Saturday, October 5, 2019

What is the role of women in Things Fall Apart How does Achebe present Essay

What is the role of women in Things Fall Apart How does Achebe present them As subservient As dynamic members of the society - Essay Example managed to get the novel to depict women in a subservient condition as they, along with certain lbo castaway members, readily submit themselves to new religion. Women particularly give in to male orders without question. Such act implies anxiety towards the possible consequence or fate of disobedience instead of a gradual process in which a woman in this case may otherwise find confidence and time to think through better alternatives. Considering the dynamic part which women play in this type of society, diversity in role is spread throughout the novel. As priestesses, of the lbo village, women perform a traditional duty of spiritual leadership. With this role, women like Chika are largely feared (17), having the status believed to have attained the power of her god while the Agbala priestess would never hold back her firm command to Okonkwo. Being able to threaten the tribal chieftain indicates the woman’s portrayal of a figure who has constantly been revered by her subjects. Earth goddess Ani further shows the aspect of power in a significant role of woman as a supreme authority set to rule with judgment of conduct and morality of human deeds. Her power is even magnified through the attitude of the inhabitants who pay tribute by observing the Week of Peace before harvesting their crops believing that the goddess is able to prosper the farms with abundance and good growth (30). Moreover, the sense of connection to nature signifies the woman’s continuous communication of her responsibility such as the mother’s attachment to her child. This role strength is made emphatic when Okonkwo seeks refuge to his mother’s village in the time of great distress during exile (134). Here, the faith is established in the value that women can be much relied upon when desperate or unfortunate situations come. â€Å"The women [who] weeded the farm three times at definite periods in the life of the yam, neither early or late (33).† The line suggests that women may be found

Friday, October 4, 2019

Awareness or anorexia Research Paper Example | Topics and Well Written Essays - 1000 words

Awareness or anorexia - Research Paper Example This essay will examine will examine the reasons why it is essential to be aware of anorexia. It is important for one to be aware of anorexia since it is affecting a lot of people without their knowledge. As Anna notes, â€Å"Anorexia can cause the social life of a person to be greatly affected. People suffering from anorexia tend to suffer from low self-esteem and general body dissatisfaction, and this is mostly seen in girls and women.† This condition can in turn make them develop body image disturbances and this eventually, leads to anorexia. This can lead to extreme psychological and medical consequences. People suffering from this disorder have more chances of committing suicide, it cause cardiac arrest to an individual, and it can cause death due to starvation. A majority of anorexia is caused by genetics. Media is another cause of anorexia this comes about when one shares some environmental factors. Newspapers, magazines, and televisions contributes to a great extent to raising these complications since it portrays emaciated people as being a fashion and, super models and this makes majority of the public to emulate them (Anold 1). According to National Eating Disorders Association, â€Å"Eating disorders exists in three major forms, this include; bulimia, anorexia nervosa, and binge eating disorder.† Generally, those individuals suffering from bulimia and anorexia nervosa tend to suffer from low self-esteem, and they have a desire to have a perfect body weight and shape. A person suffers from anorexia nervosa when the weight of the body falls by 15 percent from the normal weight that is expected when compared to their height. Individuals with anorexia nervosa may seem to exercise excessively and can even resolve to force themselves to vomit the food that they have taken. As Anold says, â€Å"Anorexia nervosa may be characterized by the stopping

Thursday, October 3, 2019

Eminent Domain Essay Example for Free

Eminent Domain Essay The power of eminent domain is succinctly provided under the U. S. Constitution, specifically in the Fifth Amendment which in part provides, â€Å". . . nor shall private property be taken for public use, without just compensation† (U. S. Constitution, Fifth Amendment). The power of eminent domain is one of the attributes of sovereignty. This being the case, it can still be exercised even without a constitutional provision to that effect [Boom Co. V. Patterson, 98 U. S. 403 (1878)]. Historically, the power of eminent domain has been employed by the American colonies for public projects like roads and bridges (Oxford Companion, 2005). Originally, the power was considered to be applicable only to the federal government by virtue of the Fifth Amendment. â€Å"The power of eminent domain of state governments was unrestrained by any federal authority† {Green v. Frazier, 253 U. S. 233 (1920)]. â€Å"The just compensation provision of the Fifth Amendment did not apply to the States, and at first the contention that the due process clause of the Fourteenth Amendment afforded property owners the same measure of protection against the States as the Fifth Amendment did against the Federal Government was rejected† (Find Law web site, n. . ). However, with the inclusion of the Due Process clause or the Fourteenth Amendment, the power applied to the states in so far as the just compensation requirement as an element of due process as the Supreme Court ruled in the case of Chicago, Burlington Quincy Railroad v. Chicago (1897) (Oxford Companion, 2005). Except for North Carolina which exercises the power by virtue of a statutory authority, the other state governments derive theirs from their respective constitutions (West’s Encyclopedia of American Law, 1998). For the power of eminent domain to be validly exercised, the following requisites or elements must concur and be proven, namely, that the property being taken is private property; there must be ‘taking;’ the taking must be for public use; and, there must be just compensation (West’s Encyclopedia of American Law, 1998). The first element, private property refers to â€Å"land as well as fixtures, leases, options, stocks, and other items† (West’s Encyclopedia of American Law, 1998). Property rights such as water rights and right to reasonable use of the space above one’s property may also fall within the purview of private property (West’s Encyclopedia of American Law, 1998). The second element, ‘taking’ means â€Å"the taking of physical property, or a portion thereof, as well as the taking of property by reducing its value† (West’s Encyclopedia of American Law, 1998). There is compensation when the property is taken or its use is extensively restricted that it amounts to confiscation. For instance, a highway was constructed over the waterfront to inland property; the owner of that property must be paid considering that he lost his right to use the waterfront (West’s Encyclopedia of American Law, 1998). Also when airplane flights are low enough to deprive the owner of the private property below of his reasonable use of the space above his property must also be compensated as this amount to taking. The concept of ‘taking’ under the power of eminent domain should not be confused with the regulatory takings under the police power of the State. The power of eminent domain is also called the Takings clause. The difference is that in the exercise of the power of eminent domain, the ‘taking’ is for public use while on the other hand, the ‘taking’ in the exercise of police power is for purposes of regulating that property as it is â€Å"detrimental to public interest† (U. S. Constitution Annotated, n. d. ). The ‘taking’ in the exercise of police power is for the common welfare and is usually in the health and safety regulations (U. S. Constitution Annotated, n. d. ). The third element is ‘public use. It is required that the property is taken for the use and benefit of the public and not specific persons. The determination of whether a specific use is public or not rests upon the courts and is considered a question of fact. However, if there is a law which specifies the public use for which it shall be devoted, â€Å"courts will defer to legislative intent† (West’s Encyclopedia of American Law, 1998). In the determination of ‘public use’ the courts inquire into the fact that the property would be used by â€Å"broad segment of the general public† (West’s Encyclopedia of American Law, 1998). Through the years the Supreme Court in its judicial pronouncements, has expanded the concept of public use as to include â€Å"trade centers, municipal civic centers, and airport expansions† (West’s Encyclopedia of American Law, 1998). In 1954, public use even encompassed beautification purposes of the community. In the case of Berman v. Parker, the Court declared that the clearing of the slums is deemed as public use. The Court reviewed the plan of District of Columbia to raze properties which are partly blighted so that a department store can be erected to be managed by a private entity. The Supreme Court upheld the decision of District Columbia and ruled that it is within the prerogative of the legislative body to determine which property can be subject to the ‘taking’ for aesthetic considerations (348 U. S. 26). â€Å"Subject to specific constitutional limitations, the legislature, not the judiciary, is the main guardian of the public needs to be served by social legislation enacted in the exercise of the police power; and this principle admits of no exception merely because the power of eminent domain is involved† [Berman v. Parker 348 U. S. 26 (1954)]. In support of the legislative body, the Court further ruled that it is within the legislature’s power to address the issues of blighted areas of the community. â€Å"Redevelopment of an entire area under a balanced integrated plan so as to include not only new homes but also schools, churches, parks, streets, and shopping centers is plainly relevant to the maintenance of the desired housing standards and therefore within congressional power† [Berman v. Parker 348 U. S. 26 (1954)]. Traditionally, the concept of public use was applied in cases which involved supplying of water, electricity, transportation, roads and bridges and the like but due to the expansion of its scope through the years, a definitive determination of its scope is difficult. Defining the scope is basically one of legislative pronouncement directed to the purposes of government, incapable of abstract or historical definition [Berman v. Parker 348 U. S. 26 (1954)]. In a recent case of Hawaii Housing Authority v.  Midkiff (1984), at issue was the Land Reform Act of 1967 which provided for â€Å"a land condemnation scheme† in which title over the real property is passed from the owner-lessor to the lessees to re-distribute land and â€Å"reduce concentration of land ownership† [Hawaii Housing Authority v. Midkiff 467 U. S. 229 (1984)]. It allowed lessees who reside in tracts of land with at least five acres of land area to request for condemnation from the Hawaii Housing Authority. A hearing would be ordered to determine if the condemnation is for public use [Hawaii Housing Authority v. Midkiff 467 U. S. 229 (1984)]. The rationale in the transfer of ownership is found in the preservation of a free market. The proposition proceeds from a realization that concentration of land in the hands of the few prevented the â€Å"free market in real estate† and therefore its preservation is deemed a public benefit [Hawaii Housing Authority v. Midkiff 467 U. S. 229 (1984)]. The allowance of these takings for reconveyance of land is allowed even by the U. S. Supreme Court based on the idea that the new owners will spur more effective uses to the land and thereby create more revenues in the form of taxes for the government. The last element of the power of eminent domain is just compensation. The measure of just compensation or the amount to be paid to the owner of the property condemned or expropriated is based on the fair market value (West’s Encyclopedia of American Law, 1998). It is defined as â€Å"the price that could have reasonably resulted from negotiations between an owner who was willing to sell and a purchaser who desired to buy (West’s Encyclopedia of American Law, 1998). This value is determined by the uses to which the property can be devoted at the time of the taking. Factors such as â€Å"history and general character of the area and the adaptability of the land for future buildings† are also considered (West’s Encyclopedia of American Law, 1998). The Court, in the case of Monongahela Navigation Co. v. United States, explained that the value of just compensation should be based on the owner’s loss being placed in the best financial position as if the property had not been expropriated rather than the value of gain for the condemnor (Monongahela Navigation Co. v. United States, 148 U. S. 312). The compensation should be paid in cash, and the amount is determined as of the date title vests in the condemnor. Interest is paid on the award until the date of payment† (West’s Encyclopedia of American Law, 1998). The proceedings usually vary in the different states. Basically, it involves two phases, i. e. condemnation of the property and the determination of just compensation. During the pendency of the proceedings, the owner of the condemned property may continue in using his property provided that there is no substantial alteration of the same is made (West’s Encyclopedia of American Law, 1998). In all proceedings, the owner must be afforded due process. This means that he must be duly notified and be given an opportunity to be heard, i. e. present his evidence and his own witnesses. He must be given also the opportunity to dispute the compensation determined if he does not agree with it. â€Å"The owner of the land has an automatic right to appeal† (West’s Encyclopedia of American Law, 1998). There are also cases when the owner of the land is the party that commences the proceedings. This is called inverse condemnation proceedings. This type of proceedings is usually resorted to for environmental concerns when the government has encroached on the interest of the owner of the land without paying him the just compensation such as when the government â€Å"floods a farmers field or pollutes a stream crossing private land† (West’s Encyclopedia of American Law, 1998). With the disappearance of the traditional federal constitutional restraints on the exercise of the power of eminent domain, has the ‘public use’ requirement metamorphosed into public abuse. What therefore are its ramifications and how can these be resolved. Discussion and Analysis The power of eminent domain had been recognized by the American judiciary as a ‘despotic’ power, that notwithstanding, it also recognized that it is an inherent power necessary for it to subsist. Traditionally, the Takings clause was used only in clear situations necessitating public use projects where public necessity has been shown. The power has been exercised for bridges, roads and the like. As it developed, it was also exercised in relation to development of blighted areas because the removal of slum areas is considered as for a public purpose. The Berman case has to a certain extent modified ‘public use’ into ‘public purpose. ’ In fact it has passed on judicial responsibility of scrutiny to the legislative body that once the object is within its authority, the right to exercise the power becomes clear. As if this was not enough, the concept of ‘public use’ was completely eroded in the case of Kelo, et al. v. City of New London, Connecticut which was decided by the Supreme Court in 2005 (545 U. S. 4). A large-scale development plan was approved by the New London in order to spur economic development to an economically distressed city in terms of jobs, taxes and revenues. The residential neighborhood which is not blighted is supposed to be replaced by a research center, office space, conference hotel and the like. Portions of the project will be leased out by the private developers who will build the entire project. The city development agent was able to purchase private lands from the consenting owners. However, a number of the other residents refused to sell out and contested the condemnation proceedings initiated against their properties. The property owners filed an appeal before the Supreme Court after the having lost in the Connecticut Supreme Court [Kelo, et al. v.  City of New London, 545 U. S. 4 (2005)]. The U. S. Supreme Court ruled, â€Å"’public use’ should not be read literally. It has embraced the broader and more natural interpretation of public use as public purpose. Promoting economic development is a traditional and long-accepted governmental function. Therefore, the condemnations were for a public purpose and met the public use requirement† [Kelo, et al. v. City of New London, 545 U. S. 4 (2005)]. The rationale, for which the Bill of Rights in the Constitution was included, is for the purpose of protecting the citizenry from the vast powers of the government. These are safeguards to ensure individuals from possible abuses. Therefore any issue of doubt should be interpreted in favor of the individual and strictly against the government. Protecting property rights is one of the hallmarks of democracy. With the recent decision of the Supreme Court, every property now lies under the ghost of condemnation for the benefit of private persons. The requisites provided by the Constitution for the exercise of the power of eminent domain must be strictly adhered to and should not be interpreted loosely as to accommodate expanded meanings. It may be argued that redevelopment would bring benefits to the community and therefore the public as whole; still this is done at the expense of depriving and even curtailing the property rights of property owners who refuse to surrender them in the guise of a reasonable and lawful exercise of the power of eminent domain. Again, it may be argued further that these property owners would nevertheless receive just compensation. However, the proceedings and the determination of the amount of just compensation may be tedious. The owner who may have issues as to the amount already determined may have scarce resources to raise these issues in a long and expensive legal battle in court as against vast resources of government and legal machinery. In general, with an expansive justification to the taking, the peaceful possession and ownership of a property owner is disturbed. Analysis of states legislations reveal that majority of the laws contain justification for the exercise of the power of eminent domain in cases where there is a determination of blighted areas which pose unsanitary and unsafe conditions. In these cases, the necessity for public use is clearly established. In the case of Kelo, no such necessity exists and the higher risk of redevelopment authorities to take advantage of such ruling is not remote. The ruling in the Kelo case signifies the utter lack of creativity and ingenuity on the part of the state authorities to conceive and plan ways and means to spur economic redevelopment other than by taking private properties from its owners. The state officials/government seemed to have acted as middleman in procuring property for the private individuals. One of the city redevelopment directors has been quoted as saying, â€Å"city decides which properties to condemn based on whether someone in the private sector wants the land and has a project for it† (Staley, 2003). Clearly, it is the private interests that push redevelopment. The issue of whether this would benefit the public would remain to be seen and while waiting for this to materialize, the property owners were already deprived of the properties they have acquired and established residence in through time. Economic redevelopment is basically a function and responsibility of government but by approving redevelopment plans of private contractors and the acquisition of private properties under the guise of the power of eminent domain, government has in effect contracted out its function and responsibility in spurring economic development within their localities in favor of private entities. On the whole, the exercise of the power of eminent domain under the expansive meaning of ‘public use’ sends a wrong signal to private individuals. It is every American’s dream to own and establish a family home in a community where their children can grow up. In fact laws such as the Homeowners Protection Act have been enacted to support this and assist those who establish family residential homes. It is also every American’s dream to own real property so they toil and labor so that the fruits of their work can be invested for their security in the future. However, with the deplorable manner by which the power of eminent domain is now exercised, property rights are wrecked and city governments are on carte blanche as to which properties may be condemned as dictated by redevelopment companies whose only tool seems to be that. The Court in the Kelo case reverted to the States the function to impose restrictions and restraints in the exercise of the power of eminent domain. This may be interpreted as an abdication of the Court’s power to strike down the abusive manner in which the power of eminent domain was exercised. It is empowered by the Constitution under its judicial review power to declare whether an act of government officials have been executed beyond the mandated duties and functions. The Court is duty bound to ensure safeguards against government action.

The History And Development Of Forensic Science

The History And Development Of Forensic Science The use of forensic techniques has been used throughout history to solve crimes; initiating from the early existence of man, Forensic Science was intact in its simplest forms and kept on expanding throughout the prehistoric era. Prehistoric forensics is also considered as the building blocks of modern forensic techniques. In the first instance a case indicating the use of forensics was reported in ancient Rome circa in 1000 A.D. An attorney Quintilian used a handprint full of blood to prove that a blind man had been wrongly accused for the murder of his own mother. In addition the first Forensic Autopsy laid out the foundations of forensics and was first executed on Julius Caesar by the Roman physician, Antistius in 44 BC. Subsequently this Autopsy revealed that Caesar was subjected to 23 stab wounds; only one of which had proven fatal. Thus assembling the basis of Pathology and enabling an insight into the cause of death of the deceased. Additionally acknowledgement of the importance of a corpse in solving a crime was recognised and awareness of the causes of death came into question; aiding the development of this area of forensics. During prehistoric times around 700 BC the very first fingerprints were conducted by pressing a handprint into clay and rock. Archaeologists in a province of Canada known as Nova Scotia revealed an ancient drawing, outlining the detailed ridge patterns of fingerprints and a hand. In accumulation the ancient Babylonians developed fingerprints on clay tablets for use as business transactions and identification. Also during the 7th Century BC an Arabic merchant named Solemn affixed the fingerprints of a mortgager to a bill; which would be transferred over to the lender and would be documented as legal proof of a valid debt. In addition the Chinese also used this technique to affix fingerprints into clay sculptures to be used as a form of identity. Due to no classification system and common misconceptions of identity meant that this was a vital discovery; therefore fingerprints were considered as documented evidential proof in business. Archimedes between (287-212 BC) displayed the first recorded account of density and resistance by examining water displacement; enabling them to be able to ascertain that a crown was being falsely portrayed as gold. Analysis of density and toughness of the crown determined that it was not made of gold. Furthermore in 250 BC an ancient Greek physician, called Erasistratus, found that when a person was not telling the truth, the pulse rate of that person increased. Consequently this laid out the principles for the very first lie detection test; modern day lie detection is known as a polygraph and based on the changes in pulse rate/heart, galvanic skin response GSR (sweating), blood pressure and vast or sudden changes in the sympathetic nervous system. Forensics during the 1000- 1700s During this time period over 700 years, mankind discovered vast amounts of knowledge in all the diverse fields of forensics. Acknowledgment and attention to detail increased towards the end of the 16th century so much so that documents had been published showing the fine detail of fingerprints. Henceforth this aided the world of forensics in successfully developing and recognising individual human characteristics. In 1000 A.D. crime scene investigation, advanced to an extent where an attorney Quintillion was able to identify and examine hand prints covered in blood, to prove that a blind man had been trapped for the murder of his own mother. Additionally the Chinese went on further, in 1248 AD the development of the first written documentation for identifying distinctive crime via a book was published in china. In ancient China clay seals were found to consist of thumbprints. Subsequently this was one of the first books published named Hsi Duan Yu, which means The Washing Away of Wrong. This book consisted of medical knowledge which helped establish the differences in the recognition of crimes such as drowning and strangling. Consequently this book is considered as the first recorded evidence combining medicine to crime solving practices. It also consists of recorded information that outlines the basis of forensic pathology. The book His Duan Yu aided the development and enhancement of pathology and is still is considered as a valuable resource. In 1249 an Italian surgeon Hugh of Lucca took an oath as a medical expert in the city of Bologna; he gained fame for his comprehension regarding the antiseptic treatment of wounds. More than 50 years later in the year 1302 an Italian named Bartolommeo da Varignana from the same city of Bologna carried out a medical autopsy regarding a case of a murder suspect, involved in the murder of a noble man. Nearly a century and half later in 1447 a body was identified as that of Charles French Duke of Burgundy from the absent teeth which were the clue in solving the murder; his body consisted of teeth which had been knocked out whilst he was still alive and recognition of these missing teeth and scars gave an indication to his identity. Therefore this case can be considered as one of the first indications of Forensic Odontology. The French have also played a remarkable role in discoveries through the years. A French Surgeon from the year 1509-1590, called Amboise Pare wrote and published reports in court; thus producing a book which is deliberated as being the first conclusive test on legal medicine. During the 1600s the world of science had opened up with an expansion of discoveries which were taking place at a phenomenal rate. In 1601 the first treatise on systematic document examination was published in France by a French man called Francois Damelle. This document was written before the developments of inks and paper. However comparison of handwriting could be subjected to analysis and identified. Modern day handwriting analysis is conducted by a Forensic Document Examiner, who detects forgeries e.g. signatures. Moreover a Forensic Document Examiner has the task of examining documents created using photocopiers and fax machines; this is done by examining the ink and paper alongside the handwriting and its other foreign inclusions. Sir Thomas Browne (1605-1682) was an English Physician and Historian who acknowledged that a substance known as Adipocere was formed on the body of the deceased. He described this substance as fatty, waxy and soap like. It also came into recognition that Adipocere was formed on human corpses; mostly buried in moist and air free places. Persistently this substance was under analysis and a French chemist known as Antoine Franà §ois (1755-1809) discovered the chemical speciality of Adipocere whilst examining bodies; recognising its chemical similarity to soap. Subsequently this discovery was of huge progression dating back to prehistoric times (44 BC) where Antistius found that only one stab wound proved fatal during the killing of Julius Caesar. Therefore understanding of pathology was growing at an astounding rate and people started discovering the solution to crimes via science instead of relying on witchcraft. Also in 1686 Marcello Malpighi a professor of anatomy at the University of Bologna went on further to allow documentation of the different characteristics of fingerprints e.g. whorls, ridges, loops and spirals. Although Malpighi documented the patterns of fingerprints he did not mention there importance in the use of crime detection and how they are part of an individuals characteristics; hence the vital importance they play when used as identification methods. However a layer of skin approximately 1.8mm thick is named after him and is known as the Malpighi layer. A crucial discovery was made in 1775 by Karl Wilhelm Scheele. He discovered that it was possible to change Arsenious Oxide into Arsenious acid; when reacted with zinc it produces arsine. Subsequently this procedure proved to be of vital importance in forensic detection of arsenic. One of the first uses of documented physical matching was established in 1786, when John Toms an Englishman was convicted of murder. Evidential proof showed a torn wad of paper found in a pistol matching another piece in his pocket. Enhancement of Forensics during the 1800- 1900s In history this time period is considered as the growth and spread of Forensic Science. In the early 1800s where ideas were still at large and developing an English Naturalist named Thomas Bewick used his own fingerprints to identify the books he published. He did this by engraving them in order to identify the books he published. Henceforth astounding research on fingerprints came about in 1823 when Professor John evangelist published his proposition which consisted of the discussion of 9 fingerprint patterns. However there was no mention of use in personal identification. In 1810 Germany, the first recorded documented analysis was undertaken. Also a chemical test for a specific ink dye is applied to a document named as the Konigin Hanschritt. Mathieu Bonaventure published the Traite des Poisons in 1813 and was a professor at the University of Paris who specialised in medicinal and forensic chemistry. Considered as the father of modern toxicology due to his significant contributions he also aided the development of presumptive blood detection tests to indicate the presence of blood. Furthermore he was credited for his attempt to identify blood samples using the microscope. Similarly in 1817 Bateman described senile ecchymosis as he records dark purple blotches to determine that they are present due to extravasation of blood into specific tissues in the body known was dermal tissues. Similarly professor of Forensic Medicine in the year 1829 called Sir Robert Christenson published his treatise on poisons. This piece of publication was well thought out and regarded as the standard work of toxicology written in the English language. A year later in 1830 Lambert Adolph a statistician from Belgium outlined the foundations for Bertillons work by putting forward his belief that no human bodies are exactly alike. Persistently in 1831 Erhard Friedrich Leuchs describes the first Activity in human saliva on starch via the action of salivary ptyalin which is known as amylase. The year 1835 bought about the recognition of a field of forensics known as ballistics; hence the founded comparison by Henry Goddard on a visible flaw in the bullet revealed that it originated from a mold. Thus outlining the first use of bullet comparison to catch a murderer was conducted. Likewise in 1836 an English chemist known as James Marsh progresses and identifies a test for the presence of arsenic in tissues. This was later known as the Marsh Test and is known to be very sensitive for detecting as little as 0.02 mg arsenic. It is also known to be the first test of toxicology to be used in a jury trial. Consistently throughout the 1800s many vital discoveries were made Dr John Davy in 1839 was involved in one of the first attempts in investigating time of death. He used a mercury thermometer to experiment on dead soldiers to acknowledge body temperature since the time of death. Furthermore during this year the first well set out procedures for the microscopic detection of sperm and the different microscopic characterisation of the different substrate fabrics. Also in 1840 Mathieu Bonaventure applied the marsh test correctly and discovers arsenic in the corpse. After this a polish anatomist called Ludic Karol initiated a document on the crystallisation of certain organic compounds present in blood. After this the test which indicated the presence of blood on the cloths of a suspect and various items became broadly used in forensic science. During the mid-1800s, Richard Leach in 1855 established the use of dry plate photography for keeping prison records via photographing inmates. In addition Amboise August attracts attention to petechial haemorrhages which take place in asphyxia deaths. Modern research proved this wrong; however the belief is so persistent that many forensic pathologists still find this hard to discard. In 1863 the German scientist Christian Friedrich first discovers the capability of haemoglobin to oxidize hydrogen peroxide making it foam aiding the presumptive test for the presence of blood. Additionally towards the end of the year 1863 Taylor and Wilkes wrote a paper on the acknowledgement of time of death by distinguishing the fall in body temperature. Successful completion of this bought about terms and concepts such as the initial temperature, core, heat gradient and also the effect of insulation. The fingerprint discovery enhanced in 1870 when Henry Faulds took up a study involving skin furrows after noticing fingerprints on specimens of prehistoric pottery. Faulds not only acknowledged the importance of fingerprints for individualisation purposes but also planned a method of classification. Later in 1880 Faulds becomes the first person to recognize the significance of latent prints left at crime scenes. On the same agenda Argentinian Juan Venetic established the first criminal fingerprint id system; identifying a woman for the murder of her two sons. In the late 1800s Sir Francis Galton publishes his book on fingerprints outlining the first classification system. Galton identifies fingerprints by observing individuality and permanence still in use today it is known as Galtons Details. Progressively Sir Edward Richard develops this print classification and is later used in Europe. Towards the early 1900s discoveries were enhancing and the use of Forensic Science began its journey across the globe, diverging into various sectors. Human blood groups were first discovered by Karl Landsteiner in 1901; this was later adapted to be used as a validation method on type stains. Subsequently in 1902 Henry Forrest creates the first systematic use of fingerprints and later in 1903 the New York State Prison uses fingerprints for criminal identification. A breakthrough in the world of forensics and increased understanding was developed when the Lenquete criminelle was published by Dr Edmund Locard a great professor within the forensics field who stated that every contact leaves a trace, Dr Edmund- Locard, (1904). Subsequently this statement became known as Locards Exchange principal. The statement in a wider sense implied that every time an individual comes in contact with a place or another individual, something of that individual is left behind at the place; thus something of that place is taken away with the individual. During the course of the 1900s the development of blood groups, criminal identification system and also Gunshot residue tests such as the diphenylamine were developing at an astonishing rate. The mid 1950s show signs of a huge awareness of attention to detail this can be seen when Max Frei-Sulzer discovered the tape lifting method for collecting trace evidence. Many Forensic Techniques began developing such as Gas Chromatography and also identification of petroleum brands came into question. A decade later in 1960 Brian Cull-ford of the British Metropolitan Police Laboratory (BMPL) starts gel based methods to test for enzymes in dry bloodstains and other bodily fluids. Over next 40 years Forensic Science had become so advanced that many of the techniques are still used today; a technique known as Scanning Electron Microscopy was developed in 1974 at the Aerospace Corporation which involves the use of electron dispersive X-rays technology and is still in use today. On the other hand a handy mechanism known as the Automated Fingerprint Identification System was introduced by the FBI in 1977, providing the first computerized fingerprints. Other techniques such as Superglue fuming came under analysis and many techniques developed regarding fingerprints. UK police also initiate Forensic DNA profiling and later solves the Colin Pitchfork murder case. In 1991 development of a system known as Integrated Ballistics Identification System was put into practice with Drug Fire for automated imaging and comparison of marks left on fired bullets etc. Simultaneously many databases were being established. In 1996 the Police National Computer (PNC) was introduced in the UK and the FBI in 1998 released a DNA database known as NIDIS. Up until the present time development of forensic databases is still at large such as the 2007 Footwear coding and detection management system developed in the UK; assisting in detection of footwear marks found at crime scenes and comparing them with a controlled sample stored on the Footwear Database. Many modern techniques such as ESLA and Casting prove useful and efficient in the detection of footwear marks. Similarly the fingerprinting database has enhanced to an extent where it stores over 18.6 million set of ten-prints and the techniques used to retrieve prints are quick and efficient such as Florescent Magnetic and bi-chromatic powders, Superglue Fuming, Ninhydrin and Iodine fuming. Hair analysis has developed by means of Mass Spectroscopy, recently in April 2011 a new laser technique has revealed that separating out parts of hair samples can answer valuable questions about a person such as; what they have consumed recently including clues which can aid forensic scientists to understand what led them to behave in such a way. One of technologys most advanced discoveries is the PNC which immensely aided forensics since 1996 as it contains multiple databases including Automatic Number Plate Recognition (ANPR) which can detect cars without insurance, stolen and disqualified drivers. The PNC is available 24 hours a day and can produce results within minutes. Earlier this year in February 2012 the police were provided with blackberry smart phones which enclose a fingerprint scanning device enabling them to scan fingerprints and cross link these through the PNC to establish a match; thus painting a clearer and wider image of the suspects true identity. Additionally Police use a technique known as the Face Building System it works by enabling the victim to identify the perpetrator by putting forward many different facial characteristics; helping build an image of an offender for public appeal. Advancing technology in the near future may take forensics to a whole new level with a new Face Recognition System which could be used by police officers to scan faces and cross link them to the Mug shots stored on the PNC; drastically reducing the presence of Identity Freud in the UK. Till the present day forensics has proven of immense use, its phenomenal and rapid development through the ages has led to numerous crimes being solved. Vast amount of detail that has arisen through the years, allows the expansion of forensic fields which enable them to split into unique and diverse divisions e.g. Forensic Odontology. This is the study of dental evidence such as bite marks or even human remains in order to establish the identity of an individual. During this modern era; astonishingly increasing technology proceeds to thrive the success of crime detection and unravels many forensic cases at a remarkable rate; making the jobs of criminals considerably harder. Statistics provided by npia police

Wednesday, October 2, 2019

Moving away from Theme Writing and Finding our Voices Essay -- Writing

Moving away from Theme Writing and Finding our Voices The attempt to discover my "voice" may seem less than insightful for the audience in which this paper is intended. It is quite a relief that I don't have to write a theme, pretending to be an expert on finding voice. The concept of voice is very new for me because I wasn't aware that I was conveying a tone or attitude in my writing that was so profoundly obvious. In preparation for this discussion I have spent time re-reading former assignments trying to "hear" the voice present in them. I think the concept of voice, as well as the new deliberate avoidance from theme writing, has put the entire class in the same boat. In this respect our writing talents are maturing. If the paper does not provide any insight on the new and powerful creative tool called voice, in the very least it will have benefitted me by helping me explore the voice in my writings. For that, each of you will have this opportunity to become familiar with me, the person and writer, through voice. Long before I decided to become an English major, I had decided I was a good writer. If I had to use one word to describe myself as a writer, it would be "thrifty". I could whip off papers that I was asked to write, on topics which I generally knew nothing about. Many of us could testify to the truth that we are conditioned to become theme writing specialists. It is almost as if we have been coerced to believe that writing of any other kind will push creativity beyond it's acceptable limits. I was continually praised for my writing "thriftiness". No matter what the subject was, I was an expert. The extensive use of latinate words in my work convinced the reader I knew exactly what I was talking about. I had ... ...ion, I would presume that people believe this because they weren't comfortable with the limitations imposed on them that made creating good writing, seem like an impossibility. We all struggle to discover whether we are good writers, and we look to our professor's paper evaluations to determine this. The promising thing about this class, is that we get to serve as mentors for each other. For this one time, we may submit our work to a larger audience for evaluation. Our success in writing doesn't have to hinge on the personal preferences and standards of just one person, our professor. I am optimistic, because although I continue to struggle with writing in voice, I have one and therefore I know I will discover it. It will enrich my writing enough so that I know I am capable of more than mechanical theme writing. Now that you hear my voice, what is it that you hear? Moving away from Theme Writing and Finding our Voices Essay -- Writing Moving away from Theme Writing and Finding our Voices The attempt to discover my "voice" may seem less than insightful for the audience in which this paper is intended. It is quite a relief that I don't have to write a theme, pretending to be an expert on finding voice. The concept of voice is very new for me because I wasn't aware that I was conveying a tone or attitude in my writing that was so profoundly obvious. In preparation for this discussion I have spent time re-reading former assignments trying to "hear" the voice present in them. I think the concept of voice, as well as the new deliberate avoidance from theme writing, has put the entire class in the same boat. In this respect our writing talents are maturing. If the paper does not provide any insight on the new and powerful creative tool called voice, in the very least it will have benefitted me by helping me explore the voice in my writings. For that, each of you will have this opportunity to become familiar with me, the person and writer, through voice. Long before I decided to become an English major, I had decided I was a good writer. If I had to use one word to describe myself as a writer, it would be "thrifty". I could whip off papers that I was asked to write, on topics which I generally knew nothing about. Many of us could testify to the truth that we are conditioned to become theme writing specialists. It is almost as if we have been coerced to believe that writing of any other kind will push creativity beyond it's acceptable limits. I was continually praised for my writing "thriftiness". No matter what the subject was, I was an expert. The extensive use of latinate words in my work convinced the reader I knew exactly what I was talking about. I had ... ...ion, I would presume that people believe this because they weren't comfortable with the limitations imposed on them that made creating good writing, seem like an impossibility. We all struggle to discover whether we are good writers, and we look to our professor's paper evaluations to determine this. The promising thing about this class, is that we get to serve as mentors for each other. For this one time, we may submit our work to a larger audience for evaluation. Our success in writing doesn't have to hinge on the personal preferences and standards of just one person, our professor. I am optimistic, because although I continue to struggle with writing in voice, I have one and therefore I know I will discover it. It will enrich my writing enough so that I know I am capable of more than mechanical theme writing. Now that you hear my voice, what is it that you hear?

Henrik Ibsen Essay -- essays research papers

In the plays Ghosts, An Enemy of the People, and Wild ducks by Henrik Ibsen there are many similar themes, which become evident to the reader. A theme, which is consistant though out these plays, is the opposing values of the Ideal and the Real. The views of the idealist versus the realists make for many duels between the two personalities. The theme of idealism versus realism is also dealt with in the play The Wild Duck. Gregers Werle has avoided his father, whom he detests, by spending fifteen years in the family mining concern. Gregers is so unattractive in appearance that he has given up all hope of marrying and having a family. Instead he has become an idealist and goes about advocating and preaching a theme of truth and purity. He calls his mission the â€Å"claim of the ideal.† His father, Old Werle, has allegedly driven his sick wife to her death by carrying on love affairs in his own home. Once he had his serving girl, Gina, as his mistress. Arranging her marriage with Hialmar Ekdal, the son of his former partner, Werle also sets the couple up in the profession of photography. Hialmar is pleased with his marriage and believes that Gina’s child is his own daughter. Lieutenant Ekdal, Werle’s former partner, is now a broken old man. He does odd jobs for Werle. He is now living with Hialmar and Gina. Gregers Werle comes to Hialmar and explains the claim of the ideal and tries to make Hialmar see that his marriage is based on a lie. But rather than making Hialmar happy by understanding the true nature of his marriage, Gregers only succeeds in turning Halmar against his daughter, Hedvig. The daughter, in order to prove her love for her father who is rejecting her, takes a pistol and kills herself. The Wild Duck is a play in which reality versus idealism becomes a structural feature. Each scene illustrates this dualism. First Gregers confronts his father, a realist, and accuses him of a life built on lies and deception. The conflict between Gregers and his father reveals a lot about the two. It shows that Gregers is obsessed with the truth and in changing the wrongs of the past. This is shown when he attacks his father’s ability to allow Ekdal to be found solely guilty for crimes in which both men were involved. He also attacks his father for his ulterior motives in having Hialmar and Gina married, for the death of his wife, and for his intended marriage to ... ...appear. At the end of the play it is not clear what she will do.   Ã‚  Ã‚  Ã‚  Ã‚  The first Act of the play Ghosts had many functions. It introduces the characters, illustrates the central problem of the play, and gives the reader the essential story line. Through this Ibsen carefully forewarns his audience of the themes he will develop in later acts. The protagonist, Mrs. Alving is shown to have somewhat of a dual personality. Although she reads controversial literature she continues to conform to the wishes of the church and community. She also speaks about her husband and his reckless life and how she hid the truth from her son, Oswald. Despite her husbands acts she wishes to hide these truths by creating an orphanage in his name.   Ã‚  Ã‚  Ã‚  Ã‚  Manders, is one of the characters who can be considered somewhat of a idealist. His ideals are not so righteous as those of Dr. Stockmann or Gregers Werle, however. Unlike the previous two plays this play has the most concrete message in that it definitely shows that Manders’ idealism is wrong and can no truly be realized. Manders’ idealism results in the destruction of the four major characters in this play.

Tuesday, October 1, 2019

Dependency Theory Essay

Modernization theory is a theory used to explain the process of Modernization within societies. The theory looks at the internal factors of a country while assuming that with assistance â€Å"traditional countries can be brought to development in the same manner more developed countries have. This theory of modernization however failed because it can be argued that it was too Eurocentric in its methodologies. That is to say its centered focus was on Europe or European peoples. The theory never considered the Caribbean region or other third world when explaining its concepts. This resulted in a paradigm shift from Modernization to Dependency. The Dependency theory was established to provide the scholarly community with a different way of understanding the circumstances of the non-industrial countries of the world. According to Osvaldo Sunkel, dependency theory can be sociologically defined as an explanation of the economic development of a state in terms of the external influences, political, economic and cultural on national development policies. Therefore this essay would take seek to explain the advantages and limitations of the central new insight that is provided about development by the Dependency theory. One advantage of the Dependency theory is that the theory arose around 1960 as a reaction to some earlier theories of development which held that all societies progress through similar stages of development, that today’s underdeveloped areas are thus in a similar situation to that of today’s developed areas at some time in the past, and that therefore the task in helping the underdeveloped areas out of poverty is to accelerate them along this supposed common path of development, by various means such as investment, technology transfers, and closer integration into the world market. Dependency theory rejected this view, arguing that underdeveloped countries are not merely primitive versions of developed countries, but have unique features and structures of their own; and, importantly, are in the situation of being the weaker members in a world market economy, whereas the developed nations were never in an analogous position; they never had to exist in relation to a bloc of more powerful countries than themselves. Dependency theorists argued, in opposition to free market economists, that underdeveloped countries needed to reduce their connectedness with the world market so that they can pursue a path more in keeping with their own needs, less dictated by external pressures. Prebisch, an Argentine economist at the United Nations Commission for Latin America (UNCLA), went on to conclude that the underdeveloped nations must employ some degree of protectionism in trade if they were to enter a self-sustaining development path. Another advantage the Dependency theory provided about development is that it explains the reasons why the lesser developed countries are the way they are. The lack of development within the third world rest within the first world. Advocates of the Dependency theory agree that only substantial reform of the world capitalist system and a distribution of assets will free third world countries from poverty cycles and enable development to occur. Measures that the third countries could take would include the elimination of world debt and the introduction of global taxes such as the Tobin Tax. This tax on foreign exchange transactions, named after its proponent, the American Economist, James Tobin, would generate large revenues that could be used to pay off debt or fund development projects. Also these third world countries could try to eliminate themselves from world debt by trying to stop depending on the financial institutions for loans. These third world countries believe that they are benefiting the country by taking loans from these institutions to support themselves economically. However, what these third world countries don’t realise is that these institutions are developed to make them take loans and go into more debt where they would have no other alternative but to depend on the first world for assistance, thus, leading to dependency and by extension further underdevelopment. For instance, Dominant first world countries have such a technological and industrial advantage that they can ensure the global economic system works in their own self-interest. Organisations such as the World Bank, the IMF and the WTO have agendas that benefit the firms, and consumers of primarily the first world. Freeing up world trade, one of the main aims of the WTO, benefits the wealthy nations that are most involved in world trade. Creating a level playing field for all countries assumes that all countries have the necessary equipment to be able to play. For the world’s poor this is often not the case. The third-world debt crisis of the 1980s and continued stagnation in Africa and Latin America in the 1990s caused some doubt as to the feasibility or desirability of â€Å"dependent development†. Vernengo (2004) has suggested that the sine qua non of the dependency relationship is not the difference in technological sophistication, as traditional dependency theorists believe, but rather the difference in financial strength between core and peripheral countries – particularly the inability of peripheral countries to borrow in their own currency. He believes that the hegemonic position of the United States is very strong because of the importance of its financial markets and because it controls the international reserve currency – the US dollar. He believes that the end of the Bretton Woods international financial agreements in the early 1970s considerably strengthened the United States’ position because it removed some constraints on their financial actions. Although there are various advantages of the new central insight that is provided for the explanation of development, there are also some limitations. One of these limitations is that, the Dependency theory is a way of explaining economic underdevelopment outside of such industrially advanced parts of the world as North America and Europe. According to dependency theory, the politico-economic advantages of more technologically advanced countries are based on the disadvantages to countries that are and remain less developed. Critics of the theory claim that such an outlook is fatalistic, historically inaccurate, and simplistic. For example, parts of Africa, Asia, and South America are considered disadvantaged and underdeveloped. Yet all three areas previously were the locations of ancient civilizations of great cultural, economic, philosophical, political and social achievements. Dependency theory doesn’t come up with convincing arguments to account for how these areas fell by the wayside, and why areas in Europe and North America took the lead. The Dependency theory explains how the countries are the way they are but they did not explain why and how they got that way. The theory just labelled these three countries as less developed because of their relationship with the more developed countries, it did not explain why is it that Europe and North America was able to develop and why is it Africa, Asia and South America wasn’t able to develop and how they lost their cultural, economic, philosophical, political and social achievements while North America was able to keep theirs and be considered first world countries. Another disadvantage of the Dependency theory is that doesn’t have all of its convincing points in order to relate to the theory’s implied invulnerability of development and simultaneous vulnerability of underdevelopment. In other words, it emphasizes the importance of external forces on underdeveloped countries and minimizes the role of internal motivations within those very same countries. In most instances it is because of these third world countries internal forces they are underdeveloped. The reason for this because of the country’s small size it causes them to be vulnerable towards the first world dependence. Along with this, it can also be seen that most third world countries contain a high level of corruption which causes them to be in the situation that they are presently in. Advanced democracies like the UK, USA, Canada and Australia have virile electorates, media and criminal justice systems to combat corruption. But Third World political and civil institutions are weaker, and in effect license corruption with impunity, thus allowing corruption within these countries to become effortlessly available. Along with this the Dependency theory likewise locks countries into a hierarchy of world leaders in which once an underdeveloped country, always an underdeveloped country. And the previous faults quickly become glaring when the dependency theorist tries to account for politico-economic changes within the Russian Federation, certain Middle Eastern countries, India, and China, to name a few. In the final analysis, it can be seen that there was a paradigm shift from the Modernisation theory to the Dependency theory in explaining development. The Development theory provided the scholarly community with a different way of understanding the circumstances of the non-industrial countries of the world. Dependency Theory is in large part a theory of development in the third world, it seek to provide explanations for third world development and explanations that the Modernisation theory failed to give. Like any other theory, the Dependency theory has its advantages and limitations. One of its strengths is its recognition that from the beginning, capitalism developed as a multinational system. Dependency Theory therefore spends its time on the question, â€Å"how can we have a development in the periphery that more resembles that at the core?† Or a more charitable account, if the core-periphery link is broken, can we have development in the periphery that has some or all of the elements that we identified as desirable in the core? BIBLIOGRAPHY Amin, S. â€Å"Accumulation and Development: a Theoretical Model† Review of African Political Economy HC501 R46. Gunder Frank, A. Capitalism and Underdevelopment in Latin America. HC165 F828 C1 1969. The Latin American Periphery in the Global System of Capitalism†, 1981, UNCLA Review Prebisch, R. Change and Development. 1976 t. HC125 P922 C4. R. H. Chilcote Development Theory and Practice: Latin American Perspectives, Lanham, Rowman and Littlefield, 2003 Sunkel O. (1966), ‘The Structural Background of Development Problems in Latin America’ Weltwirtschaftliches. Vernengo M. â€Å"Technology, Finance and Dependency: Latin American Radical Political Economy in Retrospect†, Working Paper No: 2004-06, University of Utah Dept. of Economics, 2004, p 5; retrieved July 2009.