Monday, September 30, 2019

Psychosexual stages vs. psychosocial stages Essay

In psychology when the word development is mention to two theorists, stand out. These theorists are Sigmund Freud and Erik Erikson. Freud being the father of psychology changed the technique of studying the development of individuals. Erikson was influenced by Freud but he felt that be underestimated other significant dimension that shape our development. They both agreed that personality develop is mostly an unconscious process and when it does happen, it is over time and has universal stages. They believe that personality is developing through a sequence of predestined stages. In each stage, there is crisis that needs to be conquered in order to advance to the next stage in life. However, Freud believed the libido, person’s biology and basic needs are major factors in our development of personality (Simon & Gagnon). Although Freud’s theory influenced Erikson, instead he believed environment and culture were major factors that influenced our personality (Wallerstein, Robert & Goldberger, 2000). Freud called this development process psychosexual theory and Erikson called it psychosocial theory. Both have similarity within their theories as the age group are divided the same. Even so, they differ in way. Freud believed that the first three stages were the most important. He also understood personalities were developed by conflicts resolved and the demands from reality. Erikson believed all stage were equally important and cultural experiences helped develop personally (Wallerstein, Robert & Goldberger, 2000). They both had a different development process and outcomes. In order to grasp the theories, I will examine each theorist and personality stages individually. In the first stage, that Freud called this psychosexual stage the oral stage and Erikson called this psychosocial stage the trust vs. mistrust stage. Both Freud and Erikson acknowledge the trust and dependency infants have to their mothers. In the oral stage, the child makes the connection between the mother’s presences with satisfying of their hunger. In the trust vs. mistrust, the child develops trust when they can depend on the mother to fulfill their needs thus developing a trustworthy relationship. However, these theories express different outcome when need are satisfied or not. For Freud, the crisis here is weaning the child from the mother. As time progresses the infant begin to differentiation itself from their mother. The child comes to acknowledge there is no longer an umbilical connection and they a separate person from their mother (Simon & Gagnon). As a result, later in life they grow to be optimistic and passivity. On the other hand, if the infants who do not make the distinction turn out to be pessimistic, immature and gullibility and obsessed with the mouth. Some of these obsessions include biting nails, thumb sucking, and eating and drink obsessively and verbal aggressive. As for Erikson’s theory, trust and mistrust is the ego crisis. If the infant discover that no one is willing to fulfill his need then mistrust will develop. Conversely, if the child’s needs are satisfied through good parenting, the child will develop trust. The child will also develop the skill of hope and learn cosmic order in respect to society (Cloninger, 2004). In the second stage, Freud called this psychosexual stage the anal stage and Erikson called this psychosocial stage the autonomy vs. shame stage. Both Freud and Erikson acknowledge child want to have personal control and the importance of toilet training. In the anal stage, the child wants to master holding on and letting go. Therefore, the child learn the control his own bowel movements through toilet training. In autonomy vs. shame stage, toilet training is used to master their body functions (Wallerstein, Robert & Goldberger, 2000). This will instill a sense of control and independence in the child. However, both theories disagreed on the outcome of successful or failing to toilet training. For Freud, the crisis is toilet training. If the child is successful at toilet training then they will be creative and productive in their adult life (Simon & Gagnon). Nevertheless, if the child fails they will either become anal explosive or retentive. Anal explosive is when the child is rebelling during toilet training. This rebellion will cause the child to be messy, cruel, destructive and hostile as an adult. Anal-retentive is when the child withholds during toilet training. This will cause the child to be controlling, stingy and stubborn. For Erikson, although toilet training is important the crisis in this stage is control and independence. If the child does not feel supported, they will develop shame and doubt. It is important that the child feel supported by parents in order to develop autonomy, the ego skill will, law, and order in respect to society (Cloninger, 2004). In the third stage, Freud called this psychosexual stage the phallic stage and Erikson called this psychosocial stage the Initiative vs. guilt stage. Both Freud and Erikson recognize that at these stages the child finding identity with his or her parent, and sex difference. In phallic stage, the child begins to identify him or she with their parents thus acknowledges sexual difference. According to Freud, this process occurs through the Oedipus and Electra conflict. The Oedipus conflict is when the son wants to murder his father because he wants to be with his mother. The reason the wants to murder the father is for fear. He fears his father will discover the desire for his mother, and will be punished with castration (Cloning, 2004). The Electra conflict is when a girl changes her erotic relationship from the mother to the father. This relationship change is possible by the girl’s anger toward her mother (Cloninger, 2004). The reason for her anger is that she feels her mother was not dominant enough to protect her from castration. This change of object is facilitated by the girl’s anger toward her mother for not being powerful enough to protect her from castration. The child identifies with the same-sex parent in order to vicariously posses parent of the opposite sex (Simon & Gagnon). The child believe the more they are like the same-sex parent they will be able to replace the other parent. Thus the superego will develop and the end of the crisis. If the child cannot resolve this struggle they will have trouble forming the superego, sexual role identity and sexual confused (Simon & Gagnon). In the initiatives vs. guilt, the child acknowledges sex difference and parent identification through these social roles. According to Erikson, the child decided the person they want, affirm their power and control through playing and social contact (Widick, Parker & Knefelkamp, 2006). The child must feel encourage to play and have social contact in order to have initiative. The child will also have a sense of purpose and learn ideal prototypes in society. However, if the child is not encouraged they will believe they are bad and have guilt (Widick, Parker & Knefelkamp, 2006). In the fourth stage, Freud called this psychosexual stage the latency stage and Erikson called this psychosocial stage the industry vs. inferiority stage. Both Freud and Erikson acknowledge the importance of development thought school. In the latency stage, the child develops into a more socially and academically driven person. This helps the child become constructive. In industry vs. inferiority, the child works on tasks until they are complete. The child hopes to receive recognition for constructing something for society. During this stage, Freud explains that the child’s sexual drive is inactive thus there is no crisis. This is because there is a repression of sexual impulse (Simon & Gagnon). Instead the child use this repressed energy in to their social and academic lives. Yet, Erikson believes the crisis here is how to become a product individual in society. During this stage, the children want to learn new skill like reading, writing, counting and drawing (Widick, Parker & Knefelkamp, 2006). Those children who are not encourage or praise for their accomplishment from their parents or teachers will develop problems with competence and self-esteem and inferiority. However, the children who are encouraged or praise for their accomplishment develop confidence, pride, competence and technological order in society (Cloninger, 2004). In this fifth stage, things are a little different. This fifth stage concluded Freud‘s psychosexual stage while Erikson had four left. These stages are identity vs. identity diffusion, intimacy vs. isolation, generativity vs. stagnation and integrity vs. despair. I will compare and contrast these four stages with Freud’s psychosexual stage the genital stage. Both Freud and Erikson acknowledge the importance of building the self through previous experience through the genital stage and identity vs. identity diffusion. In the genital stage, there is no crisis but after being able to overcome each psychosexual stage now the individual can began to live a balanced life. However, sexual desires are no long dormant instead; they are strong sexual interest in the opposite sex. Adolescences are in search of sexual or romantic relationships with other adolescences (Simon & Gagnon). Some of the characteristics that are developed include vanity, appearance and attention. For Erikson, the crisis here is finding self and personal identity. In order for an adolescence to establish a sense of self, they must go out and try new things. If the child is not encouraged, they can develop negative identity or identity foreclosure and identity confusion (Widick, Parker & Knefelkamp, 2006). Nevertheless, if the child is encouraged to explore different roles, activities and behaviors the adolescence will be able to develop their identity, the ego skill of fidelity and learn ideological worldview in society and is able to move to the next stage (Cloninger, 2004). Erikson called this intimacy vs. isolation. Both Freud and Erikson acknowledge the importance of seeking a relationship with the opposite sex through their theories. In the genital stage, there is no crisis but latency has been conquered and the focus is seeking pleasure through sexual contact (Simon & Gagnon). In Erikson’s intimacy vs. isolation, the crisis is finding love not sexual pleasure. Since the young adults have a sense of identity, they can seek an intimate relationship without fears of losing their identity (Widick, Parker & Knefelkamp, 2006). If a person does not find intimacy with someone, the young adult will become isolated. However, if they do find intimacy they will develop the ego skill of love and learn pattern of cooperation and competition in society and advance (Cloninger, 2004). Erikson called this generativity vs. stagnation. Both Freud and Erikson recognize the significance of seeking welfare of life and society through their contributions. In the genital stage, as the individual mature in to adulthood, they are no longer just interested in their selves but others. In Erikson, generativity vs. stagnation, the adult want to contribution to society and that will ultimately outlive them. This contribution is range from children, social or political change or art (Wallerstein, Robert & Goldberger, 2000). If the adult is unable to cultivate a contribution then they will have sense stagnation, failure, disconnected or involved in their life. On the other hand, if they are able to contribute they will feel a sense of generativity, develop the ego skill of care and learn currents of education and tradition in society thus move to the final stage (Cloninger, 2004). Erikson called this integrity vs. despair. Both Freud and Erikson identify this stage when the personality is complete formed. In the genital stage, the personality is well balanced in all aspects of the person (Simon & Gagnon). In Erikson, integrity vs. despair, the individual reflect on their life. When reflecting occurs if there are regrets or dissatisfied with life, they will have despair (Wallerstein, Robert & Goldberger, 2000). However, if there is a sense of fulfillment then they will have integrity, wisdom as an ego skill and in society (Cloninger, 2004). Now that I have examined each theorist and their stage individually, it is clearly to see where there theories are similar and different. When compare the theories we are able to see why personality development is unconscious, slow and universal. In contrast, we can see how they differ in the process of development by recognizing the outcome. 1. Reference 2. Cloninger, S. (2004). Theories of personality. (pp. 45-48). NUpper Saffle RIver, New Jersey: Pearson Prentice Hall. 3. Simon, W., & Gagnon, J. (n.d.). Psychosexual development. Society, 35(2), 60-67. 4. Wallerstein. , Robert, S., & Goldberger, L. (2000). Ideas and identities: The life work of erik erikson.Psychoanalytic Psychology, 17(2), 437-442. 5. Widick, C., Parker, C., & Knefelkamp, L. (2006). Erik erikson and psychosocial development. New Direcrtion for Student, 1978(4), 1-17.

Sunday, September 29, 2019

Direct Marketing-Facebook Essay

1a) Facebook generates a revenue of 2 billion dollars a year, yes it is free for user to join but that is where they generate there money from. With over 750 million active users Facebook make the majority of their money through advertising. The ads that appear on the right border of the screen. They gather all the information about you and accordingly they let the advertisement that they think you would be interested in appear for you on the screen, more like a tailor-made advertisement. Another way of making money is selling information on users the same way of Google, Google has planned to sell their information but Facebook did not. b) some of the very important features on social networking are User-centric interface for example Facebook’s front page is exemplary for an egocentric user interface. It provides detailed information about updates and notifications of a user and also provides a one-click-interface that makes it easy to update the current status, hide information provided by friends and it updates you about people a user may know or groups or conversations that the user may be interested in. Real time updates, One of the reasons why micro-blogging services have managed to take off over the last years, was their ability to bring the new, â€Å"real-time† dimension to the social interaction on the Web. Different from instant messaging where users were mostly focused on the two-way-conversations, Twitter & Co. delivered many-ways-conversations to the Web. Simple and Usable Forms, Web forms are probably the most important design element for social media and networking sites. Forms and inputs are used in everything from sign-up to search, log-in, replying to a post or adding some other content. Since forms are extremely important, they must be usable. 2) I would defiantly agree to start the loyalty card in my hypermarket. One of the most revenue generating businesses is the super and hypermarkets. I wouldn’t look a lot about the competition the main important thing if I do own a hyper market would be the location of my store, unless I have a good name like Lulu  or Union Coop I wouldn’t open my hyper market next to well known retail hyper market. Every store has its loyal customers, the people who live close to my store will prefer to come to mine than to go somewhere far to buy there needs, people now days tend to look for the easy way, so having a loyalty card is very beneficial for me and would make my customers comfortable and think that out of what they pay they can get something back even if its minor with this loyalty card. I believe that it would be a success because every retail store has got its own loyal customers and for those I can have loyalty cards which will help in keeping them as my customers and not think of going to any of my competitors. 3) it is a part of direct marketing, in-bound and out-bound idea has came up to improve relation ship with customer and try to help in making things easier for them. For example and in-bound call is when a customer calls in it can be an employee that answers â€Å"call center† and the customer gets the chance to ask anything he wants related to that firm can be a product that hes not happy with etc in this case of ADCB it is on call banking so he can ask to debit an amount onto another account or clear a doubt that he had etc. this would let the customer be more comfortable working with this bank and not forgetting how easy it is. Not having to go all the way to the bank branch in order to finish a transaction where you can just get it done in a call. And the better the employees of the call center are with the customers the stronger the relation ship gets between the bank and its customers.

Saturday, September 28, 2019

Franz Kafka and being an outsider in the society Essay

As the oldest child, after the deaths of his older brothers, Franz Kafka, however, has never reached the dominance and leadership character and failed to live a normal, human life – after his birth he had doubted in his human nature and grew as an outsider inside the community. His father, a successful shopkeeper with giant managing abilities and patriarchal, yet tyrannical, personality, had no other goals, except material stability and social recognition. It was him, who made Franz fail to live, who made him family-limited, unable to create his own household. Indeed, his father, Hermann Kafka, was the one, who broke his nature and drove him into literature. All of the pain, pressure, struggle and aspiration, Franz Kafka described in his writing, some of them depict the struggle between father and son, other between two worlds, yet, in any story, especially in the â€Å"Letter to His Father† (1919) and â€Å"The Metamorphosis† (1915), we can find incomprehension and longing for normal living. His earliest poems were published by Brod in 1908 in Hyperion. His first novel Der Prozess (â€Å"The Trial†) was written after another failure – he broke off an engagement with Felice Bauer – and has started it with the words of somebody’s false accusation against Josef K. Maurice Blanchot has observed that Kafka’s works are â€Å"not always only literary. Salvation is an enormous preoccupation with him, all the stronger because it is hopeless, and all the more hopeless because it is totally uncompromising. †(Banville, 2004). Most of his literary characters were animals: mole, mouse, beetle; seems like Franz was no other than a formless being, who was looking for a way out of tough obstacles, yet is ready to be tortured, punished, destroyed. His characters are seeking for salvation, but they realize how disgusting, insignificant, unimportant they are, along with their problems and hardships. â€Å"The Judgement† is viewed by Herbert Tauber as a â€Å"vital existence in which probability and reservation rule †¦ in which every step has an incalculable importance because it is taken â€Å"Franz Kafka and being an outsider in the society† â€Å"Page #2† under the horizon of an absolute summons to the road† (Tauber, 1948). For him, it is the clash of two worlds, which existed in total isolation from each other and have no points of contacts. That is why the conflict leads to destruction. On the other hand, this conflict between father and son can be considered as a general social state that degrades with every step forward. An early story â€Å"Description of a Struggle† â€Å"is not usually considered one of Kafka’s better works and it is often dismissed by critics turned off by its fragmentary nature and lack of polish† (Pawel, 1984), highlights Ernst Pawel in his â€Å"Nightmare of Reason†; this work will not attract the new reader, yet those, who dive in the philosophy of Kafka’s readings will be encouraged to read it. The character of this three-chapter work is a symbol of discrepancy and contrast of the single community. Franz Kafka’s helplessness to negotiate or get used to the community’s lifestyle is noted in his four stories in â€Å"A Hunger Artist†. Michael Lowy, the Research Director of the National Center for Scientific Research, has viewed Kafka’s symbolism as libertarian socialism or anarchical ideology. â€Å"The libertarian inspiration is inscribed into the heart of Kafka’s novels †¦ [The] state is an impersonal system of domination which crushes, suffocates, or kills individuals, where unfreedom prevails† (Lowy, 1997). The center of the story is a paradoxical notion – artist, who accepts his profession as honor, yet practices fasting, which has an artistic aspect. The system (i. e. people) refuse to recognize him, therefore, refuse to see the reality and truthfulness of life (Dorothy W. , 2006). There is nothing but emptiness in the world. â€Å"The Stoker†, â€Å"The Man Who Disappeared† (â€Å"Der Verschollene†), or â€Å"Amerika† was an American novel for Kafka himself. The variety of names shows the complexity and differences of the novel. It is the state, where â€Å"workers are not on the side of the authorities† (Kafka, 1956). In rather humorous style, Kafka represents the Statue of Liberty with a sword; American democracy, with a shadow of authoritarian policies, is combined with bureaucratic injustice and poverty. â€Å"Franz Kafka and being an outsider in the society† â€Å"Page #3† The fiction â€Å"The Great Wall of China† â€Å"deals (duplicitously) with an other-as-self from an inside which is really an outside† (Kelen). This is another Kafka’s work that deals with symbols and metaphors, internal and external struggle and his own life of an outsider. The wall is a symbol of fear, yet, the end of empire represents the erasure of boundaries between the Western and Chinese worlds. Kafka is using his technique of the narrator to describe relation to one another and what is happening nearby. â€Å"In â€Å"Country Doctor† we witness a second type of infiltration of literary production by theories or methods schooled on Freudian psychoanalysis† (Lecture Notes, conclusion). The work is filled with doubled words (horses, carriages, patent examinations, children songs, homes), and words that have different meanings (dilemma – problem or solution, shame, information’s and people’s mislaying). â€Å"The Castle†, a philosophical novel, depicts the castle’s authorities, bureaucratic attitude and man’s struggle against the existing system. â€Å"The novel’s aesthetic and interpretive complexity, it will be seen, underlines the multi-layered meaning of salvation itself, in a modern world in which salvation is not necessarily one of divine grace, of deliverance from sin and damnation† (Panichas, 2004). The totalitarian authorities, impersonal system that is built in hierarchical order are shown as apparatus that rules over the lay people, who must be subordinated to this machine. It is manipulation and control that is obvious in any modern society and the procedures it governs and inevitable for every citizen. â€Å"K. gains through her personality some insight into a possible solution of his quest, and, when he speaks of her with affection, he seems himself to be breaking through his sense of isolation† (Encyclopedia Britannica). Kafka, as a living example of outsider, who had made his way to live in the community, all through his works has depicted the world of contrasts, where everyone lives in isolation, trying, at the same time, to find his place in the community. Works Cited: 1. Banville J. (October, 2004). The Human Stain. The Nation. October 18 issue. 2. Dorothy W. Franz Kafka’s â€Å"A Hunger Artist† December 15, 2006 Retrieved from the website â€Å"Of Books and Bicycles† on February 25, 2008 http://ofbooksandbikes. blogspot. com/2006/12/franz-kafkas-hunger-artist. html 3. Encyclopedia Britannica. Franz Kafka. Works. Retrieved on February 25, 2008 from http://www. britannica. com/eb/article-3813/Franz-Kafka 4. Humanitas, G. (March, 2004). Kafka’s afflicted vision: a literary-theological critique. (Franz Kafka). Humanitas. 5. F. Kafka. (1956). Amerika. Frankfurt: Fischer Publishing House. pp. 15, 161. 6. Kelen, C. The Great Wall of China and Kafka’s Limitless Tropology. Queen: a journal of rhetoric and power. Vol. 2. 1. Power and Recolonization. 7. Lecture Notes: Franz Kafka, â€Å"A Country Doctor†. Washington Courses. Retrieved on February 25, 2008 from http://courses. washington. edu/freudlit/Doctor. Notes. html 8. Lowy, M. (1997). Franz Kafka and Libertarian Socialism. New Politics. Vol. 6. no. 3. 9. Pawel, Ernst (1984). The Nightmare of Reason: A Life of Franz Kafka. New York: Farrar-Straus-Giroux, p. 160-163. 10. Tauber, Herbert. (1948). Franz Kafka: An interpretation of his works. Yale University Press.

Friday, September 27, 2019

The GI Bill of Rights Term Paper Example | Topics and Well Written Essays - 750 words

The GI Bill of Rights - Term Paper Example The World War II veterans had an inordinate impact on the society. The US economy benefitted immensely by their services. Civil labor went up on statistics charts as the returning veterans put down their guns and started working just like other civilians. The returning veterans not only served as laborers but a significant number also went to various educational institutes with the incentives provided by the GI Bill. The returning veterans probably realized the importance of education. This show of determination is worth praising because many soldiers were picked for war services while they were graduating and therefore could not continue their studies. Their education was interrupted by the war and the G I Bill allowed them to return to school when the war was over. The GI Bill was different from other legal bills as it focused not on any tangible assets of the US citizens; instead, it focused on the intangible and the most important asset: the human brain. The bill liberated minds and pushed people to think freely and to pursue their thoughts. It was similar to teaching someone how to catch fish instead of hand feeding them. The GI Bill caused a silent revolution, not by forcing people out of their homes but by liberating their thoughts and suggesting to them to discover their own path. The returning veterans benefitted from this bill and the institutions got the freedom to teach in the way they prefer. That was the right way to deal with the great potential of the returning veterans. The author Michael Bennett tries to highlight various aspects of the GI Bill. He shows that this bill had more meaning and significance than what it is normally credited for. Bennett argues that the GI Bill served the US society in many ways. It let the educational institutes conduct their teachings and research programs the way they wanted. The bill never interfered in their business; instead, it gave them the freedom to enhance their strategies and make them more productive. I t gave the colleges an expanded student body and more funding. The strategy was either you made it or you flunked out. Colleges and universities grew dramatically during this era. Â  As a result of the GI Bill, the educational institutes became more accommodating to students of all backgrounds. Race, gender, and religion were no longer the hurdles and education was available to all. The beauty of the bill that the author highlights is when the war veterans returned from the battlefield, they had become accustomed to multicultural environment. And when Universities allowed students of all races to get educated, the veterans experienced a similar melting pot atmosphere they experienced during the war. The GI Bill had more impact on class than race. Before WWII college was mostly for the wealthy. The GI Bill allowed men who never thought they could afford college an opportunity and that include black men, but colleges in the South were segregated by race and in the North black student s were very much in the minority. The author argues that the returning veterans had to face financially challenging atmosphere upon their return home and the GI Bill helped them in more than one way to get them back on their feet. For instance, Les Faulk of Turtle Creek, a returning veteran

Thursday, September 26, 2019

Arbitration Essay Example | Topics and Well Written Essays - 500 words - 1

Arbitration - Essay Example In fact, many courts require that some parties engage in alternative dispute resolution mechanisms before permitting trial for the cases by the parties (National Paralegal. 2005). The increased popularity of the approaches comes from the expansion of traditional courts caseload and the perception that the approaches impose fewer costs as compared to  litigation and have a confidentiality preference. In Conn Super LEXIS 1 (2005) Lasalla v. Doctor’s Assoc., 2005, the defendant is the Subway sandwich shops franchiser. The plaintiff settled to develop a number of properties issues. In the 1986 original contract, the calculation of plaintiff’s compensation was on basis of taking into account revenues, and subject to â€Å"modifiers† resulting in final compensation amount. The initial dispute was the interpretation of the modifier. The court award confirmation allowed the parties to continue with the process about the same issue (National Paralegal. 2005). The issue was whether the lead arbitrator in the subsequent arbitration was under compulsion to apply the res judicata  doctrine in the circumstance. Connecticut court observed that awards of arbitration are for the presentation of similar effects as court decisions in further civil actions. Therefore, the second arbitration’s arbitrator need not engage  res judicata  to initial arbitration award. In Conn. Super LEXIS 3409 (2004) for Gordon v. Amica Mutual Insurance Company, 2004 the use of â€Å"party arbitrator† system resulted in procedural impropriety where the court vacated the arbitration award. The plaintiffs’ home in Glastonbury, which created the financial institutions of the Burglary stream, unintentionally filled in Goal of 2002. When the proceedings did not believe the fact that on an evaluation amount for the loss, the evaluation mediation stipulation of the insurance plan started in (National Paralegal. 2005). It is this catchall supply, which permitted the

Decision-Making Model Essay Example | Topics and Well Written Essays - 1000 words

Decision-Making Model - Essay Example Ethical dilemma or problem of this case can be to make the decision for the recovery of the child and for improving the quality of life of the child suffering from fever. This problem has been raised due to the wrong decision of the parent, because the parents of the child are divorced. Parents play the most vital role in the recovery of disease of their children and therefore, if parents take wrong decisions regarding the treatment, then it can be a major dilemma for the well-being of the health of the children. From the provided case study, it can also be evaluated that wrong decision has been taken due to religion and cultural problem (Vaz & Srinivas, 2014; Moulton & King, n.d.). Decision should be taken based on the importance of the problem or treatment, because during the time of treatment, decisions of the family members or parents play a vital role for the well-being of the health of their patients. During the time of treatment, the responsibilities of the doctors are to diagnosis the problem and then provide the treatment solution to the parents or family members through which the disease of patients can be reduced.

Wednesday, September 25, 2019

The Anthropology of Latin America and the Caribbean weekly reflection Assignment

The Anthropology of Latin America and the Caribbean weekly reflection - Assignment Example n, Jewish, Buddhist, Hindu, Baha’i, Islamic, Protestant, Evangelical and indigenous religions and denominations exist in Latin America and the Caribbean (Harry, 184). The way of life of Latin Americans and the Caribbean varies greatly from one part of the region to another given the many ethnic groupings and different ancestries. Additionally, the author writes that various Afro-Latin American practices such as Macumba and Santeria are prevalent among Latin Americans and the Caribbean. Particularly, evangelism is an incessantly increasing practice in the Latin American and Caribbean religion. The region of Latin America and the Caribbean experiences several health challenges. In the view of Harry, he notes that the main health challenge in the region is the persistent high maternal and infant mortality rates (Harry, 211). There are diarrheal and respiratory diseases. In addition, the author points out vaccine-preventable infections as one of the leading causes of deaths in the region. Further, there are drug resistant infectious agents. Food and drugs are inadequate supply is another health issue. Harry further notes that health personnel have increasingly emigrated from the region, impeding the efforts to make healthcare services satiable. These health problems are under surveillance and responsible governments are working on making the health condition of the citizens of the countries in the region better. Harry notes that Latin America and the Caribbean region are so diverse that it holds various cuisines which vary from nation to another. One of the most cherished dishes in the region is maize-based cuisine. Tamales, pupusas and tortillas are the most popular of the maize dishes. In addition, Harry notes that salsas and other condiments such as pico de gallo, mole and guacamole are also popular. Although the spices give the Latin American cuisine the characteristic, unique taste they have, different countries use different spices. Even those nations that

Tuesday, September 24, 2019

International Market Entry and Development Essay - 6

International Market Entry and Development - Essay Example ct researches globally to recognize the global and regional segments of the market and to observe chance for incorporating and better synchronizing the strategies across the national borders. In addition to this speedy collection of information and formulation of results from geographically concentrated sources become very important to predict change in the market and develop a more detailed and useful response strategies (Carman, J. M, 1980). Technological advances both facilitate as well as cause more difficulties in gathering data on global basis. The advances and continuously increasing technological complexities allows the collection of data on a broader geographical scale. Yet the flip side of this advances should never be ignored. To cater the research needs of today’s world, one must examine the changes under which they have gone through in the last four decades. In the early 60s and 70s U.S firms decided to shift to the international markets from the domestic markets. Japan and Europe also expanded from the domestic markets to the international markets to widen their geographical range and to act in response of the foreign competitions that was entering their domestic markets. Initially firms were interested more in gathering information to discover and judge the market opportunities of the other countries to assess which markets should be targeted, how to do the positioning of the products and how much to adapt the marketing mix to the local markets (Carman, J. M, 1980) The changes in the global market along with the technological changes in the collection of data, its analysis and its distribution entail that the researches should broaden their spectrum to plan, implement and to execute the research in this competitive world. Researchers need to align their skills and capabilities in order to carry and plan the researches in this competitive world (Carman, J. M, 1980) The growth of retailers globally also assist marketing research. As their chains

Monday, September 23, 2019

Measurement Of Concrete Workability Essay Example | Topics and Well Written Essays - 1500 words

Measurement Of Concrete Workability - Essay Example The volume of water affects the density of the concrete. The more the water content, the greater the workability of the concrete. High contents of water results in higher fluidity and hence better workability. An increase in the water/cement ratio decreases the compressive strength of the concrete. Large water/cement ratios increase the fluidity of the mixture and this can even cause the concrete to collapse. The method of curing used also affects the strength of the compressive strength of the mixture. All methods except the air curing method increase the compressive strength. Characteristic strength is used since it is normally based on statistical concepts as it is the strength below which no more than 5 % of all the cubes that have been tested from the concrete mixture will fall. It is expected that 95 % of all the cube samples will have strength in excess of the design characteristic strength. The practicality of placing concrete into a tightly spaced mold containing reinforceme nt is limited by the process of casting the concrete and the cost of performing this operation. In order to achieve a good compaction, vibration is done on the concrete mix using a screed board vibrator. This removes the air spaces present in the mixture. The amount of water available in the mix improves the workability of the concrete. The greater the content of water, the greater the workability of the concrete. High contents of water usually result in higher fluidity and hence better workability.

Sunday, September 22, 2019

Foreign Banks Pros and Cons Essay Example for Free

Foreign Banks Pros and Cons Essay Today with the blessings of tremendous development in the communication technology, relationship and interdependence among the countries have been growing rapidly which signifies globalization as an ongoing process. Globalization helps the international business- that is engaging in cross border expansion of sales, acquiring resources and diversifying risk. Factor that benefiting the foreign banks in Bangladesh: Bangladesh is a developing country with a huge population. From the beginning of Bangladesh as an independent country it has been a desiring place for doing business for business organizations operating globally. This circumstance is existed in banking and other financial service sectors. There are some factors that benefitting the foreign banks operating in Bangladesh. 1. Extended sales in an enormously populated country with a low competition: Bangladesh is a country with a large population, so this place is a big market for the banks in a single boundary with a simple set of legislations. So the foreign banks operating in Bangladesh can serve a large group of customers with a single marketing policy. As now a day the business transactions are taken place through banks and house hold savings are kept in banks so the foreign banks do not have to be concerned about the demand. The local banks can not give a big competition as well. 2. Minimizing risk: As usual the multinational banks like other multinational corporations minimize risk by operating in Bangladesh. That means if the banking sector collapses in a country the multinational banks will not loose everything and it is a risk diversifying method. 3. Acquiring resources: The foreign banks operating in Bangladesh can acquire Bangladeshi capitals, information and human resources easily. The local expertise is keen to work in MLCs. So the foreign banks can acquire the local human resources easily at a very cheap rate compare to the global condition. Having the benefits in Bangladesh 10 local banks have established their operation in our country and working comfortably for years after years. Influences of foreign banks in Bangladesh: Benefits: 1. A boast in banking sector: Local banks are expected to react as the foreign banks enter to the country. The local banks here have changed their police in a positive way caused by healthy competition. 2. Bringing ne management and advertising techniques: foreign banks typically bring newer and more modernized management and advertising techniques in our banking sectors. The local banks can learn the modern techniques to cope up with the changing economic environment and globalization. 3. Introducing new modernized technology: In Bangladesh most of the modern financial technology such as ATM, different types of cards, off balance sheet accounting and the latest computing technology brought by foreign banks and spread out in whole banking sectors. 4. Helping in international trade: Aiding in the development of trade and foreign direct investment are presented by foreign banks. Such as opening an L/C in a multinational bank may be more helpful for the merchants. Problems: 1). Foreign domination: the established foreign banks have far greater brand value and economic capability than the local banks. So they can easily dominate by attracting customers. They also are being magnets for local human resources, so the local banks do not get the local expertises which also pull the local banks behind the multinational banks. 2). Lack of local commitment: the foreign banks lack commitment towards the country for some reasons not meeting some social responsibilities. 3.)Â  Cream skimming behavior: though there is not much data available to prove this fact many people think that the foreign banks cream skim the market- taking disproportionate share of best local business away from domestic banks. 4). Unhealthy completion: introduction of foreign banks has added pressure to the local banks by increasing competition which results in risk taking of local banks. So the foreign banks of Bangladesh have a great influence in our economy in the form of pros and cons which are effectively altering our banking sector, with their operation.

Saturday, September 21, 2019

Are Children Born with an Innate Ability to Acquire Language

Are Children Born with an Innate Ability to Acquire Language Humans ability to use language is essential and many believe it to be the sole ability that seperates us from all other mammals (Chomsky, 2006 ; Crrystal, 1997 ; Hocket, 1960. The importance for humans to be able to acquire language from a young age is unquestionable, but how we acquire it is under huge debate amongst psychologists and psycholinguists. Nativists such as Chomsky (1959) believe language has an innate basis and this is how we acquire it so quickly and at such a young age, whilst behaviourists believe we acquire language like any other learned behaviour (Skinner, 1957). Another theory in this debate is the social pragmatic theory which states that children create constructions of languages which develop over time (Tomasello, 2003). This essay aims to explore the theories that exist within this debate and therefore examine the support and evidence for each in order to assess if children are in fact born with an innate ability to acquire language. Immitation Perhaps the most simplest theory existing within this debate is the idea that children learn language by imitating adults and modelling their speech based on what they hear others saying. Adults also use child directed speech and therefore talk differently to and around children compared to how they talk around other adults (Cook and Newson, 2007). Many psychologists have also said that this theory is too simplistic to account for language acquisition (Bloom, Hood, and Lightbow 1974, Clark and Clark 1977, Chomsky 1986, and Dale 1976). This theory cannot be ignored though as imitation has been proven to help children acquire an accent (Blades, Cowie and Smith, 2003). Skinner Further support Evidence for the imitation theory comes from Skinner, who founded behaviourism, which claims that any behaviour is learnt from experience and subsequently there is no such thing as an innate ability; this includes the ability to acquire language. In 1957 he claimed that language acquisition was simply a matter of imitation, reinforcement and association therefore we learn language in the same way that Skinner showed how a rat can learn a path in a maze. Support for Skinner comes from Clarke-Stewart (1973) who found that children who experienced a vast amount of spoken languages from their parents had a larger vocabulary compared to those who experiences little spoken language. Chomsky Chomsky however disagrees with Skinner (Chapman and Routledge, 2005) and believed that children are born with an innate knowledge of the structure of language. He called this a language acquisition device (LAD) which is an innate mechanism only in humans which allows us to develop language. (HARTLEY). Chomsky argued that a poverty of the stimulus existed as the language in by which children are surrounded is not rich enough for children to successfully learn language and so they must be helped with the process of acquisition by some form of innate knowledge (HARTLEY). Chomsky (1959) pointed out that children cannot learn by imitation alone as they are able to produce sentences they may have never heard before and this is one of the major flaws of behaviourism. Children use grammar to construct these new sentences by using grammatical rules, this also means they can identify when they produce ungrammatical sentences and can prevent these mistakes from being produced again in the futur e (WHITNEY). Chomsky also noted that all languages have universal grammar or linguistic universals which all humans are programmed to understand and learn quickly early on in life. The theory of Universal Grammar says that all languages have the same basic foundation. As humans were not genetically programmed to speak a particular language so grammar allows us to learn the patterns of a particular language without actually being taught them (WHITNEY). If no one is born knowing a particular language, and were prepared to acquire language, then we must be born with the ability to acquire any language. This is reflected in children of a younger age as it is easier for them to learn a new language than it is for adults. However, this ability to acquire language rapidly must be taken advantage of before puberty, as after this critical period it is much harder for a child to learn how to talk correctly (HARTLEY). Support for Chomsky Like Chomsky, Jill and Peter de Villers (1978) showed that parents use child directed speech when talking to their children, and so if imitation were to be the answer to how we acquire language, children would talk using this motherese language. Support for language acquisition being innate can be taken from a longitudinal study conducted on a 9 year old deaf child called Simon. Researchers studied him from 2 years old and found that despite his parents teaching him incorrect grammar when it comes to in sign language, he was able to sign with correct grammar (http://www.nytimes.com/1992/09/01/health/linguists-debate-study-classifying-language-as-innate-human-skill.html). However, this study was only conducted using one child and therefore cannot be seen as representative of the whole population. Dionne, Dale, Bolvin and Plomin, 2003 (Mccartney and Phillips, 2006) conducted a study using same sex twins and found that when they correlated vocabulary and grammar ability, they were equally correlated at ages 2 and 3. This, they believe, suggests that there are genetic factors influencing these abilities and therefore there is a general innate language basis. If language does in fact have an innate basis then language disorders should be inheritable Criticism for Chomsky There are less extreme nativists than Chomsky who say that we are born with language biases allowing us to learn language. This is called the whole object assumption or fast mapping. The acquisition of names for entities belonging to different types and the effect of lexical contrast (Kipp and Shaffer YEAR). Bard and Sachs (1977) reported a study where a child had two deaf parents, despite being surrounded by speech from television and friends he was unable to acquire language until a speech therapist began to work with him around the age of 4. After this he was able to acquire language rather quickly showing there must be some form of innate knowledge that allowed him to acquire languages quickly, however he still needed to be taught how to use language. Gomez and Gerkhen, 1998 (Hoff and Shatz, 2009) reject the idea that language has innate properties. They say that many researchers assume that because language is so complex, it is unlearnable and therefore we must be born with a way of knowing how and when to generalise from the stimuli in which we encounter. Piaget, 1980 (Piaget, Piatelli-Palmarini and Chomsky, 1980) also said because language is complex we cannot assume it has a specific innate basis simply because we acquire it quickly and early on in life. Bloom and Markson (YEAR) pointed out that the focus of most language acquisition research is based on parents teaching children speech. This research is mainly conducted within western cultures, however this is not universal as in some cultures parents dont help their children to learn words, therefore they learn from overheard speech. However these children still develop a good vocabulary. Locke, 1995 believed that all knowledge that rationalists said was innate can actually be learnt through experience. At birth our mind is a tabula rosa on which sensations can influence and determine our future behaviour. Research has been conducted regarding the critical period that Chomsky referred to regarding optimal acquisition of language. Research has shown that if children have not acquired language before puberty then they are not likely to ever fully acquire it, regardless of any innate mechanisms they may hold. If the language acquisition advice truely existed, like Chomsky believed it to, then surely this critical period would not exist, or at least we should be able to acquire language at any age (Hayes, YEAR). Lenneberg Lenneburg (1967) believed in a critical period for language acquisition but that that said that a child must experience spoken language frequently during this critical period in order for language to be fully acquired. After this critical period prior to puberty, the child undergoes several changes which makes it increasingly harder for the child to acquire language. This is also supported by the fact that it is harder for adults to learn a language than it is for children. Social Pragmatic Theory Tomasello (2003) looked away from a specifically innate theory of language acquisition and instead created a construction based approach to how children acquire language; developing from simple to more complex constructions. Bruner (1983) said that almost all language a child acquires is done so through a routine of interaction with adults or more complex speakers than themselves. A child will first learn to understand a persons intentions by sharing goals and therefore enabling the child to know what is going on and why it is happening. This then facilitates joint attention between the child and adult allowing them to both focus on the same object or cultural routine. A cultural routine is an activity or event which occurs frequently in the childs everyday life and so the child is able to predict successfully the shared goals existing in that activity (Tomasello 2008). An experiment conducted by Baldwin 1991, 1993 (Bates and Tomasello, 2001) showed that children are capable of monitoring an adults attentional focus and know that a label refers to an object that the speaker is attending to, even if this object was hidden. At around 16 months children were unable to identify any object, but around 19 months they successfully chose the object the adult was attending to despite this object being hidden from sight. Despite this Atkinson (1982) and Gleitmen et al (1984) believed that the social pragmatic view of how children may acquire language is vague and subsequently does not produce testable theories of language.

Friday, September 20, 2019

The multiple emulsions

The multiple emulsions Introduction: Seifriz started his pioneering work about multiple emulsions since 1925, which is regarded as the fundamental knowledge in the later research. Multiple emulsions are complicated systems which are considered as emulsions of emulsions (Garti, 1996).In the outer continues phase, the droplets of the dispersed phase named as globules which contain even smaller dispersed droplets ,the globules are separated from each other in external continues phase by a layer of oil phase film. In the inner phase, the droplets are departed from each other by oil phase (Benichou et al. 2006). It is widely believed that there exist two primary types of multiple emulsions, one is water-in-oil-in-water (W1/O/W2) emulsions that an w/o emulsion is dispersed in another aqueous phase (W2) and the other is oil-in-water-in-oil (O1/W/O2) emulsions that an o/w emulsion is dispersed in another oil phase(O2). In the previous study, water-in-oil-in-water (W1/O/W2) multiple emulsions have accounted for a vital role in t he research of multiple emulsions , because the applications of W1/O/W2 multiple emulsions plays an important role in the food industry and it is also easier for us to select various of hydrophilic emulsifiers which are safe to health as stabilizers in preparation of multiple emulsions (Pays et al., 2002). As shown in Fig. 1, take water-in-oil-in-water (W1/O/W2) double emulsions as an example, which are composed of three distinct phases : an internal aqueous phase (W1), which containing many aqueous soluble ingredients. Various internal aqueous droplets are encapsulated in an oil phase (O), which is included in external aqueous phase (W2) (Garti, 1996). Applications of multiple emulsions It is widely believed that the potential applications so numerous that the research in such promising area can bring beneficial effects, especially in products areas ,such as drug-delivery systems, cosmetics, and foods . Water-in-oil-in-water (W1/O/W2) emulsions allow the encapsulation of active ingredients which have the ability to be soluble in the internal aqueous phase, thus it is possible to hide smell of some matter; remove toxic substance; or select appropriate conditions to realize controlled release of the active ingredients under certain process of emulsification. (Kanouni et al. 2002) On the basic of slow and sustained release of active ingredients from an internal reservoir into the external aqueous phase, the main function of double emulsions is regarded as an internal reservoir to entrap ingredients whatever you choose into the inner confined space, in order to protect against oxidation, light and enzymatic degradation. As a result, sensitive and active molecules can be protected from the external phase by the function of internal reservoir. In addition, because of the phenomenon of release of water or ingredients which can be observed in the experiments, the active ingredients will exist partly in the internal aqueous phase, partly in the oil phase and occasionally in the external phase(Benichou et al. 2004) .In the food industry, double emulsions provide some advantages because of their capability to encapsulate some water-soluble substances, such as flavours or active ingredients which are then slowly released from the internal compartments. Additionally, we should select food-grade additives which is soluble in the internal aqueous phase because the consumer products in food industry will be applied in our daily lives. Furthermore, as the development of needs in food quality, the production of low calorie and reduced fat products come into food market. (Muschiolik, 2007; Van der Graaf et al., 2005). In agrochemical industry, it has become incr easingly difficult for scientists to produce products, such as pesticides which are effectively and simultaneously friendly to the environment. According to ElShafei et al. (2009), the idea of multiple emulsions has been successfully applied to the agriculture products and the multiple emulsions are relatively stable even on storage at room temperature and 4 ?for 30 days. As government increasingly pay attention to the safe and environmentally friendly products, the research in this orientation has draw publics attention. Till now, no pharmaceutical multiple emulsions have been brought to the market, because potential emulsifiers used in multiple emulsions are only available in cosmetic grade but not be applied in pharmaceutical grade. (Schmidts et al., 2009 ) In cosmetic area, the possibility of combining incompatible substances in products in order to offer more favorable functions. (Vasiljevic et al., 2005) multiple emulsions also have the potential to change the commonly oily feel of hand-cream to aqueous texture. The advance of products of cosmetics has brought out more space to develop in order to get more profits. (Kanouni et al., 2002) Methods of preparation: Scientists have done some research in multiple emulsions as the applications provide us more convenience and bring better consumer products in many areas. Because double emulsions have more complex structure and are even more thermodynamically unstable than single emulsions, they prone to be difficult to prepare, especially on an industrial scale. The difficulties of preparation of multiple emulsions have draw scientists attention, so many research have been pour into this area. In general, there exist single -step and two -step emulsification methods to prepare multiple emulsions (Allouche et al., 2003). Due to a multiple emulsion is considered as a mesophase between O/W and W/O emulsion, the one-step method of preparation means a combination of the two different types of emulsions and surfactant phase, which is very difficult to control. So, such method will not be chosen in the preparation (Matsumoto, 1987; Mulley and marland, 1980). On the basic of previous study, the two-step emulsification process is considered as the most common and better controlled method. First of all, W1/O emulsions are much easier to prepare and it is also easy to control various characteristics in these emulsions as the parameters in them are relatively limited . Secondly, in the second step, it is widely believed that the complex structure and variable quantities result in relatively difficult to control or regulate. Many methods have been commonly used to improve the preparation of multiple emulsions, adding suitable emulsifiers is regarded as one of the most significant one. In general, two kinds of emulsifiers are introduced to add in the preparation of multiple emulsions as the difference of their functions. Because of the different affinity of the emulsifiers, hydrophobic emulsifier Emulsifier I which is used in the oil phase and hydrophilic emulsifier Emulsifier II which is used in the external aqueous phase (Garti, 1996). The hydrophobic emulsifier is designed to stabilize the interface of the W1/O internal emulsion and the hydrophilic emulsifier acts as stabilizer at the external interface of W1/O/W2 emulsion. The main function of emulsifiers is enhancing the stability of multiple emulsions in the preparation and even the long-time storage. The process of two-step preparation is shown in Fig.2. In the first step, the primary W/O emulsion is prepared under high-shear conditions (homogenization) to obtain small droplets, whereas the second step is carried out with less shear in order to avoid rupturing the internal droplets because the second step i s much difficult to control than the first step (van der Graaf et al., 2004). On the basic of Kanouni et al., (2002)s earlier work, in the first step, they usually use an Ultra-Turrax mixer with a relatively high speed to prepare a W1/O emulsion which is a combination of internal aqueous phase and an appropriate oil phase with suitable low HLB emulsifier; in the second step, the W1/O/W2 multiple emulsions will be produced by adding proper high HLB emulsifiers using Ultra-Turrax mixer or mechanical agitator with relatively smaller rotation speed. In the previous study, stirring apparatuses, rotor-stator systems and high pressure homogenizers are considered as the most commonly and conventional emulsification devices (Schubert and Armbruster, 1992).As shown in table 1. the functions and disadvantages has been tabulated. There are several drawbacks in such existing methods of production ( Williams et al.,1998). First of all, it is not easy for us to control the droplet size and droplet size distribution of the final multiple emulsions products. Secondly, it is difficult to scale up because different classes of the products are generated per batch on the same manufacture conditions, which contribute to one of the main factors why such products can not be applied in the industry. Moreover,van der Graaf et al. (2005) illustrate that conventional methods are not feasible in preparation of double emulsions, because high-shear stresses can result in rupture of the internal emulsions which should be avoided in the secondary emulsification (van der Graaf et al., 2005) Different kinds of emulsification devices can generate various multiple emulsions with different conditions, such as droplet size, encapsulation efficiency, release rate, and so on. What has interested the scientists most recently is researching novel approaches to improve the emulsification equipment in order to generate more stable and ideal multiple emulsions. Much attention has been put in the improvement of the second step by using various pieces of equipment and novel method. Nakashima et al. (1991) points out that membrane emulsification is widely accepted as one of the new method for the production of emulsions recently( Nakashima et al., 1991). This technique is increasingly attracted because of its low energy consumption, the better control of droplet size and droplet size distribution and especially the mildness of the process, especially suitable to be used in the second step to prevent rupture of the double emulsion droplets (van der Graaf et al., 2005). Joscelyne and Tragardh (1998) demonstrate that it is favourable to prepare small droplets when the conditions are higher concentrations of emulsifiers, high wall shear stress through a membrane with small pore size. As shown in Fig.3. because of the mild conditions in the process of membrane emulsification, it is easier to produce small size droplets and protect the multiple emulsions from membrane rupture, especially useful in the second step of emulsification. The system chosen ceramic membranes of different average pore size to prepare relative small droplets in multiple emulsions because such kinds of emulsions more stable. Membrane technology can be applied to the many productions, such as oil-in-water (O/W) emulsions t, UHT products and so on (Joscelyne and Tragardh 1998) .However, low flux of the dispersed phase is the main and visible drawback of membrane emulsification (Charcosset et al., 2004),which is caused by the properties of membranes with a low hydraulic . In general, two methods are commonly introduced in membrane emulsification: cross-flow membrane emulsification and pre-mix membrane emulsification (Suzuki et al., 1998). Take pre-mix membrane emulsification as an example, as shown in Fig.4. the most significant advantages of such method is it can provide high flux, which can improve the membrane emulsification process. Various novel methods have been reported to improve the disadvantage of membrane emulsification. (Gijsbertsen-Abrahamse et al., 2004) for example, with the advance in nano- and micro engineering, it is possible to produce membranes with a low hydraulic resistance named microsieves. (Van Rijn et al., 2005) Microsieves, inorganic membranes, which can offer a very thin selective layer, high controlled pore size and shape, and smooth surfaces. As shown in Fig.5., SEM images of pore morphology of a silicon nitride microsieve surface. Microsieve membranes contribute to flux decline in crossflow filtration of bovine serum albumin (BSA) solutions. (Giron`es et al.,2006) According to Shnji Sugiura et al., (2003), monodispersed multiple emulsions which are good at providing relatively stable conditions are regularly applied in industries and basic studies, on the basic of easier observation, monodispersed emulsions are regarded as an effective approach in determining the resistance to coalescence of an emulsion, and in observing how the active matter go through the oil film by diffusion. (Sugiura et al., 2003) Furthermore, a microfabricated channel array has been pointed out as a promising method for preparing monodisperse emulsion droplets (Kawakatsu et al., 1997). This type of emulsification technique is called microchannel (MC) emulsification, which is regarded as a novel method for preparing monodisperse emulsions. Owning to the advantages of this technique, it is a promising technique to improve the stability of multiple emulsions. (Kawakatsu et al., 2001; Sugiura et al., 2001 ). Nakagawa et al.(2004) suggest that monodisperse surfactant-free mic rocapsules can be produced by MC emulsification using gelatin. Of course, this technique need further study to improve its low production rate. Improvements in stability of multiple emulsions In practice, significant problems may arise, not only the thermodynamic instability of emulsions, but also many destabilization phenomenon, such as flocculation, coalescence and creaming, have contribute to the unstable emulsions (Vasiljevic et al., 2005). In order to protect the emulsions from the formation of flocculation or coalescence, two methods have been introduced to protect the droplets from each other, one is increasing viscosity of the external phase, the other is energy barrier. The DLVO theory is commonly applied to explain colloidal stability. when the distance between two colloid particles is increasing from small to large, the resulting potential is rage from negative to positive because the existence of attraction potential and repulsion potential ( Friberg, 1997). Various factors may have an effect on the stability of multiple emulsions, including the method of preparation, the oil type, type and concentration of the emulsifier and so on (Vasiljevic et ,al. 2005). On the basic of fundamentally experimental data, we choose the relatively suitable and effective conditions to prepare multiple emulsions. Many research have been put into how to improve the stability of multiple emulsions because thermodynamically unstable multiple emulsions not only exist in the process of preparation ,but also occur during storage or on exposure to environmental stresses such as mechanical forces, thermal processing, freezing or dehydration. On the basic of developed techniques, we can observe or measure the leakage of the inner aqueous phase(W1) in the outer phase and destabilization properties of the emulsions. There are four mechanisms explaining the instability of W1/O/W2 multiple emulsions: (1) the instability comes from the inner aqueous droplets because of coalescence; (2) the instability comes from the oil droplets because of coalescence; (3) rupture of the oil film (4) transport of water and ingredients through the oil layer (Appelqvist et al., 2007,; Florence and Whithill,1981; der Graaf et al., 2005). In the real conditions, there may exist more than one mechanism in the multiple emulsions, different results to different situations. The determining of primary mechanisms exist in certain multiple emulsions should dependent on the experimental data and convincing analysis. What should we do is research more reasonable methods to solve the problem of thermodynamically unstablity in multiple emulsions. Three kinds of approach aiming at improving stabilization and slow solute release have been list as follows (Davis et al., 1985) : (1) stabilization of the inner W1/O emulsion, for example, the addition of various emulsifier combinations (Apenten and Zhu, 1996; Shima et al., 2004; Su et al., 2006); (2) stabilization of oil phase by choosing suitable oil type and the addition of proper carriers, complexants and viscosity builders, for instance, the solidification of the oil phase and the modification of the solubility and polarity of the oil phase to make it less water soluble (Tedajo et al., 2001); (3) stabilization of the external aqueous phase, such as increasing the viscosity of the outer aqueous phase (-zer, et al., 2000). Although many strategies have been categorized above, a majority of them are not suitable to apply in food industry because they are not easily scaled up in industry or they include not food- grade ingredients entrapped in multiple emulsions, which may make a bad influence on human health. So, there exists numerous space for us to research in the methods of improving the stability of multiple emulsions. (ORegan and Mulvihill, 2009) In general, many factors contribute to the improvement of stability of multiple emulsions as some research have deeply determined the main causes of thermal unstable phenomenon and flocculation, coalescence and creaming phenomenon. The nature and internal properties of surfactants or emulsifiers play a vital role in solving problem. Stability of multiple (Opawale, et al., 1998) emulsions has been shown to be dependent on emulsifier interfacial film strength, ionic strength, various additives, and concentration. According to Vasiljevic et al. (2005), when the concentration of emulsifier in oil phase is higher, the multiple emulsions will have lower droplet size, higher viscosity and elastic characteristics. Moreover, changing the concentration of surfactants, results in the difference of the amount of retinol released from silica particles. In addition, different polymers which are added into the aqueous phase, the encapsulation efficiency of retinol was also changed (Hwang et al., 2005). The process of multiple emulsion formation and various destabilization processes can be determined by video microscopy (Ficheux et al., 1998). A unique dimpled structure is a signal to show the deformation of the multiple droplets and coalescence of the internal dispersed phase by coverslip pressure. If the multiple emulsions po ssess relatively high stability, then such structure come out for long-time observed in the presence of adequate concentrations of surfactants and additives. So, Formation of the dimple structure is linked with interfacial film strength and long-term multiple emulsion stability (Jiao et al., 2002). The long-term stability of the double emulsion requires a balance between the Laplace and osmotic pressures among droplets in W1, because a stable W1/O emulsion is a fundamental and significant step in order to prepare a stable W1/O/W2 double emulsion. Garti (1996) illustrate the concept of weighted hydrophile-lipophile balance (HLB) is important because the value is linked with the droplet size, the number of W1 dispersed in inner phase and the stability of the W/O/W multiple emulsions. Such properties are so significant in preparing relatively stable multiple emulsions that the weighted HLB value is considered as a potential reference to select the optimal type of emulsifiers in forming multiple emulsions. In the first step of preparation, HLB(I) stands for the HLB value of the hydrophobic emulsifier, CI means the weight percentage of the hydrophobic emulsifier in the fundamental W1/O emulsion, In the second step of preparation, HLB(II) stands for the HLB value of the hydrophilic emulsifier, and CII means the weight percentage of the hydrophilic emulsifier in the W1/O/W2 multiple emulsion It was observed that using a combination of an amphoteric high HLB surfactant and an anionic surfactant can prepare a stable system(Kanouni et al., 2002). The inner phase is demonstrated to be better stabilized by minimizing the size of droplets and forming microemulsion droplets or microsphere particles, or applying more potential surfactants in order to seal the active ingredients in the interface (ORegan and Mulvihill, 2009). Choosing of optimal surfactants has made a positive effect on controlling particle size in multiple emulsions. Sepideh Khoee and Morteza Yaghoobian (2008) propose that the mean diameters of nanocapsules containing penicillin-G are linked with the properties of surfactants. that is to say, the different types or content of surfactant used in formation of multiple emulsions can result in different droplets size. N. Heldt et al. (2000) point put that changing the ratio of lecithin/SXS make an effect on the average size of the corresponding vesicles in the oil-wa ter emulsion. In addition, egg lecithin considered as hydrophobic substance, sodium xylenesulfonate (SXS) acts as the hydrophilic matter. As the ratio goes up, the average vesicle size increases correspondingly. Stability can be improved by offering suitable stabilizer because the surfactants act as film former and barrier to the release at internal interface(Khoee and Yaghoobian, 2008). Two charged biopolymers, whey protein isolate (WPI) and enzymatic modified pectins, interacted in aqueous solution to form a charge-charge complex which acts as a hydrophilic polymeric steric stabilizer improving the multiple emulsion stability .Regulating the conditions to get the result of most relatively stable condition. For example, as pH can determin the size of the complex ,when pH =6, the most stable double emulsion are gained because of the smallest droplet size, the lowest creaming, highest yield, and minimized water transport(Lutz et al., 2009). Henry et al. (2009) have studied six emulsifiers in their experiments, it is shown that as the amount of emulsifier increased, the phenomenon of coalescence occurs go down. Furthermore, droplet size is dependent on both break-up and re-coalescence events in emulsification, for example, when the surfactant concentration is lower, the droplet size is prone to a result of multiple break-up events. It is shown in the results of experiments that the frequency of droplet coalescence is decreased to a minimum as the process of preparation is under an optimal surfactant concentration, which balances the formation of the smaller possible droplets and relatively stable in preparation and long time storage. On the basic of experimental results which is analyzed by equilibrium phase diagram as well as observed through polarization microscopy, Yihan Liu et al. (2009) have got the conclusion that certain type of multiple emulsions which a liquid crystal can be formed by the surfactant with water are more stable compared to counterparts with no liquid crystals exist in the surfactant but prepared in the same condition(Liu and Friberg, 2009). Garti and Aserin (1996) propose that macromolecules together with monomeric surfactants can be served as steric stabilizers to improve the stability of multiple emulsions. The synthetic polymeric surfactants are ideal interfacial barrier to improve thermodynamic stability and entrapment, which is very helpful in reducing release rate of entrapped additives,and preparing smaller double emulsions with long-time stability. Take WPI-polysaccharide conjugates as an example, compared with monomeric surfactants used only, the application of polymeric emulsifiers results in better encapsulation and controlled release of addenda (Benichou et al., 2006). Transport mechanism in multiple emulsions Various kinds of possible mechanisms have been illustrated to interpret how the substances transport through the oil phase. Oil soluble substances just transport through the oil phase by diffusion which is served as controlled mechanism. Many factors contribute to the transport rate, such as the properties of oil phase, the nature of ingredients, and the conditions of aqueous phase (Chang et al., 1987) .In the previous study, it is found that water and water soluble substance can easily migrate through the oil phase. Kita et al. (1977) demonstrate that two possible mechanism can be applied to interpret the phenomenon of transportation: (1) reverse micelle transport; (2) diffusion across a very thin lamella. Cheng et al. (2006) demonstrate that both Cl- and Ag+ can transport through a thick oil film through observing and measuring the formation of AgCl precipitate in the W1/O/W2 multiple emulsion. Ions can not transport through the oil film which is very thin (

Thursday, September 19, 2019

Societys Rejects and Barry Hines Kestrel for a Knave Essay -- Barry

Society's Rejects and Barry Hines' "Kestrel for a Knave" A kestrel for a knave is about a poor troubled Yorkshire lad by the name of Billy Casper. What he imagines to be out of reach and unbelievable are things we take for granted. He imagines love from his parents and just normal, every day things like fish and chips for supper and someone being nice to him. For Billy, that is a dream that will never become reality. Treated as a failure at school and unhappy at home, Billy discovers a new passion in life when he finds Kes, a kestrel hawk. Billy identifies with her silent strength and she inspires in him the trust and love that nothing else can. I don’t think that Kes gives Billy the power to revolutionize and turn around his social life, because she doesn’t. But Kes is extremely close to Billy’s heart. Kes gives Billy a sense of satisfaction and achievement. Kes gives Billy the will to live another day while other is Billy’s position would have given up on life long ago. Kes is effectively Billy’s best friend and whom he spends most of his spare time with and would have continues to do so after he left school if event wouldn’t have gone the way they had done. Billy is portrayed as someone who has given up on everything as he knows he wont get a second chance, and that he’s future is going down the same road as his older brother Jud. Billy has been made to look after himself for most of his life as he’s dad has left him and his mum is too busy worrying about herself. He’s had to learn to find ways to find food and that is stealing from anyone, anywhere. For example he takes a bottle of milk from the milkman, he steals sweets from the little store where he has a job to deliver newspapers. The shop ... ...assroom. This is also a good example for his punctuation as he uses short sentences, â€Å"the scuffle of a turning page† etc. the problem with using so much description is that it leaves the readers having no imagination on the scene or character. Most of the book is written as Billy’s thoughts on things and he doesn’t use speech that much to describe things. This book reflects on many issues that still carry on today but have got even more serious. It shows how lucky we are to have a family who care and love us and how important it is not to take it for granted, as there are many children who don’t know the feeling of being loved. I think Barry Hines used a very good story to bring the message across on how people can be made to feel. And that everyone deserves a second chance and should not be judged on wealth but on the persons morals and personality.

Wednesday, September 18, 2019

President Jackson and the Removal of the Cherokee Indians :: American History Essays

President Jackson and the Removal of the Cherokee Indians "The decision of the Jackson administration to remove the Cherokee Indians to lands west of the Mississippi River in the 1830's was more a reformulation of the national policy that had been in effect since the 1790's than a change in that policy." The dictum above is firm and can be easily proved by examining the administration of Jackson and comparison to the traditional course which was carried out for about 40 years. After 1825 the federal government attempted to remove all eastern Indians to the Great Plains area of the Far West. The Cherokee Indians of northwestern Georgia, to protect themselves from removal, made up a constitution which said that the Cherokee Indians were sovereign and not subject to the laws of Georgia. When the Cherokee sought help from the Congress that body only allotted lands in the West and urged them to move. The Supreme Court, however, in Worcester vs. Georgia, ruled that they constituted a "domestic dependent nation" not subject to the laws of Georgia. Jackson, who sympathized with the frontiersman, was so outraged that he refused to enforce the decision. Instead he persuaded the tribe to give up it's Georgia lands for a reservation west of the Mississippi. According to Document A, the map shows eloquently, the relationship between time and policies which effected the Indians. From the Colonial and Confederation treaties, a significant amount of land had been acquired from the Cherokee Indians. Successively, during Washington's, Monroe's, and Jefferson's administration, more and more Indian land was being commandeered. The administrations during the 1790's to the 1830's had gradually acquired more and more land from the Cherokee Indians. Jackson followed that precedent by the acquisition of more Cherokee lands. According to Document B, "the first of which is by raising an army, and [destroying the resisting] tribes entirely or 2ndly by forming treaties of peace with them", "under the existing circumstances of affairs, the United States have a clear right, consistently with the principles of justice and the laws of nature, to proceed to the destruction or expulsion of the savages." The use of the word savages, shows that the American had irreverence toward other ethnic backgrounds. Henry Knox wanted to destroy the cherokee tribes inorder to gain land for the United States, although he questions the morality of whether to acquire the cherokee land, his conclusion forbode's the appropriation. According to Document C, "That the Cherokee Nation may be led to a greater degree of civilization, and to

Tuesday, September 17, 2019

The family must be patient in waiting

Addiction is a grave dilemma that cannot be ignored. The more the addiction is denied, the more problem it poses not only to the addict but to the family as well. Counselling is one possible solution on how to approach problems such as addiction. However, in counselling, patience is needed.The family must be patient in waiting for the slow but sure change that comes with counselling and also patience for the addicted family member. It will take some time for counselling to take effect and it is a continuous process. Counselling is defined collectively as a process of exploring an individual’s life that pertains to the problems causing emotional pain or frustrations while focusing on improving his or her psychological well-being in such a way that the client will be able to reach their full potential after the program.An alcohol and drug counsellor deals with the issues that could have caused the addiction for the individual. Before the actual counselling begins, the counsellor has to be able to gather apt and suffice data and information regarding the past and the present condition of the individual that needs counselling.Assessment or getting the basis data from the client for treatment is one of the methods used in counselling. Upon entry into the program, a safe and trusting environment has to be established and then determining the problem to be worked on follows. In determination of this problem, counselling has to involve assessment.Assessment involves gathering pertinent information and data about the client. Some methods that counsellors use for assessment include qualitative techniques, testing, behavioural evaluation and checking of past records, among many others.The data gathered by the counsellor is then interpreted to be able to formulate a hypothesis or a diagnosis regarding the client’s condition. However, assessment is not just a one-time affair. Assessment should be progressive and all through out the program to ensure that there has been an improvement in the client. Because counselling is continuous, so is the assessing of the client.This can be of help to the treatment because whatever the client is feeling as of the moment may change throughout the course of the counselling. The objectives that the client has agreed to meet upon today may have to be changed as the days go by either because of progress or by retreat. In addition, there might be new problems that emerged as a result of the few therapeutic sessions that took place already or there might be fewer problems than when the first assessment occurred.As aforementioned, the assessment of the client can also be used as a basis for progress. Another helpful tool in assessing the client is collecting and examining the client’s past records. This is because when only the client is interview and assessed, he or she may not be aware of the past problems or issues that he or she was suffering from and in turn may hide this from the present counsel ling.In addition, these records may be able to assist the current counsellor on what the previous treatments done to the client were not able to work, so that the counsellor would not invest time and effort in it. In addiction counselling, the vital assessment tools that are to be conducted on a regular basis are the urinalysis and breath analyzer tests, in addition to the self-reports addictive behaviour.The Addiction Severity Index or the ASI, is an interview that quantifies the seven addiction-related areas which are drug and alcohol use, medical, family/social, psychiatric, legal, and employment/support troubles.As soon as the counsellor has figured out what his actions or plans are, the client can now be engaged in the program. It is important that the counsellor and the client have some sort of contract or even a verbal agreement on what they both plan to achieve at the end of the treatment program. By doing so, the commitment and the expectations are both laid out in the open .Once the goal has been identified and the client and counsellor agreement is committed into achieving it or least trying to, an exploration process is started upon by the counsellor.The counsellor will explore on the different approaches that he or she can take to attack the problem presented in front of him or her. There are a lot of solutions and interventions that the counsellor can implement but he or she should be careful in choosing it.The factors that he or she should consider would be the ones that he or she was able to find out from the previous assessment that he or she made. Sometimes, to get a second opinion, the counsellor can also seek for a brainstorming session with his or her colleagues, albeit the identity of the client is not freely shared for confidentiality purposes.When the exploration process is done and the counsellor has devised an approach on the problem, he can now choose from the solutions on hand. However, choosing one method or one solution now does no t mean that he cannot alter this in the process. Tweaking the approach per client’s need may be necessary, but it will always be the call of the counsellor to do such a move.

Monday, September 16, 2019

Printing and Key Plate

Mystery of ‘K’ in CMYK The K in CMYK stands for â€Å"Key†, but the answer is much more interesting than that. The â€Å"key plate† is said to add the â€Å"detail† to a printed image. This is true in that the black plate in a four color process print pushes the contrast and creates â€Å"detail†. Many people suggest that the theory of using K instead of B because it may be easily confused with â€Å"Blue† is a myth. While it is highly speculative what the reasoning is, there are context clues as to why it may actually be true.Mark Gatter, in the book he published titled â€Å"Getting it right in print†, states the â€Å"key plate† is used align the other plates, but does not mention why it is called â€Å"key†. While the term today may have adopted the meaning for the process of aligning plates, the term â€Å"key† does not originate from this process. The color â€Å"registration† is more closely rel ated to the process of aligning plates. The term â€Å"key† originates from the rotary printing press in 1843 that had screw keys to control the amount of ink printing on a substrate.Offset presses also use this mechanism. Most other countries who speak languages other than English typically used â€Å"CMYK† to mean four color process; even if the individual colors don’t begin with the same letters. However, in French speaking countries, the accronym is â€Å"CMJN† is used meaning â€Å"Cyan, Magenta, Jaune, Noir†. â€Å"Jaune† and â€Å"Noir† translate to â€Å"Yellow† and â€Å"Black† respectively. This shows that in certain countries, the model directly translates to â€Å"black† and not â€Å"key† or any other term referring to alignment, detail, or contrast.While Johannes Gutenburg invented the printing press in Germany around 1454 which revolutionized moveable type, it was Jacob Christoph Le Blon who invented three-color and four-color process printing around 1725. What is interesting is that his original color models were RYB and RYBK. The argument here is that the color blue (represented by â€Å"B†) is used in the same process as black, so the initial may have been changed to avoid confusion.His three-color process would have used the same aligning technique as his four-color process, so if â€Å"key† was meant to mean â€Å"key plate†, it would theoretically have been the blue plate in his three-color model. While it may never be known the exact origin of the use of â€Å"key†, it can be discerned that the myth could perhaps be true and that the origin of the term could have been to simply avoid confusion with the color blue. It appears the context clues may outweigh the notion that K is used to denote â€Å"detail† or â€Å"contrast†. Source: http://gearsidecreative. com/why-is-the-color-black-represented-with-a-k-in-cmyk/

Sunday, September 15, 2019

Dance as an Art Form

The history of dance as an art can be traced with the emergence of cultures around the world and with the evolution of mankind. In early civilizations, dance has been a very essential part of their primitive cultures. When people asked for rain, they danced for the gods of rain. Or when they want to have a good catch, they would move as if they were pulling a net full of fishes. In essence, man expressed himself through movement when oral and spoken language was still on their nascent stage. Together with the visual arts, dance was the first mode of expression and communication.With the progress of different societies, dance has also evolved and adapted to the changes. From religious activities to public performances, dance and other similar movements were popularized as a means of easily understanding the message. Facial expressions, activities familiar to the audience were also characteristic of this art form. As the society advanced to a more sophisticated and more interactive com munity of cultures, dance has also evolved and surpassed its role in the religious activities and courts of rulers. Social dancing as we know it today traces its origins in three possible foundations.Ballroom dancing for example became popular with courtesans in the 16th and 17th centuries in Europe and not much participated by the commoners. Such exclusivity of dance to the aristocracy distanced ballroom dancing from being patronized by the greater public. It was only after the political and social reforms in the 18th and 19th centuries that the dances of the aristocracy also became popular with the masses. Thus, from being confined to a wealthy few, dance has also benefited from the economic and political victories of the lower and middle classes.Somehow, dance became an integral part of the politicization of culture. The most popular of these ballroom dances is the waltz which originated from the Austrian courts. The dance itself represented the political trend. As the society de viated from dogmatism and rigidity so was the spirit they found in waltz. Due to its popularity, waltz as an art form began to deteriorate and was eclipsed by other dances now unconfined to the elite. The 20th century found the convergence of South American and Caribbean music and rhythm which had more primitive origins.Social dancing evolved from its origins in Europe to a concoction of various cultures. Tap dance and folk dances also influenced the development of social dancing that through time, artistic components were added and invented or revived to produce a more vibrant variety of dances. In the course of the evolution of human societies, culture has adapted to the changes brought about by the modifications in the economic foundations of the era. Culture, as a part of the superstructure, changed through time.The early models of human production system were a very nature-dependent system and as a result they also had a nature-themed dance or dances which depicted movements, p henomenon and mysteries in nature. Come the slave societies, dance depicted the state of the society. Though there was a lineated domain of dance. The ruling slave owners appreciated dances which exemplified their dominion over their slaves, depicted their power while slave communities dance as they intend to be liberated and break free from the bonds of slavery.That is how society and culture works in dynamic and co-relational interactions. Different societies have different levels of appreciation for dance. Aesthetics can not only be solely responsible for the development of dance, utilitarian values are also of prime consideration. The emergence of a ruling class made it possible for dance to attain its position as an art in the courts of the kings and emperors. Utilized as a form of entertainment for the ruler and visiting dignitaries, dance has been appreciated more ever since for the aesthetic qualities that it had than message that it conveyed.What was pleasant for the audien ce became a prime reason for the development of dances. What the ruling class appreciated as art were also the same for their subjects. Historical accounts suggest how dance reached such point beginning as early as the Egyptian civilization. Egyptian society witnessed the evolution of dance from simple hunting rituals during the ancient times. Connected with the religious aspect of their economic activities, dance was used to summon goodwill from the gods and assure bountiful keep.As the Egyptian society progressed, dance was separated from its ritualistic character and was focused in the formal religious necessities. Evident in their movements were the daily activities of the Egyptian people. Greek culture draws its ancestry from Egypt and similarly started out as part of the religious exercises. Dance was seen incorporated to drama and dance festivities. Similarly, Greek dance expressed the activities of the people and each dance corresponds to a certain activity and character of the audience.In Europe, the complete evolution of dance from its utilitarian concepts to an aesthetic value started to surface as early as 364 BC. Though the main purpose was really to honor the gods, dance was also used to entertain the population in times of plagues or any catastrophic events. Since then, dance has been viewed as an art to be appreciated by the population and not only by the gods. Therefore, historically speaking, dance has served its purpose of contextualizing of human thoughts. Expression of these thoughts provided the reason for evolution.

Saturday, September 14, 2019

Existentialism And Modern Analysis

In his writing, Sartre adheres to the famous construct of † the theory of compromise† , as can be seen in his novel â€Å"Nausea†. This † theory of compromise† theme lends itself to the tenets of post-structuralism. Sartre's writings bear much truth, rather, they are all excellent and sublime in their characteristic beauty. Jean-Paul is the father of Existentialist philosophy, in the realm of Literary Studies and the Existentialist movement has been extremely popular amongst Marxists for it seems that Sartre's world view appealed greatly to Marxist sentiments and sensibilities. Sartre's passionate tone and empathic writing ( writing that has the quality of being ‘for the masses')influences one to give the subject of his fervent ruminations and expressions; only the most undivided actualization of esteem, a delegation of importance to Sartre's writings and simply put- one's full attention. The French writer Sartre never failed to extol the ideas behind how ‘Existentialist philosophy is real human philosophy'. Existentialism, in the briefest of lexical salutes, affirms this belief: that people are always in search of something to accomplish in their lives, and even if the most common observation resulting from surveys about the practices of Existentialists; is how they almost never finish what they begin to ‘do' – observations that posit negativity, focusing on the process of how individuals manage their existence instead of outcomes and products, is an immortal tribute to the quality of human living. History can only repeat itself, so much so that definable and manifested change is no longer necessary for positive developments to arise in the history of human civilization. One social institution that can be analyzed using the Existentialist paradigm would be the work force involved in public works and highways. These people dig on freeways that they close off at time in order to fix the plumbing system of cities. They also work in the suburbs. We can look into the life of the lead character of Jean Paul Sartre's â€Å" Nausea†, Antoine Roquentin. Antoine, as the narrator of â€Å"Nausea†, begins his story by saying that â€Å" Tomorrow it will rain in Bouville†. Antoine is a writer who settled in Bouvile ( France) for three years and Mr. Roquentin was conducting historical research on the life of the Marquis de Rollebon. The main concern of the existentialist musings of Antoine was the FACTICITY of life. Facticity, according to Melanie Revienne in â€Å" Existentialist Philosophy and Jean Paul Sartre† is signifies all of the concrete details against the background of which human freedom exists and is limited.. But Antoine is able to gain an epiphany regarding his existence when he thinks to himself, â€Å" People. You must love people. Men are admirable. I want to vomit-and suddenly there is Nausea†¦ Nausea-blinding evidence- I exist- the world exists-I know the world exists. That's all, it makes no difference Time. † Roquentin, at some point in his research becomes bored with the character of Marquis de Rollebon, and instead, he becomes obsessed with the idea that he is actually, writing a book. Antoine is also very preoccupied with the process of regaining the affections and feelings of his former lover Anny, to which she has this to say, â€Å" You can't begin again. † In the end, Antoine becomes fixated with the making of records- musical records- â€Å" the song of the Negresse singer- and he decides to cease working on his book and to try his hand at the production of recorded music in vinyl. â€Å" You must be like us, suffer in rhythm. SPIN ( the city is first to abandon me ) Strains of music above can proudly carry their own death within themselves like an internal necessity, only, they don't exist. A book! Be above existence, make people ashamed of their existence- beautiful, hard as steel. And I might succeed, in the past, nothing but in the past – in accepting myself. † Then Antoine, does â€Å"begin again† when he ends his story, using the same line, â€Å" Tomorrow it will rain in Bouville. † The diggers of the city have all of the systematic order and precision that Antoine evoked as the principal of life. They have the routine boredom of â€Å"nausea†. The diggers have all the time in the world to contemplate the past by the very act of using their work instruments in order to take from the surface, the concrete, grit and hollow that was, and to study the pipes of the city. The water pipes have their tales to tell. And they too can â€Å" begin again† when they close one land orifice ( hole) that they have dug, and start with another section. They make beautiful, the otherwise mundane task of working for the public works and highways.