational Learning Organizational learning is a very complex social phenomenon. Emergent and fluid nature of organizational learning makes it more complex. The two most important determinants of complexity science are schemas of diversity and interaction interdependence. Presence of bo th in learning organizations makes it a complex. Tensions within and between internal and exte

Tuesday, July 23, 2019

Physiological Tests Essay Example | Topics and Well Written Essays - 1750 words

Physiological Tests - Essay Example There are various factors that can easily control the accuracy of the results. E.g. An Individual's Motivational level and pacing ability can have a profound impact on the results. An average teenager female would have the score (difference of max height jumped and standing height reached) ranging between 31-40cm. A score of 51-60cm is regarded as a good score and anything above 60cm is categorized as Excellent. In order to improve the leg power, the subject should focus on exercises like Squats, Dead lifts, cycling and Swimming. 2.. A treadmill test is a continuous running for 9-15 minutes wherein Multistage Field Test (MFT) the subject runs at the sound of recorded beep. Traditionally MFT is done in open rather than indoor, so environment also has some affect. 3.In MFT the beep is on a recorded tape. As the audio-tapes may stretch over time, the tapes need to be calibrated which involves timing a one-minute interval and making adjustment to the distance between markers. The recording is also available on compact disc, which does not require such a stringent calibration, but should also be checked occasionally. 1. It enables the athlete to recruit and trigger fast twitch of muscle fibers. It helps to produce greater amount of force in smaller amount of time. This is in accordance to Henman's principle. Bench Throw allows the subject to release an external load before the limbs enter a decelerative kinematics' phase. 2. Bench Throw done continuously for a while followed by a rest period and repeated until a deceleration occurs has been proven to elevate the heart rate to training zone level. DISADVANTAGES 1. Inappropriate choice of weights can make significant changes to the results. If the weight is too light the rate of acceleration will be too fast and if the weight is too heavy the bar will decelerate before the release point. 2. It is a little risky. While the rod is thrown up, safety measures should be

Monday, July 22, 2019

Gap in Gender Pay Essay Example for Free

Gap in Gender Pay Essay INTRODUCTION: Although women are steadily making their mark in the business world and heading major corporations, the question remains, are they still earning less than their male counterparts? Throughout time there has been a definite difference between men and women and their median income. This wage gap cuts across a wide spectrum of occupations. However, in 1963 the Equal Pay Act was signed making it illegal for employers to pay unequal wages to men and women who hold the same job and do the same work. There may be many reasons for this gap in salaries; most of them may not be necessarily based on gender. The following research will investigate what causes the gap in earnings, if any, and examines various factors that may have an effect on the earnings of men and women. I. RESEARCH PURPOSE The purpose of this research is to determine whether or not women who are working the same types of jobs, with the same amount of education and experience are being compensated the same as men. Although women have made a significant pace in entering the workforce and in exploring a wider range of occupations, they may still be treading behind in wages earned compared to their male counterparts. Many years ago, it was thought that because women were not as well educated as men, did not have as much experience as men, and did not work as hard as men that the range of pay should not be the same. This is no longer true and women have been graduating from college at the same rate as men and are working just as hard as men. However, the wage gap between men and women remains and nationally, women earn 77 cents for every $1 earned by men (Head, 2008). Thus, despite a sense of continued progress toward gender equality in the workplace the gap between men and women still persists. The significance of this research issue may reveal an underlying discrimination between the sexes that many may believe has narrowed. The importance in equality of gender pay is not only that it is the right thing to do, but an equitable and competitive pay package improves employee recruitment and retention.  This concept benefits both the employer and the employee, male or female. Nonetheless, as long as this gap remains the more likely this issue will provide a main source of debate among the organizational workforce. II. PROBLEM DEFINITION: The study, by the American Association of University Women Educational Foundation, found that 10 years after college, women earn only 69% of what men earn. (USA Today, 2007) Defining the problem starts with an examination of the evidence to determine how big the gap truly is and whether discrimination is to blame. Essential variables that may have an impact on male-female wage differential such as ethnic background, age, and industry will be measured. Our team will research and find out how big the gap is what could be the cause, factors such as: a). Hours of work- some tend to think that men are more likely to work longer hours. b). Education levels-some tend to think that men on average is higher qualified and women invest less in their education. c). Workforce participation and experience-industries tend to think that women spend less time at work because of their domestic responsibilities to their children and family. The majority of organizations assume that young women are going to leave the workforce when they have children, and therefore will not promote them. d). Why is there such a gap between the amount on a mans paycheck compared to a womans? e). Occupation type- some think women are looking for an easy way out and they tend to seek out and cluster around a few occupations and industries because of the tastes of employers, male employees and customers. f). Are women given the same opportunities for advancement as men? Our team will investigate what percentage of these factors contributes to the difference in pay between these two genders and seek to find out if discrimination plays a part in this pay gap and will the gap disappear through educational achievements. Why do woman not have equal job opportunities? Jobs held by women pay less than jobs held by men, even though the job requires the same education and skills. A newly hired woman will get a lower paying assignment than a man who started working there the same time for the same employer. Not only that also, women do not receive the equal chances in promotions like men. Equal pay has been an issue for all working women for the past few decades. III. RESEARCH HYPOTHESIS While some studies may reflect a sense of continued progress towards gender equality in the workplace, the federal government currently confirms that the workplace earnings gap amongst men and women is still prevalent today (About Management.Com). It is the educated guess of this team that men are paid at a substantially increased rate for performance in positions than women are paid to operate in those same positions. This hypothesis is deducted from observations made from current work situations, random peer discussions, and updated articles. More than forty years after the Federal Equal Pay Act, hard working women are still being paid less than men are on the job. There are numerous speculations that can be made in an attempt to explain this is behavior, such as career selections being made by men and women. Women tend to make decisions about employment based on convenience, meaning that women migrate to positions that will allow for them to maintain a active home life and still maintain a 40 hour work week, whereas men will more than likely trade an active home life for longer work hours, safety risks, frequent travel, longer work hours and extended commuting times to make the higher pay. While these practices may not be fair, they are a reality. The research provided in this paper will lead to three possible outcomes; it will either prove that men are paid at higher rates than women to operate in the same or similar positions, women are paid at higher rates than men to operate in the same or similar position, or men and women break even when it comes to wages and position. References Head, Lauren Lawley. (2008, April 23). Pay Gap Worth Steaming Over: Bizwomen.com. Retrieved April 29, 2008, from http://www.bizjournals.com/bizwomen/index.php/2008/04/23/pay-gap-worth-steaming-over/ Coutts, Justin. (2004, February). Policy Backgrounder, Business Roundtable. Retrieved April 29, 2008 from http://www.nzbr.org.nz/documents/policy/policy-2004/PB_No1.pdf Arndt, Bettina. (2006,October 16). Herald Sun.com. Why Men are paid More. Retrieved April 29, 2008 from http://www.news.com.au/heraldsun/story/0,21985,20586168-5000117,00.html

Sunday, July 21, 2019

Organotin (IV) Compounds: Chemistry, Properties and Uses

Organotin (IV) Compounds: Chemistry, Properties and Uses Introduction 1.1 Tin Element It is undeniably that many research and studies had been done in the field of organotin chemistry for the past half century. Sn which is symbol bared by tin which is called as stannum in Latin. It is placed on group 14 and period 5 in the periodic table with atomic number of 50. It has an electronic configuration of [Kr] 4d10 5s2 5p2. The table 1.1 below show properties of tin (Davies, et al., 2008).The chemical properties was shared similarity with germanium and lead. Moreover, tin form compounds which has +2 and +4 as its oxidation number with +4 has slightly higher stability. Hence, formation of tetrahedral tin atoms occur when four valence electrons involved in the sp3 hybridization. Table 1.1: Tin Properties (Davies, et al., 2008) Based on Tin Chemistry: Fundamentals, Frontiers and Application, it was stated that tin has the stable isotopes of ten and also with the highest number of any element in the periodic table of isotopes. Thus, tin exhibit vary characteristic of the mass spectra. From on the table 1.2 shown below, it appear that both isotopes of 117 and 119 with spin of  ½ are used in the Nuclear Magnetic Resonance (NMR) spectroscopy (Davies, et al., 2008). Table 1.2: Stable isotopes of Tin (Davies, et al., 2008. p. 3) It is found that metallic tin occur in two states which is ÃŽ ±-tin and ÃŽ ²-tin. The ÃŽ ²-tin exists as distorted cubic structure and function as electric conductor. Whereas, ÃŽ ±-tin is formed when ÃŽ ²-tin is converted slowly at temperature below 10 °C. Besides that, ÃŽ ±-tin exits as a diamond structure which have the properties as a semiconductor. The physical appearances of tin is white and possess inertness at ambient temperature. However, tin will only undergo oxidation to SnO2 at 200 °C since it is a malleable post transition metal (Davies, et al., 2008). 1.2 History of Tin Tin has been discovered around 3500 BC and it is known as an element that strengthen copper by forming copper-tin alloy which actually begin as early as Bronze Age civilization. The tin present in surface of Earth is only approximately 2 ppm which is far lesser compared to zinc, copper and lead. The production of tin mainly from mining and smelting (Davies, 2004). In 1849, gives the birth of the first organotin(IV) compound, diethyltin diiodide synthesized by Edward Frankland which ultimately set as a new era in the field of tin chemistry. Frankland basically studies the behavior of the reaction between ethyl iodide and zinc heated in a sealed tube. It was that time found out that the decomposition of iodide of ethyl is affected by tin at the range of temperature between 150 °C to 200 °C (Davies, 2004). Threfore, his research practically set as a seed for further studies and was further stimulated around 1949 when various application of tin was discovered. Truly structural changes of compounds between the solution and solid states plays a crucial role in the organotin(IV) chemistry and its applications. In early studies of the 60s and 70s, Mà ¶ssbauer spectrosocopy was used to determine the sturcture of the complexes. Nevertheless, it is now been dominantly used with X-ray crstallography and 119Sn NMR due to better technology and resolution (Davies, 2004). 1.3 Preparation of Organotin(IV) Carboxylates Organotin(IV) carboxylates’s formula is RnSn(O2CRËÅ  )4-n . The complexes can be produced by reacting organotin(IV) oxide or hyrdroxide with comparable carboxylic acid. (equation 1.1 to1.3) R3SnOH or (R3Sn)2O + RËÅ  COOHà ¯Ã†â€™Ã‚   R3SnOOCRËÅ   + H2O (1.1) R2SnO + 2RËÅ  COOR à ¯Ã†â€™Ã‚   R2Sn(OOCRËÅ  )2 + H2O (1.2) RSn(O)OH + 3RËÅ  COOH à ¯Ã†â€™Ã‚   RSN(OOCRËÅ  )3 (1.3) Esterification reaction is accomplished between organotin(IV) oxides or hydroxides and carboxylic acids by azeotrophic dehydration. The above equations’ reactions will depend on the mixing of different mole ratio of acid and base with appropriate solvent. The side products, water was removed by Dean-Stark apparatus and molecular sieve. Furthermore, organotin(IV) carboxylates can be prepared by reacting organotin(IV) chloride with metal carboxylates. (equation 1.4). Meanwhile, when a tin-carbon cleaved with carboxylic acid, it can also produce organotin(IV) carboxylates or cleaved with mercury(I) or mercury (II), or lead (IV) carboxylate as shown below (Davies, 2004). (equation 1.5-1.6) RnSnCI4-n + 4-nRËÅ  COOM à ¯Ã†â€™Ã‚   RnSn(OOCRËÅ  )4-n + 4-nMCI (1.4) R4Sn + RËÅ  COOHà ¯Ã†â€™Ã‚   R3SnOOCRËÅ   +RH (1.5) R4Sn + RËÅ  COOM à ¯Ã†â€™Ã‚   R3SnOOCRËÅ   +RM (1.6) 1.4Structures of Triorganotin(IV) Complexes Basically the general formula for triorganotin(IV) complexes would be R3SnX and it is widely studied. This is due to the higher biological activity of triorganotin(IV) complexes compared to diorganotin(IV) complexes. The R group highly influence the biocidal activities as it contains three Sn-C whereas their volatility and solubility is affected by the X group (Kizlink, 2001). The toxicity also decreases with a decrease of organic groups bind to the tin atom. However, reviews indicated that X group itself is active biologically and an increased of aqueous solubility will lead to increased of activity (Davies, et al., 2008). Meanwhile, chelation of triorganotin monomer or polymer with a five coordination leads to a decreased of activities (Davies, et al., 2008). 1:1 molar ratio of carboxylic acid and triorganoitn(IV) base are used to prepare triorganotin(IV) complexes (IMTIAZ-UD-DIN and BADSHAH, 2010; Win, 2012). There are two main types of structures possess by triorganotin(IV) complexes which is chain and discrete structures. Figure 1.1 shows frequent occuring stuctures of triorganotin(IV) complexes with different coordination geometries (Hadjikakou and Hadjiliadis, 2009). Figure 1.1: Frequent occurring structures in triorganotin(IV) complexes (A-C) (Hadjikakou and Hadjiliadis, 2009. p. 236) At figure 1.1, complexes A to C falls on the category of discrete structures. It is commonly found that Ar3SnO2CRËÅ   exhibit discrete structures such as triphenyltin carboxylates. Complexes A shows possible dicarboxylate ligand that can form a linear polymer by bridging triorganotin(IV) groups. Complexes B is a structure that closely resemble to trigonal bipyramid containing two equivalent CO bonds with facial alkyl groups whereas complexes C shows tetrahedral geometry with two non-equivalent CO bonds. The axial sites for complexes A to C are all occupied by O-Sn-O electronegative substituents (Davies, et al., 2008). 1.5Tin Application It is undeniably that tin compounds have contributed and played a crucial role in various fields such as its property as an anticancer agent, in vitro anti-bacterial, wood preservatives, pesticides etc (Davies, et al., 2008). The main focus of tin application would be its organotin complexes due to its biologically active compounds in potentially lowering cancerous cells. Therefore, tremendous focus have actually diverted to anti-cancer field though it’s still have a wide applications. Table 1.3Industrial uses of organotin(IV) compounds (Omae, 2002) 1.5.1Agriculture Triorganotin(IV) compounds are proven to be extremely useful in agricultural and industry as they act as fungicides, molluscides, acaricides ,biocides and pesticides based on the research and reviews conducted (Kizlink, 2001; Nath, et al., 2013). For examples, toxicity towards insects and mammals are contributed by trimethyltins whereas Gram-negative bacteria are affected by tri-n-propyltins. In addition, tri-n-butyltin and triphenyltin compounds are effective against fungi. Presence of triorganotins pose as a lethal to mosquitoes and their larvae. Moreover,tributytin chloride act as an strong repellent for rodents in crops. Besides that, snails control is affected by both triphenyltin acetate and triphenyltin chloride as molluscicides. This will help to prevent schistosome infections in human (Piver, 1973). According to Kizlink studies, the presence of n-butyl, phenyl and cyclohexyl groups will greatly increase the biocidal activity (Davies, et al., 2008). Tricyclohexyltin hydroxide and trineophenyltin oxide acts as a acaricides which are used on citrus and vegetable crops though they are not conditioned to resistance environment (Batt, 2006). Whereas triphenyltin(IV) hydroxide and triphenytltin(IV) acetate are used in high value crops when there is potential for the crops to be infected such as early blight, Alternaria solani (GUENTHNER, et al., 2000). Therefore, the common crops used for fungicides are potatoes, pecans etc. With all the advantageous as biocides, ,little did people know that when triorganotin(IV) compunds are capable of adsorbed into the soil. This will eventually lead to contamination of surface water due to runoff (Okoro, et al., 2011). 1.5.2 Anti-cancer Activity In 1965, platinum complexes which is known as cis-diamminedichloroplatinum or cisplatin that characterized anti-proliferative activity has been discovered by Rosenberg (Alama, et al., 2009). Since then, platinum (II) complexes has been used as anti-cancer agent (Lippard and Jamieson, 1999). Regardless of its success, conducted studies has shown that it possess side effects (Langer, et al., 2013). Therefore, a non-platinum metal complexes field has been been prompted to studied with continual investigation of new complexes as antitumor drugs. Besides that, there has been many reviews and studies on organotin carboxylates due to its antitumor potential. Generally, triorganotin(IV) complexes had been widely known to possess superior activity than diorganotin deriavatives (Baul, et al., 2005; Ali, et al., 2011; Yip, et al., 2012). This rules apply to some of the activties and had been recognized as R3SnL > R2SnL2 > RSnL3. Literature had indicated that triphenyltin(IV) complexes have remarkable activty in in vitro antitumor against human mamary tumour (MCF-7) and colon carcinoma (WIDR) (Baul, et al., 2009). It is also reported that the actvity of triphenyltin(IV) complexes are higher than other complexes with p-hydroxybenzoic acids. This is because of the high values of half inhibitory concentration (IC50) lipoxygenase inhibition compared to organitins(IV) and also reference cisplastin. Besides that, the inhibition of lipoxygenase and the activity of anti-proliferative against smooth muscle tumor, a leiomyosarcoma cells are higher for triorganitin(IV) compounds compared to diorganotin(IV) compounds (Nu, Li and Li, 2014). High lipophilic behaviour ,ability to penetrate cell membrane and promotion of binding to biological molecules due to its phenyls group of triorganotin(IV) carboxylates showed high cytotoxic activity further confirms its impressive cytotoxicity in vitro against human lung cell line and human hepatocellular carcinoma cell line (Ma, et al., 2014). Furthermore, spontaneous disproportionation reactions in solution may undergone by triorganotin(IV) derivatives into di- and tetraorganotin(IV) derivatives. In the mean time, lost of alkyl or aryl group may happened in in vivo during interception of aromatase enzyme. Therefore, there is possibility to recognize diorganotin(IV) complexes might be the ultimatum of cytotoxic agent and pharmacokinetic considerations in relation to commonly observed triorganotin(IV) compounds’ high activity (Alama, et al., 2009). The organotin carboxylates can be further studied by exploring the ligand of the carboxylic acid, coordination number of the central tin atoms which play a crucial role in determine factor of the anti-tumor activity or cytotoxicity properties (Hadjikakou and Hadjiliadis, 2009; Ding, et al., 2012; Thorpe, et al., 2013). In conclusion, simultaneous in researching leads to potential in discovery in designing new anticancer drugs which will greatly help in our advancement in the medical field. 1.5.3 Antifouling Exploit of trioganotin(IV) compounds can be used as a biocidal agent in anti-fouling paints for ships. In fact, tri-n-butyltin oxide (TBTO) is the first organotin compound to be discover for its properties. The function of anti-fouling systems is to coat and paint ships that acts as protective layer in order to inhibit attachment of Chlamydomas sp. or acorn barnacles. Shipping industry will face a serious problem if marine fouling occur due to increased surface roughness and resistance in water. Therefore, a consumption of 40% of fuel is needed to maintain the normal speed (Omae, 2003). Furthermore, triorganotin(IV) compounds are resistance towards corrosion on aluminum hulls which is why it is favoured. Besides that the ability of tributyltin oxide to mix with pain solvents as a colorless liquid can be used in many biocidal applications. However, tributyltin oxide is highly soluble in seawater and thus giving a short term protection. Whereas, triphenyltin(IV) fluoride has become a common antifungal paint due to its long life protection from algae and shells (Omae, 2003). Even though both tributyltin oxide and triphenyltin(IV) fluoride made a good antifouling paint, studies had shown that they contribute contamination to the aquatic environment (Hartl, 2012). It was suggested that biocides release is caused by high pressure hosing activities in which the paint particles become attached with the sediments and also leaching (Konstantinou and Albanis, 2004) 1.5.4 Wood preservatives It is undeniable that wood is a precious gift from the mother nature and serves as as a wide applicant in the world. Specific wood species are needed for construction due its superior physical, mechanical and aesthetically pleasing performance (Jusoh, 2012). However, not all wood species are durable for outdoor activities. Therefore, organotin(IV) compounds are set as a wood preservatives such as tributyltin(IV) oxide and tributyltin(IV) naphthenate. Based on Kizlink research in year 2000, triorganotin(IV) compounds are found to inhibit the growth of mycelium from wood-destroying fungi Coniophora puteana, Serpula lacrymans and mould suspensions. It is reported that butyl group in n-alkyi chains contained by triorganotin(IV) compounds such as bis(tributyltin) oxide and tributyltin N, N-diethyldithiocarbamate is highly effective against fungi. On the other hand, inhibitory activity of fungicides of triphenyltin(IV) compounds appear to be lower than tributyltin(IV) compounds. This studies indicated and proven that smaller molecular volume of R3Sn have a better establisment to the site of inhibitory action compared to bigger molecular volume. Whereas in the studies of Jusoh, it was suggested that Alstonia schlaris, Macaranga triloba and Hevea brasiliensis were preserved succesfully by organotin(IV) compounds. This results would be further supported by the binding of tin compounds with the wood cell from the FTIR spectra which serves as a preservations of treatability of the specific wood species. 1.5.5 Poly (vinyl chloride) (PVC) stabilizers The degradation of poly (vinyl chloride) (PVC) or oxygenolysis occur at lower temperature of its processing temperature. Thus, conjugation of double bonds are established and the decomposition will release hydrogen chloride (HCI) which then be reduced by heat stabilizers through absorption (Arkis and Balkose, 2004; Wang, et al., 2014). The stabilizers are composed of mono or di-disubstituted organotin(IV) compounds which usually added to pipes, films and packing materials due to their thermal stability (Nu, Li and Li, 2014). Common PVC stabilizers can be differentiated with their alkyl group of organotins which is methyl, butyl and octyl (Okoro, et al., 2011). Since the toxicity of monoorganotin stabilizers towards mammals are extremely low, they are widely used with an added advantage of low raw material cost. On the other hand, the efficiency of octyltins are lesser due to its lower tin content (Batt, 2006). According to Songwon in 2013 by Tin Intermediates Selection Guide, the examples of organtin(IV) complex used as a heat stabilizers is butyltin(IV) mercaptide, dibutyltin(IV) dilaurate, monobutyltin tris(2-ethylhexanoate) and dioctyltin mercaptide. Tin mercaptides are found to be the most desired due to its high efficiency acting as a weak acid reacting with labile chloride sites on PVC. Besides that, solubility of the stabilizer and lubrication in polymer processing is enhanced by the high molecular weights and ester group in mercaptan ligands (Batt, 2006). 1.6 Other usage of Organotin(IV) compounds Besides organotin(IV) compounds acts as an antibacterial and antifungal agent, it also has mothproofing properties to treated fabrics such as bis(tributyltin) oxide. This is due the advantage of being lacking of color and staining. Staphylococcus aureus, a bacteria found in hospital also can be controlled by chemical bis(tributyltin) oxide (Piver, 1973). Diorganotin(IV) compounds are used as catalysts to in process of forming polyurethane and silicon elastomers (Okoro, et al., 2011). Dibutyltin(IV) compounds such as diibutytin(IV) dilaurate is responsible in controlling tapeworms for poultry such as Raillietina cesticillus. 1.7 Effects of Organotin(IV) compounds Humans are affected by organotins consumption of contaminated food, waters from pipelines of PVC or inhalation from agricultural activities and industry processes. The symptoms includes liver damage, loss of weight and neurological disorder. Birds are affected by their uptake of food in which their body structure, diet and metabolism of butyltin determines the accumulation in their tissues. Tri-n-butyltin oxide will greatly impact the immunological system and hormones activities of the birds. Whereas the entrance of organotins to fishes is through uptake of water from the gills and diet factor. The toxic effects would be on the red blood cells, gills and liver in the presence of tributyltin(IV) compounds(Namiesnik, et al., 2013). Another evidence was proved by studying chronic toxicity of organotin(IV) compounds by observing gastropods as subjects. It was found that gastropods exhibit imposex which can be defined as having male organs such as penis in a female species even with low concentration of tributyltins. This literally means that contamination of organotins greatly affects all biological living species (Omae. 2002) 1.8 Objectives The main objectives of this research is to synthesis (4-amino-3,5-dichlorobenzoato)triphenyltin(IV) from the reaction between 4-amino-3,5-dichlorobenzoic acid with triphenyltin(IV) oxide. The second objective of this research is to study the characterization of the synthesized complexes through determination of melting point, carbon, hydrogen, nitrogen elemental analysis, Fourier Transform Infrared Spectroscopy (FTIR) as KBR dics, 119Sn, 1H and 13C Nuclear Magnetic Spectroscopy (NMR) with the means of quantitatively and qualitatively. The third objective for this study is to determine the structure and coordination geometry of the tin moiety carboxylates. Molar ratio of the reactants, polarity of solvent, temperature of refluxing etc. will contribute to the effects of coordination number and binding mode of the ligand to the tin atom which will be investigated.

The Age Of Criminal Responsibility Criminology Essay

The Age Of Criminal Responsibility Criminology Essay One must be aware that the United Nations Convention on the Rights of the Child professes anyone under the age of eighteen is a child. However, in the criminal law, greater distinctions are made: anyone under 18 is a juvenile, aged 14-18 are classed as young persons and a person under 14 years old are classed definitively as a child. What does it mean to be a child in this modern era? Every person has experienced life as a child and could easily accumulate their own perspective, but that is exactly what it would be; a subjective definition that begins with infancy and ends when they reach adolescence. However, adolescence, for legal purposes must portray a mental, intellectual, emotional and more specifically, a moral capacity to differentiate right from wrong. Before one looks at the legal observations of childhood, it is only sensible to consider the words of those who dedicate their lives to the study of child psychology, and ultimately have wider knowledge. Psychological theory Piaget in his work, The Moral Judgement of the Child  [1]  established a theory of not only the cognitive, but also the moral development of a childs mind, prà ©cising that they cannot undertake certain tasks until they are psychologically mature enough to do so. The psychologist Kohlberg expanded on Piagets position  [2]  , and their theories make it plain that by ten children are not capable of making moral decisions similar to that of an adult, as they have not fully learned to do so. The theories suggest that there are 2 stages of moral reasoning (which sometimes overlap) named the heteronomous stage and the autonomous stage. At the heteronomous stage, the child is egocentric and believes the world revolves around them, and they will act depending on the severity of the outcome. This stage continues past the age of ten, so before they reach the next stage it is unlikely that they will be aware of the severity of any outcome. Subsequently, when they are in the autonomous stage, intentions are more important than the consequences of action and should be the basis for judging behaviour, and it is then that a child should be held accountable for his or her actions, not before. The theories suggested here are, of course, non-conclusive and non-exhaustive, but at least give an insight into the questionable nature of the entire concept of an absolute age of criminal responsibility, so it would be worthwhile to keep these theories in mind throughout the discussion. The age of criminal responsibility The age of criminal responsibility in England and Wales is ten years.  [3]  All children under this age are presumed to be doli incapax (incapable of committing a crime). After reaching the age of ten however, and as Elizabeth Stokes informs us, there is nothing within the substantive criminal law regarding the attribution of guilt, which distinguishes the responsibility of young people from that of adults.  [4]   The Home Office White Paper in 1997, signalled the start of New Labours tough and punitive, No More Excuses campaign by declaring that; Young people who commit offences must face up to the consequences of their actions for à ¢Ã¢â€š ¬Ã‚ ¦ No young person should be allowed to feel that he or she can offend with impunity à ¢Ã¢â€š ¬Ã‚ ¦ Punishment is important as a means of expressing societys condemnation of unlawful behaviour and as a deterrent.  [5]   Even though there was much discussion with reference to raising the age in the late 1960s after the Government White paper Children in Trouble  [6]  (1968) along with Section 4 of the Children and Young Persons Act 1969 which would have raised the age of criminal responsibility to 14 but was never implemented and the provision was repealed in 1991. This introduced an unnaturally bold dividing line between criminal responsibility and irresponsibility for children who offend. This was the case even though arguments have been put forward suggesting that to criminalise and label children is very dangerous, with Deborah Orr proposing that, if a child has behaved in a fashion that he or she feels he had little or no control over, and then is told this is criminal, then the child is being taught that his or her criminality is something over which he has no control.  [7]  The following doctrine attempted to decrease the amount of children being labelled until it was abolished. Doli incapax Protection or a waste of time? Before the Crime and Disorder Act 1998 which abolished the doctrine, there had existed for hundreds of years  [8]  protection for children aged between 10 and 14 years. This protection was the rebuttable presumption that children were doli incapax. Under this legal doctrine, as expounded in the case of C v DPP  [9]  in addition to committing the actus reus and mens rea of a criminal offence the prosecution also had to prove beyond reasonable doubt that they knew what they were doing was seriously wrong. This doctrine was working as a filter which recognised childhood to stop 10 being the absolute age of criminal responsibility. Children aged between 10 and 14 years benefited from the presumption as it protected them from the detrimental effects of the enforcement of criminal law.  [10]  But despite this, it could be suggested that the doctrine did not work as it was professed to as it still did not stop children being prosecuted; as the prosecution only had to prove that children knew the difference between the extreme opposites of right and gravely wrong, and not mere naughtiness and wrong. For example, Bandalli suggests that children have a very flexible approach to ownership, if one were to look at the contents of the Theft Act 1968, s.1(1) describes the crime as dishonesty with intent to permanently deprive a concept which children might only be aware of as merely borrowing. So in practice it did not work sufficiently, but it cannot be ignored that it had very strong symboli sm, which was arguably the most important aspect. The symbolism of the doctrine An excellent point made by Pickford questions why the opponents of abolition continue to have faith in a doctrine which has proved to be so inadequate in protecting children anyway.  [11]  But this is perhaps because at least some acknowledgement was given to the notion of childhood with doli incapax, differentiating their treatment from that of adults. It made the police, the CPS and the judiciary stop and think about the degree of responsibility for each individual child,  [12]  and doing that, however briefly, kept the childhood status in tact. The symbolism of the abolition In spite of these arguments, Jack Straw said on 3 June 1998; with great respect, we are abolishing the concept of doli incapax and thus England and Wales saw the erosion of the policy of protection. However, this was combated with the justification that removal of protection was removal of excuse culture.  [13]  Nevertheless, supporters of the doctrine still implore the judiciary to recognise at least some protection. The recent case of R v T  [14]  in 2008 it was proposed that only the presumption had been abolished  [15]  and that the defence remained in tact. But this proposition was quickly flattened and children aged 10-14 would be treated in the same way as other juveniles in deciding whether to prosecute. The abolition of doli incapax was discoursed in conjunction with increasing the age of criminal responsibility, but now there has been an absolute abolition, the government has carried out one without the other, and has left a vacuum where protection should be. Th erefore, what doli incapax stood for; its symbolism of protection was quashed and children are treated like adults once again. The possible justifications for this are set out in Part Two. PART TWO CRIMINALISATION AND THE RIGHTS OF THE CHILD There is little doubt that punitive imperatives have shaped contemporary policy responses to child offenders in England and Wales.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Goldson (2002) The government is ignoring the widespread discourse and European recommendations about the rights of children. With their apparent stubbornness, not to mention the abolition of the centuries old presumption of doli incapax, the question is why are we wedded to the extreme desire to pull children into the criminal justice system and criminalise, rather than taking the civil route which is based on the foundations of protection and welfare? Their policy has brought a large group of children under the auspices of the criminal justice system where previously they may have been successfully diverted. This current punitive climate can be justified to an extent because people have an innate interest in punishment. Namely, they will view children as adults seeing them as autonomous beings who bear responsibility for what they do, despite their age. In the NACRO youth crime briefing as recent as December 2008, the Committee expresses concern about the findings of a survey commissioned by Barnados  [16]  which show the negative public perception of children: 49% of people believe that children are increasingly a danger to each other and adults, 54% agreed that children are beginning to behave like animals, 35% of people feel like the streets are infested with children. In addition to this, after the 1994 government submission to the UNCRC, Barnados and the NSPCC highlighted their outrage of what the government purported to be happening in England and Wales, that it did not reflect what was happening in reality, and thus decided to write their own submissions such as these, showing that the UK Government has much to answer for. The public have a diverse perception of children in contrast with psychologists  [17]  and they want to prosecute them. To prosecute and put a child through the criminal system costs between  £75,000 (for a youth to be in a young offenders institute) and  £150,000 (for secure accommodation).  [18]  Although it might be a generally useful deterrent to use the threat of prosecution, recently it can be seen how arbitrarily it is used (which is in breach of Art 37(b) United Nation Convention on the Rights of the Child). For example, an article in The Mail Online  [19]  states that in Newark, Nottinghamshire, letters of warning have been sent out that children face prosecution and fines of up to  £100 if they annoy neighbours with ball games. . But if the child was to be prosecuted for kicking a ball around in the street, what would this really achieve? The answer is nothing. Prosecution and custody in this respect would be equivalent to an employer paying a new employee to go through a process which they know does not work,  [20]  which is obviously a waste of time for everyone involved. The government maintains that it is providing proportionate penalties for child offending and in its report to the CRC states they are keen to ensure that children are not prosecuted whenever an alternative can be found but the NACRO youth crime briefing successfully contests this articulating even those who are diverted [away from the courts] by being dealt with reprimand of final warning, are in effect [still] criminalised. It is also exceptionally questionable whether children should be tried in the Crown Courts, as the NACRO briefing  [21]  suggests that the Crown Court is primarily an arena for dealing with adult offenders through jury trial, and children who commit grave crimes are, in large degree, processed as if they were adults.  [22]   And so, in the shadow of sympathetic European progressiveness, New Labour, with its No More Excuses draconian approach has conceded to the whims of the public and are practically stealing away what it is to be a child, including what they deserve and have a right to protection, which a higher age of criminal responsibility would ensure. In Europe: UN Convention on the Rights of the Child (UNCRC) According to United Nations Committee on the Rights of the Child regarding the age of criminal responsibility, countries should consider whether a child can live up to the moral and psychological components of criminal responsibility and notes that if the age of criminal responsibility is set too low the notion of responsibility would become meaningless. The Committee has recommended State Parties not to set a minimum age of criminal responsibility at a too low level and to increase an existing minimum age to an internationally acceptable level concluding that the minimum age below the age of 12 is considered unacceptable. According to UK Childrens Commissioners Report to the UNCRC, although the UK has ratified the UNCRC, the Convention is not part of domestic law and remains unenforceable. Recent legislative and policy developments are in clear breach of the UNCRC, for example, the naming and shaming of children subject to anti-social behaviour orders  [23]  . Even if these did not breach the Convention rights, it would be unsuccessful anyway, as some children, especially the higher end of the spectrum would actually be proud of having an ASBO, or as Deborah Orr suggests  [24]  , they would be badges of pride and perverse achievements. Thompson and Venables case study How it came about that two mentally normal boys aged 10 of average intelligence committed this terrible crime is very hard to comprehend . . . Morland, J The cases of R v. Secretary of State for the Home Department, Ex parte V. and R. v. Secretary of State for the Home Department, Ex parte T, concerned Robert Thompson and Jon Venables, both 10 ½ year old boys, being convicted of the murder of a two year old boy. They were only just over the age of criminal responsibility. They were sentenced to detention during Her Majestys Pleasure and the trial Judge; Morland J set the minimum term to be served at eight years to reflect their extreme youth. The NACRO youth crime briefing  [25]  Grave crimes, mode of trial, and long term detention, reports that the European Court of Human Rights (ECHR hereafter) determined that the defendants were denied a fair trial since they were unable to participate effectively in the proceedings given the nature of the court room and the intense public scrutiny saying the formality and ritual of the Crown Court must have seemed incomprehensible and intimidating for a child of eleven. This breaches Art 3 of the Convention, to have the best interests of the child as the primary consideration. The Youth Crime Briefing  [26]  reports that even after the Lord Chief Justice issued a Practice Direction (in February 2000), which gave guidance for the conduct of such proceedings and calls upon Crown Courts to have regard to the welfare of the child and to avoid exposing him or her, so far as possible, to intimidation, humiliation or distress (my emphasis added),further cases go on to breach Convention rights. This was detailed in the case of SC v UK  [27]  where an eleven year old boy who did not have the intellectual, moral or cognitive capacity for his age group, had his right to a fair trial breached even though the procedure adopted would have complied with the Practice Direction. The ECHR stated that: [He] has little comprehension of the role of the jury . Even more strikingly, he does not seem to have grasped the fact that he risked a custodial sentence, and even once sentence had been passed à ¢Ã¢â€š ¬Ã‚ ¦ he appeared confused and expected to be able to go home with his foster father. The Court then went on to make recommendations as to how a child with the handicap of childhood should be processed that they should be tried in a specialist tribunal noting afterwards that there are at present no proposals to develop one. The United Nations Standard Minimum Rules for the Administration of Juvenile Justice The Beijing Rules. The Beijing Rules adopted by the General Assembly in 1985, specifies in section 4.1 that the lower age of criminal responsibility shall not be fixed at too low an age level, bearing in mind the facts of emotional, mental and intellectual maturity. The commentary states that a specific approach should be taken, which is whether a child can live up to the moral and psychological components of criminal responsibility and making explicit reference to the individual discernment and understanding. This relates profusely to the theories that Piaget and Kohlberg propose where they have said that moral development is a continual process that occurs throughout the lifespan, and I would suggest that to fix the age at ten is to put a limit on an uncertain event, that is to say, they are severely generalising the mental capacity of children, leading to injustices in the due process that children are entitled to have. Even if it can be argued that increasing the age would lead to net-widening of children (who may have developed moral capacity earlier) being excused for crimes, that does not displace the argument that the majority of crimes committed by children are minor, and could be prevented with concern for the individual offender and n ot the offence. . In fact, the Beijing Rules state in part 11.1, consideration shall be givenà ¢Ã¢â€š ¬Ã‚ ¦to dealing with juvenile offenders without resorting to formal trial emphasizing that, this practice [will] serve to hinder the negative effects of subsequent proceedings, such as the stigma of conviction and sentence. The Rules also make clear the relationship that the age of criminal responsibility must have with its other limitation counterparts; the legal age of consent, the legal age of drinking, marital status, civil majority for example. There is also the notion of the need of a higher mental intelligence, emotional and moral capacity to be responsible in respect to all of these, and this just does not sit well with having the age of criminal responsibility at ten.  [28]   Risk and Predictive Factors In addition to disregarding the Beijing Rules, the government have actually contributed to the reason that children are committing crimes, evidenced by certain predictive factors that have led to increased youth crime in certain contexts. The Youth Offending Board  [29]  maintains that anti-social behaviour and crime is not immediately down to the childs choice, but rather the context in which they are placed. From their web page headed, Targeted Prevention of Youth Crime and Anti-Social Behaviour they raise the policy issue of funding for a start, and reinforce that, one of the best and most cost-effective ways to reduce youth crime is to prevent young people from getting into trouble in the first place, by dealing with the problems that make it more likely they will commit crime or anti-social behaviour. They then proceed to list possible predictive factors such as lack of or poor education, poor family relationships (bad parenting), and the child living in public housing locat ed in high risk, inner city areas. To start with, the report from the UK Childrens Commissioners to the UN Committee on the Rights of the Child evidenced that child poverty is high with around 3.1 million people living in poverty (29% of children) in England and more than 1 million children living in poor housing, which is a possible reason why children commit crime. Here it is not individual choice, but the governments own policy that is creating the increased likelihood of child offenders. The Joseph Rowntree Foundation suggests that current measures mean child poverty will rise from 18% to 33% over the next 20 years. They say the poverty gap is created by state benefits which are linked to inflation, rather than earnings, and that is of government concern. And so, if the Government is likely to miss its target to halve the number of children living in poverty by 2010, then they are in theory adding to the offending rates instead of reducing them, defeating their whole objective of being tough on crime. Other factors arise from poor parenting and bad education. In a speech to the Association of Teachers and Lecturers in 2002, the former education secretary Estelle Morris argued that bad parenting has created a cycle of disrespect among children, and again does not show it to be the individuals own choice. Poor education leads to truancy, alcohol misuse and other antisocial activities that adults would not be punished for. The Joseph Rowntree Foundation found that almost half the young people aged 11 to 17 reported committing at least one criminal act in a survey of 14,000 school students.  [30]  It is fair to argue that this shows crimes are being committed by children to whom doli incapax formerly applied, but this paper is not insisting that children between 10 and 14 do not commit crimes, it is reiterating that the punitive measures for this age group are a step backwards in an otherwise progressive world, and alternative measures are needed. The government have excused thems elves of any blame, when it is obvious from the above factors that they have an inherent part to play. Children are no longer treated as special cases when it comes to the types of penalties available to the courts when they ought to be. The status of childhood still remains and needs to be protected. But condemning children to the penalties that adults have, they are subverting the whole concept of childhood and are returning to the stage in history where children were no less than little adults  [31]  a definition which philanthropists such as Mary Carpenter in the very early stages of the youth justice system were trying to eradicate. PART THREE ALTERNATIVES Justice/Welfare Burgeoning youth incarceration and high reconviction rates in England and Wales have prompted a search for alternative responses. Pitts and Kuula  [32]   The overall aims of the criminal justice system are to avoid future re-offending and to exact retribution on behalf of the victim and society  [33]  as defined in s.37 of the Crime and Disorder Act 1998. The UK government for England and Wales have two main options they could take towards a child who has committed a crime; a diversionary approach operating at a cautionary level or to prosecute amounting to either a judicial process of punishment on the basis of harm done or a punishment approach regarding the welfare of the child. The inability to comply with the UNCRC recommendations is exposed where they take the punitive route almost every time. The response to juveniles oscillates between the justice or welfare approach, that is to say whether you look to the offence of the offender. The welfare approach is founded on determinist reasons outside of the childs control, so he or she bears no responsibility. However the justice approach appears to predominate in England and Wales, which will inevitably mean that the age of criminal responsibility will remain too low, as it does not allow a child to be anything but responsible. Civil Law approach The civil family law is an example of the welfare approach. There is an odd dichotomy because, in contrast with the criminal law which employs a fixed cut-off point, family law takes an individualised and functional approach, joined with a completely different perception of childhood, which is in line with the UNCRC. The perception seems nearer to that outlined by Piaget and Kohlberg which understands the vulnerable and dependent nature of a child, and again works on the basis that the childs welfare is paramount. Helen Keating also suggests that the child may also be seen as incompetent in legal terms, and that developmental discourse has found expression in law and has made its way into the system through the test formulated from Gillick v West Norfolk and Wisbech Area Health Authority and Another  [34]  . . The level of competence required is sufficient understanding and intelligence to enable him to understand fully what is proposed and sufficient discretion to enable him to make a wise choice in his or her own interests.  [35]  Despite the problems that the test can amount to, such as delay in ascertaining the competence, its influence has become enshrined in statute. The Children Act 1989 even begins with a checklist for the welfare principle stating that the court should have regard to the the ascertainable wishes and feelings of the child considered in the light of his or her age and understanding.  [36]  Ã‚   . There is no such parallel in criminal law, which begs the question of why two systems running side by side are contradictory. It cannot be that the children in family law cases are more vulnerable than those in criminal law, so it must be due to the approach. The UK Government should take a step back and try to ignore the distorted perceptions of children that the public emanate, and look more closely at the individual child perhaps even looking at them as if they were their own young. Comparative Systems With the New Labour policy so behind most other countries it is unsurprising that one can find models of welfare based systems which, despite their own shortcomings (such as paternalistic decision-making) still puts us to shame. Lesley McAra introduces a substantive summary of the developments in Scottish Youth Justice  [37]  noting it exhibited a high degree of stability in its welfare based institutional framework and policy ethos, up until it started acting like England. By filtering in punitive measures such as anti-social behaviour legislation when the Children (Scotland) Act was passed in 1995, Scotland has conceded to the publics moral panics about persistent offenders and is transforming. The fact that their age of criminal responsibility is going to raise to 12 (from 8) when the Scottish Governments Criminal Justice and Licensing Bill passes in 2009, may just have saved them from themselves. This was the philosophy of the Kilbrandon Committees  [38]  childrens hearing system. Here a child, passing several grounds for referral (which are astonishingly similar to the grounds that the civil (family) law invokes for a Care Order  [39]  .. is or is likely to suffer serious harm and/or with admission of guilt) are referred to a tribunal consisting of lay-people, who operated from a needs not deeds viewpoint was in direct contrast with Englands Ingleby Committee. It will bring Scotland into line with most of Europe, but the Scottish Government said the rise would not mean letting off younger offenders, as Justice Secretary Kenny MacAskill said amongst recent discourse, Evidence shows that prosecution at an early age increases the chance of reoffending so this change is about preventing crime. Rather they will be held to account in a way that is appropriate for their stage of development and ensures that we balance their needs with the need to protect our communities. Similarly in Finland a different approach is taken. The age of criminal responsibility is 15, and their answer is to look at the child on the whole; their environment whilst dividing children into their age groups based on cognitive functions, needs, and understanding. Moving from a punitive to welfare syste

Saturday, July 20, 2019

Internet and Itself :: Essays Papers

Internet and Itself Education on the Internet In today's society, the internet has become a very important learning tool. It is used for day to day activities, such as a place to look up research, a method of getting in touch with friends and family, and somewhere to go to find information about almost anything imaginable. The most popular uses of the internet include entertainment and education. Many people argue that the internet should be used for educational purposes only. The Internet as a Business The internet is a very valuable resource when it comes to education, but I do not think it should just be limited to that idea. There are many other important qualities the internet possesses. The internet is now used to run businesses, and keep personal business files online. People can go to the business's home page to learn more about the product. One of the most useful and popular businesses online is Amazon. By going to http://www.amazon.com, a person can shop without ever leaving their computer. By using a Visa Card, an individual can purchase books, music, clothes, toys, games, electronics, and much more. The Internet as Entertainment One of the most popular traits of the internet is entertainment. This can take the form of many different aspects of the net. Many people, especially teenagers, enjoy visiting chat rooms. These are web sites designed for people who like to talk to others. Many times, a person can find someone with similar interests in chat rooms and they become online friends. Not necessarily someone they would ever meet, but someone to talk to and share things with. Other types of online entertainment include games a person can play with other others online, and "surfing" the web to find web pages that strike their interest. The Internet as Education The internet is very useful when it comes to research. There are many search engines that can help a person find a related topic. There are online catalogs, encyclopedias, dictionaries, and thesauruses to help enhance a person's learning capabilities. Other ways the internet is useful is that is can be used now as a classro om.

Friday, July 19, 2019

Bell Jar summary :: essays papers

Bell Jar summary Many have paralleled Sylvia Plath’s novel, The Bell Jar, to her very own life. Plath is known for her tormented life of constant depression and disappointments, causing her to end her life early at the young age of 30. The time frame in which the book is in matches the times when she is enlisted in many mental institutes and ultimately her suicide. The story of Esther Greenwood also tells the feelings and emotions of Sylvia Plath. Other characters in the novel are said to be in relation to characters in the author’s life. The novel begins where Esther is just about halfway through her job as Mademoiselle, a fashion magazine. She and many other girls received this opportunity because of their exceptional writing abilities. Even though this she had waited for this chance for a year, she is actually disappointed because she had expected more from the other prizewinners. â€Å"These girls looked awfully bored to me. I saw them on the roof yawning and painting their nails and trying to keep their Bermuda tans, and they seemed bored as hell... Girls like that make me sick.† (Pg. 4) A couple other unfortunate events also led her to be depressed at her stay in the hotel. At a dinner gathering, Esther ate a lot of crabmeat that happened to be poisoned. She passes out and awakes in her room. Her recovery is slow and agonizing. Another social event causes yet again another mishap. Doreen, Esther best friend there, sets Esther up with a friend of Doreen’s boyfriend to go to a party. There, the bli nd date attempts to sexually assault, but Esther resists and walks away with her dignity. After returning to the hotel, Esther takes no care of the assault and just carries on. Later, she finds out that her on and off boyfriend, Buddy Willard, is actually not a virgin. â€Å"At first I thought he must have slept with the waitress only that once, but when I asked how many times, just to make sure, he said he couldn’t remember but a couple of times a week for the rest for the summer.† Knowing this, she thought it to be okay if she were to have an affair also. On a date with Constantin, he invites her to his room, but to her dismay, nothing happens.

Causes of Dictatorship in Russia :: Russian Russia History

Causes of Dictatorship in Russia Around the 20th century, the end of the First World War cleared the way for the formation of democratic regimes. Why they had not been successful, why the people didn't use the opportunity to establish a democratic political system and why did the dictatorships appear, is still unclear, but it is a very discussible subject. The decisive role in these processes was the human being. It was the object of the cause, but on the other hand he was also the subject - executor of all the problems as well. The First World War was expected to be short, with a quick triumph on either side. On the contrary, the war caused a giant massacre to all the countries involved, and lasted for four years. Also against the expectations of political leaders and military commanders new techniques of fighting were used, as well as new weapons (for example the chloric gas, tanks and aircrafts). Due to all this, 13 million people were killed, of which 2 million were Germans, 1.75 million Russians, 1.5 million Frenchmen, 1 million British and 0.5 million Italians. But death was just one of the worst consequences of the First World War. Just military failures on the fronts, along with other problems directly affected internal politics in a great way. This horrible catastrophe also left most of the countries in huge debts, especially Germany, Austria, Hungary, Russia, and many others. This led to poverty and chaos, and the people were suffering. That is why they started to revolt, but the political system w as so exhausted after the war that it didn't do anything to solve this. The effects of the war sped up the changes. It is an arguable fact, whether the war also had a liberating effect. If it did, it was greatly affected by the downfall of three empires, the Austro-Hungarian Empire, Tsarist Russia and Keiser's Germany. In Russia the tsar abdicated and was replaced by the Provisional Government, but it only took 8 months and Russia moved from autocracy to communism. It is true that this downfall separated and freed different ethnic groups like Czechs and Slovaks, Serbs, etc. who had been a part of the Austro-Hungarian Empire, because these ethnic groups did get their independent states with democratic constitutions. Land was taken from the aristocrats and distributed to the peasants. The workmen got better conditions to work in, for example bigger salaries, less working time, social securities and so on.

Thursday, July 18, 2019

The destructive results of Insomnia

Insomnia is one of widely-spread sleep disorders which as a result of worries, fears, anxiety and bad brain patterns function make a person unable to maintain his/her sleep. The people suffering from insomnia become irritable the next day and often worry about the coming night when they will have to fight for sleep.As a result during the day people may meet unexpected desire to fall asleep what completely ruins the course of the day and leads to stress and depression. A person with Insomnia may also suffer from other sleep disorder such as sleep apnea, narcolepsy, and restless legs syndrome.The destructive results of Insomnia make us to think of it as a serous mental disease, however it is only a symptom caused by medications, psychological condition, inappropriate sleeping habits or by other stressful events. Among the medications that may greatly contribute to the progression of Insomnia are caffeine, tobacco, alcohol, antidepressants, amphetamines, diuretics, appetite suppressants and different drug products including cocaine and marijuana.The extent to which a person can be imposed to Insomnia has two levels of difficulty. The primary Insomnia defines a person who is having sleep problems are not directly connected with any other health states or problems. Secondary Insomnia means that a person’s inconveniences with sleep are associated with inherent health conditions such as depression, cancer, heartburn, asthma or others. Because of their pain and medications they are taking they start to have other health problems which are connected by the chain of successive conditions.Sleep disorder in its primary level can be easily treated if a person take make a habit from the following activities: ·Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Regularity of sleep times; ·Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Comfortable conditions for sleep (bed, temperature and lightening); ·Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Prevention from accepting the stimulants (e.g. coffee or ciga rettes); ·Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Practice of relaxation methods; ·Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Avoidance from taking naps during the day.  Medicines interference into Insomnia treatment is not required as it can be treated with setting new sleeping habits. However for short-term Insomnia one can use over-the-counter sleeping drugs. It is important not to use them regularly as there may appear dependence upon them and create the situation of good sleep impossibility unless the drug is used.Treatment for long term Insomnia requires more complex procedure. First it is needed to conduct a first treating of any underlying conditions or health problems that are determined to cause Insomnia. If Insomnia progresses one can chose either to go through the behavioral therapy or start to accept medications. The first method helps people to replace their ways of living and focus on achieving of specific goals while gaining more control over their lives.Professionals in the fi eld of advancement of Behavior Therapy identify some common goals of behavior therapy. The Insomnia persons should follow this goal which requires for them to use only one bedroom for sleep (Acting), try to understand how his/her stresses influence the sleep (Feeling), to realize that at least 7 hours of sleep is a must for everyone (Thinking), to integrate diet and exercise to encourage the sleep (Dealing), and to train himself/herself in self-management skills (Coping). Medical therapy by contrast with Behavioral therapy has side effects and must be used with caution.Bibliography:1. Fogel J (2003). Behavioral treatments for insomnia in primary care settings. Topics in Advanced Practice Nursing eJournal, 3(4).2. Morgan K (2003). Daytime activity and risk factors for late-life insomnia. Journal of Sleep Research, 12(3): 231–238.3. â€Å"Insomnia Help / Behavioral Treatments for Insomnia†http://www.helpguide.org/aging/insomnia_treatment.htm  

Wednesday, July 17, 2019

Chin Tuck Exercise Cervicogenic Headache Health And Social Care Essay

Cervicogenic f dependable is comparatively commonality and appease contr everywheresial signifier of pertain. Cervicogenic business has been classified by International fear Society and histories for 15 % to 20 % of altogether degenerative and perennial some(prenominal)erations. The estimated prevalence of com effort runing from 0.7 % to 13.8 % . The persons with chronic cervicogenic doctor envision ample limitation of day-to-day map, restriction of societal engagement, and e exe abridgeional hurt. In add-on, these persons report a haplesser quality of life than other persons.Cervicogenic headspring is a syndrome characterized by chronic hemi cranial sufferfulness that is referred to the head from any cadaverous construction or loose create from raw materials of the neck. Sensory nervus fibres from the falling authorship of bring in of trigeminal nervus argon believed to interact with centripetal fibres from the fastness cervical roots this convergence allow s the bi foreviewal referral of odious esthesiss betwixt the cervix and trigeminal sensorial(a) receptive Fieldss of the face and foreland. A practice sessionful convergence of sensory and motor fibres in the spinal anaesthesia anesthesia anaesthesia accoutrement nervus and upper cervical nervus roots eventually c everyplaceage with the falling piece of land of the trigeminal nervus might to a fault be responsible for cervical pain in the neck.cervical fill is a align-locked or sloping fixed consult characterized by non buffeting nuisance that starts in the cervix and scattering to ipsilateral occulo- fronto temporal country. This cause to be perceived whitethorn be provoked by agile voice cervix bowel movement, unreactive cervix locating particularly in extension or extension with band social movement toward the side of hurting or an app finesse digital storm per unit of measurement ara to involved look parts or over ipsilateral great occipital nervus. Muscular knowledgeableness points are normally found in the suboccipital, cervical, and shoulder muscular structure, and these trigger points displace besides mention hurting to the caput when manually or physically stimulated.symptomatic imagination much(prenominal) as skiagraphy, magnetized resonance imagination and computerized imaging merchantman non corroborate the diagnosing of cervicogenic absorb scarcely give the bounce impart support to its diagnosing. star work report no positive(p) divergency in the visual setting of cervical spinal column constructions on MRI s elicits when 24 unhurrieds with clinical characteristics of cervicogenic concern were compared with 20 domination topics. Cervical record player record bulging was describe all(prenominal) bit in both(prenominal) conventions.A laboratory rating whitethorn be necessary to seek for systemic diseases that may adversely impact musculuss.bones, or articulations ( unhealthy arthritis, systemic lu pus erythematous, thyroid or parathyroid gland upsets, primary musculus disease, etc ) . fold set movement streamlet stairs interrogative sentence at atlanto- axial articulation, which has been overlay-filen to be a likely beginning of hurting in perseverings with cervicogenic concern persons who have been diag jabd with cervicogenic concern show cling tos runing from 20 28 clans.Flexion set move ravel is a s dining tabular browse and quo hold over method of cervical spinal column scrutiny. It is dependable and has low measuring mis convey if performed by an experient clinician ( entrance hall T, et al. , 2010 ) .Manipulation has often been apply for the cathexis of dor essence and cervix ailments and is thought to( 1 ) Free communicate sections that have undergone disproportional supplanting ( or ) are snarl to be hypomobile( 2 ) ca de land bladeination musculus relaxation.These mechanisms are thought to be associated with diffusion of un born(p) focuss within the crossroads, ensuing in hurting, limitation of gesticulate and exe hopable redness. unhurried with cervicogenic concern leave alone oft collar altered neck come in and curtail reach of communicate. keep up Natural apophyseal Glide and bring up- gain workout are the intercessions intentiond to handle the cervicogenic concern in this mess. preserve Natural apophyseal Glide is the militarisation with active motion followed by inactive overpressure which should be utilise to further ontogeny the motion.Chin- cockles are the postural practice sessions should execute archaean to fores statuesque cruelty from developing and to see to it the cervix is working right.1.2AIM AND rent OF THE knowledge( 1 ) To top the capacity of up stick to immanent apophyseal slide inCervicogenic concern( 2 ) To happen the potency of carry on infixed apophyseal gliding with mentum tuck utilisation in cervicogenic concern.( 3 ) To compare the effectualness of uphold in nate apophyseal gliding over continue graphic apophyseal slide with lift tuck workout in cervicogenic concern.Cervicogenic concern is common and still controversial signifier of concern. The dash out of this accompany will assist the physical therapist to choose the appropriate treatment bidding for die rehabilitation of these long-sufferings1.3 STATEMENT OF THE STUDYA comparative appraise on Effectiveness of sustained indispensable apophyseal gliding over sustained born(p) apophyseal glide with mentum tuck physical exercise in cervicogenic concern 1.4 schemeNull shotThere is no difference amid the effectualness of sustained natural apophyseal semivowel over sustained natural apophyseal semivowel with chintuck use in cervicogenic concern.Alternate hypothesisThere is substantial difference amongst the effectivity of sustained natural apophyseal semivowel over sustained natural apophyseal semivowel with chin tuck example in cervicogenic concern.1.5 Operation al translationCervicogenic concern* The universe cervicogenic concern union ( 1998 ) defines, cervicogenic concern as, Referred hurting perceived in primary nociceptive beginning in the musculoskeletal create from raw material innervated by cervical nervousnesss . These constructions may accommodate musculuss, aspects, articulations, capsulises, and ligaments of upper trey cervical sections, nervousnesss, durameter, spinal cord or vertebral arteria. Cervical articulations have been recognize as a beginning of concern. trouble oneself* International society of association for horizon of hurting defines hurting as, unpleasant sensory and emotional experience due to live or possible tissue disparage or expound in footings of misemploy ( Merskey and Bogduk, 1994 )* An unpleasant esthesis that can run from mild, situate uncomfor shelveness to torment.Scope of gesticulate* The complete movement possible to the articulation is called the domain of motility.2. REVIEW OF L ITERATUREBrent harpist ( 2009 ) make a wad on implementing grounds secondary medical durability for cervicogenic concern and determined the efficiency of spinal use on persevering of roles with cervicogenic concern in relation to quality of life, specialisation and oftenness of cervicogenic concern and articular mobility ( mountain chain of gesture ) .Toby hall et Al ( 2007 ) do a position on efficaciousness of a c1-c2 self-sustained natural apophyseal semivowel ( hang-up ) in the direction of cervicogenic concern on topics with outcome tramples of Flexion Rotation context and concern index questionnaire and report the efficaciousness of SNAG in the direction of persons with cervicogenic concern.Ogince et Al ( 2007 ) made a check and inform that cervical flexion-rotation running has diagnostic cogency in c1 /2-related cervicogenic concern.Fernandez-des-las-penas C ( 2006 ) made a survey on methodological quality or randomized maintainled footrace of spinal use a nd mobilisation in tolerant of emphasis type concern, megrim and cervicogenic concern and report the effectivity of spinal use and mobilisation in concern.Rodeghero et Al ( 2006 ) made a survey on possible drop dead of manual physical therapy and specific usage intercession in clear with cervicogenic concern, the patient demonstrated progression with a sum of seven encumbrance Sessionss, outcome step used were Neck hurting deterrent index mark and reported that these intercessions were levelheaded in rapidly bettering map and restoration in patients with cervicogenic concern.Luke Eldrige et Al ( 2005 ) made a survey on the effectivity of cervical spinal column use and irrefu elude usage in decrease of cervicogenic concern in capable with a 16 twelvemonth history of cervicogenic concern, the survey consisted of a triad calendar week base termination informations aggregation stage, a 3 hebdomad osteopathic artful intervention stage and a 3 hebdomad place based exe rcise stage, outcome steps include optical linear gradational table and concern journal which indicated a decrease in both strength of concern hurting and frequence.Mc Donnel et Al ( 2005 ) conducted a survey on intercession set upon dwelling of a specific exercise plan and alteration of postural alinement for an person with cervicogenic concern and reported the successfulness in alleviating concern and bettering map of the patient.David M.Biondi et Al ( 2005 ) conducted a survey and reported the effectivity of curative exercising and manipulative intervention for cervicogenic concern which was non well affected by age, gender of concern chronicity in patients with manipulate to severe hurting strength.Hall T and Robinson K ( 2004 ) made a survey of comparative measuring of flexion-rotation running game and active cervical mobility in cervicogenic concern and reported that topics with cervicogenic concern have an norm of clxx less rotary motion toward the concern side in cong regation rotary motion streamlet.Peterson ( 2003 ) investigated the function of use and exercising over 8 hebdomad accomplishment in cervicogenic concern patient and reported a of import advancement in concern parametric quantity at the decision of test.Jull et Al ( 2002 ) conducted a survey on randomized controlled test of exercising and manipulative therapy for cervicogenic concern and reported that manipulative therapy and exercising can cut depressed the symptoms of cervicogenic concern and use plus exercising was found to be superior to work entirely.Sizer et Al ( 2002 ) published a tushward instance study of 20 twelvemonth history of cervicogenic concern patient, the patient sure a combined plan of use and exercising for a sum of 24 interventions over 3 month hitch and reported a Copernican progression in concern parametric quantities later the patient received the combined intervention plan of use and exercising.Whorton and Kegerreis ( 2000 ) made a survey on manu al therapy and exercising in the intervention of cervicogenic concern patient informations was collected at a 6 months follow up, and five of 6 topics reported a statistically weighty betterment with interventionWatson and Trott et Al. ( 1999 ) performed quasi experimental cross sectional controlled diagnostic test and set the deep cervical flexor musculus convention as dysfunction in cervicogenic concern patients.Mulligan ( 1999 ) described intercessions including SNAGS proficiency find utile in reconstructing a loss of cervical rotary motions which is frequently associated with concern.Nilsson et Al ( 1995 ) conducted a randomized control test of topics comparing use of cervical spinal column with soft tissue massage and simulate optical maser intervention.It pass out to make the statistical moment, once to a great extent in 1997, with extra topics performed the same test as in offset survey and reported a all-important(prenominal) lessen in concern strength of a conv ocation received use.Schoense et Al ( 1995 ) conducted a survey of the consequence of mobilisation on cervical concern, voluntaries were medically cleared to issuance part, and these topics received 9 to 11 Sessionss of mutual mobilisation and reported a important change magnitude in concern frequence, strength and continuance.Boline et Al. ( 1995 ) conducted a survey of spinal use Vs amitriptylline for the intervention of chronic concern and reported spinal use has long term good consequence than medicine.Nilsson ( 1995 ) conducted a survey on prevalence of cervicogenic concern in a random commonwealth consume of 20-59 twelvemonth olds and reported that cervicogenic concern appears to be comparatively common signifier of concern similar to migraine in prevalence.Karen Beeton and Gwendolen Jull ( 1994 ) investigated a plan of use and exercising on cervicogenic concern patient and reported a important betterment in concern parametric quantity3. RESEARCH conception AND METHODOLO GY3.1 Study designThe inquiry design of this survey is experimental in nature, through with(p) on different topics with pre-test and property -test scenes.3.2 SettingsThe survey was conducted in RVS infirmary.3.3 Criteria for choice3.4 inclusion body get upards* cephalalgia of cervical beginning* board convention of 20- 59 old ages* some(prenominal) sexes* Positive crook -rotation trial3.5 excision shopworns* Headache non of cervical beginning* Headache with autonomic Involvement, giddiness ( or ) visual perturbation* inborn status of cervical spinal column* Contra indicant to manipulative therapy3.6 Sample population30 capable and 15 in each bases.3.7 regularity of choiceRandom sampling technique3.8 Variables USED IN THE STUDY freelancer variable* Sustained natural apophyseal semivowel* Chin tuck exercisingDependent variable* Pain* go of gesture3.9 METHODOLOGYThirty samples selected from the population were divided into ii equal crowd. The touch was explained t o subject. both the classify underwent a pre trial measuring of hurting strength and reach of gesture.* conclave A was treated with sustained natural aphophyseal articulation semivowel* Group B was treated with sustained natural aphophyseal vocalize semivowel along with chin tuck exercising for 6 hebdomads. wthusly both meetings were treated and after 6 hebdomads measured hurting by ocular replicate have table and chain of mountains of gesture measured by goniometer.proficiency1. Sustained natural apophyseal semivowel sic of patient posing office staff of Therapist standing behind the patientThe patient was instructed to sit comfortably on a stool or chair. Therapists stand behind the patient. His or her caput was cradled surrounded by therapist organic structure and right fore strengthen if therapist bases on patient s right side. The right index, refer and pealing experiences wrap round the base of the occiput and the in-between phalanx of the olive-sized finger lie s over the spiny affair of cx2 the athwart boundary line of the left hand thenal distinction lies over the right small finger. Pressure was applied in adaxial way on the spiny procedure of cervical 2 while the skull the Great Compromiser still due to the control of healer right fore ramp up. The truly soft locomotion force to make this comes from healer left arm via the thenar distinction over the small finger on the spinal column of cx 2. The 2nd vertebra moves forth on the first so the first vertebra moves frontward on the base of the skull.this motion should go on until the terminus range is felt and this place was maintained for at least 10 seconds, this should be retell for 6 to 10 times. Then retard the patient about self-headache sustained natural apophyseal semivowel by topographic point the manus towel around the spiny procedure of c2 and expect the patient to procure it with the custodies and inquire the patient to take his or her caput backward without leaning, inquire the patient maintain for at least 10 seconds and repetition it for 6 to 10 times. Mechanism by which the-C1-C2 sustained natural apophyseal semivowel may hold reduced concern symptoms is by the neuromodulation consequence of joint mobilisation. In the gate control theory, stimulation of mechanoreceptors within the joint capsule and environing tissues causes an suppression of hurting at the spinal cord In add-on, falling pain-inhibitory systems may be activated, mediated by countries such as the periaqueductal grey of the mesencephalon. The terminal background knowledge placement in rotary motion with the CI-C2 sustained natural apophyseal semivowel may prosecute these repressive systems and cut down hurting.Addition in cervical rotary motion setting on the operative rotary motion trial is that the CI-C2 sustained natural apophyseal semivowel decreased joint stiffness. Mobilization is thought to interrupt down adhesions and blossom environing tissues. That the betterment in rotary motion scope was immediate suggests that the consequence of the Cl-C2 sustained natural apophyseal semivowel technique is to a greater extent likely related to a neurophysiological alteration in hurting mutation instead than an consequence on joint stiffness. Basic Principles Treatment canvass lying across the concave articular step forward Application of accouterment motion and patient generated active motions. During assessment the healer will place one or more comparable marks as described by Maitland. These marks may be a loss of joint motion, hurting associated with motion, or hurting associated with specific functional activities. Passive accoutrement joint mobilisation is applied following the rules of kaltenborn ( i.e. , repeat or perpendicular style to the joint plane ) . This accessary semivowel must itself be pain free. The healer must continuously w incline the patient s reaction to guarantee no hurting is recreated. Using the intuition of joint arth rology, a well-developed sense of tissue tenseness and clinical logical thinking, the healer investigates assorted combinations of analogue or perpendicular semivowels to happen the right intervention plane and. drift of motion. While prolonging the accoutrement semivowel, the patient is communicate to execute the comparable mark. The comparable mark should now be significantly alter ( i.e. , increased scope of gesture and a significantly decreased or better yet, absence of the original hurting ) . tribulation to better the comparable mark would repoint that the healer has non found the right impact point, intervention plane, class or way of mobilization, spinal section or that the technique is non indicated. The antecedently restricted and/or raw gesture or activity is ingeminate by the patient while the healer continues to keep the appropriate accoutrement semivowel. besides additions are expected with repeat during a intervention session typically furthermost additions may be realised through and through the application of inactive overpressure at the terminal of available scope. It is expected that this overpressure is once more, unpainful. Involving three sets of 10 repeats.2. Chin tucksPosition of the patient posing or standingPosition of the healer standing in front man of the patient.Get down this exercising by sitting or standing tall with the patient s dorsum and cervix directly, shoulders should be back somewhat. Ask the patient to insert the mentum until he/she experience a mild to chair stretch in cervix hurting free, school the patient to maintain his/ her eyes and nose facing forwards during the motion and brooch for 2 seconds, which can be perennial for 10 times provided there is no addition in symptoms.Postural contrast associated with forward caput position at the atlanto occipital, atlanto axial articulations accompanied by flattening of light cervical spinal column and possible reversal or flattening of mid cervical hollow- back. This place consequences in joint disfunction that leads to abnormal afferent information impacting the keynote cervix physiological reaction and promoting the dilatory acceptance of a forward caput place. This cause compressing on craniocervical constructions because of compaction greater and lesser occipital nervousnesss establish to prolongation of concern.Chin tuck exercising is the postural exercisings which corrects the forward caput position at that place by cut downing compaction on cranio cervical construction and decrease the concern3.10 metre Tool* Visual parallel graduated table* GoniometerVisual parallel graduated tableIt consists of 10 cm even line with two terminal points. one terminal was labelled as no hurting and another terminal labeled as roughly terrible hurting . The patient was required to put strike off letter writers to the gradation of hurting strength that the patient felt.0 centimeter 10 centimeterNo hurting most terrible hurtingThe dist ance in centimeter from the low terminal of ocular parallel graduated table for patient s hurting was as numeric index of badness of hurting.GoniometerThe term goniometer comes from two Grecian words that mean angle and measure . It is an instrument which measures an bloc and scope of gesture. It consists of two consecutive lengths of fictile occlude joined by a unit of ammunition subdivision with angle devising. virtuoso arm is nonmoving with regard to the primaeval subdivision and the other arm is transferable for line rotary motion scope of gesture of cervix, topographic point the axis of goniometer over the vertex of the caput, line up the stationary arm of the goniometer along the stationary line of the organic structure and portable arm analogue to tip of the olfactive organ. The intercommunicate the patient to flex the caput forwards every bit far as possible without flexing the bole and ask of gesture, following the motion with the movable arm of the goniometer, do certain that stationary arm remains consecutive. Before expression at the reading, guarantee that arm of goniometer remain reorient with their several limbs and record the measuring indicated on cardinal subdivision of goniometer.4. DATA summary AND INTERPREATIONThe information collected was subjected to pairedt trial apiece for group A and group B utilizing expressions. economy 1vitamin D = ? d/nWhere,vitamin D = difference between pretest and posttest determinesvitamin D = is the total foster of vitamin Dn = is the pattern of topics enactment 2Standard divergence SD =Formula 3Standard Error ( S.E ) = SD Nt cypher word form = vitamin DS.EFormula 4t cal = vitamin DS.EWhere, t cal is the T compute esteemINDEPENDENTt TrialFormula 1 S= ( n1-1 ) s12 + ( n2-1 ) s22n1+n2 -2Where, s is the standard divergencen1 is the figure of capable in group An2- is the figure of capable in group Bs1 is the standard divergence of group As2 is the standard divergence of group BFormul a2S.E = S 1/n12 + 1/n22Where, s is the standard divergenceS.E. is the standard mistakeFormula 3X1 X2t cal =S.EWhere, X1 is the norm of difference in determine between pretest and station trialX2 is the norm of difference in evaluates between pretest and station trialPaired T trial comparing of pretest and posttest mean display board I1. Trouble graduated tableCapableIn group A, the bonny ocular parallel graduated table pretest respect was 7.8 and posttest prize was 4.2.For 14 nock of emancipation at 0.05 degree of conditional relation, the T table rank is 2.145 and T calculated judge is 13.823, statistically importantIn group B, the come ocular parallel graduated table pretest cling to was 6.8 and posttest entertain was 2.86.For 14 grade of liberty at 0.05 degree of significance, the T table comfort is 2.145 and T calculated esteem is 21.299, statistically importantTABLE- II2. Scope of gestureCapableIn group A, the clean cervical flection rotary motion scope of gesture pretest economic harbor was 26.13and posttest abide by was 29.13.For 14 grade of freedom at 0.05 degree of significance, the T table measure is 2.145 and T calculated re note comfort is 15.370, statistically importantIn group B, the reasonable cervical flexure rotary motion scope of gesture pretest value was 25.6and posttest value was 28.3.For 14 grade of freedom at 0.05 degree of significance, the T table value is 2.145 and T calculated value is 17.692, statistically importantIndependent t trialTABLE- III1. TroubletopicSustained natural apophyseal semivowel Vs sustained natural apophyseal semivowel with chin tuck exercisingThe case-by-case T trial value for hurting, 1.0064 is severally for 28 grade of freedom at 0.05 degree of significance and overcritical tabular array value is 2.048, hence there is no important difference in both the groupTABLE- IV2. Scope of gesturetopicSustained natural apophyseal semivowel Vs sustained natural apophyseal semivowel with chin tuck exercisingThe autarkical T trial value for scope of gesture, 1.0853 is severally for 28 grade of freedom at 0.05 degree of significance and critical tabular array value is 2.048, hence there is no important difference in both the groupInterpretation OF DATA1. figure value of mated t trial for group A ( Pain ) = 13.8232. Calculated value of mated t trial for group B ( Pain ) = 21.2993. Calculated value of mated t trial for group A ( scope of gesture ) = 15.3704. Calculated value of mated t trial for group B ( scope of gesture ) = 17.6925. Calculated value of independent t trial for hurting = 1.00646. Calculated value of independent t trial for scope of gesture = 1.08535. ResultThe pretest and posttest value of the groups were examine utilizing mated t trial and independent t trial.In group A, the average ocular parallel graduated table pretest value was 7.8 and posttest value was 4.2 for 14 grade of freedom at 0.05 degree of significance, the T table value is 2.145 and T calculated value is 13.823 which is greater than t value.In group B, the average ocular parallel graduated table pretest value was 6.8 and posttest value was 2.86 for 14 grade of freedom at 0.05 degree of significance, the T table value is 2.145 and T calculated value is 21.299 which is greater than t value.In group A, the average cervical flexure rotary motion scope of gesture pre trial value was 26.13and posttest value was 29.13 for 14 grade of freedom at 0.05 degree of significance, the T table value is 2.145 and T calculated value is 15.370 which is greater than t value.In group B, the average cervical flexure rotary motion scope of gesture pre trial value was 25.6and station trial value was 28.3 for 14 grade of freedom at 0.05 degree of significance, the T table value is 2.145 and T calculated value is 17.692 which is greater than t value.The independent t trial values for hurting, 1.0064 is severally for 28 grade of freedom at 0.05 degree of significance and critical tabula r array value is 2.048, hence there is no important difference in both the group.The independent t trial values for scope of gesture, 1.0853 is severally for 28 grade of freedom at 0.05 degree of significance and critical tabular array value is 2.048, hence there is no important difference in both the group.From this survey we are accepting void hypothesis and rejecting change hypothesis.6. DiscussionDecrease in hurting strength was important in both the groups ( sustained natural apophyseal semivowel, chin tuck with sustained natural apophyseal semivowel ) . Pain alleviation in both the group occurred due to correction of positional mistake and decreased emphasis in cervix constructions.Restricted flexure rotary motion scope of gesture is one of the cause for cervicogenic concern. The application of sustained natural apophyseal semivowel and chin tuck along with sustained natural apophyseal semivowel facilitated the addition in scope of gesture.There was statistically important be tterment in cervical flexure rotary motion scope of gesture and lessening in hurting on last twenty-four hours of intervention in both the group, but there was no important difference between the groups.7. innuendo* The survey can be through in big samples* Study can be carried out for longer bound of continuance* It can be applied for patient with cervix hurting and stiffness with no arm motion* stack be applied for low back hurting due to lumbar joint engagement* Control group can be addedRestriction* The survey was done for a short span* This survey was applied for age group 20 -59 old ages* This survey was done that on patient with positive flexure rotary motion trial8. conclusionThe survey was conducted with an purpose to compare the effectivity of sustained natural apophyseal semivowel and sustained natural apophyseal semivowel along with chin tuck exercising. Both these intercessions are utile in handling cervicogenic concern in concern of hurting and addition in cervical flexure rotary motion scope of gesture. indeed it was concluded that there was important lessening in hurting and addition in cervical flexure rotary motion scope of gesture in both the group. But there was no important difference between the groups.